File #: 17-5388    Version: 1 Name: Approve Transfer of Funds 11100.1260
Type: Transfer of Funds Status: Approved
File created: 9/18/2017 In control: Board of Commissioners
On agenda: 10/11/2017 Final action: 10/11/2017
Title: PROPOSED TRANSFER OF FUNDS Department: Public Defender Request: Approve Transfer of Funds 11100.1260 Reason: To pay for various office supplies and printing services From Account(s): 11100-520825 (Professional Services), $20,000.00; 11100-530635 (Books, Periodicals and Publish), $10,000.00 To Account(s): 11100-520485 (Graphics and Reproduction Services), $5,000.00, 11100-530600 (Office Supplies), $10,000.00, 11100-530700 (Multimedia Supplies), $5,000.00, 11100-531645 (Computer and Data Processing Supplies) $10,000.00 Total Amount of Transfer: $30,000.00 On what date did it become apparent that the receiving account would require an infusion of funds in order to meet current obligations? What was the balance in the account on that date, and what was the balance 30 days prior to that date? On 9/19/2017 the Funds Available in the Graphics and Reproduction Services line was $370.20, the Office Supplies line was $10,943.17, the Multimedia Supplies line was $1,246.24 and ...
Indexes: (Inactive) AMY CAMPANELLI, Public Defender of Cook County
title
PROPOSED TRANSFER OF FUNDS

Department: Public Defender

Request: Approve Transfer of Funds 11100.1260

Reason: To pay for various office supplies and printing services

From Account(s): 11100-520825 (Professional Services), $20,000.00; 11100-530635 (Books, Periodicals and Publish), $10,000.00

To Account(s): 11100-520485 (Graphics and Reproduction Services), $5,000.00, 11100-530600 (Office Supplies), $10,000.00, 11100-530700 (Multimedia Supplies), $5,000.00, 11100-531645 (Computer and Data Processing Supplies) $10,000.00

Total Amount of Transfer: $30,000.00

On what date did it become apparent that the receiving account would require an infusion of funds in order to meet current obligations? What was the balance in the account on that date, and what was the balance 30 days prior to that date?

On 9/19/2017 the Funds Available in the Graphics and Reproduction Services line was $370.20, the Office Supplies line was $10,943.17, the Multimedia Supplies line was $1,246.24 and the Computer and Data Processing Supplies line was $956.29.

On 8/1/2017 the Funds Available in the Graphics and Reproduction Services line was $370.20, the Office Supplies line was $20,549.17, the Multimedia Supplies line was $1,246.24 and the Computer and Data Processing Supplies line was $956.29

How was the account used for the source of transferred funds identified? List any other accounts that were also considered (but not used) as the source of the transferred funds.

Account 11100-520825 (Professional Services) was identified for the source of the transfer due to a paralegal contract that ended unexpectedly in July 2017. This service was used for a multi-year and multi-defendant case that ended. Account 11100-530635 (Books, Periodicals and Publish) was identified for the source of the transfer due to lower than expected order of books and the availability of books and periodicals on-line at a cheaper cost.

Identify any projects, purchases, programs, contracts...

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