register report · fbk003 aug 01, 2012 thru sep 30, 2012 register report first financial bank date...

64
FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Balance Credit Amount Debit Amount Description/Name Doc. Number Item Type Date 125 Claims Account First Financial Bank Account / Ledger ($ 250.00) 905 Withdrawal 08/01/2012 FSA CLAIMS AFLAC $ 250.00 163-00-2110.00-000-2-00-0-00/G/L ($ 670.14) 906 Withdrawal 08/01/2012 FSA CLAIMS AFLAC $ 420.14 163-00-2110.00-000-2-00-0-00/G/L ($ 1,050.91) 907 Withdrawal 08/02/2012 FSA CLAIMS AFLAC $ 380.77 163-00-2110.00-000-2-00-0-00/G/L ($ 1,131.10) 908 Withdrawal 08/06/2012 FSA CLAIMS AFLAC $ 80.19 163-00-2110.00-000-2-00-0-00/G/L ($ 1,290.05) 909 Withdrawal 08/06/2012 FSA CLAIMS AFLAC $ 158.95 163-00-2110.00-000-2-00-0-00/G/L ($ 1,345.05) 910 Withdrawal 08/07/2012 FSA CLAIMS AFLAC $ 55.00 163-00-2110.00-000-2-00-0-00/G/L ($ 1,345.05) 903 Deposit 08/09/2012 - VOID - FSA CLAIMS AFLAC $ 11,828.35 163-00-2110.00-000-2-00-0-00/G/L ($ 1,657.73) 912 Withdrawal 08/10/2012 FSA CLAIMS AFLAC $ 312.68 163-00-2110.00-000-2-00-0-00/G/L ($ 1,672.73) 913 Withdrawal 08/13/2012 FSA CLAIMS AFLAC $ 15.00 163-00-2110.00-000-2-00-0-00/G/L ($ 1,734.99) 914 Withdrawal 08/13/2012 FSA CLAIMS AFLAC $ 62.26 163-00-2110.00-000-2-00-0-00/G/L ($ 1,740.59) 915 Withdrawal 08/14/2012 FSA CLAIMS AFLAC $ 5.60 163-00-2110.00-000-2-00-0-00/G/L ($ 2,146.83) 916 Withdrawal 08/14/2012 FSA CLAIMS AFLAC $ 406.24 163-00-2110.00-000-2-00-0-00/G/L ($ 2,365.36) 917 Withdrawal 08/16/2012 FSA CLAIMS AFLAC $ 218.53 163-00-2110.00-000-2-00-0-00/G/L ($ 2,424.69) 918 Withdrawal 08/16/2012 FSA CLAIMS AFLAC $ 59.33 163-00-2110.00-000-2-00-0-00/G/L ($ 2,549.18) 919 Withdrawal 08/17/2012 FSA CLAIMS AFLAC $ 124.49 163-00-2110.00-000-2-00-0-00/G/L ($ 2,579.18) 920 Withdrawal 08/20/2012 FSA CLAIMS AFLAC $ 30.00 163-00-2110.00-000-2-00-0-00/G/L ($ 2,594.18) 921 Withdrawal 08/21/2012 FSA CLAIMS AFLAC $ 15.00 163-00-2110.00-000-2-00-0-00/G/L ($ 2,659.29) 922 Withdrawal 08/22/2012 FSA CLAIMS AFLAC $ 65.11 163-00-2110.00-000-2-00-0-00/G/L ($ 2,663.54) 923 Withdrawal 08/23/2012 FSA CLAIMS AFLAC $ 4.25 163-00-2110.00-000-2-00-0-00/G/L ($ 2,690.65) 924 Withdrawal 08/24/2012 FSA CLAIMS AFLAC $ 27.11 163-00-2110.00-000-2-00-0-00/G/L ($ 2,751.42) 925 Withdrawal 08/27/2012 FSA CLAIMS AFLAC $ 60.77 163-00-2110.00-000-2-00-0-00/G/L ($ 2,887.65) 926 Withdrawal 08/27/2012 FSA CLAIMS AFLAC $ 136.23 163-00-2110.00-000-2-00-0-00/G/L ($ 2,937.65) 927 Withdrawal 08/29/2012 FSA CLAIMS AFLAC $ 50.00 163-00-2110.00-000-2-00-0-00/G/L ($ 2,971.65) 928 Withdrawal 08/30/2012 FSA CLAIMS AFLAC $ 34.00 163-00-2110.00-000-2-00-0-00/G/L ($ 2,892.45) 902 Deposit 08/31/2012 FSA CLAIMS AFLAC $ 79.20 163-00-2110.00-000-2-00-0-00/G/L ($ 2,885.71) 929 Deposit 08/31/2012 MONEY MARKET INTEREST $ 6.74 163-00-2171.01-000-2-00-0-00/G/L $ 9,242.65 930 Deposit 08/31/2012 UNREIMBURSE MEDICAL $ 12,128.36 163-00-2110.00-000-2-00-0-00/G/L $ 8,992.65 935 Withdrawal 09/04/2012 FSA CLAIMS AFLAC $ 250.00 163-00-2110.00-000-3-00-0-00/G/L $ 8,938.02 936 Withdrawal 09/04/2012 FSA CLAIMS AFLAC $ 54.63 163-00-2110.00-000-3-00-0-00/G/L $ 8,927.52 937 Withdrawal 09/04/2012 FSA CLAIMS AFLAC $ 10.50 163-00-2110.00-000-3-00-0-00/G/L $ 8,925.38 938 Withdrawal 09/05/2012 FSA CLAIMS AFLAC $ 2.14 163-00-2110.00-000-3-00-0-00/G/L $ 8,669.32 939 Withdrawal 09/06/2012 FSA CLAIMS AFLAC CK# 100000209 $ 256.06 163-00-2110.00-000-3-00-0-00/G/L $ 8,510.37 940 Withdrawal 09/06/2012 FSA CLAIMS AFLAC $ 158.95 163-00-2110.00-000-3-00-0-00/G/L $ 8,445.37 941 Withdrawal 09/10/2012 FSA CLAIMS AFLAC $ 65.00 163-00-2110.00-000-3-00-0-00/G/L $ 8,417.43 942 Withdrawal 09/10/2012 FSA CLAIMS AFLAC $ 27.94 163-00-2110.00-000-3-00-0-00/G/L $ 6,917.43 943 Withdrawal 09/11/2012 FSA CLAIMS AFLAC CK#100000210 $ 1,500.00 163-00-2110.00-000-3-00-0-00/G/L $ 6,916.49 944 Withdrawal 09/11/2012 FSA CLAIMS AFLAC $ 0.94 163-00-2110.00-000-3-00-0-00/G/L $ 6,699.49 945 Withdrawal 09/12/2012 FSA CLAIMS AFLAC $ 217.00 163-00-2110.00-000-3-00-0-00/G/L Oct 09, 2012 Page 1 of 64

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Page 1: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

125 Claims Account First Financial Bank

Account / Ledger

���� ($ 250.00) 905 Withdrawal08/01/2012 FSA CLAIMS AFLAC $ 250.00163-00-2110.00-000-2-00-0-00/G/L

���� ($ 670.14) 906 Withdrawal08/01/2012 FSA CLAIMS AFLAC $ 420.14163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,050.91) 907 Withdrawal08/02/2012 FSA CLAIMS AFLAC $ 380.77163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,131.10) 908 Withdrawal08/06/2012 FSA CLAIMS AFLAC $ 80.19163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,290.05) 909 Withdrawal08/06/2012 FSA CLAIMS AFLAC $ 158.95163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,345.05) 910 Withdrawal08/07/2012 FSA CLAIMS AFLAC $ 55.00163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,345.05) 903 Deposit08/09/2012 - VOID - FSA CLAIMS AFLAC $ 11,828.35163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,657.73) 912 Withdrawal08/10/2012 FSA CLAIMS AFLAC $ 312.68163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,672.73) 913 Withdrawal08/13/2012 FSA CLAIMS AFLAC $ 15.00163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,734.99) 914 Withdrawal08/13/2012 FSA CLAIMS AFLAC $ 62.26163-00-2110.00-000-2-00-0-00/G/L

���� ($ 1,740.59) 915 Withdrawal08/14/2012 FSA CLAIMS AFLAC $ 5.60163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,146.83) 916 Withdrawal08/14/2012 FSA CLAIMS AFLAC $ 406.24163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,365.36) 917 Withdrawal08/16/2012 FSA CLAIMS AFLAC $ 218.53163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,424.69) 918 Withdrawal08/16/2012 FSA CLAIMS AFLAC $ 59.33163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,549.18) 919 Withdrawal08/17/2012 FSA CLAIMS AFLAC $ 124.49163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,579.18) 920 Withdrawal08/20/2012 FSA CLAIMS AFLAC $ 30.00163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,594.18) 921 Withdrawal08/21/2012 FSA CLAIMS AFLAC $ 15.00163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,659.29) 922 Withdrawal08/22/2012 FSA CLAIMS AFLAC $ 65.11163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,663.54) 923 Withdrawal08/23/2012 FSA CLAIMS AFLAC $ 4.25163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,690.65) 924 Withdrawal08/24/2012 FSA CLAIMS AFLAC $ 27.11163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,751.42) 925 Withdrawal08/27/2012 FSA CLAIMS AFLAC $ 60.77163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,887.65) 926 Withdrawal08/27/2012 FSA CLAIMS AFLAC $ 136.23163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,937.65) 927 Withdrawal08/29/2012 FSA CLAIMS AFLAC $ 50.00163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,971.65) 928 Withdrawal08/30/2012 FSA CLAIMS AFLAC $ 34.00163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,892.45) 902 Deposit08/31/2012 FSA CLAIMS AFLAC $ 79.20163-00-2110.00-000-2-00-0-00/G/L

���� ($ 2,885.71) 929 Deposit08/31/2012 MONEY MARKET INTEREST $ 6.74163-00-2171.01-000-2-00-0-00/G/L

$ 9,242.65 930 Deposit08/31/2012 UNREIMBURSE MEDICAL $ 12,128.36163-00-2110.00-000-2-00-0-00/G/L

$ 8,992.65 935 Withdrawal09/04/2012 FSA CLAIMS AFLAC $ 250.00163-00-2110.00-000-3-00-0-00/G/L

$ 8,938.02 936 Withdrawal09/04/2012 FSA CLAIMS AFLAC $ 54.63163-00-2110.00-000-3-00-0-00/G/L

$ 8,927.52 937 Withdrawal09/04/2012 FSA CLAIMS AFLAC $ 10.50163-00-2110.00-000-3-00-0-00/G/L

$ 8,925.38 938 Withdrawal09/05/2012 FSA CLAIMS AFLAC $ 2.14163-00-2110.00-000-3-00-0-00/G/L

$ 8,669.32 939 Withdrawal09/06/2012 FSA CLAIMS AFLAC CK# 100000209 $ 256.06163-00-2110.00-000-3-00-0-00/G/L

$ 8,510.37 940 Withdrawal09/06/2012 FSA CLAIMS AFLAC $ 158.95163-00-2110.00-000-3-00-0-00/G/L

$ 8,445.37 941 Withdrawal09/10/2012 FSA CLAIMS AFLAC $ 65.00163-00-2110.00-000-3-00-0-00/G/L

$ 8,417.43 942 Withdrawal09/10/2012 FSA CLAIMS AFLAC $ 27.94163-00-2110.00-000-3-00-0-00/G/L

$ 6,917.43 943 Withdrawal09/11/2012 FSA CLAIMS AFLAC CK#100000210 $ 1,500.00163-00-2110.00-000-3-00-0-00/G/L

$ 6,916.49 944 Withdrawal09/11/2012 FSA CLAIMS AFLAC $ 0.94163-00-2110.00-000-3-00-0-00/G/L

$ 6,699.49 945 Withdrawal09/12/2012 FSA CLAIMS AFLAC $ 217.00163-00-2110.00-000-3-00-0-00/G/L

Oct 09, 2012Page 1 of 64

Page 2: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

125 Claims Account First Financial Bank

Account / Ledger

$ 6,001.49 946 Withdrawal09/13/2012 FSA CLAIMS AFLAC $ 698.00163-00-2110.00-000-3-00-0-00/G/L

$ 5,841.76 947 Withdrawal09/17/2012 FSA CLAIMS AFLAC $ 159.73163-00-2110.00-000-3-00-0-00/G/L

$ 5,776.76 948 Withdrawal09/17/2012 FSA CLAIMS AFLAC $ 65.00163-00-2110.00-000-3-00-0-00/G/L

$ 6,040.76 931 Deposit09/18/2012 FSA CLAIMS - RENA JONES $ 264.00163-00-2110.00-000-3-00-0-00/G/L

$ 6,035.75 949 Withdrawal09/18/2012 FSA CLAIMS AFLAC $ 5.01163-00-2110.00-000-3-00-0-00/G/L

($ 3,964.25) 932 Withdrawal09/21/2012 due to payroll $ 10,000.00163-00-2178.00-000-3-00-0-00/G/L

($ 4,119.25) 951 Withdrawal09/21/2012 FSA CLAIMS AFLAC $ 155.00163-00-2110.00-000-3-00-0-00/G/L

($ 4,144.25) 952 Withdrawal09/24/2012 FSA CLAIMS AFLAC $ 25.00163-00-2110.00-000-3-00-0-00/G/L

($ 4,169.25) 953 Withdrawal09/27/2012 FSA CLAIMS AFLAC $ 25.00163-00-2110.00-000-3-00-0-00/G/L

($ 5,345.87) 954 Withdrawal09/28/2012 FSA CLAIMS AFLAC $ 1,176.62163-00-2110.00-000-3-00-0-00/G/L

($ 5,340.15) 955 Deposit09/30/2012 MONEY MARKET INTEREST $ 5.72163-00-2110.00-000-3-00-0-00/G/L

$ 12,484.02 $ 17,824.17 ($ 5,340.15)Total for 125 Claims Account First Financial Bank

Oct 09, 2012Page 2 of 64

Page 3: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Agency Fund First Financial Bank

Account / Ledger

($ 1,800.00) 11108 A/P Check08/06/2012 Lloya Ann Austin $ 1,800.00865-00-7989.CF-900-2-00-0-00/REV

���� ($ 2,700.00) 11109 A/P Check08/06/2012 Cindy Eldridge $ 900.00865-00-7989.CF-900-2-00-0-00/REV

���� ($ 3,375.00) 11110 A/P Check08/06/2012 Cecilia Garcia $ 675.00865-00-7989.CF-900-2-00-0-00/REV

���� ($ 5,175.00) 11111 A/P Check08/06/2012 Ra'Dea Griffith $ 1,800.00865-00-7989.CF-900-2-00-0-00/REV

���� ($ 5,235.00) 11112 A/P Check08/06/2012 SignsDelivered $ 60.00865-36-6499.07-107-2-99-P-00/EXP

���� ($ 5,685.00) 11113 A/P Check08/06/2012 Valarie Ann Kimbrough $ 450.00865-00-7989.CF-900-2-00-0-00/REV

���� ($ 5,747.00) 11114 A/P Check08/10/2012 CISD Transportation $ 62.00865-36-6412.07-107-2-99-P-00/EXP

���� ($ 5,866.70) 11115 A/P Check08/15/2012 Star Telegram $ 119.70865-36-6329.AL-801-2-99-Q-00/EXP

���� ($ 6,307.08) 11116 A/P Check08/20/2012 CISD Transportation $ 440.38865-36-6412.7S-001-2-99-Q-00/EXP

($ 6,401.97) 11117 A/P Check08/27/2012 HEB Credit Receivables $ 94.89- Splits -

($ 6,601.97) 11118 A/P Check08/27/2012 Johnson County 4-H Ag Fund $ 200.00865-36-6399.2F-001-2-99-Q-00/EXP

($ 6,621.44) 11119 A/P Check08/27/2012 Colin Yielding $ 19.47865-36-6411.7S-001-2-99-Q-00/EXP

���� ($ 6,293.94) 1293 Deposit08/27/2012 TICKET SALES $ 327.50865-00-5753.1E-001-2-00-0-00/REV

���� ($ 5,273.80) 1294 Deposit08/30/2012 DUE FROM 461 $ 1,020.14865-00-1262.01-000-2-00-0-00/G/L

($ 5,573.80) 11120 A/P Check08/31/2012 West End Grill $ 300.00865-36-6499.7S-001-2-99-Q-00/EXP

($ 6,471.80) 11121 A/P Check08/31/2012 Lori Kretz $ 898.00865-36-6399.1J-001-2-99-Q-00/EXP

���� ($ 6,086.80) 1295 Deposit08/31/2012 NO SPONSOR RECEIPTS $ 385.00865-00-5753.1T-001-2-00-0-00/REV

���� ($ 6,050.24) 1298 Deposit08/31/2012 MONEY MARKET INTEREST $ 36.56865-00-5753.CM-750-2-00-0-00/REV

$ 6,321.76 1299 Deposit08/31/2012 CHRISTMAS CLUB $ 12,372.00865-00-7989.CF-900-2-00-0-00/REV

$ 6,633.76 1296 Deposit09/06/2012 MORP DANCE TICKET SALES $ 312.00865-00-5753.7S-001-3-00-0-00/REV

$ 6,649.76 1297 Deposit09/06/2012 COCESSIONS MORP DANCE $ 16.00865-00-5753.7S-001-3-00-0-00/REV

$ 6,625.76 1312 Withdrawal09/06/2012 Bank Corr Dep Short $ 24.00865-00-5753.7S-001-3-00-0-00/REV

$ 5,425.76 11122 A/P Check09/07/2012 Scott Brown $ 1,200.00865-36-6399.2F-001-3-99-Q-00/EXP

$ 5,525.76 1301 Deposit09/12/2012 STUDENT CO. DUES $ 100.00865-00-5753.7S-001-3-00-0-00/REV

$ 5,570.76 1302 Deposit09/12/2012 KEY CLUB DUES $ 45.00865-00-5753.1K-001-3-00-0-00/REV

$ 7,140.76 1303 Deposit09/12/2012 FFA $ 1,570.00865-00-5753.2F-001-3-00-0-00/REV

$ 10,368.76 1304 Deposit09/12/2012 FFA $ 3,228.00865-00-5753.2F-001-3-00-0-00/REV

$ 10,526.26 1305 Deposit09/12/2012 FFA $ 157.50865-00-5753.2F-001-3-00-0-00/REV

$ 10,550.26 1306 Deposit09/12/2012 MORP DANCE $ 24.00865-00-5753.7S-001-3-00-0-00/REV

$ 10,535.26 11123 A/P Check09/13/2012 CHS Art Department $ 15.00865-36-6399.SS-999-3-99-A-00/EXP

$ 10,560.26 1307 Deposit09/13/2012 STUDENT CO. DUES $ 25.00865-00-5753.7S-001-3-00-0-00/REV

$ 10,710.26 1308 Deposit09/13/2012 FCCLA DUES $ 150.00865-00-5753.3F-001-3-00-0-00/REV

$ 10,735.26 1309 Deposit09/13/2012 STUDENT CO DUES $ 25.00865-00-5753.7S-001-3-00-0-00/REV

$ 10,736.76 1300 Deposit09/14/2012 NSF REFUND $ 1.50865-00-5753.2F-001-3-00-0-00/REV

$ 11,806.76 1310 Deposit09/14/2012 FFA $ 1,070.00865-00-5753.2F-001-3-00-0-00/REV

$ 10,906.76 11124 A/P Check09/17/2012 Chad Walker $ 900.00865-36-6399.2F-001-3-99-Q-00/EXP

$ 11,006.76 1324 Deposit09/18/2012 STUCO DUES $ 100.00865-00-5753.7S-001-3-00-0-00/REV

$ 11,031.76 1325 Deposit09/18/2012 STUCO DUES $ 25.00865-00-5753.7S-001-3-00-0-00/REV

Oct 09, 2012Page 3 of 64

Page 4: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Agency Fund First Financial Bank

Account / Ledger

$ 11,073.76 1326 Deposit09/18/2012 TEEN LIBRARY SHIRTS $ 42.00865-00-5753.30-001-3-00-0-00/REV

$ 11,713.01 1327 Deposit09/18/2012 FFA $ 639.25865-00-5753.2F-001-3-00-0-00/REV

$ 11,838.01 1328 Deposit09/18/2012 KEY CLUB - DUES & SHIRTS $ 125.00- Splits -

$ 11,938.01 1329 Deposit09/18/2012 STUCO DUES $ 100.00865-00-5753.7S-001-3-00-0-00/REV

$ 12,028.01 1330 Deposit09/18/2012 KEY CLUB - DUES & SHIRTS $ 90.00- Splits -

$ 12,153.01 1331 Deposit09/18/2012 FCCLA DUES $ 125.00865-00-5753.3F-001-3-00-0-00/REV

���� $ 12,153.01 11125 A/P Check09/19/2012 - VOID - CHS Art Department $ 30.00

$ 12,123.01 11126 A/P Check09/20/2012 CHS Art Department $ 30.00865-36-6399.SS-001-3-99-Q-00/EXP

$ 12,023.01 11127 A/P Check09/20/2012 Diane Rodriquez $ 100.00865-00-7989.CF-900-3-00-0-00/REV

$ 12,148.01 1314 Deposit09/21/2012 EXCHANGETTE DUES $ 125.00865-00-5753.1E-001-3-00-0-00/REV

$ 12,273.01 1315 Deposit09/21/2012 STUCO DUES $ 125.00865-00-5753.7S-001-3-00-0-00/REV

$ 12,997.01 1316 Deposit09/21/2012 FFA - DUES, TAGS, JACKETS, FEES $ 724.00865-00-5753.2F-001-3-00-0-00/REV

$ 13,432.01 1317 Deposit09/21/2012 FCCLA DUES $ 435.00865-00-5753.3F-001-3-00-0-00/REV

$ 13,532.01 1318 Deposit09/21/2012 KEY CLUB - DUES & SHIRTS $ 100.00865-00-5753.1K-001-3-00-0-00/REV

$ 13,637.01 1319 Deposit09/21/2012 FCCLA - DUES & sHIRTS $ 105.00865-00-5753.3F-001-3-00-0-00/REV

$ 13,962.01 1320 Deposit09/21/2012 STUCO DUES $ 325.00865-00-5753.7S-001-3-00-0-00/REV

$ 14,007.01 1321 Deposit09/21/2012 TEEN LIBRARY BOARD $ 45.00865-00-5753.30-001-3-00-0-00/REV

$ 14,232.01 1332 Deposit09/25/2012 STUCO DUES $ 225.00865-00-5753.7S-001-3-00-0-00/REV

$ 14,307.01 1333 Deposit09/25/2012 EXCHANGETTES $ 75.00865-00-5753.1E-001-3-00-0-00/REV

$ 14,427.01 1334 Deposit09/25/2012 KEY CLUB - DUES & SHIRTS $ 120.00- Splits -

$ 14,642.01 1335 Deposit09/25/2012 TAFE $ 215.00865-00-5753.1T-001-3-00-0-00/REV

$ 15,242.01 1336 Deposit09/25/2012 STUCO DUES $ 600.00865-00-5753.7S-001-3-00-0-00/REV

$ 15,212.01 11128 A/P Check09/26/2012 Action Athletics $ 30.00865-36-6399.73-041-3-99-A-00/EXP

$ 15,257.01 1337 Deposit09/26/2012 FCCLA SHIRTS $ 45.00865-00-5753.3F-001-3-00-0-00/REV

$ 15,362.01 1338 Deposit09/26/2012 KEY CLUB - DUES & SHIRTS $ 105.00- Splits -

$ 15,607.01 1339 Deposit09/26/2012 FCCLA DUES $ 245.00865-00-5753.3F-001-3-00-0-00/REV

$ 5,027.81 1340 Withdrawal09/27/2012 due to 461 - ms cheer $ 10,579.20865-00-2171.01-000-3-00-0-00/G/L

$ 3,487.81 11129 A/P Check09/28/2012 Robert Grafa $ 1,540.00865-36-6399.2F-001-3-99-Q-00/EXP

$ 2,987.81 11130 A/P Check09/28/2012 Eva Johnson $ 500.00865-00-7989.CF-900-3-00-0-00/REV

$ 3,257.81 1341 Deposit09/28/2012 FCCLA DUES $ 270.00865-00-5753.3F-001-3-00-0-00/REV

$ 3,357.81 1342 Deposit09/28/2012 STUCO DUES $ 100.00865-00-5753.7S-001-3-00-0-00/REV

$ 4,607.81 1343 Deposit09/28/2012 JUNIOR CLASS $ 1,250.00865-00-5753.1J-001-3-00-0-00/REV

$ 4,667.81 1344 Deposit09/28/2012 KEY CLUB DUES $ 60.00865-00-5753.1K-001-3-00-0-00/REV

$ 5,436.81 1345 Deposit09/28/2012 FFA $ 769.00865-00-5753.2F-001-3-00-0-00/REV

$ 5,611.51 1346 Deposit09/28/2012 STUCO CONCESSION STAND $ 174.70865-00-5753.55-107-3-00-0-00/REV

$ 5,640.00 1347 Deposit09/30/2012 MONEY MARKET INTEREST $ 28.49865-00-5753.CM-750-3-00-0-00/REV

$ 28,377.64 $ 22,737.64 $ 5,640.00Total for Agency Fund First Financial Bank

Oct 09, 2012Page 4 of 64

Page 5: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Alumni Scholarship Fund First Financial B

Account / Ledger

���� $ 256,000.00 134 Deposit08/10/2012 TR FROM INVESTMENTS $ 256,000.00824-00-1101.00-000-2-00-0-00/G/L

���� $ 336.66 135 Withdrawal08/10/2012 DUE TO 199 $ 255,663.34824-00-2171.00-000-2-00-0-00/G/L

���� $ 1,445.11 136 Deposit08/29/2012 due from 199 $ 1,108.45824-00-1261.00-000-2-00-0-00/G/L

���� ($ 2,991.15) 137 Withdrawal08/30/2012 DUE TO 827 $ 4,436.26824-00-2177.01-000-2-00-0-00/G/L

���� ($ 2,874.07) 138 Deposit08/31/2012 GAS WELL PROCEEDS $ 117.08824-00-5744.00-000-2-00-0-00/REV

���� ($ 2,869.36) 139 Deposit08/31/2012 MONEY MARKET INTEREST $ 4.71824-00-5742.00-000-2-00-0-00/REV

($ 2,868.67) 140 Deposit09/30/2012 MONEY MARKET INTEREST $ 0.69824-00-5742.00-000-3-00-0-00/REV

$ 257,230.93 $ 260,099.60 ($ 2,868.67)Total for Alumni Scholarship Fund First Financial B

Oct 09, 2012Page 5 of 64

Page 6: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Construction Fund First Financial Bank

Account / Ledger

($ 15,001.34) 2513 A/P Check08/31/2012 Vibra-Whirl $ 15,001.34616-81-6249.00-999-2-99-A-00/EXP

($ 57.00) 54 Deposit08/31/2012 TRNFR FR INVESTMENTS $ 14,944.34616-00-1101.00-000-2-00-0-00/G/L

���� ($ 56.18) 55 Deposit08/31/2012 MONEY MARKET INTEREST $ 0.82616-00-5742.00-000-2-00-0-00/REV

���� ($ 28.45) 56 Deposit08/31/2012 TR FRM INVESTMENTS-TexPOOL $ 27.73616-00-1101.00-000-2-00-0-00/G/L

���� $ 2.50 57 Deposit08/31/2012 TR FROM INVESTMENTS-TexPOOL $ 30.95616-00-1101.00-000-2-00-0-00/G/L

���� $ 2.50 53 Deposit09/05/2012 - VOID - TRANSFER FROM INVESTMENTS $ 14,944.34616-00-1101.00-000-3-00-0-00/G/L

$ 3.60 58 Deposit09/30/2012 MONEY MARKET INTEREST $ 1.10616-00-5742.00-000-3-00-0-00/REV

$ 15,004.94 $ 15,001.34 $ 3.60Total for Construction Fund First Financial Bank

Oct 09, 2012Page 6 of 64

Page 7: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Federal Fund First Financial Bank

Account / Ledger

���� $ 70.65 715 Deposit08/03/2012 TRAVEL ADVANCE RERURNED $ 70.65211-13-6411.00-109-2-24-B-00/EXP

���� $ 159.39 716 Deposit08/03/2012 TRAVEL ADVANCE RERURNED $ 88.74211-13-6411.00-041-2-24-Q-00/EXP

���� $ 191.55 717 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 32.16211-13-6411.00-107-2-24-P-00/EXP

���� $ 236.67 718 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 45.12211-13-6411.00-107-2-24-P-00/EXP

���� $ 254.84 719 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 18.17211-13-6411.00-103-2-24-P-00/EXP

���� $ 261.44 720 Deposit08/03/2012 TRAVEL ADVANCEMENT RETURNED $ 6.60211-13-6411.00-103-2-24-P-00/EXP

���� $ 337.48 721 Deposit08/03/2012 TRAVEL ADVANCE REFUNDED $ 76.04255-13-6411.00-109-2-24-B-00/EXP

���� $ 397.55 722 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 60.07255-13-6411.00-104-2-24-P-00/EXP

���� $ 433.00 723 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 35.45255-13-6411.00-104-2-24-P-00/EXP

���� $ 486.16 724 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 53.16255-13-6411.00-107-2-24-P-00/EXP

���� $ 535.27 725 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 49.11255-13-6411.00-104-2-24-P-00/EXP

���� $ 572.46 726 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 37.19255-13-6411.00-104-2-24-P-00/EXP

���� $ 932.46 727 Deposit08/03/2012 PARTIAL REFUND PO 11-62981 $ 360.00255-23-6411.00-001-2-24-Q-00/EXP

���� $ 935.17 728 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 2.71255-23-6411.00-107-2-24-P-00/EXP

���� $ 962.04 729 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 26.87255-13-6411.00-111-2-24-P-00/EXP

���� $ 1,004.73 730 Deposit08/03/2012 TRAVEL ADVANCED RETURNED $ 42.69255-13-6411.00-104-2-24-P-00/EXP

���� $ 1,042.84 731 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 38.11255-13-6411.00-111-2-24-P-00/EXP

���� $ 1,070.17 732 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 27.33255-13-6411.00-104-2-24-P-00/EXP

���� $ 1,099.96 733 Deposit08/03/2012 TRAVEL ADVANCE RETURNED $ 29.79255-13-6411.00-104-2-24-P-00/EXP

���� $ 1,104.28 745 Deposit08/03/2012 REFUND - APPLE $ 4.32220-11-6299.00-999-3-24-T-00/EXP

���� $ 679.28 16540 A/P Check08/06/2012 ESC, Region 11 $ 425.00- Splits -

���� ($ 920.72) 16541 A/P Check08/06/2012 ESC, Region 11 $ 1,600.00- Splits -

���� ($ 2,474.72) 16543 A/P Check08/06/2012 TEPSA $ 1,554.00- Splits -

($ 2,572.96) 16544 A/P Check08/06/2012 Donna Williams $ 98.24211-13-6411.00-109-2-24-B-00/EXP

���� ($ 2,636.47) 16545 A/P Check08/06/2012 Barbara Yoder $ 63.51381-21-6411.00-999-2-24-T-00/EXP

���� ($ 3,003.19) 16546 A/P Check08/06/2012 Barbara Yoder $ 366.72- Splits -

���� ($ 22,287.19) 16542 A/P Check08/07/2012 Rosetta Stone Ltd. $ 19,284.00- Splits -

���� ($ 23,022.94) 16547 A/P Check08/07/2012 ABC-Clio $ 735.75255-13-6329.00-999-2-24-A-00/EXP

���� ($ 23,188.36) 16548 A/P Check08/07/2012 Angie Briscoe $ 165.42- Splits -

���� ($ 23,388.36) 16549 A/P Check08/07/2012 Nancy Davis $ 200.00211-13-6299.00-107-2-24-0-02/EXP

���� ($ 46,584.36) 16550 A/P Check08/07/2012 Marzano Research Laboratory LLC $ 23,196.00- Splits -

���� ($ 57,303.36) 16551 A/P Check08/07/2012 Pacific Northwest Publishing $ 10,719.00- Splits -

���� ($ 76,474.76) 16552 A/P Check08/07/2012 Pacific Northwest Publishing $ 19,171.40- Splits -

���� ($ 76,551.42) 16553 A/P Check08/07/2012 Sharyl Skoog $ 76.66- Splits -

���� ($ 90,151.42) 16554 A/P Check08/07/2012 Solution Tree $ 13,600.00- Splits -

���� ($ 90,189.75) 16555 A/P Check08/08/2012 Lisa Lehrmann $ 38.33255-13-6411.00-102-2-24-P-00/EXP

���� ($ 90,549.75) 16556 A/P Check08/08/2012 Two Amigos $ 360.00211-13-6411.00-107-2-24-P-02/EXP

���� ($ 91,026.82) 14267 W/T W/D08/09/2012 Cleburne Independent School District $ 477.07- Splits -

Oct 09, 2012Page 7 of 64

Page 8: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Federal Fund First Financial Bank

Account / Ledger

���� ($ 241,026.82) 746 Withdrawal08/09/2012 DUE TO 199 $ 150,000.00211-00-2171.00-000-3-00-0-00/G/L

���� ($ 240,965.16) 747 Deposit08/09/2012 TRAVEL ADVANCE RETURNED $ 61.66255-23-6411.00-107-2-24-P-00/EXP

���� ($ 240,914.21) 748 Deposit08/09/2012 TRAVEL ADVANCE RETURNED $ 50.95255-13-6411.00-107-2-24-P-00/EXP

���� ($ 240,883.53) 749 Deposit08/09/2012 TRAVEL ADVANCE RETURNED $ 30.68255-13-6411.00-107-2-24-P-00/EXP

���� ($ 240,861.13) 750 Deposit08/09/2012 TRAVEL ADVANCE RETURNED $ 22.40255-13-6411.00-111-2-00-P-00/EXP

($ 240,929.38) 16557 A/P Check08/10/2012 Ellen Colbert $ 68.25- Splits -

���� ($ 242,834.38) 16558 A/P Check08/13/2012 City Of Cleburne $ 1,905.00- Splits -

���� ($ 243,023.38) 16559 A/P Check08/13/2012 Debbie Diller & Assoc. $ 189.00255-13-6411.00-102-2-24-P-00/EXP

���� ($ 243,153.38) 16560 A/P Check08/13/2012 ESC, Region 11 $ 130.00- Splits -

���� ($ 243,393.38) 16561 A/P Check08/13/2012 ESC, Region 11 $ 240.00255-13-6239.00-102-2-24-P-00/EXP

���� ($ 243,643.38) 16562 A/P Check08/13/2012 ESC, Region 11 $ 250.00255-13-6239.00-102-2-24-P-00/EXP

���� ($ 243,643.38) 16563 A/P Check08/15/2012 - VOID - CISD Transportation $ 279.00

���� ($ 243,643.38) 16564 A/P Check08/15/2012 - VOID - CISD Transportation $ 305.50

���� ($ 243,643.38) 16565 A/P Check08/15/2012 - VOID - CISD Transportation $ 317.50

���� ($ 243,643.38) 16566 A/P Check08/15/2012 - VOID - Summit Integration Systems $ 609.00

���� ($ 243,643.38) 16567 A/P Check08/15/2012 - VOID - Summit Integration Systems $ 3,278.80

���� ($ 243,922.38) 16568 A/P Check08/15/2012 CISD Transportation $ 279.00211-13-6411.00-109-2-24-B-00/EXP

���� ($ 244,227.88) 16569 A/P Check08/15/2012 CISD Transportation $ 305.50255-13-6411.00-104-2-24-P-00/EXP

���� ($ 244,545.38) 16570 A/P Check08/15/2012 CISD Transportation $ 317.50220-21-6411.00-999-3-24-T-00/EXP

���� ($ 245,154.38) 16571 A/P Check08/15/2012 Summit Integration Systems $ 609.00211-21-6398.00-041-2-24-Q-01/EXP

���� ($ 248,433.18) 16572 A/P Check08/15/2012 Summit Integration Systems $ 3,278.80- Splits -

���� ($ 248,747.18) 16573 A/P Check08/16/2012 CISD Transportation $ 314.00- Splits -

���� ($ 249,503.18) 16574 A/P Check08/16/2012 Debbie Diller & Assoc. $ 756.00255-13-6411.00-102-2-24-P-00/EXP

���� ($ 262,373.02) 16575 A/P Check08/16/2012 Global Asset $ 12,869.84- Splits -

($ 262,518.64) 16576 A/P Check08/16/2012 Sarah Searles $ 145.62- Splits -

���� ($ 262,669.06) 16577 A/P Check08/16/2012 Toshiba Financial Services $ 150.42381-11-6269.00-999-2-24-T-00/EXP

($ 263,348.71) 16578 A/P Check08/16/2012 Walmart Community/GEMB $ 679.65- Splits -

���� ($ 256,361.62) 751 Deposit08/16/2012 due from 199 $ 6,987.09244-00-1261.00-000-3-00-0-00/G/L

���� ($ 234,731.78) 752 Deposit08/16/2012 due from 199 $ 21,629.84220-00-1261.00-000-3-00-0-00/G/L

���� ($ 210,954.50) 753 Deposit08/16/2012 due from 199 $ 23,777.28220-00-1261.00-000-3-00-0-00/G/L

���� ($ 210,909.47) 756 Deposit08/17/2012 TRAVEL ADVANCES RETURNED $ 45.03255-21-6411.00-107-2-24-P-00/EXP

���� ($ 210,836.98) 757 Deposit08/17/2012 TRAVEL ADVANCE RETURNED $ 72.49255-13-6411.00-041-2-24-Q-00/EXP

($ 211,192.93) 16579 A/P Check08/20/2012 Irlen Institute $ 355.95- Splits -

($ 211,449.80) 16580 A/P Check08/20/2012 Diego Quintana $ 256.87- Splits -

($ 211,724.80) 16581 A/P Check08/22/2012 Dual Language Training Institute $ 275.00263-13-6411.00-109-2-25-B-00/EXP

($ 212,274.80) 16582 A/P Check08/22/2012 Dual Language Training Institute $ 550.00263-13-6411.00-104-2-25-A-00/EXP

($ 212,573.80) 16583 A/P Check08/22/2012 Learning Forward-Texas $ 299.00- Splits -

($ 212,872.80) 16584 A/P Check08/22/2012 Learning Forward-Texas $ 299.00- Splits -

Oct 09, 2012Page 8 of 64

Page 9: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Federal Fund First Financial Bank

Account / Ledger

���� ($ 213,578.63) 16585 A/P Check08/22/2012 McGraw-Hill Companies $ 705.83- Splits -

($ 213,654.14) 16586 A/P Check08/22/2012 Juanita Reyes $ 75.51263-23-6411.00-104-2-25-P-00/EXP

($ 213,796.91) 16588 A/P Check08/22/2012 Walmart Community/GEMB $ 142.77206-11-6399.MV-999-2-24-A-00/EXP

���� ($ 494,260.26) 14285 W/T W/D08/23/2012 Cleburne Independent School District $ 280,463.35- Splits -

���� ($ 494,297.25) 16587 A/P Check08/23/2012 Matthews Office City $ 36.99211-11-6399.00-999-3-24-A-00/EXP

���� ($ 194,297.25) 755 Deposit08/23/2012 due to 199 $ 300,000.00211-00-2171.00-000-3-00-0-00/G/L

���� ($ 194,297.25) 14390 W/T Deposit08/27/2012 Cleburne Independent School District $ 0.00- Splits -

($ 194,915.25) 16590 A/P Check08/27/2012 Resources For Educators $ 618.00- Splits -

($ 195,144.26) 16591 A/P Check08/27/2012 Walmart Community/GEMB $ 229.01206-11-6399.MV-999-2-24-A-00/EXP

���� ($ 185,008.42) 758 Deposit08/27/2012 due from 199 $ 10,135.84263-00-1261.00-000-2-00-0-00/G/L

���� ($ 139,520.95) 759 Deposit08/27/2012 due from 199 $ 45,487.47263-00-1261.00-000-2-00-0-00/G/L

���� ($ 26,878.93) 760 Deposit08/27/2012 due from 199 $ 112,642.02211-00-1261.00-000-2-00-0-00/G/L

($ 31,742.13) 16589 A/P Check08/28/2012 Broadleaf Systems Group, LLC $ 4,863.20- Splits -

($ 31,802.43) 16592 A/P Check08/29/2012 Lori Hodges $ 60.30- Splits -

($ 31,952.43) 16593 A/P Check08/29/2012 CDW Government, Inc. $ 150.00411-11-6399.00-001-2-11-Q-00/EXP

���� ($ 32,200.83) 16594 A/P Check08/29/2012 CISD General Fund $ 248.40- Splits -

($ 38,200.83) 16595 A/P Check08/29/2012 Teaching Strategies Inc, dba Safe and Civil School $ 6,000.00- Splits -

($ 44,200.83) 16596 A/P Check08/29/2012 Teaching Strategies Inc, dba Safe and Civil School $ 6,000.00- Splits -

($ 50,449.98) 16597 A/P Check08/29/2012 Teaching Strategies Inc, dba Safe and Civil School $ 6,249.15- Splits -

���� ($ 50,474.98) 761 Withdrawal08/29/2012 due to 199 $ 25.00224-00-2171.00-000-2-00-0-00/G/L

���� ($ 50,474.98) 763 Withdrawal08/29/2012 - VOID - due from 240 $ 751.58429-00-1262.01-000-2-00-0-00/G/L

���� ($ 51,226.76) 764 Withdrawal08/29/2012 due from 240 $ 751.78211-00-1262.07-000-2-00-0-00/G/L

���� ($ 50,474.98) 765 Deposit08/29/2012 due from 240 $ 751.78211-00-1262.07-000-2-00-0-00/G/L

���� ($ 50,978.36) 766 Withdrawal08/29/2012 due to 199 $ 503.38255-00-2171.00-000-2-00-0-00/G/L

���� ($ 51,379.85) 767 Withdrawal08/29/2012 due to 199 $ 401.49255-00-2171.00-000-3-00-0-00/G/L

���� ($ 49,764.49) 769 Deposit08/29/2012 due from 199 $ 1,615.36220-00-1261.00-000-3-00-0-00/G/L

���� ($ 49,641.94) 770 Deposit08/29/2012 due from 199 $ 122.55225-00-1261.00-000-3-00-0-00/G/L

���� ($ 46,978.84) 771 Deposit08/29/2012 due from 199 $ 2,663.10397-00-1261.00-000-2-00-0-00/G/L

���� ($ 36,900.13) 772 Deposit08/29/2012 due from 199 $ 10,078.71429-00-1261.00-000-2-00-0-00/G/L

���� ($ 36,771.13) Deposit08/31/2012 void check 16459 $ 129.00244-11-6499.BG-001-3-22-Q-00/EXP

($ 63,996.99) 14407 W/T W/D08/31/2012 Cleburne Independent School District $ 27,225.86- Splits -

���� ($ 64,106.49) 16598 A/P Check08/31/2012 CISD Transportation $ 109.50255-13-6411.00-041-2-24-Q-00/EXP

($ 70,969.36) 16599 A/P Check08/31/2012 Melinda Hawkins $ 6,862.87255-13-6299.00-999-2-24-A-00/EXP

($ 77,225.07) 16600 A/P Check08/31/2012 Mentoring Minds $ 6,255.71- Splits -

($ 77,635.07) 16601 A/P Check08/31/2012 Texas Homeless Network $ 410.00206-32-6411.00-999-2-24-A-00/EXP

($ 77,658.15) 16602 A/P Check08/31/2012 Nancy Marshall $ 23.08206-32-6411.00-999-2-24-A-00/EXP

($ 77,686.50) 16605 A/P Check08/31/2012 George Alvarez del Castillo $ 28.35381-11-6411.00-999-2-24-T-00/EXP

($ 77,762.33) 16606 A/P Check08/31/2012 Barbara Yoder $ 75.83381-21-6411.00-999-2-24-T-00/EXP

Oct 09, 2012Page 9 of 64

Page 10: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Federal Fund First Financial Bank

Account / Ledger

���� ($ 77,669.38) 773 Deposit08/31/2012 TRAVEL ADAVNCE RETURNED $ 92.95211-13-6411.00-109-2-24-B-00/EXP

���� ($ 77,568.93) 774 Deposit08/31/2012 TRAVEL ADVANCE RETURNED $ 100.45211-13-6411.00-109-2-24-B-00/EXP

���� ($ 77,502.52) 775 Deposit08/31/2012 TRAVEL ADVANCE RETURNED $ 66.41255-13-6411.00-041-2-24-Q-00/EXP

���� ($ 77,489.18) 776 Deposit08/31/2012 TRAVEL ADVANCE RETURNED $ 13.34255-13-6411.00-104-2-24-P-00/EXP

���� ($ 77,447.57) 777 Deposit08/31/2012 TRAVEL ADVANCE RETURNED $ 41.61255-13-6411.00-111-2-00-P-00/EXP

���� ($ 77,416.86) 778 Deposit08/31/2012 TRAVEL ADVANCE RETURNED $ 30.71255-13-6411.00-111-2-00-P-00/EXP

���� ($ 77,356.94) 779 Deposit08/31/2012 MONEY MARKET INTEREST $ 59.92211-00-2171.00-000-3-00-0-00/G/L

($ 77,436.94) 16603 A/P Check09/05/2012 CISD Transportation $ 80.00- Splits -

($ 77,697.44) 16604 A/P Check09/05/2012 CISD Transportation $ 260.50220-21-6411.00-999-3-24-T-00/EXP

($ 78,302.33) 14414 W/T W/D09/07/2012 Cleburne Independent School District $ 604.89- Splits -

($ 78,567.11) 16607 A/P Check09/11/2012 McGraw-Hill Companies $ 264.78220-11-6399.00-999-3-24-T-00/EXP

$ 314,393.50 780 Deposit09/11/2012 due from 199 $ 392,960.61224-00-1261.00-000-3-00-0-00/G/L

$ 314,293.05 785 Withdrawal09/12/2012 NSF-CH#1197-COOKE ELEM $ 100.45211-13-6411.00-109-2-24-B-00/EXP

$ 313,618.55 16611 A/P Check09/13/2012 Cengage Learning $ 674.50- Splits -

$ 313,464.99 16612 A/P Check09/13/2012 Flocabulary $ 153.56- Splits -

$ 312,687.64 16613 A/P Check09/13/2012 New Readers Press $ 777.35- Splits -

$ 312,537.22 16614 A/P Check09/18/2012 Toshiba Financial Services $ 150.42220-11-6269.EL-999-3-24-T-00/EXP

$ 312,507.47 16615 A/P Check09/18/2012 Cengage Learning $ 29.75220-11-6399.00-999-3-24-T-00/EXP

$ 312,328.67 16616 A/P Check09/18/2012 Directron.com $ 178.80211-11-6399.00-101-3-24-P-00/EXP

$ 312,252.17 16617 A/P Check09/18/2012 ESC, Region 4 $ 76.50211-11-6399.00-999-3-24-A-00/EXP

$ 311,649.47 16618 A/P Check09/18/2012 Irlen Institute $ 602.70- Splits -

$ 311,116.04 16619 A/P Check09/18/2012 Renaissance Learning, Inc. $ 533.43211-11-6398.00-104-3-24-P-00/EXP

$ 310,616.04 16620 A/P Check09/18/2012 Tarleton State University $ 500.00255-13-6411.00-104-3-24-P-00/EXP

$ 310,116.04 16621 A/P Check09/18/2012 Tarleton State University - ESP $ 500.00255-13-6411.00-107-3-24-P-00/EXP

$ 309,616.04 16622 A/P Check09/18/2012 Tarleton State University - ESP $ 500.00- Splits -

$ 306,283.04 16623 A/P Check09/18/2012 Testout! Corporation $ 3,333.00- Splits -

$ 306,123.04 16624 A/P Check09/20/2012 McCallister's Catering of Weatherford $ 160.00220-13-6499.00-999-3-24-T-01/EXP

$ 306,018.04 16625 A/P Check09/20/2012 Music Therapy Services of Texas $ 105.00224-11-6299.00-999-3-23-A-00/EXP

$ 94,409.55 14434 W/T W/D09/24/2012 Cleburne Independent School District $ 211,608.49- Splits -

($ 255,590.45) 781 Withdrawal09/24/2012 Due from General-Payroll Loan $ 350,000.00211-00-1261.00-000-3-00-0-00/G/L

($ 269,978.55) 16626 A/P Check09/25/2012 SuccessEd, LLC $ 14,388.10224-11-6299.00-999-3-23-A-00/EXP

($ 270,458.55) 16627 A/P Check09/25/2012 Science Teachers Association of Texas $ 480.00255-13-6411.00-107-3-24-P-00/EXP

$ 79,541.45 783 Deposit09/25/2012 Due from General $ 350,000.00211-00-1261.00-000-3-00-0-00/G/L

$ 79,071.45 16628 A/P Check09/26/2012 Science Teachers Association of Texas $ 470.00255-13-6411.00-109-3-24-B-00/EXP

$ 79,021.77 16629 A/P Check09/26/2012 Apple, Inc. $ 49.68220-11-6299.00-999-3-24-T-00/EXP

$ 78,745.37 16630 A/P Check09/26/2012 Janelle Baker $ 276.40- Splits -

$ 75,175.37 16631 A/P Check09/26/2012 Suntext International $ 3,570.00211-11-6299.00-104-3-24-P-00/EXP

$ 74,743.37 16632 A/P Check09/27/2012 First United Methodist Church $ 432.00- Splits -

Oct 09, 2012Page 10 of 64

Page 11: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Federal Fund First Financial Bank

Account / Ledger

$ 74,425.37 16633 A/P Check09/27/2012 NCTM Regional Conference Registration $ 318.00255-13-6411.00-104-3-24-P-00/EXP

$ 73,207.37 16634 A/P Check09/27/2012 NCTM Regional Conference Registration $ 1,218.00- Splits -

$ 64,899.87 16635 A/P Check09/28/2012 Mentoring Minds $ 8,307.50- Splits -

$ 64,979.65 786 Deposit09/30/2012 MONEY MARKET INTEREST $ 79.78211-00-2171.00-000-3-00-0-00/G/L

$ 1,280,853.31 $ 1,215,873.66 $ 64,979.65Total for Federal Fund First Financial Bank

Oct 09, 2012Page 11 of 64

Page 12: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

���� ($ 781.71) 11708 A/P Check08/06/2012 MGM Printing Services, Inc. $ 781.71240-35-6399.00-999-2-99-L-00/EXP

���� ($ 751.71) 6329 Deposit08/06/2012 PARENT ONLINE PAYMENTS $ 30.00- Splits -

���� ($ 1,208.71) 11709 A/P Check08/07/2012 Carson Pest Management $ 457.00- Splits -

���� ($ 1,337.36) 11710 A/P Check08/07/2012 CDW Government, Inc. $ 128.65240-35-6398.00-001-2-99-L-00/EXP

���� ($ 1,380.51) 11711 A/P Check08/07/2012 CISD General Fund $ 43.15240-35-6399.00-999-2-99-L-00/EXP

���� ($ 1,710.45) 11712 A/P Check08/13/2012 Hewlett Office Systems, LLC $ 329.94240-35-6249.00-999-2-99-L-00/EXP

���� ($ 1,716.51) 11713 A/P Check08/13/2012 Sharon Perez $ 6.06240-00-5751.02-103-2-00-0-00/REV

���� ($ 5,165.51) 11714 A/P Check08/13/2012 Sand Trap Service Company $ 3,449.00- Splits -

($ 5,173.31) 11715 A/P Check08/13/2012 Lynette Scarbrough $ 7.80240-00-5751.02-001-2-00-0-00/REV

���� ($ 6,175.03) 11716 A/P Check08/13/2012 Staples Advantage $ 1,001.72240-35-6399.00-999-2-99-L-00/EXP

���� ($ 6,325.03) 11717 A/P Check08/14/2012 City Of Cleburne $ 150.00240-35-6249.00-999-2-99-L-00/EXP

���� ($ 6,400.24) 11718 A/P Check08/16/2012 Toshiba Financial Services $ 75.21240-35-6269.00-999-2-99-B-00/EXP

���� ($ 7,600.24) 11719 A/P Check08/20/2012 Kim Chance $ 1,200.00240-00-1105.00-000-2-00-0-00/G/L

���� ($ 8,753.24) 11720 A/P Check08/20/2012 Global Asset $ 1,153.00240-35-6398.00-001-2-99-L-00/EXP

���� ($ 8,515.84) 6330 Deposit08/21/2012 PARENT ONLINE PAYMENTS $ 237.40- Splits -

���� ($ 8,680.55) 11721 A/P Check08/22/2012 Staples Advantage $ 164.71240-35-6399.00-999-2-99-L-00/EXP

���� ($ 100,407.93) 14287 W/T W/D08/23/2012 Cleburne Independent School District $ 91,727.38- Splits -

���� ($ 103,486.04) 11722 A/P Check08/24/2012 American Express $ 3,078.11240-35-6349.00-999-2-99-L-00/EXP

���� ($ 105,046.74) 11723 A/P Check08/24/2012 Kings Delight $ 1,560.70240-35-6341.00-002-2-99-L-00/EXP

���� ($ 104,149.74) 6331 Deposit08/24/2012 108 $ 897.00240-00-5751.02-108-2-00-0-00/REV

���� ($ 101,846.42) 6332 Deposit08/27/2012 001 $ 2,303.32- Splits -

���� ($ 100,940.82) 6333 Deposit08/27/2012 103 $ 905.60- Splits -

���� ($ 99,577.27) 6334 Deposit08/27/2012 107 $ 1,363.55- Splits -

���� ($ 98,455.12) 6335 Deposit08/27/2012 108 $ 1,122.15- Splits -

���� ($ 98,099.62) 6338 Deposit08/27/2012 111 $ 355.50- Splits -

���� ($ 97,804.12) 6343 Deposit08/27/2012 104 $ 295.50- Splits -

���� ($ 95,796.07) 6350 Deposit08/27/2012 041 $ 2,008.05- Splits -

���� ($ 94,761.44) 6355 Deposit08/27/2012 102 $ 1,034.63- Splits -

���� ($ 94,018.44) 6360 Deposit08/27/2012 101 $ 743.00- Splits -

���� ($ 93,530.04) 6364 Deposit08/27/2012 109 $ 488.40- Splits -

���� ($ 93,450.04) 6382 Deposit08/27/2012 PARENT ONLINE PAYMENTS $ 80.00- Splits -

���� ($ 93,279.54) 6414 Deposit08/27/2012 002 $ 170.50- Splits -

���� ($ 92,668.09) 6336 Deposit08/28/2012 107 $ 611.45- Splits -

���� ($ 92,613.13) 6339 Deposit08/28/2012 111 $ 54.96- Splits -

���� ($ 91,240.71) 6340 Deposit08/28/2012 001 $ 1,372.42- Splits -

���� ($ 90,594.71) 6341 Deposit08/28/2012 108 $ 646.00- Splits -

���� ($ 90,291.06) 6344 Deposit08/28/2012 103 $ 303.65- Splits -

���� ($ 90,085.91) 6345 Deposit08/28/2012 104 $ 205.15- Splits -

Oct 09, 2012Page 12 of 64

Page 13: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

���� ($ 89,225.96) 6351 Deposit08/28/2012 041 $ 859.95- Splits -

���� ($ 88,667.21) 6356 Deposit08/28/2012 102 $ 558.75- Splits -

���� ($ 88,415.56) 6361 Deposit08/28/2012 101 $ 251.65- Splits -

���� ($ 88,239.21) 6365 Deposit08/28/2012 109 $ 176.35- Splits -

���� ($ 88,222.21) 6415 Deposit08/28/2012 002 $ 17.00240-00-5751.02-002-2-00-0-00/REV

���� ($ 88,680.51) 11724 A/P Check08/29/2012 Breaker Broker, Inc. $ 458.30240-35-6249.00-001-2-99-L-00/EXP

($ 89,010.51) 11725 A/P Check08/29/2012 NUTRIKIDS-Heartland Payment Systems $ 330.00240-35-6399.00-999-2-99-L-00/EXP

($ 89,401.11) 11726 A/P Check08/29/2012 JBS $ 390.60- Splits -

($ 90,181.11) 11727 A/P Check08/29/2012 West End Grill $ 780.00240-35-6499.00-999-2-99-L-00/EXP

���� ($ 90,932.89) 6337 Withdrawal08/29/2012 due to fed fund $ 751.78240-00-2172.00-000-2-00-0-00/G/L

���� ($ 89,772.94) 6346 Deposit08/29/2012 001 $ 1,159.95- Splits -

���� ($ 89,499.26) 6347 Deposit08/29/2012 103 $ 273.68- Splits -

���� ($ 89,254.31) 6348 Deposit08/29/2012 104 $ 244.95- Splits -

���� ($ 89,027.56) 6349 Deposit08/29/2012 108 $ 226.75- Splits -

���� ($ 88,722.56) 6352 Deposit08/29/2012 041 $ 305.00- Splits -

���� ($ 88,645.00) 6353 Deposit08/29/2012 111 $ 77.56- Splits -

���� ($ 88,328.05) 6357 Deposit08/29/2012 102 $ 316.95- Splits -

���� ($ 87,819.05) 6362 Deposit08/29/2012 101 $ 509.00- Splits -

���� ($ 87,302.40) 6366 Deposit08/29/2012 107 $ 516.65- Splits -

���� ($ 87,223.10) 6367 Deposit08/29/2012 109 $ 79.30- Splits -

���� ($ 87,190.70) 6416 Deposit08/29/2012 002 $ 32.40- Splits -

���� ($ 82,331.18) 6476 Deposit08/29/2012 food svc bad debt $ 4,859.52- Splits -

($ 93,297.78) 11728 A/P Check08/30/2012 Labatt Food Service $ 10,966.60- Splits -

���� ($ 92,867.12) 6342 Deposit08/30/2012 DUE FROM 163 $ 430.66240-00-1262.00-000-2-00-0-00/G/L

���� ($ 92,551.77) 6354 Deposit08/30/2012 041 $ 315.35- Splits -

���� ($ 92,131.70) 6358 Deposit08/30/2012 102 $ 420.07- Splits -

���� ($ 91,334.60) 6359 Deposit08/30/2012 001 $ 797.10- Splits -

���� ($ 91,178.80) 6363 Deposit08/30/2012 101 $ 155.80- Splits -

���� ($ 91,013.35) 6368 Deposit08/30/2012 103 $ 165.45- Splits -

���� ($ 90,891.55) 6369 Deposit08/30/2012 104 $ 121.80- Splits -

���� ($ 90,510.85) 6370 Deposit08/30/2012 107 $ 380.70- Splits -

���� ($ 90,161.35) 6371 Deposit08/30/2012 108 $ 349.50- Splits -

���� ($ 89,984.67) 6372 Deposit08/30/2012 109 $ 176.68- Splits -

���� ($ 89,849.67) 6373 Deposit08/30/2012 111 $ 135.00- Splits -

���� ($ 88,711.17) 6383 Deposit08/30/2012 PARENT ONLINE PAYMENTS $ 1,138.50- Splits -

���� ($ 88,647.92) 6417 Deposit08/30/2012 002 $ 63.25240-00-5751.02-002-2-00-0-00/REV

($ 88,735.74) 11729 A/P Check08/31/2012 Kim Chance $ 87.82240-35-6411.00-999-2-99-L-00/EXP

($ 88,736.64) 11730 A/P Check08/31/2012 CISD General Fund $ 0.90240-35-6399.00-999-2-99-L-00/EXP

Oct 09, 2012Page 13 of 64

Page 14: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 88,744.09) 11731 A/P Check08/31/2012 Kimberly Pierce $ 7.45240-00-5751.31-104-2-00-0-00/REV

($ 89,771.95) 11732 A/P Check08/31/2012 AdvancePierre Foods $ 1,027.86- Splits -

($ 91,300.81) 11733 A/P Check08/31/2012 Blue Bell Creameries,L.P. $ 1,528.86- Splits -

($ 94,245.88) 11734 A/P Check08/31/2012 Flowers Baking Co of Denton, LLC $ 2,945.07- Splits -

($ 124,788.35) 11735 A/P Check08/31/2012 Labatt Food Service $ 30,542.47- Splits -

($ 132,555.29) 11736 A/P Check08/31/2012 Milk Products, LLC (Dallas) $ 7,766.94- Splits -

($ 135,677.53) 11737 A/P Check08/31/2012 R. Craig Stephens $ 3,122.24- Splits -

($ 136,123.18) 11738 A/P Check08/31/2012 Auto-Chlor Services $ 445.65- Splits -

($ 138,123.18) 11739 A/P Check08/31/2012 Coca-Cola Refreshments $ 2,000.00240-35-6341.00-001-2-99-L-00/EXP

($ 147,460.69) 14409 W/T W/D08/31/2012 Cleburne Independent School District $ 9,337.51- Splits -

���� ($ 147,146.34) 6374 Deposit08/31/2012 103 $ 314.35- Splits -

���� ($ 146,828.89) 6375 Deposit08/31/2012 107 $ 317.45- Splits -

���� ($ 146,653.89) 6376 Deposit08/31/2012 108 $ 175.00- Splits -

���� ($ 146,533.38) 6377 Deposit08/31/2012 109 $ 120.51- Splits -

���� ($ 146,221.18) 6378 Deposit08/31/2012 101 $ 312.20- Splits -

���� ($ 146,090.18) 6379 Deposit08/31/2012 111 $ 131.00- Splits -

���� ($ 145,946.53) 6380 Deposit08/31/2012 104 $ 143.65- Splits -

���� ($ 145,111.43) 6381 Deposit08/31/2012 001 $ 835.10- Splits -

���� ($ 144,813.43) 6384 Deposit08/31/2012 041 $ 298.00- Splits -

���� ($ 144,316.53) 6385 Deposit08/31/2012 102 $ 496.90- Splits -

���� ($ 144,174.62) 6404 Deposit08/31/2012 MONEY MARKET INTEREST $ 141.91240-00-5742.00-938-2-00-0-00/REV

���� ($ 144,164.12) 6418 Deposit08/31/2012 002 $ 10.50240-00-5751.02-002-2-00-0-00/REV

($ 142,811.72) 6386 Deposit09/04/2012 001 $ 1,352.40- Splits -

($ 142,293.37) 6387 Deposit09/04/2012 041 $ 518.35- Splits -

($ 142,016.67) 6388 Deposit09/04/2012 101 $ 276.70- Splits -

($ 141,625.32) 6389 Deposit09/04/2012 103 $ 391.35- Splits -

($ 141,494.77) 6390 Deposit09/04/2012 104 $ 130.55- Splits -

($ 140,968.02) 6391 Deposit09/04/2012 107 $ 526.75- Splits -

($ 140,717.27) 6392 Deposit09/04/2012 108 $ 250.75- Splits -

($ 140,423.77) 6397 Deposit09/04/2012 102 $ 293.50- Splits -

($ 140,271.27) 6398 Deposit09/04/2012 111 $ 152.50- Splits -

($ 140,029.02) 6463 Deposit09/04/2012 109 $ 242.25- Splits -

($ 139,433.57) 6393 Deposit09/05/2012 107 $ 595.45- Splits -

($ 139,298.27) 6394 Deposit09/05/2012 108 $ 135.30- Splits -

($ 138,121.97) 6395 Deposit09/05/2012 001 $ 1,176.30- Splits -

($ 137,875.02) 6396 Deposit09/05/2012 103 $ 246.95- Splits -

($ 137,459.27) 6399 Deposit09/05/2012 041 $ 415.75- Splits -

($ 137,204.42) 6400 Deposit09/05/2012 101 $ 254.85- Splits -

Oct 09, 2012Page 14 of 64

Page 15: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 136,901.62) 6401 Deposit09/05/2012 102 $ 302.80- Splits -

($ 136,768.72) 6402 Deposit09/05/2012 104 $ 132.90- Splits -

($ 136,615.97) 6403 Deposit09/05/2012 111 $ 152.75- Splits -

($ 136,417.17) 6464 Deposit09/05/2012 109 $ 198.80- Splits -

($ 135,437.21) 6405 Deposit09/06/2012 001 $ 979.96- Splits -

($ 135,227.96) 6406 Deposit09/06/2012 041 $ 209.25- Splits -

($ 135,094.46) 6407 Deposit09/06/2012 101 $ 133.50- Splits -

($ 134,895.78) 6408 Deposit09/06/2012 102 $ 198.68- Splits -

($ 134,616.63) 6409 Deposit09/06/2012 103 $ 279.15- Splits -

($ 134,515.48) 6410 Deposit09/06/2012 104 $ 101.15- Splits -

($ 133,892.43) 6411 Deposit09/06/2012 107 $ 623.05- Splits -

($ 133,730.18) 6412 Deposit09/06/2012 108 $ 162.25- Splits -

($ 133,469.88) 6420 Deposit09/06/2012 111 $ 260.30- Splits -

($ 133,342.52) 6465 Deposit09/06/2012 109 $ 127.36- Splits -

($ 133,062.48) 6413 Deposit09/07/2012 107 $ 280.04- Splits -

($ 132,973.88) 6419 Deposit09/07/2012 103 $ 88.60- Splits -

($ 132,738.08) 6421 Deposit09/07/2012 041 $ 235.80- Splits -

($ 132,611.83) 6422 Deposit09/07/2012 104 $ 126.25- Splits -

($ 132,300.68) 6423 Deposit09/07/2012 108 $ 311.15- Splits -

($ 132,157.38) 6424 Deposit09/07/2012 111 $ 143.30- Splits -

($ 131,048.58) 6431 Deposit09/07/2012 001 $ 1,108.80- Splits -

($ 130,678.98) 6449 Deposit09/07/2012 101 $ 369.60- Splits -

($ 130,578.28) 6450 Deposit09/07/2012 102 $ 100.70- Splits -

($ 130,440.64) 6466 Deposit09/07/2012 109 $ 137.64- Splits -

($ 130,336.59) 6425 Deposit09/10/2012 104 $ 104.05- Splits -

($ 129,797.59) 6426 Deposit09/10/2012 107 $ 539.00- Splits -

($ 129,668.59) 6427 Deposit09/10/2012 108 $ 129.00- Splits -

($ 129,527.28) 6428 Deposit09/10/2012 111 $ 141.31- Splits -

($ 128,232.33) 6432 Deposit09/10/2012 001 $ 1,294.95- Splits -

($ 128,059.83) 6433 Deposit09/10/2012 103 $ 172.50- Splits -

($ 127,501.58) 6442 Deposit09/10/2012 041 $ 558.25- Splits -

($ 127,321.93) 6451 Deposit09/10/2012 101 $ 179.65- Splits -

($ 126,925.93) 6452 Deposit09/10/2012 102 $ 396.00- Splits -

($ 126,622.05) 6467 Deposit09/10/2012 109 $ 303.88- Splits -

($ 117,872.10) 6490 Deposit09/10/2012 PARENT ONLINE PAYMENTS $ 8,749.95- Splits -

($ 117,851.60) 6536 Deposit09/10/2012 002 $ 20.50- Splits -

($ 117,847.10) 6537 Deposit09/10/2012 002 $ 4.50240-00-5751.02-002-3-00-0-00/REV

($ 117,779.10) 6538 Deposit09/10/2012 002 $ 68.00- Splits -

Oct 09, 2012Page 15 of 64

Page 16: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 117,716.10) 6539 Deposit09/10/2012 002 $ 63.00240-00-5751.02-002-3-00-0-00/REV

($ 120,092.50) 11740 A/P Check09/11/2012 Auto-Chlor Services $ 2,376.40- Splits -

($ 120,122.50) 11741 A/P Check09/11/2012 Cheryl Brand $ 30.00240-00-5751.02-001-3-00-0-00/REV

($ 121,981.45) 11742 A/P Check09/11/2012 Coca-Cola Refreshments $ 1,858.95- Splits -

($ 121,991.45) 11743 A/P Check09/11/2012 Quincy Prine $ 10.00240-00-5751.02-001-3-00-0-00/REV

($ 122,018.32) 11744 A/P Check09/11/2012 Mary Turnbull $ 26.87240-00-5751.02-109-3-00-0-00/REV

($ 121,624.42) 6429 Deposit09/11/2012 107 $ 393.90- Splits -

($ 121,557.67) 6430 Deposit09/11/2012 108 $ 66.75- Splits -

($ 120,240.60) 6434 Deposit09/11/2012 001 $ 1,317.07- Splits -

($ 120,099.05) 6435 Deposit09/11/2012 103 $ 141.55- Splits -

($ 119,977.50) 6437 Deposit09/11/2012 104 $ 121.55- Splits -

($ 119,800.40) 6440 Deposit09/11/2012 111 $ 177.10- Splits -

($ 119,528.20) 6443 Deposit09/11/2012 041 $ 272.20- Splits -

($ 119,371.20) 6453 Deposit09/11/2012 101 $ 157.00- Splits -

($ 119,068.72) 6454 Deposit09/11/2012 102 $ 302.48- Splits -

($ 118,951.72) 6468 Deposit09/11/2012 109 $ 117.00- Splits -

($ 118,823.12) 6436 Deposit09/12/2012 108 $ 128.60- Splits -

($ 118,665.32) 6438 Deposit09/12/2012 104 $ 157.80- Splits -

($ 118,423.15) 6439 Deposit09/12/2012 103 $ 242.17- Splits -

($ 118,219.00) 6441 Deposit09/12/2012 111 $ 204.15- Splits -

($ 117,054.95) 6444 Deposit09/12/2012 001 $ 1,164.05- Splits -

($ 116,620.25) 6445 Deposit09/12/2012 041 $ 434.70- Splits -

($ 116,442.80) 6455 Deposit09/12/2012 101 $ 177.45- Splits -

($ 116,194.08) 6456 Deposit09/12/2012 102 $ 248.72- Splits -

($ 116,048.28) 6469 Deposit09/12/2012 109 $ 145.80- Splits -

($ 115,587.18) 6493 Deposit09/12/2012 107 $ 461.10- Splits -

($ 115,559.48) 6596 Deposit09/12/2012 Bad Debt $ 27.70240-00-2171.00-000-3-00-0-00/G/L

($ 117,636.84) 11746 A/P Check09/13/2012 Coca-Cola Refreshments $ 2,077.36240-35-6341.00-001-3-99-L-00/EXP

($ 137,999.13) 11747 A/P Check09/13/2012 Labatt Food Service $ 20,362.29- Splits -

($ 143,638.62) 11748 A/P Check09/13/2012 Milk Products, LLC (Dallas) $ 5,639.49- Splits -

($ 142,612.07) 6446 Deposit09/13/2012 001 $ 1,026.55- Splits -

($ 142,142.57) 6447 Deposit09/13/2012 041 $ 469.50- Splits -

($ 142,018.64) 6448 Deposit09/13/2012 103 $ 123.93- Splits -

($ 141,881.94) 6457 Deposit09/13/2012 101 $ 136.70- Splits -

($ 141,680.72) 6458 Deposit09/13/2012 102 $ 201.22- Splits -

($ 141,525.97) 6459 Deposit09/13/2012 104 $ 154.75- Splits -

($ 141,355.47) 6460 Deposit09/13/2012 108 $ 170.50- Splits -

($ 141,270.97) 6461 Deposit09/13/2012 111 $ 84.50- Splits -

Oct 09, 2012Page 16 of 64

Page 17: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 141,130.27) 6470 Deposit09/13/2012 109 $ 140.70- Splits -

($ 140,787.07) 6494 Deposit09/13/2012 107 $ 343.20- Splits -

($ 155,606.34) 11749 A/P Check09/14/2012 Ace Mart Restaurant Supply $ 14,819.27240-00-2110.00-000-3-00-0-00/G/L

($ 155,876.59) 11750 A/P Check09/14/2012 Hagar Restaurant Service, Inc. $ 270.25240-00-2110.00-000-3-00-0-00/G/L

($ 161,166.11) 11751 A/P Check09/14/2012 The Library Store $ 5,289.52240-00-2110.00-000-3-00-0-00/G/L

($ 161,005.56) 6462 Deposit09/14/2012 101 $ 160.55- Splits -

($ 160,756.02) 6471 Deposit09/14/2012 109 $ 249.54- Splits -

($ 160,640.92) 6473 Deposit09/14/2012 108 $ 115.10- Splits -

($ 160,540.25) 6474 Deposit09/14/2012 111 $ 100.67- Splits -

($ 159,370.79) 6477 Deposit09/14/2012 001 $ 1,169.46- Splits -

($ 158,888.79) 6478 Deposit09/14/2012 041 $ 482.00- Splits -

($ 158,689.84) 6479 Deposit09/14/2012 103 $ 198.95- Splits -

($ 158,567.84) 6495 Deposit09/14/2012 104 $ 122.00- Splits -

($ 158,230.59) 6510 Deposit09/14/2012 107 $ 337.25- Splits -

($ 158,201.84) 6540 Deposit09/14/2012 002 $ 28.75- Splits -

($ 158,135.69) 6541 Deposit09/14/2012 002 $ 66.15- Splits -

($ 158,133.69) 6542 Deposit09/14/2012 002 $ 2.00240-00-5751.02-002-3-00-0-00/REV

($ 158,106.79) 6543 Deposit09/14/2012 002 $ 26.90- Splits -

($ 158,093.14) 6544 Deposit09/14/2012 002 $ 13.65- Splits -

($ 157,954.39) 6545 Deposit09/14/2012 102 $ 138.75- Splits -

($ 157,851.64) 6475 Deposit09/17/2012 108 $ 102.75- Splits -

($ 156,233.55) 6480 Deposit09/17/2012 001 $ 1,618.09- Splits -

($ 155,555.38) 6481 Deposit09/17/2012 041 $ 678.17- Splits -

($ 155,220.18) 6482 Deposit09/17/2012 103 $ 335.20- Splits -

($ 155,112.03) 6483 Deposit09/17/2012 104 $ 108.15- Splits -

($ 154,450.33) 6484 Deposit09/17/2012 107 $ 661.70- Splits -

($ 151,658.23) 6491 Deposit09/17/2012 PARENT ONLINE PAYMENTS $ 2,792.10- Splits -

($ 151,449.78) 6496 Deposit09/17/2012 111 $ 208.45- Splits -

($ 151,316.18) 6511 Deposit09/17/2012 109 $ 133.60- Splits -

($ 151,121.53) 6546 Deposit09/17/2012 102 $ 194.65- Splits -

($ 150,913.18) 6550 Deposit09/17/2012 101 $ 208.35- Splits -

($ 150,988.39) 11752 A/P Check09/18/2012 Toshiba Financial Services $ 75.21240-35-6269.00-999-3-99-L-00/EXP

($ 152,311.87) 11753 A/P Check09/18/2012 Blue Bell Creameries,L.P. $ 1,323.48- Splits -

($ 152,768.87) 11754 A/P Check09/18/2012 Carson Pest Management $ 457.00- Splits -

($ 155,143.45) 11755 A/P Check09/18/2012 Flowers Baking Co of Denton, LLC $ 2,374.58- Splits -

($ 155,670.45) 11756 A/P Check09/18/2012 JBS $ 527.00- Splits -

($ 157,202.73) 11757 A/P Check09/18/2012 Kings Delight $ 1,532.28- Splits -

($ 158,269.68) 11758 A/P Check09/18/2012 Nardone Bros Baking Co Inc $ 1,066.95240-00-2110.00-000-3-00-0-00/G/L

Oct 09, 2012Page 17 of 64

Page 18: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 513,059.68) 11759 A/P Check09/18/2012 PASCO Brokerage, Inc $ 354,790.00240-00-2110.00-000-3-00-0-00/G/L

($ 516,113.48) 11760 A/P Check09/18/2012 R. Craig Stephens $ 3,053.80- Splits -

($ 514,787.87) 6485 Deposit09/18/2012 001 $ 1,325.61- Splits -

($ 514,113.23) 6486 Deposit09/18/2012 041 $ 674.64- Splits -

($ 513,828.78) 6487 Deposit09/18/2012 103 $ 284.45- Splits -

($ 513,484.78) 6488 Deposit09/18/2012 107 $ 344.00- Splits -

($ 513,261.93) 6489 Deposit09/18/2012 108 $ 222.85- Splits -

($ 513,145.13) 6497 Deposit09/18/2012 104 $ 116.80- Splits -

($ 512,970.73) 6498 Deposit09/18/2012 111 $ 174.40- Splits -

($ 512,880.13) 6512 Deposit09/18/2012 109 $ 90.60- Splits -

($ 512,739.98) 6547 Deposit09/18/2012 102 $ 140.15- Splits -

($ 511,958.88) 6551 Deposit09/18/2012 101 $ 781.10- Splits -

($ 511,778.08) 6553 Deposit09/18/2012 101 $ 180.80- Splits -

($ 510,243.02) 6499 Deposit09/19/2012 001 $ 1,535.06- Splits -

($ 509,738.42) 6500 Deposit09/19/2012 041 $ 504.60- Splits -

($ 509,680.42) 6501 Deposit09/19/2012 103 $ 58.00- Splits -

($ 509,460.92) 6503 Deposit09/19/2012 108 $ 219.50- Splits -

($ 509,308.87) 6504 Deposit09/19/2012 111 $ 152.05- Splits -

($ 509,213.67) 6513 Deposit09/19/2012 104 $ 95.20- Splits -

($ 509,097.29) 6514 Deposit09/19/2012 109 $ 116.38- Splits -

($ 508,830.14) 6548 Deposit09/19/2012 102 $ 267.15- Splits -

($ 508,698.69) 6552 Deposit09/19/2012 101 $ 131.45- Splits -

($ 508,334.74) 6554 Deposit09/19/2012 107 $ 363.95- Splits -

($ 510,135.43) 11761 A/P Check09/20/2012 Johnson Supply $ 1,800.69- Splits -

($ 505,721.43) 6492 Deposit09/20/2012 PARENT ONLINE PAYMENTS $ 4,414.00- Splits -

($ 505,300.58) 6505 Deposit09/20/2012 041 $ 420.85- Splits -

($ 505,143.55) 6506 Deposit09/20/2012 103 $ 157.03- Splits -

($ 505,074.87) 6507 Deposit09/20/2012 104 $ 68.68240-00-5751.31-104-3-00-0-00/REV

($ 504,913.12) 6508 Deposit09/20/2012 108 $ 161.75- Splits -

($ 503,663.14) 6515 Deposit09/20/2012 001 $ 1,249.98- Splits -

($ 503,452.43) 6516 Deposit09/20/2012 109 $ 210.71- Splits -

($ 503,379.53) 6517 Deposit09/20/2012 111 $ 72.90- Splits -

($ 503,213.88) 6549 Deposit09/20/2012 102 $ 165.65- Splits -

($ 503,009.73) 6555 Deposit09/20/2012 107 $ 204.15- Splits -

($ 501,831.72) 6518 Deposit09/21/2012 001 $ 1,178.01- Splits -

($ 501,419.57) 6519 Deposit09/21/2012 041 $ 412.15- Splits -

($ 501,246.08) 6520 Deposit09/21/2012 103 $ 173.49- Splits -

($ 501,170.63) 6521 Deposit09/21/2012 104 $ 75.45240-00-5751.31-104-3-00-0-00/REV

Oct 09, 2012Page 18 of 64

Page 19: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 501,038.53) 6522 Deposit09/21/2012 108 $ 132.10- Splits -

($ 500,848.53) 6523 Deposit09/21/2012 109 $ 190.00- Splits -

($ 500,665.76) 6524 Deposit09/21/2012 111 $ 182.77- Splits -

($ 500,535.76) 6556 Deposit09/21/2012 101 $ 130.00240-00-5751.31-101-3-00-0-00/REV

($ 500,252.21) 6557 Deposit09/21/2012 107 $ 283.55- Splits -

($ 500,240.21) 6566 Deposit09/21/2012 002 $ 12.00- Splits -

($ 500,120.71) 6567 Deposit09/21/2012 002 $ 119.50- Splits -

($ 500,111.61) 6568 Deposit09/21/2012 002 $ 9.10- Splits -

($ 500,110.31) 6569 Deposit09/21/2012 002 $ 1.30240-00-5751.02-002-3-00-0-00/REV

($ 500,097.81) 6570 Deposit09/21/2012 002 $ 12.50- Splits -

($ 499,989.56) 6571 Deposit09/21/2012 102 $ 108.25- Splits -

($ 500,567.64) 11762 A/P Check09/24/2012 Blue Bell Creameries,L.P. $ 578.08- Splits -

($ 501,897.60) 11763 A/P Check09/24/2012 Coca-Cola Refreshments $ 1,329.96- Splits -

($ 502,702.93) 11764 A/P Check09/24/2012 Flowers Baking Co of Denton, LLC $ 805.33- Splits -

($ 503,855.34) 11765 A/P Check09/24/2012 Flowers Baking Co of Denton, LLC $ 1,152.41- Splits -

($ 504,353.53) 11766 A/P Check09/24/2012 Jennie-O Turkey Store Sales, LLC $ 498.19- Splits -

($ 528,414.34) 11767 A/P Check09/24/2012 Labatt Food Service $ 24,060.81- Splits -

($ 535,887.42) 11768 A/P Check09/24/2012 Milk Products, LLC (Dallas) $ 7,473.08- Splits -

($ 538,771.77) 11769 A/P Check09/24/2012 R. Craig Stephens $ 2,884.35- Splits -

($ 637,040.15) 14436 W/T W/D09/24/2012 Cleburne Independent School District $ 98,268.38- Splits -

($ 635,561.67) 6525 Deposit09/24/2012 001 $ 1,478.48- Splits -

($ 634,969.37) 6526 Deposit09/24/2012 041 $ 592.30- Splits -

($ 634,606.32) 6527 Deposit09/24/2012 103 $ 363.05- Splits -

($ 634,402.57) 6528 Deposit09/24/2012 104 $ 203.75- Splits -

($ 633,881.28) 6529 Deposit09/24/2012 107 $ 521.29- Splits -

($ 633,705.04) 6530 Deposit09/24/2012 111 $ 176.24- Splits -

($ 633,387.04) 6558 Deposit09/24/2012 108 $ 318.00- Splits -

($ 633,176.74) 6572 Deposit09/24/2012 101 $ 210.30- Splits -

($ 632,762.64) 6573 Deposit09/24/2012 102 $ 414.10- Splits -

($ 632,483.89) 6574 Deposit09/24/2012 109 $ 278.75- Splits -

($ 632,017.79) 6531 Deposit09/25/2012 107 $ 466.10- Splits -

($ 631,773.33) 6532 Deposit09/25/2012 108 $ 244.46- Splits -

($ 630,258.88) 6559 Deposit09/25/2012 001 $ 1,514.45- Splits -

($ 630,078.77) 6560 Deposit09/25/2012 103 $ 180.11- Splits -

($ 629,952.22) 6561 Deposit09/25/2012 104 $ 126.55- Splits -

($ 629,794.45) 6562 Deposit09/25/2012 111 $ 157.77- Splits -

($ 629,087.68) 6575 Deposit09/25/2012 041 $ 706.77- Splits -

($ 628,838.38) 6576 Deposit09/25/2012 101 $ 249.30- Splits -

Oct 09, 2012Page 19 of 64

Page 20: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 628,643.62) 6577 Deposit09/25/2012 102 $ 194.76- Splits -

($ 628,525.27) 6578 Deposit09/25/2012 109 $ 118.35- Splits -

($ 628,608.49) 11770 A/P Check09/26/2012 American Express $ 83.22240-00-2110.00-000-3-00-0-00/G/L

($ 528,608.49) 6533 Deposit09/26/2012 TRANSFRD FROM INVESTMENTS $ 100,000.00240-00-1101.00-000-3-00-0-00/G/L

($ 528,583.49) 6535 Deposit09/26/2012 Bank Correction-Dep $1195.66 $ 25.00240-00-5751.02-001-3-00-0-00/REV

($ 528,399.40) 6563 Deposit09/26/2012 108 $ 184.09- Splits -

($ 527,203.74) 6579 Deposit09/26/2012 001 $ 1,195.66- Splits -

($ 526,720.14) 6580 Deposit09/26/2012 041 $ 483.60- Splits -

($ 526,527.24) 6581 Deposit09/26/2012 101 $ 192.90- Splits -

($ 526,296.39) 6582 Deposit09/26/2012 102 $ 230.85- Splits -

($ 526,143.44) 6583 Deposit09/26/2012 103 $ 152.95- Splits -

($ 525,965.84) 6584 Deposit09/26/2012 104 $ 177.60- Splits -

($ 525,569.69) 6585 Deposit09/26/2012 107 $ 396.15- Splits -

($ 525,382.44) 6586 Deposit09/26/2012 109 $ 187.25- Splits -

($ 525,228.88) 6587 Deposit09/26/2012 111 $ 153.56- Splits -

($ 519,827.00) 6534 Deposit09/27/2012 PARENT ON-LINE PAYMENTS $ 5,401.88- Splits -

($ 519,818.00) 6564 Deposit09/27/2012 Bank Correction-CHS over in cash $ 9.00240-00-5751.02-001-3-00-0-00/REV

($ 518,536.85) 6588 Deposit09/27/2012 001 $ 1,281.15- Splits -

($ 518,249.55) 6589 Deposit09/27/2012 041 $ 287.30- Splits -

($ 518,000.95) 6590 Deposit09/27/2012 101 $ 248.60- Splits -

($ 517,848.12) 6591 Deposit09/27/2012 102 $ 152.83- Splits -

($ 517,753.12) 6592 Deposit09/27/2012 103 $ 95.00- Splits -

($ 517,652.82) 6593 Deposit09/27/2012 104 $ 100.30- Splits -

($ 517,315.12) 6594 Deposit09/27/2012 107 $ 337.70- Splits -

($ 517,113.47) 6595 Deposit09/27/2012 108 $ 201.65- Splits -

($ 516,966.20) 6597 Deposit09/27/2012 109 $ 147.27- Splits -

($ 516,866.07) 6598 Deposit09/27/2012 111 $ 100.13- Splits -

($ 517,623.15) 11771 A/P Check09/28/2012 Blue Bell Creameries,L.P. $ 757.08- Splits -

($ 518,330.37) 11772 A/P Check09/28/2012 Coca-Cola Refreshments $ 707.22240-35-6341.00-107-3-99-L-00/EXP

($ 519,649.29) 11773 A/P Check09/28/2012 Flowers Baking Co of Denton, LLC $ 1,318.92- Splits -

($ 527,631.40) 11774 A/P Check09/28/2012 Milk Products, LLC (Dallas) $ 7,982.11- Splits -

($ 530,459.12) 11775 A/P Check09/28/2012 R. Craig Stephens $ 2,827.72- Splits -

($ 529,388.99) 6599 Deposit09/28/2012 001 $ 1,070.13- Splits -

($ 529,027.19) 6600 Deposit09/28/2012 041 $ 361.80- Splits -

($ 528,718.44) 6601 Deposit09/28/2012 101 $ 308.75- Splits -

($ 528,510.09) 6602 Deposit09/28/2012 102 $ 208.35- Splits -

($ 528,314.85) 6603 Deposit09/28/2012 103 $ 195.24- Splits -

($ 528,211.85) 6604 Deposit09/28/2012 104 $ 103.00- Splits -

Oct 09, 2012Page 20 of 64

Page 21: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Food Service First Financial Bank

Account / Ledger

($ 527,894.35) 6605 Deposit09/28/2012 107 $ 317.50- Splits -

($ 527,659.35) 6606 Deposit09/28/2012 108 $ 235.00- Splits -

($ 527,220.68) 6608 Deposit09/28/2012 109 $ 438.67240-00-5751.02-109-3-00-0-00/REV

($ 527,063.63) 6609 Deposit09/28/2012 111 $ 157.05- Splits -

($ 526,976.97) 6565 Deposit09/30/2012 MONEY MARKET INTEREST $ 86.66240-00-5742.00-938-3-00-0-00/REV

$ 221,315.47 $ 748,292.44 ($ 526,976.97)Total for Food Service First Financial Bank

Oct 09, 2012Page 21 of 64

Page 22: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 6,987.09 10325 Deposit08/01/2012 due to 244 $ 6,987.09199-00-2172.02-000-2-00-0-00/G/L

���� $ 30,746.93 10326 Deposit08/01/2012 due to 220 EL $ 23,759.84- Splits -

���� $ 58,054.72 10327 Deposit08/01/2012 due to 220 $ 27,307.79- Splits -

���� $ 57,994.79 78646 A/P Check08/01/2012 ATMOS Energy $ 59.93199-51-6257.MO-999-2-99-A-00/EXP

���� $ 57,110.42 78647 A/P Check08/01/2012 City Of Cleburne $ 884.37- Splits -

���� $ 29,506.10 78648 A/P Check08/01/2012 City Of Cleburne $ 27,604.32199-51-6256.MO-999-2-99-A-00/EXP

���� ($ 42,184.37) 78649 A/P Check08/01/2012 TXU Energy $ 71,690.47199-51-6258.MO-999-2-99-A-00/EXP

���� ($ 42,168.59) 10296 Deposit08/02/2012 SF PAPER RECYCLING $ 15.78461-00-5755.00-111-2-00-0-00/REV

���� ($ 42,233.54) 10287 Withdrawal08/03/2012 CARE $ 64.95199-11-6499.CA-999-2-99-A-00/EXP

���� ($ 42,188.54) 10290 Deposit08/03/2012 REFUND $ 45.00199-34-6311.TR-999-2-99-A-00/EXP

���� ($ 41,419.64) 10291 Deposit08/03/2012 GAS WELL $ 768.90199-00-5748.00-000-2-00-0-00/REV

���� ($ 34,040.14) 10292 Deposit08/03/2012 RIDGEWAY RENTAL $ 7,379.50199-00-5743.01-000-2-00-0-00/REV

���� ($ 33,740.54) 10293 Deposit08/03/2012 FACILITY RENTAL $ 299.60199-00-5743.00-000-2-00-0-00/REV

���� ($ 33,718.42) 10294 Deposit08/03/2012 RESTITUTION $ 22.12199-00-5749.00-000-2-00-0-00/REV

���� ($ 31,845.92) 10295 Deposit08/03/2012 TRANSP FEES $ 1,872.50199-00-5739.04-000-2-00-0-00/REV

���� ($ 29,112.32) 10297 Deposit08/03/2012 DONATION CABC $ 2,733.60461-00-5755.10-001-2-00-0-00/REV

���� ($ 27,537.27) 10298 Deposit08/03/2012 DONATION - CABC $ 1,575.05461-00-5755.99-001-2-00-0-00/REV

���� ($ 27,493.54) 10299 Deposit08/03/2012 GAS WELL $ 43.73827-00-5744.00-000-2-00-0-00/REV

���� ($ 26,385.09) 10308 Deposit08/03/2012 DUE TO 824 $ 1,108.45199-00-2177.02-000-2-00-0-00/G/L

���� ($ 26,385.09) 10489 Withdrawal08/03/2012 - VOID - DRIVERS ED & CARE $ 64.95- Splits -

���� $ 175,819.80 10286 Deposit08/06/2012 July Taxes $ 202,204.89199-00-1211.00-000-2-00-0-00/G/L

���� $ 175,522.80 78651 A/P Check08/06/2012 Blake Glenn $ 297.00199-51-6411.MO-999-2-99-A-09/EXP

���� $ 175,490.84 78652 A/P Check08/06/2012 Barry Hipp $ 31.96- Splits -

���� $ 175,450.84 78654 A/P Check08/06/2012 Heath Meland $ 40.00- Splits -

���� $ 175,391.40 78655 A/P Check08/06/2012 Heath Meland $ 59.44- Splits -

���� $ 175,351.61 78656 A/P Check08/06/2012 Tim Miller $ 39.79- Splits -

���� $ 175,170.62 78657 A/P Check08/06/2012 Tim Miller $ 180.99199-41-6411.GA-701-2-99-A-00/EXP

���� $ 175,125.62 78658 A/P Check08/06/2012 Matt Moring $ 45.00199-53-6411.00-999-2-99-A-96/EXP

���� $ 175,093.43 78659 A/P Check08/06/2012 Britt Osbourn $ 32.19- Splits -

���� $ 175,053.43 78660 A/P Check08/06/2012 Britt Osbourn $ 40.00- Splits -

���� $ 175,005.86 78661 A/P Check08/06/2012 Uriel Rogers $ 47.57- Splits -

$ 174,960.86 78662 A/P Check08/06/2012 Jerry Smith $ 45.00199-53-6411.00-999-2-99-A-96/EXP

���� $ 174,923.98 78663 A/P Check08/06/2012 Randy Stone $ 36.88199-41-6411.TB-750-2-99-A-00/EXP

���� $ 174,923.98 78650 A/P Check08/07/2012 - VOID - City Of Cleburne $ 756.63

���� $ 174,148.98 78653 A/P Check08/07/2012 Justin Marchel $ 775.00199-11-6299.CE-999-2-99-A-00/EXP

���� $ 174,188.98 10303 Deposit08/08/2012 Lares $ 40.00199-00-5739.04-000-2-00-0-00/REV

���� $ 174,440.24 10332 Deposit08/08/2012 COCA COLA $ 251.26461-00-5755.00-104-2-00-0-00/REV

���� $ 174,398.84 78664 A/P Check08/08/2012 Apple, Inc. $ 41.40- Splits -

Oct 09, 2012Page 22 of 64

Page 23: Register Report · FBK003 Aug 01, 2012 thru Sep 30, 2012 Register Report First Financial Bank Date Item Type Doc. Number Description/Name Debit Amount Credit Amount Balance

FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 173,920.04 78665 A/P Check08/08/2012 Apple, Inc. $ 478.80199-11-6398.MC-001-2-22-Q-00/EXP

���� $ 173,855.24 78666 A/P Check08/08/2012 Bennett Printing & Office Supply $ 64.80- Splits -

���� $ 173,642.78 78667 A/P Check08/08/2012 Bose Corporation $ 212.46461-11-6398.CL-102-2-11-P-00/EXP

���� $ 173,059.78 78668 A/P Check08/08/2012 Tammy Bright $ 583.00- Splits -

���� $ 172,559.78 78669 A/P Check08/08/2012 Brent Burton $ 500.00191-36-6412.41-001-2-91-Q-00/EXP

���� $ 172,049.78 78670 A/P Check08/08/2012 Careys Sporting Goods $ 510.00191-36-6399.47-041-2-91-Q-00/EXP

���� $ 171,744.19 78671 A/P Check08/08/2012 CISD Administration $ 305.59- Splits -

���� $ 170,508.19 78672 A/P Check08/08/2012 CISD Administration $ 1,236.00199-41-6142.GA-701-2-99-A-00/EXP

���� $ 168,773.19 78673 A/P Check08/08/2012 CISD Administration $ 1,735.00- Splits -

���� $ 168,749.79 78674 A/P Check08/08/2012 CISD General Fund $ 23.40- Splits -

���� $ 168,269.69 78675 A/P Check08/08/2012 CISD Transportation $ 480.10- Splits -

���� $ 131,198.34 78676 A/P Check08/08/2012 City Of Cleburne $ 37,071.35199-51-6256.MO-999-2-99-A-00/EXP

���� $ 127,498.34 78677 A/P Check08/08/2012 Cleburne Glass Co. Inc $ 3,700.00191-36-6398.WR-001-2-91-Q-00/EXP

���� $ 117,422.34 78678 A/P Check08/08/2012 Custom Floors, Inc. $ 10,076.00199-51-6249.MA-999-2-99-A-07/EXP

���� $ 107,517.64 78679 A/P Check08/08/2012 Dons Lawn Service $ 9,904.70461-11-6398.NG-102-2-11-P-00/EXP

���� $ 107,477.64 78680 A/P Check08/08/2012 Blake Glenn $ 40.00199-51-6411.MO-999-2-99-A-09/EXP

���� $ 107,359.82 78681 A/P Check08/08/2012 Humana Dental $ 117.82- Splits -

���� $ 107,084.82 78682 A/P Check08/08/2012 Mallory Screenprint & Embroidery $ 275.00199-11-6499.IM-107-2-11-P-00/EXP

���� $ 106,995.83 78683 A/P Check08/08/2012 Kathryn Miller $ 88.99461-11-6399.IR-104-2-11-P-00/EXP

���� $ 106,960.99 78684 A/P Check08/08/2012 Ozarka $ 34.84191-36-6499.61-001-2-91-Q-00/EXP

���� $ 106,510.99 78685 A/P Check08/08/2012 Patricias Spiritwear, LLC $ 450.00461-52-6399.CL-102-2-99-P-00/EXP

���� $ 106,241.19 78686 A/P Check08/08/2012 Sams Club Direct $ 269.80199-11-6399.CK-109-2-11-B-00/EXP

���� $ 106,176.22 78687 A/P Check08/08/2012 Schlotzskys $ 64.97199-41-6499.GA-702-2-99-A-00/EXP

���� $ 99,017.91 78688 A/P Check08/08/2012 School Specialty Inc. $ 7,158.31- Splits -

���� $ 67,363.12 78689 A/P Check08/08/2012 School Specialty Inc. $ 31,654.79199-11-6398.MC-002-2-22-Q-00/EXP

���� $ 67,122.70 78690 A/P Check08/08/2012 Staples Advantage $ 240.42- Splits -

���� $ 67,058.20 78691 A/P Check08/08/2012 Texas Royal Pizza $ 64.50199-41-6499.GA-702-2-99-A-00/EXP

���� $ 57,116.07 78692 A/P Check08/08/2012 Texas Workforce Commission $ 9,942.13- Splits -

���� $ 56,551.66 78693 A/P Check08/08/2012 TIPS/MOS $ 564.41191-36-6399.61-001-2-91-Q-00/EXP

���� $ 55,842.47 78694 A/P Check08/08/2012 TIPS/MOS $ 709.19- Splits -

���� $ 45,867.47 78695 A/P Check08/08/2012 Wes Grable Co. $ 9,975.00199-51-6249.MA-999-2-99-A-07/EXP

���� $ 42,228.52 78696 A/P Check08/08/2012 Above the Field Sport Cams $ 3,638.95461-36-6398.WW-929-2-99-Q-00/EXP

���� $ 41,813.55 78697 A/P Check08/08/2012 Shylo Adams $ 414.97199-13-6411.AG-001-2-22-Q-00/EXP

���� $ 26,028.55 78698 A/P Check08/08/2012 American Filing Solutions $ 15,785.00199-11-6639.SB-999-2-23-A-00/EXP

���� $ 25,953.55 78699 A/P Check08/08/2012 Awards International $ 75.00461-11-6499.MT-103-2-11-P-00/EXP

���� $ 22,355.55 78700 A/P Check08/08/2012 Careys Sporting Goods $ 3,598.00191-36-6399.45-107-2-91-Q-00/EXP

���� $ 18,651.40 78701 A/P Check08/08/2012 Careys Sporting Goods $ 3,704.15191-36-6399.43-107-2-91-Q-00/EXP

���� $ 12,117.40 78702 A/P Check08/08/2012 Careys Sporting Goods $ 6,534.00191-36-6399.43-041-2-91-Q-00/EXP

Oct 09, 2012Page 23 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 3,626.40 78703 A/P Check08/08/2012 Careys Sporting Goods $ 8,491.00191-36-6399.43-107-2-91-Q-00/EXP

���� ($ 17,795.60) 78704 A/P Check08/08/2012 Careys Sporting Goods $ 21,422.00- Splits -

���� ($ 109,044.47) 78705 A/P Check08/08/2012 Cavallo Energy Texas LLC $ 91,248.87199-51-6258.MO-999-2-99-A-00/EXP

���� ($ 109,061.47) 78706 A/P Check08/08/2012 CISD General Fund $ 17.00199-23-6399.JH-041-2-99-Q-00/EXP

���� ($ 109,101.47) 78707 A/P Check08/08/2012 Paul Coble $ 40.00199-51-6411.MA-999-2-99-A-00/EXP

���� ($ 110,346.67) 78708 A/P Check08/08/2012 Complete Supply $ 1,245.20- Splits -

���� ($ 111,279.79) 78709 A/P Check08/08/2012 Dealers Electrical Supply Co. $ 933.12- Splits -

���� ($ 173,568.79) 78710 A/P Check08/08/2012 Flatt Stationers $ 62,289.00199-00-1310.00-000-2-00-0-00/G/L

���� ($ 187,228.79) 78711 A/P Check08/08/2012 Global Asset $ 13,660.00- Splits -

($ 187,268.79) 78712 A/P Check08/08/2012 Jason Jones $ 40.00199-13-6411.HB-001-2-11-Q-00/EXP

���� ($ 187,706.70) 78713 A/P Check08/08/2012 Rickie Leck $ 437.91199-13-6411.AG-001-2-22-Q-00/EXP

���� ($ 187,882.20) 78714 A/P Check08/08/2012 Lone Star Newsgroup $ 175.50199-41-6499.GA-750-2-99-A-00/EXP

���� ($ 188,422.57) 78715 A/P Check08/08/2012 Matthews Office City $ 540.37199-13-6399.CP-999-2-99-A-00/EXP

���� ($ 193,422.57) 78716 A/P Check08/08/2012 Purchase Power $ 5,000.00199-41-6399.GA-750-2-99-A-00/EXP

���� ($ 193,698.41) 78717 A/P Check08/08/2012 Marcia Sloan $ 275.84199-13-6411.HO-001-2-22-Q-00/EXP

���� ($ 193,898.41) 78718 A/P Check08/08/2012 Texas Education Agency $ 200.00199-11-6499.CE-999-2-99-A-00/EXP

���� ($ 274,657.66) 78719 A/P Check08/08/2012 TXU Energy $ 80,759.25199-51-6258.MO-999-2-99-A-00/EXP

���� ($ 278,450.99) 78720 A/P Check08/08/2012 United Cooperative Services $ 3,793.33199-51-6258.MO-999-2-99-A-00/EXP

���� ($ 291,408.99) 78721 A/P Check08/08/2012 United Rehab Specialist $ 12,958.00199-11-6639.S0-001-2-23-Q-00/EXP

���� ($ 311,023.99) 78722 A/P Check08/08/2012 United Rehab Specialist $ 19,615.00199-11-6639.S3-103-2-23-P-00/EXP

���� ($ 332,897.99) 78723 A/P Check08/08/2012 United Rehab Specialist $ 21,874.00199-11-6639.S4-104-2-23-P-00/EXP

���� ($ 332,929.71) 78724 A/P Check08/08/2012 David Walker $ 31.72199-34-6411.TR-999-2-99-A-00/EXP

���� ($ 332,969.71) 78725 A/P Check08/08/2012 David Walker $ 40.00199-34-6411.TR-999-2-99-A-00/EXP

($ 333,009.71) 78726 A/P Check08/08/2012 James Walters $ 40.00199-51-6411.MA-999-2-99-A-00/EXP

���� ($ 333,882.10) 78727 A/P Check08/08/2012 William V MacGill & Co. $ 872.39- Splits -

���� ($ 334,834.10) 78728 A/P Check08/08/2012 Jim Wood $ 952.00- Splits -

���� ($ 336,457.34) 78729 A/P Check08/08/2012 Xerox Corp. $ 1,623.24- Splits -

���� ($ 186,457.34) 10301 Deposit08/09/2012 due from 211 $ 150,000.00199-00-1262.03-000-2-00-0-00/G/L

���� ($ 186,426.74) 10302 Deposit08/09/2012 COCA COLA $ 30.60461-00-5755.60-001-2-00-0-00/REV

���� ($ 186,411.14) 10304 Deposit08/09/2012 COCA COLA $ 15.60461-00-5755.00-107-2-00-0-00/REV

���� ($ 186,374.88) 10305 Deposit08/09/2012 COCA COLA $ 36.26461-00-5755.00-108-2-00-0-00/REV

���� ($ 186,349.82) 10306 Deposit08/09/2012 COCA COLA $ 25.06461-00-5755.00-806-2-00-0-00/REV

���� ($ 186,307.97) 10307 Deposit08/09/2012 COCA COLA $ 41.85461-00-5755.00-102-2-00-0-00/REV

���� ($ 186,292.97) 10312 Deposit08/09/2012 SMS BAND FEES $ 15.00461-00-5755.18-041-2-00-0-00/REV

���� ($ 186,287.97) 10314 Deposit08/09/2012 FACILITY RENTAL $ 5.00199-00-5743.00-000-2-00-0-00/REV

���� ($ 185,627.26) 10315 Deposit08/09/2012 COBRA $ 660.71199-41-6142.GA-750-2-99-A-00/EXP

���� ($ 185,147.16) 10316 Deposit08/09/2012 TRANSP. FEES $ 480.10199-00-5739.04-000-2-00-0-00/REV

���� ($ 185,063.61) 10317 Deposit08/09/2012 POSTAGE REIMBURSE $ 83.55199-41-6399.GA-750-2-99-A-00/EXP

Oct 09, 2012Page 24 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� ($ 181,723.61) 10318 Deposit08/09/2012 DRIVERS EDUCATION $ 3,340.00199-00-5755.CE-000-2-00-0-00/REV

���� ($ 181,673.61) 10319 Deposit08/09/2012 DONATION - SCHOOL SUPPLIES $ 50.00461-00-5755.60-001-2-00-0-00/REV

���� ($ 181,671.69) 10320 Deposit08/09/2012 REFUND LOWES $ 1.92461-11-6399.AD-101-2-11-P-00/EXP

���� ($ 181,660.60) 10321 Deposit08/09/2012 DONATION - ALBERTSONS $ 11.09461-00-5755.00-103-2-00-0-00/REV

���� ($ 181,593.57) 10322 Deposit08/09/2012 MASCOT ROYALTY $ 67.03461-00-5755.60-001-2-00-0-00/REV

���� ($ 181,532.97) 10323 Deposit08/09/2012 MASCOT ROYALTY $ 60.60461-00-5755.60-001-2-00-0-00/REV

���� ($ 181,252.40) 10324 Deposit08/09/2012 COOKE $ 280.57461-00-5755.00-109-2-00-0-00/REV

���� ($ 189,371.57) 14265 W/T W/D08/09/2012 Cleburne Independent School District $ 8,119.17- Splits -

���� ($ 189,851.57) 78730 A/P Check08/09/2012 Jim Wood $ 480.00461-36-6412.99-001-2-99-Q-00/EXP

���� $ 65,811.77 10309 Deposit08/10/2012 DUE FROM 824 $ 255,663.34199-00-1267.46-000-2-00-0-00/G/L

���� $ 189,873.61 10310 Deposit08/10/2012 DUE FROM 825 $ 124,061.84199-00-1267.48-000-2-00-0-00/G/L

���� $ 249,141.63 10311 Deposit08/10/2012 DUE FROM 826 $ 59,268.02199-00-1267.51-000-2-00-0-00/G/L

���� $ 249,171.63 10313 Deposit08/10/2012 SMS ACTIVITY YEARBOOK $ 30.00461-00-5755.11-041-2-00-0-00/REV

���� $ 249,171.63 78731 A/P Check08/10/2012 - VOID - Agency 405 $ 73.00

���� $ 248,915.23 78732 A/P Check08/10/2012 Bennett Printing & Office Supply $ 256.40- Splits -

���� $ 248,589.23 78733 A/P Check08/10/2012 Bennett Printing & Office Supply $ 326.00- Splits -

���� $ 247,575.23 78734 A/P Check08/10/2012 Bennett Printing & Office Supply $ 1,014.00- Splits -

���� $ 247,526.22 78735 A/P Check08/10/2012 Bobs Auto Supply $ 49.01- Splits -

���� $ 247,519.68 78736 A/P Check08/10/2012 Tammy Bright $ 6.54199-13-6411.CP-999-2-11-A-00/EXP

���� $ 245,233.14 78737 A/P Check08/10/2012 Bucks Wheel & Equipment $ 2,286.54- Splits -

���� $ 245,115.87 78738 A/P Check08/10/2012 Carrier Enterprise, LLC $ 117.27199-51-6319.MA-999-2-99-A-00/EXP

���� $ 245,015.88 78739 A/P Check08/10/2012 CISD General Fund $ 99.99199-11-6399.HS-001-2-11-Q-00/EXP

���� $ 244,992.59 78740 A/P Check08/10/2012 Cleburne Glass Co. Inc $ 23.29199-51-6319.MA-999-2-99-A-05/EXP

���� $ 244,918.59 78741 A/P Check08/10/2012 Compliance Consortium Corporation $ 74.00- Splits -

���� $ 244,168.59 78742 A/P Check08/10/2012 Family Medicine Associates $ 750.00199-34-6219.TR-999-2-99-A-00/EXP

���� $ 242,518.59 78743 A/P Check08/10/2012 Family Medicine Associates $ 1,650.00199-34-6219.TR-999-2-99-A-00/EXP

���� $ 242,506.27 78744 A/P Check08/10/2012 Kathy Ferrell $ 12.32199-13-6411.CP-999-2-11-A-00/EXP

$ 242,456.57 78745 A/P Check08/10/2012 Sarajane Hodges $ 49.70199-13-6411.AD-101-2-11-P-00/EXP

���� $ 242,428.51 78746 A/P Check08/10/2012 Hundley Hydraulic $ 28.06199-51-6319.MA-999-2-99-A-01/EXP

���� $ 242,423.35 78747 A/P Check08/10/2012 Chris Jackson $ 5.16199-13-6411.CP-999-2-11-A-00/EXP

���� $ 240,873.35 78748 A/P Check08/10/2012 Layland Plumbing Inc. $ 1,550.00199-51-6319.MA-999-2-99-A-00/EXP

���� $ 240,528.95 78749 A/P Check08/10/2012 Lone Star Newsgroup $ 344.40- Splits -

���� $ 239,478.48 78750 A/P Check08/10/2012 Matthews Office City $ 1,050.47199-13-6399.CP-999-2-99-A-00/EXP

���� $ 239,455.20 78751 A/P Check08/10/2012 Cheri McCullough $ 23.28199-13-6411.CP-999-2-11-A-00/EXP

���� $ 238,817.70 78752 A/P Check08/10/2012 Muse Diesel Service/ $ 637.50199-34-6299.TR-999-2-99-A-00/EXP

���� $ 238,171.29 78753 A/P Check08/10/2012 Moore Supply Co. $ 646.41- Splits -

���� $ 237,544.19 78754 A/P Check08/10/2012 MultiTable.com $ 627.10199-34-6398.TR-999-2-99-A-00/EXP

���� $ 237,255.64 78755 A/P Check08/10/2012 Office Depot $ 288.55199-34-6399.TR-999-2-99-A-00/EXP

Oct 09, 2012Page 25 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 234,939.49 78756 A/P Check08/10/2012 O'Reilly Auto $ 2,316.15- Splits -

���� $ 226,939.49 78757 A/P Check08/10/2012 Ratliff Steel Company $ 8,000.00461-36-6639.39-001-2-99-Q-00/EXP

���� $ 226,758.49 78758 A/P Check08/10/2012 Rogers Lube Service $ 181.00- Splits -

���� $ 226,507.90 78759 A/P Check08/10/2012 Rowlett Hardware $ 250.59- Splits -

���� $ 226,202.01 78760 A/P Check08/10/2012 Safety-Kleen Corp. $ 305.89199-34-6249.TR-999-2-99-A-01/EXP

���� $ 225,785.15 78761 A/P Check08/10/2012 Sherwin Williams Co. $ 416.86- Splits -

���� $ 225,585.15 78762 A/P Check08/10/2012 Signs Of Success $ 200.00199-51-6319.MA-999-2-99-A-00/EXP

���� $ 224,940.15 78763 A/P Check08/10/2012 Signs Of Success $ 645.00199-51-6319.MA-999-2-99-A-00/EXP

���� $ 224,592.79 78764 A/P Check08/10/2012 Southern Tire Mart $ 347.36199-34-6318.TR-999-2-99-A-00/EXP

���� $ 224,186.57 78765 A/P Check08/10/2012 Southwest International Truck $ 406.22- Splits -

���� $ 222,108.64 78766 A/P Check08/10/2012 Southwest International Truck $ 2,077.93199-34-6318.TR-999-2-99-A-00/EXP

���� $ 221,676.04 78767 A/P Check08/10/2012 Spyglass Sale, Inc. $ 432.60199-34-6398.TR-999-2-99-A-00/EXP

���� $ 221,600.58 78768 A/P Check08/10/2012 Staples Advantage $ 75.46199-34-6399.TR-999-2-99-A-00/EXP

���� $ 221,540.66 78769 A/P Check08/10/2012 TASB $ 59.92- Splits -

���� $ 221,439.48 78770 A/P Check08/10/2012 Terrys Tires & Wheels Inc. $ 101.18199-51-6249.MA-999-2-99-A-00/EXP

���� $ 220,919.47 78771 A/P Check08/10/2012 Tire Team $ 520.01- Splits -

$ 220,611.12 78772 A/P Check08/10/2012 Walmart Community/GEMB $ 308.35- Splits -

���� $ 220,390.23 78773 A/P Check08/10/2012 Watson And Son, Inc. $ 220.89- Splits -

���� $ 220,360.80 78774 A/P Check08/10/2012 Xerox Corp. $ 29.43199-11-6269.VO-001-2-22-Q-00/EXP

���� $ 220,177.05 78775 A/P Check08/10/2012 Subway $ 183.75199-13-6499.CP-999-2-99-A-00/EXP

���� $ 220,087.05 78776 A/P Check08/10/2012 Jim Wood $ 90.00461-36-6412.99-001-2-99-Q-00/EXP

���� $ 219,997.05 78777 A/P Check08/10/2012 Jim Wood $ 90.00461-36-6412.99-001-2-99-Q-00/EXP

���� $ 219,521.05 78778 A/P Check08/10/2012 Jim Wood $ 476.00461-36-6412.99-001-2-99-Q-00/EXP

���� $ 219,521.05 78779 A/P Check08/10/2012 - VOID - Jim Wood $ 476.00

���� $ 219,041.05 78780 A/P Check08/10/2012 Jim Wood $ 480.00461-36-6412.99-001-2-99-Q-00/EXP

���� $ 218,923.85 78781 A/P Check08/10/2012 McCoy's Building Supply Center $ 117.20- Splits -

���� $ 218,327.77 78782 A/P Check08/10/2012 Anixter Inc. $ 596.08- Splits -

���� $ 217,679.57 78783 A/P Check08/10/2012 Carson Pest Management $ 648.20199-51-6249.MA-999-2-99-A-06/EXP

���� $ 215,341.33 78784 A/P Check08/10/2012 CDW Government, Inc. $ 2,338.24- Splits -

���� $ 204,833.33 78785 A/P Check08/10/2012 Global Asset $ 10,508.00- Splits -

���� ($ 16,723.67) 78786 A/P Check08/10/2012 Higginbotham Insurance Agency $ 221,557.00- Splits -

���� ($ 21,123.67) 78787 A/P Check08/10/2012 INX, LLC, a Presidio Company $ 4,400.00- Splits -

���� ($ 21,527.80) 78788 A/P Check08/10/2012 J.W. Pepper & Son, Inc. $ 404.13199-11-6399.CK-109-2-11-B-00/EXP

���� ($ 21,852.80) 78789 A/P Check08/10/2012 Layland Plumbing Inc. $ 325.00- Splits -

���� ($ 22,058.55) 78790 A/P Check08/10/2012 Lone Star Newsgroup $ 205.75- Splits -

���� ($ 22,195.55) 78791 A/P Check08/10/2012 Mitchells Carpet Center $ 137.00- Splits -

���� ($ 27,036.89) 78792 A/P Check08/10/2012 PC Mall Gov, Inc. $ 4,841.34- Splits -

���� ($ 27,196.32) 78793 A/P Check08/10/2012 Praxair Distribution Inc $ 159.43- Splits -

Oct 09, 2012Page 26 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� ($ 28,571.32) 78794 A/P Check08/10/2012 School Annual Publishing $ 1,375.00461-11-6499.CK-109-2-11-B-00/EXP

���� ($ 28,742.95) 78795 A/P Check08/10/2012 Sherwin Williams Co. $ 171.63- Splits -

���� ($ 28,887.16) 78796 A/P Check08/10/2012 Staples Advantage $ 144.21199-51-6399.MA-999-2-99-A-01/EXP

���� ($ 59,612.16) 78797 A/P Check08/10/2012 The Brokerage Store $ 30,725.00- Splits -

���� ($ 60,220.56) 78798 A/P Check08/13/2012 Action Signs $ 608.40199-34-6499.TR-999-2-99-A-00/EXP

���� ($ 60,255.56) 78799 A/P Check08/13/2012 All-Tex Locksmiths $ 35.00199-51-6319.MA-999-2-99-A-03/EXP

���� ($ 60,464.34) 78800 A/P Check08/13/2012 ATMOS Energy $ 208.78- Splits -

���� ($ 60,889.34) 78801 A/P Check08/13/2012 Bennett Printing & Office Supply $ 425.00199-34-6399.TR-999-2-99-A-00/EXP

���� ($ 60,945.71) 78802 A/P Check08/13/2012 Lisa Benson $ 56.37199-13-6411.MC-001-2-22-Q-00/EXP

���� ($ 71,538.76) 78803 A/P Check08/13/2012 City Of Cleburne $ 10,593.05199-52-6219.RO-999-2-99-A-00/EXP

���� ($ 71,698.76) 78804 A/P Check08/13/2012 Diamond Auto Glass $ 160.00199-34-6249.TR-999-2-99-A-00/EXP

���� ($ 71,778.76) 78805 A/P Check08/13/2012 ESC, Region 11 $ 80.00- Splits -

���� ($ 71,838.13) 78806 A/P Check08/13/2012 Grainger $ 59.37- Splits -

���� ($ 72,874.13) 78807 A/P Check08/13/2012 Henslee Schwartz LLP $ 1,036.00- Splits -

���� ($ 77,581.93) 78808 A/P Check08/13/2012 Kimbrough Fire Extinguisher Co. $ 4,707.80- Splits -

���� ($ 80,785.67) 78809 A/P Check08/13/2012 Lowes Business Account $ 3,203.74- Splits -

���� ($ 80,975.03) 78810 A/P Check08/13/2012 Moore Supply Co. $ 189.36- Splits -

���� ($ 81,025.87) 78811 A/P Check08/13/2012 Ozarka $ 50.84- Splits -

���� ($ 81,581.87) 78812 A/P Check08/13/2012 Sand Trap Service Company $ 556.00- Splits -

���� ($ 81,601.87) 78813 A/P Check08/13/2012 Yellow Rose Propane $ 20.00199-51-6319.MA-999-2-99-A-01/EXP

���� ($ 91,067.47) 78815 A/P Check08/14/2012 Apple, Inc. $ 9,465.60- Splits -

���� ($ 91,470.92) 78817 A/P Check08/14/2012 Bennett Printing & Office Supply $ 403.45- Splits -

���� ($ 95,693.27) 78818 A/P Check08/14/2012 Careys Sporting Goods $ 4,222.35191-36-6399.43-041-2-91-Q-00/EXP

���� ($ 96,868.27) 78819 A/P Check08/14/2012 CDW Government, Inc. $ 1,175.00199-11-6399.SB-999-2-23-A-00/EXP

���� ($ 117,900.98) 78821 A/P Check08/14/2012 Cleveland Corporate Services, Inc $ 21,032.71199-11-6639.S4-104-2-23-P-00/EXP

���� ($ 118,185.98) 78822 A/P Check08/14/2012 Diamond Auto Glass $ 285.00- Splits -

���� ($ 118,635.98) 78823 A/P Check08/14/2012 ESC, Region 11 $ 450.00- Splits -

���� ($ 119,035.98) 78824 A/P Check08/14/2012 Family Medicine Associates $ 400.00199-34-6219.TR-999-2-99-A-00/EXP

($ 120,166.98) 78825 A/P Check08/14/2012 Grande Sports Electronics $ 1,131.00461-36-6398.WW-929-2-99-Q-00/EXP

���� ($ 120,484.95) 78826 A/P Check08/14/2012 Juanell Isaac $ 317.97199-21-6411.SB-999-2-23-A-00/EXP

���� ($ 123,668.35) 78827 A/P Check08/14/2012 Lambert Oil Co., Inc. $ 3,183.40199-34-6311.TR-999-2-99-A-00/EXP

���� ($ 124,093.35) 78828 A/P Check08/14/2012 Muse Diesel Service/ $ 425.00199-34-6299.TR-999-2-99-A-00/EXP

���� ($ 124,135.09) 78829 A/P Check08/14/2012 Ozarka $ 41.74461-11-6399.SF-111-2-11-P-00/EXP

���� ($ 147,489.15) 78830 A/P Check08/14/2012 Petroleum Traders $ 23,354.06199-34-6311.TR-999-2-99-A-00/EXP

���� ($ 147,859.15) 78831 A/P Check08/14/2012 Sand Trap Service Company $ 370.00199-34-6249.TR-999-2-99-A-01/EXP

���� ($ 150,290.18) 78833 A/P Check08/14/2012 TIPS/MOS $ 2,431.03199-21-6399.SB-999-2-23-A-00/EXP

���� ($ 150,371.58) 78814 A/P Check08/15/2012 Anderson Coffee Service $ 81.40199-41-6499.GA-750-2-99-A-00/EXP

���� ($ 150,578.97) 78816 A/P Check08/15/2012 ATMOS Energy $ 207.39- Splits -

Oct 09, 2012Page 27 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� ($ 152,690.21) 78820 A/P Check08/15/2012 CDW Government, Inc. $ 2,111.24- Splits -

���� ($ 350,401.01) 78832 A/P Check08/15/2012 TFE $ 197,710.80- Splits -

���� ($ 351,451.01) 78834 A/P Check08/15/2012 Troxell Communications Inc. $ 1,050.00- Splits -

���� ($ 403,845.22) 10328 Withdrawal08/16/2012 due to fed funds $ 52,394.21- Splits -

���� ($ 401,135.22) 10333 Deposit08/16/2012 SEASON TICKETS, PARKING, BOX SEATS $ 2,710.00191-00-5752.41-000-2-00-0-00/REV

���� ($ 401,115.22) 10334 Deposit08/16/2012 LOST LIBRARY BOOK $ 20.00461-00-5755.00-108-2-00-0-00/REV

���� ($ 401,089.91) 10335 Deposit08/16/2012 PAPER RECYCLE $ 25.31461-00-5755.00-108-2-00-0-00/REV

���� ($ 398,519.91) 10341 Deposit08/16/2012 SEASON TICKETS BOX SEATS & PARKING $ 2,570.00191-00-5752.41-000-2-00-0-00/REV

���� ($ 400,536.72) 78835 A/P Check08/16/2012 American Filing Solutions $ 2,016.81199-21-6399.SB-999-2-23-A-00/EXP

���� ($ 400,646.72) 78836 A/P Check08/16/2012 B & B Muffler & Tire $ 110.00199-34-6318.TR-999-2-99-A-00/EXP

���� ($ 401,771.72) 78837 A/P Check08/16/2012 Bucks Wheel & Equipment $ 1,125.00- Splits -

���� ($ 402,233.64) 78838 A/P Check08/16/2012 Canon Financial Services, Inc. $ 461.92- Splits -

���� ($ 402,377.64) 78839 A/P Check08/16/2012 CISD Transportation $ 144.00199-13-6411.S0-001-2-23-Q-00/EXP

���� ($ 402,599.64) 78841 A/P Check08/16/2012 City Of Cleburne $ 222.00199-13-6269.CK-109-2-11-B-00/EXP

($ 402,862.49) 78842 A/P Check08/16/2012 Carolyn Cowden $ 262.85199-36-6411.OA-001-2-22-Q-00/EXP

���� ($ 404,002.09) 78844 A/P Check08/16/2012 Descon Inc. $ 1,139.60199-11-6399.HS-001-2-11-Q-00/EXP

���� ($ 406,852.09) 78845 A/P Check08/16/2012 Graphcom, Inc. $ 2,850.00- Splits -

���� ($ 410,352.09) 78846 A/P Check08/16/2012 FSC Disclosure Services, A Division of First SW Co $ 3,500.00199-41-6299.GA-750-2-99-A-00/EXP

($ 410,477.09) 78847 A/P Check08/16/2012 G. Schrimer, Inc. $ 125.00199-11-6399.HB-001-2-11-Q-00/EXP

���� ($ 411,777.09) 78848 A/P Check08/16/2012 Matt Gibson $ 1,300.00199-11-6299.HB-001-2-11-Q-00/EXP

���� ($ 413,255.09) 78849 A/P Check08/16/2012 Global Asset $ 1,478.00- Splits -

���� ($ 425,686.69) 78850 A/P Check08/16/2012 Global Asset $ 12,431.60- Splits -

($ 425,836.69) 78851 A/P Check08/16/2012 Hal Leonard Corporation $ 150.00199-11-6399.HB-001-2-11-Q-00/EXP

���� ($ 426,644.41) 78852 A/P Check08/16/2012 Henry Schein, Inc. $ 807.72- Splits -

���� ($ 426,754.83) 78853 A/P Check08/16/2012 Hundley Hydraulic $ 110.42199-34-6318.TR-999-2-99-A-00/EXP

���� ($ 426,794.82) 78854 A/P Check08/16/2012 J.W. Pepper & Son, Inc. $ 39.99199-11-6399.CK-109-2-11-B-00/EXP

���� ($ 428,864.82) 78855 A/P Check08/16/2012 Johnny Paul's Music Shop $ 2,070.00- Splits -

���� ($ 429,043.72) 78856 A/P Check08/16/2012 Magic Etc./Ft Worth Costume $ 178.90199-11-6399.DR-001-2-11-Q-00/EXP

���� ($ 429,201.81) 78857 A/P Check08/16/2012 Matthews Office City $ 158.09199-13-6399.CP-999-2-99-A-00/EXP

���� ($ 429,400.58) 78858 A/P Check08/16/2012 Matthews Office City $ 198.77- Splits -

���� ($ 430,248.58) 78859 A/P Check08/16/2012 McCormick's Enterprises Incorporated $ 848.00199-11-6398.HB-001-2-11-Q-00/EXP

���� ($ 430,340.52) 78860 A/P Check08/16/2012 Abby McCulloch $ 91.94199-13-6411.AG-001-2-22-Q-00/EXP

���� ($ 430,391.52) 78861 A/P Check08/16/2012 Muse Diesel Service/ $ 51.00- Splits -

���� ($ 432,087.52) 78862 A/P Check08/16/2012 Music & Arts Center $ 1,696.00199-11-6398.HB-001-2-11-Q-00/EXP

���� ($ 437,385.52) 78863 A/P Check08/16/2012 Music & Arts Center $ 5,298.00199-11-6398.HB-001-2-11-Q-00/EXP

���� ($ 437,678.18) 78865 A/P Check08/16/2012 Pender's Music Co $ 292.66- Splits -

���� ($ 437,834.18) 78866 A/P Check08/16/2012 Darryl Pilate $ 156.00199-36-6412.DT-001-2-99-Q-00/EXP

���� ($ 438,088.18) 78867 A/P Check08/16/2012 Pitney Bowes $ 254.00199-41-6269.GA-750-2-99-A-01/EXP

Oct 09, 2012Page 28 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� ($ 439,306.18) 78868 A/P Check08/16/2012 Summit Integration Systems $ 1,218.00199-11-6398.SB-999-2-23-A-00/EXP

���� ($ 440,786.18) 78869 A/P Check08/16/2012 Summit Integration Systems $ 1,480.00199-11-6299.S9-109-2-23-P-00/EXP

���� ($ 442,436.18) 78870 A/P Check08/16/2012 Summit Integration Systems $ 1,650.00199-11-6299.S2-102-2-23-P-00/EXP

���� ($ 442,439.01) 78871 A/P Check08/16/2012 TASB $ 2.83199-33-6299.HT-999-2-99-A-00/EXP

���� ($ 442,439.01) 78872 A/P Check08/16/2012 - VOID - TASSP $ 1,170.00

���� ($ 449,226.06) 78873 A/P Check08/16/2012 TFE $ 6,787.05199-52-6639.HS-001-2-99-Q-00/EXP

���� ($ 454,604.43) 78874 A/P Check08/16/2012 Toshiba Financial Services $ 5,378.37- Splits -

���� ($ 473,467.43) 78875 A/P Check08/16/2012 Tyler Technologies, Inc. $ 18,863.00199-00-1410.00-000-2-00-0-00/G/L

($ 473,587.46) 78876 A/P Check08/16/2012 Walmart Community/GEMB $ 120.03199-23-6499.HS-001-2-99-Q-00/EXP

($ 473,877.46) 78877 A/P Check08/16/2012 Scott Baca $ 290.00199-11-6299.HS-001-2-11-Q-00/EXP

($ 474,157.46) 78878 A/P Check08/16/2012 Ryan Benner $ 280.00199-11-6299.HS-001-2-11-Q-00/EXP

($ 474,557.46) 78880 A/P Check08/16/2012 Morgan Richter $ 400.00199-11-6299.HS-001-2-11-Q-00/EXP

���� $ 25,442.54 10330 Deposit08/17/2012 TR FROM INVESTMENTS $ 500,000.00199-00-1101.00-000-2-00-0-00/G/L

���� $ 29,177.54 10342 Deposit08/17/2012 SEASON TICKETS BOX SEATS & PARKING $ 3,735.00191-00-5752.41-000-2-00-0-00/REV

���� $ 29,186.30 10350 Deposit08/17/2012 REFUND OF TAXES CHARGED BY WALMART $ 8.76199-11-6499.CK-109-2-11-B-00/EXP

���� $ 29,190.30 10351 Deposit08/17/2012 TRAVEL REIMBURSEMENT $ 4.00199-13-6411.AG-001-2-22-Q-00/EXP

���� $ 29,195.30 10352 Deposit08/17/2012 NSF FEES $ 5.00199-00-5749.00-000-2-00-0-00/REV

���� $ 29,222.50 10353 Deposit08/17/2012 TRAVEL REIMBURSEMENT $ 27.20199-36-6412.AG-001-2-22-Q-97/EXP

���� $ 29,322.49 10354 Deposit08/17/2012 POSTAGE REIMBURSEMENT $ 99.99199-41-6399.GA-750-2-99-A-00/EXP

���� $ 29,497.49 10355 Deposit08/17/2012 REIMBURSE NSF FUNDS $ 175.00199-00-5755.CE-000-2-00-0-00/REV

���� $ 29,891.01 10356 Deposit08/17/2012 FACILITY RENTAL $ 393.52199-00-5743.00-000-2-00-0-00/REV

���� $ 30,762.26 10357 Deposit08/17/2012 803 ROSE $ 871.25199-00-5743.00-000-2-00-0-00/REV

���� $ 31,656.40 10358 Deposit08/17/2012 REFUND AMEX $ 894.14199-00-5749.00-000-2-00-0-00/REV

���� $ 33,285.40 10359 Deposit08/17/2012 TRANSP FEES $ 1,629.00199-00-5739.04-000-2-00-0-00/REV

���� $ 39,301.40 10360 Deposit08/17/2012 RIDGEWAY RENTAL $ 6,016.00199-00-5743.01-000-2-00-0-00/REV

���� $ 39,316.40 10361 Deposit08/17/2012 SMS LOST LIBRARY BOOK $ 15.00199-12-6329.JL-041-2-11-Q-00/EXP

���� $ 39,337.37 10362 Deposit08/17/2012 COKE PROCEEDS $ 20.97461-00-5755.60-001-2-00-0-00/REV

���� $ 39,358.23 10366 Deposit08/17/2012 PAPER RECYCLING $ 20.86- Splits -

���� $ 39,151.23 78840 A/P Check08/17/2012 CISD Transportation $ 207.00191-36-6411.41-001-2-91-Q-00/EXP

���� $ 36,764.05 78843 A/P Check08/17/2012 Dealers Electrical Supply Co. $ 2,387.18- Splits -

���� $ 36,756.06 78864 A/P Check08/17/2012 Ozarka $ 7.99191-36-6499.61-001-2-91-Q-00/EXP

���� $ 35,706.06 78879 A/P Check08/17/2012 Claire Lynn Designs $ 1,050.00461-23-6499.GR-108-2-11-P-00/EXP

���� $ 38,056.06 10343 Deposit08/20/2012 SEASON TICKETS BOX SEATS & PARKING $ 2,350.00191-00-5752.41-000-2-00-0-00/REV

���� $ 38,098.02 10344 Deposit08/20/2012 G. FUNDERBURK $ 41.96191-36-6411.41-001-2-91-Q-00/EXP

���� $ 38,058.02 78881 A/P Check08/20/2012 Tammy Bright $ 40.00199-13-6411.CP-999-2-11-A-00/EXP

$ 38,053.56 78882 A/P Check08/20/2012 Brent Burton $ 4.46191-36-6411.41-001-2-91-Q-00/EXP

���� $ 37,212.62 78883 A/P Check08/20/2012 Carrier Enterprise, LLC $ 840.94- Splits -

���� $ 37,095.12 78884 A/P Check08/20/2012 CISD Transportation $ 117.50199-36-6412.HS-001-2-99-Q-00/EXP

Oct 09, 2012Page 29 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 33,315.12 78885 A/P Check08/20/2012 Crisp-LaDew Fire Protection Company $ 3,780.00- Splits -

���� $ 33,045.76 78886 A/P Check08/20/2012 Hagar Restaurant Service, Inc. $ 269.36- Splits -

���� $ 32,177.83 78887 A/P Check08/20/2012 Home Depot Credit Services $ 867.93- Splits -

���� $ 31,902.09 78888 A/P Check08/20/2012 Hundley Hydraulic $ 275.74- Splits -

$ 31,862.09 78889 A/P Check08/20/2012 Inca-Trio Fire Services, LP $ 40.00199-51-6249.MA-999-2-99-A-10/EXP

���� $ 9,212.09 78890 A/P Check08/20/2012 Inline Electric Solutions of Texas, LLC $ 22,650.00199-51-6249.MA-999-2-99-A-03/EXP

���� $ 9,019.48 78891 A/P Check08/20/2012 Johnstone Supply $ 192.61199-51-6319.MA-999-2-99-A-04/EXP

���� $ 7,078.48 78892 A/P Check08/20/2012 Mitchells Carpet Center $ 1,941.00199-51-6249.MA-999-2-99-A-07/EXP

���� $ 6,986.93 78893 A/P Check08/20/2012 Office Depot $ 91.55199-34-6399.TR-999-2-99-A-00/EXP

���� ($ 4,555.07) 78894 A/P Check08/20/2012 Omni 1rst Integrated Systems $ 11,542.00199-51-6249.MA-999-2-99-A-10/EXP

���� ($ 4,634.57) 78895 A/P Check08/20/2012 Rogers Lube Service $ 79.50- Splits -

���� ($ 4,804.57) 78896 A/P Check08/20/2012 Sand Trap Service Company $ 170.00199-51-6249.MA-999-2-99-A-02/EXP

���� ($ 4,809.03) 78897 A/P Check08/20/2012 Sam Skidmore $ 4.46191-36-6411.41-001-2-91-Q-00/EXP

���� ($ 4,918.23) 78898 A/P Check08/20/2012 Spyglass Sale, Inc. $ 109.20199-34-6399.TR-999-2-99-A-00/EXP

���� ($ 6,163.20) 78899 A/P Check08/20/2012 Staples Advantage $ 1,244.97- Splits -

���� ($ 6,768.20) 78900 A/P Check08/20/2012 Team Go Figure $ 605.00461-36-6399.34-001-2-99-Q-00/EXP

���� ($ 7,483.07) 78901 A/P Check08/20/2012 TIPS/MOS $ 714.87- Splits -

���� ($ 7,483.07) 78902 A/P Check08/20/2012 - VOID - Zimmerer Kubota & Equipment, Inc. $ 124.68

���� ($ 7,479.95) 10345 Deposit08/21/2012 REFUND FROM COACHING SCHOOL $ 3.12191-36-6411.41-001-2-91-Q-00/EXP

���� ($ 7,442.19) 10346 Deposit08/21/2012 REFUND FROM COACHING SCHOOL $ 37.76191-36-6411.41-001-2-91-Q-00/EXP

���� ($ 7,426.05) 10347 Deposit08/21/2012 REFUND FROM COACHING SCHOOL $ 16.14191-36-6411.41-001-2-91-Q-00/EXP

���� ($ 5,626.05) 10348 Deposit08/21/2012 SEASON TICKETS BOX SEATS & PARKING $ 1,800.00191-00-5752.41-000-2-00-0-00/REV

���� ($ 1,881.05) 10349 Deposit08/22/2012 SEASON TICKETS BOX SEATS & PARKING $ 3,745.00191-00-5752.41-000-2-00-0-00/REV

���� ($ 1,909.05) 78903 A/P Check08/22/2012 Agency 405 $ 28.00199-41-6499.GA-750-2-99-A-00/EXP

���� ($ 7,429.05) 78904 A/P Check08/22/2012 Apple, Inc. $ 5,520.00199-11-6299.VO-001-2-22-Q-00/EXP

���� ($ 11,027.05) 78905 A/P Check08/22/2012 Careys Sporting Goods $ 3,598.00191-36-6399.47-107-2-91-Q-00/EXP

���� ($ 16,609.14) 78906 A/P Check08/22/2012 Careys Sporting Goods $ 5,582.09191-36-6399.58-001-2-91-Q-00/EXP

���� ($ 20,360.14) 78907 A/P Check08/22/2012 Carson Pest Management $ 3,751.00- Splits -

���� ($ 28,915.74) 78908 A/P Check08/22/2012 Dons Lawn Service $ 8,555.60461-11-6398.NG-102-2-11-P-00/EXP

($ 29,341.49) 78909 A/P Check08/22/2012 Macs' Sports Center $ 425.75461-23-6499.CL-102-2-99-P-00/EXP

���� ($ 29,532.35) 78910 A/P Check08/22/2012 PC Mall Gov, Inc. $ 190.86199-52-6639.00-999-2-99-Q-00/EXP

���� ($ 29,670.35) 78911 A/P Check08/22/2012 Pitney Bowes $ 138.00199-21-6269.SB-999-2-23-A-00/EXP

($ 90,770.35) 78912 A/P Check08/22/2012 Southwest International Truck Exchange, LLC $ 61,100.00- Splits -

���� ($ 91,033.86) 78913 A/P Check08/22/2012 AbiBow Recycling LLC $ 263.51199-51-6256.MO-999-2-99-A-00/EXP

���� ($ 92,008.42) 78914 A/P Check08/22/2012 ATMOS Energy $ 974.56- Splits -

���� ($ 92,272.42) 78915 A/P Check08/22/2012 Bennett Printing & Office Supply $ 264.00199-34-6399.TR-999-2-99-A-00/EXP

���� ($ 92,764.42) 78916 A/P Check08/22/2012 Bennett Printing & Office Supply $ 492.00199-41-6399.GA-750-2-99-A-00/EXP

���� ($ 93,822.72) 78917 A/P Check08/22/2012 CDW Government, Inc. $ 1,058.30- Splits -

Oct 09, 2012Page 30 of 64

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� ($ 93,950.59) 78918 A/P Check08/22/2012 City Of Cleburne $ 127.87199-51-6256.MO-999-2-99-A-00/EXP

���� ($ 94,090.59) 78920 A/P Check08/22/2012 Diamond Auto Glass $ 140.00199-34-6249.TR-999-2-99-A-00/EXP

($ 95,090.59) 78921 A/P Check08/22/2012 Eichelbaum Wardell Hansen $ 1,000.00199-41-6211.GA-701-2-99-A-00/EXP

���� ($ 96,081.59) 78922 A/P Check08/22/2012 Global Asset $ 991.00199-51-6398.MA-990-2-99-A-00/EXP

���� ($ 96,161.54) 78924 A/P Check08/22/2012 Hewlett Office Systems, LLC $ 79.95199-41-6249.GA-750-2-99-A-00/EXP

���� ($ 96,327.27) 78925 A/P Check08/22/2012 Hundley Hydraulic $ 165.73199-34-6249.TR-999-2-99-A-00/EXP

���� ($ 97,927.27) 78926 A/P Check08/22/2012 INX, LLC, a Presidio Company $ 1,600.00- Splits -

���� ($ 100,017.28) 78927 A/P Check08/22/2012 Laser Tech Solutions $ 2,090.01- Splits -

���� ($ 100,037.18) 78928 A/P Check08/22/2012 Matthews Office City $ 19.90199-13-6399.CP-999-2-99-A-00/EXP

���� ($ 113,428.18) 78930 A/P Check08/22/2012 Summit Integration Systems $ 13,391.00- Splits -

���� ($ 113,428.18) 78931 A/P Check08/22/2012 - VOID - Texas Department Of Public Safety $ 144.00

���� ($ 113,604.28) 78932 A/P Check08/22/2012 TFE $ 176.10199-52-6639.JH-041-2-99-Q-00/EXP

($ 113,625.04) 78933 A/P Check08/22/2012 Carla Townley $ 20.76- Splits -

($ 113,963.08) 78934 A/P Check08/22/2012 Walmart Community/GEMB $ 338.04- Splits -

���� ($ 137,682.02) 10336 Withdrawal08/23/2012 due to 199 $ 23,718.94818-00-2171.00-000-2-00-0-00/G/L

���� ($ 171,469.88) 10337 Withdrawal08/23/2012 due to 199 $ 33,787.86827-00-2171.00-000-2-00-0-00/G/L

���� ($ 113,963.08) 10338 Deposit08/23/2012 due from scholarship funds $ 57,506.80- Splits -

���� $ 3,386,036.92 10339 Deposit08/23/2012 TRANSFER FROM INVESTMENTS $ 3,500,000.00199-00-1101.00-000-2-00-0-00/G/L

���� $ 3,086,036.92 10340 Withdrawal08/23/2012 due from 211 $ 300,000.00199-00-1262.03-000-2-00-0-00/G/L

���� $ 3,086,076.92 10363 Deposit08/23/2012 SMS CHOIR TSHIRTS $ 40.00461-00-5755.14-041-2-00-0-00/REV

���� $ 3,086,136.92 10364 Deposit08/23/2012 SMS ACTIVITY UEARBOOKS $ 60.00461-00-5755.11-041-2-00-0-00/REV

���� $ 3,086,168.92 10389 Deposit08/23/2012 CAR TAGS $ 32.00461-00-5755.00-102-2-00-0-00/REV

���� $ 3,086,173.92 10390 Deposit08/23/2012 T-SHIRT $ 5.00461-00-5755.00-102-2-00-0-00/REV

���� $ 484,249.52 14283 W/T W/D08/23/2012 Cleburne Independent School District $ 2,601,924.40- Splits -

���� $ 439,476.52 78919 A/P Check08/23/2012 Cumulus Global $ 44,773.00- Splits -

���� $ 437,340.52 78923 A/P Check08/23/2012 Global Asset $ 2,136.00199-41-6398.GA-750-2-99-A-00/EXP

���� $ 437,313.22 78929 A/P Check08/23/2012 Pauls Donuts $ 27.30199-23-6499.IR-104-2-99-P-00/EXP

$ 437,169.22 78935 A/P Check08/23/2012 Texas Department Of Public Safety $ 144.00199-11-6499.CE-999-2-99-A-00/EXP

���� $ 461,904.94 10367 Deposit08/24/2012 PER CAPITA FUNDING $ 24,735.72199-00-5811.00-000-2-00-0-00/REV

���� $ 464,588.22 10368 Deposit08/24/2012 PER CAPITA FUNDING $ 2,683.28161-00-5811.00-000-2-00-0-00/REV

���� $ 2,824,310.76 10369 Deposit08/24/2012 FOUNDATION FUNDING $ 2,359,722.54199-00-5812.00-000-2-00-0-00/REV

���� $ 3,080,288.22 10370 Deposit08/24/2012 FOUNDATION FUNDING $ 255,977.46161-00-5812.00-000-2-00-0-00/REV

���� $ 3,080,602.22 10375 Deposit08/24/2012 EAST CCC $ 314.00199-00-5739.04-000-2-00-0-00/REV

���� $ 3,080,625.22 10381 Deposit08/24/2012 MEAL MONEY RETURNED $ 23.00191-36-6412.58-001-2-91-Q-00/EXP

���� $ 3,080,667.22 10382 Deposit08/24/2012 MEAL MONEY RETURNED $ 42.00191-36-6412.58-001-2-91-Q-00/EXP

���� $ 3,080,721.22 10383 Deposit08/24/2012 MEAL MONEY RETURNED $ 54.00191-36-6412.58-001-2-91-Q-00/EXP

���� $ 3,080,793.22 10384 Deposit08/24/2012 MEAL MONEY RETURNED $ 72.00191-36-6412.58-001-2-91-Q-00/EXP

���� $ 3,080,811.34 10385 Deposit08/24/2012 J. CALAHAN $ 18.12191-36-6411.44-001-2-91-Q-00/EXP

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First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 3,084,521.34 10386 Deposit08/24/2012 SEASON TICKETS, BOX SEATS & PARKING $ 3,710.00191-00-5752.41-000-2-00-0-00/REV

���� $ 3,088,271.34 10387 Deposit08/24/2012 SEASON TICKETS BOX SEATS & PARKING $ 3,750.00191-00-5752.41-000-2-00-0-00/REV

���� $ 3,088,499.34 10391 Deposit08/24/2012 YEARBOOK SALES $ 228.00461-00-5755.15-107-2-00-0-00/REV

���� $ 3,089,197.34 10392 Deposit08/24/2012 CAR TAGS & T-SHIRTS $ 698.00- Splits -

���� $ 3,088,201.84 78936 A/P Check08/24/2012 American Express $ 995.50- Splits -

���� $ 3,088,201.84 78937 A/P Check08/24/2012 - VOID - Motel 6 $ 822.92

���� $ 3,088,133.02 78938 A/P Check08/24/2012 Texas Royal Pizza $ 68.82199-41-6499.GA-702-2-99-A-00/EXP

$ 3,087,684.71 78939 A/P Check08/24/2012 Walmart Community/GEMB $ 448.31- Splits -

���� $ 3,079,045.51 78940 A/P Check08/24/2012 Zimmerer Kubota & Equipment, Inc. $ 8,639.20199-51-6639.MA-999-2-99-A-00/EXP

���� $ 3,089,181.35 10371 Deposit08/27/2012 DUE TO 263.01 $ 10,135.84199-00-2172.08-000-2-00-0-00/G/L

���� $ 3,134,668.82 10372 Deposit08/27/2012 DUE TO 263 $ 45,487.47199-00-2172.08-000-2-00-0-00/G/L

���� $ 3,247,310.84 10373 Deposit08/27/2012 DUE TO 211 $ 112,642.02199-00-2172.05-000-2-00-0-00/G/L

���� $ 3,079,045.51 10374 Withdrawal08/27/2012 due to fed funds $ 168,265.33- Splits -

���� $ 579,045.51 10378 Withdrawal08/27/2012 TR TO INVESTMENTS $ 2,500,000.00199-00-1101.00-000-2-00-0-00/G/L

���� $ 580,015.51 10393 Deposit08/27/2012 SMS GIRLS ATHLETICS T-SHIRTS $ 970.00461-00-5755.17-041-2-00-0-00/REV

���� $ 580,052.82 10394 Deposit08/27/2012 B. OWENS COACHING SCHOOL $ 37.31191-36-6411.41-001-2-91-Q-00/EXP

���� $ 580,064.04 10395 Deposit08/27/2012 J. LlITTLETON COACHING SCHOOL $ 11.22191-36-6411.41-001-2-91-Q-00/EXP

���� $ 580,068.64 10396 Deposit08/27/2012 C. LACKEY COACHING SCHOOL $ 4.60191-36-6411.41-001-2-91-Q-00/EXP

���� $ 581,218.64 10397 Deposit08/27/2012 SEASON TICKETS, BOX SEATS & PARKING $ 1,150.00191-00-5752.41-000-2-00-0-00/REV

���� $ 581,222.64 10399 Deposit08/27/2012 CHANGE STUDENT MEALS $ 4.00199-36-6412.OA-001-2-22-Q-00/EXP

���� $ 581,273.36 10400 Deposit08/27/2012 IMAGE $ 50.72461-00-5755.60-001-2-00-0-00/REV

���� $ 581,343.36 10401 Deposit08/27/2012 YEARBOOK $ 70.00461-00-5755.93-001-2-00-0-00/REV

���� $ 581,363.36 10402 Deposit08/27/2012 MUSIC $ 20.00461-00-5755.23-001-2-00-0-00/REV

���� $ 583,245.11 10403 Deposit08/27/2012 DANCE PAYMENTS $ 1,881.75461-00-5755.34-001-2-00-0-00/REV

���� $ 583,253.11 10404 Deposit08/27/2012 TRANSCRIPTS $ 8.00461-00-5755.60-001-2-00-0-00/REV

���� $ 587,723.11 10405 Deposit08/27/2012 ADS - YEARBOOK $ 4,470.00- Splits -

���� $ 587,739.11 10406 Deposit08/27/2012 TRANSCRIPT $ 16.00461-00-5755.60-001-2-00-0-00/REV

���� $ 588,224.11 10407 Deposit08/27/2012 DANCE $ 485.00461-00-5755.34-001-2-00-0-00/REV

���� $ 588,226.11 10408 Deposit08/27/2012 TRANSCRIPT $ 2.00461-00-5755.60-001-2-00-0-00/REV

���� $ 588,291.11 10409 Deposit08/27/2012 YEARBOOK $ 65.00461-00-5755.93-001-2-00-0-00/REV

���� $ 588,446.11 10410 Deposit08/27/2012 DANCE $ 155.00461-00-5755.34-001-2-00-0-00/REV

���� $ 588,669.11 10411 Deposit08/27/2012 CHANGE STUDENT MEALS $ 223.00461-00-5755.99-001-2-00-0-00/REV

���� $ 589,479.11 10412 Deposit08/27/2012 DANCE $ 810.00461-00-5755.34-001-2-00-0-00/REV

���� $ 589,494.11 10417 Deposit08/27/2012 CAR TAGS $ 15.00461-00-5755.00-108-2-00-0-00/REV

���� $ 589,925.11 10490 Deposit08/27/2012 CARE & DRIVERS ED $ 431.00- Splits -

���� $ 584,934.69 14391 W/T W/D08/27/2012 Cleburne Independent School District $ 4,990.42- Splits -

���� $ 584,594.69 78941 A/P Check08/27/2012 Brent Burton $ 340.00461-36-6412.WW-929-2-99-Q-00/EXP

$ 584,084.04 78942 A/P Check08/27/2012 Chile Red Co. $ 510.65199-23-6499.CK-109-2-99-B-00/EXP

Oct 09, 2012Page 32 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 584,079.58 78943 A/P Check08/27/2012 Dustin Fish $ 4.46191-36-6411.41-001-2-91-Q-00/EXP

���� $ 584,079.58 78944 A/P Check08/27/2012 - VOID - Greg Funderburk $ 150.00

���� $ 584,079.58 78945 A/P Check08/27/2012 - VOID - Greg Funderburk $ 150.00

$ 583,975.48 78965 A/P Check08/27/2012 Walmart Community/GEMB $ 104.10199-11-6399.DR-001-2-11-Q-00/EXP

$ 583,769.25 78966 A/P Check08/27/2012 Walmart Community/GEMB $ 206.23199-11-6399.DR-001-2-11-Q-00/EXP

���� $ 583,969.25 10376 Deposit08/28/2012 RENT-JC-803 ROSE $ 200.00199-00-5743.00-000-2-00-0-00/REV

���� $ 583,976.25 10388 Deposit08/28/2012 CAR TAGS COLEMAN $ 7.00461-00-5755.00-102-2-00-0-00/REV

���� $ 583,988.25 10423 Deposit08/28/2012 CAR TAGS $ 12.00461-00-5755.00-108-2-00-0-00/REV

���� $ 584,038.25 10424 Deposit08/28/2012 SPIRIT SHIRTS $ 50.00461-00-5755.00-108-2-00-0-00/REV

���� $ 584,138.25 10428 Deposit08/28/2012 GYM PASSES $ 100.00191-00-5752.GP-000-2-00-0-00/REV

���� $ 584,188.25 10429 Deposit08/28/2012 GYM PASS $ 50.00191-00-5752.GP-000-2-00-0-00/REV

���� $ 585,238.25 10430 Deposit08/28/2012 SEASON TICKETS BOX SEATS & PARKING $ 1,050.00191-00-5752.41-000-2-00-0-00/REV

���� $ 585,262.25 10448 Deposit08/28/2012 SF T-SHIRTS $ 24.00461-00-5755.00-111-2-00-0-00/REV

���� $ 585,358.75 10449 Deposit08/28/2012 SANTA FE STAFF T-SHIRTS $ 96.50461-00-5755.00-111-2-00-0-00/REV

$ 585,303.75 78946 A/P Check08/28/2012 Agency 405 $ 55.00199-41-6499.GA-750-2-99-A-00/EXP

���� $ 580,176.08 78947 A/P Check08/28/2012 B & B Athletic Supply $ 5,127.67191-36-6399.44-001-2-91-Q-00/EXP

$ 579,537.68 78948 A/P Check08/28/2012 CDW Government, Inc. $ 638.40199-11-6399.HS-001-2-11-Q-00/EXP

$ 579,103.89 78949 A/P Check08/28/2012 Jeff Cotten $ 433.79199-13-6411.GM-001-2-22-Q-00/EXP

$ 578,618.97 78950 A/P Check08/28/2012 Jeff Cotten $ 484.92199-13-6411.GM-001-2-22-Q-00/EXP

$ 577,821.47 78951 A/P Check08/28/2012 CRS Advanced Technology $ 797.50199-53-6299.GA-750-2-99-A-00/EXP

$ 577,371.83 78952 A/P Check08/28/2012 Dramatic Publishing $ 449.64199-11-6399.DR-001-2-11-Q-00/EXP

$ 577,036.83 78953 A/P Check08/28/2012 Dream Ranch Office Supplies $ 335.00- Splits -

$ 548,771.03 78954 A/P Check08/28/2012 Electrostatic Painting $ 28,265.80199-51-6249.MA-999-2-99-A-11/EXP

���� $ 536,271.03 78955 A/P Check08/28/2012 Gymini Sports, Inc. $ 12,500.00- Splits -

$ 536,101.57 78956 A/P Check08/28/2012 HEB Credit Receivables $ 169.46461-23-6499.IR-104-2-99-P-00/EXP

$ 536,080.85 78957 A/P Check08/28/2012 Juanell Isaac $ 20.72199-21-6411.SB-999-2-23-A-00/EXP

$ 536,029.66 78958 A/P Check08/28/2012 Kroger Texas LP $ 51.19199-41-6399.GA-701-2-99-A-00/EXP

���� $ 536,029.66 78959 A/P Check08/28/2012 - VOID - Motel 6 $ 928.60

$ 535,979.66 78960 A/P Check08/28/2012 Sams Club Direct $ 50.00199-41-6499.GA-750-2-99-A-00/EXP

$ 535,607.95 78961 A/P Check08/28/2012 Staples Advantage $ 371.71- Splits -

$ 535,032.95 78962 A/P Check08/28/2012 TASA $ 575.00199-41-6495.GA-701-2-99-A-00/EXP

$ 534,976.96 78963 A/P Check08/28/2012 TIPS/MOS $ 55.99199-41-6399.GA-701-2-99-A-00/EXP

���� $ 534,459.89 78964 A/P Check08/28/2012 B Weslee Vance $ 517.07199-13-6411.HS-001-2-11-Q-00/EXP

���� $ 533,104.29 78967 A/P Check08/28/2012 Cleburne Education Foundation $ 1,355.60461-11-6499.60-001-2-11-Q-00/EXP

$ 532,910.30 78977 A/P Check08/28/2012 Walmart Community/GEMB $ 193.99461-23-6499.60-001-2-99-Q-00/EXP

$ 532,642.07 78978 A/P Check08/28/2012 Walmart Community/GEMB $ 268.23- Splits -

���� $ 518,162.35 10379 Withdrawal08/29/2012 due to federal funds $ 14,479.72- Splits -

���� $ 517,053.90 10380 Withdrawal08/29/2012 due to alumni $ 1,108.45199-00-2177.02-000-2-00-0-00/G/L

Oct 09, 2012Page 33 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 518,735.55 10398 Deposit08/29/2012 due from fed $ 1,681.65- Splits -

���� $ 493,162.60 10413 Withdrawal08/29/2012 clear due to $ 25,572.95- Splits -

���� $ 499,918.16 10414 Deposit08/29/2012 due from 199 $ 6,755.56161-00-1261.00-000-2-00-0-00/G/L

���� $ 503,792.67 10415 Deposit08/29/2012 due from 199 $ 3,874.51461-00-1261.00-000-2-00-0-00/G/L

���� $ 518,735.55 10416 Deposit08/29/2012 due from 199 $ 14,942.88749-00-1261.00-000-2-00-0-00/G/L

���� $ 518,745.55 10418 Deposit08/29/2012 CAR TAGS $ 10.00461-00-5755.00-103-2-00-0-00/REV

���� $ 518,795.55 10419 Deposit08/29/2012 TEXTBOOK DAMAGE $ 50.00461-00-5755.00-838-2-00-0-00/REV

���� $ 518,801.55 10425 Deposit08/29/2012 CAR TAGS $ 6.00461-00-5755.00-108-2-00-0-00/REV

���� $ 518,851.55 10426 Deposit08/29/2012 SMS YEARBOOK / ELEVATOR KEYS $ 50.00- Splits -

���� $ 518,856.55 10427 Deposit08/29/2012 CAR TAGS $ 5.00461-00-5755.00-102-2-00-0-00/REV

���� $ 518,872.20 10431 Deposit08/29/2012 MONEY RETURNED R. STEPP $ 15.65191-36-6411.41-001-2-91-Q-00/EXP

���� $ 519,344.20 10432 Deposit08/29/2012 9A/B, JV,V VB MANSFIELD LAKE RIDGE 8/28 $ 472.00191-00-5752.58-000-2-00-0-00/REV

���� $ 519,423.20 10491 Deposit08/29/2012 CARE & DRIVERS ED $ 79.00199-00-5755.CA-000-2-00-0-00/REV

���� $ 514,563.68 10615 Withdrawal08/29/2012 food service bad debt $ 4,859.52- Splits -

$ 514,518.39 78968 A/P Check08/29/2012 Mauro Cavazos $ 45.29- Splits -

���� $ 514,151.69 78969 A/P Check08/29/2012 Childress Engineers $ 366.70199-51-6219.MA-999-2-99-A-00/EXP

���� $ 513,820.79 78970 A/P Check08/29/2012 CISD Administration $ 330.90- Splits -

���� $ 512,584.79 78971 A/P Check08/29/2012 CISD Administration $ 1,236.00199-41-6142.GA-701-2-99-A-00/EXP

$ 510,756.64 78972 A/P Check08/29/2012 City Of Cleburne $ 1,828.15- Splits -

$ 510,638.82 78973 A/P Check08/29/2012 Humana Dental $ 117.82- Splits -

$ 507,171.32 78974 A/P Check08/29/2012 Rochester 100 Inc. $ 3,467.50- Splits -

$ 506,980.41 78975 A/P Check08/29/2012 Southeastern Emergency Equipment $ 190.91199-33-6399.HT-001-2-99-Q-00/EXP

$ 501,593.30 78976 A/P Check08/29/2012 The Jon Gordon Companies $ 5,387.11199-13-6299.CP-999-2-99-A-00/EXP

$ 501,199.68 78979 A/P Check08/29/2012 Walmart Community/GEMB $ 393.62- Splits -

$ 499,776.16 78980 A/P Check08/29/2012 Dell Marketing LP $ 1,423.52199-11-6399.VO-001-2-22-Q-00/EXP

$ 493,199.00 78981 A/P Check08/29/2012 Janpak DFW $ 6,577.16- Splits -

���� $ 493,019.00 78982 A/P Check08/29/2012 Christa Lackey $ 180.00191-00-1410.00-000-2-00-0-00/G/L

���� $ 492,731.00 78983 A/P Check08/29/2012 Christa Lackey $ 288.00191-00-1410.00-000-2-00-0-00/G/L

$ 482,885.90 78984 A/P Check08/29/2012 TFE $ 9,845.10199-52-6639.HS-001-2-99-Q-00/EXP

$ 461,795.90 78985 A/P Check08/29/2012 TFE $ 21,090.00199-52-6639.HS-001-2-99-Q-00/EXP

$ 461,628.91 78986 A/P Check08/29/2012 Walmart Community/GEMB $ 166.99199-11-6499.CK-109-2-11-B-00/EXP

$ 461,559.13 78987 A/P Check08/29/2012 Walmart Community/GEMB $ 69.78199-11-6499.CK-109-2-11-B-00/EXP

$ 460,709.53 78988 A/P Check08/29/2012 ABS Rentals, Inc $ 849.60199-51-6249.MA-999-2-99-A-09/EXP

$ 455,594.54 78989 A/P Check08/29/2012 Action Publishing $ 5,114.99- Splits -

$ 455,572.56 78990 A/P Check08/29/2012 American Express $ 21.98199-11-6399.MC-001-2-22-Q-00/EXP

$ 455,550.19 78991 A/P Check08/29/2012 American Express $ 22.37199-11-6399.MC-001-2-22-Q-00/EXP

$ 455,367.03 78992 A/P Check08/29/2012 American Express $ 183.16199-34-6399.TR-999-2-99-A-00/EXP

$ 453,839.41 78993 A/P Check08/29/2012 American Express $ 1,527.62199-11-6399.HS-001-2-11-Q-00/EXP

Oct 09, 2012Page 34 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 443,755.81 78994 A/P Check08/29/2012 IVS, Inc. (AngelTrax Video Surveillance) $ 10,083.60199-34-6398.TR-999-2-99-A-00/EXP

���� $ 442,774.11 78995 A/P Check08/29/2012 Bennett Printing & Office Supply $ 981.70- Splits -

$ 442,640.91 78996 A/P Check08/29/2012 Breaker Broker, Inc. $ 133.20199-51-6319.MA-999-2-99-A-04/EXP

$ 438,858.21 78997 A/P Check08/29/2012 Carrier Enterprise, LLC $ 3,782.70- Splits -

$ 434,301.21 78998 A/P Check08/29/2012 Carrier Enterprise, LLC $ 4,557.00- Splits -

���� $ 433,936.62 78999 A/P Check08/29/2012 CISD General Fund $ 364.59- Splits -

���� $ 433,375.12 79000 A/P Check08/29/2012 CISD Transportation $ 561.50199-36-6412.DT-001-2-99-Q-00/EXP

$ 432,824.87 79001 A/P Check08/29/2012 Cornerstone Graduate Supply, Inc. $ 550.25- Splits -

$ 432,737.87 79002 A/P Check08/29/2012 Jeff Cotten $ 87.00461-36-6411.83-001-2-99-Q-00/EXP

$ 429,357.87 79003 A/P Check08/29/2012 Custom Floors, Inc. $ 3,380.00199-51-6249.MA-999-2-99-A-07/EXP

���� $ 429,157.87 79004 A/P Check08/29/2012 Family Medicine Associates $ 200.00- Splits -

$ 429,068.77 79005 A/P Check08/29/2012 HEB Credit Receivables $ 89.10461-23-6499.SF-111-2-11-P-00/EXP

$ 428,821.17 79006 A/P Check08/29/2012 HEB Credit Receivables $ 247.60- Splits -

$ 428,491.17 79007 A/P Check08/29/2012 Inflatable Party Magic $ 330.00461-11-6499.SF-111-2-11-P-00/EXP

$ 428,314.17 79008 A/P Check08/29/2012 Ingram Concrete $ 177.00- Splits -

$ 425,919.17 79009 A/P Check08/29/2012 Johnson Controls Inc. $ 2,395.00- Splits -

$ 425,677.17 79011 A/P Check08/29/2012 Lemon Sisters Cafe $ 242.00461-23-6499.SF-111-2-11-P-00/EXP

$ 425,572.92 79012 A/P Check08/29/2012 Lonestar Ranch & Outdoors $ 104.25199-51-6319.MA-999-2-99-A-01/EXP

$ 424,912.92 79013 A/P Check08/29/2012 Mallory Screenprint & Embroidery $ 660.00461-36-6399.SF-111-2-99-P-00/EXP

���� $ 424,312.92 79014 A/P Check08/29/2012 Justin Marchel $ 600.00199-11-6299.CE-999-2-99-A-00/EXP

$ 424,197.92 79015 A/P Check08/29/2012 Mitchells Carpet Center $ 115.00- Splits -

$ 423,997.92 79016 A/P Check08/29/2012 Montgomery Sheet Metal $ 200.00199-51-6249.MA-999-2-99-A-06/EXP

$ 422,107.92 79017 A/P Check08/29/2012 Pioneer Manufacturing Company $ 1,890.00199-51-6319.MA-999-2-99-A-02/EXP

$ 419,607.92 79018 A/P Check08/29/2012 RF Systems, Inc. $ 2,500.00199-34-6249.TR-999-2-99-A-00/EXP

$ 418,831.92 79019 A/P Check08/29/2012 Runnels Glass & Pickup Accessories $ 776.00199-51-6249.MA-999-2-99-A-07/EXP

$ 418,461.92 79020 A/P Check08/29/2012 Sand Trap Service Company $ 370.00199-51-6249.MA-999-2-99-A-02/EXP

$ 415,061.92 79021 A/P Check08/29/2012 Reliance Communications, LLC $ 3,400.00199-11-6269.HS-001-2-11-Q-00/EXP

$ 414,971.92 79022 A/P Check08/29/2012 Signs Of Success $ 90.00199-51-6249.MA-999-2-99-A-07/EXP

$ 414,021.92 79023 A/P Check08/29/2012 Skills USA $ 950.00461-36-6411.83-001-2-99-Q-00/EXP

$ 413,921.92 79024 A/P Check08/29/2012 TASPA $ 100.00199-41-6495.GA-750-2-99-A-00/EXP

$ 413,881.92 79025 A/P Check08/29/2012 David Walker $ 40.00199-34-6411.TR-999-2-99-A-00/EXP

$ 413,871.04 79026 A/P Check08/29/2012 Walmart Community/GEMB $ 10.88461-11-6399.TS-002-2-11-Q-00/EXP

$ 412,993.13 79027 A/P Check08/29/2012 We Believe In You Scholarship $ 877.91461-36-6399.60-001-2-99-Q-00/EXP

$ 412,298.13 79028 A/P Check08/29/2012 Westhill Construction, Inc. $ 695.00199-51-6249.MA-999-2-99-A-08/EXP

$ 411,820.76 79029 A/P Check08/29/2012 Wright Express FSC $ 477.37199-34-6311.TR-999-2-99-A-00/EXP

���� $ 410,800.62 10420 Withdrawal08/30/2012 DUE TO 865 $ 1,020.14461-00-2177.00-000-2-00-0-00/G/L

���� $ 411,951.89 10421 Deposit08/30/2012 DUE FROM 163 - INTEREST $ 1,151.27- Splits -

���� $ 416,388.15 10422 Deposit08/30/2012 DUE FROM 824 $ 4,436.26827-00-1267.00-000-2-00-0-00/G/L

Oct 09, 2012Page 35 of 64

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FBK003

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 416,398.15 10453 Deposit08/30/2012 CAR TAGS $ 10.00461-00-5755.00-102-2-00-0-00/REV

���� $ 416,401.27 10465 Deposit08/30/2012 MEAL MONEY RETURNED $ 3.12191-36-6411.41-001-2-91-Q-00/EXP

���� $ 417,111.27 10466 Deposit08/30/2012 SEASON TICKETS, BOX SEATS & PARKING $ 710.00191-00-5752.41-000-2-00-0-00/REV

���� $ 417,114.27 10470 Deposit08/30/2012 CAR TAGS $ 3.00461-00-5755.00-104-2-00-0-00/REV

���� $ 417,134.27 10471 Deposit08/30/2012 CAR TAGS $ 20.00461-00-5755.00-104-2-00-0-00/REV

���� $ 417,203.77 10492 Deposit08/30/2012 CARE & DRIVERS ED $ 69.50199-00-5755.CA-000-2-00-0-00/REV

���� $ 417,143.77 79010 A/P Check08/30/2012 Charles Kaiser $ 60.00191-36-6412.63-001-2-91-Q-00/EXP

���� $ 417,160.39 10433 Deposit08/31/2012 RECYCLE ADAMS $ 16.62461-00-5755.00-101-2-00-0-00/REV

���� $ 417,201.09 10435 Deposit08/31/2012 CHANGE PO 11-62527 $ 40.70199-36-6411.OA-001-2-22-Q-00/EXP

���� $ 418,429.97 10436 Deposit08/31/2012 TRANSP FEES $ 1,228.88199-00-5739.04-000-2-00-0-00/REV

���� $ 421,460.22 10437 Deposit08/31/2012 RIDEGWAY RENTALS $ 3,030.25199-00-5743.01-000-2-00-0-00/REV

���� $ 421,475.22 10438 Deposit08/31/2012 NSF FEES $ 15.00199-00-5749.00-000-2-00-0-00/REV

���� $ 421,850.22 10439 Deposit08/31/2012 FACILITY RENTAL $ 375.00199-00-5743.00-000-2-00-0-00/REV

���� $ 422,015.45 10440 Deposit08/31/2012 COBRA DENTAL & VISION $ 165.23199-41-6142.GA-750-2-99-A-00/EXP

���� $ 422,208.20 10441 Deposit08/31/2012 REFUND CREDIT JW PEPPER $ 192.75199-00-5749.00-000-2-00-0-00/REV

���� $ 422,236.19 10442 Deposit08/31/2012 COBRA DENTAL $ 27.99199-41-6142.GA-750-2-99-A-00/EXP

���� $ 422,306.19 10443 Deposit08/31/2012 REFUND PO11-63864 $ 70.00199-33-6411.HT-001-2-99-Q-00/EXP

���� $ 424,265.62 10444 Deposit08/31/2012 MEDICAID REIMBURSEMENT $ 1,959.43199-00-5932.00-000-2-00-0-00/REV

���� $ 424,413.22 10445 Deposit08/31/2012 POSTAGE REIMBURSEMENT $ 147.60199-41-6399.GA-750-2-99-A-00/EXP

���� $ 425,417.61 10446 Deposit08/31/2012 POSTAGE REIMBURSEMENT $ 1,004.39199-41-6399.GA-750-2-99-A-00/EXP

���� $ 425,612.12 10447 Deposit08/31/2012 GAS WELL PROCEEDS $ 194.51827-00-5744.00-000-2-00-0-00/REV

���� $ 425,614.12 10450 Deposit08/31/2012 CHANGE STUDENT MEALS PO11-64448 $ 2.00461-36-6412.99-001-2-99-Q-00/EXP

���� $ 425,679.12 10451 Deposit08/31/2012 YEARBOOK $ 65.00461-00-5755.93-001-2-00-0-00/REV

���� $ 425,834.12 10452 Deposit08/31/2012 DANCE $ 155.00461-00-5755.34-001-2-00-0-00/REV

���� $ 425,870.04 10454 Deposit08/31/2012 RECYCLING $ 35.92461-00-5755.00-102-2-00-0-00/REV

���� $ 426,120.04 10455 Deposit08/31/2012 DONATION - HUGHES $ 250.00461-00-5755.00-102-2-00-0-00/REV

���� $ 426,441.04 10456 Deposit08/31/2012 NSF CHECKS RETURNED $ 321.00- Splits -

���� $ 428,441.04 10457 Deposit08/31/2012 DONATION - TARGET $ 2,000.00461-00-5755.00-103-2-00-0-00/REV

���� $ 428,481.04 10458 Deposit08/31/2012 MARTI - TEXTBOOK DAMAGE $ 40.00461-00-5755.00-838-2-00-0-00/REV

���� $ 428,484.04 10459 Deposit08/31/2012 MARTI - CARTAGS $ 3.00461-00-5755.00-103-2-00-0-00/REV

���� $ 428,734.04 10460 Deposit08/31/2012 SMS GIRLS ATH. T-SHIRTS $ 250.00461-00-5755.17-041-2-00-0-00/REV

���� $ 429,070.04 10461 Deposit08/31/2012 SMS CHOIR T-SHIRTS $ 336.00461-00-5755.14-041-2-00-0-00/REV

���� $ 429,140.04 10462 Deposit08/31/2012 ACCELERATED READING STORE $ 70.00461-00-5755.00-108-2-00-0-00/REV

���� $ 429,257.04 10463 Deposit08/31/2012 SPIRIT SHIRTS / CARTAGS $ 117.00- Splits -

���� $ 429,396.78 10464 Deposit08/31/2012 TARGET TAKE CHARGE OF EDUCATION $ 139.74461-00-5755.00-108-2-00-0-00/REV

���� $ 429,408.78 10467 Deposit08/31/2012 MEAL MONEY RETURNED $ 12.00191-36-6412.63-001-2-91-Q-00/EXP

���� $ 430,083.78 10468 Deposit08/31/2012 SEASON TICKETS, BOX SEATS & PARKING $ 675.00191-00-5752.41-000-2-00-0-00/REV

���� $ 430,121.28 10469 Deposit08/31/2012 TEXTBOOK REPLACEMENT FEE -SF $ 37.50461-00-5755.00-837-2-00-0-00/REV

Oct 09, 2012Page 36 of 64

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

���� $ 430,217.28 10472 Deposit08/31/2012 STAFF T-SHIRTS $ 96.00461-00-5755.00-111-2-00-0-00/REV

���� $ 430,337.28 10473 Deposit08/31/2012 STAFF T-SHIRTS $ 120.00461-00-5755.00-111-2-00-0-00/REV

���� $ 430,687.28 10493 Deposit08/31/2012 CARE & DRIVERS ED $ 350.00199-00-5755.CE-000-2-00-0-00/REV

���� $ 430,915.26 10495 Deposit08/31/2012 MONEY MARKET INTEREST $ 227.98199-00-5742.00-000-2-00-0-00/REV

���� $ 430,915.26 10616 Deposit08/31/2012 - VOID - AMERICAN EXPRESS $ 7.95199-41-6499.GA-750-2-99-A-00/EXP

���� $ 430,907.31 10617 Withdrawal08/31/2012 American Express CC Fee August 2012 $ 7.95199-41-6499.GA-750-2-99-A-00/EXP

$ 279,239.65 14405 W/T W/D08/31/2012 Cleburne Independent School District $ 151,667.66- Splits -

$ 279,229.65 79030 A/P Check08/31/2012 Diane Banton $ 10.00199-33-6411.HT-001-2-99-Q-00/EXP

$ 278,082.15 79031 A/P Check08/31/2012 Bill Beatty Insurance Agency $ 1,147.50199-00-1410.00-000-2-00-0-00/G/L

���� $ 278,037.15 79032 A/P Check08/31/2012 CISD General Fund $ 45.00- Splits -

$ 277,579.65 79033 A/P Check08/31/2012 Cleburne Glass Co. Inc $ 457.50199-51-6319.MA-999-2-99-A-00/EXP

$ 277,569.65 79034 A/P Check08/31/2012 Lesli Currin $ 10.00- Splits -

$ 277,559.65 79035 A/P Check08/31/2012 Christi Gregory $ 10.00- Splits -

$ 276,114.15 79036 A/P Check08/31/2012 Henslee Schwartz LLP $ 1,445.50199-41-6211.GA-701-2-99-A-00/EXP

$ 276,104.15 79037 A/P Check08/31/2012 Renae Hipp $ 10.00- Splits -

$ 275,104.15 79038 A/P Check08/31/2012 Hufford Piano Service $ 1,000.00199-11-6299.CO-001-2-11-Q-00/EXP

$ 275,094.15 79039 A/P Check08/31/2012 Lori Johnson $ 10.00- Splits -

$ 274,794.15 79040 A/P Check08/31/2012 Maverick Recognition, LLC $ 300.00- Splits -

$ 273,744.15 79041 A/P Check08/31/2012 Maverick Recognition, LLC $ 1,050.00199-36-6499.HS-001-2-99-Q-00/EXP

$ 270,579.15 79042 A/P Check08/31/2012 Metro Golf Carts $ 3,165.00199-52-6398.HS-001-2-99-Q-00/EXP

$ 270,286.65 79043 A/P Check08/31/2012 Signs Of Success $ 292.50191-36-6399.61-001-2-91-Q-00/EXP

$ 269,392.83 79044 A/P Check08/31/2012 Staples Advantage $ 893.82- Splits -

$ 268,522.83 79045 A/P Check08/31/2012 TASSP $ 870.00199-23-6495.HS-001-2-99-Q-00/EXP

$ 266,247.99 79046 A/P Check08/31/2012 Temperature Control Systems, Inc. $ 2,274.84199-51-6319.MA-999-2-99-A-04/EXP

$ 265,093.79 79047 A/P Check08/31/2012 The Tennis Shop $ 1,154.20- Splits -

$ 263,113.79 79048 A/P Check08/31/2012 The Tennis Shop $ 1,980.00191-36-6399.51-001-2-91-Q-00/EXP

$ 263,109.50 79049 A/P Check08/31/2012 Tractor Supply Company $ 4.29199-51-6319.MA-999-2-99-A-01/EXP

$ 259,460.00 79050 A/P Check08/31/2012 United Cooperative Services $ 3,649.50199-51-6258.MO-999-2-99-A-00/EXP

���� $ 259,460.00 79051 A/P Check08/31/2012 - VOID - Vibra-Whirl Sports $ 88,854.75

���� $ 259,119.35 79052 A/P Check08/31/2012 CISD General Fund $ 340.65- Splits -

$ 259,095.50 79053 A/P Check08/31/2012 Christy Burton $ 23.85- Splits -

���� $ 258,947.90 79054 A/P Check08/31/2012 CISD General Fund $ 147.60- Splits -

$ 258,872.95 79055 A/P Check08/31/2012 Hewlett Office Systems, LLC $ 74.95461-11-6399.AD-101-2-11-P-00/EXP

$ 258,845.21 79056 A/P Check08/31/2012 Shaun Mattix $ 27.74199-21-6411.SB-999-2-23-A-00/EXP

$ 257,166.13 79057 A/P Check08/31/2012 School Specialty Inc. $ 1,679.08- Splits -

$ 256,945.48 79058 A/P Check08/31/2012 Walmart Community/GEMB $ 220.65461-23-6499.AD-101-2-99-P-00/EXP

$ 183,092.07 79059 A/P Check08/31/2012 Vibra-Whirl $ 73,853.41199-51-6249.MA-999-2-99-A-08/EXP

$ 181,037.22 79060 A/P Check08/31/2012 Bennett Printing & Office Supply $ 2,054.85199-34-6399.TR-999-2-99-A-00/EXP

Oct 09, 2012Page 37 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 180,660.03 79061 A/P Check08/31/2012 Bucks Wheel & Equipment $ 377.19- Splits -

$ 180,513.34 79062 A/P Check08/31/2012 CISD General Fund $ 146.69- Splits -

$ 167,703.64 79063 A/P Check08/31/2012 Indeco Sales, Inc. $ 12,809.70- Splits -

$ 167,144.30 79064 A/P Check08/31/2012 Ogburns Truck Parts $ 559.34199-34-6318.TR-999-2-99-A-00/EXP

$ 164,416.79 79065 A/P Check08/31/2012 O'Reilly Auto $ 2,727.51- Splits -

$ 164,322.79 79066 A/P Check08/31/2012 Rogers Lube Service $ 94.00- Splits -

$ 162,511.59 79067 A/P Check08/31/2012 Southwest International Truck $ 1,811.20- Splits -

$ 162,483.40 79068 A/P Check08/31/2012 Tire Team $ 28.19199-34-6299.TR-999-2-99-A-00/EXP

$ 162,422.26 79069 A/P Check08/31/2012 David Walker $ 61.14199-34-6411.TR-999-2-99-A-00/EXP

$ 162,349.81 79070 A/P Check08/31/2012 William V MacGill & Co. $ 72.45- Splits -

$ 162,323.31 79071 A/P Check08/31/2012 Tammy Bright $ 26.50199-13-6411.CP-999-2-11-A-00/EXP

$ 160,754.31 79072 A/P Check08/31/2012 Careys Sporting Goods $ 1,569.00- Splits -

$ 158,020.71 79073 A/P Check08/31/2012 Careys Sporting Goods $ 2,733.60- Splits -

$ 154,425.21 79074 A/P Check08/31/2012 Careys Sporting Goods $ 3,595.50191-36-6399.45-041-2-91-Q-00/EXP

$ 154,413.56 79075 A/P Check08/31/2012 CISD General Fund $ 11.65161-11-6399.TS-002-2-26-Q-00/EXP

$ 154,403.01 79076 A/P Check08/31/2012 Trina Cody $ 10.55- Splits -

$ 154,380.16 79077 A/P Check08/31/2012 Lesli Currin $ 22.85- Splits -

$ 153,341.99 79078 A/P Check08/31/2012 Dealers Electrical Supply Co. $ 1,038.17- Splits -

$ 153,244.52 79079 A/P Check08/31/2012 Kathy Ferrell $ 97.47199-13-6411.CP-999-2-11-A-00/EXP

$ 152,464.60 79080 A/P Check08/31/2012 Follett Library Resources $ 779.92199-12-6329.SF-111-2-11-P-00/EXP

$ 148,642.60 79081 A/P Check08/31/2012 Groggy Dog Sportwear $ 3,822.00- Splits -

$ 148,617.94 79082 A/P Check08/31/2012 Chris Jackson $ 24.66199-13-6411.CP-999-2-11-A-00/EXP

$ 148,577.08 79083 A/P Check08/31/2012 Adela Kelley $ 40.86461-36-6399.60-001-2-99-Q-00/EXP

$ 147,827.08 79084 A/P Check08/31/2012 Maverick Recognition, LLC $ 750.00- Splits -

$ 146,477.08 79085 A/P Check08/31/2012 Maverick Recognition, LLC $ 1,350.00- Splits -

$ 146,443.90 79086 A/P Check08/31/2012 Cheri McCullough $ 33.18199-13-6411.CP-999-2-11-A-00/EXP

$ 146,389.90 79087 A/P Check08/31/2012 N-Synch Technologies $ 54.00- Splits -

$ 145,860.70 79088 A/P Check08/31/2012 Pearson Clinical Assessment $ 529.20- Splits -

$ 143,360.70 79089 A/P Check08/31/2012 Michael Sisco $ 2,500.00199-11-6299.HB-001-2-11-Q-00/EXP

$ 143,297.22 79090 A/P Check08/31/2012 Ginger Tanem $ 63.48199-13-6411.CP-999-2-11-A-00/EXP

$ 143,082.22 79091 A/P Check08/31/2012 Texas Education News $ 215.00199-23-6399.HS-001-2-99-Q-00/EXP

$ 142,885.28 79092 A/P Check08/31/2012 Walmart Community/GEMB $ 196.94- Splits -

$ 141,909.78 79093 A/P Check08/31/2012 All-Tex Locksmiths $ 975.50- Splits -

$ 139,899.78 79094 A/P Check08/31/2012 Rescue 1 $ 2,010.00199-33-6299.HT-999-2-99-A-00/EXP

$ 139,884.68 79095 A/P Check08/31/2012 Sharyn Blair $ 15.10- Splits -

$ 139,668.37 79096 A/P Check08/31/2012 Bobs Auto Supply $ 216.31- Splits -

$ 139,593.69 79097 A/P Check08/31/2012 Cleburne Glass Co. Inc $ 74.68- Splits -

$ 138,634.85 79098 A/P Check08/31/2012 Gatewood Electric $ 958.84- Splits -

Oct 09, 2012Page 38 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 128,436.71 79099 A/P Check08/31/2012 Gomez Floor Covering, Inc. $ 10,198.14199-51-6249.MA-999-2-99-A-07/EXP

$ 122,702.51 79100 A/P Check08/31/2012 Lawn Tech, Inc $ 5,734.20- Splits -

$ 113,712.51 79101 A/P Check08/31/2012 Lawn Tech, Inc $ 8,990.00199-51-6639.MA-999-2-99-A-00/EXP

$ 72,939.41 79102 A/P Check08/31/2012 Layland Plumbing Inc. $ 40,773.10199-51-6249.MA-999-2-99-A-02/EXP

$ 72,932.23 79103 A/P Check08/31/2012 Elaine Lewis $ 7.18199-41-6411.GA-750-2-99-A-00/EXP

$ 60,950.01 79104 A/P Check08/31/2012 Matthews Office City $ 11,982.22- Splits -

$ 60,759.27 79105 A/P Check08/31/2012 Office Depot $ 190.74199-34-6399.TR-999-2-99-A-00/EXP

$ 54,749.27 79106 A/P Check08/31/2012 Omni 1rst Integrated Systems $ 6,010.00- Splits -

$ 54,279.80 79107 A/P Check08/31/2012 Praxair Distribution Inc $ 469.47- Splits -

$ 54,240.05 79108 A/P Check08/31/2012 Rogers Lube Service $ 39.75199-51-6249.MA-999-2-99-A-00/EXP

$ 42,742.03 79109 A/P Check08/31/2012 Soil Express $ 11,498.02199-51-6249.MA-999-2-99-A-06/EXP

$ 39,574.03 79110 A/P Check08/31/2012 Sports Field Solutions $ 3,168.00199-51-6319.MA-999-2-99-A-02/EXP

$ 39,089.83 79111 A/P Check08/31/2012 Sunbelt Rentals $ 484.20199-51-6269.MA-999-2-99-A-00/EXP

$ 38,444.83 79112 A/P Check08/31/2012 United Elevator Services Company $ 645.00199-51-6299.MA-999-2-99-A-00/EXP

$ 38,183.79 79113 A/P Check08/31/2012 Watson And Son, Inc. $ 261.04- Splits -

$ 36,203.79 79114 A/P Check08/31/2012 Rescue 1 $ 1,980.00199-34-6219.TR-999-2-99-A-00/EXP

$ 36,083.79 79115 A/P Check08/31/2012 CABC $ 120.00199-41-6399.GA-701-2-99-A-00/EXP

$ 36,040.49 79116 A/P Check08/31/2012 Cecilia Centeno $ 43.30199-51-6411.MA-999-2-99-A-00/EXP

$ 35,849.49 79117 A/P Check08/31/2012 CISD Transportation $ 191.00- Splits -

$ 35,246.71 79118 A/P Check08/31/2012 CISD Transportation $ 602.78- Splits -

$ 34,950.71 79119 A/P Check08/31/2012 Compliance Consortium Corporation $ 296.00- Splits -

$ 34,828.21 79120 A/P Check08/31/2012 Gary Fulenwider $ 122.50199-52-6219.HS-001-2-99-Q-00/EXP

$ 34,324.21 79121 A/P Check08/31/2012 Gandy Ink $ 504.00199-36-6499.HB-001-2-99-Q-00/EXP

$ 34,279.10 79122 A/P Check08/31/2012 Juanell Isaac $ 45.11199-21-6411.SB-999-2-23-A-00/EXP

$ 34,270.19 79123 A/P Check08/31/2012 Jane Mayden $ 8.91- Splits -

$ 34,245.06 79124 A/P Check08/31/2012 Belen Morgan $ 25.13199-13-6411.CP-999-2-11-A-00/EXP

$ 32,635.00 79125 A/P Check08/31/2012 Cynthia Neverdousky $ 1,610.06199-13-6299.HS-001-2-11-Q-00/EXP

$ 24,290.64 79127 A/P Check08/31/2012 Petroleum Traders $ 8,344.36199-34-6311.TR-999-2-99-A-00/EXP

$ 24,168.14 79128 A/P Check08/31/2012 Donnie Riddell $ 122.50199-52-6219.HS-001-2-99-Q-00/EXP

$ 24,010.64 79129 A/P Check08/31/2012 Donnie Riddell $ 157.50199-52-6219.HS-001-2-99-Q-00/EXP

$ 23,342.36 79130 A/P Check08/31/2012 Sears $ 668.28199-34-6398.TR-999-2-99-A-00/EXP

$ 22,415.82 79132 A/P Check08/31/2012 Jim Wood $ 926.54461-36-6412.99-001-2-99-Q-00/EXP

$ 22,215.82 79137 A/P Check08/31/2012 A Photo Identification, Inc. $ 200.00- Splits -

($ 79,917.44) 79138 A/P Check08/31/2012 Cavallo Energy Texas LLC $ 102,133.26199-51-6258.MO-999-2-99-A-00/EXP

($ 79,953.05) 79139 A/P Check08/31/2012 Mauro Cavazos $ 35.61- Splits -

($ 80,001.55) 79140 A/P Check08/31/2012 CISD Transportation $ 48.50199-41-6411.GA-750-2-99-A-00/EXP

($ 90,376.72) 79141 A/P Check08/31/2012 Johnson County Treasurer $ 10,375.17199-52-6219.RO-999-2-99-A-00/EXP

($ 90,396.00) 79142 A/P Check08/31/2012 Lori Johnson $ 19.28- Splits -

Oct 09, 2012Page 39 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 90,408.93) 79143 A/P Check08/31/2012 Randy Stone $ 12.93199-41-6411.TB-750-2-99-A-00/EXP

($ 90,488.93) 79144 A/P Check08/31/2012 Tarrant County College $ 80.00461-11-6499.AE-821-2-00-A-00/EXP

($ 91,138.93) 79145 A/P Check08/31/2012 TASB $ 650.00- Splits -

($ 91,667.13) 79149 A/P Check08/31/2012 Alert Services, Inc. $ 528.20191-36-6398.43-041-2-91-Q-00/EXP

($ 91,726.93) 79150 A/P Check08/31/2012 Bennett Printing & Office Supply $ 59.80199-21-6399.OA-001-2-22-Q-00/EXP

($ 98,290.69) 79151 A/P Check08/31/2012 Carrier Enterprise, LLC $ 6,563.76- Splits -

($ 98,301.23) 79152 A/P Check08/31/2012 Tresa Carter $ 10.54199-41-6411.GA-750-2-99-A-00/EXP

($ 98,315.23) 79153 A/P Check08/31/2012 Cleburne Propane Co $ 14.00199-51-6319.CU-999-2-99-A-00/EXP

($ 101,437.90) 79154 A/P Check08/31/2012 Dealers Electrical Supply Co. $ 3,122.67- Splits -

($ 101,631.35) 79155 A/P Check08/31/2012 Elliott Electric Supply $ 193.45199-51-6319.MA-999-2-99-A-00/EXP

($ 114,612.35) 79156 A/P Check08/31/2012 Enviromatic Systems Services, Inc. $ 12,981.00199-51-6249.MA-999-2-99-A-07/EXP

($ 115,137.35) 79157 A/P Check08/31/2012 ESC, Region 11 $ 525.00199-34-6239.TR-999-2-99-A-00/EXP

($ 115,337.35) 79158 A/P Check08/31/2012 Family Medicine Associates $ 200.00- Splits -

($ 116,004.35) 79159 A/P Check08/31/2012 Floyette Originals $ 667.00461-36-6399.34-001-2-99-Q-00/EXP

($ 116,018.14) 79160 A/P Check08/31/2012 Jane Flynn $ 13.79199-13-6411.CP-999-2-11-A-00/EXP

($ 116,143.14) 79161 A/P Check08/31/2012 Ft. Worth Football Officials $ 125.00191-36-6299.41-001-2-91-Q-00/EXP

($ 116,183.14) 79162 A/P Check08/31/2012 Blake Glenn $ 40.00199-51-6411.MO-999-2-99-A-09/EXP

($ 116,341.07) 79163 A/P Check08/31/2012 Blake Glenn $ 157.93199-51-6411.MO-999-2-99-A-09/EXP

($ 116,597.56) 79164 A/P Check08/31/2012 Blake Glenn $ 256.49199-51-6411.MO-999-2-99-A-09/EXP

($ 116,622.60) 79165 A/P Check08/31/2012 Jostens Inc. $ 25.04199-11-6499.HS-001-2-11-Q-00/EXP

($ 116,704.31) 79166 A/P Check08/31/2012 Christa Lackey $ 81.71461-36-6411.99-001-2-99-Q-00/EXP

($ 116,854.81) 79167 A/P Check08/31/2012 Layland Plumbing Inc. $ 150.50- Splits -

($ 118,304.81) 79168 A/P Check08/31/2012 Layland Plumbing Inc. $ 1,450.00- Splits -

($ 118,403.42) 79169 A/P Check08/31/2012 Lectorum Publications Inc $ 98.61199-12-6329.IR-104-2-11-P-00/EXP

($ 118,425.12) 79170 A/P Check08/31/2012 Matt Lee $ 21.70- Splits -

($ 119,026.37) 79171 A/P Check08/31/2012 Lil Mac's Sports Center $ 601.25461-36-6399.10-001-2-99-Q-00/EXP

($ 119,404.37) 79172 A/P Check08/31/2012 Lone Star Newsgroup $ 378.00199-41-6499.GA-750-2-99-A-00/EXP

($ 119,444.37) 79173 A/P Check08/31/2012 Heath Meland $ 40.00- Splits -

($ 119,530.95) 79174 A/P Check08/31/2012 Heath Meland $ 86.58- Splits -

($ 119,575.95) 79175 A/P Check08/31/2012 Matt Moring $ 45.00199-53-6411.00-999-2-99-A-96/EXP

($ 119,615.95) 79176 A/P Check08/31/2012 Britt Osbourn $ 40.00- Splits -

($ 119,736.25) 79177 A/P Check08/31/2012 Britt Osbourn $ 120.30- Splits -

($ 119,851.77) 79178 A/P Check08/31/2012 Uriel Rogers $ 115.52- Splits -

($ 120,641.83) 79179 A/P Check08/31/2012 Sears $ 790.06199-34-6399.TR-999-2-99-A-00/EXP

($ 120,686.83) 79180 A/P Check08/31/2012 Jerry Smith $ 45.00199-53-6411.00-999-2-99-A-96/EXP

($ 121,324.42) 79181 A/P Check08/31/2012 Staples Advantage $ 637.59- Splits -

($ 121,344.42) 79182 A/P Check08/31/2012 Tammy Strube $ 20.00199-33-6411.SB-999-2-23-A-00/EXP

($ 123,459.42) 79183 A/P Check08/31/2012 TASB $ 2,115.00199-51-6499.MA-999-2-99-A-00/EXP

Oct 09, 2012Page 40 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 123,499.41) 79184 A/P Check08/31/2012 Texas Royal Pizza $ 39.99199-41-6499.GA-702-2-99-A-00/EXP

($ 124,063.15) 79185 A/P Check08/31/2012 Jim Wood $ 563.74- Splits -

($ 163,664.80) 79186 A/P Check08/31/2012 B & B Athletic Supply $ 39,601.65191-36-6399.41-001-2-91-Q-00/EXP

($ 163,754.80) 79187 A/P Check08/31/2012 James Brett Campbell $ 90.00191-36-6299.41-001-2-91-Q-00/EXP

($ 163,784.80) 79188 A/P Check08/31/2012 Misty Farrington $ 30.00191-36-6299.41-001-2-91-Q-00/EXP

($ 163,918.38) 79189 A/P Check08/31/2012 Anthony Gibson $ 133.58191-36-6299.41-001-2-91-Q-00/EXP

($ 163,948.38) 79190 A/P Check08/31/2012 Jeremy Horton $ 30.00191-36-6299.41-001-2-91-Q-00/EXP

($ 174,323.55) 79191 A/P Check08/31/2012 Johnson County Treasurer $ 10,375.17199-52-6219.RO-999-2-99-A-00/EXP

($ 174,389.50) 79192 A/P Check08/31/2012 Laser Tech Solutions $ 65.95161-11-6249.TS-002-2-26-Q-00/EXP

($ 174,419.50) 79193 A/P Check08/31/2012 Jackie Mayden $ 30.00191-36-6299.41-001-2-91-Q-00/EXP

($ 174,509.50) 79194 A/P Check08/31/2012 Leroy Perry $ 90.00191-36-6299.41-001-2-91-Q-00/EXP

($ 174,599.50) 79195 A/P Check08/31/2012 Daniel H. Salazar $ 90.00191-36-6299.41-001-2-91-Q-00/EXP

($ 175,127.70) 79221 A/P Check08/31/2012 Alert Services, Inc. $ 528.20191-36-6398.43-107-2-91-Q-00/EXP

($ 175,345.12) 79222 A/P Check08/31/2012 ATMOS Energy $ 217.42- Splits -

($ 177,029.17) 79223 A/P Check08/31/2012 CISD Transportation $ 1,684.05- Splits -

($ 223,682.74) 79224 A/P Check08/31/2012 City Of Cleburne $ 46,653.57199-51-6256.MO-999-2-99-A-00/EXP

($ 233,785.74) 79225 A/P Check08/31/2012 Enviromatic Systems Services, Inc. $ 10,103.00199-51-6249.MA-999-2-99-A-07/EXP

($ 233,857.73) 79226 A/P Check08/31/2012 Guadalupe Garza $ 71.99- Splits -

($ 246,129.73) 79227 A/P Check08/31/2012 Gymini Sports, Inc. $ 12,272.00199-51-6249.MA-999-2-99-A-07/EXP

($ 247,657.01) 79228 A/P Check08/31/2012 Home Depot Credit Services $ 1,527.28199-51-6319.MA-999-2-99-A-05/EXP

($ 248,312.01) 79229 A/P Check08/31/2012 Inflatable Party Magic $ 655.00461-11-6499.IR-104-2-11-P-00/EXP

($ 248,498.01) 79230 A/P Check08/31/2012 Lone Star Newsgroup $ 186.00199-41-6499.GA-750-2-99-A-00/EXP

($ 250,433.39) 79231 A/P Check08/31/2012 Lowes Business Account $ 1,935.38199-51-6319.MA-999-2-99-A-05/EXP

($ 250,563.52) 79232 A/P Check08/31/2012 Tim Miller $ 130.13199-41-6411.GA-701-2-99-A-00/EXP

($ 250,921.11) 79233 A/P Check08/31/2012 Rowlett Hardware $ 357.59- Splits -

($ 251,745.82) 79234 A/P Check08/31/2012 Sherwin Williams Co. $ 824.71- Splits -

($ 253,795.82) 79235 A/P Check08/31/2012 Tyler Technologies, Inc. $ 2,050.00- Splits -

($ 253,785.82) 10475 Deposit09/04/2012 CARTAGS $ 10.00461-00-5755.00-108-3-00-0-00/REV

($ 253,773.82) 10476 Deposit09/04/2012 CAR TAGS $ 12.00461-00-5755.00-102-3-00-0-00/REV

($ 253,497.82) 10477 Deposit09/04/2012 SMS CHOIR T-SHIRTS $ 276.00461-00-5755.14-041-3-00-0-00/REV

($ 253,482.82) 10478 Deposit09/04/2012 CHOIR REGION FEE $ 15.00461-00-5755.14-107-3-00-0-00/REV

($ 253,312.82) 10479 Deposit09/04/2012 CHOIR T-SHIRTS $ 170.00461-00-5755.14-107-3-00-0-00/REV

($ 252,657.82) 10480 Deposit09/04/2012 BAND FEES $ 655.00461-00-5755.18-107-3-00-0-00/REV

($ 252,615.82) 10481 Deposit09/04/2012 FB MEAL MONEY RETURNED $ 42.00191-36-6412.41-001-3-91-Q-00/EXP

($ 251,940.82) 10482 Deposit09/04/2012 SEASON TICKETS BOX SEATS & PARKING $ 675.00191-00-5752.41-000-3-00-0-00/REV

($ 250,648.82) 10483 Deposit09/04/2012 9A/JV FOOTBALL 8-31-12 $ 1,292.00191-00-5752.41-000-3-00-0-00/REV

($ 250,525.32) 10877 Deposit09/04/2012 CARE $ 123.50199-00-5755.CA-000-3-00-0-00/REV

($ 160,368.71) 10474 Deposit09/05/2012 AUGUST TAX COLLECTION $ 90,156.61199-00-1211.00-000-3-00-0-00/G/L

Oct 09, 2012Page 41 of 64

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FBK003

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 160,233.71) 10484 Deposit09/05/2012 MEAL MONEY RETURNED $ 135.00191-00-1410.00-000-3-00-0-00/G/L

($ 159,813.71) 10485 Deposit09/05/2012 SEASON TICKETS BOX SEATS & PARKING $ 420.00191-00-5752.41-000-3-00-0-00/REV

($ 159,753.71) 10496 Deposit09/05/2012 SANTA FE T-SHIRTS $ 60.00461-00-5755.00-111-3-00-0-00/REV

($ 159,745.71) 10536 Deposit09/05/2012 CAR TAGS $ 8.00461-00-5755.00-108-3-00-0-00/REV

($ 159,393.71) 10878 Deposit09/05/2012 CARE & DRIVERS ED $ 352.00- Splits -

($ 159,484.67) 10885 Withdrawal09/05/2012 CARE & DRIVERS ED CC FEES SEPT 2012 $ 90.96- Splits -

($ 159,494.67) 79126 A/P Check09/05/2012 North Texas Textbook Coordinator's Assoc. $ 10.00199-41-6495.TB-750-3-99-A-00/EXP

($ 159,604.67) 79131 A/P Check09/05/2012 Texas Association of School Business Officials $ 110.00199-41-6495.GA-750-3-99-A-00/EXP

���� ($ 159,604.67) 10494 Withdrawal09/06/2012 - VOID - American Express-CC Fee Sept 2012 $ 7.95199-41-6499.GA-750-3-99-A-00/EXP

($ 159,500.22) 10497 Deposit09/06/2012 TARGET $ 104.45461-00-5755.60-001-3-00-0-00/REV

($ 159,364.22) 10498 Deposit09/06/2012 STUDENT MEAL CHANGE PO#63803 $ 136.00461-36-6412.99-001-3-99-Q-00/EXP

($ 159,119.22) 10499 Deposit09/06/2012 PAYMENTS NEED SPONSOR RECEIPTS $ 245.00461-00-5755.34-001-3-00-0-00/REV

($ 159,113.22) 10500 Deposit09/06/2012 CAR TAGS COLEMAN $ 6.00461-00-5755.00-102-3-00-0-00/REV

($ 159,107.22) 10501 Deposit09/06/2012 CAR TAGS COLEMAN $ 6.00461-00-5755.00-102-3-00-0-00/REV

($ 158,786.10) 10502 Deposit09/06/2012 TARGET - TAKE CHARGE OF EDUCATION $ 321.12461-00-5755.00-102-3-00-0-00/REV

($ 158,546.10) 10503 Deposit09/06/2012 SMS CHOIR T-SHIRTS $ 240.00461-00-5755.14-041-3-00-0-00/REV

($ 157,896.10) 10504 Deposit09/06/2012 PARKING FEES $ 650.00461-00-5755.72-001-3-00-0-00/REV

($ 157,856.10) 10505 Deposit09/06/2012 CAR TAGS $ 40.00461-00-5755.00-104-3-00-0-00/REV

($ 157,838.10) 10515 Deposit09/06/2012 ADDITIONAL MONEY RETURNED $ 18.00191-36-6412.41-001-3-91-Q-00/EXP

($ 157,846.05) 10757 Withdrawal09/06/2012 AMERICAN EXPRESS CC FEE/SEPTEMBER $ 7.95199-41-6499.GA-750-3-99-A-00/EXP

($ 158,121.05) 79133 A/P Check09/06/2012 Brent Burton $ 275.00191-36-6412.41-001-3-91-Q-00/EXP

($ 158,396.05) 79134 A/P Check09/06/2012 Brent Burton $ 275.00191-36-6412.41-001-3-91-Q-00/EXP

($ 158,671.05) 79135 A/P Check09/06/2012 Brent Burton $ 275.00191-36-6412.41-001-3-91-Q-00/EXP

���� ($ 158,671.05) 79136 A/P Check09/06/2012 - VOID - Christa Lackey $ 288.00

($ 159,171.05) 79146 A/P Check09/06/2012 Sara Bell $ 500.00461-36-6499.97-001-3-99-Q-00/EXP

($ 158,693.80) 10506 Deposit09/07/2012 FIELD DAY T-SHIRTS $ 477.25199-11-6499.CK-109-3-11-B-00/EXP

($ 158,678.80) 10507 Deposit09/07/2012 CHIOR REGION AUD FEES $ 15.00461-00-5755.14-107-3-00-0-00/REV

($ 158,588.80) 10508 Deposit09/07/2012 CHOIR T-SHIRTS $ 90.00461-00-5755.14-107-3-00-0-00/REV

($ 158,423.80) 10509 Deposit09/07/2012 READERS ARE LEADERS & T-SHIRTS $ 165.00461-00-5755.RE-107-3-00-0-00/REV

($ 158,243.80) 10510 Deposit09/07/2012 SMS CHOIR T-SHIRTS $ 180.00461-00-5755.14-041-3-00-0-00/REV

($ 158,038.80) 10511 Deposit09/07/2012 SMS GIRLS ATHLETICS CONCESSIONS $ 205.00461-00-5755.17-041-3-00-0-00/REV

($ 155,503.80) 10516 Deposit09/07/2012 UIL - STATE BASEBALL TOURNAMENT $ 2,535.00191-00-5752.61-000-3-00-0-00/REV

($ 154,877.80) 10517 Deposit09/07/2012 VARSITY FB PRE-SALES $ 626.00191-00-5752.41-000-3-00-0-00/REV

($ 154,043.80) 10518 Deposit09/07/2012 9A/B FOOTBALL WEATHERFORD $ 834.00191-00-5752.41-000-3-00-0-00/REV

($ 153,550.80) 10519 Deposit09/07/2012 WMS 7A/B/C VB BURLESON KERR $ 493.00191-00-5752.VV-107-3-00-0-00/REV

($ 152,700.80) 10520 Deposit09/07/2012 SEASON TICKETS, BOX SEATS, PARKING $ 850.00191-00-5752.41-000-3-00-0-00/REV

($ 151,457.69) 10524 Deposit09/07/2012 CARE $ 1,243.11199-00-5755.CA-000-3-00-0-00/REV

($ 149,664.39) 10525 Deposit09/07/2012 CARE $ 1,793.30199-00-5755.CA-000-3-00-0-00/REV

Oct 09, 2012Page 42 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 144,764.39) 10526 Deposit09/07/2012 DRIVER'S ED $ 4,900.00199-00-5755.CE-000-3-00-0-00/REV

($ 144,734.39) 10527 Deposit09/07/2012 FACILITY RENTAL $ 30.00199-00-5743.00-000-3-00-0-00/REV

($ 144,621.72) 10528 Deposit09/07/2012 COBRA $ 112.67199-41-6142.GA-750-3-99-A-00/EXP

($ 144,462.48) 10529 Deposit09/07/2012 POSTAGE REIMBURSEMENT $ 159.24199-41-6399.GA-750-3-99-A-00/EXP

($ 143,604.15) 10530 Deposit09/07/2012 GAS WELL PROCEEDS $ 858.33199-00-5748.00-000-3-00-0-00/REV

($ 142,421.37) 10531 Deposit09/07/2012 TRANSP. FEES $ 1,182.78199-00-5739.04-000-3-00-0-00/REV

($ 131,767.37) 10532 Deposit09/07/2012 RIDGEWAY RENTALS $ 10,654.00199-00-5743.01-000-3-00-0-00/REV

($ 120,442.37) 10533 Deposit09/07/2012 GRANT PROGRAM - ONCOR $ 11,325.00199-00-5749.00-000-3-00-0-00/REV

($ 102,514.62) 10534 Deposit09/07/2012 GAS WELL PROCEEDS $ 17,927.75199-00-5748.00-000-3-00-0-00/REV

($ 102,500.62) 10537 Deposit09/07/2012 STUDENT MEAL MONEY $ 14.00461-36-6412.WW-929-3-99-Q-00/EXP

($ 102,180.62) 10538 Deposit09/07/2012 CAR TAGS & SPIRIT SHIRTS $ 320.00- Splits -

($ 102,131.82) 10540 Deposit09/07/2012 GAS WELL PROCEEDS $ 48.80827-00-5744.00-000-3-00-0-00/REV

($ 101,948.32) 10879 Deposit09/07/2012 CARE $ 183.50199-00-5755.CA-000-3-00-0-00/REV

($ 116,110.77) 14412 W/T W/D09/07/2012 Cleburne Independent School District $ 14,162.45- Splits -

($ 116,694.31) 14421 W/T W/D09/07/2012 Cleburne Independent School District $ 583.54- Splits -

($ 117,034.31) 79147 A/P Check09/07/2012 Brent Burton $ 340.00461-36-6412.WW-929-3-99-Q-00/EXP

($ 117,322.31) 79148 A/P Check09/07/2012 Jim Wood $ 288.00191-36-6412.58-001-3-91-Q-00/EXP

($ 117,227.16) 10521 Deposit09/10/2012 RETURN MEAL MONEY - JV MEALS $ 95.15191-36-6412.41-001-3-91-Q-00/EXP

($ 117,208.05) 10522 Deposit09/10/2012 COACHING SCHOOL MONEY RETURNED $ 19.11191-36-6411.41-001-3-91-Q-00/EXP

($ 116,879.05) 10523 Deposit09/10/2012 SMS A/B/C VB CROWLEY MS $ 329.00191-00-5752.VV-041-3-00-0-00/REV

($ 116,839.05) 10535 Deposit09/10/2012 BUS PASS $ 40.00199-00-5739.04-000-3-00-0-00/REV

($ 116,373.05) 10539 Deposit09/10/2012 CAR TAGS & SPIRIT SHIRTS $ 466.00- Splits -

($ 116,370.05) 10543 Deposit09/10/2012 CAR TAGS $ 3.00461-00-5755.00-102-3-00-0-00/REV

($ 115,415.05) 10557 Deposit09/10/2012 HATS & COATS $ 955.00461-00-5755.84-001-3-00-0-00/REV

($ 115,155.05) 10558 Deposit09/10/2012 CHOIR SHIRTS $ 260.00461-00-5755.23-001-3-00-0-00/REV

($ 115,145.05) 10559 Deposit09/10/2012 TRANSCRIPT FEES $ 10.00461-00-5755.60-001-3-00-0-00/REV

($ 115,140.05) 10560 Deposit09/10/2012 SMS ACTIVITY AGENDA $ 5.00461-00-5755.11-041-3-00-0-00/REV

($ 115,032.05) 10586 Deposit09/10/2012 SANTA FE STAFF SHIRTS $ 108.00461-00-5755.00-111-3-00-0-00/REV

($ 114,927.14) 10639 Deposit09/10/2012 COCA COLA $ 104.91461-00-5755.00-002-3-00-0-00/REV

($ 114,890.39) 10640 Deposit09/10/2012 COCA COLA $ 36.75461-00-5755.00-103-3-00-0-00/REV

($ 114,844.82) 10641 Deposit09/10/2012 COCA COLA $ 45.57461-00-5755.11-041-3-00-0-00/REV

($ 114,801.37) 10642 Deposit09/10/2012 COCA COLA $ 43.45- Splits -

($ 114,690.57) 10643 Deposit09/10/2012 COCA COLA $ 110.80461-00-5755.60-001-3-00-0-00/REV

($ 114,591.41) 10644 Deposit09/10/2012 COCA COLA $ 99.16461-00-5755.00-107-3-00-0-00/REV

($ 114,562.22) 10645 Deposit09/10/2012 COCA COLA $ 29.19- Splits -

($ 114,546.99) 10646 Deposit09/10/2012 COCA COLA $ 15.23461-00-5755.00-109-3-00-0-00/REV

($ 114,510.12) 10647 Deposit09/10/2012 COCA COLA $ 36.87461-00-5755.00-101-3-00-0-00/REV

($ 114,160.12) 10880 Deposit09/10/2012 DRIVERS ED $ 350.00199-00-5755.CE-000-3-00-0-00/REV

Oct 09, 2012Page 43 of 64

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 22,194.19 10512 Deposit09/11/2012 due from state $ 136,354.31287-00-1241.00-000-3-00-0-00/G/L

$ 415,154.80 10513 Deposit09/11/2012 due to 224 $ 392,960.61199-00-2172.15-000-3-00-0-00/G/L

$ 22,194.19 10514 Withdrawal09/11/2012 due to 224 $ 392,960.61199-00-2172.15-000-3-00-0-00/G/L

$ 22,440.19 10541 Deposit09/11/2012 RETURNED MEAL MONEY $ 246.00191-36-6412.58-001-3-91-Q-00/EXP

$ 30,135.19 10542 Deposit09/11/2012 VFB GATE - 9/7/12 WEATHERFORD $ 7,695.00191-00-5752.41-000-3-00-0-00/REV

$ 30,207.19 10544 Deposit09/11/2012 SMS CHOIR T-SHIRTS $ 72.00461-00-5755.14-041-3-00-0-00/REV

$ 30,267.19 10545 Deposit09/11/2012 SMS GIRLS ATHLETICS $ 60.00- Splits -

$ 30,448.19 10546 Deposit09/11/2012 CANDLE FUNDRAISER $ 181.00461-00-5755.00-108-3-00-0-00/REV

$ 30,673.19 10547 Deposit09/11/2012 CAR TAGS & SPIRIT SHIRTS $ 225.00- Splits -

$ 31,082.19 10548 Deposit09/11/2012 CANDLE FUNDRAISER $ 409.00461-00-5755.00-108-3-00-0-00/REV

$ 31,574.19 10549 Deposit09/11/2012 CANDLE FUNDRAISER $ 492.00461-00-5755.00-108-3-00-0-00/REV

$ 32,210.19 10550 Deposit09/11/2012 CANDLE FUNDRAISER $ 636.00461-00-5755.00-108-3-00-0-00/REV

$ 33,419.19 10551 Deposit09/11/2012 CANDLE FUNDRAISER $ 1,209.00461-00-5755.00-108-3-00-0-00/REV

$ 34,678.19 10552 Deposit09/11/2012 CNADLE FUNDRAISER $ 1,259.00461-00-5755.00-108-3-00-0-00/REV

$ 34,917.19 10553 Deposit09/11/2012 GRANDFRIENDS PICTURES $ 239.00461-00-5755.00-102-3-00-0-00/REV

$ 36,219.19 10555 Deposit09/11/2012 FIELD DAY & T-SHIRTS $ 1,302.00199-11-6499.CK-109-3-11-B-00/EXP

$ 36,219.34 10638 Deposit09/11/2012 BANK CORRECTION $ 0.15199-11-6499.CK-109-3-11-B-00/EXP

$ 34,819.34 79196 A/P Check09/11/2012 Agile Sports Technologies $ 1,400.00191-36-6399.41-001-3-91-Q-00/EXP

$ 34,728.99 79197 A/P Check09/11/2012 Anderson Coffee Service $ 90.35199-41-6499.GA-750-3-99-A-00/EXP

$ 34,667.41 79198 A/P Check09/11/2012 Barrera's $ 61.58199-41-6499.GA-702-3-99-A-00/EXP

$ 34,327.41 79199 A/P Check09/11/2012 Brent Burton $ 340.00461-36-6412.WW-929-3-99-Q-00/EXP

$ 33,987.41 79200 A/P Check09/11/2012 Brent Burton $ 340.00461-36-6412.WW-929-3-99-Q-00/EXP

$ 33,899.91 79201 A/P Check09/11/2012 Clayton Carmack $ 87.50199-52-6219.IM-107-3-11-P-00/EXP

$ 33,800.49 79202 A/P Check09/11/2012 CISD General Fund $ 99.42461-11-6399.SF-111-3-11-P-00/EXP

$ 11,700.49 79203 A/P Check09/11/2012 Energy Education $ 22,100.00199-51-6299.MO-999-3-99-A-09/EXP

($ 10,399.51) 79204 A/P Check09/11/2012 Energy Education $ 22,100.00199-51-6299.MO-999-3-99-A-09/EXP

($ 10,499.51) 79205 A/P Check09/11/2012 EPCNT $ 100.00199-41-6495.GA-750-3-99-A-00/EXP

($ 10,604.51) 79206 A/P Check09/11/2012 Gary Fulenwider $ 105.00199-52-6299.JH-041-3-99-Q-00/EXP

($ 11,034.51) 79207 A/P Check09/11/2012 Interquest Detection Canines of North TX $ 430.00- Splits -

($ 11,226.25) 79208 A/P Check09/11/2012 Joshua ISD $ 191.74199-36-6499.HS-001-3-99-Q-00/EXP

($ 22,851.25) 79209 A/P Check09/11/2012 Kirk, Richardson & Poole P.C. $ 11,625.00199-41-6212.GA-750-3-99-A-00/EXP

($ 23,031.25) 79210 A/P Check09/11/2012 Christa Lackey $ 180.00191-36-6412.58-001-3-91-Q-00/EXP

($ 23,223.25) 79211 A/P Check09/11/2012 Christa Lackey $ 192.00191-36-6412.58-001-3-91-Q-00/EXP

($ 23,511.25) 79212 A/P Check09/11/2012 Christa Lackey $ 288.00191-36-6412.58-001-3-91-Q-00/EXP

($ 23,799.25) 79213 A/P Check09/11/2012 Christa Lackey $ 288.00191-36-6412.58-001-3-91-Q-00/EXP

($ 23,962.08) 79214 A/P Check09/11/2012 Deanne Nettik $ 162.83199-41-6411.GA-750-3-99-A-00/EXP

($ 23,991.58) 79215 A/P Check09/11/2012 Roxy Sherwood $ 29.50199-13-6411.JH-041-3-11-Q-00/EXP

($ 24,791.58) 79216 A/P Check09/11/2012 TASB $ 800.00199-41-6299.GA-702-3-99-A-00/EXP

Oct 09, 2012Page 44 of 64

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 25,226.58) 79217 A/P Check09/11/2012 TASSP $ 435.00- Splits -

($ 26,551.58) 79218 A/P Check09/11/2012 University Of Texas At Austin $ 1,325.00199-36-6499.HS-001-3-99-Q-00/EXP

($ 26,601.58) 79219 A/P Check09/11/2012 B Weslee Vance $ 50.00199-11-6495.HS-001-3-11-Q-00/EXP

($ 26,751.58) 79220 A/P Check09/11/2012 Sara Bell $ 150.00191-36-6412.98-001-3-91-Q-00/EXP

($ 26,927.94) 79256 A/P Check09/11/2012 Staples Advantage $ 176.36199-51-6399.MO-999-3-99-A-09/EXP

($ 26,906.94) 10556 Deposit09/12/2012 CAR TAGS $ 21.00461-00-5755.00-104-3-00-0-00/REV

($ 26,822.94) 10561 Deposit09/12/2012 SMS CHOIR T-SHIRTS $ 84.00461-00-5755.14-041-3-00-0-00/REV

($ 26,647.94) 10562 Deposit09/12/2012 SPIRIT SHIRTS $ 175.00461-00-5755.00-108-3-00-0-00/REV

($ 26,048.94) 10563 Deposit09/12/2012 CANDLE FUNDRAISER $ 599.00461-00-5755.00-108-3-00-0-00/REV

($ 25,490.94) 10564 Deposit09/12/2012 CANDLE FUNDRAISER $ 558.00461-00-5755.00-108-3-00-0-00/REV

($ 25,017.94) 10565 Deposit09/12/2012 CANDLE FUNDRAISER $ 473.00461-00-5755.00-108-3-00-0-00/REV

($ 23,701.94) 10566 Deposit09/12/2012 CANDLE FUNDRAISER $ 1,316.00461-00-5755.00-108-3-00-0-00/REV

($ 22,657.94) 10567 Deposit09/12/2012 CANDLE FUNDRAISER $ 1,044.00461-00-5755.00-108-3-00-0-00/REV

($ 21,365.94) 10568 Deposit09/12/2012 CANDLE FUNDRAISER $ 1,292.00461-00-5755.00-108-3-00-0-00/REV

($ 21,228.94) 10569 Deposit09/12/2012 CANDLE FUNDRAISER $ 137.00461-00-5755.00-108-3-00-0-00/REV

($ 21,225.94) 10573 Deposit09/12/2012 CAR TAGS $ 3.00461-00-5755.00-102-3-00-0-00/REV

($ 21,145.94) 10587 Deposit09/12/2012 DANCE $ 80.00461-00-5755.34-001-3-00-0-00/REV

($ 20,824.94) 10588 Deposit09/12/2012 CONCESSIONS $ 321.00461-00-5755.80-001-3-00-0-00/REV

($ 19,123.94) 10589 Deposit09/12/2012 CONCESSIONS $ 1,701.00461-00-5755.79-001-3-00-0-00/REV

($ 18,578.94) 10590 Deposit09/12/2012 CHOIR $ 545.00461-00-5755.23-001-3-00-0-00/REV

($ 17,913.94) 10591 Deposit09/12/2012 CHOIR $ 665.00461-00-5755.23-001-3-00-0-00/REV

($ 16,963.94) 10592 Deposit09/12/2012 PARKING FEES $ 950.00461-00-5755.72-001-3-00-0-00/REV

($ 16,935.94) 10601 Deposit09/12/2012 PSAT $ 28.00199-31-6339.HG-001-3-11-Q-00/EXP

($ 16,213.94) 10604 Deposit09/12/2012 SMS 8-A/B FOOTBALL $ 722.00191-00-5752.43-041-3-00-0-00/REV

($ 15,013.94) 10605 Deposit09/12/2012 7 A/B FOOTBALL $ 1,200.00191-00-5752.43-107-3-00-0-00/REV

($ 14,661.94) 10881 Deposit09/12/2012 CARE & DRIVERS ED $ 352.00- Splits -

($ 16,265.42) 14424 W/T W/D09/12/2012 Cleburne Independent School District $ 1,603.48- Splits -

($ 16,249.36) 10570 Deposit09/13/2012 WMS RECYCLING $ 16.06461-00-5755.11-107-3-00-0-00/REV

($ 16,149.36) 10571 Deposit09/13/2012 WMS SURVEY $ 100.00461-00-5755.11-107-3-00-0-00/REV

($ 16,094.36) 10572 Deposit09/13/2012 WMS COOKIE DOUGH $ 55.00461-00-5755.11-107-3-00-0-00/REV

($ 15,899.36) 10574 Deposit09/13/2012 GRANDFRIEND PICTURES $ 195.00461-00-5755.00-102-3-00-0-00/REV

($ 15,569.36) 10593 Deposit09/13/2012 CHOIR $ 330.00461-00-5755.23-001-3-00-0-00/REV

($ 13,279.36) 10594 Deposit09/13/2012 ENTRY FEES $ 2,290.00461-00-5755.97-001-3-00-0-00/REV

($ 12,229.36) 10595 Deposit09/13/2012 TOURNAMENT ENTRY FEES $ 1,050.00461-00-5755.94-001-3-00-0-00/REV

($ 12,179.36) 10596 Deposit09/13/2012 DANCE $ 50.00461-00-5755.34-001-3-00-0-00/REV

($ 11,839.36) 10597 Deposit09/13/2012 CHOIR $ 340.00461-00-5755.23-001-3-00-0-00/REV

($ 11,584.36) 10598 Deposit09/13/2012 ART FEES $ 255.00461-00-5755.03-001-3-00-0-00/REV

($ 11,484.36) 10599 Deposit09/13/2012 CULINARY COATS & HATS $ 100.00461-00-5755.84-001-3-00-0-00/REV

Oct 09, 2012Page 45 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 10,497.36) 10602 Deposit09/13/2012 CANDLE FUNDRAISER $ 987.00461-00-5755.00-108-3-00-0-00/REV

($ 9,165.36) 10603 Deposit09/13/2012 CANDLE FUNDRAISER $ 1,332.00461-00-5755.00-108-3-00-0-00/REV

($ 8,859.36) 10882 Deposit09/13/2012 CARE $ 306.00199-00-5755.CA-000-3-00-0-00/REV

($ 8,954.36) 79236 A/P Check09/13/2012 American Choral Directors Association $ 95.00199-11-6499.HS-001-3-11-Q-00/EXP

($ 9,104.36) 79237 A/P Check09/13/2012 Sara Bell $ 150.00191-36-6412.98-001-3-91-Q-00/EXP

($ 9,254.36) 79238 A/P Check09/13/2012 Sara Bell $ 150.00191-36-6412.98-001-3-91-Q-00/EXP

($ 9,404.36) 79239 A/P Check09/13/2012 Sara Bell $ 150.00191-36-6412.98-001-3-91-Q-00/EXP

($ 9,519.11) 79240 A/P Check09/13/2012 Bennett Printing & Office Supply $ 114.75199-23-6399.HS-001-3-99-Q-00/EXP

($ 9,579.11) 79241 A/P Check09/13/2012 CABC $ 60.00461-11-6399.11-041-3-11-Q-00/EXP

($ 9,799.11) 79242 A/P Check09/13/2012 CABC $ 220.00461-36-6399.60-001-3-99-Q-00/EXP

($ 10,087.11) 79243 A/P Check09/13/2012 Cleburne Times Review $ 288.00199-41-6499.PR-750-3-99-A-00/EXP

($ 13,887.11) 79244 A/P Check09/13/2012 Custom Floors, Inc. $ 3,800.00199-51-6249.MA-999-3-99-A-07/EXP

($ 13,969.75) 79245 A/P Check09/13/2012 Robert Daigle $ 82.64199-13-6411.JH-041-3-11-Q-00/EXP

($ 14,393.91) 79246 A/P Check09/13/2012 Dairy Waste Management, LLC $ 424.16199-51-6319.MA-999-3-99-A-01/EXP

($ 14,533.91) 79247 A/P Check09/13/2012 Kevin Dupre $ 140.00199-52-6219.HS-001-3-99-Q-00/EXP

($ 29,483.91) 79248 A/P Check09/13/2012 eduphoria! Incorporated $ 14,950.00- Splits -

($ 29,623.91) 79249 A/P Check09/13/2012 Gary Fulenwider $ 140.00199-52-6219.HS-001-3-99-Q-00/EXP

($ 30,223.91) 79250 A/P Check09/13/2012 Hufford Piano Service $ 600.00199-11-6249.HS-001-3-11-Q-00/EXP

($ 33,688.91) 79251 A/P Check09/13/2012 Kuder, Inc. $ 3,465.00- Splits -

($ 33,924.42) 79252 A/P Check09/13/2012 Matthews Office City $ 235.51- Splits -

($ 34,017.26) 79253 A/P Check09/13/2012 Oriental Trading Co., Inc. $ 92.84199-36-6399.DT-001-3-99-Q-00/EXP

($ 34,139.76) 79254 A/P Check09/13/2012 Scripps National Spelling Bee $ 122.50199-36-6495.JH-041-3-11-Q-00/EXP

���� ($ 34,139.76) 79255 A/P Check09/13/2012 - VOID - Julie Shults $ 75.00

($ 34,204.18) 79257 A/P Check09/13/2012 Star Telegram $ 64.42199-12-6329.HL-001-3-11-Q-00/EXP

($ 34,284.18) 79258 A/P Check09/13/2012 Texas Assoc. Of Student Council $ 80.00199-36-6499.HS-001-3-99-Q-00/EXP

($ 35,079.18) 79259 A/P Check09/13/2012 Texas Skyward Users Group $ 795.00- Splits -

($ 40,079.18) 79260 A/P Check09/13/2012 Waco ISD $ 5,000.00199-36-6499.HS-001-3-99-Q-00/EXP

($ 39,829.18) 10575 Deposit09/14/2012 CABC - PASSES $ 250.00191-00-5752.41-000-3-00-0-00/REV

($ 39,609.31) 10576 Deposit09/14/2012 REFUND AVIS/BUDGET $ 219.87199-36-6412.HS-001-3-99-Q-00/EXP

($ 39,604.31) 10577 Deposit09/14/2012 NSF FEE $ 5.00199-00-5749.00-000-3-00-0-00/REV

($ 38,949.80) 10578 Deposit09/14/2012 MCCOY'S CREDIT BALANCE REFUND $ 654.51199-51-6319.MA-999-3-99-A-00/EXP

($ 37,989.80) 10579 Deposit09/14/2012 RIDGEWAY RENTAL $ 960.00199-00-5743.01-000-3-00-0-00/REV

($ 37,923.61) 10580 Deposit09/14/2012 COKE PROCEEDS $ 66.19199-00-5749.00-000-3-00-0-00/REV

($ 36,239.56) 10581 Deposit09/14/2012 TRANSP. FEES $ 1,684.05199-00-5739.04-000-3-00-0-00/REV

($ 36,140.14) 10582 Deposit09/14/2012 POSTAGE REIMBURSEMENT $ 99.42199-41-6399.GA-750-3-99-A-00/EXP

($ 36,122.37) 10583 Deposit09/14/2012 COKE PROCEEDS $ 17.77461-00-5755.60-001-3-00-0-00/REV

($ 36,090.91) 10584 Deposit09/14/2012 TARGET DONATION $ 31.46461-00-5755.00-103-3-00-0-00/REV

($ 36,023.91) 10585 Deposit09/14/2012 NSF REFUND $ 67.00461-00-5755.00-102-3-00-0-00/REV

Oct 09, 2012Page 46 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 36,008.91) 10600 Deposit09/14/2012 MARTI TEXTBOOK DAMAGE $ 15.00461-00-5755.00-838-3-00-0-00/REV

($ 35,998.91) 10606 Deposit09/14/2012 CAR TAGS $ 10.00461-00-5755.00-104-3-00-0-00/REV

($ 35,978.91) 10607 Deposit09/14/2012 108 $ 20.00461-00-5755.00-108-3-00-0-00/REV

($ 35,627.91) 10608 Deposit09/14/2012 CANDLE FUNDRAISER $ 351.00461-00-5755.00-108-3-00-0-00/REV

($ 35,547.91) 10609 Deposit09/14/2012 SPIRIT SHIRTS AND CAR TAGS $ 80.00461-00-5755.00-108-3-00-0-00/REV

($ 35,545.91) 10610 Deposit09/14/2012 CAR TAGS $ 2.00461-00-5755.00-108-3-00-0-00/REV

($ 35,495.91) 10611 Deposit09/14/2012 CANDLE FUNDRAISER $ 50.00461-00-5755.00-108-3-00-0-00/REV

($ 35,124.91) 10612 Deposit09/14/2012 CANDLE FUNDRAISER $ 371.00461-00-5755.00-108-3-00-0-00/REV

($ 34,228.91) 10619 Deposit09/14/2012 9 A/B FOOTBALL AZLE $ 896.00191-00-5752.41-000-3-00-0-00/REV

($ 31,940.91) 10622 Deposit09/14/2012 BAND REFUND FROM FUNDRAISER $ 2,288.00461-00-5755.18-107-3-00-0-00/REV

($ 31,340.91) 10623 Deposit09/14/2012 BAND FEES & RENTALS $ 600.00461-00-5755.18-107-3-00-0-00/REV

($ 31,121.91) 10628 Deposit09/14/2012 GRANFRIEND PICTURES $ 219.00461-00-5755.00-102-3-00-0-00/REV

($ 31,114.91) 10635 Deposit09/14/2012 SMS LIBRARY LOST BOOK $ 7.00199-12-6329.JL-041-3-11-Q-00/EXP

($ 31,289.91) 10886 Withdrawal09/14/2012 NSF-DELGADO-DRIVERS ED $ 175.00199-00-5755.CE-000-3-00-0-00/REV

($ 31,304.91) 10887 Withdrawal09/14/2012 NSF-LYTLE $ 15.00461-00-5755.60-001-3-00-0-00/REV

($ 31,704.91) 79261 A/P Check09/14/2012 Brewer High School $ 400.00191-36-6412.92-041-3-91-Q-02/EXP

($ 32,256.22) 79262 A/P Check09/14/2012 Budget Truck Rental $ 551.31- Splits -

($ 36,684.97) 79263 A/P Check09/14/2012 Careys Sporting Goods $ 4,428.75191-36-6399.41-001-3-91-Q-00/EXP

���� ($ 36,684.97) 79264 A/P Check09/14/2012 - VOID - Central High School $ 300.00

($ 36,784.97) 79265 A/P Check09/14/2012 Ennis Cross Country $ 100.00191-36-6412.97-001-3-91-Q-02/EXP

($ 36,884.97) 79266 A/P Check09/14/2012 Ennis Cross Country $ 100.00191-36-6412.98-001-3-91-Q-02/EXP

($ 37,044.97) 79267 A/P Check09/14/2012 Joshua ISD $ 160.00191-36-6412.VV-041-3-91-Q-02/EXP

($ 37,204.97) 79268 A/P Check09/14/2012 Joshua ISD $ 160.00191-36-6412.VV-041-3-91-Q-02/EXP

($ 37,354.97) 79269 A/P Check09/14/2012 Keller High School $ 150.00191-36-6412.58-001-3-91-Q-02/EXP

($ 37,474.97) 79270 A/P Check09/14/2012 McNeil High School $ 120.00191-36-6412.97-001-3-91-Q-02/EXP

($ 37,774.97) 79271 A/P Check09/14/2012 Mesquite I.S.D. $ 300.00- Splits -

($ 38,074.97) 79272 A/P Check09/14/2012 Midlothian High School $ 300.00- Splits -

($ 38,174.97) 79273 A/P Check09/14/2012 Saginaw High School $ 100.00191-36-6412.58-001-3-91-Q-02/EXP

($ 38,274.97) 79274 A/P Check09/14/2012 Sam Houston High School $ 100.00191-36-6412.98-001-3-91-Q-02/EXP

($ 38,338.97) 79275 A/P Check09/14/2012 Texas Royal Pizza $ 64.00199-13-6499.CP-999-3-99-A-00/EXP

($ 38,488.97) 79276 A/P Check09/14/2012 Timberview High School Volleyball $ 150.00191-36-6412.58-001-3-91-Q-02/EXP

($ 38,729.36) 79277 A/P Check09/14/2012 ATMOS Energy $ 240.39- Splits -

($ 39,155.86) 79278 A/P Check09/14/2012 CISD Transportation $ 426.50- Splits -

($ 49,842.70) 79279 A/P Check09/14/2012 City Of Cleburne $ 10,686.84199-00-2110.00-000-3-00-0-00/G/L

($ 49,867.46) 79280 A/P Check09/14/2012 Christi Gregory $ 24.76199-00-2110.00-000-3-00-0-00/G/L

($ 131,324.46) 79281 A/P Check09/14/2012 Gymini Sports, Inc. $ 81,457.00199-00-2110.00-000-3-00-0-00/G/L

($ 131,339.94) 79282 A/P Check09/14/2012 Renae Hipp $ 15.48199-00-2110.00-000-3-00-0-00/G/L

($ 152,704.35) 79283 A/P Check09/14/2012 Janpak DFW $ 21,364.41- Splits -

Oct 09, 2012Page 47 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 152,727.70) 79284 A/P Check09/14/2012 Carol Maitland $ 23.35199-00-2110.00-000-3-00-0-00/G/L

($ 152,758.74) 79285 A/P Check09/14/2012 Ozarka $ 31.04199-00-2110.00-000-3-00-0-00/G/L

($ 152,833.74) 79286 A/P Check09/14/2012 Julie Shults $ 75.00461-36-6299.23-001-3-99-Q-00/EXP

($ 152,951.31) 79287 A/P Check09/14/2012 TASB $ 117.57199-00-2110.00-000-3-00-0-00/G/L

($ 152,630.31) 10620 Deposit09/17/2012 9 A/B, JV, V VB EVERMAN $ 321.00191-00-5752.58-000-3-00-0-00/REV

($ 152,321.31) 10621 Deposit09/17/2012 7 A/B/C WMS VB EVERMAN $ 309.00191-00-5752.VV-107-3-00-0-00/REV

($ 152,310.31) 10624 Deposit09/17/2012 CAR TAGS $ 11.00461-00-5755.00-102-3-00-0-00/REV

($ 152,255.31) 10625 Deposit09/17/2012 CHOIR REGION FEES $ 55.00461-00-5755.14-107-3-00-0-00/REV

($ 152,031.31) 10626 Deposit09/17/2012 WMS COOKIE DOUGH $ 224.00461-00-5755.11-107-3-00-0-00/REV

($ 151,681.31) 10627 Deposit09/17/2012 CHOIR T-SHIRTS $ 350.00461-00-5755.14-107-3-00-0-00/REV

($ 151,573.31) 10629 Deposit09/17/2012 SMS CHOIR T-SHIRTS $ 108.00461-00-5755.14-041-3-00-0-00/REV

($ 151,194.31) 10630 Deposit09/17/2012 SMS GIRLS ATH CONCESSIONS $ 379.00461-00-5755.17-041-3-00-0-00/REV

($ 151,133.20) 10631 Deposit09/17/2012 RECYCLING $ 61.11461-00-5755.00-102-3-00-0-00/REV

($ 151,114.93) 10632 Deposit09/17/2012 CICI PIZZA NIGHT $ 18.27461-00-5755.00-108-3-00-0-00/REV

($ 151,042.93) 10633 Deposit09/17/2012 CAR TAGS & SPIRIT SHIRTS $ 72.00461-00-5755.00-108-3-00-0-00/REV

($ 150,965.93) 10634 Deposit09/17/2012 CANDLE FUNDRAISER $ 77.00461-00-5755.00-108-3-00-0-00/REV

($ 150,881.93) 10681 Deposit09/17/2012 SANTA FE STAFF SHIRTS $ 84.00461-00-5755.00-111-3-00-0-00/REV

($ 150,879.93) 10883 Deposit09/17/2012 CARE & DRIVERS ED $ 2.00- Splits -

($ 150,854.93) 10636 Deposit09/18/2012 FIELD DAY T-SHIRTS $ 25.00199-11-6499.CK-109-3-11-B-00/EXP

($ 150,419.93) 10637 Deposit09/18/2012 FIELD DAY T-SHIRTS $ 435.00199-11-6499.CK-109-3-11-B-00/EXP

($ 150,405.93) 10671 Deposit09/18/2012 PSAT $ 14.00199-31-6339.HG-001-3-11-Q-00/EXP

($ 150,397.93) 10677 Deposit09/18/2012 THEATRE $ 8.00461-00-5755.25-001-3-00-0-00/REV

($ 150,382.93) 10678 Deposit09/18/2012 ART FEES $ 15.00461-00-5755.03-001-3-00-0-00/REV

($ 150,350.93) 10680 Deposit09/18/2012 THEATRE $ 32.00461-00-5755.25-001-3-00-0-00/REV

($ 150,270.93) 10682 Deposit09/18/2012 JACKET DANCERS $ 80.00461-00-5755.34-001-3-00-0-00/REV

($ 150,125.93) 10683 Deposit09/18/2012 THEATRE $ 145.00461-00-5755.25-001-3-00-0-00/REV

($ 149,870.93) 10684 Deposit09/18/2012 CHOIR $ 255.00461-00-5755.23-001-3-00-0-00/REV

($ 149,520.93) 10685 Deposit09/18/2012 GOLF ENTRY FEES $ 350.00461-00-5755.94-001-3-00-0-00/REV

($ 148,995.93) 10686 Deposit09/18/2012 PARKING FEES $ 525.00461-00-5755.72-001-3-00-0-00/REV

($ 148,295.93) 10687 Deposit09/18/2012 CC SHIRTS $ 700.00461-00-5755.97-001-3-00-0-00/REV

($ 148,390.93) 79288 A/P Check09/18/2012 Jerry Brand $ 95.00191-36-6299.58-001-3-91-Q-00/EXP

($ 148,730.93) 79289 A/P Check09/18/2012 Brent Burton $ 340.00461-36-6412.WW-929-3-99-Q-00/EXP

($ 149,070.93) 79290 A/P Check09/18/2012 Brent Burton $ 340.00461-36-6412.WW-929-3-99-Q-00/EXP

($ 149,410.93) 79291 A/P Check09/18/2012 Brent Burton $ 340.00461-36-6412.WW-929-3-99-Q-00/EXP

($ 149,750.93) 79292 A/P Check09/18/2012 Brent Burton $ 340.00461-36-6412.WW-929-3-99-Q-00/EXP

($ 150,260.93) 79293 A/P Check09/18/2012 Brent Burton $ 510.00191-36-6412.41-001-3-91-Q-00/EXP

($ 150,770.93) 79294 A/P Check09/18/2012 Brent Burton $ 510.00191-36-6412.41-001-3-91-Q-00/EXP

($ 151,280.93) 79295 A/P Check09/18/2012 Brent Burton $ 510.00191-36-6412.41-001-3-91-Q-00/EXP

Oct 09, 2012Page 48 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 152,306.43) 79296 A/P Check09/18/2012 Chick-fil-A $ 1,025.50199-36-6412.HB-001-3-99-Q-00/EXP

($ 152,366.43) 79297 A/P Check09/18/2012 Harvey Hamil $ 60.00191-36-6299.58-001-3-91-Q-00/EXP

($ 152,441.93) 79298 A/P Check09/18/2012 Melinda Hodges $ 75.50- Splits -

($ 152,526.93) 79299 A/P Check09/18/2012 Jim Hunley $ 85.00191-36-6299.58-001-3-91-Q-00/EXP

($ 152,625.52) 79300 A/P Check09/18/2012 Stephen Johnson $ 98.59191-36-6299.58-001-3-91-Q-00/EXP

($ 152,817.52) 79301 A/P Check09/18/2012 Christa Lackey $ 192.00191-36-6412.58-001-3-91-Q-00/EXP

($ 153,105.52) 79302 A/P Check09/18/2012 Christa Lackey $ 288.00191-36-6412.58-001-3-91-Q-00/EXP

($ 153,393.52) 79303 A/P Check09/18/2012 Christa Lackey $ 288.00191-36-6412.58-001-3-91-Q-00/EXP

($ 153,681.52) 79304 A/P Check09/18/2012 Christa Lackey $ 288.00191-36-6412.58-001-3-91-Q-00/EXP

($ 153,969.52) 79305 A/P Check09/18/2012 Christa Lackey $ 288.00191-36-6412.58-001-3-91-Q-00/EXP

($ 154,127.02) 79306 A/P Check09/18/2012 Wesley Mackey $ 157.50- Splits -

($ 154,527.02) 79307 A/P Check09/18/2012 Movie Licensing USA $ 400.00199-11-6399.IR-104-3-11-P-00/EXP

($ 154,577.02) 79308 A/P Check09/18/2012 Tammy Nichols $ 50.00461-00-1105.00-000-3-00-0-00/G/L

($ 154,627.02) 79309 A/P Check09/18/2012 Tammy Nichols $ 50.00461-00-1105.00-000-3-00-0-00/G/L

($ 154,661.78) 79310 A/P Check09/18/2012 Ozarka $ 34.76191-36-6499.61-001-3-91-Q-00/EXP

($ 154,746.78) 79311 A/P Check09/18/2012 Chelsey Preissinger $ 85.00191-36-6299.58-001-3-91-Q-00/EXP

($ 154,869.28) 79312 A/P Check09/18/2012 Scripps National Spelling Bee $ 122.50199-11-6399.GR-108-3-11-P-00/EXP

($ 154,991.78) 79313 A/P Check09/18/2012 Scripps National Spelling Bee $ 122.50199-11-6499.CL-102-3-11-P-00/EXP

($ 155,265.78) 79314 A/P Check09/18/2012 TEPSA $ 274.00199-23-6495.CL-102-3-99-P-00/EXP

($ 155,280.78) 79315 A/P Check09/18/2012 Texas Bluebonnet Award $ 15.00199-12-6499.IR-104-3-11-P-00/EXP

($ 155,330.78) 79316 A/P Check09/18/2012 Texas Music Educators Association $ 50.00199-11-6495.CJ-041-3-11-Q-00/EXP

($ 155,380.78) 79317 A/P Check09/18/2012 Texas Music Educators Association $ 50.00199-11-6495.CJ-107-3-11-P-00/EXP

($ 160,759.15) 79318 A/P Check09/18/2012 Toshiba Financial Services $ 5,378.37- Splits -

($ 160,909.15) 79319 A/P Check09/18/2012 B Weslee Vance $ 150.00199-36-6412.CO-001-3-99-Q-00/EXP

($ 160,969.15) 79320 A/P Check09/18/2012 Jason Wells $ 60.00191-36-6299.58-001-3-91-Q-00/EXP

($ 161,019.15) 79321 A/P Check09/18/2012 Jennifer Wilson $ 50.00461-00-1105.00-000-3-00-0-00/G/L

($ 161,073.76) 79322 A/P Check09/18/2012 ATMOS Energy $ 54.61- Splits -

($ 162,123.96) 79323 A/P Check09/18/2012 Carson Pest Management $ 1,050.20- Splits -

($ 163,530.39) 79324 A/P Check09/18/2012 Moore Supply Co. $ 1,406.43- Splits -

($ 163,720.49) 79325 A/P Check09/18/2012 Olen Williams, Inc. $ 190.10199-00-2110.00-000-3-00-0-00/G/L

($ 234,970.49) 79326 A/P Check09/18/2012 Pete Durant & Associates, Inc. $ 71,250.00199-00-2110.00-000-3-00-0-00/G/L

($ 235,036.83) 79327 A/P Check09/18/2012 Staples Advantage $ 66.34199-00-2110.00-000-3-00-0-00/G/L

($ 235,236.83) 79329 A/P Check09/18/2012 Brewer High School $ 200.00191-36-6412.92-107-3-91-Q-02/EXP

($ 235,436.83) 79330 A/P Check09/18/2012 Brewer High School $ 200.00191-36-6412.92-107-3-91-Q-02/EXP

($ 235,586.83) 79331 A/P Check09/18/2012 Central High School $ 150.00191-36-6412.58-001-3-91-Q-02/EXP

($ 235,686.83) 79333 A/P Check09/18/2012 Ennis Cross Country $ 100.00191-36-6412.92-041-3-91-Q-02/EXP

($ 235,786.83) 79334 A/P Check09/18/2012 Ennis Cross Country $ 100.00191-36-6412.92-107-3-91-Q-02/EXP

($ 236,136.83) 79335 A/P Check09/18/2012 Ennis ISD $ 350.00- Splits -

Oct 09, 2012Page 49 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 236,236.83) 79336 A/P Check09/18/2012 Granbury High School $ 100.00191-36-6412.92-041-3-91-Q-02/EXP

���� ($ 236,236.83) 79337 A/P Check09/18/2012 - VOID - Keller High School $ 150.00

($ 236,336.83) 79338 A/P Check09/18/2012 EMSISD $ 100.00191-36-6412.58-001-3-91-Q-02/EXP

($ 235,948.83) 10662 Deposit09/19/2012 9 A/B, JV, VARSITY VB $ 388.00191-00-5752.58-000-3-00-0-00/REV

($ 235,264.83) 10663 Deposit09/19/2012 7A/B/C VB SMS $ 684.00191-00-5752.VV-041-3-00-0-00/REV

($ 229,306.83) 10664 Deposit09/19/2012 VARSITY FOOTBALL AGTE AZLE $ 5,958.00191-00-5752.41-000-3-00-0-00/REV

($ 229,291.83) 10679 Deposit09/19/2012 CAR TAGS $ 15.00461-00-5755.00-104-3-00-0-00/REV

($ 229,286.83) 10688 Deposit09/19/2012 SMS AGENDA ACTIVITY $ 5.00461-00-5755.11-041-3-00-0-00/REV

($ 229,178.83) 10689 Deposit09/19/2012 SMS CHOIR T-SHIRTS $ 108.00461-00-5755.14-041-3-00-0-00/REV

($ 229,103.83) 10690 Deposit09/19/2012 GERARD ACTIVITY $ 75.00- Splits -

($ 229,113.83) 10712 Withdrawal09/19/2012 NSF-C.JONES-CK#1189-CHS $ 10.00461-00-5755.72-001-3-00-0-00/REV

($ 228,482.83) 10884 Deposit09/19/2012 CARE & DRIVERS ED $ 631.00- Splits -

($ 228,645.20) 79328 A/P Check09/19/2012 ATMOS Energy $ 162.37- Splits -

($ 228,845.20) 79332 A/P Check09/19/2012 Education in Action $ 200.00461-11-6412.IR-104-3-11-P-00/EXP

($ 228,985.20) 79339 A/P Check09/19/2012 Shannon Allen $ 140.00199-52-6219.HS-001-3-99-Q-00/EXP

($ 229,035.20) 79340 A/P Check09/19/2012 Janet Ashley $ 50.00199-00-2110.00-000-3-00-0-00/G/L

($ 229,150.71) 79341 A/P Check09/19/2012 Jeffery Bell $ 115.51191-36-6299.43-041-3-91-Q-00/EXP

($ 229,237.21) 79342 A/P Check09/19/2012 Mark Bradrick $ 86.50191-36-6299.58-001-3-91-Q-00/EXP

($ 229,322.21) 79343 A/P Check09/19/2012 Jerry Brand $ 85.00191-36-6299.VV-107-3-91-Q-00/EXP

($ 229,402.21) 79344 A/P Check09/19/2012 George Byerly $ 80.00191-36-6299.43-041-3-91-Q-00/EXP

($ 229,780.85) 79345 A/P Check09/19/2012 Canon Financial Services, Inc. $ 378.64- Splits -

($ 229,886.13) 79347 A/P Check09/19/2012 Debbie Chambless $ 105.28199-41-6411.GA-750-3-99-A-00/EXP

($ 229,991.13) 79349 A/P Check09/19/2012 Cleburne Rotary Club $ 105.00199-41-6495.GA-701-3-99-A-00/EXP

($ 230,032.45) 79351 A/P Check09/19/2012 Robert Daigle $ 41.32199-13-6411.JH-041-3-11-Q-00/EXP

($ 230,452.45) 79352 A/P Check09/19/2012 Brian Davenport $ 420.00- Splits -

($ 230,592.45) 79353 A/P Check09/19/2012 Kevin Dupre $ 140.00199-52-6219.HS-001-3-99-Q-00/EXP

($ 230,714.95) 79354 A/P Check09/19/2012 Gary Fulenwider $ 122.50199-52-6219.HS-001-3-99-Q-00/EXP

($ 230,907.45) 79356 A/P Check09/19/2012 Raymond Huskey $ 192.50- Splits -

($ 231,047.45) 79357 A/P Check09/19/2012 William Hutchinson $ 140.00199-52-6219.HS-001-3-99-Q-00/EXP

($ 248,909.68) 79358 A/P Check09/19/2012 Jostens Inc. $ 17,862.23- Splits -

($ 248,989.68) 79359 A/P Check09/19/2012 Jeff Kubal $ 80.00191-36-6299.43-041-3-91-Q-00/EXP

($ 249,287.18) 79360 A/P Check09/19/2012 Wesley Mackey $ 297.50- Splits -

($ 249,687.18) 79361 A/P Check09/19/2012 Justin Marchel $ 400.00199-61-6299.CE-999-3-99-A-00/EXP

($ 249,825.18) 79362 A/P Check09/19/2012 Pitney Bowes $ 138.00199-00-2110.00-000-3-00-0-00/G/L

($ 250,079.18) 79363 A/P Check09/19/2012 Pitney Bowes $ 254.00199-41-6269.GA-750-3-99-A-01/EXP

($ 250,149.18) 79364 A/P Check09/19/2012 Region VII TMEA Vocal Division $ 70.00199-36-6412.CO-001-3-99-Q-00/EXP

($ 250,262.93) 79365 A/P Check09/19/2012 Donnie Riddell $ 113.75- Splits -

($ 250,840.43) 79366 A/P Check09/19/2012 Donnie Riddell $ 577.50- Splits -

Oct 09, 2012Page 50 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 250,927.93) 79368 A/P Check09/19/2012 Neal Sandlin $ 87.50199-52-6219.HS-001-3-99-Q-00/EXP

($ 251,050.43) 79369 A/P Check09/19/2012 Scripps National Spelling Bee $ 122.50199-11-6499.IM-107-3-11-P-00/EXP

($ 251,110.43) 79370 A/P Check09/19/2012 Johnny Shotwell $ 60.00191-36-6299.58-001-3-91-Q-00/EXP

($ 251,260.43) 79371 A/P Check09/19/2012 Southeastern Oklahoma State University $ 150.00199-36-6412.CO-001-3-99-Q-00/EXP

($ 251,760.43) 79372 A/P Check09/19/2012 Tarleton State University $ 500.00199-11-6495.HS-001-3-11-Q-00/EXP

($ 252,210.43) 79373 A/P Check09/19/2012 TASPA $ 450.00- Splits -

($ 252,296.93) 79374 A/P Check09/19/2012 Monty Teaff $ 86.50191-36-6299.58-001-3-91-Q-00/EXP

($ 252,356.93) 79375 A/P Check09/19/2012 Jason Wells $ 60.00191-36-6299.58-001-3-91-Q-00/EXP

($ 251,797.98) 10665 Deposit09/20/2012 WMS 7 A/B FOOTBALL $ 558.95191-00-5752.43-107-3-00-0-00/REV

($ 251,669.98) 10691 Deposit09/20/2012 CANDLE FUNDRAISER $ 128.00461-00-5755.00-108-3-00-0-00/REV

($ 251,658.98) 10692 Deposit09/20/2012 GERARD ACTIVITY $ 11.00- Splits -

($ 251,873.80) 79346 A/P Check09/20/2012 Carrier Enterprise, LLC $ 214.82- Splits -

($ 254,088.80) 79348 A/P Check09/20/2012 Cleburne Glass Co. Inc $ 2,215.00- Splits -

($ 254,886.30) 79350 A/P Check09/20/2012 CRS Advanced Technology $ 797.50199-00-2110.00-000-3-00-0-00/G/L

($ 255,503.30) 79355 A/P Check09/20/2012 Henslee Schwartz LLP $ 617.00- Splits -

($ 256,001.30) 79367 A/P Check09/20/2012 Runnels Glass & Pickup Accessories $ 498.00199-00-2110.00-000-3-00-0-00/G/L

($ 256,081.30) 79376 A/P Check09/20/2012 Laura Brewster $ 80.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,171.30) 79377 A/P Check09/20/2012 George Byerly $ 90.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,236.30) 79378 A/P Check09/20/2012 Joe Distefano, Jr. $ 65.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,301.30) 79379 A/P Check09/20/2012 Joe Distefano, Jr. $ 65.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,331.30) 79380 A/P Check09/20/2012 Misty Farrington $ 30.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,411.30) 79381 A/P Check09/20/2012 Misty Farrington $ 80.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,502.26) 79382 A/P Check09/20/2012 Harvey Hamil $ 90.96191-36-6299.VV-107-3-91-Q-00/EXP

($ 256,574.41) 79383 A/P Check09/20/2012 Eric Horton $ 72.15191-36-6299.41-001-3-91-Q-00/EXP

($ 256,639.41) 79384 A/P Check09/20/2012 Jeremy Horton $ 65.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,704.41) 79385 A/P Check09/20/2012 Jeremy Horton $ 65.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,814.41) 79386 A/P Check09/20/2012 Scott Huffman $ 110.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,904.41) 79387 A/P Check09/20/2012 Randy Ivy $ 90.00191-36-6299.41-001-3-91-Q-00/EXP

($ 256,995.37) 79388 A/P Check09/20/2012 Karl Kiene $ 90.96191-36-6299.VV-107-3-91-Q-00/EXP

($ 257,075.37) 79389 A/P Check09/20/2012 Betty Langston $ 80.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,165.37) 79390 A/P Check09/20/2012 Marvin Lemmons $ 90.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,245.37) 79391 A/P Check09/20/2012 Marsha Maples $ 80.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,310.37) 79392 A/P Check09/20/2012 Jackie Mayden $ 65.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,375.37) 79393 A/P Check09/20/2012 Jackie Mayden $ 65.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,410.37) 79394 A/P Check09/20/2012 Brad Mead $ 35.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,445.37) 79395 A/P Check09/20/2012 Brad Mead $ 35.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,525.37) 79396 A/P Check09/20/2012 Rose Nunn $ 80.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,595.37) 79397 A/P Check09/20/2012 Ben Oefinger $ 70.00191-36-6299.41-001-3-91-Q-00/EXP

Oct 09, 2012Page 51 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 257,702.49) 79398 A/P Check09/20/2012 James Russell $ 107.12191-36-6299.41-001-3-91-Q-00/EXP

($ 257,792.49) 79399 A/P Check09/20/2012 Daniel Salazar $ 90.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,822.49) 79400 A/P Check09/20/2012 Christopher Smith $ 30.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,862.49) 79401 A/P Check09/20/2012 Lisa Smith $ 40.00191-36-6299.41-001-3-91-Q-00/EXP

($ 257,942.49) 79402 A/P Check09/20/2012 Robert Clegg Smith $ 80.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,002.49) 79403 A/P Check09/20/2012 Sherry Smith $ 60.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,062.49) 79404 A/P Check09/20/2012 Sherry Smith $ 60.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,152.49) 79405 A/P Check09/20/2012 Stephen Smith $ 90.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,242.49) 79406 A/P Check09/20/2012 Eddie Stephenson $ 90.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,352.49) 79407 A/P Check09/20/2012 Danny Turner $ 110.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,436.74) 79408 A/P Check09/20/2012 Jason Wells $ 84.25191-36-6299.VV-041-3-91-Q-00/EXP

($ 258,546.74) 79409 A/P Check09/20/2012 Frank Wilcox $ 110.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,729.73) 79410 A/P Check09/20/2012 James Wilcox $ 182.99191-36-6299.41-001-3-91-Q-00/EXP

($ 258,839.73) 79411 A/P Check09/20/2012 Roy Wilson $ 110.00191-36-6299.41-001-3-91-Q-00/EXP

($ 258,923.73) 79412 A/P Check09/20/2012 Brett Almond $ 84.00191-36-6412.51-001-3-91-Q-00/EXP

($ 259,007.73) 79413 A/P Check09/20/2012 Brett Almond $ 84.00191-36-6412.51-001-3-91-Q-00/EXP

($ 259,091.73) 79414 A/P Check09/20/2012 Brett Almond $ 84.00191-36-6412.51-001-3-91-Q-00/EXP

($ 259,857.43) 79415 A/P Check09/20/2012 Bennett Printing & Office Supply $ 765.70- Splits -

($ 259,977.98) 79416 A/P Check09/20/2012 Budget Truck Rental $ 120.55- Splits -

($ 261,602.98) 79417 A/P Check09/20/2012 Careys Sporting Goods $ 1,625.00- Splits -

($ 266,609.58) 79418 A/P Check09/20/2012 Careys Sporting Goods $ 5,006.60191-36-6399.61-001-3-91-Q-00/EXP

($ 268,329.45) 79419 A/P Check09/20/2012 Carrier Enterprise, LLC $ 1,719.87- Splits -

($ 270,623.33) 79420 A/P Check09/20/2012 Carrier Enterprise, LLC $ 2,293.88- Splits -

($ 273,773.33) 79421 A/P Check09/20/2012 Carrier Enterprise, LLC $ 3,150.00199-51-6319.MA-999-3-99-A-00/EXP

($ 273,813.33) 79422 A/P Check09/20/2012 Paul Coble $ 40.00199-51-6411.MA-999-3-99-A-00/EXP

($ 274,203.73) 79423 A/P Check09/20/2012 Dancewear Solutions $ 390.40- Splits -

($ 274,308.67) 79424 A/P Check09/20/2012 EPS/School Specialty Literacy & Intervention $ 104.94- Splits -

($ 275,410.67) 79425 A/P Check09/20/2012 Footgear $ 1,102.00191-00-2110.00-000-3-00-0-00/G/L

($ 275,470.67) 79426 A/P Check09/20/2012 Global Asset $ 60.00199-00-2110.00-000-3-00-0-00/G/L

($ 275,563.91) 79427 A/P Check09/20/2012 Grainger $ 93.24- Splits -

($ 276,576.31) 79428 A/P Check09/20/2012 Harcourt Outlines, Inc $ 1,012.40- Splits -

($ 276,889.05) 79429 A/P Check09/20/2012 Henderson Junior High Activity Fund $ 312.74199-36-6499.IM-107-3-11-P-00/EXP

($ 276,929.05) 79430 A/P Check09/20/2012 Inca-Trio Fire Services, LP $ 40.00199-51-6249.MA-999-3-99-A-10/EXP

($ 277,168.00) 79431 A/P Check09/20/2012 Interactive Educational Video $ 238.95199-11-6399.DR-001-3-11-Q-00/EXP

($ 277,858.22) 79432 A/P Check09/20/2012 Laser Tech Solutions $ 690.22- Splits -

($ 278,572.16) 79433 A/P Check09/20/2012 Lennox Industries Inc. $ 713.94- Splits -

($ 278,965.16) 79434 A/P Check09/20/2012 Lingui Systems, Inc $ 393.00- Splits -

($ 279,925.16) 79435 A/P Check09/20/2012 Mallory Screenprint & Embroidery $ 960.00191-36-6399.41-001-3-91-Q-00/EXP

Oct 09, 2012Page 52 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 281,184.86) 79436 A/P Check09/20/2012 Matthews Office City $ 1,259.70199-11-6399.GR-108-3-11-P-00/EXP

($ 283,545.29) 79437 A/P Check09/20/2012 Matthews Office City $ 2,360.43- Splits -

($ 283,910.05) 79438 A/P Check09/20/2012 Nasco $ 364.76199-11-6399.IM-107-3-11-P-00/EXP

($ 285,995.05) 79439 A/P Check09/20/2012 Omni 1rst Integrated Systems $ 2,085.00- Splits -

($ 286,021.79) 79440 A/P Check09/20/2012 Ozarka $ 26.74461-36-6499.SF-111-3-99-P-00/EXP

($ 286,081.79) 79441 A/P Check09/20/2012 Pauls Donuts $ 60.00461-23-6499.CL-102-3-99-P-00/EXP

($ 286,204.29) 79442 A/P Check09/20/2012 Neal Sandlin $ 122.50- Splits -

($ 286,778.68) 79443 A/P Check09/20/2012 School Specialty Inc. $ 574.39- Splits -

($ 286,902.31) 79444 A/P Check09/20/2012 Shiffler Equipment Sales, Inc. $ 123.63- Splits -

($ 287,232.31) 79445 A/P Check09/20/2012 Southeastern Emergency Equipment $ 330.00199-33-6399.HT-001-3-99-Q-00/EXP

($ 287,930.32) 79446 A/P Check09/20/2012 Sportdecals, Inc. $ 698.01191-36-6399.41-001-3-91-Q-00/EXP

($ 289,461.86) 79447 A/P Check09/20/2012 Staples Advantage $ 1,531.54- Splits -

($ 291,323.70) 79448 A/P Check09/20/2012 Staples Advantage $ 1,861.84199-11-6399.JH-041-3-11-Q-00/EXP

($ 291,338.70) 79449 A/P Check09/20/2012 Texas Bluebonnet Award $ 15.00199-12-6499.AD-101-3-11-P-00/EXP

($ 292,405.70) 79450 A/P Check09/20/2012 The Flippin Group, LLC $ 1,067.00- Splits -

($ 292,753.70) 79451 A/P Check09/20/2012 The Markerboard People $ 348.00199-11-6399.HS-001-3-11-Q-00/EXP

($ 293,044.86) 79452 A/P Check09/20/2012 Triarco $ 291.16199-11-6399.IM-107-3-11-P-00/EXP

($ 293,084.86) 79453 A/P Check09/20/2012 James Walters $ 40.00199-51-6411.MA-999-3-99-A-00/EXP

($ 293,249.86) 79454 A/P Check09/20/2012 Whaley Gradebook., Inc $ 165.00199-11-6399.HS-001-3-11-Q-00/EXP

($ 293,478.98) 79455 A/P Check09/20/2012 Winfield Solutions $ 229.12- Splits -

���� ($ 293,478.98) T A/P Check09/20/2012 - VOID - Matthews Office City $ 2,635.32

($ 298,478.98) 10648 Withdrawal09/21/2012 Due from Payroll $ 5,000.00199-00-1261.45-000-3-00-0-00/G/L

($ 298,464.98) 10661 Deposit09/21/2012 PSAT $ 14.00199-31-6339.GC-001-3-99-Q-00/EXP

($ 291,464.98) 10672 Deposit09/21/2012 COKE DONATION $ 7,000.00199-00-5749.00-000-3-00-0-00/REV

($ 291,038.48) 10673 Deposit09/21/2012 TRANSP. FEES $ 426.50199-00-5739.04-000-3-00-0-00/REV

($ 290,925.48) 10674 Deposit09/21/2012 INSURANCE - M. MITCHELL $ 113.00199-41-6142.GA-750-3-99-A-00/EXP

($ 290,912.15) 10675 Deposit09/21/2012 UNITED CO-OP BENEFIT $ 13.33199-00-5749.00-000-3-00-0-00/REV

($ 290,812.15) 10693 Deposit09/21/2012 DONATION - PORTERS CLASS $ 100.00461-00-5755.00-102-3-00-0-00/REV

($ 290,482.15) 10694 Deposit09/21/2012 CABC DONATION $ 330.00461-00-5755.10-001-3-00-0-00/REV

($ 280,112.15) 10695 Deposit09/21/2012 CABC DONATION - FOOTBALL $ 10,370.00461-00-5752.WW-929-3-00-0-00/REV

($ 278,172.15) 10714 Deposit09/21/2012 ART FEES $ 1,940.00461-00-5755.03-001-3-00-0-00/REV

($ 277,672.15) 10715 Deposit09/21/2012 CAR TAG - COMMUNITY BANK $ 500.00461-00-5755.00-104-3-00-0-00/REV

($ 277,528.15) 10716 Deposit09/21/2012 PE SUITS $ 144.00461-00-5755.72-001-3-00-0-00/REV

($ 277,083.15) 10717 Deposit09/21/2012 CHOIR $ 445.00- Splits -

($ 276,963.15) 10718 Deposit09/21/2012 CHEER MINI CLINIC $ 120.00461-00-5755.34-001-3-00-0-00/REV

($ 276,959.15) 10719 Deposit09/21/2012 CAR TAGS $ 4.00461-00-5755.00-102-3-00-0-00/REV

($ 276,944.15) 10720 Deposit09/21/2012 OLD COLEMAN T-SHIRTS (REDUCED) $ 15.00461-00-5755.00-102-3-00-0-00/REV

($ 276,728.15) 10728 Deposit09/21/2012 ADAMS STUDENT COUNCIL SHIRTS $ 216.00461-00-5755.00-101-3-00-0-00/REV

Oct 09, 2012Page 53 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

($ 273,209.17) 10729 Deposit09/21/2012 ADAMS BOOK FAIR $ 3,518.98461-00-5755.00-101-3-00-0-00/REV

($ 272,629.49) 10730 Deposit09/21/2012 ADAMS BOOK FAIR $ 579.68461-00-5755.00-101-3-00-0-00/REV

($ 272,102.51) 10731 Deposit09/21/2012 ADAMS BOOK FAIR $ 526.98461-00-5755.00-101-3-00-0-00/REV

($ 272,186.51) 79456 A/P Check09/21/2012 Stacey Foster $ 84.00191-36-6412.51-001-3-91-Q-00/EXP

($ 272,270.51) 79457 A/P Check09/21/2012 Stacey Foster $ 84.00191-36-6412.51-001-3-91-Q-00/EXP

($ 272,430.51) 79458 A/P Check09/21/2012 Joshua ISD $ 160.00191-36-6412.VV-107-3-91-Q-02/EXP

($ 272,574.51) 79459 A/P Check09/21/2012 Teresa Morton $ 144.00191-36-6412.VV-107-3-91-Q-00/EXP

���� ($ 272,574.51) 79460 A/P Check09/21/2012 - VOID - Dallas Summer Musicals $ 168.00

$ 1,927,425.49 10650 Deposit09/24/2012 Transfer from Investments $ 2,200,000.00199-00-1101.00-000-3-00-0-00/G/L

$ 2,277,425.49 10651 Deposit09/24/2012 Due to Federal-Payroll Loan $ 350,000.00199-00-1262.03-000-3-00-0-00/G/L

$ 2,277,710.49 10659 Deposit09/24/2012 WMS 8TH GRADE VB SUMMER CREEK $ 285.00191-00-5752.VV-107-3-00-0-00/REV

$ 2,278,171.49 10660 Deposit09/24/2012 SMS 7A/B/C VB $ 461.00191-00-5752.VV-041-3-00-0-00/REV

$ 2,278,224.49 10721 Deposit09/24/2012 GERARD ACTIVITY $ 53.00- Splits -

$ 2,278,274.49 10722 Deposit09/24/2012 BOOK FAIR STARTUP MONEY $ 50.00461-00-5755.00-101-3-00-0-00/REV

$ 2,278,290.49 10723 Deposit09/24/2012 WMS COOKIE DOUGH $ 16.00461-00-5755.00-107-3-00-0-00/REV

$ 2,278,931.49 10724 Deposit09/24/2012 RAL T-SHIRTS $ 641.00461-00-5755.RE-107-3-00-0-00/REV

($ 469,436.25) 14432 W/T W/D09/24/2012 Cleburne Independent School District $ 2,748,367.74- Splits -

($ 467,838.14) 10652 Deposit09/25/2012 JOHNSON COUNTY TREASURER $ 1,598.11199-00-5743.00-000-3-00-0-00/REV

($ 268,057.14) 10653 Deposit09/25/2012 Per Capita for Sept 2012-13 $ 199,781.00199-00-5811.00-000-3-00-0-00/REV

���� ($ 268,057.14) 10654 Deposit09/25/2012 - VOID - Per Capita for Sept 2012-13 $ 19,550.95161-00-5811.00-000-3-00-0-00/REV

$ 4,287,850.86 10655 Deposit09/25/2012 Foundation Funding for Sept 2012-13 $ 4,555,908.00199-00-5812.00-000-3-00-0-00/REV

$ 5,426,827.86 10656 Deposit09/25/2012 Foundation Funding for Sept 2012-13 $ 1,138,977.00161-00-5812.00-000-3-00-0-00/REV

$ 5,076,827.86 10657 Withdrawal09/25/2012 Due to Federal $ 350,000.00199-00-2172.05-000-3-00-0-00/G/L

$ 5,081,827.86 10658 Deposit09/25/2012 Due from Payroll $ 5,000.00199-00-1261.45-000-3-00-0-00/G/L

$ 5,081,990.86 10666 Deposit09/25/2012 VOLLEYBALL $ 163.00191-36-6412.58-001-3-91-Q-00/EXP

$ 5,082,371.86 10670 Deposit09/25/2012 AZLE'S PRE-SALE FOOTBALL TICKETS $ 381.00191-00-5752.41-000-3-00-0-00/REV

$ 5,082,428.86 10696 Deposit09/25/2012 CONCESSIONS - POPCORN $ 57.00461-00-5755.67-001-3-00-0-00/REV

$ 5,082,653.86 10697 Deposit09/25/2012 PSAT PREP $ 225.00461-00-5755.60-001-3-00-0-00/REV

$ 5,082,903.86 10698 Deposit09/25/2012 PAYMENT $ 250.00461-00-5755.34-001-3-00-0-00/REV

$ 5,083,083.86 10699 Deposit09/25/2012 CC ENTRY FEE ITASCA ISD $ 180.00461-00-5755.97-001-3-00-0-00/REV

$ 5,083,783.86 10700 Deposit09/25/2012 GOLF ENTRY FEES $ 700.00461-00-5755.94-001-3-00-0-00/REV

$ 5,083,883.86 10701 Deposit09/25/2012 SMS ACTIVITY $ 100.00461-00-5755.11-041-3-00-0-00/REV

$ 5,084,158.86 10702 Deposit09/25/2012 CHOIR $ 275.00- Splits -

$ 5,084,218.86 10703 Deposit09/25/2012 SMS CHOIR T-SHIRTS $ 60.00461-00-5755.14-041-3-00-0-00/REV

$ 5,084,559.86 10704 Deposit09/25/2012 SMS GIRLS ATHLETICS CONCESSIONS $ 341.00461-00-5755.17-041-3-00-0-00/REV

$ 5,086,791.86 10705 Deposit09/25/2012 SMS BAND $ 2,232.00- Splits -

$ 5,087,519.86 10706 Deposit09/25/2012 SMS BAND $ 728.00461-00-5755.18-041-3-00-0-00/REV

$ 5,087,567.86 10707 Deposit09/25/2012 SANTA FE STAFF SHIRTS $ 48.00461-00-5755.00-111-3-00-0-00/REV

Oct 09, 2012Page 54 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 5,087,575.86 10713 Deposit09/25/2012 BANK CORRECTION-DEP $112.00 $ 8.00461-00-5755.00-104-3-00-0-00/REV

$ 5,087,687.86 10732 Deposit09/25/2012 5TH GRADE FIELD TRIP $ 112.00461-00-5755.00-104-3-00-0-00/REV

$ 5,091,716.86 10738 Deposit09/25/2012 WMS COOKIE DOUGH FUNDRAISER $ 4,029.00461-00-5755.11-107-3-00-0-00/REV

$ 5,093,216.86 10793 Deposit09/25/2012 CHEER CLINIC $ 1,500.00461-00-5755.35-001-3-00-0-00/REV

$ 5,094,176.86 10794 Deposit09/25/2012 ART FEES $ 960.00461-00-5755.03-001-3-00-0-00/REV

$ 5,093,581.79 14440 W/T W/D09/25/2012 Cleburne Independent School District $ 595.07- Splits -

$ 5,093,253.75 79461 A/P Check09/25/2012 AbiBow Recycling LLC $ 328.04199-51-6256.MO-999-3-99-A-00/EXP

$ 5,093,225.22 79462 A/P Check09/25/2012 Valerie Carlton $ 28.53199-36-6411.JH-041-3-99-Q-00/EXP

$ 5,093,072.02 79463 A/P Check09/25/2012 City Of Cleburne $ 153.20199-00-2110.00-000-3-00-0-00/G/L

$ 5,092,722.02 79464 A/P Check09/25/2012 Cleburne High School $ 350.00191-36-6412.49-001-3-91-Q-02/EXP

$ 5,092,022.02 79465 A/P Check09/25/2012 Cleburne High School $ 700.00191-36-6412.50-001-3-91-Q-02/EXP

$ 5,091,797.02 79466 A/P Check09/25/2012 Glen Rose ISD $ 225.00191-36-6412.49-001-3-91-Q-02/EXP

$ 5,091,572.02 79467 A/P Check09/25/2012 Glen Rose ISD $ 225.00191-36-6412.50-001-3-91-Q-02/EXP

$ 5,091,542.02 79468 A/P Check09/25/2012 Cena Hafford $ 30.00191-36-6299.41-001-3-91-Q-00/EXP

$ 5,091,229.28 79469 A/P Check09/25/2012 Henderson Junior High Activity Fund $ 312.74- Splits -

$ 5,091,089.28 79470 A/P Check09/25/2012 Joshua High School Golf $ 140.00191-36-6412.50-001-3-91-Q-02/EXP

$ 5,091,059.28 79471 A/P Check09/25/2012 Patrick McHargue $ 30.00191-36-6412.50-001-3-91-Q-00/EXP

$ 5,091,029.28 79472 A/P Check09/25/2012 Patrick McHargue $ 30.00191-36-6412.49-001-3-91-Q-00/EXP

$ 5,090,999.28 79473 A/P Check09/25/2012 Patrick McHargue $ 30.00191-36-6412.50-001-3-91-Q-00/EXP

$ 5,090,969.28 79474 A/P Check09/25/2012 Patrick McHargue $ 30.00191-36-6412.50-001-3-91-Q-00/EXP

$ 5,090,924.28 79475 A/P Check09/25/2012 Region VII TMEA Band $ 45.00199-36-6412.HB-001-3-99-Q-00/EXP

$ 5,090,644.28 79476 A/P Check09/25/2012 Region VII UIL Music $ 280.00199-36-6412.HB-001-3-99-Q-00/EXP

$ 5,090,494.28 79477 A/P Check09/25/2012 Waxahachie ISD $ 150.00191-36-6412.50-001-3-91-Q-02/EXP

$ 5,090,144.28 79478 A/P Check09/25/2012 Waxahachie ISD $ 350.00191-36-6412.49-001-3-91-Q-02/EXP

$ 5,089,794.28 79479 A/P Check09/25/2012 Waxahachie ISD $ 350.00191-36-6412.50-001-3-91-Q-02/EXP

$ 5,074,258.28 79480 A/P Check09/25/2012 24/7Mobile Drug & Alcohol Test $ 15,536.00- Splits -

$ 5,074,173.28 79481 A/P Check09/25/2012 Kelli Chavez $ 85.00191-36-6299.58-001-3-91-Q-00/EXP

$ 5,074,061.08 79482 A/P Check09/25/2012 William DeSonier $ 112.20191-36-6299.58-001-3-91-Q-00/EXP

$ 5,073,938.58 79483 A/P Check09/25/2012 Gary Fulenwider $ 122.50199-52-6219.HS-001-3-99-Q-00/EXP

$ 5,073,883.65 79484 A/P Check09/25/2012 Harvey Hamil $ 54.93191-36-6299.58-001-3-91-Q-00/EXP

$ 5,073,821.85 79485 A/P Check09/25/2012 Stephen Johnson $ 61.80191-36-6299.58-001-3-91-Q-00/EXP

$ 5,073,661.85 79486 A/P Check09/25/2012 Marvin Lemmons $ 160.00191-36-6299.43-107-3-91-Q-00/EXP

$ 5,073,624.29 79487 A/P Check09/25/2012 Jay Lewis $ 37.56199-23-6411.HS-001-3-99-Q-00/EXP

$ 5,073,209.39 79488 A/P Check09/25/2012 Wesley Lynch $ 414.90- Splits -

$ 5,073,159.39 79489 A/P Check09/25/2012 Tammy Nichols $ 50.00461-00-1105.00-000-3-00-0-00/G/L

$ 5,073,026.10 79490 A/P Check09/25/2012 Joseph Patman $ 133.29191-36-6299.43-107-3-91-Q-00/EXP

$ 5,072,804.10 79491 A/P Check09/25/2012 Darryl Pilate $ 222.00199-36-6412.CH-001-3-99-Q-00/EXP

$ 5,072,582.10 79492 A/P Check09/25/2012 Darryl Pilate $ 222.00199-36-6412.CH-001-3-99-Q-00/EXP

Oct 09, 2012Page 55 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 5,072,360.10 79493 A/P Check09/25/2012 Darryl Pilate $ 222.00199-36-6412.CH-001-3-99-Q-00/EXP

$ 5,072,247.90 79494 A/P Check09/25/2012 Billy Preissinger $ 112.20191-36-6299.58-001-3-91-Q-00/EXP

$ 5,072,072.90 79495 A/P Check09/25/2012 Region VII TMEA Vocal Division $ 175.00- Splits -

$ 5,071,985.40 79496 A/P Check09/25/2012 Donnie Riddell $ 87.50199-52-6299.JH-041-3-99-Q-00/EXP

$ 5,071,862.90 79497 A/P Check09/25/2012 Donnie Riddell $ 122.50199-52-6219.HS-001-3-99-Q-00/EXP

$ 5,071,775.40 79498 A/P Check09/25/2012 Neal Sandlin $ 87.50199-52-6219.IM-107-3-11-P-00/EXP

$ 5,071,695.40 79499 A/P Check09/25/2012 Victor Santiago $ 80.00191-36-6299.43-107-3-91-Q-00/EXP

$ 5,071,602.15 79500 A/P Check09/25/2012 Victor Santiago $ 93.25191-36-6299.43-107-3-91-Q-00/EXP

$ 5,070,899.03 79501 A/P Check09/25/2012 Scholastic Magazines $ 703.12199-11-6329.GR-108-3-11-P-00/EXP

$ 5,070,819.03 79502 A/P Check09/25/2012 Eddie Stephenson $ 80.00191-36-6299.43-107-3-91-Q-00/EXP

$ 5,070,669.03 79503 A/P Check09/25/2012 TASA $ 150.00199-13-6411.CP-999-3-11-A-00/EXP

$ 5,070,269.03 79504 A/P Check09/25/2012 TASP $ 400.00199-31-6411.SB-999-3-23-A-00/EXP

$ 5,070,165.47 79505 A/P Check09/25/2012 Monty Teaff $ 103.56191-36-6299.58-001-3-91-Q-00/EXP

$ 5,070,000.47 79506 A/P Check09/25/2012 Texas School Administrators' Legal Digest $ 165.00199-41-6411.GA-750-3-99-A-00/EXP

$ 5,069,609.47 79507 A/P Check09/25/2012 B Weslee Vance $ 391.00199-36-6412.CO-001-3-99-Q-00/EXP

$ 5,069,554.54 79508 A/P Check09/25/2012 Jason Wells $ 54.93191-36-6299.58-001-3-91-Q-00/EXP

$ 5,069,492.75 79509 A/P Check09/25/2012 Jason Wells $ 61.79191-36-6299.58-001-3-91-Q-00/EXP

$ 5,069,509.75 10676 Deposit09/26/2012 LOST BOOK $ 17.00199-12-6329.HL-001-3-11-Q-00/EXP

$ 5,069,659.75 10708 Deposit09/26/2012 PSAT PREP $ 150.00461-00-5755.60-001-3-00-0-00/REV

$ 5,069,695.75 10709 Deposit09/26/2012 PE SHORTS & SHIRT $ 36.00461-00-5755.71-001-3-00-0-00/REV

$ 5,070,595.75 10710 Deposit09/26/2012 PARKING FEES $ 900.00461-00-5755.72-001-3-00-0-00/REV

$ 5,070,625.75 10725 Deposit09/26/2012 SPIRIT SHIRTS $ 30.00461-00-5755.00-108-3-00-0-00/REV

$ 5,070,675.75 10726 Deposit09/26/2012 CICI'S NIGHT $ 50.00461-00-5755.00-108-3-00-0-00/REV

$ 5,070,678.75 10733 Deposit09/26/2012 CAR TAGS $ 3.00461-00-5755.00-102-3-00-0-00/REV

$ 5,070,411.75 79510 A/P Check09/26/2012 A Photo Identification, Inc. $ 267.00- Splits -

$ 5,070,352.75 79511 A/P Check09/26/2012 Agency 405 $ 59.00199-41-6299.GA-750-3-99-A-00/EXP

$ 5,070,247.75 79512 A/P Check09/26/2012 Brent Allen $ 105.00191-36-6299.41-001-3-91-Q-00/EXP

$ 5,069,058.15 79513 A/P Check09/26/2012 American Express $ 1,189.60- Splits -

$ 5,063,226.39 79514 A/P Check09/26/2012 B & B Athletic Supply $ 5,831.76- Splits -

$ 5,062,260.75 79515 A/P Check09/26/2012 Barefoot Athletics $ 965.64461-36-6399.95-001-3-99-Q-00/EXP

$ 5,061,561.75 79516 A/P Check09/26/2012 Bennett Printing & Office Supply $ 699.00- Splits -

$ 5,053,089.98 79517 A/P Check09/26/2012 BrainPOP LLC $ 8,471.77- Splits -

$ 5,053,012.27 79518 A/P Check09/26/2012 Jerry Brand $ 77.71191-36-6299.VV-107-3-91-Q-00/EXP

$ 5,052,912.27 79519 A/P Check09/26/2012 Bryan-College Station Convention & Visitors Bureau $ 100.00191-36-6412.44-001-3-91-Q-02/EXP

$ 5,051,764.27 79520 A/P Check09/26/2012 BSN Sports, Inc. $ 1,148.00191-36-6399.88-001-3-91-Q-00/EXP

$ 5,051,720.27 79521 A/P Check09/26/2012 Card & Party Factory $ 44.00461-23-6499.CL-102-3-99-P-00/EXP

$ 5,051,646.28 79522 A/P Check09/26/2012 Careys Sporting Goods $ 73.99191-36-6399.88-001-3-91-Q-00/EXP

$ 4,933,768.79 79523 A/P Check09/26/2012 Central Appraisal Dist Johnson Co $ 117,877.49199-99-6213.GA-750-3-99-A-00/EXP

Oct 09, 2012Page 56 of 64

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 4,933,593.79 79524 A/P Check09/26/2012 Elva Chavez $ 175.00199-00-5755.CE-000-3-00-0-00/REV

$ 4,933,514.79 79525 A/P Check09/26/2012 CHS Culinary Arts $ 79.00- Splits -

$ 4,932,264.79 79526 A/P Check09/26/2012 CHS Junior Class/Prom $ 1,250.00461-23-6499.60-001-3-99-Q-00/EXP

$ 4,932,204.79 79527 A/P Check09/26/2012 Cici's Pizza $ 60.00199-23-6499.IR-104-3-99-P-00/EXP

$ 4,922,205.79 79528 A/P Check09/26/2012 Companion Corporation $ 9,999.00- Splits -

$ 4,922,030.79 79529 A/P Check09/26/2012 A'leah Duncan $ 175.00199-00-5755.CE-000-3-00-0-00/REV

$ 4,921,780.79 79530 A/P Check09/26/2012 Ennis High School $ 250.00191-36-6412.44-001-3-91-Q-02/EXP

$ 4,921,480.79 79531 A/P Check09/26/2012 Ennis High School $ 300.00191-36-6412.44-001-3-91-Q-02/EXP

$ 4,921,380.79 79532 A/P Check09/26/2012 Fairfield High School $ 100.00191-36-6412.44-001-3-91-Q-02/EXP

$ 4,921,111.79 79533 A/P Check09/26/2012 Global Asset $ 269.00199-23-6398.HS-001-3-99-Q-00/EXP

$ 4,921,006.79 79534 A/P Check09/26/2012 Monty Huffman $ 105.00191-36-6299.41-001-3-91-Q-00/EXP

$ 4,920,922.16 79535 A/P Check09/26/2012 Jim Hunley $ 84.63191-36-6299.VV-041-3-91-Q-00/EXP

���� $ 4,920,922.16 79536 A/P Check09/26/2012 - VOID - Joshua ISD $ 160.00

$ 4,918,672.16 79537 A/P Check09/26/2012 Kuder, Inc. $ 2,250.00199-11-6299.VO-001-3-22-Q-00/EXP

$ 4,918,504.23 79538 A/P Check09/26/2012 Leonard Lopez $ 167.93191-36-6299.41-001-3-91-Q-00/EXP

$ 4,918,078.95 79539 A/P Check09/26/2012 Matthews Office City $ 425.28- Splits -

$ 4,917,528.95 79540 A/P Check09/26/2012 MJM Works $ 550.00199-36-6399.HB-001-3-99-Q-00/EXP

$ 4,917,408.95 79541 A/P Check09/26/2012 Teresa Morton $ 120.00191-36-6412.VV-107-3-91-Q-00/EXP

$ 4,917,163.55 79542 A/P Check09/26/2012 Nasco $ 245.40461-11-6399.20-107-3-11-P-00/EXP

$ 4,916,863.55 79543 A/P Check09/26/2012 Northwest High School $ 300.00191-36-6412.44-001-3-91-Q-02/EXP

$ 4,916,409.80 79544 A/P Check09/26/2012 N-Synch Technologies $ 453.75199-11-6399.HS-001-3-11-Q-00/EXP

$ 4,916,329.80 79545 A/P Check09/26/2012 Brian Owens $ 80.00191-36-6412.44-001-3-91-Q-00/EXP

$ 4,916,179.80 79546 A/P Check09/26/2012 Brian Owens $ 150.00191-36-6412.44-001-3-91-Q-00/EXP

$ 4,915,479.80 79547 A/P Check09/26/2012 Precision Business Machines, Inc. $ 700.00199-11-6399.HS-001-3-11-Q-00/EXP

$ 4,914,352.83 79548 A/P Check09/26/2012 Staples Advantage $ 1,126.97- Splits -

$ 4,914,247.83 79549 A/P Check09/26/2012 William Stepina $ 105.00191-36-6299.41-001-3-91-Q-00/EXP

$ 4,913,143.83 79550 A/P Check09/26/2012 Summit Integration Systems $ 1,104.00199-11-6399.JH-041-3-11-Q-00/EXP

$ 4,913,003.88 79551 A/P Check09/26/2012 Tattoo Bubble Gum $ 139.95461-36-6399.07-041-3-11-Q-00/EXP

$ 4,911,183.88 79552 A/P Check09/26/2012 T-Shirt Factory $ 1,820.00- Splits -

$ 4,903,025.88 79553 A/P Check09/26/2012 USA Shade & Fabric Structures $ 8,158.00461-11-6639.SF-111-3-11-P-00/EXP

$ 4,902,941.25 79554 A/P Check09/26/2012 Jason Wells $ 84.63191-36-6299.VV-041-3-91-Q-00/EXP

$ 4,902,836.25 79555 A/P Check09/26/2012 Allen Williams $ 105.00191-36-6299.41-001-3-91-Q-00/EXP

$ 4,902,660.25 79556 A/P Check09/26/2012 Jennifer Wilson $ 176.00191-36-6412.VV-041-3-91-Q-00/EXP

$ 4,902,475.25 79557 A/P Check09/26/2012 Jennifer Wilson $ 185.00191-36-6412.VV-041-3-91-Q-00/EXP

$ 4,913,054.45 10668 Deposit09/27/2012 due from 865 - ms cheer $ 10,579.20461-00-1267.00-000-3-00-0-00/G/L

$ 513,054.45 10669 Withdrawal09/27/2012 TR TO INVESTMENTS $ 4,400,000.00199-00-1101.00-000-3-00-0-00/G/L

$ 513,080.45 10735 Deposit09/27/2012 GERARD CAR TAGS & SPIRIT SHIRTS $ 26.00- Splits -

$ 513,290.45 10736 Deposit09/27/2012 WMS BULLING T-SHIRTS $ 210.00461-00-5755.11-107-3-00-0-00/REV

Oct 09, 2012Page 57 of 64

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Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 514,029.70 10740 Deposit09/27/2012 SMS BAND CHERRYDALE FUNDRAISER $ 739.25461-00-5755.18-041-3-00-0-00/REV

$ 514,969.95 10741 Deposit09/27/2012 SMS BAND CHERRYDALE FUNDRAISER $ 940.25461-00-5755.18-041-3-00-0-00/REV

$ 515,929.95 10743 Deposit09/27/2012 SMS BAND CHERRYDALE FUNDRAISER $ 960.00461-00-5755.18-041-3-00-0-00/REV

$ 516,894.45 10744 Deposit09/27/2012 SMS BAND CHERRYDALE FUNDRAISER $ 964.50461-00-5755.18-041-3-00-0-00/REV

$ 517,928.99 10745 Deposit09/27/2012 SMS BAND CHERRYDALE FUNDRAISER $ 1,034.54461-00-5755.18-041-3-00-0-00/REV

$ 519,118.99 10746 Deposit09/27/2012 SMS CHERRYDALE FUNDRAISER $ 1,190.00461-00-5755.18-041-3-00-0-00/REV

$ 522,798.94 10747 Deposit09/27/2012 SMS BAND CHERRYDALE FUNDRAISER $ 3,679.95461-00-5755.18-041-3-00-0-00/REV

$ 522,894.94 10786 Deposit09/27/2012 VOLLEYBALL $ 96.00191-36-6412.58-001-3-91-Q-00/EXP

$ 522,900.94 10787 Deposit09/27/2012 WMS VOLLEYBALL $ 6.00191-36-6412.VV-107-3-91-Q-00/EXP

$ 523,692.94 10788 Deposit09/27/2012 SMS 7A/B FOOTBALL $ 792.00191-00-5752.43-041-3-00-0-00/REV

$ 524,081.94 10789 Deposit09/27/2012 WMS 8A/B FOOTBALL $ 389.00191-00-5752.43-107-3-00-0-00/REV

$ 523,921.94 79558 A/P Check09/27/2012 Joshua ISD $ 160.00191-36-6412.VV-107-3-91-Q-02/EXP

$ 523,657.94 79559 A/P Check09/27/2012 Frisco ISD $ 264.00191-36-6412.89-001-3-91-Q-02/EXP

$ 523,564.44 79560 A/P Check09/27/2012 Anderson Coffee Service $ 93.50- Splits -

$ 523,100.04 79561 A/P Check09/27/2012 Presley Auvenshine $ 464.40- Splits -

$ 523,080.04 79562 A/P Check09/27/2012 Diane Banton $ 20.00199-33-6411.HT-001-3-99-Q-00/EXP

$ 522,721.24 79563 A/P Check09/27/2012 Bennett Printing & Office Supply $ 358.80- Splits -

$ 522,681.24 79564 A/P Check09/27/2012 Tammy Bright $ 40.00199-21-6411.CP-999-3-11-A-00/EXP

$ 522,608.91 79565 A/P Check09/27/2012 Budget Truck Rental $ 72.33199-36-6412.HB-001-3-99-Q-00/EXP

$ 522,033.91 79566 A/P Check09/27/2012 College Guidance Consultants $ 575.00199-11-6499.HS-001-3-11-Q-00/EXP

$ 522,013.91 79567 A/P Check09/27/2012 Lesli Currin $ 20.00- Splits -

$ 521,662.01 79568 A/P Check09/27/2012 DEMCO Inc $ 351.90- Splits -

$ 521,502.01 79569 A/P Check09/27/2012 ESC, Region 2 $ 160.00199-13-6239.SB-999-3-23-A-00/EXP

$ 521,306.89 79570 A/P Check09/27/2012 Follett Educational Services $ 195.12199-11-6321.HS-001-3-11-Q-00/EXP

$ 521,286.89 79571 A/P Check09/27/2012 Christi Gregory $ 20.00- Splits -

$ 521,266.89 79572 A/P Check09/27/2012 Renae Hipp $ 20.00- Splits -

$ 521,144.39 79573 A/P Check09/27/2012 Wesley Mackey $ 122.50199-52-6299.JH-041-3-99-Q-00/EXP

$ 519,684.60 79574 A/P Check09/27/2012 Magazine Subscription PTP $ 1,459.79199-12-6329.HL-001-3-11-Q-00/EXP

$ 519,516.92 79575 A/P Check09/27/2012 Really Good Stuff Inc $ 167.68199-11-6399.AD-101-3-11-P-00/EXP

$ 519,330.14 79576 A/P Check09/27/2012 Scholastic Magazines $ 186.78199-11-6399.HS-001-3-11-Q-00/EXP

$ 518,968.09 79577 A/P Check09/27/2012 Staples Advantage $ 362.05- Splits -

$ 518,535.81 79578 A/P Check09/27/2012 Staples Advantage $ 432.28- Splits -

$ 518,235.81 79579 A/P Check09/27/2012 Texas Computer Education Association $ 300.00199-13-6411.HS-001-3-11-Q-00/EXP

$ 518,192.82 79580 A/P Check09/27/2012 ULINE $ 42.99199-51-6319.CU-999-3-99-A-00/EXP

$ 518,007.82 79581 A/P Check09/27/2012 Jennifer Wilson $ 185.00191-36-6412.VV-041-3-91-Q-00/EXP

$ 517,822.82 79582 A/P Check09/27/2012 Jennifer Wilson $ 185.00191-36-6412.VV-041-3-91-Q-00/EXP

$ 517,607.82 79583 A/P Check09/27/2012 Jennifer Wilson $ 215.00191-36-6412.VV-041-3-91-Q-00/EXP

$ 517,392.82 79584 A/P Check09/27/2012 Jennifer Wilson $ 215.00191-36-6412.VV-041-3-91-Q-00/EXP

Oct 09, 2012Page 58 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 517,139.38 79585 A/P Check09/27/2012 Wright Express FSC $ 253.44199-34-6311.TR-999-3-99-A-00/EXP

$ 516,575.39 79586 A/P Check09/27/2012 Xerox Corp. $ 563.99- Splits -

$ 514,952.15 79587 A/P Check09/27/2012 Xerox Corp. $ 1,623.24- Splits -

$ 513,677.15 79588 A/P Check09/27/2012 Gandy Ink $ 1,275.00461-36-6399.23-001-3-99-Q-00/EXP

$ 505,987.15 79589 A/P Check09/27/2012 Mizuni, Inc. $ 7,690.00- Splits -

$ 505,867.15 79590 A/P Check09/27/2012 Raptor Technologies, Inc. $ 120.00199-52-6399.SF-111-3-99-P-00/EXP

$ 504,965.09 79591 A/P Check09/27/2012 Sams Club Direct $ 902.06- Splits -

$ 504,696.09 79592 A/P Check09/27/2012 Seasons Seminars, Inc. $ 269.00199-13-6411.HO-001-3-22-Q-00/EXP

$ 504,771.09 10727 Deposit09/28/2012 Bank Correction-Dep $225 $ 75.00461-00-5755.60-001-3-00-0-00/REV

$ 505,205.09 10739 Deposit09/28/2012 WMS COOKIE DOUGH FUNDRAISER $ 434.00461-00-5755.11-107-3-00-0-00/REV

$ 505,430.09 10748 Deposit09/28/2012 PSAT PREP $ 225.00461-00-5755.60-001-3-00-0-00/REV

$ 505,485.09 10749 Deposit09/28/2012 REPLACEMENT ID FEES $ 55.00461-00-5755.60-001-3-00-0-00/REV

$ 506,108.09 10750 Deposit09/28/2012 WMS COOKIE DOUGH $ 623.00461-00-5755.11-107-3-00-0-00/REV

$ 509,443.09 10751 Deposit09/28/2012 WMS COOKIE DOUGH $ 3,335.00461-00-5755.11-107-3-00-0-00/REV

$ 509,711.09 10752 Deposit09/28/2012 YEARBOOK SALES $ 268.00461-00-5755.15-107-3-00-0-00/REV

$ 509,791.09 10754 Deposit09/28/2012 CHOIR T-SHIRTS $ 80.00461-00-5755.14-107-3-00-0-00/REV

$ 509,841.09 10755 Deposit09/28/2012 WMS BULLING T-SHIRTS $ 50.00461-00-5755.11-107-3-00-0-00/REV

$ 509,846.09 10756 Deposit09/28/2012 WMS LOST AGENDA $ 5.00461-00-5755.11-107-3-00-0-00/REV

$ 509,894.09 10759 Deposit09/28/2012 Bank Correction-Deposit $4029 $ 48.00461-00-5755.11-107-3-00-0-00/REV

$ 510,499.34 10760 Deposit09/28/2012 SMS BAND FEES & FUNDRAISER $ 605.25- Splits -

$ 510,571.34 10761 Deposit09/28/2012 SMS CHOIR T-SHIRTS $ 72.00461-00-5755.14-041-3-00-0-00/REV

$ 510,597.84 10762 Deposit09/28/2012 TEMP ID $ 26.50461-00-5755.60-001-3-00-0-00/REV

$ 510,643.84 10763 Deposit09/28/2012 NSF CHECK REFUND $ 46.00461-00-5755.00-103-3-00-0-00/REV

$ 510,691.84 10764 Deposit09/28/2012 MARTI FUNDRAISER $ 48.00461-00-5755.00-103-3-00-0-00/REV

$ 510,986.84 10765 Deposit09/28/2012 NICHE $ 295.00461-00-5755.00-835-3-00-0-00/REV

$ 511,316.84 10766 Deposit09/28/2012 ENTRY FEES $ 330.00461-00-5755.97-001-3-00-0-00/REV

$ 511,666.84 10767 Deposit09/28/2012 PARKING FEES $ 350.00461-00-5755.72-001-3-00-0-00/REV

$ 512,306.84 10768 Deposit09/28/2012 CABC DONATION $ 640.00461-00-5755.97-001-3-00-0-00/REV

$ 513,149.84 10769 Deposit09/28/2012 CABC DONATION $ 843.00461-00-5755.79-001-3-00-0-00/REV

$ 514,479.84 10770 Deposit09/28/2012 CABC DONATION $ 1,330.00461-00-5755.39-001-3-00-0-00/REV

$ 515,979.84 10771 Deposit09/28/2012 CABC DONATION $ 1,500.00461-00-5755.79-001-3-00-0-00/REV

$ 517,979.84 10772 Deposit09/28/2012 CABC DONATION $ 2,000.00461-00-5755.97-001-3-00-0-00/REV

$ 520,001.44 10773 Deposit09/28/2012 CABC DONATION $ 2,021.60461-00-5755.10-001-3-00-0-00/REV

$ 526,001.44 10774 Deposit09/28/2012 CABC DONATION $ 6,000.00461-00-5755.80-001-3-00-0-00/REV

$ 526,005.44 10775 Deposit09/28/2012 CAR TAGS $ 4.00461-00-5755.00-102-3-00-0-00/REV

$ 526,439.44 10776 Deposit09/28/2012 WMS COOKIE DOUGH $ 434.00461-00-5755.11-107-3-00-0-00/REV

$ 527,229.44 10777 Deposit09/28/2012 WMS COOKIE DOUGH $ 790.00461-00-5755.11-107-3-00-0-00/REV

$ 527,234.44 10778 Deposit09/28/2012 NSF FEES $ 5.00199-00-5749.00-000-3-00-0-00/REV

Oct 09, 2012Page 59 of 64

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Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

General Fund First Financial Bank

Account / Ledger

$ 527,249.44 10779 Deposit09/28/2012 ID BADGES $ 15.00199-00-5749.00-000-3-00-0-00/REV

$ 527,266.44 10780 Deposit09/28/2012 HP REIMBURSEMENT $ 17.00199-53-6399.00-999-3-99-A-96/EXP

$ 527,547.23 10781 Deposit09/28/2012 DENTAL-VISION COBRA $ 280.79199-41-6142.GA-750-3-99-A-00/EXP

$ 527,861.92 10782 Deposit09/28/2012 FACILITY RENTAL $ 314.69199-00-5743.00-000-3-00-0-00/REV

$ 528,907.70 10783 Deposit09/28/2012 MEMBER DIVIDEND $ 1,045.78199-00-5749.00-000-3-00-0-00/REV

$ 530,156.45 10784 Deposit09/28/2012 RIDGEWAY RENTAL $ 1,248.75199-00-5743.01-000-3-00-0-00/REV

$ 531,937.95 10785 Deposit09/28/2012 RIDGEWAY RENTAL $ 1,781.50199-00-5743.01-000-3-00-0-00/REV

$ 532,347.95 10790 Deposit09/28/2012 SMS 7A/B/C VB $ 410.00191-00-5752.VV-041-3-00-0-00/REV

$ 532,909.95 10791 Deposit09/28/2012 9A/B FOOTBALL $ 562.00191-00-5752.41-000-3-00-0-00/REV

$ 533,618.95 10792 Deposit09/28/2012 V FOOTBALL PRE-SALES WACO HIGH $ 709.00191-00-5752.41-000-3-00-0-00/REV

$ 533,178.95 79593 A/P Check09/28/2012 Lisa Wright $ 440.00199-36-6412.DR-001-3-99-Q-00/EXP

$ 533,103.95 79594 A/P Check09/28/2012 American Express $ 75.00199-41-6495.GA-701-3-99-A-00/EXP

$ 533,095.67 79595 A/P Check09/28/2012 Apple, Inc. $ 8.28199-11-6399.DD-102-3-11-P-00/EXP

$ 532,971.54 79596 A/P Check09/28/2012 Jeffery Bell $ 124.13191-36-6299.43-041-3-91-Q-00/EXP

$ 531,365.54 79597 A/P Check09/28/2012 Henslee Schwartz LLP $ 1,606.00- Splits -

$ 530,679.39 79598 A/P Check09/28/2012 Lakeshore Learning Materials $ 686.15- Splits -

$ 530,599.39 79599 A/P Check09/28/2012 Marvin Lemmons $ 80.00191-36-6299.43-107-3-91-Q-00/EXP

$ 527,599.39 79600 A/P Check09/28/2012 Mizuni, Inc. $ 3,000.00199-41-6399.TB-750-3-99-A-00/EXP

$ 527,503.14 79601 A/P Check09/28/2012 Neal Sandlin $ 96.25199-52-6219.IM-107-3-11-P-00/EXP

$ 527,423.14 79602 A/P Check09/28/2012 Victor Santiago $ 80.00191-36-6299.43-107-3-91-Q-00/EXP

$ 527,330.41 79603 A/P Check09/28/2012 Eddie Stephenson $ 92.73191-36-6299.43-107-3-91-Q-00/EXP

$ 527,056.41 79604 A/P Check09/28/2012 TEPSA $ 274.00199-23-6495.CL-102-3-99-P-00/EXP

$ 526,976.41 79605 A/P Check09/28/2012 Skott Williams $ 80.00191-36-6299.43-041-3-91-Q-00/EXP

$ 526,944.70 79606 A/P Check09/28/2012 Xerox Corp. $ 31.71199-11-6249.VO-001-3-11-Q-00/EXP

$ 526,323.07 79607 A/P Check09/28/2012 Karen Cannon $ 621.63461-13-6411.AD-101-3-11-P-00/EXP

���� $ 526,323.07 79608 A/P Check09/28/2012 - VOID - Linda Sullivan $ 900.00

$ 526,490.38 10753 Deposit09/30/2012 MONEY MARKET INTEREST $ 167.31199-00-5742.00-000-3-00-0-00/REV

$ 17,121,527.23 $ 16,595,036.85 $ 526,490.38Total for General Fund First Financial Bank

Oct 09, 2012Page 60 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Gerard Scholarship Fund First Financial

Account / Ledger

���� $ 26,000.00 56 Deposit08/10/2012 TR FROM INVESTMENTS $ 26,000.00825-00-1101.00-000-2-00-0-00/G/L

���� $ 124,000.00 57 Deposit08/10/2012 TR FROM INVESTMENTS $ 98,000.00825-00-1101.00-000-2-00-0-00/G/L

���� ($ 61.84) 58 Withdrawal08/10/2012 DUE TO 199 $ 124,061.84825-00-2171.00-000-2-00-0-00/G/L

���� ($ 60.81) 59 Deposit08/31/2012 MONEY MARKET INTEREST $ 1.03825-00-5742.00-000-2-00-0-00/REV

($ 60.61) 60 Deposit09/30/2012 MONEY MARKET INTEREST $ 0.20825-00-5742.00-000-3-00-0-00/REV

$ 124,001.23 $ 124,061.84 ($ 60.61)Total for Gerard Scholarship Fund First Financial

Oct 09, 2012Page 61 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Interest & Bonded Debt First Financial

Account / Ledger

���� ($ 108,925.00) 2526 A/P Check08/02/2012 Regions Bank $ 108,925.00518-71-6521.00-999-2-99-A-00/EXP

���� ($ 358,040.63) 2527 A/P Check08/02/2012 Regions Bank $ 249,115.63521-71-6521.00-999-2-99-A-00/EXP

���� ($ 460,978.13) 2528 A/P Check08/02/2012 The Bank Of New York Mellon $ 102,937.50517-71-6521.00-999-2-99-A-00/EXP

���� ($ 882,899.38) 2529 A/P Check08/02/2012 The Bank Of New York Mellon $ 421,921.25520-71-6521.00-999-2-99-A-00/EXP

���� ($ 302,899.38) 331 Deposit08/03/2012 TRANSFER FROM INVESTMENTS $ 580,000.00517-00-1101.00-000-2-00-0-00/G/L

���� ($ 298,292.34) 333 Deposit08/06/2012 July Taxes $ 4,607.04517-00-1261.00-000-2-00-0-00/G/L

���� ($ 293,069.14) 334 Deposit08/06/2012 July Taxes $ 5,223.20518-00-1261.00-000-2-00-0-00/G/L

���� ($ 279,268.99) 335 Deposit08/06/2012 July Taxes $ 13,800.15519-00-1261.00-000-2-00-0-00/G/L

���� ($ 268,009.04) 336 Deposit08/06/2012 July Taxes $ 11,259.95520-00-1261.00-000-2-00-0-00/G/L

���� ($ 264,860.38) 337 Deposit08/06/2012 July Taxes $ 3,148.66521-00-1261.00-000-2-00-0-00/G/L

���� ($ 265,360.38) 2530 A/P Check08/07/2012 Regions Bank $ 500.00521-71-6599.00-999-2-99-A-00/EXP

���� ($ 231,838.38) 338 Deposit08/17/2012 GRANBURY ISD TAXES $ 33,522.00517-00-5711.00-000-2-00-0-00/REV

���� ($ 231,771.31) 344 Deposit08/31/2012 MONEY MARKET INTEREST $ 67.07520-00-5742.00-000-2-00-0-00/REV

($ 229,758.03) 339 Deposit09/05/2012 AUGUST TAX COLLECTION $ 2,013.28517-00-1261.00-000-3-00-0-00/G/L

($ 227,475.49) 340 Deposit09/05/2012 AUGUST TAX COLLECTION $ 2,282.54518-00-1261.00-000-3-00-0-00/G/L

($ 221,444.81) 341 Deposit09/05/2012 AUGUST TAX COLLECTION $ 6,030.68519-00-1261.00-000-3-00-0-00/G/L

($ 216,524.20) 342 Deposit09/05/2012 AUGUST TAX COLLECTION $ 4,920.61520-00-1261.00-000-3-00-0-00/G/L

($ 215,148.23) 343 Deposit09/05/2012 AUGUST TAX COLLECTION $ 1,375.97521-00-1261.00-000-3-00-0-00/G/L

($ 216,148.23) 2531 A/P Check09/11/2012 The Bank Of New York Mellon $ 1,000.00517-71-6599.00-999-3-99-A-00/EXP

($ 216,133.80) 350 Deposit09/30/2012 MONEY MARKET INTEREST $ 14.43520-00-5742.00-000-3-00-0-00/REV

$ 668,265.58 $ 884,399.38 ($ 216,133.80)Total for Interest & Bonded Debt First Financial

Oct 09, 2012Page 62 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Scholarship Fund III First Financial Bank

Account / Ledger

���� $ 59,000.00 41 Deposit08/10/2012 TR FROM INVESTMENTS $ 59,000.00826-00-1101.00-000-2-00-0-00/G/L

���� ($ 268.02) 42 Withdrawal08/10/2012 DUE TO 199 $ 59,268.02826-00-2171.00-000-2-00-0-00/G/L

���� ($ 265.35) 43 Deposit08/31/2012 MONEY MARKET INTEREST $ 2.67826-00-5742.00-000-2-00-0-00/REV

($ 263.80) 44 Deposit09/30/2012 MONEY MARKET INTEREST $ 1.55826-00-5742.00-000-3-00-0-00/REV

$ 59,004.22 $ 59,268.02 ($ 263.80)Total for Scholarship Fund III First Financial Bank

Oct 09, 2012Page 63 of 64

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FBK003

Aug 01, 2012 thru Sep 30, 2012

Register Report

First Financial Bank

BalanceCredit AmountDebit AmountDescription/NameDoc. NumberItem TypeDate

Tax Fund First Financial Bank

Account / Ledger

($ 38,039.00) 182 Withdrawal08/06/2012 Due to DSF July Taxes $ 38,039.00- Splits -

($ 240,243.89) 183 Withdrawal08/06/2012 Due to General July Taxes $ 202,204.89199-00-1211.00-000-2-00-0-00/G/L

($ 133,464.20) 184 Deposit08/31/2012 AUGUST TAX COLLECTION $ 106,779.69- Splits -

($ 133,445.74) 188 Deposit08/31/2012 MONEY MARKET INTEREST $ 18.46199-00-5742.00-000-2-00-0-00/REV

($ 150,068.82) 185 Withdrawal09/05/2012 August Tax Collections $ 16,623.08- Splits -

($ 240,225.43) 186 Withdrawal09/05/2012 August Tax Collection $ 90,156.61199-00-1211.00-000-3-00-0-00/G/L

($ 164,391.57) 189 Deposit09/30/2012 September Tax Collections $ 75,833.86- Splits -

($ 164,385.20) 192 Deposit09/30/2012 MONEY MARKT INTEREST $ 6.37199-00-5742.00-000-3-00-0-00/REV

$ 182,638.38 $ 347,023.58 ($ 164,385.20)Total for Tax Fund First Financial Bank

$ 19,970,702.95 $ 20,289,618.52 ($ 318,915.57)Total for First Financial Bank

$ 19,970,702.95 $ 20,289,618.52Total for all Banks ($ 318,915.57)

Oct 09, 2012Page 64 of 64