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Special Call Meeting

Special Meeting

Gulfport, MS · August 20, 2025

AgendaPacketMinutes

Minutes

City Council | Agenda Wednesday, August 20, 2025 – 2:30 PM City Hall – Council Chambers 2309 15th Street, Gulfport 2:30 PM The Mayor and Members of Council met at City Hall at 2:30 PM, on the above date, same being an adjourned meeting from a Regular Meeting on August 19, 2025, at 1:30 P.M. Present: Mayor Hugh Keating, CAO Wayne Miller, City Attorney Jeff Bruni, Clerk of Council Brittany Rodgers, Deputy Clerk of Council Brittany Thomas, Councilmembers: Kendal Buckner, Ella Holmes- Hines (Teleconference), Rusty Walker, B.J. Sellers Jr., Carrissa Corbett, and Johnny Hoggatt. Absent: Councilmember Ron Roland The President announced a quorum and called the meeting to order. Declaration of Special Call Meeting Motion to Declare a Special Called Meeting and to have the meeting notice thereof appended as Exhibit "A" to these minutes, Moved By B.J. Sellers Jr., Seconded by Johnny Hoggatt Vote: Motion Failed By The Following Roll Call Vote Aye: Rusty Walker, B.J. Sellers Jr., Johnny Hoggatt Nay: Kendal Buckner, Ella Holmes-Hines, Carrissa Corbett The meeting was adjourned by unanimous consent. Policy Issues 1 Docket of Claims - to be approved through August 20, 2025. Setting of Next Meeting and Adjournment 1|Page City of Gulfport, Mississippi City Council | Agenda Wednesday, August 20, 2025 – 2:30 PM City Hall – Council Chambers 2309 15th Street, Gulfport 2:30 PM Declaration of Special Call Meeting Policy Issues 1 Docket of Claims - to be approved through August 20, 2025. Setting of Next Meeting and Adjournment Exhibit "A" 1|Page City of Gulfport, Mississippi

Agenda

City Council | Agenda Wednesday, August 20, 2025 – 2:30 PM City Hall – Council Chambers 2309 15th Street, Gulfport 2:30 PM Declaration of Special Call Meeting Policy Issues 1 Docket of Claims - to be approved through August 20, 2025. Setting of Next Meeting and Adjournment 1|Page City of Gulfport, Mississippi

Packet

City Council | Agenda Wednesday, August 20, 2025 – 2:30 PM City Hall – Council Chambers 2309 15th Street, Gulfport 2:30 PM Declaration of Special Call Meeting Policy Issues 1 Docket of Claims - to be approved through August 20, 2025. Setting of Next Meeting and Adjournment 1|Page City of Gulfport, Mississippi There came on for consideration at a duly constituted meeting of the Mayor and Members of the City Council of the City of Gulfport, Mississippi, held on the ______ day of _______, 2025, the following Resolution: A RESOLUTION BY THE GULFPORT CITY COUNCIL APPROVING THE DOCKET OF CLAIMS WHEREAS, following the City Council’s approval of the budget, funds for the City of Gulfport are vested with the Mayor and Administration; and WHEREAS, claims presented to the City for payment must be approved by the City Council through a Docket of Claims process; and WHEREAS, the Administration for the City of Gulfport has prepared, certified, and submitted to the City Council a “Docket of Claims” for approval, attached hereto as Exhibit “A”; and WHEREAS, in submitting this Docket of Claims, the Director of Finance and Accounting has certified to the Council that to the best of his knowledge and belief, all items contained within the Docket of Claims have been properly procured and appear to be within previously budgeted amounts and are lawful and appropriate for payment; and WHEREAS, in authorizing payment for the Docket, the City Council must rely on this certification and by reliance on this certification, hereby authorizes payment to be issued to satisfy all claims found within the Docket, unless specifically excluded by the Council; and WHEREAS, it is understood and acknowledged that heretofore, the Dockets of Claims has been presented and certified to the Governing Authority by the Comptroller, or in his absence the Finance Manager or Purchasing Agent, or their designees, upon which the City Council has relied on these certifications and by such reliance, authorized payments to satisfy claims found therein. NOW THEREFORE, BE IT RESOLVED BY THE MAYOR AND CITY COUNCIL OF THE CITY OF GULFPORT, MISSISSIPPI, AS FOLLOWS, TO WIT: SECTION 1. That the matters, facts and things recited in the Preamble hereto are hereby adopted as the official findings of the Governing Authority. SECTION 2. That the Docket of Claims is hereby approved in the form attached hereto as Exhibit “A”, except for those claims specifically excluded by the Council. SECTION 3. That this Resolution shall take full force and effect immediately upon its passage and enactment according to law and shall be spread upon the minutes of the Gulfport City Council. The above and foregoing Resolution, after having been first reduced to writing and read by the Clerk, was introduced by Councilmember ____________, seconded by Councilmember ______________, and was adopted by the following roll call vote: YEAS: NAYS: ABSENT: WHEREUPON, the President declared the motion carried and the Resolution adopted, this the ______ day of _______, 2025. (SEAL) ATTEST: ADOPTED: _____________________________ ____________________________ CLERK OF THE COUNCIL PRESIDENT OF THE COUNCIL 2 The above and foregoing Resolution having been submitted to and approved by the Mayor, this the _____ day of _______, 2025. APPROVED: ____________________________ MAYOR 3 City of Gulfport, MS Cash Balance Report August 11, 2025 Fund Object Account Name Balance 001 100350 ACCOUNTS PAYABLE CLEARING 50,000.00 001 100351 PAYROLL CLEARING 693,510.61 010 100310 GENERAL FUND 25,196,104.35 030 100409 DISASTER RELIEF 282,971.20 100 100306 CASH AQUARIUM 1,392,360.36 100 100405 CAPITAL PROJECTS CITY FUNDED 842,564.71 100 100413 COUNCIL BP MONEY 707,745.72 103 100314 W/S CAPITAL PROJECTS 215,942.34 105 100307 ARPA GRANT MONEY 19,826,729.29 107 100402 CONST BOND PROCEEDS 2021 32,584,255.07 107 100404 DFA 2022 HB1353 FUNDING 3,934,710.42 109 100408 MIMA USE TAX RECEIPTS 12,410,140.76 200 100311 COMMUNITY DEVELOPMENT 675,900.12 205 100205 OPIOID LITIGATION FUND 1,254,928.21 210 100410 POLICE AND FIRE RETIRMENT 784.35 274 100416 FEDERAL FORFEITURES & SEIZURES 186,029.31 275 100315 FORFEITS AND SEIZURES 134,023.03 285 100318 COASTAL NARCOTICS 121,853.44 288 100288 EMERGENCY MEDICAL SERVICES OPERATION 55,906.23 295 100295 FIRE REBATE FUND 1,935,013.72 300 100406 DEBT SERVICE AD VALOREM TAXES 4,609,876.87 305 100407 DEBT SERVICE MIMA BOND 4,392,598.39 400 100340 WATER TRUST 3,081,511.93 400 100341 WATER AND SEWER CLEARING 41,317,936.77 405 100411 SOLID WASTE 3,620,077.30 420 100401 HARBOR CLEARING 157,337.64 421 100403 HARBOR LIGHTS CASH 259,565.90 500 100303 GROUP HEALTH 520,108.38 500 100357 FLEXIBLE SPENDING ACCOUNT 118,204.60 510 100305 CLAIMS CONTINGENCY 1,606,770.83 510 100414 CLAIMS CONTINGENCY-TORTS 2,378,038.26 510 100415 INSURANCE PREMIUMS 727,819.18 Total Cash Balances $ 165,291,319.29 CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT DATE: 08/20/2025 WARRANT: 08202025 AMOUNT: 4,797,341.34 ___________________________________ Report generated: 08/11/2025 13:47:15 Page 1 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 58 AT&T 0011 INV 08/20/2025 403357 610397 ACCOUNT DETAIL LINE AMOUNT 1 213 626001 OPERATING TELEPHONE 235.16 235.16 CHECK TOTAL 235.16 58 AT&T 0015 INV 08/20/2025 403738 610780 ACCOUNT DETAIL LINE AMOUNT 1 111 626001 MAYOR TELEPHONE 4.10 4.10 58 AT&T 0015 INV 08/20/2025 403739 610781 ACCOUNT DETAIL LINE AMOUNT 1 115 626001 COUNCIL TELEPHONE 3.52 3.52 58 AT&T 0015 INV 08/20/2025 403740 610782 ACCOUNT DETAIL LINE AMOUNT 1 125 626001 CITY COURT TELEPHONE 23.69 23.69 58 AT&T 0015 INV 08/20/2025 403741 610783 ACCOUNT DETAIL LINE AMOUNT 1 135 626001 CITY ATTY TELEPHONE 4.19 4.19 58 AT&T 0015 INV 08/20/2025 403742 610784 ACCOUNT DETAIL LINE AMOUNT 1 145 626001 FINANCE TELEPHONE 131.98 131.98 58 AT&T 0015 INV 08/20/2025 403743 610785 ACCOUNT DETAIL LINE AMOUNT 1 213 626001 OPERATING TELEPHONE 172.29 172.29 58 AT&T 0015 INV 08/20/2025 403744 610786 ACCOUNT DETAIL LINE AMOUNT 1 290 626001 FIRE TELEPHONE 83.44 83.44 58 AT&T 0015 INV 08/20/2025 403745 610787 ACCOUNT DETAIL LINE AMOUNT 1 313 626001 PUB WORK ATELEPHONE 16.42 16.42 Report generated: 08/11/2025 13:47:15 Page 2 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 58 AT&T 0015 INV 08/20/2025 403746 610788 ACCOUNT DETAIL LINE AMOUNT 1 325 626001 ENGINEER TELEPHONE 2.54 2.54 58 AT&T 0015 INV 08/20/2025 403747 610789 ACCOUNT DETAIL LINE AMOUNT 1 213 626001 OPERATING TELEPHONE 1.95 1.95 58 AT&T 0015 INV 08/20/2025 403748 610790 ACCOUNT DETAIL LINE AMOUNT 1 411 626001 LEISURE SE TELEPHONE 216.39 216.39 58 AT&T 0015 INV 08/20/2025 403749 610791 ACCOUNT DETAIL LINE AMOUNT 1 611 626001 PLAN & ZON TELEPHONE 29.50 29.50 58 AT&T 0015 INV 08/20/2025 403750 610792 ACCOUNT DETAIL LINE AMOUNT 1 445 626001 J T JONES TELEPHONE 60.87 60.87 58 AT&T 0015 INV 08/20/2025 403751 610793 ACCOUNT DETAIL LINE AMOUNT 1 811 626001 UTIL BILL TELEPHONE 32.34 32.34 58 AT&T 0015 INV 08/20/2025 403752 610794 ACCOUNT DETAIL LINE AMOUNT 1 825 626001 SEWER TELEPHONE 1.10 1.10 58 AT&T 0015 INV 08/20/2025 403753 610795 ACCOUNT DETAIL LINE AMOUNT 1 815 626001 WATER TELEPHONE 42.68 42.68 58 AT&T 0015 INV 08/20/2025 403754 610796 ACCOUNT DETAIL LINE AMOUNT 1 213 626001 OPERATING TELEPHONE 37.55 37.55 Report generated: 08/11/2025 13:47:15 Page 3 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 58 AT&T 0015 INV 08/20/2025 403755 610797 ACCOUNT DETAIL LINE AMOUNT 1 145 626001 FINANCE TELEPHONE 1,782.77 1,782.77 CHECK TOTAL 2,647.32 60 A1 BATTERY INC 0000 250033 EFT 08/20/2025 402720 609739 ACCOUNT DETAIL LINE AMOUNT 1 290 611300 FIRE MOTR VEH 134.10 134.10 60 A1 BATTERY INC 0000 250033 EFT 08/20/2025 402933 609958 ACCOUNT DETAIL LINE AMOUNT 1 290 611300 FIRE MOTR VEH 435.00 435.00 CHECK TOTAL 569.10 74 ABC RENTAL INC 0000 252759 INV 08/20/2025 403421 610462 ACCOUNT DETAIL LINE AMOUNT 1 411 626700 LEISURE SE RENTAL 660.80 660.80 CHECK TOTAL 660.80 34613 JOSEPH ABERCROMBIE 0000 INV 08/20/2025 403108 610141 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 150.00 150.00 CHECK TOTAL 150.00 83 ACE DATA STORAGE COMP 0000 EFT 08/20/2025 403213 610250 ACCOUNT DETAIL LINE AMOUNT 1 145 620900 FINANCE CONTRACT 60.00 60.00 83 ACE DATA STORAGE COMP 0000 EFT 08/20/2025 403215 610251 ACCOUNT DETAIL LINE AMOUNT 1 155 620900 HR CONTRACT 40.00 40.00 Report generated: 08/11/2025 13:47:15 Page 4 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 83 ACE DATA STORAGE COMP 0000 EFT 08/20/2025 403216 610253 ACCOUNT DETAIL LINE AMOUNT 1 125 620900 CITY COURT CONTRACT 156.00 156.00 83 ACE DATA STORAGE COMP 0000 EFT 08/20/2025 403217 610254 ACCOUNT DETAIL LINE AMOUNT 1 145 620900 FINANCE CONTRACT 90.00 2 611 620900 PLAN & ZON CONTRACT 120.00 3 811 620900 UTIL BILL CONTRACT 120.00 330.00 CHECK TOTAL 586.00 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402863 609888 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 144.04 144.04 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402864 609889 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 88.89 88.89 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402865 609890 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 14.26 14.26 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402866 609891 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 16.90 16.90 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402867 609892 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 320.68 320.68 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402868 609893 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 55.00 55.00 Report generated: 08/11/2025 13:47:15 Page 5 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402869 609894 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 158.73 158.73 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402870 609895 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 35.60 35.60 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402871 609896 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 190.00 190.00 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 402872 609897 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 109.90 109.90 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403178 610215 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 111.28 111.28 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403179 610216 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 302.04 302.04 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403180 610217 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 72.00 72.00 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403181 610218 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 168.83 168.83 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403182 610219 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 168.83 168.83 Report generated: 08/11/2025 13:47:15 Page 6 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403183 610220 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 135.99 135.99 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403184 610221 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 57.81 57.81 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403185 610222 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 88.97 88.97 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403186 610223 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 81.00 81.00 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403187 610224 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 9.20 9.20 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403188 610225 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 118.64 118.64 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403189 610226 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 87.28 87.28 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403190 610227 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 14.41 14.41 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403191 610228 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 42.67 42.67 Report generated: 08/11/2025 13:47:15 Page 7 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 25935 ADVANCED AUTO PARTS 0000 252585 INV 08/20/2025 403192 610229 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 4.00 4.00 CHECK TOTAL 2,596.95 43430 ADVENTURE LOCATORS LL 0000 252633 INV 08/20/2025 402849 609871 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 70.00 70.00 CHECK TOTAL 70.00 40 ALL PHASE ELECTRIC SU 0000 252612 EFT 08/20/2025 403279 610317 ACCOUNT DETAIL LINE AMOUNT 1 825 615800 SEWER LFT STATN 1,806.35 1,806.35 CHECK TOTAL 1,806.35 31315 AMERICAN MUNICIPAL SE 0000 EFT 08/20/2025 403092 610124 ACCOUNT DETAIL LINE AMOUNT 1 010 480700 GENRL FUNDWARRANTS 1,223.30 1,223.30 CHECK TOTAL 1,223.30 35169 AMERICAN TESTING & IN 0000 EFT 08/20/2025 403157 610191 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 2,300.00 2,300.00 CHECK TOTAL 2,300.00 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403237 610276 ACCOUNT DETAIL LINE AMOUNT 1 290 626001 FIRE TELEPHONE 1,790.32 1,790.32 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403758 610801 ACCOUNT DETAIL LINE AMOUNT 1 313 626001 PUB WORK ATELEPHONE 808.11 808.11 Report generated: 08/11/2025 13:47:15 Page 8 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403759 610802 ACCOUNT DETAIL LINE AMOUNT 1 325 626001 ENGINEER TELEPHONE 361.34 361.34 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403760 610803 ACCOUNT DETAIL LINE AMOUNT 1 415 626001 BLDG MAINT TELEPHONE 80.46 80.46 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403761 610804 ACCOUNT DETAIL LINE AMOUNT 1 815 626001 WATER TELEPHONE 393.12 393.12 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403762 610805 ACCOUNT DETAIL LINE AMOUNT 1 825 626001 SEWER TELEPHONE 90.25 90.25 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403763 610806 ACCOUNT DETAIL LINE AMOUNT 1 346 630400 25023 CP - NONRM COMPUTER 8,214.72 8,214.72 39312 AT&T MOBILITY II LLC 0001 INV 08/20/2025 403764 610807 ACCOUNT DETAIL LINE AMOUNT 1 611 626001 PLAN & ZON TELEPHONE 339.77 339.77 CHECK TOTAL 12,078.09 5078 AUTO ZONE INC 0000 252346 INV 08/20/2025 402873 609898 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 24.99 24.99 5078 AUTO ZONE INC 0000 252346 INV 08/20/2025 402874 609899 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 246.48 246.48 5078 AUTO ZONE INC 0000 252346 INV 08/20/2025 402876 609901 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 318.89 318.89 Report generated: 08/11/2025 13:47:15 Page 9 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 402877 609902 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 154.41 154.41 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 402878 609903 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 164.84 164.84 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 402879 609904 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 554.77 554.77 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 402880 609905 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 180.00 180.00 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 403193 610230 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 88.55 88.55 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 403194 610231 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 50.00 50.00 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 403195 610232 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 267.96 267.96 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 403196 610233 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 129.79 129.79 5078 AUTO ZONE INC 0000 252606 INV 08/20/2025 403197 610234 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 324.65 324.65 CHECK TOTAL 2,505.33 Report generated: 08/11/2025 13:47:15 Page 10 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 39534 AUTOMATED MERCHANTSYS 0000 EFT 08/20/2025 403457 610499 ACCOUNT DETAIL LINE AMOUNT 1 447 624200 HRB LGT EX BANK FEES 17.95 17.95 CHECK TOTAL 17.95 10120 B & H PHOTO 0001 252637 EFT 08/20/2025 402600 609619 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 749.46 749.46 CHECK TOTAL 749.46 42020 B&R INDUSTRIAL SUPPLY 0000 252741 EFT 08/20/2025 403319 610357 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 187.32 187.32 42020 B&R INDUSTRIAL SUPPLY 0000 252025 EFT 08/20/2025 403320 610358 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 950.82 950.82 CHECK TOTAL 1,138.14 42599 BAGWELL TRUCK AND EQU 0000 EFT 08/20/2025 403436 610478 ACCOUNT DETAIL LINE AMOUNT 1 825 620900 SEWER CONTRACT 420.00 420.00 CHECK TOTAL 420.00 11073 BAY ICE CO INC 0000 EFT 08/20/2025 402913 609938 ACCOUNT DETAIL LINE AMOUNT 1 445 614110 J T JONES GOODS-RETA 96.25 96.25 CHECK TOTAL 96.25 129 BAY MOTOR WINDING INC 0000 252073 EFT 08/20/2025 403314 610352 ACCOUNT DETAIL LINE AMOUNT 1 825 615800 SEWER LFT STATN 12,540.00 12,540.00 Report generated: 08/11/2025 13:47:15 Page 11 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 129 BAY MOTOR WINDING INC 0000 252601 EFT 08/20/2025 403325 610364 ACCOUNT DETAIL LINE AMOUNT 1 825 615800 SEWER LFT STATN 4,987.50 4,987.50 129 BAY MOTOR WINDING INC 0000 252405 EFT 08/20/2025 403335 610373 ACCOUNT DETAIL LINE AMOUNT 1 825 620900 SEWER CONTRACT 3,096.00 3,096.00 CHECK TOTAL 20,623.50 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403349 610388 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 397.00 397.00 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403356 610391 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 314.00 314.00 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403358 610398 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 397.00 397.00 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403359 610399 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 940.00 940.00 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403360 610400 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 711.00 711.00 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403361 610401 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 850.00 850.00 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403362 610402 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 387.00 387.00 Report generated: 08/11/2025 13:47:15 Page 12 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403363 610403 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 780.00 780.00 19719 BAYOU CONCRETE, LLC 0001 251987 EFT 08/20/2025 403364 610404 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 583.25 583.25 CHECK TOTAL 5,359.25 17387 BC GROUP HOLDINGS INC 0000 252680 EFT 08/20/2025 403159 610192 ACCOUNT DETAIL LINE AMOUNT 1 346 630100 25024 CP - NONRM CAP OTLY 4,194.85 4,194.85 CHECK TOTAL 4,194.85 42810 BECKWORKS LLC 0000 252571 EFT 08/20/2025 402832 609854 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 7,161.00 7,161.00 42810 BECKWORKS LLC 0000 252625 EFT 08/20/2025 402833 609855 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 629.00 629.00 42810 BECKWORKS LLC 0000 250849 EFT 08/20/2025 402835 609857 ACCOUNT DETAIL LINE AMOUNT 1 361 630100 24031 WS CP NONRCAP OTLY 734.00 734.00 42810 BECKWORKS LLC 0000 251834 EFT 08/20/2025 402836 609858 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 1,887.00 1,887.00 42810 BECKWORKS LLC 0000 252204 EFT 08/20/2025 402837 609859 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 1,036.00 1,036.00 Report generated: 08/11/2025 13:47:15 Page 13 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 42810 BECKWORKS LLC 0000 252205 EFT 08/20/2025 402838 609860 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 222.00 222.00 42810 BECKWORKS LLC 0000 252206 EFT 08/20/2025 402839 609861 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 814.00 814.00 42810 BECKWORKS LLC 0000 252543 EFT 08/20/2025 402840 609862 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 999.00 999.00 42810 BECKWORKS LLC 0000 252672 EFT 08/20/2025 403467 610509 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 3,330.00 3,330.00 42810 BECKWORKS LLC 0000 252717 EFT 08/20/2025 403478 610519 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 1,746.00 1,746.00 42810 BECKWORKS LLC 0000 252662 EFT 08/20/2025 403480 610523 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 1,850.00 1,850.00 CHECK TOTAL 20,408.00 20876 BLACKLIDGE EMULSIONS, 0001 252537 EFT 08/20/2025 403372 610412 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 2,701.08 2,701.08 CHECK TOTAL 2,701.08 43684 BLISS PRODUCTS AND SE 0000 252353 INV 08/20/2025 403419 610460 ACCOUNT DETAIL LINE AMOUNT 1 346 630100 24042 CP - NONRM CAP OTLY 22,974.97 2 346 630100 25024 CP - NONRM CAP OTLY 10,641.20 33,616.17 CHECK TOTAL 33,616.17 Report generated: 08/11/2025 13:47:15 Page 14 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 18119 CHARLES BODIE 0000 251238 EFT 08/20/2025 403456 610498 ACCOUNT DETAIL LINE AMOUNT 1 135 620900 CITY ATTY CONTRACT 550.00 550.00 CHECK TOTAL 550.00 20674 BONDS SERVICES, INC 0000 EFT 08/20/2025 402997 610026 ACCOUNT DETAIL LINE AMOUNT 1 125 620900 CITY COURT CONTRACT 1,950.00 2 145 620900 FINANCE CONTRACT 1,762.50 3 150 610100 INFO TECH JANITORIAL 800.00 4 155 620900 HR CONTRACT 350.00 5 311 620900 STS & DRAI CONTRACT 2,250.00 6 411 620900 LEISURE SE CONTRACT 350.00 7 611 620900 PLAN & ZON CONTRACT 800.00 8 811 620900 UTIL BILL CONTRACT 762.50 9,025.00 CHECK TOTAL 9,025.00 24247 BROWN MITCHELL & ALEX 0000 250822 EFT 08/20/2025 403273 610312 ACCOUNT DETAIL LINE AMOUNT 1 368 640200 25004 CP MRCPT NCAP ENG 6,357.00 6,357.00 CHECK TOTAL 6,357.00 153 BROWNELLS INC 0000 252655 EFT 08/20/2025 402854 609878 ACCOUNT DETAIL LINE AMOUNT 1 213 623100 OPERATING PISTOL-MNT 11.49 11.49 153 BROWNELLS INC 0000 252655 EFT 08/20/2025 403350 610389 ACCOUNT DETAIL LINE AMOUNT 1 213 623100 OPERATING PISTOL-MNT 112.38 112.38 153 BROWNELLS INC 0000 252799 EFT 08/20/2025 403353 610393 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 171.74 171.74 Report generated: 08/11/2025 13:47:15 Page 15 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK CHECK TOTAL 295.61 17730 BRUNOS NORTHSHORE INV 0000 250054 EFT 08/20/2025 402881 609906 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 1,822.50 1,822.50 CHECK TOTAL 1,822.50 41840 BUSINESS FURNITURE SE 0000 252631 EFT 08/20/2025 403343 610382 ACCOUNT DETAIL LINE AMOUNT 1 325 610700 ENGINEER OPER SUPL 1,735.00 1,735.00 CHECK TOTAL 1,735.00 43741 BVHARDWARE LLC 0000 252598 INV 08/20/2025 403389 610429 ACCOUNT DETAIL LINE AMOUNT 1 313 610700 PUB WORK AOPER SUPL 66.99 2 315 610700 TRAFFIC OPER SUPL 66.99 133.98 CHECK TOTAL 133.98 70000 CABLE ONE 0000 INV 08/20/2025 403492 610534 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 329.94 329.94 70000 CABLE ONE 0000 INV 08/20/2025 403493 610535 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 150.00 150.00 70000 CABLE ONE 0000 INV 08/20/2025 403494 610536 ACCOUNT DETAIL LINE AMOUNT 1 445 620900 J T JONES CONTRACT 478.29 478.29 70000 CABLE ONE 0000 INV 08/20/2025 403495 610537 ACCOUNT DETAIL LINE AMOUNT 1 445 620900 J T JONES CONTRACT 212.00 212.00 Report generated: 08/11/2025 13:47:15 Page 16 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 70000 CABLE ONE 0000 INV 08/20/2025 403496 610538 ACCOUNT DETAIL LINE AMOUNT 1 145 620900 FINANCE CONTRACT 413.13 413.13 70000 CABLE ONE 0000 INV 08/20/2025 403497 610539 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 600.00 600.00 CHECK TOTAL 2,183.36 40813 CALLYO 2009 CORP 0001 252796 INV 08/20/2025 403052 610084 ACCOUNT DETAIL LINE AMOUNT 1 213 627900 OPERATING MISC 6,016.00 6,016.00 CHECK TOTAL 6,016.00 40079 CANNON CHRYSLER JEEP 0001 251472 INV 08/20/2025 402788 609807 ACCOUNT DETAIL LINE AMOUNT 1 346 630200 25020 CP - NONRM VEHICLES 43,835.00 43,835.00 CHECK TOTAL 43,835.00 38362 CDW LLC 0001 252664 EFT 08/20/2025 403162 610196 ACCOUNT DETAIL LINE AMOUNT 1 411 630100 LEISURE SE CAP OTLY 3,567.08 3,567.08 CHECK TOTAL 3,567.08 923 CENTRAL PIPE SUPPLY I 0000 252614 EFT 08/20/2025 403281 610319 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 557.83 557.83 923 CENTRAL PIPE SUPPLY I 0000 251730 EFT 08/20/2025 403282 610320 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 1,275.75 1,275.75 CHECK TOTAL 1,833.58 Report generated: 08/11/2025 13:47:15 Page 17 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43520 CFF LLC 0000 EFT 08/20/2025 403021 610050 ACCOUNT DETAIL LINE AMOUNT 1 145 620900 FINANCE CONTRACT 1,987.50 1,987.50 CHECK TOTAL 1,987.50 20675 CHANCELLOR SUPPLY, IN 0001 252022 EFT 08/20/2025 402804 609825 ACCOUNT DETAIL LINE AMOUNT 1 213 611000 OPERATING BLG MAT 112.12 112.12 20675 CHANCELLOR SUPPLY, IN 0001 250146 EFT 08/20/2025 402982 610010 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 31.39 31.39 20675 CHANCELLOR SUPPLY, IN 0001 251083 EFT 08/20/2025 403103 610136 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 231.10 231.10 20675 CHANCELLOR SUPPLY, IN 0001 252735 EFT 08/20/2025 403307 610345 ACCOUNT DETAIL LINE AMOUNT 1 825 615800 SEWER LFT STATN 952.50 952.50 20675 CHANCELLOR SUPPLY, IN 0001 250217 EFT 08/20/2025 403385 610425 ACCOUNT DETAIL LINE AMOUNT 1 315 610700 TRAFFIC OPER SUPL 312.39 312.39 CHECK TOTAL 1,639.50 166 CINTAS CORP 240 0000 EFT 08/20/2025 402845 609867 ACCOUNT DETAIL LINE AMOUNT 1 111 621700 MAYOR MAINT CONT 54.80 54.80 CHECK TOTAL 54.80 166 CINTAS CORP 240 0001 EFT 08/20/2025 402803 609824 ACCOUNT DETAIL LINE AMOUNT 1 213 610100 OPERATING JANITORIAL 57.49 57.49 Report generated: 08/11/2025 13:47:15 Page 18 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 166 CINTAS CORP 240 0001 EFT 08/20/2025 403088 610120 ACCOUNT DETAIL LINE AMOUNT 1 125 621700 CITY COURT MAINT CONT 55.30 55.30 166 CINTAS CORP 240 0001 EFT 08/20/2025 403089 610121 ACCOUNT DETAIL LINE AMOUNT 1 125 621700 CITY COURT MAINT CONT 55.30 55.30 166 CINTAS CORP 240 0001 EFT 08/20/2025 403090 610122 ACCOUNT DETAIL LINE AMOUNT 1 125 621700 CITY COURT MAINT CONT 55.30 55.30 166 CINTAS CORP 240 0001 EFT 08/20/2025 403091 610123 ACCOUNT DETAIL LINE AMOUNT 1 125 621700 CITY COURT MAINT CONT 55.30 55.30 166 CINTAS CORP 240 0001 EFT 08/20/2025 403428 610469 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 345.05 345.05 166 CINTAS CORP 240 0001 EFT 08/20/2025 403429 610470 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 330.21 330.21 CHECK TOTAL 953.95 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403787 610830 ACCOUNT DETAIL LINE AMOUNT 1 213 626003 OPERATING WATER 177.70 177.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403788 610831 ACCOUNT DETAIL LINE AMOUNT 1 213 626003 OPERATING WATER 11.70 11.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403789 610832 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 150.06 150.06 Report generated: 08/11/2025 13:47:15 Page 19 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403790 610833 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 166.10 166.10 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403791 610834 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 3,951.20 3,951.20 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403792 610835 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 24.24 24.24 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403793 610836 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 166.10 166.10 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403794 610837 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 166.10 166.10 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403795 610838 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 61.14 61.14 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403796 610839 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 4,313.90 4,313.90 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403797 610840 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 460.60 460.60 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403798 610841 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 111.66 111.66 Report generated: 08/11/2025 13:47:15 Page 20 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403799 610842 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 26.70 26.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403800 610843 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 26.70 26.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403801 610844 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 26.70 26.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403802 610845 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 63.80 63.80 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403803 610846 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 32.80 32.80 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403804 610847 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 32.80 32.80 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403805 610848 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 26.70 26.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403806 610849 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 82.40 82.40 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403807 610850 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 26.70 26.70 Report generated: 08/11/2025 13:47:15 Page 21 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403808 610851 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 11.70 11.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403809 610852 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 11.70 11.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403810 610853 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 24.24 24.24 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403811 610854 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 24.24 24.24 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403812 610855 ACCOUNT DETAIL LINE AMOUNT 1 145 626003 FINANCE WATER 166.10 166.10 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403813 610856 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 39.00 39.00 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403814 610857 ACCOUNT DETAIL LINE AMOUNT 1 145 626003 FINANCE WATER 150.06 150.06 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403815 610858 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 179.48 179.48 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403816 610859 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 5.80 5.80 Report generated: 08/11/2025 13:47:15 Page 22 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403817 610860 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 86.06 86.06 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403818 610861 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 113.16 113.16 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403819 610862 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 26.70 26.70 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403820 610863 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 39.00 39.00 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403821 610864 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 24.24 24.24 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403822 610865 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 61.14 61.14 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403823 610866 ACCOUNT DETAIL LINE AMOUNT 1 290 626003 FIRE WATER 124.46 124.46 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403824 610867 ACCOUNT DETAIL LINE AMOUNT 1 815 626003 WATER WATER 70.00 70.00 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403825 610868 ACCOUNT DETAIL LINE AMOUNT 1 290 626003 FIRE WATER 162.86 162.86 Report generated: 08/11/2025 13:47:15 Page 23 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403826 610869 ACCOUNT DETAIL LINE AMOUNT 1 290 626003 FIRE WATER 366.15 366.15 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403827 610870 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 171.90 171.90 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403828 610871 ACCOUNT DETAIL LINE AMOUNT 1 411 626003 LEISURE SE WATER 203.00 203.00 90089 CITY OF GULFPORT 0000 INV 08/20/2025 403829 610872 ACCOUNT DETAIL LINE AMOUNT 1 290 626003 FIRE WATER 113.16 113.16 CHECK TOTAL 12,279.95 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403720 610762 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 412.16 412.16 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403721 610763 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 70.48 70.48 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403722 610764 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 91.00 91.00 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403723 610765 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 108.40 108.40 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403724 610766 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 195.11 195.11 Report generated: 08/11/2025 13:47:15 Page 24 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403725 610767 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 74.34 74.34 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403726 610768 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 56.00 56.00 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403727 610769 ACCOUNT DETAIL LINE AMOUNT 1 411 626002 LEISURE SE ELECTRIC 3,078.62 3,078.62 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403728 610770 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 171.87 171.87 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403729 610771 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 877.92 877.92 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403730 610772 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 3,465.89 3,465.89 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403731 610773 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 4,711.10 4,711.10 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403732 610774 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 6,918.08 6,918.08 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403733 610775 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 89.86 89.86 Report generated: 08/11/2025 13:47:15 Page 25 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403734 610776 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 7,503.83 7,503.83 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403735 610777 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 8,535.79 8,535.79 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403736 610778 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 76.29 76.29 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403737 610779 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 74.16 74.16 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403830 610873 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 105.69 105.69 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403831 610874 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 485.63 485.63 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403832 610875 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 99.11 99.11 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403833 610876 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 158.29 158.29 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403834 610877 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 158.29 158.29 Report generated: 08/11/2025 13:47:15 Page 26 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403835 610878 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 375.32 375.32 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403836 610879 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 78.64 78.64 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403837 610880 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 177.56 177.56 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403838 610881 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 184.06 184.06 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403839 610882 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 1,026.04 1,026.04 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403840 610883 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 173.67 173.67 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403841 610884 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 1,075.58 1,075.58 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403842 610885 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 55.66 55.66 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403843 610886 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 55.94 55.94 Report generated: 08/11/2025 13:47:15 Page 27 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403844 610887 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 149.69 149.69 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403845 610888 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 158.73 158.73 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403846 610889 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 64.44 64.44 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403847 610890 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 77.84 77.84 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403848 610891 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 1,420.46 1,420.46 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403849 610892 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 502.36 502.36 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403850 610893 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 168.19 168.19 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403851 610894 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 71.91 71.91 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403852 610895 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 440.08 440.08 Report generated: 08/11/2025 13:47:15 Page 28 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403853 610896 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 140.12 140.12 193 COAST ELECTRIC POWER 0000 INV 08/20/2025 403854 610897 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 25.36 25.36 CHECK TOTAL 43,939.56 43364 COASTAL PRINTS LLC 0000 252698 EFT 08/20/2025 402968 609996 ACCOUNT DETAIL LINE AMOUNT 1 447 610700 HRB LGT EX OP SUPPLIE 89.12 89.12 43364 COASTAL PRINTS LLC 0000 EFT 08/20/2025 403160 610194 ACCOUNT DETAIL LINE AMOUNT 1 411 612500 LEISURE SE UNIFORMS 473.71 473.71 CHECK TOTAL 562.83 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402843 609865 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 36.41 36.41 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402901 609926 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 297.94 297.94 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402907 609932 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 2.74 2.74 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402908 609933 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 4.47 4.47 Report generated: 08/11/2025 13:47:15 Page 29 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402930 609955 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 98.75 98.75 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402988 610018 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 213.66 213.66 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402989 610019 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 48.83 48.83 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 402991 610020 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 4.95 4.95 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 403166 610198 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 87.18 87.18 29073 COBURN SUPPLY COMPANY 0000 250141 INV 08/20/2025 403177 610213 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 6.27 6.27 29073 COBURN SUPPLY COMPANY 0000 252621 INV 08/20/2025 403312 610350 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 591.00 591.00 CHECK TOTAL 1,392.20 42007 COMMUNICATIONS INTERN 0000 250030 EFT 08/20/2025 402856 609880 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 215.40 215.40 42007 COMMUNICATIONS INTERN 0000 EFT 08/20/2025 403499 610541 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 628.00 628.00 Report generated: 08/11/2025 13:47:15 Page 30 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 42007 COMMUNICATIONS INTERN 0000 EFT 08/20/2025 403500 610542 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 628.00 628.00 42007 COMMUNICATIONS INTERN 0000 EFT 08/20/2025 403503 610545 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 628.00 628.00 CHECK TOTAL 2,099.40 177 CONSOLIDATED PIPE CO 0000 252553 INV 08/20/2025 403313 610351 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 90.00 90.00 CHECK TOTAL 90.00 42832 CORE GROUP GULFPORT 0000 EFT 08/20/2025 402932 609957 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 390.00 390.00 42832 CORE GROUP GULFPORT 0000 252355 EFT 08/20/2025 403214 610252 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 672.00 672.00 CHECK TOTAL 1,062.00 20659 CORNETT BOLT & SCREW, 0000 EFT 08/20/2025 403161 610195 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 13.00 13.00 20659 CORNETT BOLT & SCREW, 0000 EFT 08/20/2025 403449 610491 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 5.04 5.04 CHECK TOTAL 18.04 Report generated: 08/11/2025 13:47:15 Page 31 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 37710 COVINGTON CIVIL & ENV 0000 241351 EFT 08/20/2025 403266 610305 ACCOUNT DETAIL LINE AMOUNT 1 363 640200 24024 ARPANONREM CAP ENG 36,250.00 36,250.00 37710 COVINGTON CIVIL & ENV 0000 241352 EFT 08/20/2025 403267 610306 ACCOUNT DETAIL LINE AMOUNT 1 363 640200 24023 ARPANONREM CAP ENG 41,250.00 41,250.00 37710 COVINGTON CIVIL & ENV 0000 252513 EFT 08/20/2025 403271 610310 ACCOUNT DETAIL LINE AMOUNT 1 361 640200 25002 WS CP NONRCAP ENG 107,400.00 107,400.00 CHECK TOTAL 184,900.00 43150 CRAWFORD ELECTRIC SUP 0000 251882 EFT 08/20/2025 403278 610316 ACCOUNT DETAIL LINE AMOUNT 1 315 630100 TRAFFIC CAP OTLY 44,078.71 44,078.71 CHECK TOTAL 44,078.71 40516 DANA SAFETY SUPPLY 0001 252600 EFT 08/20/2025 403198 610235 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 862.56 862.56 40516 DANA SAFETY SUPPLY 0001 252524 EFT 08/20/2025 403206 610243 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 5,004.55 5,004.55 CHECK TOTAL 5,867.11 8571 DANIEL CROUSE 0000 252677 INV 08/20/2025 403025 610054 ACCOUNT DETAIL LINE AMOUNT 1 213 626900 OPERATING TRAVEL 620.00 620.00 CHECK TOTAL 620.00 Report generated: 08/11/2025 13:47:15 Page 32 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 37051 DEERE CREDIT INC 0000 INV 08/20/2025 403410 610451 ACCOUNT DETAIL LINE AMOUNT 1 411 626706 LEISURE SE OP LEASE 5,660.51 5,660.51 CHECK TOTAL 5,660.51 43278 DELL INC 0000 252632 INV 08/20/2025 402793 609813 ACCOUNT DETAIL LINE AMOUNT 1 346 630400 25013 CP - NONRM COMPUTER 1,201.36 1,201.36 43278 DELL INC 0000 252696 INV 08/20/2025 402976 610004 ACCOUNT DETAIL LINE AMOUNT 1 811 610700 UTIL BILL OPER SUPL 1,157.89 1,157.89 CHECK TOTAL 2,359.25 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403050 610082 ACCOUNT DETAIL LINE AMOUNT 1 213 626004 OPERATING GAS 32.66 32.66 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403099 610131 ACCOUNT DETAIL LINE AMOUNT 1 290 626004 FIRE GAS 182.83 182.83 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403468 610510 ACCOUNT DETAIL LINE AMOUNT 1 411 626004 LEISURE SE GAS 61.71 61.71 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403469 610511 ACCOUNT DETAIL LINE AMOUNT 1 411 626004 LEISURE SE GAS 57.34 57.34 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403470 610512 ACCOUNT DETAIL LINE AMOUNT 1 290 626004 FIRE GAS 64.98 64.98 Report generated: 08/11/2025 13:47:15 Page 33 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403471 610513 ACCOUNT DETAIL LINE AMOUNT 1 145 626004 FINANCE GAS 46.43 46.43 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403472 610514 ACCOUNT DETAIL LINE AMOUNT 1 415 626004 BLDG MAINT GAS 50.85 50.85 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403473 610515 ACCOUNT DETAIL LINE AMOUNT 1 411 626004 LEISURE SE GAS 43.16 43.16 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403474 610516 ACCOUNT DETAIL LINE AMOUNT 1 150 626004 INFO TECH GAS 54.07 54.07 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403475 610517 ACCOUNT DETAIL LINE AMOUNT 1 411 626004 LEISURE SE GAS 50.79 50.79 43643 DELTA UTILITIES AGGRE 0000 INV 08/20/2025 403476 610518 ACCOUNT DETAIL LINE AMOUNT 1 411 626004 LEISURE SE GAS 86.32 86.32 CHECK TOTAL 731.14 43246 DENNIS E ROJAS 0000 INV 08/20/2025 403107 610140 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 120.00 120.00 CHECK TOTAL 120.00 10297 DESIGN PRECAST INC 0000 252733 EFT 08/20/2025 403316 610354 ACCOUNT DETAIL LINE AMOUNT 1 825 616100 SEWER SEWER-SUPP 108.96 108.96 Report generated: 08/11/2025 13:47:15 Page 34 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 10297 DESIGN PRECAST INC 0000 252733 EFT 08/20/2025 403317 610355 ACCOUNT DETAIL LINE AMOUNT 1 825 616100 SEWER SEWER-SUPP 217.92 217.92 10297 DESIGN PRECAST INC 0000 252510 EFT 08/20/2025 403331 610369 ACCOUNT DETAIL LINE AMOUNT 1 311 614600 STS & DRAI STORM PIPE 7,896.00 7,896.00 10297 DESIGN PRECAST INC 0000 252510 EFT 08/20/2025 403332 610370 ACCOUNT DETAIL LINE AMOUNT 1 311 614600 STS & DRAI STORM PIPE 3,948.00 3,948.00 CHECK TOTAL 12,170.88 235 DIBS CHEMICAL & SUPPL 0000 252638 EFT 08/20/2025 403163 610197 ACCOUNT DETAIL LINE AMOUNT 1 411 613700 LEISURE SE CHEMICALS 134.29 134.29 235 DIBS CHEMICAL & SUPPL 0000 252127 EFT 08/20/2025 403164 610199 ACCOUNT DETAIL LINE AMOUNT 1 411 613700 LEISURE SE CHEMICALS 805.75 805.75 235 DIBS CHEMICAL & SUPPL 0000 252101 EFT 08/20/2025 403165 610200 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 106.79 106.79 235 DIBS CHEMICAL & SUPPL 0000 252638 EFT 08/20/2025 403169 610204 ACCOUNT DETAIL LINE AMOUNT 1 411 613700 LEISURE SE CHEMICALS 671.46 671.46 CHECK TOTAL 1,718.29 42605 DISTRIBUTORS HOLDING 0000 252541 EFT 08/20/2025 403199 610236 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 154.94 154.94 CHECK TOTAL 154.94 Report generated: 08/11/2025 13:47:15 Page 35 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43386 DIXIE GLASS AND TRIM 0000 252478 INV 08/20/2025 402979 610007 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 586.00 586.00 CHECK TOTAL 586.00 39259 DNA UNDERGROUND LLC 0000 250642 EFT 08/20/2025 403344 610383 ACCOUNT DETAIL LINE AMOUNT 1 362 640100 24021 CP ARPA RE CAP CONST 47,877.84 2 363 640100 24021 ARPANONREM CAP CONST 47,877.85 95,755.69 39259 DNA UNDERGROUND LLC 0000 EFT 08/20/2025 403440 610482 ACCOUNT DETAIL LINE AMOUNT 1 325 624601 ENGINEER REPAIRS 14,162.00 14,162.00 39259 DNA UNDERGROUND LLC 0000 251922 EFT 08/20/2025 403704 610745 ACCOUNT DETAIL LINE AMOUNT 1 367 640100 24047 MIMACAP CAP CONST 120,536.00 120,536.00 CHECK TOTAL 230,453.69 202 DPS CRIME LAB 0000 EFT 08/20/2025 402802 609823 ACCOUNT DETAIL LINE AMOUNT 1 213 620701 OPERATING FORENSIC 3,360.00 3,360.00 CHECK TOTAL 3,360.00 36109 DSLD HOMES 0000 INV 08/20/2025 402730 609749 ACCOUNT DETAIL LINE AMOUNT 1 010 210602 GENRL FUNDWRNTY BOND 6,800.00 6,800.00 36109 DSLD HOMES 0000 INV 08/20/2025 402731 609750 ACCOUNT DETAIL LINE AMOUNT 1 010 210602 GENRL FUNDWRNTY BOND 5,400.00 5,400.00 CHECK TOTAL 12,200.00 Report generated: 08/11/2025 13:47:15 Page 36 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 11424 EAGLE ENERGY INC. 0000 252608 EFT 08/20/2025 402799 609820 ACCOUNT DETAIL LINE AMOUNT 1 213 614000 OPERATING FUEL 1,690.44 1,690.44 11424 EAGLE ENERGY INC. 0000 EFT 08/20/2025 402914 609939 ACCOUNT DETAIL LINE AMOUNT 1 445 614100 J T JONES FUEL RETAI 5,224.54 5,224.54 11424 EAGLE ENERGY INC. 0000 EFT 08/20/2025 402915 609940 ACCOUNT DETAIL LINE AMOUNT 1 445 614100 J T JONES FUEL RETAI 4,360.55 4,360.55 11424 EAGLE ENERGY INC. 0000 EFT 08/20/2025 403296 610334 ACCOUNT DETAIL LINE AMOUNT 1 445 614100 J T JONES FUEL RETAI 4,771.19 4,771.19 CHECK TOTAL 16,046.72 40843 EAGLE SERVICES, INC. 0000 251928 EFT 08/20/2025 402911 609936 ACCOUNT DETAIL LINE AMOUNT 1 346 630100 25028 CP - NONRM CAP OTLY 7,278.00 7,278.00 40843 EAGLE SERVICES, INC. 0000 252720 EFT 08/20/2025 403167 610202 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 85.00 85.00 40843 EAGLE SERVICES, INC. 0000 252622 EFT 08/20/2025 403168 610203 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 195.00 195.00 40843 EAGLE SERVICES, INC. 0000 252749 EFT 08/20/2025 403170 610205 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 85.00 85.00 CHECK TOTAL 7,643.00 Report generated: 08/11/2025 13:47:15 Page 37 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 39643 EK EMBROIDERY LLC 0000 EFT 08/20/2025 402721 609740 ACCOUNT DETAIL LINE AMOUNT 1 290 612500 FIRE UNIFORMS 48.00 48.00 CHECK TOTAL 48.00 71695 ELECTRONIC CASE MANAG 0000 INV 08/20/2025 403482 610524 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 10.00 10.00 CHECK TOTAL 10.00 40776 ENGINEERED COOLING SE 0000 252218 EFT 08/20/2025 402801 609822 ACCOUNT DETAIL LINE AMOUNT 1 213 611000 OPERATING BLG MAT 3,156.00 3,156.00 40776 ENGINEERED COOLING SE 0000 252607 EFT 08/20/2025 402834 609856 ACCOUNT DETAIL LINE AMOUNT 1 213 611000 OPERATING BLG MAT 460.00 460.00 CHECK TOTAL 3,616.00 16367 ENGINEERING SERVICES 0000 252629 EFT 08/20/2025 403340 610378 ACCOUNT DETAIL LINE AMOUNT 1 825 615800 SEWER LFT STATN 4,900.92 4,900.92 CHECK TOTAL 4,900.92 43755 ESSTAC LLC 0000 252785 INV 08/20/2025 403352 610392 ACCOUNT DETAIL LINE AMOUNT 1 213 612500 OPERATING UNIFORMS 1,253.20 1,253.20 CHECK TOTAL 1,253.20 16063 FAZZIOS HOME & FARM C 0000 252460 INV 08/20/2025 403303 610341 ACCOUNT DETAIL LINE AMOUNT 1 825 614300 SEWER GRAVEL 1,267.00 1,267.00 Report generated: 08/11/2025 13:47:15 Page 38 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK CHECK TOTAL 1,267.00 1075 FEDEX 0002 INV 08/20/2025 403431 610473 ACCOUNT DETAIL LINE AMOUNT 1 315 620900 TRAFFIC CONTRACT 81.54 81.54 CHECK TOTAL 81.54 41691 FERGUSON US HOLDINGS, 0000 252559 EFT 08/20/2025 403304 610342 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 135.00 135.00 41691 FERGUSON US HOLDINGS, 0000 252604 EFT 08/20/2025 403306 610344 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 5,064.00 5,064.00 41691 FERGUSON US HOLDINGS, 0000 250166 EFT 08/20/2025 403322 610360 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 530.00 530.00 41691 FERGUSON US HOLDINGS, 0000 250166 EFT 08/20/2025 403323 610361 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 640.00 640.00 41691 FERGUSON US HOLDINGS, 0000 252066 EFT 08/20/2025 403329 610367 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 740.00 740.00 41691 FERGUSON US HOLDINGS, 0000 252367 EFT 08/20/2025 403330 610368 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 12,156.90 12,156.90 41691 FERGUSON US HOLDINGS, 0000 250219 EFT 08/20/2025 403373 610413 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 255.00 2 825 610700 SEWER OPER SUPL 255.00 510.00 Report generated: 08/11/2025 13:47:15 Page 39 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 41691 FERGUSON US HOLDINGS, 0000 250219 EFT 08/20/2025 403374 610414 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 355.00 2 825 610700 SEWER OPER SUPL 355.00 710.00 41691 FERGUSON US HOLDINGS, 0000 250219 EFT 08/20/2025 403375 610415 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 452.50 2 825 610700 SEWER OPER SUPL 452.50 905.00 41691 FERGUSON US HOLDINGS, 0000 250219 EFT 08/20/2025 403376 610416 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 74.63 2 825 610700 SEWER OPER SUPL 74.63 149.26 41691 FERGUSON US HOLDINGS, 0000 252071 EFT 08/20/2025 403424 610465 ACCOUNT DETAIL LINE AMOUNT 1 411 612200 LEISURE SE REP&MAINT 698.00 698.00 CHECK TOTAL 22,238.16 42411 FERRO CONCEPTS USA IN 0000 252776 INV 08/20/2025 403355 610395 ACCOUNT DETAIL LINE AMOUNT 1 213 612500 OPERATING UNIFORMS 1,640.00 1,640.00 CHECK TOTAL 1,640.00 43523 FIELD IN BLOOM INC 0000 252767 EFT 08/20/2025 403172 610207 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 949.75 949.75 CHECK TOTAL 949.75 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403007 610036 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 731.00 731.00 Report generated: 08/11/2025 13:47:15 Page 40 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403008 610038 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 770.10 770.10 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403010 610039 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 782.00 782.00 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403012 610041 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 776.90 776.90 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403013 610042 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 340.00 340.00 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403015 610044 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 680.00 680.00 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403016 610046 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 340.00 340.00 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403019 610048 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 340.00 340.00 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403020 610049 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 340.00 340.00 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403022 610051 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 861.90 861.90 Report generated: 08/11/2025 13:47:15 Page 41 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403024 610053 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 363.80 363.80 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403026 610055 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 369.75 369.75 20114 FIRST STUDENT 0000 252290 INV 08/20/2025 403030 610061 ACCOUNT DETAIL LINE AMOUNT 1 411 613400 LEISURE SE REC PROG 685.10 685.10 CHECK TOTAL 7,380.55 17806 FROGGYS FOG LLC 0000 252713 EFT 08/20/2025 403465 610507 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 24002 EVENTS EVENT 179.98 179.98 CHECK TOTAL 179.98 6528 FLEETCOR 0001 EFT 08/20/2025 402596 609615 ACCOUNT DETAIL LINE AMOUNT 1 411 614000 LEISURE SE FUEL 42.61 42.61 6528 FLEETCOR 0001 EFT 08/20/2025 402726 609745 ACCOUNT DETAIL LINE AMOUNT 1 290 614000 FIRE FUEL 2,513.20 2,513.20 6528 FLEETCOR 0001 EFT 08/20/2025 402857 609881 ACCOUNT DETAIL LINE AMOUNT 1 611 614000 PLAN & ZON FUEL 60.91 60.91 6528 FLEETCOR 0001 EFT 08/20/2025 402894 609919 ACCOUNT DETAIL LINE AMOUNT 1 215 614000 CODE ENF FUEL 36.77 2 213 614000 OPERATING FUEL 8,924.53 8,961.30 Report generated: 08/11/2025 13:47:15 Page 42 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 6528 FLEETCOR 0001 EFT 08/20/2025 402909 609934 ACCOUNT DETAIL LINE AMOUNT 1 415 614000 BLDG MAINT FUEL 138.58 138.58 6528 FLEETCOR 0001 EFT 08/20/2025 402916 609941 ACCOUNT DETAIL LINE AMOUNT 1 445 614000 J T JONES FUEL 142.33 142.33 6528 FLEETCOR 0001 EFT 08/20/2025 402917 609942 ACCOUNT DETAIL LINE AMOUNT 1 445 614000 J T JONES FUEL 83.46 83.46 6528 FLEETCOR 0001 EFT 08/20/2025 402938 609963 ACCOUNT DETAIL LINE AMOUNT 1 215 614000 CODE ENF FUEL 176.24 2 213 614000 OPERATING FUEL 8,807.97 8,984.21 6528 FLEETCOR 0001 EFT 08/20/2025 403044 610076 ACCOUNT DETAIL LINE AMOUNT 1 290 614000 FIRE FUEL 2,979.43 2,979.43 6528 FLEETCOR 0001 EFT 08/20/2025 403047 610079 ACCOUNT DETAIL LINE AMOUNT 1 611 614000 PLAN & ZON FUEL 68.01 68.01 6528 FLEETCOR 0001 EFT 08/20/2025 403106 610139 ACCOUNT DETAIL LINE AMOUNT 1 415 614000 BLDG MAINT FUEL 286.01 286.01 6528 FLEETCOR 0001 EFT 08/20/2025 403142 610176 ACCOUNT DETAIL LINE AMOUNT 1 811 614000 UTIL BILL FUEL 38.40 38.40 6528 FLEETCOR 0001 EFT 08/20/2025 403158 610193 ACCOUNT DETAIL LINE AMOUNT 1 215 614000 CODE ENF FUEL 51.36 2 213 614000 OPERATING FUEL 10,178.47 10,229.83 Report generated: 08/11/2025 13:47:15 Page 43 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 6528 FLEETCOR 0001 EFT 08/20/2025 403293 610331 ACCOUNT DETAIL LINE AMOUNT 1 411 614000 LEISURE SE FUEL 517.19 517.19 6528 FLEETCOR 0001 EFT 08/20/2025 403294 610332 ACCOUNT DETAIL LINE AMOUNT 1 411 614000 LEISURE SE FUEL 145.11 145.11 6528 FLEETCOR 0001 EFT 08/20/2025 403295 610333 ACCOUNT DETAIL LINE AMOUNT 1 411 614000 LEISURE SE FUEL 609.80 609.80 6528 FLEETCOR 0001 EFT 08/20/2025 403297 610335 ACCOUNT DETAIL LINE AMOUNT 1 411 614000 LEISURE SE FUEL 41.54 41.54 6528 FLEETCOR 0001 EFT 08/20/2025 403298 610337 ACCOUNT DETAIL LINE AMOUNT 1 445 614000 J T JONES FUEL 114.52 114.52 6528 FLEETCOR 0001 EFT 08/20/2025 403299 610336 ACCOUNT DETAIL LINE AMOUNT 1 411 614000 LEISURE SE FUEL 160.87 160.87 6528 FLEETCOR 0001 EFT 08/20/2025 403441 610483 ACCOUNT DETAIL LINE AMOUNT 1 313 614000 PUB WORK AFUEL 339.53 339.53 6528 FLEETCOR 0001 EFT 08/20/2025 403442 610484 ACCOUNT DETAIL LINE AMOUNT 1 815 614000 WATER FUEL 37.73 37.73 6528 FLEETCOR 0001 EFT 08/20/2025 403443 610485 ACCOUNT DETAIL LINE AMOUNT 1 325 614000 ENGINEER FUEL 96.44 96.44 Report generated: 08/11/2025 13:47:15 Page 44 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 6528 FLEETCOR 0001 EFT 08/20/2025 403444 610486 ACCOUNT DETAIL LINE AMOUNT 1 315 614000 TRAFFIC FUEL 504.60 504.60 6528 FLEETCOR 0001 EFT 08/20/2025 403445 610487 ACCOUNT DETAIL LINE AMOUNT 1 313 614000 PUB WORK AFUEL 333.57 333.57 6528 FLEETCOR 0001 EFT 08/20/2025 403446 610488 ACCOUNT DETAIL LINE AMOUNT 1 815 614000 WATER FUEL 108.06 108.06 6528 FLEETCOR 0001 EFT 08/20/2025 403447 610489 ACCOUNT DETAIL LINE AMOUNT 1 325 614000 ENGINEER FUEL 136.87 136.87 6528 FLEETCOR 0001 EFT 08/20/2025 403448 610490 ACCOUNT DETAIL LINE AMOUNT 1 315 614000 TRAFFIC FUEL 526.76 526.76 6528 FLEETCOR 0001 EFT 08/20/2025 403459 610501 ACCOUNT DETAIL LINE AMOUNT 1 411 614000 LEISURE SE FUEL 39.80 2 447 614000 HRB LGT EX FUEL 53.63 93.43 CHECK TOTAL 38,294.30 43050 GARRET M LANDRY 0000 INV 08/20/2025 402983 610012 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 104.00 104.00 43050 GARRET M LANDRY 0000 INV 08/20/2025 402984 610013 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 40.00 40.00 43050 GARRET M LANDRY 0000 INV 08/20/2025 402985 610014 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 26.57 Report generated: 08/11/2025 13:47:15 Page 45 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 26.57 43050 GARRET M LANDRY 0000 INV 08/20/2025 402986 610015 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 54.17 54.17 CHECK TOTAL 224.74 42706 GERARD THOMAS JOHNSON 0000 252552 EFT 08/20/2025 403451 610471 ACCOUNT DETAIL LINE AMOUNT 1 135 620900 95632 CITY ATTY CONTRACT 2,740.25 2,740.25 CHECK TOTAL 2,740.25 43455 GILLS CRANE & DOZER S 0000 250614 EFT 08/20/2025 403272 610311 ACCOUNT DETAIL LINE AMOUNT 1 101 640100 Z8587 GENERAL CAP CONST 388,740.00 388,740.00 CHECK TOTAL 388,740.00 5534 M J DONOVAN ENTERPRIS 0000 251813 EFT 08/20/2025 402884 609909 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 661.71 661.71 5534 M J DONOVAN ENTERPRIS 0000 251813 EFT 08/20/2025 402885 609911 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 192.33 192.33 CHECK TOTAL 854.04 43419 GUARANTEE RESTORATION 0000 252312 INV 08/20/2025 403174 610210 ACCOUNT DETAIL LINE AMOUNT 1 411 612200 LEISURE SE REP&MAINT 10,350.00 10,350.00 CHECK TOTAL 10,350.00 41100 GUARDIAN ALLIANCE TEC 0000 250065 EFT 08/20/2025 402993 610022 ACCOUNT DETAIL LINE AMOUNT 1 213 627900 OPERATING MISC 550.00 Report generated: 08/11/2025 13:47:15 Page 46 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 550.00 CHECK TOTAL 550.00 329 GULF COAST BUSINESS S 0000 252636 EFT 08/20/2025 402597 609616 ACCOUNT DETAIL LINE AMOUNT 1 148 610400 EVENTS OFF SUPPLS 181.97 181.97 329 GULF COAST BUSINESS S 0000 252683 EFT 08/20/2025 402598 609617 ACCOUNT DETAIL LINE AMOUNT 1 148 610100 EVENTS JANITORIAL 217.37 217.37 329 GULF COAST BUSINESS S 0000 252683 EFT 08/20/2025 402599 609618 ACCOUNT DETAIL LINE AMOUNT 1 148 610100 EVENTS JANITORIAL 63.22 63.22 329 GULF COAST BUSINESS S 0000 252670 EFT 08/20/2025 402844 609866 ACCOUNT DETAIL LINE AMOUNT 1 143 610400 CAO OFFICE OFF SUPPLS 60.24 60.24 329 GULF COAST BUSINESS S 0000 252656 EFT 08/20/2025 402935 609960 ACCOUNT DETAIL LINE AMOUNT 1 213 610400 OPERATING OFF SUPPLS 547.99 547.99 329 GULF COAST BUSINESS S 0000 252546 EFT 08/20/2025 403104 610137 ACCOUNT DETAIL LINE AMOUNT 1 811 610400 UTIL BILL OFF SUPPLS 2,458.16 2,458.16 329 GULF COAST BUSINESS S 0000 EFT 08/20/2025 403225 610264 ACCOUNT DETAIL LINE AMOUNT 1 290 610400 FIRE OFF SUPPLS 16.99 16.99 329 GULF COAST BUSINESS S 0000 252728 EFT 08/20/2025 403337 610375 ACCOUNT DETAIL LINE AMOUNT 1 313 610700 PUB WORK AOPER SUPL 609.60 609.60 329 GULF COAST BUSINESS S 0000 252728 EFT 08/20/2025 403339 610377 ACCOUNT DETAIL LINE AMOUNT 1 313 610700 PUB WORK AOPER SUPL 605.14 Report generated: 08/11/2025 13:47:15 Page 47 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 605.14 329 GULF COAST BUSINESS S 0000 252656 EFT 08/20/2025 403395 610436 ACCOUNT DETAIL LINE AMOUNT 1 213 610400 OPERATING OFF SUPPLS 609.88 609.88 329 GULF COAST BUSINESS S 0000 EFT 08/20/2025 403432 610474 ACCOUNT DETAIL LINE AMOUNT 1 313 610700 PUB WORK AOPER SUPL 84.00 84.00 329 GULF COAST BUSINESS S 0000 EFT 08/20/2025 403450 610493 ACCOUNT DETAIL LINE AMOUNT 1 290 610400 FIRE OFF SUPPLS 531.06 531.06 CHECK TOTAL 5,985.62 417 GULF COAST CENTER FOR 0000 252563 EFT 08/20/2025 403454 610496 ACCOUNT DETAIL LINE AMOUNT 1 135 620900 95633 CITY ATTY CONTRACT 1,768.20 1,768.20 CHECK TOTAL 1,768.20 25678 H2O INNOVATION OPERAT 0000 250285 EFT 08/20/2025 403345 610384 ACCOUNT DETAIL LINE AMOUNT 1 311 621800 STS & DRAI PRIVATE 541,916.98 541,916.98 25678 H2O INNOVATION OPERAT 0000 250285 EFT 08/20/2025 403346 610385 ACCOUNT DETAIL LINE AMOUNT 1 815 621800 WATER PRIVATE 298,819.94 2 825 621800 SEWER PRIVATE 295,779.90 594,599.84 25678 H2O INNOVATION OPERAT 0000 250285 EFT 08/20/2025 403347 610386 ACCOUNT DETAIL LINE AMOUNT 1 850 620912 Sld Wst Ex C - DEBRIS 166,987.60 166,987.60 CHECK TOTAL 1,303,504.42 Report generated: 08/11/2025 13:47:15 Page 48 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43710 JOHN A HAGER 0000 INV 08/20/2025 402941 609966 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 43710 JOHN A HAGER 0000 INV 08/20/2025 402942 609967 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 CHECK TOTAL 136.00 43756 HALEY STRATEGIC PARTN 0000 252786 INV 08/20/2025 403354 610394 ACCOUNT DETAIL LINE AMOUNT 1 213 612500 OPERATING UNIFORMS 152.74 152.74 CHECK TOTAL 152.74 39025 HARRISON COUNTY CIRCU 0000 INV 08/20/2025 403477 610520 ACCOUNT DETAIL LINE AMOUNT 1 135 621300 CITY ATTY LEGAL FEES 166.00 166.00 CHECK TOTAL 166.00 39025 HARRISON COUNTY CIRCU 0000 INV 08/20/2025 403479 610522 ACCOUNT DETAIL LINE AMOUNT 1 135 621300 CITY ATTY LEGAL FEES 166.00 166.00 CHECK TOTAL 166.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402625 609644 ACCOUNT DETAIL LINE AMOUNT 1 447 626008 HRB LGT EX PEST CTRL 70.00 70.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402719 609738 ACCOUNT DETAIL LINE AMOUNT 1 290 621700 FIRE MAINT CONT 40.00 40.00 Report generated: 08/11/2025 13:47:15 Page 49 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402794 609814 ACCOUNT DETAIL LINE AMOUNT 1 150 610700 INFO TECH OP SUPPLIE 25.00 25.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402796 609817 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 40.00 40.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402846 609868 ACCOUNT DETAIL LINE AMOUNT 1 145 620900 FINANCE CONTRACT 115.00 115.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402858 609882 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 25.00 25.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402922 609947 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 92.00 92.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402937 609962 ACCOUNT DETAIL LINE AMOUNT 1 445 620900 J T JONES CONTRACT 75.00 75.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 402996 610025 ACCOUNT DETAIL LINE AMOUNT 1 125 620900 CITY COURT CONTRACT 16.93 2 145 620900 FINANCE CONTRACT 118.51 3 150 621700 INFO TECH MAINT CONT 16.93 4 155 620900 HR CONTRACT 16.93 5 213 620900 OPERATING CONTRACT 84.65 6 290 621700 FIRE MAINT CONT 406.32 7 311 620900 STS & DRAI CONTRACT 101.58 8 411 620900 LEISURE SE CONTRACT 626.41 9 445 621700 J T JONES MAINT CONT 33.86 10 611 620900 PLAN & ZON CONTRACT 16.94 11 811 620900 UTIL BILL CONTRACT 16.92 1,455.98 Report generated: 08/11/2025 13:47:15 Page 50 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 403175 610211 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 100.00 100.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 403414 610455 ACCOUNT DETAIL LINE AMOUNT 1 125 620900 CITY COURT CONTRACT 40.00 40.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 403437 610479 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 90.00 90.00 2066 HAVARD PEST CONTROL 0001 EFT 08/20/2025 403438 610480 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 45.00 45.00 CHECK TOTAL 2,212.98 43729 HILLTREE MARKETING LL 0000 INV 08/20/2025 403277 610315 ACCOUNT DETAIL LINE AMOUNT 1 111 627900 MAYOR MISC 1,800.00 1,800.00 CHECK TOTAL 1,800.00 530 HOWARD SMITH EQUIPMEN 0000 251373 EFT 08/20/2025 403094 610126 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 41.46 41.46 CHECK TOTAL 41.46 527 HOWARDS PAINT & DECOR 0000 252675 EFT 08/20/2025 402841 609863 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 622.34 622.34 CHECK TOTAL 622.34 Report generated: 08/11/2025 13:47:15 Page 51 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 548 HUMANE SOCIETY OF S M 0000 EFT 08/20/2025 402957 609982 ACCOUNT DETAIL LINE AMOUNT 1 213 614900 OPERATING ANIMAL CON 150.00 150.00 548 HUMANE SOCIETY OF S M 0000 EFT 08/20/2025 402958 609983 ACCOUNT DETAIL LINE AMOUNT 1 213 614900 OPERATING ANIMAL CON 17,936.20 17,936.20 CHECK TOTAL 18,086.20 20225 IMS, INC 0000 252658 EFT 08/20/2025 402806 609827 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 1,782.00 1,782.00 CHECK TOTAL 1,782.00 41750 INTELLISTREETS INC 0000 251822 INV 08/20/2025 403420 610461 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 1,516.50 2 411 630100 LEISURE SE CAP OTLY 4,250.00 5,766.50 CHECK TOTAL 5,766.50 275 J H WRIGHT & ASSOC 0001 252602 EFT 08/20/2025 403321 610359 ACCOUNT DETAIL LINE AMOUNT 1 825 615800 SEWER LFT STATN 4,995.00 4,995.00 CHECK TOTAL 4,995.00 43711 ALVIN C JACKSON 0000 INV 08/20/2025 402943 609968 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 43711 ALVIN C JACKSON 0000 INV 08/20/2025 402944 609969 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 CHECK TOTAL 136.00 Report generated: 08/11/2025 13:47:15 Page 52 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 42230 JACOB B WILSON 0000 INV 08/20/2025 402850 609872 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 40.00 40.00 42230 JACOB B WILSON 0000 INV 08/20/2025 402851 609874 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 175.00 175.00 CHECK TOTAL 215.00 40067 JAMES E. BATES 0000 EFT 08/20/2025 403275 610313 ACCOUNT DETAIL LINE AMOUNT 1 111 627900 25040 MAYOR MISC 700.00 700.00 CHECK TOTAL 700.00 43400 JANINE WILLIAMS 0000 INV 08/20/2025 403463 610505 ACCOUNT DETAIL LINE AMOUNT 1 135 622300 CITY ATTY TRAIN PRG 60.00 60.00 CHECK TOTAL 60.00 43151 JHS ENTERPRISES INC 0000 252674 EFT 08/20/2025 402954 609979 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 62.00 62.00 43151 JHS ENTERPRISES INC 0000 252580 EFT 08/20/2025 403093 610125 ACCOUNT DETAIL LINE AMOUNT 1 125 626500 CITY COURT PRINTING 39.00 39.00 CHECK TOTAL 101.00 43147 JLE INCORPORATED 0000 251702 EFT 08/20/2025 403460 610502 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 24003 EVENTS EVENT 330.00 330.00 Report generated: 08/11/2025 13:47:15 Page 53 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43147 JLE INCORPORATED 0000 251702 EFT 08/20/2025 403462 610504 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 24003 EVENTS EVENT 264.00 264.00 CHECK TOTAL 594.00 34786 JONES WALKER LLP 0000 INV 08/20/2025 403040 610072 ACCOUNT DETAIL LINE AMOUNT 1 145 627900 FINANCE MISC 2,000.00 2,000.00 CHECK TOTAL 2,000.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403504 610546 ACCOUNT DETAIL LINE AMOUNT 1 115 622100 COUNCIL PROF FEES 155.70 155.70 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403505 610547 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 76.43 76.43 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403506 610548 ACCOUNT DETAIL LINE AMOUNT 1 415 614000 BLDG MAINT FUEL 68.77 68.77 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403507 610549 ACCOUNT DETAIL LINE AMOUNT 1 111 627900 MAYOR MISC 90.00 90.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403508 610550 ACCOUNT DETAIL LINE AMOUNT 1 115 610700 COUNCIL OPER SUPL 7.97 7.97 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403509 610551 ACCOUNT DETAIL LINE AMOUNT 1 115 610700 COUNCIL OPER SUPL 306.31 306.31 Report generated: 08/11/2025 13:47:15 Page 54 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403510 610552 ACCOUNT DETAIL LINE AMOUNT 1 115 610700 COUNCIL OPER SUPL 42.98 42.98 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403511 610553 ACCOUNT DETAIL LINE AMOUNT 1 115 610700 COUNCIL OPER SUPL 26.49 26.49 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403512 610554 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 682.04 682.04 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403513 610555 ACCOUNT DETAIL LINE AMOUNT 1 213 622300 OPERATING TRAIN PRG 300.00 300.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403514 610556 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 1,065.80 1,065.80 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403515 610557 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 222.27 222.27 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403516 610558 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 72.65 72.65 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403517 610559 ACCOUNT DETAIL LINE AMOUNT 1 445 626900 J T JONES TRAVEL 221.01 221.01 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403518 610560 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 44.59 44.59 Report generated: 08/11/2025 13:47:15 Page 55 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403519 610561 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 852.23 852.23 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403520 610562 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 40.75 40.75 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403521 610563 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 8.15 8.15 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403522 610564 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 911.37 911.37 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403523 610565 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 977.46 977.46 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403524 610566 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 960.06 960.06 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403525 610567 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 140.00 140.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403526 610568 ACCOUNT DETAIL LINE AMOUNT 1 213 612500 OPERATING UNIFORMS 895.62 895.62 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403527 610569 ACCOUNT DETAIL LINE AMOUNT 1 213 612500 OPERATING UNIFORMS 71.25 71.25 Report generated: 08/11/2025 13:47:15 Page 56 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403528 610570 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT -32.09 -32.09 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403529 610571 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 42.79 42.79 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403530 610572 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 32.09 32.09 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403531 610573 ACCOUNT DETAIL LINE AMOUNT 1 811 626900 UTIL BILL TRAVEL 88.00 88.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403532 610574 ACCOUNT DETAIL LINE AMOUNT 1 811 626900 UTIL BILL TRAVEL 852.23 852.23 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403533 610575 ACCOUNT DETAIL LINE AMOUNT 1 811 626900 UTIL BILL TRAVEL 54.00 54.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403534 610576 ACCOUNT DETAIL LINE AMOUNT 1 115 626900 COUNCIL TRAVEL 350.00 350.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403535 610577 ACCOUNT DETAIL LINE AMOUNT 1 143 626900 CAO OFFICE TRAVEL 459.11 459.11 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403536 610578 ACCOUNT DETAIL LINE AMOUNT 1 213 612500 OPERATING UNIFORMS 30.99 30.99 Report generated: 08/11/2025 13:47:15 Page 57 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403537 610579 ACCOUNT DETAIL LINE AMOUNT 1 825 610700 SEWER OPER SUPL 50.00 50.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403538 610580 ACCOUNT DETAIL LINE AMOUNT 1 115 626001 COUNCIL TELEPHONE 416.67 416.67 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403539 610581 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 12.90 12.90 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403540 610582 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 108.00 108.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403541 610583 ACCOUNT DETAIL LINE AMOUNT 1 147 621900 MARKETING MEMBER DUE 42.00 42.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403542 610584 ACCOUNT DETAIL LINE AMOUNT 1 147 623700 MARKETING BS RET 300.00 300.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403543 610585 ACCOUNT DETAIL LINE AMOUNT 1 447 611000 HRB LGT EX BLDG MATLS 2,959.00 2,959.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403544 610586 ACCOUNT DETAIL LINE AMOUNT 1 825 610700 SEWER OPER SUPL 29.94 29.94 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403545 610587 ACCOUNT DETAIL LINE AMOUNT 1 111 610400 MAYOR OFF SUPPLS 10.69 10.69 Report generated: 08/11/2025 13:47:15 Page 58 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403546 610588 ACCOUNT DETAIL LINE AMOUNT 1 145 621900 FINANCE MEMBER DUE 779.00 779.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403547 610589 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 24007 EVENTS EVENT 145.68 145.68 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403548 610590 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 EVENTS EVENT 49.90 49.90 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403549 610591 ACCOUNT DETAIL LINE AMOUNT 1 155 610700 HR OPER SUPL 16.32 16.32 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403550 610592 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 101.99 101.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403551 610593 ACCOUNT DETAIL LINE AMOUNT 1 445 610400 J T JONES OFF SUPPLS -124.99 -124.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403552 610594 ACCOUNT DETAIL LINE AMOUNT 1 111 610400 MAYOR OFF SUPPLS 2,035.14 2,035.14 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403553 610595 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 17.99 17.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403554 610596 ACCOUNT DETAIL LINE AMOUNT 1 147 610700 MARKETING OP SUPPLIE 154.87 154.87 Report generated: 08/11/2025 13:47:15 Page 59 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403555 610597 ACCOUNT DETAIL LINE AMOUNT 1 155 610700 HR OPER SUPL 194.99 194.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403556 610598 ACCOUNT DETAIL LINE AMOUNT 1 155 610700 HR OPER SUPL 317.64 317.64 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403557 610599 ACCOUNT DETAIL LINE AMOUNT 1 155 610700 HR OPER SUPL 162.12 162.12 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403558 610600 ACCOUNT DETAIL LINE AMOUNT 1 811 610700 UTIL BILL OPER SUPL 113.40 113.40 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403559 610601 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 9.45 9.45 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403560 610602 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 15.78 15.78 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403561 610603 ACCOUNT DETAIL LINE AMOUNT 1 445 614000 J T JONES FUEL 94.16 94.16 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403562 610604 ACCOUNT DETAIL LINE AMOUNT 1 445 610400 J T JONES OFF SUPPLS 139.38 139.38 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403563 610605 ACCOUNT DETAIL LINE AMOUNT 1 445 614000 J T JONES FUEL 75.15 75.15 Report generated: 08/11/2025 13:47:15 Page 60 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403564 610606 ACCOUNT DETAIL LINE AMOUNT 1 445 626900 J T JONES TRAVEL 123.20 123.20 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403565 610607 ACCOUNT DETAIL LINE AMOUNT 1 445 610700 J T JONES OPER SUPL 32.38 32.38 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403566 610608 ACCOUNT DETAIL LINE AMOUNT 1 445 626900 J T JONES TRAVEL 123.20 123.20 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403567 610609 ACCOUNT DETAIL LINE AMOUNT 1 115 626900 COUNCIL TRAVEL 200.00 200.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403568 610610 ACCOUNT DETAIL LINE AMOUNT 1 135 625700 CITY ATTY POSTAGE 9.45 9.45 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403569 610611 ACCOUNT DETAIL LINE AMOUNT 1 147 623700 MARKETING BS RET 51.10 51.10 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403570 610612 ACCOUNT DETAIL LINE AMOUNT 1 147 623700 MARKETING BS RET 275.00 275.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403571 610613 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 379.00 379.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403572 610614 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 390.43 390.43 Report generated: 08/11/2025 13:47:15 Page 61 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403573 610615 ACCOUNT DETAIL LINE AMOUNT 1 213 610400 OPERATING OFF SUPPLS 122.44 122.44 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403574 610616 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 130.52 130.52 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403575 610617 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 105.93 105.93 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403576 610618 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 540.75 540.75 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403577 610619 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 29.99 29.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403578 610620 ACCOUNT DETAIL LINE AMOUNT 1 445 626900 J T JONES TRAVEL 105.65 105.65 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403579 610621 ACCOUNT DETAIL LINE AMOUNT 1 445 626900 J T JONES TRAVEL -105.65 -105.65 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403580 610622 ACCOUNT DETAIL LINE AMOUNT 1 445 626900 J T JONES TRAVEL 115.35 115.35 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403581 610623 ACCOUNT DETAIL LINE AMOUNT 1 445 626900 J T JONES TRAVEL -115.35 -115.35 Report generated: 08/11/2025 13:47:15 Page 62 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403582 610624 ACCOUNT DETAIL LINE AMOUNT 1 611 625700 PLAN & ZON POSTAGE 9.45 9.45 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403583 610625 ACCOUNT DETAIL LINE AMOUNT 1 115 610700 COUNCIL OPER SUPL 58.84 58.84 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403584 610626 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 116.54 116.54 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403585 610627 ACCOUNT DETAIL LINE AMOUNT 1 213 610400 OPERATING OFF SUPPLS 58.47 58.47 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403586 610628 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 69.99 69.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403587 610629 ACCOUNT DETAIL LINE AMOUNT 1 415 610400 BLDG MAINT OFF SUPPLS 54.98 54.98 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403588 610630 ACCOUNT DETAIL LINE AMOUNT 1 445 610400 J T JONES OFF SUPPLS -2.99 -2.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403589 610631 ACCOUNT DETAIL LINE AMOUNT 1 115 626001 COUNCIL TELEPHONE 868.07 868.07 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403590 610632 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 136.96 136.96 Report generated: 08/11/2025 13:47:15 Page 63 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403591 610633 ACCOUNT DETAIL LINE AMOUNT 1 415 610400 BLDG MAINT OFF SUPPLS 31.89 31.89 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403592 610634 ACCOUNT DETAIL LINE AMOUNT 1 811 610700 UTIL BILL OPER SUPL 676.30 676.30 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403593 610635 ACCOUNT DETAIL LINE AMOUNT 1 115 626900 COUNCIL TRAVEL 218.90 218.90 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403594 610636 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 600.00 600.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403595 610637 ACCOUNT DETAIL LINE AMOUNT 1 315 610700 TRAFFIC OPER SUPL 155.19 155.19 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403596 610638 ACCOUNT DETAIL LINE AMOUNT 1 411 610400 LEISURE SE OFF SUPPLS 81.39 81.39 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403597 610639 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 87.96 87.96 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403598 610640 ACCOUNT DETAIL LINE AMOUNT 1 313 610700 PUB WORK AOPER SUPL 155.47 155.47 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403599 610641 ACCOUNT DETAIL LINE AMOUNT 1 313 610700 PUB WORK AOPER SUPL 487.62 487.62 Report generated: 08/11/2025 13:47:15 Page 64 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403600 610642 ACCOUNT DETAIL LINE AMOUNT 1 145 621900 FINANCE MEMBER DUE 595.00 595.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403601 610643 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 21.99 21.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403602 610644 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 23.74 23.74 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403603 610645 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 133.44 133.44 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403604 610646 ACCOUNT DETAIL LINE AMOUNT 1 415 610700 BLDG MAINT OPER SUPL 194.99 194.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403605 610647 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 17.99 17.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403606 610648 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 19.49 19.49 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403607 610649 ACCOUNT DETAIL LINE AMOUNT 1 147 621900 MARKETING MEMBER DUE 127.33 127.33 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403608 610650 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 14.99 14.99 Report generated: 08/11/2025 13:47:15 Page 65 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403609 610651 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 100.00 100.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403610 610652 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 100.00 100.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403611 610653 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 100.00 100.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403612 610654 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 100.00 100.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403613 610655 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 100.00 100.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403614 610656 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 100.00 100.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403615 610657 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 145.28 145.28 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403616 610658 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 536.76 536.76 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403617 610659 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 114.74 114.74 Report generated: 08/11/2025 13:47:15 Page 66 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403618 610660 ACCOUNT DETAIL LINE AMOUNT 1 411 622300 LEISURE SE TRAIN PRG 72.74 72.74 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403619 610661 ACCOUNT DETAIL LINE AMOUNT 1 445 610400 J T JONES OFF SUPPLS 449.97 449.97 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403620 610662 ACCOUNT DETAIL LINE AMOUNT 1 115 626900 COUNCIL TRAVEL 846.75 846.75 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403621 610663 ACCOUNT DETAIL LINE AMOUNT 1 145 610700 FINANCE OPER SUPL 348.00 348.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403622 610664 ACCOUNT DETAIL LINE AMOUNT 1 150 621700 INFO TECH MAINT CONT 8.09 8.09 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403623 610665 ACCOUNT DETAIL LINE AMOUNT 1 213 622300 OPERATING TRAIN PRG 300.00 300.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403624 610666 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 644.96 644.96 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403625 610667 ACCOUNT DETAIL LINE AMOUNT 1 445 610700 J T JONES OPER SUPL 106.20 106.20 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403626 610668 ACCOUNT DETAIL LINE AMOUNT 1 445 610700 J T JONES OPER SUPL 65.95 65.95 Report generated: 08/11/2025 13:47:15 Page 67 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403627 610669 ACCOUNT DETAIL LINE AMOUNT 1 611 621900 PLAN & ZON MEMBER DUE 310.00 310.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403628 610670 ACCOUNT DETAIL LINE AMOUNT 1 115 610700 COUNCIL OPER SUPL 136.96 136.96 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403629 610671 ACCOUNT DETAIL LINE AMOUNT 1 147 621900 MARKETING MEMBER DUE 69.99 69.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403630 610672 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 483.54 483.54 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403631 610673 ACCOUNT DETAIL LINE AMOUNT 1 290 610400 FIRE OFF SUPPLS 54.10 54.10 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403632 610674 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 161.24 161.24 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403633 610675 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 628.56 628.56 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403634 610676 ACCOUNT DETAIL LINE AMOUNT 1 811 610400 UTIL BILL OFF SUPPLS 66.27 66.27 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403635 610677 ACCOUNT DETAIL LINE AMOUNT 1 811 610700 UTIL BILL OPER SUPL 79.17 79.17 Report generated: 08/11/2025 13:47:15 Page 68 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403636 610678 ACCOUNT DETAIL LINE AMOUNT 1 213 610400 OPERATING OFF SUPPLS 63.48 63.48 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403637 610679 ACCOUNT DETAIL LINE AMOUNT 1 415 610400 BLDG MAINT OFF SUPPLS 27.45 27.45 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403638 610680 ACCOUNT DETAIL LINE AMOUNT 1 147 621900 MARKETING MEMBER DUE 9.99 9.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403639 610681 ACCOUNT DETAIL LINE AMOUNT 1 111 623800 MAYOR MYC 121.92 121.92 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403640 610682 ACCOUNT DETAIL LINE AMOUNT 1 115 610700 COUNCIL OPER SUPL 306.32 306.32 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403641 610683 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 179.98 179.98 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403642 610684 ACCOUNT DETAIL LINE AMOUNT 1 290 612200 FIRE REP&MAINT 247.97 247.97 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403643 610685 ACCOUNT DETAIL LINE AMOUNT 1 411 621900 LEISURE SE MEMBER DUE 700.00 700.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403644 610686 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 72.26 72.26 Report generated: 08/11/2025 13:47:15 Page 69 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403645 610687 ACCOUNT DETAIL LINE AMOUNT 1 135 610400 CITY ATTY OFF SUPPLS 32.09 32.09 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403646 610688 ACCOUNT DETAIL LINE AMOUNT 1 145 610700 FINANCE OPER SUPL 106.69 106.69 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403647 610689 ACCOUNT DETAIL LINE AMOUNT 1 147 621900 MARKETING MEMBER DUE 14.00 14.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403648 610690 ACCOUNT DETAIL LINE AMOUNT 1 213 622300 OPERATING TRAIN PRG 795.00 795.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403649 610691 ACCOUNT DETAIL LINE AMOUNT 1 213 622300 OPERATING TRAIN PRG 795.00 795.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403650 610692 ACCOUNT DETAIL LINE AMOUNT 1 213 622300 OPERATING TRAIN PRG 795.00 795.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403651 610693 ACCOUNT DETAIL LINE AMOUNT 1 111 623800 MAYOR MYC 92.84 92.84 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403652 610694 ACCOUNT DETAIL LINE AMOUNT 1 111 623800 MAYOR MYC 359.94 359.94 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403653 610695 ACCOUNT DETAIL LINE AMOUNT 1 111 623800 MAYOR MYC 40.64 40.64 Report generated: 08/11/2025 13:47:15 Page 70 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403654 610696 ACCOUNT DETAIL LINE AMOUNT 1 145 610700 FINANCE OPER SUPL 24.60 24.60 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403655 610697 ACCOUNT DETAIL LINE AMOUNT 1 145 610700 FINANCE OPER SUPL 137.96 137.96 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403656 610698 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 179.98 179.98 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403657 610699 ACCOUNT DETAIL LINE AMOUNT 1 148 610700 EVENTS OP SUPPLIE 10.44 10.44 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403658 610700 ACCOUNT DETAIL LINE AMOUNT 1 155 610700 HR OPER SUPL 25.68 25.68 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403659 610701 ACCOUNT DETAIL LINE AMOUNT 1 213 622300 OPERATING TRAIN PRG 495.00 495.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403660 610702 ACCOUNT DETAIL LINE AMOUNT 1 445 610100 J T JONES JANITORIAL 315.92 315.92 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403661 610703 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 673.72 673.72 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403662 610704 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 39.97 39.97 Report generated: 08/11/2025 13:47:15 Page 71 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403663 610705 ACCOUNT DETAIL LINE AMOUNT 1 147 621900 MARKETING MEMBER DUE 18.18 18.18 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403664 610706 ACCOUNT DETAIL LINE AMOUNT 1 213 626900 OPERATING TRAVEL 2,196.94 2,196.94 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403665 610707 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 40.00 40.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403666 610708 ACCOUNT DETAIL LINE AMOUNT 1 213 626900 OPERATING TRAVEL 1,500.00 1,500.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403667 610709 ACCOUNT DETAIL LINE AMOUNT 1 213 626900 OPERATING TRAVEL 958.31 958.31 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403668 610710 ACCOUNT DETAIL LINE AMOUNT 1 213 626900 OPERATING TRAVEL 1,440.00 1,440.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403669 610711 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 958.31 958.31 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403670 610712 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 155.25 155.25 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403671 610713 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 65.68 65.68 Report generated: 08/11/2025 13:47:15 Page 72 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403672 610714 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 139.99 139.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403673 610715 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 22.56 22.56 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403674 610716 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 44.93 44.93 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403675 610717 ACCOUNT DETAIL LINE AMOUNT 1 148 610100 EVENTS JANITORIAL 97.28 97.28 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403676 610718 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 224.17 224.17 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403677 610719 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 99.00 99.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403678 610720 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 19.25 19.25 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403679 610721 ACCOUNT DETAIL LINE AMOUNT 1 445 612200 J T JONES REP&MAINT 181.82 181.82 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403680 610722 ACCOUNT DETAIL LINE AMOUNT 1 447 610700 HRB LGT EX OP SUPPLIE 182.91 182.91 Report generated: 08/11/2025 13:47:15 Page 73 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403681 610723 ACCOUNT DETAIL LINE AMOUNT 1 447 610700 HRB LGT EX OP SUPPLIE 42.79 42.79 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403682 610724 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 101.68 101.68 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403683 610725 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 379.99 379.99 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403684 610726 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 135.80 135.80 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403685 610727 ACCOUNT DETAIL LINE AMOUNT 1 315 610700 TRAFFIC OPER SUPL 18.28 18.28 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403686 610728 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 24.95 24.95 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403687 610729 ACCOUNT DETAIL LINE AMOUNT 1 115 622100 COUNCIL PROF FEES 245.65 245.65 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403688 610730 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 44.38 44.38 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403689 610731 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 35.58 35.58 Report generated: 08/11/2025 13:47:15 Page 74 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403690 610732 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 40.00 40.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403691 610733 ACCOUNT DETAIL LINE AMOUNT 1 145 610400 FINANCE OFF SUPPLS 36.35 36.35 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403692 610734 ACCOUNT DETAIL LINE AMOUNT 1 447 626100 HRB LGT EX ADVERTSNG 5.15 5.15 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403693 610735 ACCOUNT DETAIL LINE AMOUNT 1 135 625700 CITY ATTY POSTAGE -100.00 -100.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403694 610736 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 57.85 57.85 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403695 610737 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 75.42 75.42 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403696 610738 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 70.00 70.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403697 610739 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 74.70 74.70 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403698 610740 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 38.00 38.00 Report generated: 08/11/2025 13:47:15 Page 75 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403699 610741 ACCOUNT DETAIL LINE AMOUNT 1 290 610400 FIRE OFF SUPPLS 64.00 64.00 43178 JP MORGAN CHASE BANK 0000 EFT 08/20/2025 403700 610742 ACCOUNT DETAIL LINE AMOUNT 1 411 626900 LEISURE SE TRAVEL 30.00 30.00 CHECK TOTAL 48,529.83 43747 KAWASAKI MOTORS CORP, 0000 252745 INV 08/20/2025 402861 609886 ACCOUNT DETAIL LINE AMOUNT 1 213 610700 OPERATING OPER SUPL 500.00 500.00 CHECK TOTAL 500.00 320 KEELING CO 0000 252102 EFT 08/20/2025 403176 610212 ACCOUNT DETAIL LINE AMOUNT 1 411 613700 LEISURE SE CHEMICALS 635.73 635.73 320 KEELING CO 0000 252126 EFT 08/20/2025 403228 610268 ACCOUNT DETAIL LINE AMOUNT 1 411 610600 LEISURE SE LANDSCAPE 126.22 126.22 320 KEELING CO 0000 252760 EFT 08/20/2025 403230 610269 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 815.61 815.61 320 KEELING CO 0000 252126 EFT 08/20/2025 403411 610452 ACCOUNT DETAIL LINE AMOUNT 1 411 610600 LEISURE SE LANDSCAPE 263.10 263.10 320 KEELING CO 0000 252126 EFT 08/20/2025 403412 610453 ACCOUNT DETAIL LINE AMOUNT 1 411 610600 LEISURE SE LANDSCAPE 90.34 90.34 CHECK TOTAL 1,931.00 Report generated: 08/11/2025 13:47:15 Page 76 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 5097 BILLY KELLEY 0000 INV 08/20/2025 403084 610116 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 124.20 124.20 CHECK TOTAL 124.20 43389 KENNETH REGINALD CASE 0000 250363 EFT 08/20/2025 403231 610270 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 2,000.00 2,000.00 43389 KENNETH REGINALD CASE 0000 250363 EFT 08/20/2025 403232 610271 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 2,300.00 2,300.00 43389 KENNETH REGINALD CASE 0000 250363 EFT 08/20/2025 403233 610272 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 2,000.00 2,000.00 43389 KENNETH REGINALD CASE 0000 250363 EFT 08/20/2025 403234 610273 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 1,900.00 1,900.00 CHECK TOTAL 8,200.00 337 KNIGHT ABBEY COMMERCI 0000 INV 08/20/2025 402971 609999 ACCOUNT DETAIL LINE AMOUNT 1 811 626500 UTIL BILL PRINTING 748.60 748.60 337 KNIGHT ABBEY COMMERCI 0000 INV 08/20/2025 402972 610000 ACCOUNT DETAIL LINE AMOUNT 1 811 626500 UTIL BILL PRINTING 266.70 266.70 337 KNIGHT ABBEY COMMERCI 0000 INV 08/20/2025 402973 610001 ACCOUNT DETAIL LINE AMOUNT 1 811 626500 UTIL BILL PRINTING 810.70 810.70 Report generated: 08/11/2025 13:47:15 Page 77 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 337 KNIGHT ABBEY COMMERCI 0000 INV 08/20/2025 402974 610002 ACCOUNT DETAIL LINE AMOUNT 1 811 626500 UTIL BILL PRINTING 330.62 330.62 CHECK TOTAL 2,156.62 32673 WILLIAM GRANT KOON 0000 252678 INV 08/20/2025 403023 610052 ACCOUNT DETAIL LINE AMOUNT 1 213 626900 OPERATING TRAVEL 620.00 620.00 CHECK TOTAL 620.00 20457 KWAN SOFTWARE ENGINEE 0001 252706 INV 08/20/2025 402898 609923 ACCOUNT DETAIL LINE AMOUNT 1 150 621700 INFO TECH MAINT CONT 14,856.00 14,856.00 CHECK TOTAL 14,856.00 357 LAND SHAPER INC 0000 252554 EFT 08/20/2025 403318 610356 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 11,000.00 11,000.00 357 LAND SHAPER INC 0000 252529 EFT 08/20/2025 403422 610463 ACCOUNT DETAIL LINE AMOUNT 1 411 610600 LEISURE SE LANDSCAPE 1,030.84 2 411 614300 LEISURE SE GRAVEL 1,694.16 2,725.00 CHECK TOTAL 13,725.00 15015 LANGUAGE LINE SERVICE 0001 EFT 08/20/2025 403051 610083 ACCOUNT DETAIL LINE AMOUNT 1 213 626001 OPERATING TELEPHONE 370.93 370.93 CHECK TOTAL 370.93 43157 LATASHA CRUZ 0000 EFT 08/20/2025 403435 610477 ACCOUNT DETAIL LINE AMOUNT 1 815 626001 WATER TELEPHONE 734.60 Report generated: 08/11/2025 13:47:15 Page 78 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 734.60 CHECK TOTAL 734.60 43738 LEAGUE OUTFITTERS LLC 0000 252544 INV 08/20/2025 403423 610464 ACCOUNT DETAIL LINE AMOUNT 1 411 613100 LEISURE SE ATHLETIC 9,802.12 9,802.12 CHECK TOTAL 9,802.12 43713 JALEN D LEE 0000 INV 08/20/2025 402946 609971 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 43713 JALEN D LEE 0000 INV 08/20/2025 402947 609972 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 CHECK TOTAL 136.00 40677 LEE C. RUSSELL 0000 INV 08/20/2025 403085 610117 ACCOUNT DETAIL LINE AMOUNT 1 125 621500 CITY COURT LEGAL-CD 4,167.00 4,167.00 CHECK TOTAL 4,167.00 41693 LESLIE SLADE 0000 251568 EFT 08/20/2025 403200 610237 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 485.00 485.00 41693 LESLIE SLADE 0000 251568 EFT 08/20/2025 403201 610238 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 485.00 485.00 41693 LESLIE SLADE 0000 252810 EFT 08/20/2025 403486 610528 ACCOUNT DETAIL LINE AMOUNT 1 290 611300 FIRE MOTR VEH 608.00 608.00 CHECK TOTAL 1,578.00 Report generated: 08/11/2025 13:47:15 Page 79 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 1248 LEXISNEXIS 0001 EFT 08/20/2025 403143 610177 ACCOUNT DETAIL LINE AMOUNT 1 213 621900 OPERATING MEMBER DUE 282.22 282.22 CHECK TOTAL 282.22 42389 LMR HARDWARE 0000 250220 EFT 08/20/2025 403390 610430 ACCOUNT DETAIL LINE AMOUNT 1 315 610700 TRAFFIC OPER SUPL 15.58 15.58 CHECK TOTAL 15.58 380 LOWES ACCTS RECEIVABL 0001 252144 INV 08/20/2025 402725 609744 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 170.05 170.05 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402809 609830 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 34.16 34.16 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402811 609832 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 245.52 245.52 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402812 609833 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 47.42 47.42 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402813 609834 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 6.63 6.63 380 LOWES ACCTS RECEIVABL 0001 INV 08/20/2025 402821 609843 ACCOUNT DETAIL LINE AMOUNT 1 447 611000 HRB LGT EX BLDG MATLS 1,601.27 1,601.27 Report generated: 08/11/2025 13:47:15 Page 80 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 380 LOWES ACCTS RECEIVABL 0001 251789 INV 08/20/2025 402831 609853 ACCOUNT DETAIL LINE AMOUNT 1 213 611000 OPERATING BLG MAT 19.90 2 213 611300 OPERATING MOTR VEH 19.90 39.80 380 LOWES ACCTS RECEIVABL 0001 252667 INV 08/20/2025 402882 609907 ACCOUNT DETAIL LINE AMOUNT 1 213 611000 OPERATING BLG MAT 340.28 2 213 611300 OPERATING MOTR VEH 340.28 680.56 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402902 609927 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 22.12 22.12 380 LOWES ACCTS RECEIVABL 0001 252471 INV 08/20/2025 402903 609928 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 1,159.56 1,159.56 380 LOWES ACCTS RECEIVABL 0001 INV 08/20/2025 402919 609944 ACCOUNT DETAIL LINE AMOUNT 1 447 611000 HRB LGT EX BLDG MATLS 435.50 435.50 380 LOWES ACCTS RECEIVABL 0001 INV 08/20/2025 402920 609945 ACCOUNT DETAIL LINE AMOUNT 1 447 611000 HRB LGT EX BLDG MATLS 75.96 75.96 380 LOWES ACCTS RECEIVABL 0001 252471 INV 08/20/2025 402921 609946 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 206.13 206.13 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402923 609948 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 75.96 75.96 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402924 609949 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 113.98 113.98 Report generated: 08/11/2025 13:47:15 Page 81 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402929 609954 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 42.66 42.66 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402998 610027 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 83.37 83.37 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 402999 610028 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 12.33 12.33 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 403000 610029 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 60.18 60.18 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 403001 610030 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 92.43 92.43 380 LOWES ACCTS RECEIVABL 0001 252471 INV 08/20/2025 403002 610031 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 115.24 115.24 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 403003 610032 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 26.58 26.58 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 403004 610033 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 12.33 12.33 380 LOWES ACCTS RECEIVABL 0001 252471 INV 08/20/2025 403005 610034 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 745.57 745.57 Report generated: 08/11/2025 13:47:15 Page 82 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 380 LOWES ACCTS RECEIVABL 0001 252471 INV 08/20/2025 403006 610035 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 62.66 62.66 380 LOWES ACCTS RECEIVABL 0001 252471 INV 08/20/2025 403009 610037 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 8.38 8.38 380 LOWES ACCTS RECEIVABL 0001 252471 INV 08/20/2025 403011 610040 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 570.55 570.55 380 LOWES ACCTS RECEIVABL 0001 252471 CRM 08/20/2025 403014 610043 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT -531.05 -531.05 380 LOWES ACCTS RECEIVABL 0001 252116 INV 08/20/2025 403235 610274 ACCOUNT DETAIL LINE AMOUNT 1 411 612200 LEISURE SE REP&MAINT 32.22 32.22 380 LOWES ACCTS RECEIVABL 0001 251971 INV 08/20/2025 403286 610325 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 3.97 3.97 380 LOWES ACCTS RECEIVABL 0001 250213 INV 08/20/2025 403391 610431 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 22.57 2 825 610700 SEWER OPER SUPL 19.97 42.54 380 LOWES ACCTS RECEIVABL 0001 250213 INV 08/20/2025 403392 610432 ACCOUNT DETAIL LINE AMOUNT 1 815 610700 WATER OPER SUPL 17.63 2 825 610700 SEWER OPER SUPL 15.60 33.23 380 LOWES ACCTS RECEIVABL 0001 252762 INV 08/20/2025 403426 610467 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 806.55 806.55 Report generated: 08/11/2025 13:47:15 Page 83 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK CHECK TOTAL 7,134.36 43647 MALOUF CONSTRUCTION L 0000 251991 EFT 08/20/2025 403268 610307 ACCOUNT DETAIL LINE AMOUNT 1 362 640100 24023 CP ARPA RE CAP CONST 238,122.07 2 363 640100 24023 ARPANONREM CAP CONST 238,122.07 476,244.14 CHECK TOTAL 476,244.14 42260 MANDAL AUTOMOTIVE OF 0000 251386 INV 08/20/2025 402883 609908 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 126.25 126.25 42260 MANDAL AUTOMOTIVE OF 0000 252420 INV 08/20/2025 403202 610239 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 237.50 237.50 42260 MANDAL AUTOMOTIVE OF 0000 252420 INV 08/20/2025 403203 610240 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 20.92 20.92 42260 MANDAL AUTOMOTIVE OF 0000 252420 INV 08/20/2025 403204 610241 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 485.00 485.00 42260 MANDAL AUTOMOTIVE OF 0000 252420 INV 08/20/2025 403205 610242 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 76.31 76.31 CHECK TOTAL 945.98 42967 MANUEL SANTOS 0000 252679 INV 08/20/2025 403027 610056 ACCOUNT DETAIL LINE AMOUNT 1 213 626900 OPERATING TRAVEL 620.00 620.00 CHECK TOTAL 620.00 Report generated: 08/11/2025 13:47:15 Page 84 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 40691 MAULDIN & JENKINS LLC 0000 EFT 08/20/2025 403031 610062 ACCOUNT DETAIL LINE AMOUNT 1 115 620500 COUNCIL AUDIT FEE 7,000.00 7,000.00 CHECK TOTAL 7,000.00 28941 MICHAEL BAKER INTERNA 0001 241960 EFT 08/20/2025 403393 610433 ACCOUNT DETAIL LINE AMOUNT 1 345 640200 22021 CP-RMB CAP ENG 40,732.80 40,732.80 28941 MICHAEL BAKER INTERNA 0001 241960 EFT 08/20/2025 403394 610434 ACCOUNT DETAIL LINE AMOUNT 1 345 640200 22021 CP-RMB CAP ENG 50,840.50 50,840.50 CHECK TOTAL 91,573.30 1054 MICRO METHODS INC 0000 252390 EFT 08/20/2025 403388 610428 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 130.00 130.00 1054 MICRO METHODS INC 0000 EFT 08/20/2025 403434 610476 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 1,120.00 1,120.00 CHECK TOTAL 1,250.00 316 MID SOUTH UNIFORM & S 0000 251323 EFT 08/20/2025 402798 609819 ACCOUNT DETAIL LINE AMOUNT 1 213 612500 OPERATING UNIFORMS 26.32 26.32 316 MID SOUTH UNIFORM & S 0000 250563 EFT 08/20/2025 402892 609917 ACCOUNT DETAIL LINE AMOUNT 1 290 612500 FIRE UNIFORMS 403.48 403.48 316 MID SOUTH UNIFORM & S 0000 251913 EFT 08/20/2025 403247 610286 ACCOUNT DETAIL LINE AMOUNT 1 290 612500 FIRE UNIFORMS 2,129.82 2,129.82 Report generated: 08/11/2025 13:47:15 Page 85 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 316 MID SOUTH UNIFORM & S 0000 250563 EFT 08/20/2025 403248 610287 ACCOUNT DETAIL LINE AMOUNT 1 290 612500 FIRE UNIFORMS 93.96 93.96 316 MID SOUTH UNIFORM & S 0000 EFT 08/20/2025 403249 610288 ACCOUNT DETAIL LINE AMOUNT 1 290 612500 FIRE UNIFORMS 1,114.16 1,114.16 CHECK TOTAL 3,767.74 341 THE MISSISSIPPI BAR 0000 INV 08/20/2025 403483 610525 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 410.00 410.00 341 THE MISSISSIPPI BAR 0000 INV 08/20/2025 403485 610527 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 395.00 395.00 341 THE MISSISSIPPI BAR 0000 INV 08/20/2025 403487 610530 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 395.00 395.00 341 THE MISSISSIPPI BAR 0000 INV 08/20/2025 403489 610531 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 395.00 395.00 341 THE MISSISSIPPI BAR 0000 INV 08/20/2025 403491 610533 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 190.00 190.00 341 THE MISSISSIPPI BAR 0000 INV 08/20/2025 403498 610540 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 380.00 380.00 CHECK TOTAL 2,165.00 Report generated: 08/11/2025 13:47:15 Page 86 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 21657 MISSISSIPPI SELECT HE 0000 EFT 08/20/2025 402830 609852 ACCOUNT DETAIL LINE AMOUNT 1 911 774100 HEALTH/LIF ADMIN FEE 270.00 270.00 CHECK TOTAL 270.00 40418 MISSISSIPPI VALUATION 0000 EFT 08/20/2025 403466 610508 ACCOUNT DETAIL LINE AMOUNT 1 368 640300 23037 CP MRCPT NREAL ACQ 2,600.00 2,600.00 CHECK TOTAL 2,600.00 41868 MOTOROLA SOLUTIONS IN 0000 251646 EFT 08/20/2025 402886 609912 ACCOUNT DETAIL LINE AMOUNT 1 214 630100 25037 POL GRANTSCAP OTLY 17,451.88 17,451.88 CHECK TOTAL 17,451.88 3823 MS ATTORNEY GENERALS 0000 INV 08/20/2025 403029 610058 ACCOUNT DETAIL LINE AMOUNT 1 010 210603 GENRL FUNDHUMANTRK 250.00 250.00 CHECK TOTAL 250.00 4792 MS DEPT OF PUBLIC SAF 0000 EFT 08/20/2025 403049 610081 ACCOUNT DETAIL LINE AMOUNT 1 010 507800 GENRL FUNDCOLLECTON 1,729.62 1,729.62 4792 MS DEPT OF PUBLIC SAF 0000 EFT 08/20/2025 403086 610118 ACCOUNT DETAIL LINE AMOUNT 1 010 210800 GENRL FUNDCOURTPS 2,191.35 2,191.35 CHECK TOTAL 3,920.97 378 MS POWER COMPANY 0000 INV 08/20/2025 403765 610808 ACCOUNT DETAIL LINE AMOUNT 1 445 626002 J T JONES ELECTRIC 5,183.77 5,183.77 Report generated: 08/11/2025 13:47:15 Page 87 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 378 MS POWER COMPANY 0000 INV 08/20/2025 403766 610809 ACCOUNT DETAIL LINE AMOUNT 1 445 626002 J T JONES ELECTRIC 7,693.01 7,693.01 378 MS POWER COMPANY 0000 INV 08/20/2025 403767 610810 ACCOUNT DETAIL LINE AMOUNT 1 445 626002 J T JONES ELECTRIC 452.98 452.98 378 MS POWER COMPANY 0000 INV 08/20/2025 403768 610811 ACCOUNT DETAIL LINE AMOUNT 1 145 626002 FINANCE ELECTRIC 1,619.58 1,619.58 378 MS POWER COMPANY 0000 INV 08/20/2025 403769 610812 ACCOUNT DETAIL LINE AMOUNT 1 445 626002 J T JONES ELECTRIC 9,445.72 9,445.72 378 MS POWER COMPANY 0000 INV 08/20/2025 403770 610813 ACCOUNT DETAIL LINE AMOUNT 1 145 626002 FINANCE ELECTRIC 81.00 81.00 378 MS POWER COMPANY 0000 INV 08/20/2025 403771 610814 ACCOUNT DETAIL LINE AMOUNT 1 145 626002 FINANCE ELECTRIC 95.97 95.97 378 MS POWER COMPANY 0000 INV 08/20/2025 403772 610815 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 9,209.69 9,209.69 378 MS POWER COMPANY 0000 INV 08/20/2025 403773 610816 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 10,915.11 10,915.11 378 MS POWER COMPANY 0000 INV 08/20/2025 403774 610817 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 98,398.25 98,398.25 Report generated: 08/11/2025 13:47:15 Page 88 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 378 MS POWER COMPANY 0000 INV 08/20/2025 403775 610818 ACCOUNT DETAIL LINE AMOUNT 1 290 626002 FIRE ELECTRIC 10,065.11 10,065.11 378 MS POWER COMPANY 0000 INV 08/20/2025 403776 610819 ACCOUNT DETAIL LINE AMOUNT 1 815 626002 WATER ELECTRIC 11,398.98 11,398.98 378 MS POWER COMPANY 0000 INV 08/20/2025 403777 610820 ACCOUNT DETAIL LINE AMOUNT 1 290 626002 FIRE ELECTRIC 2,312.95 2,312.95 378 MS POWER COMPANY 0000 INV 08/20/2025 403778 610821 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 6,328.73 6,328.73 378 MS POWER COMPANY 0000 INV 08/20/2025 403779 610822 ACCOUNT DETAIL LINE AMOUNT 1 325 625100 ENGINEER STREET LHT 8,300.17 8,300.17 378 MS POWER COMPANY 0000 INV 08/20/2025 403780 610823 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 13,468.39 13,468.39 378 MS POWER COMPANY 0000 INV 08/20/2025 403781 610824 ACCOUNT DETAIL LINE AMOUNT 1 825 626002 SEWER ELECTRIC 16,454.26 16,454.26 378 MS POWER COMPANY 0000 INV 08/20/2025 403782 610825 ACCOUNT DETAIL LINE AMOUNT 1 411 626002 LEISURE SE ELECTRIC 6,154.07 6,154.07 378 MS POWER COMPANY 0000 INV 08/20/2025 403783 610826 ACCOUNT DETAIL LINE AMOUNT 1 411 626002 LEISURE SE ELECTRIC 10,175.26 10,175.26 CHECK TOTAL 227,753.00 Report generated: 08/11/2025 13:47:15 Page 89 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 95771 MS POWER COMPANY 0000 251460 INV 08/20/2025 403280 610318 ACCOUNT DETAIL LINE AMOUNT 1 325 624601 ENGINEER REPAIRS 68,446.61 68,446.61 CHECK TOTAL 68,446.61 1724 MS STATE TREASURER 0000 INV 08/20/2025 403087 610119 ACCOUNT DETAIL LINE AMOUNT 1 010 210700 GENRL FUNDACC CRT AS 28,016.15 28,016.15 CHECK TOTAL 28,016.15 18616 MUNICIPAL EMERGENCY S 0000 EFT 08/20/2025 402934 609959 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 286.78 286.78 CHECK TOTAL 286.78 43077 MURRAYS NURSERY LLC 0000 252773 INV 08/20/2025 403238 610277 ACCOUNT DETAIL LINE AMOUNT 1 411 610600 LEISURE SE LANDSCAPE 21,847.50 21,847.50 CHECK TOTAL 21,847.50 307 NECAISE LOCKSMITH SER 0000 250144 EFT 08/20/2025 403326 610363 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 107.50 107.50 CHECK TOTAL 107.50 39648 NEWEDGE SERVICES LLC 0000 252023 EFT 08/20/2025 403384 610424 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 916.50 2 825 620900 SEWER CONTRACT 916.50 1,833.00 CHECK TOTAL 1,833.00 Report generated: 08/11/2025 13:47:15 Page 90 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43760 NICOLE STEHLAR 0000 INV 08/20/2025 403481 610521 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 369.00 369.00 CHECK TOTAL 369.00 389 OREILLY AUTO PARTS 0001 251681 EFT 08/20/2025 402723 609742 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 10.19 10.19 389 OREILLY AUTO PARTS 0001 251681 EFT 08/20/2025 402724 609743 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 18.99 18.99 389 OREILLY AUTO PARTS 0001 251681 EFT 08/20/2025 402792 609812 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 23.69 23.69 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 402888 609913 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 34.99 34.99 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 402889 609914 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 197.14 197.14 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 402890 609915 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 156.14 156.14 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 402891 609916 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH -22.00 -22.00 389 OREILLY AUTO PARTS 0001 EFT 08/20/2025 402969 609997 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 125.80 125.80 Report generated: 08/11/2025 13:47:15 Page 91 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 389 OREILLY AUTO PARTS 0001 251681 EFT 08/20/2025 403095 610127 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 20.16 20.16 389 OREILLY AUTO PARTS 0001 251681 EFT 08/20/2025 403096 610128 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 25.47 25.47 389 OREILLY AUTO PARTS 0001 251681 EFT 08/20/2025 403097 610129 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 33.98 33.98 389 OREILLY AUTO PARTS 0001 251681 EFT 08/20/2025 403098 610130 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 53.50 53.50 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 403207 610244 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 204.00 204.00 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 403208 610245 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 49.82 49.82 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 403210 610247 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 1,476.58 1,476.58 389 OREILLY AUTO PARTS 0001 252540 EFT 08/20/2025 403211 610248 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 538.00 538.00 CHECK TOTAL 2,946.45 43716 JAXSON S OGBURN 0000 INV 08/20/2025 402948 609973 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 Report generated: 08/11/2025 13:47:15 Page 92 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43716 JAXSON S OGBURN 0000 INV 08/20/2025 402949 609974 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 CHECK TOTAL 136.00 9995 ALTO PERRY 0000 INV 08/20/2025 403308 610346 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 ANTOINIO SANDIFER 0000 INV 08/20/2025 403403 610444 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41143 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 AUDRAY TAYLOR 0000 INV 08/20/2025 403399 610440 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 BETTY MATHEWS 0000 INV 08/20/2025 403404 610445 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41143 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 DAMON LEWIS 0000 INV 08/20/2025 403397 610437 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 Report generated: 08/11/2025 13:47:15 Page 93 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 9995 IRENE MAGEE 0000 INV 08/20/2025 403324 610362 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 100.00 100.00 CHECK TOTAL 100.00 9995 JOE FORD 0000 INV 08/20/2025 403407 610448 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41139 GENRL FUNDRENTS 200.00 200.00 CHECK TOTAL 200.00 9995 KAJUNA STRICKLAND 0000 INV 08/20/2025 403315 610353 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 100.00 100.00 CHECK TOTAL 100.00 9995 LATONIA DEEN 0000 INV 08/20/2025 403401 610442 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41143 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 LORETTA MCDONALD 0000 INV 08/20/2025 403398 610438 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 RAY JOHNSON 0000 INV 08/20/2025 403305 610343 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41139 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 Report generated: 08/11/2025 13:47:15 Page 94 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 9995 ROGER BUCK 0000 INV 08/20/2025 403328 610366 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 RONALD MCCORMICK 0000 INV 08/20/2025 403327 610365 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41139 GENRL FUNDRENTS 100.00 100.00 CHECK TOTAL 100.00 9995 RONNIE GROVESNOR 0000 INV 08/20/2025 403405 610446 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41143 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 SHANEA RAMSEY 0000 INV 08/20/2025 403400 610441 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41143 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 SHERIAL WILSON 0000 INV 08/20/2025 403396 610435 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41139 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 9995 SHIRLENE STAPLETON 0000 INV 08/20/2025 403406 610447 ACCOUNT DETAIL LINE AMOUNT 1 010 505800 41140 GENRL FUNDRENTS 175.00 175.00 CHECK TOTAL 175.00 Report generated: 08/11/2025 13:47:15 Page 95 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 9990 HODA ELECTRIC/ TIMOTH 0000 INV 08/20/2025 402995 610024 ACCOUNT DETAIL LINE AMOUNT 1 010 421600 GENRL FUNDPERM-ELECT 160.00 160.00 CHECK TOTAL 160.00 39457 OSBURN ASSOCIATES INC 0000 252616 EFT 08/20/2025 403311 610349 ACCOUNT DETAIL LINE AMOUNT 1 315 615500 TRAFFIC TRAFFIC 2,565.00 2,565.00 CHECK TOTAL 2,565.00 43476 OTIS ELEVATOR COMPANY 0000 INV 08/20/2025 402977 610005 ACCOUNT DETAIL LINE AMOUNT 1 346 630100 25029 CP - NONRM CAP OTLY 1,300.00 1,300.00 43476 OTIS ELEVATOR COMPANY 0000 INV 08/20/2025 402978 610006 ACCOUNT DETAIL LINE AMOUNT 1 346 630100 25029 CP - NONRM CAP OTLY 103.00 103.00 CHECK TOTAL 1,403.00 43130 OVERSTREET AND ASSOCI 0000 240790 INV 08/20/2025 403269 610308 ACCOUNT DETAIL LINE AMOUNT 1 345 640200 23028 CP-RMB CAP ENG 1,532.00 1,532.00 CHECK TOTAL 1,532.00 22287 PARTS AND SUPPLY INC 0000 252491 EFT 08/20/2025 402862 609887 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 624.84 624.84 22287 PARTS AND SUPPLY INC 0000 252491 EFT 08/20/2025 403218 610255 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 1,640.55 1,640.55 Report generated: 08/11/2025 13:47:15 Page 96 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 22287 PARTS AND SUPPLY INC 0000 250827 EFT 08/20/2025 403219 610256 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 17.88 17.88 CHECK TOTAL 2,283.27 42247 PAYMENTUS CORPORATION 0000 EFT 08/20/2025 402970 609998 ACCOUNT DETAIL LINE AMOUNT 1 811 620900 UTIL BILL CONTRACT 77.00 77.00 CHECK TOTAL 77.00 29983 PENICK FOREST PRODUCT 0000 252665 EFT 08/20/2025 403239 610278 ACCOUNT DETAIL LINE AMOUNT 1 411 610600 LEISURE SE LANDSCAPE 3,238.50 3,238.50 CHECK TOTAL 3,238.50 377 PERFORMANCE TIRE & WH 0001 252539 EFT 08/20/2025 402893 609918 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 1,665.24 1,665.24 377 PERFORMANCE TIRE & WH 0001 252539 EFT 08/20/2025 403220 610257 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 295.06 295.06 377 PERFORMANCE TIRE & WH 0001 252708 EFT 08/20/2025 403221 610258 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 4,530.12 4,530.12 377 PERFORMANCE TIRE & WH 0001 EFT 08/20/2025 403222 610260 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 129.95 129.95 377 PERFORMANCE TIRE & WH 0001 EFT 08/20/2025 403223 610261 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 512.44 512.44 Report generated: 08/11/2025 13:47:15 Page 97 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK CHECK TOTAL 7,132.81 382 PHILLIPS BUILDING SUP 0000 EFT 08/20/2025 402807 609828 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 344.59 344.59 382 PHILLIPS BUILDING SUP 0000 250797 EFT 08/20/2025 402808 609829 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 897.07 897.07 CHECK TOTAL 1,241.66 24511 PHYSICIANS CLINIC @ M 0000 INV 08/20/2025 402800 609821 ACCOUNT DETAIL LINE AMOUNT 1 213 622900 OPERATING MEDICAL 2,066.12 2,066.12 24511 PHYSICIANS CLINIC @ M 0000 INV 08/20/2025 402897 609922 ACCOUNT DETAIL LINE AMOUNT 1 213 622900 OPERATING MEDICAL 224.95 224.95 24511 PHYSICIANS CLINIC @ M 0000 INV 08/20/2025 402936 609961 ACCOUNT DETAIL LINE AMOUNT 1 213 622900 OPERATING MEDICAL 1,017.18 1,017.18 CHECK TOTAL 3,308.25 43717 CALEB E PRESTWOOD 0000 INV 08/20/2025 402950 609975 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 43717 CALEB E PRESTWOOD 0000 INV 08/20/2025 402951 609976 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 CHECK TOTAL 136.00 Report generated: 08/11/2025 13:47:15 Page 98 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43749 PS WHOLESALE FLOORS, 0000 INV 08/20/2025 403173 610208 ACCOUNT DETAIL LINE AMOUNT 1 411 611000 LEISURE SE BLG MAT 45.89 45.89 CHECK TOTAL 45.89 35280 PUCKETT MACHINERY COM 0001 EFT 08/20/2025 403338 610376 ACCOUNT DETAIL LINE AMOUNT 1 445 612200 J T JONES REP&MAINT 798.70 798.70 CHECK TOTAL 798.70 43145 PVS DX INC 0000 251000 EFT 08/20/2025 403377 610417 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 1,037.03 1,037.03 43145 PVS DX INC 0000 251000 EFT 08/20/2025 403378 610418 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 829.62 829.62 43145 PVS DX INC 0000 251000 EFT 08/20/2025 403379 610419 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 829.62 829.62 43145 PVS DX INC 0000 251000 EFT 08/20/2025 403380 610420 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 829.62 829.62 43145 PVS DX INC 0000 251000 EFT 08/20/2025 403381 610421 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 414.81 414.81 43145 PVS DX INC 0000 251000 EFT 08/20/2025 403382 610422 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 622.22 622.22 CHECK TOTAL 4,562.92 Report generated: 08/11/2025 13:47:15 Page 99 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 18121 QUALITY LOGO PRODUCTS 0000 252644 EFT 08/20/2025 403240 610279 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 546.41 546.41 18121 QUALITY LOGO PRODUCTS 0000 252644 EFT 08/20/2025 403241 610280 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 642.17 642.17 18121 QUALITY LOGO PRODUCTS 0000 252644 EFT 08/20/2025 403242 610281 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 EVENTS EVENT 917.42 917.42 18121 QUALITY LOGO PRODUCTS 0000 252644 EFT 08/20/2025 403243 610282 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 336.74 336.74 18121 QUALITY LOGO PRODUCTS 0000 252644 EFT 08/20/2025 403244 610283 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 407.24 407.24 18121 QUALITY LOGO PRODUCTS 0000 252644 EFT 08/20/2025 403245 610284 ACCOUNT DETAIL LINE AMOUNT 1 411 610700 LEISURE SE OPER SUPL 575.74 575.74 18121 QUALITY LOGO PRODUCTS 0000 252644 EFT 08/20/2025 403246 610285 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 EVENTS EVENT 764.82 764.82 CHECK TOTAL 4,190.54 43342 RELIABLE CONCRETE LLC 0000 250182 EFT 08/20/2025 403387 610427 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 450.00 450.00 CHECK TOTAL 450.00 Report generated: 08/11/2025 13:47:15 Page 100 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 72744 RHONDA GADDIS 0000 INV 08/20/2025 403501 610543 ACCOUNT DETAIL LINE AMOUNT 1 145 626900 FINANCE TRAVEL 369.00 369.00 CHECK TOTAL 369.00 10043 ROBERT HALLS AUTO SAL 0000 250053 INV 08/20/2025 403224 610262 ACCOUNT DETAIL LINE AMOUNT 1 213 611300 OPERATING MOTR VEH 300.00 300.00 CHECK TOTAL 300.00 42004 ROBERT KRISTIAN RIEMA 0000 250634 EFT 08/20/2025 403264 610303 ACCOUNT DETAIL LINE AMOUNT 1 362 640200 24020 CP ARPA RE CAP ENG 2,180.43 2 363 640200 24020 ARPANONREM CAP ENG 5,374.04 7,554.47 CHECK TOTAL 7,554.47 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403144 610178 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 1,066.35 1,066.35 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403146 610180 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 1,166.95 1,166.95 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403147 610181 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 962.20 962.20 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403148 610182 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 795.39 795.39 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403149 610183 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 1,235.20 Report generated: 08/11/2025 13:47:15 Page 101 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 1,235.20 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403150 610184 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 765.64 765.64 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403151 610185 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 1,805.39 1,805.39 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403152 610186 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 943.09 943.09 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403153 610187 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 696.13 696.13 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403154 610188 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 782.78 782.78 43459 SAFEBUILT LLC 0000 250595 INV 08/20/2025 403155 610189 ACCOUNT DETAIL LINE AMOUNT 1 611 620900 PLAN & ZON CONTRACT 143.04 143.04 CHECK TOTAL 10,362.16 34048 SEYMOUR ENGINEERING P 0000 252562 INV 08/20/2025 403270 610309 ACCOUNT DETAIL LINE AMOUNT 1 361 640200 25003 WS CP NONRCAP ENG 15,186.00 15,186.00 CHECK TOTAL 15,186.00 860 THE SHERWIN WILLIAMS 0000 250145 EFT 08/20/2025 402927 609952 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 20.34 20.34 Report generated: 08/11/2025 13:47:15 Page 102 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 860 THE SHERWIN WILLIAMS 0000 250145 EFT 08/20/2025 403018 610047 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 16.97 16.97 860 THE SHERWIN WILLIAMS 0000 250145 EFT 08/20/2025 403105 610138 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 29.51 29.51 CHECK TOTAL 66.82 42266 SIJ HOLDINGS, LLC 0000 250004 EFT 08/20/2025 402847 609869 ACCOUNT DETAIL LINE AMOUNT 1 145 626100 FINANCE ADVERTSNG 196.44 196.44 42266 SIJ HOLDINGS, LLC 0000 250002 EFT 08/20/2025 402887 609910 ACCOUNT DETAIL LINE AMOUNT 1 611 626100 PLAN & ZON ADVERTSNG 53.39 53.39 42266 SIJ HOLDINGS, LLC 0000 250004 EFT 08/20/2025 402987 610017 ACCOUNT DETAIL LINE AMOUNT 1 145 626100 FINANCE ADVERTSNG 103.75 103.75 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403032 610063 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 38.95 38.95 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403033 610064 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 41.68 41.68 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403034 610065 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 44.24 44.24 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403035 610066 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 44.57 44.57 Report generated: 08/11/2025 13:47:15 Page 103 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403036 610067 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 43.92 43.92 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403038 610070 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 42.96 42.96 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403039 610071 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 40.71 40.71 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403041 610073 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 48.42 48.42 42266 SIJ HOLDINGS, LLC 0000 250022 EFT 08/20/2025 403042 610074 ACCOUNT DETAIL LINE AMOUNT 1 115 626100 COUNCIL ADVERTSNG 48.10 48.10 42266 SIJ HOLDINGS, LLC 0000 250004 EFT 08/20/2025 403043 610075 ACCOUNT DETAIL LINE AMOUNT 1 145 626100 FINANCE ADVERTSNG 231.68 231.68 42266 SIJ HOLDINGS, LLC 0000 250002 EFT 08/20/2025 403156 610190 ACCOUNT DETAIL LINE AMOUNT 1 611 626100 PLAN & ZON ADVERTSNG 52.43 52.43 42266 SIJ HOLDINGS, LLC 0000 250004 EFT 08/20/2025 403212 610249 ACCOUNT DETAIL LINE AMOUNT 1 145 626100 FINANCE ADVERTSNG 98.95 98.95 CHECK TOTAL 1,130.19 4828 SMB RADIOLOGY PA 0000 INV 08/20/2025 402896 609921 ACCOUNT DETAIL LINE AMOUNT 1 213 622900 OPERATING MEDICAL 263.81 263.81 Report generated: 08/11/2025 13:47:15 Page 104 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK CHECK TOTAL 263.81 15812 SORG PRINTING LLC 0000 252646 EFT 08/20/2025 402727 609746 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 24007 EVENTS EVENT 489.00 489.00 15812 SORG PRINTING LLC 0000 EFT 08/20/2025 403250 610289 ACCOUNT DETAIL LINE AMOUNT 1 411 626500 LEISURE SE PRINTING 475.00 475.00 CHECK TOTAL 964.00 220 NORMA JEAN SOROE 0000 250001 EFT 08/20/2025 402918 609943 ACCOUNT DETAIL LINE AMOUNT 1 611 622100 PLAN & ZON PROF FEES 244.53 244.53 220 NORMA JEAN SOROE 0000 250001 EFT 08/20/2025 403045 610077 ACCOUNT DETAIL LINE AMOUNT 1 611 622100 PLAN & ZON PROF FEES 175.00 175.00 CHECK TOTAL 419.53 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403110 610144 ACCOUNT DETAIL LINE AMOUNT 1 611 621700 PLAN & ZON MAINT CONT 131.00 131.00 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403111 610145 ACCOUNT DETAIL LINE AMOUNT 1 115 621700 COUNCIL MAINT CONT 16.51 16.51 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403112 610146 ACCOUNT DETAIL LINE AMOUNT 1 115 621700 COUNCIL MAINT CONT 50.03 50.03 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403113 610147 ACCOUNT DETAIL LINE AMOUNT 1 411 621700 LEISURE SE MAINT CONT 128.03 128.03 Report generated: 08/11/2025 13:47:15 Page 105 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403114 610148 ACCOUNT DETAIL LINE AMOUNT 1 445 621700 J T JONES MAINT CONT 126.97 126.97 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403115 610149 ACCOUNT DETAIL LINE AMOUNT 1 155 621700 HR MAINT CONT 259.38 259.38 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403116 610150 ACCOUNT DETAIL LINE AMOUNT 1 811 621700 UTIL BILL MAINT CONT 499.27 499.27 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403117 610151 ACCOUNT DETAIL LINE AMOUNT 1 611 621700 PLAN & ZON MAINT CONT 203.47 203.47 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403118 610152 ACCOUNT DETAIL LINE AMOUNT 1 150 621700 INFO TECH MAINT CONT 123.92 123.92 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403119 610153 ACCOUNT DETAIL LINE AMOUNT 1 213 621700 OPERATING MAINT CONT 1,819.21 1,819.21 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403120 610154 ACCOUNT DETAIL LINE AMOUNT 1 815 621700 WATER MAINT CONT 240.37 240.37 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403121 610155 ACCOUNT DETAIL LINE AMOUNT 1 313 621700 PUB WORK AMAINT CONT 278.82 278.82 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403122 610156 ACCOUNT DETAIL LINE AMOUNT 1 125 621700 CITY COURT MAINT CONT 634.18 634.18 Report generated: 08/11/2025 13:47:15 Page 106 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403123 610157 ACCOUNT DETAIL LINE AMOUNT 1 135 621700 CITY ATTY MAINT CONT 182.48 182.48 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403124 610158 ACCOUNT DETAIL LINE AMOUNT 1 611 621700 PLAN & ZON MAINT CONT 304.59 304.59 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403125 610159 ACCOUNT DETAIL LINE AMOUNT 1 415 621700 BLDG MAINT MAINT CONT 157.96 157.96 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403126 610160 ACCOUNT DETAIL LINE AMOUNT 1 215 621700 CODE ENF MAINT CONT 229.01 229.01 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403127 610161 ACCOUNT DETAIL LINE AMOUNT 1 213 621700 OPERATING MAINT CONT 257.85 257.85 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403128 610162 ACCOUNT DETAIL LINE AMOUNT 1 815 621700 WATER MAINT CONT 236.63 236.63 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403129 610163 ACCOUNT DETAIL LINE AMOUNT 1 143 620900 CAO OFFICE CONTRACT 72.30 72.30 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403130 610164 ACCOUNT DETAIL LINE AMOUNT 1 147 621700 MARKETING MAINT CONT 72.30 72.30 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403131 610165 ACCOUNT DETAIL LINE AMOUNT 1 611 621700 PLAN & ZON MAINT CONT 622.48 622.48 Report generated: 08/11/2025 13:47:15 Page 107 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403132 610166 ACCOUNT DETAIL LINE AMOUNT 1 811 621700 UTIL BILL MAINT CONT 546.20 546.20 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403133 610167 ACCOUNT DETAIL LINE AMOUNT 1 411 621700 LEISURE SE MAINT CONT 339.37 339.37 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403134 610168 ACCOUNT DETAIL LINE AMOUNT 1 135 621700 CITY ATTY MAINT CONT 386.20 386.20 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403135 610169 ACCOUNT DETAIL LINE AMOUNT 1 213 621700 OPERATING MAINT CONT 208.59 208.59 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403136 610170 ACCOUNT DETAIL LINE AMOUNT 1 145 621700 FINANCE MAINT CONT 209.32 209.32 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403137 610171 ACCOUNT DETAIL LINE AMOUNT 1 143 620900 CAO OFFICE CONTRACT 226.26 226.26 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403138 610172 ACCOUNT DETAIL LINE AMOUNT 1 290 621700 FIRE MAINT CONT 209.45 209.45 553 SOUTH MS BUSINESS MAC 0000 EFT 06/27/2025 403139 610173 ACCOUNT DETAIL LINE AMOUNT 1 115 621700 COUNCIL MAINT CONT 248.23 248.23 553 SOUTH MS BUSINESS MAC 0000 EFT 08/20/2025 403703 610746 ACCOUNT DETAIL LINE AMOUNT 1 411 621700 LEISURE SE MAINT CONT 326.02 326.02 CHECK TOTAL 9,346.40 Report generated: 08/11/2025 13:47:15 Page 108 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 39246 SOUTHERN FIRE SPRINKL 0000 252581 EFT 08/20/2025 402842 609864 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 50.00 50.00 39246 SOUTHERN FIRE SPRINKL 0000 252592 EFT 08/20/2025 402980 610008 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 300.00 300.00 CHECK TOTAL 350.00 1777 SOUTHERN MS PLANNING 0001 EFT 08/20/2025 403418 610459 ACCOUNT DETAIL LINE AMOUNT 1 411 623600 LEISURE SE MEALS 257.58 257.58 CHECK TOTAL 257.58 611 SOUTHERN PIPE & SUPPL 0000 252331 EFT 08/20/2025 402904 609929 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 331.24 331.24 611 SOUTHERN PIPE & SUPPL 0000 252331 EFT 08/20/2025 402905 609930 ACCOUNT DETAIL LINE AMOUNT 1 415 611000 BLDG MAINT BLG MAT 10.64 10.64 611 SOUTHERN PIPE & SUPPL 0000 252613 EFT 08/20/2025 403283 610321 ACCOUNT DETAIL LINE AMOUNT 1 825 616100 SEWER SEWER-SUPP 1,802.20 1,802.20 611 SOUTHERN PIPE & SUPPL 0000 251729 EFT 08/20/2025 403284 610322 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 2,142.40 2,142.40 611 SOUTHERN PIPE & SUPPL 0000 251290 EFT 08/20/2025 403285 610323 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 4,913.70 4,913.70 Report generated: 08/11/2025 13:47:15 Page 109 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 611 SOUTHERN PIPE & SUPPL 0000 251290 EFT 08/20/2025 403287 610324 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 10,845.10 10,845.10 611 SOUTHERN PIPE & SUPPL 0000 252395 EFT 08/20/2025 403300 610338 ACCOUNT DETAIL LINE AMOUNT 1 815 616700 WATER WATERLINE 2,888.80 2,888.80 CHECK TOTAL 22,934.08 43510 SOUTHERN PRINTING 0000 252666 EFT 08/20/2025 403226 610265 ACCOUNT DETAIL LINE AMOUNT 1 290 612500 FIRE UNIFORMS 2,728.25 2,728.25 CHECK TOTAL 2,728.25 6167 SOUTHERN TIRE MART LL 0000 INV 08/20/2025 402784 609803 ACCOUNT DETAIL LINE AMOUNT 1 290 611300 FIRE MOTR VEH 195.00 195.00 6167 SOUTHERN TIRE MART LL 0000 INV 08/20/2025 402785 609804 ACCOUNT DETAIL LINE AMOUNT 1 290 611300 FIRE MOTR VEH 1,163.95 1,163.95 CHECK TOTAL 1,358.95 40142 SPORTSENGINE 0000 EFT 08/20/2025 403048 610080 ACCOUNT DETAIL LINE AMOUNT 1 155 620900 HR CONTRACT 111.00 111.00 CHECK TOTAL 111.00 383 STATE FIRE ACADEMY 0000 INV 08/20/2025 403145 610179 ACCOUNT DETAIL LINE AMOUNT 1 290 622300 FIRE TRAIN PRG 250.00 250.00 CHECK TOTAL 250.00 Report generated: 08/11/2025 13:47:15 Page 110 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 1103 STATE OF MISSISSIPPI 0000 INV 08/20/2025 403017 610045 ACCOUNT DETAIL LINE AMOUNT 1 611 622100 PLAN & ZON PROF FEES 75.00 75.00 CHECK TOTAL 75.00 42603 SUDDEN SERVICE INC 0000 252743 EFT 08/20/2025 403336 610374 ACCOUNT DETAIL LINE AMOUNT 1 825 620900 SEWER CONTRACT 240.00 240.00 CHECK TOTAL 240.00 610 SUNBELT FIRE INC 0000 252517 EFT 08/20/2025 402848 609870 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 2,632.64 2,632.64 610 SUNBELT FIRE INC 0000 250026 EFT 08/20/2025 403140 610174 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 278.31 278.31 610 SUNBELT FIRE INC 0000 EFT 08/20/2025 403141 610175 ACCOUNT DETAIL LINE AMOUNT 1 290 611300 FIRE MOTR VEH 167.73 167.73 CHECK TOTAL 3,078.68 6128 SUNCOAST INFRASTRUCTU 0000 250641 INV 08/20/2025 403265 610304 ACCOUNT DETAIL LINE AMOUNT 1 362 640100 24020 CP ARPA RE CAP CONST 74,085.39 2 363 640100 24020 ARPANONREM CAP CONST 74,085.40 148,170.79 CHECK TOTAL 148,170.79 38002 TAPPER SECURITY INC 0000 EFT 08/20/2025 402965 609992 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 98.97 98.97 Report generated: 08/11/2025 13:47:15 Page 111 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 38002 TAPPER SECURITY INC 0000 EFT 08/20/2025 402966 609993 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 158.94 158.94 38002 TAPPER SECURITY INC 0000 EFT 08/20/2025 402967 609994 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 119.97 119.97 CHECK TOTAL 377.88 43663 TASK FORCE PROTECTION 0000 252135 INV 08/20/2025 402728 609747 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 24003 EVENTS EVENT 342.00 342.00 CHECK TOTAL 342.00 518 TEMPLE INC 0000 251148 EFT 08/20/2025 403334 610372 ACCOUNT DETAIL LINE AMOUNT 1 315 615600 TRAFFIC TRAFFIC SG 4,300.00 4,300.00 CHECK TOTAL 4,300.00 Report generated: 08/11/2025 13:47:15 Page 112 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 39487 THE LINCOLN NATIONAL 0002 EFT 08/20/2025 403209 610246 ACCOUNT DETAIL LINE AMOUNT 1 111 602500 MAYOR LIFE INS 34.74 2 115 602500 COUNCIL LIFE INS 103.98 3 125 602500 CITY COURT LIFE INS 168.00 4 135 602500 CITY ATTY LIFE INS 88.00 5 145 602500 FINANCE LIFE INS 248.00 6 148 602500 EVENTS LIFE INS 32.00 7 150 602500 INFO TECH LIFE INS 80.00 8 213 602500 OPERATING LIFE INS 2,294.37 9 290 602500 FIRE LIFE INS 2,071.22 10 313 602500 PUB WORK ALIFE INS 128.00 11 315 602500 TRAFFIC LIFE INS 256.00 12 325 602500 ENGINEER LIFE INS 64.00 13 411 602500 LEISURE SE LIFE INS 378.72 14 415 602500 BLDG MAINT LIFE INS 24.00 15 445 602500 J T JONES LIFE INS 170.96 16 611 602500 PLAN & ZON LIFE INS 240.00 17 811 602500 UTIL BILL LIFE INS 320.00 18 825 602500 SEWER LIFE INS 8.00 19 311 602500 STS & DRAI LIFE INS -64.00 6,645.99 CHECK TOTAL 6,645.99 41972 TIMOTHY WESTBROOK 0000 252661 EFT 08/20/2025 402960 609987 ACCOUNT DETAIL LINE AMOUNT 1 215 625500 CODE ENF LOT ASSESS 850.00 850.00 41972 TIMOTHY WESTBROOK 0000 252661 EFT 08/20/2025 402961 609988 ACCOUNT DETAIL LINE AMOUNT 1 215 625500 CODE ENF LOT ASSESS 500.00 500.00 41972 TIMOTHY WESTBROOK 0000 252661 EFT 08/20/2025 402962 609989 ACCOUNT DETAIL LINE AMOUNT 1 215 625500 CODE ENF LOT ASSESS 450.00 450.00 Report generated: 08/11/2025 13:47:15 Page 113 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 41972 TIMOTHY WESTBROOK 0000 252661 EFT 08/20/2025 402963 609990 ACCOUNT DETAIL LINE AMOUNT 1 215 625500 CODE ENF LOT ASSESS 500.00 500.00 41972 TIMOTHY WESTBROOK 0000 252661 EFT 08/20/2025 402964 609991 ACCOUNT DETAIL LINE AMOUNT 1 215 625500 CODE ENF LOT ASSESS 250.00 250.00 41972 TIMOTHY WESTBROOK 0000 252492 EFT 08/20/2025 403053 610085 ACCOUNT DETAIL LINE AMOUNT 1 215 625500 CODE ENF LOT ASSESS 2,100.00 2,100.00 CHECK TOTAL 4,650.00 20539 BANKS & BANKS, INC. 0000 252806 EFT 08/20/2025 403452 610494 ACCOUNT DETAIL LINE AMOUNT 1 290 610700 FIRE OPER SUPL 400.00 400.00 CHECK TOTAL 400.00 33797 TRANSUNION RISK AND A 0000 INV 08/20/2025 402992 610021 ACCOUNT DETAIL LINE AMOUNT 1 213 621700 OPERATING MAINT CONT 864.00 864.00 CHECK TOTAL 864.00 33797 TRANSUNION RISK AND A 0000 INV 08/20/2025 403453 610495 ACCOUNT DETAIL LINE AMOUNT 1 135 620900 95632 CITY ATTY CONTRACT 75.00 75.00 CHECK TOTAL 75.00 43446 TRUCKWORX HOLDING CO 0000 252707 EFT 08/20/2025 402928 609953 ACCOUNT DETAIL LINE AMOUNT 1 290 611300 FIRE MOTR VEH 4,280.70 4,280.70 CHECK TOTAL 4,280.70 Report generated: 08/11/2025 13:47:15 Page 114 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 10316 TYLER TECHNOLOGIES, I 0001 INV 08/20/2025 402975 610003 ACCOUNT DETAIL LINE AMOUNT 1 150 621700 INFO TECH MAINT CONT 185,469.73 185,469.73 CHECK TOTAL 185,469.73 40826 TYREE A DAVIS 0000 252195 EFT 08/20/2025 403251 610290 ACCOUNT DETAIL LINE AMOUNT 1 411 612200 LEISURE SE REP&MAINT 500.00 500.00 40826 TYREE A DAVIS 0000 252195 EFT 08/20/2025 403252 610291 ACCOUNT DETAIL LINE AMOUNT 1 411 612200 LEISURE SE REP&MAINT 500.00 500.00 CHECK TOTAL 1,000.00 26616 ULINE, INC. 0001 252643 EFT 08/20/2025 402899 609924 ACCOUNT DETAIL LINE AMOUNT 1 290 610400 FIRE OFF SUPPLS 72.00 2 290 610700 FIRE OPER SUPL 444.70 516.70 CHECK TOTAL 516.70 3180 UNITED RENTALS NORTH 0001 252520 EFT 08/20/2025 403301 610339 ACCOUNT DETAIL LINE AMOUNT 1 825 626700 SEWER RENTAL 6,448.00 6,448.00 3180 UNITED RENTALS NORTH 0001 252520 EFT 08/20/2025 403302 610340 ACCOUNT DETAIL LINE AMOUNT 1 825 626700 SEWER RENTAL 4,356.00 4,356.00 CHECK TOTAL 10,804.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403705 610747 ACCOUNT DETAIL LINE AMOUNT 1 115 626001 COUNCIL TELEPHONE 228.00 228.00 Report generated: 08/11/2025 13:47:15 Page 115 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403706 610748 ACCOUNT DETAIL LINE AMOUNT 1 125 626001 CITY COURT TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403707 610749 ACCOUNT DETAIL LINE AMOUNT 1 135 626001 CITY ATTY TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403708 610750 ACCOUNT DETAIL LINE AMOUNT 1 143 626001 CAO OFFICE TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403709 610751 ACCOUNT DETAIL LINE AMOUNT 1 145 626001 FINANCE TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403710 610752 ACCOUNT DETAIL LINE AMOUNT 1 147 626001 MARKETING TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403711 610753 ACCOUNT DETAIL LINE AMOUNT 1 148 626001 EVENTS TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403712 610754 ACCOUNT DETAIL LINE AMOUNT 1 150 626001 INFO TECH TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403713 610755 ACCOUNT DETAIL LINE AMOUNT 1 155 626001 HR TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403714 610756 ACCOUNT DETAIL LINE AMOUNT 1 213 626001 OPERATING TELEPHONE 228.00 228.00 Report generated: 08/11/2025 13:47:15 Page 116 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403715 610757 ACCOUNT DETAIL LINE AMOUNT 1 290 626001 FIRE TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403716 610758 ACCOUNT DETAIL LINE AMOUNT 1 313 626001 PUB WORK ATELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403717 610759 ACCOUNT DETAIL LINE AMOUNT 1 411 626001 LEISURE SE TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403718 610760 ACCOUNT DETAIL LINE AMOUNT 1 415 626001 BLDG MAINT TELEPHONE 228.00 228.00 43326 UNITI FIBER HOLDINGS 0000 EFT 08/20/2025 403719 610761 ACCOUNT DETAIL LINE AMOUNT 1 811 626001 UTIL BILL TELEPHONE 1,030.86 1,030.86 CHECK TOTAL 4,222.86 21892 HD SUPPLY INC 0000 252603 INV 08/20/2025 403309 610347 ACCOUNT DETAIL LINE AMOUNT 1 815 616400 WATER WATERWELL 4,493.20 4,493.20 21892 HD SUPPLY INC 0000 252603 INV 08/20/2025 403310 610348 ACCOUNT DETAIL LINE AMOUNT 1 815 616400 WATER WATERWELL 496.76 496.76 CHECK TOTAL 4,989.96 42233 VARSITY BRANDS HOLDIN 0001 252766 EFT 08/20/2025 403427 610468 ACCOUNT DETAIL LINE AMOUNT 1 411 613100 LEISURE SE ATHLETIC 1,073.59 1,073.59 CHECK TOTAL 1,073.59 Report generated: 08/11/2025 13:47:15 Page 117 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 17804 VISION SERVICE PLAN I 0001 INV 08/20/2025 403490 610532 ACCOUNT DETAIL LINE AMOUNT 1 001 214350 POOL CASH W/H-VISION 4,612.21 4,612.21 CHECK TOTAL 4,612.21 22390 FANT WALKER 0000 INV 08/20/2025 403413 610454 ACCOUNT DETAIL LINE AMOUNT 1 125 626900 CITY COURT TRAVEL 296.00 296.00 CHECK TOTAL 296.00 883 WARREN PAVING INC 0000 252596 EFT 08/20/2025 403365 610405 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 265.02 265.02 883 WARREN PAVING INC 0000 252596 EFT 08/20/2025 403366 610406 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 489.40 489.40 883 WARREN PAVING INC 0000 252596 EFT 08/20/2025 403367 610407 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 440.82 440.82 883 WARREN PAVING INC 0000 252596 EFT 08/20/2025 403368 610408 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 361.31 361.31 883 WARREN PAVING INC 0000 252596 EFT 08/20/2025 403369 610409 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 434.63 434.63 883 WARREN PAVING INC 0000 252596 EFT 08/20/2025 403370 610410 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 437.28 437.28 Report generated: 08/11/2025 13:47:15 Page 118 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 883 WARREN PAVING INC 0000 252596 EFT 08/20/2025 403371 610411 ACCOUNT DETAIL LINE AMOUNT 1 311 613800 STS & DRAI ASPHALT 259.72 259.72 CHECK TOTAL 2,688.18 40182 WASTE PRO OF MISSISSI 0000 252016 EFT 08/20/2025 402853 609877 ACCOUNT DETAIL LINE AMOUNT 1 148 627800 24003 EVENTS EVENT 285.00 285.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403253 610292 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 419.00 419.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403254 610293 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 234.00 234.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403255 610294 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 209.00 209.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403256 610295 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 209.00 209.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403257 610296 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 209.00 209.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403258 610297 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 209.00 209.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403259 610298 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 324.00 324.00 Report generated: 08/11/2025 13:47:15 Page 119 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403260 610299 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 231.45 231.45 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403261 610300 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 209.00 209.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403289 610328 ACCOUNT DETAIL LINE AMOUNT 1 445 620900 J T JONES CONTRACT 520.00 520.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403292 610330 ACCOUNT DETAIL LINE AMOUNT 1 445 620900 J T JONES CONTRACT 624.00 624.00 40182 WASTE PRO OF MISSISSI 0000 250286 EFT 08/20/2025 403386 610426 ACCOUNT DETAIL LINE AMOUNT 1 850 620910 Sld Wst Ex C - GARBGE 392,659.83 2 850 620911 Sld Wst Ex C - RECYCL 181,828.99 574,488.82 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403439 610481 ACCOUNT DETAIL LINE AMOUNT 1 815 627200 WATER TRASH 111.00 111.00 40182 WASTE PRO OF MISSISSI 0000 EFT 08/20/2025 403464 610506 ACCOUNT DETAIL LINE AMOUNT 1 850 627100 Sld Wst Ex SOLID WSTE 3,315.32 3,315.32 CHECK TOTAL 581,597.59 26700 ISI WATER COMPANY 0001 250234 EFT 08/20/2025 403348 610387 ACCOUNT DETAIL LINE AMOUNT 1 825 620900 SEWER CONTRACT 3,100.00 3,100.00 CHECK TOTAL 3,100.00 Report generated: 08/11/2025 13:47:15 Page 120 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK 24702 WEAVER ELECTRIC INC 0000 252641 EFT 08/20/2025 402981 610009 ACCOUNT DETAIL LINE AMOUNT 1 415 624601 BLDG MAINT REPAIRS 250.00 250.00 24702 WEAVER ELECTRIC INC 0000 252736 EFT 08/20/2025 403341 610379 ACCOUNT DETAIL LINE AMOUNT 1 815 620900 WATER CONTRACT 3,400.00 3,400.00 CHECK TOTAL 3,650.00 637 THOMSON REUTERS WEST 0000 EFT 08/20/2025 403458 610500 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 57.99 57.99 637 THOMSON REUTERS WEST 0000 EFT 08/20/2025 403461 610503 ACCOUNT DETAIL LINE AMOUNT 1 135 621900 CITY ATTY MEMBER DUE 633.83 633.83 CHECK TOTAL 691.82 20603 HD SUPPLY WHITE CAP C 0001 252789 INV 08/20/2025 403333 610371 ACCOUNT DETAIL LINE AMOUNT 1 311 610700 STS & DRAI OPER SUPL 293.40 293.40 CHECK TOTAL 293.40 15682 RAYCOM MEDIA CORP 0000 INV 08/20/2025 402955 609980 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 375.00 375.00 15682 RAYCOM MEDIA CORP 0000 INV 08/20/2025 402956 609981 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 105.00 105.00 15682 RAYCOM MEDIA CORP 0000 INV 08/20/2025 402994 610023 ACCOUNT DETAIL LINE AMOUNT 1 213 620900 OPERATING CONTRACT 2,520.00 2,520.00 Report generated: 08/11/2025 13:47:15 Page 121 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Detail Invoice List WARRANT: 08202025 08/20/2025 CASH ACCOUNT: 001 100350 ACCOUNTS PAYABLE CLEARING VENDOR REMIT PO TYPE DUE DATE AMOUNT DOCUMENT VOUCHER CHECK CHECK TOTAL 3,000.00 40514 WOERNER LANDSCAPE SOU 0000 252739 EFT 08/20/2025 403342 610380 ACCOUNT DETAIL LINE AMOUNT 1 815 614300 WATER GRAVEL 70.00 70.00 CHECK TOTAL 70.00 42660 WOLVERTON PROPERTY MA 0000 250365 EFT 08/20/2025 403263 610302 ACCOUNT DETAIL LINE AMOUNT 1 411 620900 LEISURE SE CONTRACT 5,945.00 5,945.00 CHECK TOTAL 5,945.00 43719 JACK N WOOD 0000 INV 08/20/2025 402952 609977 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 43719 JACK N WOOD 0000 INV 08/20/2025 402953 609978 ACCOUNT DETAIL LINE AMOUNT 1 290 626900 FIRE TRAVEL 68.00 68.00 CHECK TOTAL 136.00 977 INVOICES WARRANT TOTAL 4,797,341.34 4,797,341.34 Report generated: 08/11/2025 13:47:15 Page 122 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant Summary WARRANT: 08202025 08/20/2025 FUND ORG ACCOUNT AMOUNT 001 001 POOLED CASH 001 -000-000-000-000-214350- WITHHOLDING-VISION 10 4,612.21 FUND TOTAL 4,612.21 010 010 REVENUES - CITY GENER 010 -000-000-000-000-210602- URB DEV WARRANTY BOND 12,200.00 010 010 REVENUES - CITY GENER 010 -000-000-000-000-210603- COURT VICTIM HUMAN TR 250.00 010 010 REVENUES - CITY GENER 010 -000-000-000-000-210700- COURT STATE ASSESSMEN 28,016.15 010 010 REVENUES - CITY GENER 010 -000-000-000-000-210800- COURT PUBLIC SAFETY A 2,191.35 010 010 REVENUES - CITY GENER 010 -000-000-000-000-421600- PERMITS-ELECTRICAL 160.00 010 010 REVENUES - CITY GENER 010 -000-000-000-000-480700- WARRANTS FEES COLLECT 1,223.30 010 010 REVENUES - CITY GENER 010 -000-000-000-000-505800-41139 RENTS 650.00 010 010 REVENUES - CITY GENER 010 -000-000-000-000-505800-41140 RENTS 1,250.00 010 010 REVENUES - CITY GENER 010 -000-000-000-000-505800-41143 RENTS 875.00 010 010 REVENUES - CITY GENER 010 -000-000-000-000-507800- COLLECTION ASSESSMENT 1,729.62 010 111 EXECUTIVE 010 -100-111-000-000-602500- LIFE INSURANCE 34.74 010 111 EXECUTIVE 010 -100-111-000-000-610400- OFFICE SUPPLIES 2,045.83 010 111 EXECUTIVE 010 -100-111-000-000-621700- MAINTENANCE CONTRACTS 54.80 010 111 EXECUTIVE 010 -100-111-000-000-623800- MAYORS YOUTH COUNCIL 615.34 010 111 EXECUTIVE 010 -100-111-000-000-626001- TELEPHONE 4.10 010 111 EXECUTIVE 010 -100-111-000-000-627900- MISC SERVICES AND CHA 1,890.00 010 111 EXECUTIVE 010 -100-111-000-000-627900-25040 MISC SERVICES AND CHA 700.00 010 115 LEGISLATIVE 010 -100-115-000-000-602500- LIFE INSURANCE 103.98 010 115 LEGISLATIVE 010 -100-115-000-000-610700- OPERATING SUPPLIES 885.87 010 115 LEGISLATIVE 010 -100-115-000-000-620500- AUDIT FEES 7,000.00 010 115 LEGISLATIVE 010 -100-115-000-000-621700- MAINTENANCE CONTRACTS 314.77 010 115 LEGISLATIVE 010 -100-115-000-000-622100- PROFESSIONAL FEES 401.35 010 115 LEGISLATIVE 010 -100-115-000-000-626001- TELEPHONE 1,516.26 010 115 LEGISLATIVE 010 -100-115-000-000-626100- ADVERTISING 393.55 010 115 LEGISLATIVE 010 -100-115-000-000-626900- TRAVEL 1,615.65 010 125 JUDICIAL 010 -100-125-000-000-602500- LIFE INSURANCE 168.00 010 125 JUDICIAL 010 -100-125-000-000-620900- CONTRACTUAL FEES 2,162.93 010 125 JUDICIAL 010 -100-125-000-000-621500- LEGAL FEES-COURT DEFE 4,167.00 010 125 JUDICIAL 010 -100-125-000-000-621700- MAINTENANCE CONTRACTS 855.38 010 125 JUDICIAL 010 -100-125-000-000-626001- TELEPHONE 251.69 010 125 JUDICIAL 010 -100-125-000-000-626500- PRINTING AND BINDING 39.00 010 125 JUDICIAL 010 -100-125-000-000-626900- TRAVEL 296.00 010 135 LEGAL 010 -100-135-000-000-602500- LIFE INSURANCE 88.00 010 135 LEGAL 010 -100-135-000-000-610400- OFFICE SUPPLIES 32.09 010 135 LEGAL 010 -100-135-000-000-620900- CONTRACTUAL FEES 550.00 010 135 LEGAL 010 -100-135-000-000-620900-95632 CONTRACTUAL FEES 2,815.25 Report generated: 08/11/2025 13:47:15 Page 123 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT 010 135 LEGAL 010 -100-135-000-000-620900-95633 CONTRACTUAL FEES 1,768.20 010 135 LEGAL 010 -100-135-000-000-621300- LEGAL FEES 332.00 010 135 LEGAL 010 -100-135-000-000-621700- MAINTENANCE CONTRACTS 568.68 010 135 LEGAL 010 -100-135-000-000-621900- MEMBERSHIP DUES AND S 3,018.08 010 135 LEGAL 010 -100-135-000-000-622300- TRAINING PROGRAMS 60.00 010 135 LEGAL 010 -100-135-000-000-625700- POSTAGE -90.55 010 135 LEGAL 010 -100-135-000-000-626001- TELEPHONE 232.19 010 143 CAO OFFICE 010 -100-145-143-000-610400- OFFICE SUPPLIES/NONCA 60.24 010 143 CAO OFFICE 010 -100-145-143-000-620900- CONTRACTUAL FEES 298.56 010 143 CAO OFFICE 010 -100-145-143-000-626001- TELEPHONE 228.00 010 143 CAO OFFICE 010 -100-145-143-000-626900- TRAVEL 459.11 010 145 FINANCE 010 -100-145-145-000-6025-00- LIFE INSURANCE 248.00 010 145 FINANCE 010 -100-145-145-000-6104-00- OFFICE SUPPLIES 1,475.86 010 145 FINANCE 010 -100-145-145-000-6107-00- OPERATING SUPPLIES 617.25 010 145 FINANCE 010 -100-145-145-000-6209-00- CONTRACTUAL FEES 4,546.64 010 145 FINANCE 010 -100-145-145-000-6217-00- MAINTENANCE CONTRACTS 209.32 010 145 FINANCE 010 -100-145-145-000-6219-00- MEMBERSHIP DUES AND S 1,374.00 010 145 FINANCE 010 -100-145-145-000-6260-01- TELEPHONE 2,142.75 010 145 FINANCE 010 -100-145-145-000-6260-02- ELECTRIC 1,796.55 010 145 FINANCE 010 -100-145-145-000-6260-03- WATER 316.16 010 145 FINANCE 010 -100-145-145-000-6260-04- GAS 46.43 010 145 FINANCE 010 -100-145-145-000-6261-00- ADVERTISING 630.82 010 145 FINANCE 010 -100-145-145-000-6269-00- TRAVEL 4,921.86 010 145 FINANCE 010 -100-145-145-000-6279-00- MISC SERVICES AND CHA 2,000.00 010 147 MARKETING 010 -100-145-147-000-610700- OPER SUPPLIES/NONCAPI 154.87 010 147 MARKETING 010 -100-145-147-000-621700- MAINTENANCE CONTRACTS 72.30 010 147 MARKETING 010 -100-145-147-000-621900- MEMBERSHIP DUES AND S 281.49 010 147 MARKETING 010 -100-145-147-000-623700- BUSINESS RETENTION\PR 626.10 010 147 MARKETING 010 -100-145-147-000-626001- TELEPHONE 228.00 010 148 CITY EVENTS 010 -100-650-148-000-6025-00- LIFE INSURANCE 32.00 010 148 CITY EVENTS 010 -100-650-148-000-6101-00- CLEANING AND JANITORI 377.87 010 148 CITY EVENTS 010 -100-650-148-000-6104-00- OFFICE SUPPLIES/NONCA 181.97 010 148 CITY EVENTS 010 -100-650-148-000-6107-00- OPER SUPPLIES/NONCAPI 10.44 010 148 CITY EVENTS 010 -100-650-148-000-6260-01- TELEPHONE 228.00 010 148 CITY EVENTS 010 -100-650-148-000-6278-00- EVENT EXPENSES 1,732.14 010 148 CITY EVENTS 010 -100-650-148-000-627800-24002 EVENT EXPENSES 179.98 010 148 CITY EVENTS 010 -100-650-148-000-627800-24003 EVENT EXPENSES 1,221.00 010 148 CITY EVENTS 010 -100-650-148-000-627800-24007 EVENT EXPENSES 634.68 010 150 INFORMATION TECHNOLOG 010 -100-150-150-000-6025-00- LIFE INSURANCE 80.00 010 150 INFORMATION TECHNOLOG 010 -100-150-150-000-6101-00- CLEANING AND JANITORI 800.00 010 150 INFORMATION TECHNOLOG 010 -100-150-150-000-6107-00- OPER SUPPLIES/NONCAPI 25.00 010 150 INFORMATION TECHNOLOG 010 -100-150-150-000-6217-00- MAINTENANCE CONTRACTS 200,474.67 010 150 INFORMATION TECHNOLOG 010 -100-150-150-000-6260-01- TELEPHONE 228.00 010 150 INFORMATION TECHNOLOG 010 -100-150-150-000-6260-04- GAS 54.07 010 155 HUMAN RESOURCES 010 -100-145-155-000-610700- OPERATING SUPPLIES 716.75 Report generated: 08/11/2025 13:47:15 Page 124 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT 010 155 HUMAN RESOURCES 010 -100-145-155-000-620900- CONTRACTUAL FEES 517.93 010 155 HUMAN RESOURCES 010 -100-145-155-000-621700- MAINTENANCE CONTRACTS 259.38 010 155 HUMAN RESOURCES 010 -100-145-155-000-626001- TELEPHONE 228.00 010 213 POLICE OPERATING 010 -200-212-213-000-602500- LIFE INSURANCE 2,294.37 010 213 POLICE OPERATING 010 -200-212-213-000-610100- CLEANING AND JANITORI 57.49 010 213 POLICE OPERATING 010 -200-212-213-000-610400- OFFICE SUPPLIES 1,402.26 010 213 POLICE OPERATING 010 -200-212-213-000-610700- OPERATING SUPPLIES 4,057.40 010 213 POLICE OPERATING 010 -200-212-213-000-611000- BLDG MATERIALS AND SU 4,088.30 010 213 POLICE OPERATING 010 -200-212-213-000-611300- MOTOR VEHICLE REPAIRS 29,550.20 010 213 POLICE OPERATING 010 -200-212-213-000-612500- UNIFORMS 4,070.12 010 213 POLICE OPERATING 010 -200-212-213-000-614000- GASOLINE, OIL, GREASE 29,601.41 010 213 POLICE OPERATING 010 -200-212-213-000-614900- ANIMAL CONTROL 18,086.20 010 213 POLICE OPERATING 010 -200-212-213-000-620701- FORENSIC 3,360.00 010 213 POLICE OPERATING 010 -200-212-213-000-620900- CONTRACTUAL FEES 4,552.84 010 213 POLICE OPERATING 010 -200-212-213-000-621700- MAINTENANCE CONTRACTS 3,149.65 010 213 POLICE OPERATING 010 -200-212-213-000-621900- MEMBERSHIP DUES AND S 1,022.22 010 213 POLICE OPERATING 010 -200-212-213-000-622300- TRAINING PROGRAMS 3,480.00 010 213 POLICE OPERATING 010 -200-212-213-000-622900- MEDICAL EXPENSE 3,572.06 010 213 POLICE OPERATING 010 -200-212-213-000-623100- PISTOL RANGE MAINTENA 123.87 010 213 POLICE OPERATING 010 -200-212-213-000-626001- TELEPHONE 1,045.88 010 213 POLICE OPERATING 010 -200-212-213-000-626003- WATER 189.40 010 213 POLICE OPERATING 010 -200-212-213-000-626004- GAS 32.66 010 213 POLICE OPERATING 010 -200-212-213-000-626900- TRAVEL 7,955.25 010 213 POLICE OPERATING 010 -200-212-213-000-627900- MISC SERVICES AND CHA 6,566.00 010 214 POLICE GRANTS 010 -200-212-214-000-630100-25037 CAPITAL OUTLAY 17,451.88 010 215 CODE ENFORCEMENT 010 -200-212-215-000-614000- GASOLINE, OIL, GREASE 264.37 010 215 CODE ENFORCEMENT 010 -200-212-215-000-621700- MAINTENANCE CONTRACTS 229.01 010 215 CODE ENFORCEMENT 010 -200-212-215-000-625500- LOT ASSESSMENTS 4,650.00 010 290 FIRE 010 -200-290-000-000-602500- LIFE INSURANCE 2,071.22 010 290 FIRE 010 -200-290-000-000-610400- OFFICE SUPPLIES 738.15 010 290 FIRE 010 -200-290-000-000-610700- OPERATING SUPPLIES 7,382.82 010 290 FIRE 010 -200-290-000-000-611300- MOTOR VEHICLE REPAIRS 6,984.48 010 290 FIRE 010 -200-290-000-000-612200- REPAIRS AND MAINTENAN 3,479.37 010 290 FIRE 010 -200-290-000-000-612500- UNIFORMS 6,517.67 010 290 FIRE 010 -200-290-000-000-614000- GASOLINE, OIL, GREASE 5,492.63 010 290 FIRE 010 -200-290-000-000-621700- MAINTENANCE CONTRACTS 655.77 010 290 FIRE 010 -200-290-000-000-622300- TRAINING PROGRAMS 1,413.94 010 290 FIRE 010 -200-290-000-000-626001- TELEPHONE 2,101.76 010 290 FIRE 010 -200-290-000-000-626002- ELECTRIC 12,378.06 010 290 FIRE 010 -200-290-000-000-626003- WATER 766.63 010 290 FIRE 010 -200-290-000-000-626004- GAS 247.81 010 290 FIRE 010 -200-290-000-000-626900- TRAVEL 1,892.20 010 311 STREETS AND DRAINAGE 010 -300-309-311-000-602500- LIFE INSURANCE -64.00 010 311 STREETS AND DRAINAGE 010 -300-309-311-000-610700- OPERATING SUPPLIES 293.40 010 311 STREETS AND DRAINAGE 010 -300-309-311-000-613800- ASPHALT 5,389.26 Report generated: 08/11/2025 13:47:15 Page 125 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT 010 311 STREETS AND DRAINAGE 010 -300-309-311-000-614600- STORM DRAIN PIPES 11,844.00 010 311 STREETS AND DRAINAGE 010 -300-309-311-000-620900- CONTRACTUAL FEES 2,351.58 010 311 STREETS AND DRAINAGE 010 -300-309-311-000-621800- PRIVATIZATION CONTRAC 541,916.98 010 313 PUBLIC WORKS ADMIN 010 -300-309-313-000-602500- LIFE INSURANCE 128.00 010 313 PUBLIC WORKS ADMIN 010 -300-309-313-000-610700- OPERATING SUPPLIES 2,008.82 010 313 PUBLIC WORKS ADMIN 010 -300-309-313-000-614000- GASOLINE, OIL, GREASE 673.10 010 313 PUBLIC WORKS ADMIN 010 -300-309-313-000-621700- MAINTENANCE CONTRACTS 278.82 010 313 PUBLIC WORKS ADMIN 010 -300-309-313-000-626001- TELEPHONE 1,052.53 010 315 TRAFFIC CONTROL AND S 010 -300-309-315-000-602500- LIFE INSURANCE 256.00 010 315 TRAFFIC CONTROL AND S 010 -300-309-315-000-610700- OPERATING SUPPLIES 568.43 010 315 TRAFFIC CONTROL AND S 010 -300-309-315-000-614000- GASOLINE, OIL, GREASE 1,031.36 010 315 TRAFFIC CONTROL AND S 010 -300-309-315-000-615500- TRAFFIC CONTROL 2,565.00 010 315 TRAFFIC CONTROL AND S 010 -300-309-315-000-615600- TRAFFIC SIGNAL SUPPLI 4,300.00 010 315 TRAFFIC CONTROL AND S 010 -300-309-315-000-620900- CONTRACTUAL FEES 81.54 010 315 TRAFFIC CONTROL AND S 010 -300-309-315-000-630100- CAPITAL OUTLAY 44,078.71 010 325 ENGINEERING 010 -300-325-000-000-602500- LIFE INSURANCE 64.00 010 325 ENGINEERING 010 -300-325-000-000-610700- OPERATING SUPPLIES 1,735.00 010 325 ENGINEERING 010 -300-325-000-000-614000- GASOLINE, OIL, GREASE 233.31 010 325 ENGINEERING 010 -300-325-000-000-624601- REPAIRS AND MAINTENAN 82,608.61 010 325 ENGINEERING 010 -300-325-000-000-625100- STREETS AND TRAFFIC L 150,421.59 010 325 ENGINEERING 010 -300-325-000-000-626001- TELEPHONE 363.88 010 411 LEISURE SERVICES 010 -400-407-411-000-602500- LIFE INSURANCE 378.72 010 411 LEISURE SERVICES 010 -400-407-411-000-610400- OFFICE SUPPLIES 81.39 010 411 LEISURE SERVICES 010 -400-407-411-000-610600- LANDSCAPE SUPPLIES 26,596.50 010 411 LEISURE SERVICES 010 -400-407-411-000-610700- OPERATING SUPPLIES 7,447.60 010 411 LEISURE SERVICES 010 -400-407-411-000-611000- BLDG MATERIALS AND SU 2,455.58 010 411 LEISURE SERVICES 010 -400-407-411-000-612200- REPAIRS AND MAINTENAN 12,080.22 010 411 LEISURE SERVICES 010 -400-407-411-000-612500- UNIFORMS 473.71 010 411 LEISURE SERVICES 010 -400-407-411-000-613100- ATHLETIC PROGRAM SUPP 10,875.71 010 411 LEISURE SERVICES 010 -400-407-411-000-613400- RECREATIONAL PROGRAMS 7,380.55 010 411 LEISURE SERVICES 010 -400-407-411-000-613700- CHEMICALS 2,247.23 010 411 LEISURE SERVICES 010 -400-407-411-000-614000- GASOLINE, OIL, GREASE 1,556.92 010 411 LEISURE SERVICES 010 -400-407-411-000-614300- SHELLS,GRAVEL,SAND 1,694.16 010 411 LEISURE SERVICES 010 -400-407-411-000-620900- CONTRACTUAL FEES 20,071.30 010 411 LEISURE SERVICES 010 -400-407-411-000-621700- MAINTENANCE CONTRACTS 793.42 010 411 LEISURE SERVICES 010 -400-407-411-000-621900- MEMBERSHIP DUES AND S 700.00 010 411 LEISURE SERVICES 010 -400-407-411-000-622300- TRAINING PROGRAMS 72.74 010 411 LEISURE SERVICES 010 -400-407-411-000-623600- SENIOR CENTER MEALS 257.58 010 411 LEISURE SERVICES 010 -400-407-411-000-626001- TELEPHONE 444.39 010 411 LEISURE SERVICES 010 -400-407-411-000-626002- ELECTRIC 19,407.95 010 411 LEISURE SERVICES 010 -400-407-411-000-626003- WATER 10,937.76 010 411 LEISURE SERVICES 010 -400-407-411-000-626004- GAS 299.32 010 411 LEISURE SERVICES 010 -400-407-411-000-626500- PRINTING AND BINDING 475.00 010 411 LEISURE SERVICES 010 -400-407-411-000-626700- RENTAL 660.80 010 411 LEISURE SERVICES 010 -400-407-411-000-626706- OPERATING LEASES 5,660.51 Report generated: 08/11/2025 13:47:15 Page 126 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT 010 411 LEISURE SERVICES 010 -400-407-411-000-626900- TRAVEL 30.00 010 411 LEISURE SERVICES 010 -400-407-411-000-630100- CAPITAL OUTLAY 7,817.08 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6025-00- LIFE INSURANCE 24.00 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6104-00- OFFICE SUPPLIES 114.32 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6107-00- OPERATING SUPPLIES 194.99 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6110-00- BLDG MATERIALS AND SU 2,799.56 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6140-00- GASOLINE, OIL, GREASE 493.36 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6217-00- MAINTENANCE CONTRACTS 157.96 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6246-01- REPAIRS AND MAINTENAN 25,544.25 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6260-01- TELEPHONE 308.46 010 415 BUILDING MAINTENANCE 010 -100-660-415-000-6260-04- GAS 50.85 010 611 PLANNING AND ZONING 010 -600-611-611-000-602500- LIFE INSURANCE 240.00 010 611 PLANNING AND ZONING 010 -600-611-611-000-614000- GASOLINE, OIL, GREASE 128.92 010 611 PLANNING AND ZONING 010 -600-611-611-000-620900- CONTRACTUAL FEES 11,324.10 010 611 PLANNING AND ZONING 010 -600-611-611-000-621700- MAINTENANCE CONTRACTS 1,261.54 010 611 PLANNING AND ZONING 010 -600-611-611-000-621900- MEMERSHIP DUES AND SU 310.00 010 611 PLANNING AND ZONING 010 -600-611-611-000-622100- PROFESSIONAL FEES 494.53 010 611 PLANNING AND ZONING 010 -600-611-611-000-625700- POSTAGE 9.45 010 611 PLANNING AND ZONING 010 -600-611-611-000-626001- TELEPHONE 369.27 010 611 PLANNING AND ZONING 010 -600-611-611-000-626100- ADVERTISING 105.82 FUND TOTAL 1,556,134.58 030 101 GENERAL GOVERNMENT 030 -100-101-101-000-6401-00-Z8587 CAP PRJ - CONSTRUCTIO 388,740.00 FUND TOTAL 388,740.00 100 345 CAPITAL PROJECTS - RE 100 -300-345-000-010-6402-00-22021 Engineering 91,573.30 100 345 CAPITAL PROJECTS - RE 100 -300-345-000-010-6402-00-23028 Engineering 1,532.00 100 346 CAPITAL PROJECT - NON 100 -300-346-346-010-6301-00-24042 CAPITAL OUTLAY 22,974.97 100 346 CAPITAL PROJECT - NON 100 -300-346-346-010-630100-25024 CAPITAL OUTLAY 14,836.05 100 346 CAPITAL PROJECT - NON 100 -300-346-346-010-630100-25028 CAPITAL OUTLAY 7,278.00 100 346 CAPITAL PROJECT - NON 100 -300-346-346-010-630100-25029 CAPITAL OUTLAY 1,403.00 100 346 CAPITAL PROJECT - NON 100 -300-346-346-010-630200-25020 VEHICLES 43,835.00 100 346 CAPITAL PROJECT - NON 100 -300-346-346-010-630400-25013 COMPUTER EQUIPMENT 1,201.36 100 346 CAPITAL PROJECT - NON 100 -300-346-346-010-630400-25023 COMPUTER EQUIPMENT 8,214.72 FUND TOTAL 192,848.40 103 361 WATER SEWER CAP PROJ 103 -920-361-100-010-6301-00-24031 CAPITAL OUTLAY 734.00 103 361 WATER SEWER CAP PROJ 103 -920-361-100-010-6402-00-25002 Engineering 107,400.00 103 361 WATER SEWER CAP PROJ 103 -920-361-100-010-6402-00-25003 Engineering 15,186.00 FUND TOTAL 123,320.00 Report generated: 08/11/2025 13:47:15 Page 127 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT 105 362 CAP PROJ ARPA REIMBUR 105 -920-362-100-010-6401-00-24020 Construction 74,085.39 105 362 CAP PROJ ARPA REIMBUR 105 -920-362-100-010-6401-00-24021 Construction 47,877.84 105 362 CAP PROJ ARPA REIMBUR 105 -920-362-100-010-6401-00-24023 Construction 238,122.07 105 362 CAP PROJ ARPA REIMBUR 105 -920-362-100-010-6402-00-24020 Engineering 2,180.43 105 363 CAP PROJ ARPA NONREIM 105 -920-363-100-010-6401-00-24020 Construction 74,085.40 105 363 CAP PROJ ARPA NONREIM 105 -920-363-100-010-6401-00-24021 Construction 47,877.85 105 363 CAP PROJ ARPA NONREIM 105 -920-363-100-010-6401-00-24023 Construction 238,122.07 105 363 CAP PROJ ARPA NONREIM 105 -920-363-100-010-6402-00-24020 Engineering 5,374.04 105 363 CAP PROJ ARPA NONREIM 105 -920-363-100-010-6402-00-24023 Engineering 41,250.00 105 363 CAP PROJ ARPA NONREIM 105 -920-363-100-010-6402-00-24024 Engineering 36,250.00 FUND TOTAL 805,225.09 107 367 MIMA CAPITAL PROJECTS 107 -920-365-000-010-6401-00-24047 Construction 120,536.00 FUND TOTAL 120,536.00 109 368 CAP PRJ MIMA RCPT NON 109 -920-367-100-010-6402-00-25004 Engineering 6,357.00 109 368 CAP PRJ MIMA RCPT NON 109 -920-367-100-010-640300-23037 REAL ESTATE ACQUISITI 2,600.00 FUND TOTAL 8,957.00 400 811 UTILITY BILLING 400 -800-811-000-000-602500- LIFE INSURANCE 320.00 400 811 UTILITY BILLING 400 -800-811-000-000-610400- OFFICE SUPPLIES 2,524.43 400 811 UTILITY BILLING 400 -800-811-000-000-610700- OPERATING SUPPLIES 2,026.76 400 811 UTILITY BILLING 400 -800-811-000-000-614000- GASOLINE, OIL, GREASE 38.40 400 811 UTILITY BILLING 400 -800-811-000-000-620900- CONTRACTUAL FEES 976.42 400 811 UTILITY BILLING 400 -800-811-000-000-621700- MAINTENANCE CONTRACTS 1,045.47 400 811 UTILITY BILLING 400 -800-811-000-000-626001- TELEPHONE 1,063.20 400 811 UTILITY BILLING 400 -800-811-000-000-626500- PRINTING AND BINDING 2,156.62 400 811 UTILITY BILLING 400 -800-811-000-000-626900- TRAVEL 994.23 400 815 WATER OPERATIONS 400 -800-815-000-000-610700- OPERATING SUPPLIES 2,385.01 400 815 WATER OPERATIONS 400 -800-815-000-000-614000- GASOLINE, OIL, GREASE 145.79 400 815 WATER OPERATIONS 400 -800-815-000-000-614300- SHELLS,GRAVEL,SAND 16,429.25 400 815 WATER OPERATIONS 400 -800-815-000-000-616400- WATERWELL SUPPLIES 4,989.96 400 815 WATER OPERATIONS 400 -800-815-000-000-616700- WATERLINE SUPPLIES 47,133.40 400 815 WATER OPERATIONS 400 -800-815-000-000-620900- CONTRACTUAL FEES 6,826.76 400 815 WATER OPERATIONS 400 -800-815-000-000-621700- MAINTENANCE CONTRACTS 477.00 400 815 WATER OPERATIONS 400 -800-815-000-000-621800- PRIVATIZATION CONTRAC 298,819.94 400 815 WATER OPERATIONS 400 -800-815-000-000-626001- TELEPHONE 1,170.40 400 815 WATER OPERATIONS 400 -800-815-000-000-626002- ELECTRIC 33,301.45 400 815 WATER OPERATIONS 400 -800-815-000-000-626003- WATER 70.00 400 815 WATER OPERATIONS 400 -800-815-000-000-627200- TRASH PICK-UP 111.00 400 825 SEWER OPERATIONS 400 -800-825-000-000-602500- LIFE INSURANCE 8.00 400 825 SEWER OPERATIONS 400 -800-825-000-000-610700- OPERATING SUPPLIES 1,252.64 Report generated: 08/11/2025 13:47:15 Page 128 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT 400 825 SEWER OPERATIONS 400 -800-825-000-000-614300- SHELLS,GRAVEL,SAND 1,267.00 400 825 SEWER OPERATIONS 400 -800-825-000-000-615800- LIFT STATION SUPPLIES 30,182.27 400 825 SEWER OPERATIONS 400 -800-825-000-000-616100- SEWERLINE SUPPLIES 2,129.08 400 825 SEWER OPERATIONS 400 -800-825-000-000-620900- CONTRACTUAL FEES 7,772.50 400 825 SEWER OPERATIONS 400 -800-825-000-000-621800- PRIVATIZATION CONTRAC 295,779.90 400 825 SEWER OPERATIONS 400 -800-825-000-000-626001- TELEPHONE 91.35 400 825 SEWER OPERATIONS 400 -800-825-000-000-626002- ELECTRIC 31,611.48 400 825 SEWER OPERATIONS 400 -800-825-000-000-626700- RENTAL 10,804.00 FUND TOTAL 803,903.71 405 850 Solid Waste Expenditu 405 -850-850-000-000-620910- CONTRACTUAL - GARBAGE 392,659.83 405 850 Solid Waste Expenditu 405 -850-850-000-000-620911- CONTRACTUAL - RECYCLE 181,828.99 405 850 Solid Waste Expenditu 405 -850-850-000-000-620912- CONTRACTUAL - DEBRIS 166,987.60 405 850 Solid Waste Expenditu 405 -850-850-000-000-627100- SOLID WASTE DISPOSAL 3,315.32 FUND TOTAL 744,791.74 420 445 JOSEPH T JONES 420 -400-445-000-000-602500- LIFE INSURANCE 170.96 420 445 JOSEPH T JONES 420 -400-445-000-000-610100- CLEANING AND JANITORI 315.92 420 445 JOSEPH T JONES 420 -400-445-000-000-610400- OFFICE SUPPLIES 461.37 420 445 JOSEPH T JONES 420 -400-445-000-000-610700- OPERATING SUPPLIES 204.53 420 445 JOSEPH T JONES 420 -400-445-000-000-612200- REPAIRS AND MAINTENAN 980.52 420 445 JOSEPH T JONES 420 -400-445-000-000-614000- GASOLINE, OIL, GREASE 509.62 420 445 JOSEPH T JONES 420 -400-445-000-000-614100- FUEL FOR RETAIL 14,356.28 420 445 JOSEPH T JONES 420 -400-445-000-000-614110- GOODS FOR RETAIL 96.25 420 445 JOSEPH T JONES 420 -400-445-000-000-620900- CONTRACTUAL FEES 1,909.29 420 445 JOSEPH T JONES 420 -400-445-000-000-621700- MAINTENANCE CONTRACTS 160.83 420 445 JOSEPH T JONES 420 -400-445-000-000-626001- TELEPHONE 60.87 420 445 JOSEPH T JONES 420 -400-445-000-000-626002- ELECTRIC 22,775.48 420 445 JOSEPH T JONES 420 -400-445-000-000-626900- TRAVEL 467.41 FUND TOTAL 42,469.33 430 447 HARBOR LIGHTS EXPENDI 430 -400-447-000-000-610700- OPER SUPPLIES/NONCAPI 314.82 430 447 HARBOR LIGHTS EXPENDI 430 -400-447-000-000-611000- BLDG MATERIALS AND SU 5,071.73 430 447 HARBOR LIGHTS EXPENDI 430 -400-447-000-000-614000- GASOLINE, OIL, GREASE 53.63 430 447 HARBOR LIGHTS EXPENDI 430 -400-447-000-000-624200- BANK FEES 17.95 430 447 HARBOR LIGHTS EXPENDI 430 -400-447-000-000-626008- PEST CONTROL 70.00 430 447 HARBOR LIGHTS EXPENDI 430 -400-447-000-000-626100- ADVERTISING 5.15 FUND TOTAL 5,533.28 500 911 GROUP HEALTH AND LIFE 500 -900-911-000-000-7741-00- ADMINISTRATIVE FEE 270.00 Report generated: 08/11/2025 13:47:15 Page 129 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT FUND TOTAL 270.00 WARRANT SUMMARY TOTAL 4,797,341.34 GRAND TOTAL 4,797,341.34 Report generated: 08/11/2025 13:47:15 Page 130 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 609615 6528 FLEETCOR 402596 EFT 08/20/2025 42.61 FUELMAN NP68845860 07 609616 329 GULF COAST BUSINESS SUPPL 402597 252636 EFT 08/20/2025 181.97 34TH ST WAREHOUSE OFF 609617 329 GULF COAST BUSINESS SUPPL 402598 252683 EFT 08/20/2025 217.37 EVENTS WAREHOUSE CLEA 609618 329 GULF COAST BUSINESS SUPPL 402599 252683 EFT 08/20/2025 63.22 EVENTS WAREHOUSE CLEA 609619 10120 B & H PHOTO 402600 252637 EFT 08/20/2025 749.46 34TH ST WAREHOUSE CON 609644 2066 HAVARD PEST CONTROL 402625 EFT 08/20/2025 70.00 HL WAREHOUSE PEST CON 609738 2066 HAVARD PEST CONTROL 402719 EFT 08/20/2025 40.00 PEST CONTROL / RODENT 609739 60 A1 BATTERY INC 402720 250033 EFT 08/20/2025 134.10 BLANKET PO FY25 609740 39643 EK EMBROIDERY LLC 402721 EFT 08/20/2025 48.00 UNIFORM PATCHES 609742 389 OREILLY AUTO PARTS 402723 251681 EFT 08/20/2025 10.19 BLANKET PO FY25 609743 389 OREILLY AUTO PARTS 402724 251681 EFT 08/20/2025 18.99 BLANKET PO FY25 609744 380 LOWES ACCTS RECEIVABLE PR 402725 252144 INV 08/20/2025 170.05 BLANKET PO FY25 609745 6528 FLEETCOR 402726 EFT 08/20/2025 2,513.20 FIRE DEPT ACCT 126561 609746 15812 SORG PRINTING LLC 402727 252646 EFT 08/20/2025 489.00 BACK TO SCHOOL FAIR F 609747 43663 TASK FORCE PROTECTION SER 402728 252135 INV 08/20/2025 342.00 CBTS SECURITY 609749 36109 DSLD HOMES 402730 INV 08/20/2025 6,800.00 REFUND WARRANTY BOND 609750 36109 DSLD HOMES 402731 INV 08/20/2025 5,400.00 REFUND WARRANTY BOND 609803 6167 SOUTHERN TIRE MART LLC 402784 INV 08/20/2025 195.00 VEHICLE MAINTENANCE / 609804 6167 SOUTHERN TIRE MART LLC 402785 INV 08/20/2025 1,163.95 VEHICLE MAINTENANCE / 609807 40079 CANNON CHRYSLER JEEP DODG402788 251472 INV 08/20/2025 43,835.00 Ram 3500 Crew Cab 4WD 609812 389 OREILLY AUTO PARTS 402792 251681 EFT 08/20/2025 23.69 BLANKET PO FY25 609813 43278 DELL INC 402793 252632 INV 08/20/2025 1,201.36 DELL CPU AND MONTIORS 609814 2066 HAVARD PEST CONTROL 402794 EFT 08/20/2025 25.00 HAVARD PEST CONTROLL 609817 2066 HAVARD PEST CONTROL 402796 EFT 08/20/2025 40.00 PD HALF - PEST CONTRO 609819 316 MID SOUTH UNIFORM & SUPPL 402798 251323 EFT 08/20/2025 26.32 NAME TAGS 609820 11424 EAGLE ENERGY INC. 402799 252608 EFT 08/20/2025 1,690.44 DIESEL FOR GENERATOR 609821 24511 PHYSICIANS CLINIC @ MHG 402800 INV 08/20/2025 2,066.12 PRISONER BILLING - JO 609822 40776 ENGINEERED COOLING SERVIC 402801 252218 EFT 08/20/2025 3,156.00 ANNUAL MAINTENANCE 609823 202 DPS CRIME LAB 402802 EFT 08/20/2025 3,360.00 ANALYTICAL FEES 609824 166 CINTAS CORP 240 402803 EFT 08/20/2025 57.49 CARPET CLEANING 609825 20675 CHANCELLOR SUPPLY, INC 402804 252022 EFT 08/20/2025 112.12 BLANKET PO / PART AND 609827 20225 IMS, INC 402806 252658 EFT 08/20/2025 1,782.00 NITRILE GLOVES 609828 382 PHILLIPS BUILDING SUPPLY 402807 EFT 08/20/2025 344.59 SUPPLIES 609829 382 PHILLIPS BUILDING SUPPLY 402808 250797 EFT 08/20/2025 897.07 COURTHOUSE RD REPLACE 609830 380 LOWES ACCTS RECEIVABLE PR 402809 251971 INV 08/20/2025 34.16 OPEN PO FOR SUPPLIES 609832 380 LOWES ACCTS RECEIVABLE PR 402811 251971 INV 08/20/2025 245.52 OPEN PO FOR SUPPLIES 609833 380 LOWES ACCTS RECEIVABLE PR 402812 251971 INV 08/20/2025 47.42 OPEN PO FOR SUPPLIES 609834 380 LOWES ACCTS RECEIVABLE PR 402813 251971 INV 08/20/2025 6.63 OPEN PO FOR SUPPLIES 609843 380 LOWES ACCTS RECEIVABLE PR 402821 INV 08/20/2025 1,601.27 HL WAREHOUSE BUILDING 609852 21657 MISSISSIPPI SELECT HEALTH 402830 EFT 08/20/2025 270.00 AUGUST 2025 FSA Report generated: 08/11/2025 13:47:15 Page 131 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 609853 380 LOWES ACCTS RECEIVABLE PR 402831 251789 INV 08/20/2025 39.80 BLANKET PO / SUPPLIES 609854 42810 BECKWORKS LLC 402832 252571 EFT 08/20/2025 7,161.00 LABOR FOR CEMETERY OF 609855 42810 BECKWORKS LLC 402833 252625 EFT 08/20/2025 629.00 REPLACE RECEPTACLES I 609856 40776 ENGINEERED COOLING SERVIC 402834 252607 EFT 08/20/2025 460.00 SERVICE CALL 609857 42810 BECKWORKS LLC 402835 250849 EFT 08/20/2025 734.00 LABOR TO BUILD WALL U 609858 42810 BECKWORKS LLC 402836 251834 EFT 08/20/2025 1,887.00 LABOR FOR DOORS AT CA 609859 42810 BECKWORKS LLC 402837 252204 EFT 08/20/2025 1,036.00 FIRE STATION 7 TO FI 609860 42810 BECKWORKS LLC 402838 252205 EFT 08/20/2025 222.00 FIX TRIM AT CITY HALL 609861 42810 BECKWORKS LLC 402839 252206 EFT 08/20/2025 814.00 PRESSURE WASH TRAIN D 609862 42810 BECKWORKS LLC 402840 252543 EFT 08/20/2025 999.00 REPAIRS FOR MAYORS DE 609863 527 HOWARDS PAINT & DECORATIN 402841 252675 EFT 08/20/2025 622.34 PAINT FOR DEPOT PAVIL 609864 39246 SOUTHERN FIRE SPRINKLER 402842 252581 EFT 08/20/2025 50.00 FIRE EXTINGUISHERS 19 609865 29073 COBURN SUPPLY COMPANY INC 402843 250141 INV 08/20/2025 36.41 OPEN PO FOR SUPPLIES 609866 329 GULF COAST BUSINESS SUPPL 402844 252670 EFT 08/20/2025 60.24 PAPER PRODUCTS CITY H 609867 166 CINTAS CORP 240 402845 EFT 08/20/2025 54.80 RUGS 609868 2066 HAVARD PEST CONTROL 402846 EFT 08/20/2025 115.00 PEST MONTHLY RODENT 609869 42266 SIJ HOLDINGS, LLC 402847 250004 EFT 08/20/2025 196.44 LEGAL ADVERTISEMENTS 609870 610 SUNBELT FIRE INC 402848 252517 EFT 08/20/2025 2,632.64 HOSE BED COVERS 609871 43430 ADVENTURE LOCATORS LLC 402849 252633 INV 08/20/2025 70.00 CYLINDER DIAGNOSTIC C 609872 42230 JACOB B WILSON 402850 INV 08/20/2025 40.00 EMS PROVIDER CERTIFIC 609874 42230 JACOB B WILSON 402851 INV 08/20/2025 175.00 NATIONAL REGISTRY EMS 609877 40182 WASTE PRO OF MISSISSIPPI 402853 252016 EFT 08/20/2025 285.00 2025 CBTS PORTOLETS 609878 153 BROWNELLS INC 402854 252655 EFT 08/20/2025 11.49 WEAPON CLEANER 609880 42007 COMMUNICATIONS INTERNATIO 402856 250030 EFT 08/20/2025 215.40 BLANKET PO FY25 609881 6528 FLEETCOR 402857 EFT 08/20/2025 60.91 VEHICLE FUEL 609882 2066 HAVARD PEST CONTROL 402858 EFT 08/20/2025 25.00 PEST CONTROL 609886 43747 KAWASAKI MOTORS CORP, U.S 402861 252745 INV 08/20/2025 500.00 EDR DOWNLOAD - MOTORC 609887 22287 PARTS AND SUPPLY INC 402862 252491 EFT 08/20/2025 624.84 BLANKET PO FOR MOTOR 609888 25935 ADVANCED AUTO PARTS 402863 252585 INV 08/20/2025 144.04 BLANKET PO / VEHICLE 609889 25935 ADVANCED AUTO PARTS 402864 252585 INV 08/20/2025 88.89 BLANKET PO / VEHICLE 609890 25935 ADVANCED AUTO PARTS 402865 252585 INV 08/20/2025 14.26 BLANKET PO / VEHICLE 609891 25935 ADVANCED AUTO PARTS 402866 252585 INV 08/20/2025 16.90 BLANKET PO / VEHICLE 609892 25935 ADVANCED AUTO PARTS 402867 252585 INV 08/20/2025 320.68 BLANKET PO / VEHICLE 609893 25935 ADVANCED AUTO PARTS 402868 252585 INV 08/20/2025 55.00 BLANKET PO / VEHICLE 609894 25935 ADVANCED AUTO PARTS 402869 252585 INV 08/20/2025 158.73 BLANKET PO / VEHICLE 609895 25935 ADVANCED AUTO PARTS 402870 252585 INV 08/20/2025 35.60 BLANKET PO / VEHICLE 609896 25935 ADVANCED AUTO PARTS 402871 252585 INV 08/20/2025 190.00 BLANKET PO / VEHICLE 609897 25935 ADVANCED AUTO PARTS 402872 252585 INV 08/20/2025 109.90 BLANKET PO / VEHICLE 609898 5078 AUTO ZONE INC 402873 252346 INV 08/20/2025 24.99 BLANKET PO / VEHICLE 609899 5078 AUTO ZONE INC 402874 252346 INV 08/20/2025 246.48 BLANKET PO / VEHICLE Report generated: 08/11/2025 13:47:15 Page 132 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 609901 5078 AUTO ZONE INC 402876 252346 INV 08/20/2025 318.89 BLANKET PO / VEHICLE 609902 5078 AUTO ZONE INC 402877 252606 INV 08/20/2025 154.41 BLANKET PO / VEHICLE 609903 5078 AUTO ZONE INC 402878 252606 INV 08/20/2025 164.84 BLANKET PO / VEHICLE 609904 5078 AUTO ZONE INC 402879 252606 INV 08/20/2025 554.77 BLANKET PO / VEHICLE 609905 5078 AUTO ZONE INC 402880 252606 INV 08/20/2025 180.00 BLANKET PO / VEHICLE 609906 17730 BRUNOS NORTHSHORE INVESTM402881 250054 EFT 08/20/2025 1,822.50 BLANKET PO FOR MOTOR 609907 380 LOWES ACCTS RECEIVABLE PR 402882 252667 INV 08/20/2025 680.56 BLANKET PO / SUPPLIES 609908 42260 MANDAL AUTOMOTIVE OF DIBE 402883 251386 INV 08/20/2025 126.25 BLANKET PO / VEHICLE 609909 5534 M J DONOVAN ENTERPRISES 402884 251813 EFT 08/20/2025 661.71 BLANKET PO FOR VEHICL 609910 42266 SIJ HOLDINGS, LLC 402887 250002 EFT 08/20/2025 53.39 NEWSPAPER AND PUBLICA 609911 5534 M J DONOVAN ENTERPRISES 402885 251813 EFT 08/20/2025 192.33 BLANKET PO FOR VEHICL 609912 41868 MOTOROLA SOLUTIONS INC 402886 251646 EFT 08/20/2025 17,451.88 LICENSE PLATE READER 609913 389 OREILLY AUTO PARTS 402888 252540 EFT 08/20/2025 34.99 BLANKET PO / VEHICLE 609914 389 OREILLY AUTO PARTS 402889 252540 EFT 08/20/2025 197.14 BLANKET PO / VEHICLE 609915 389 OREILLY AUTO PARTS 402890 252540 EFT 08/20/2025 156.14 BLANKET PO / VEHICLE 609916 389 OREILLY AUTO PARTS 402891 252540 EFT 08/20/2025 -22.00 BLANKET PO / VEHICLE 609917 316 MID SOUTH UNIFORM & SUPPL 402892 250563 EFT 08/20/2025 403.48 BLANKET PO FY25 609918 377 PERFORMANCE TIRE & WHEEL 402893 252539 EFT 08/20/2025 1,665.24 TIRES 609919 6528 FLEETCOR 402894 EFT 08/20/2025 8,961.30 FUEL 609921 4828 SMB RADIOLOGY PA 402896 INV 08/20/2025 263.81 PRISONER BILL - BRITT 609922 24511 PHYSICIANS CLINIC @ MHG 402897 INV 08/20/2025 224.95 PRISONER BILL - JOSEP 609923 20457 KWAN SOFTWARE ENGINEERING402898 252706 INV 08/20/2025 14,856.00 VERIPIC RENWAL FOR PD 609924 26616 ULINE, INC. 402899 252643 EFT 08/20/2025 516.70 WIRE DECKING, CHAIR M 609926 29073 COBURN SUPPLY COMPANY INC 402901 250141 INV 08/20/2025 297.94 OPEN PO FOR SUPPLIES 609927 380 LOWES ACCTS RECEIVABLE PR 402902 251971 INV 08/20/2025 22.12 OPEN PO FOR SUPPLIES 609928 380 LOWES ACCTS RECEIVABLE PR 402903 252471 INV 08/20/2025 1,159.56 CEMETERY SUPPLIES 609929 611 SOUTHERN PIPE & SUPPLY CO 402904 252331 EFT 08/20/2025 331.24 OPEN FOR SUPPLIES 609930 611 SOUTHERN PIPE & SUPPLY CO 402905 252331 EFT 08/20/2025 10.64 OPEN FOR SUPPLIES 609932 29073 COBURN SUPPLY COMPANY INC 402907 250141 INV 08/20/2025 2.74 OPEN PO FOR SUPPLIES 609933 29073 COBURN SUPPLY COMPANY INC 402908 250141 INV 08/20/2025 4.47 OPEN PO FOR SUPPLIES 609934 6528 FLEETCOR 402909 EFT 08/20/2025 138.58 FUEL 609936 40843 EAGLE SERVICES, INC. 402911 251928 EFT 08/20/2025 7,278.00 ARMORY SAW SHOP AC'S 609938 11073 BAY ICE CO INC 402913 EFT 08/20/2025 96.25 GOODS FOR RETAIL 609939 11424 EAGLE ENERGY INC. 402914 EFT 08/20/2025 5,224.54 FUEL FOR RETAIL SALE 609940 11424 EAGLE ENERGY INC. 402915 EFT 08/20/2025 4,360.55 FUEL FOR RETAIL SALE 609941 6528 FLEETCOR 402916 EFT 08/20/2025 142.33 FUEL FOR MARINA USE 609942 6528 FLEETCOR 402917 EFT 08/20/2025 83.46 FUEL FOR MARINA USE 609943 220 NORMA JEAN SOROE 402918 250001 EFT 08/20/2025 244.53 ALL TRANSCRIPTS FROM 609944 380 LOWES ACCTS RECEIVABLE PR 402919 INV 08/20/2025 435.50 HL WAREHOUSE BUILDING 609945 380 LOWES ACCTS RECEIVABLE PR 402920 INV 08/20/2025 75.96 HL WAREHOUSE BUILDING Report generated: 08/11/2025 13:47:15 Page 133 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 609946 380 LOWES ACCTS RECEIVABLE PR 402921 252471 INV 08/20/2025 206.13 CEMETERY SUPPLIES 609947 2066 HAVARD PEST CONTROL 402922 EFT 08/20/2025 92.00 PEST CONTROL - PD 8TH 609948 380 LOWES ACCTS RECEIVABLE PR 402923 251971 INV 08/20/2025 75.96 OPEN PO FOR SUPPLIES 609949 380 LOWES ACCTS RECEIVABLE PR 402924 251971 INV 08/20/2025 113.98 OPEN PO FOR SUPPLIES 609952 860 THE SHERWIN WILLIAMS CO 402927 250145 EFT 08/20/2025 20.34 OPEN PO FOR SUPPLIES 609953 43446 TRUCKWORX HOLDING CO LLC 402928 252707 EFT 08/20/2025 4,280.70 VEHICLE MAINTENANCE / 609954 380 LOWES ACCTS RECEIVABLE PR 402929 251971 INV 08/20/2025 42.66 OPEN PO FOR SUPPLIES 609955 29073 COBURN SUPPLY COMPANY INC 402930 250141 INV 08/20/2025 98.75 OPEN PO FOR SUPPLIES 609957 42832 CORE GROUP GULFPORT 402932 EFT 08/20/2025 390.00 STATION 7 JOB #R44946 609958 60 A1 BATTERY INC 402933 250033 EFT 08/20/2025 435.00 BLANKET PO FY25 609959 18616 MUNICIPAL EMERGENCY SERVI 402934 EFT 08/20/2025 286.78 BRACKET FOR HURST SUB 609960 329 GULF COAST BUSINESS SUPPL 402935 252656 EFT 08/20/2025 547.99 OFFICE SUPPLIES 609961 24511 PHYSICIANS CLINIC @ MHG 402936 INV 08/20/2025 1,017.18 PRISONER BILL - CHRIS 609962 2066 HAVARD PEST CONTROL 402937 EFT 08/20/2025 75.00 PEST CONTROL FOR MARI 609963 6528 FLEETCOR 402938 EFT 08/20/2025 8,984.21 FUEL 609966 43710 JOHN A HAGER 402941 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609967 43710 JOHN A HAGER 402942 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609968 43711 ALVIN C JACKSON 402943 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609969 43711 ALVIN C JACKSON 402944 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609971 43713 JALEN D LEE 402946 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609972 43713 JALEN D LEE 402947 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609973 43716 JAXSON S OGBURN 402948 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609974 43716 JAXSON S OGBURN 402949 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609975 43717 CALEB E PRESTWOOD 402950 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609976 43717 CALEB E PRESTWOOD 402951 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609977 43719 JACK N WOOD 402952 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609978 43719 JACK N WOOD 402953 INV 08/20/2025 68.00 FOOD ALLOWANCE MSFA A 609979 43151 JHS ENTERPRISES INC 402954 252674 EFT 08/20/2025 62.00 BUSINESS CARDS FPB 609980 15682 RAYCOM MEDIA CORP 402955 INV 08/20/2025 375.00 JOB ADVERTISEMENT FOR 609981 15682 RAYCOM MEDIA CORP 402956 INV 08/20/2025 105.00 JOB ADVERTISEMENT FOR 609982 548 HUMANE SOCIETY OF S MS IN 402957 EFT 08/20/2025 150.00 BITE CASE FEE JUNE 20 609983 548 HUMANE SOCIETY OF S MS IN 402958 EFT 08/20/2025 17,936.20 MONTHLY ANIMAL CONTRO 609987 41972 TIMOTHY WESTBROOK 402960 252661 EFT 08/20/2025 850.00 LOT CLEAN-UP 609988 41972 TIMOTHY WESTBROOK 402961 252661 EFT 08/20/2025 500.00 LOT CLEAN-UP 609989 41972 TIMOTHY WESTBROOK 402962 252661 EFT 08/20/2025 450.00 LOT CLEAN-UP 609990 41972 TIMOTHY WESTBROOK 402963 252661 EFT 08/20/2025 500.00 LOT CLEAN-UP 609991 41972 TIMOTHY WESTBROOK 402964 252661 EFT 08/20/2025 250.00 LOT CLEAN-UP 609992 38002 TAPPER SECURITY INC 402965 EFT 08/20/2025 98.97 ALARM SERVICES - 8TH 609993 38002 TAPPER SECURITY INC 402966 EFT 08/20/2025 158.94 ALARM SERVICES - PAL 609994 38002 TAPPER SECURITY INC 402967 EFT 08/20/2025 119.97 ALARM SERVICES - TRAI Report generated: 08/11/2025 13:47:15 Page 134 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 609996 43364 COASTAL PRINTS LLC 402968 252698 EFT 08/20/2025 89.12 MISSED SHIRTS FROM LA 609997 389 OREILLY AUTO PARTS 402969 EFT 08/20/2025 125.80 MAINTENANCE PARTS 609998 42247 PAYMENTUS CORPORATION 402970 EFT 08/20/2025 77.00 TRANSACTION FEES FOR 609999 337 KNIGHT ABBEY COMMERCIAL P 402971 INV 08/20/2025 748.60 MONTHLY WATER STATEME 610000 337 KNIGHT ABBEY COMMERCIAL P 402972 INV 08/20/2025 266.70 MONTHLY WATER STATEME 610001 337 KNIGHT ABBEY COMMERCIAL P 402973 INV 08/20/2025 810.70 MONTHLY WATER STATEME 610002 337 KNIGHT ABBEY COMMERCIAL P 402974 INV 08/20/2025 330.62 MONTHLY WATER STATEME 610003 10316 TYLER TECHNOLOGIES, INC. 402975 INV 08/20/2025 185,469.73 TYLER NEW WORLD MTN P 610004 43278 DELL INC 402976 252696 INV 08/20/2025 1,157.89 DELL LAPTOP AND DOCK 610005 43476 OTIS ELEVATOR COMPANY 402977 INV 08/20/2025 1,300.00 ELEVATOR SERVICE 610006 43476 OTIS ELEVATOR COMPANY 402978 INV 08/20/2025 103.00 ELVATOR SERVICE 610007 43386 DIXIE GLASS AND TRIM SHOP 402979 252478 INV 08/20/2025 586.00 CITY HALL GLASS INSTA 610008 39246 SOUTHERN FIRE SPRINKLER 402980 252592 EFT 08/20/2025 300.00 SERVICE CALL 135 COUR 610009 24702 WEAVER ELECTRIC INC 402981 252641 EFT 08/20/2025 250.00 SERVICE CALL CARNEGIE 610010 20675 CHANCELLOR SUPPLY, INC 402982 250146 EFT 08/20/2025 31.39 OPEN PO FOR SUPPLIES 610012 43050 GARRET M LANDRY 402983 INV 08/20/2025 104.00 EMS PARAMEDIC NATIONA 610013 43050 GARRET M LANDRY 402984 INV 08/20/2025 40.00 EMS PROVIDER CERTIFIC 610014 43050 GARRET M LANDRY 402985 INV 08/20/2025 26.57 EMS PARAMEDIC REQUIRE 610015 43050 GARRET M LANDRY 402986 INV 08/20/2025 54.17 EMS PARAMEDIC REQIRED 610017 42266 SIJ HOLDINGS, LLC 402987 250004 EFT 08/20/2025 103.75 LEGAL ADVERTISEMENTS 610018 29073 COBURN SUPPLY COMPANY INC 402988 250141 INV 08/20/2025 213.66 OPEN PO FOR SUPPLIES 610019 29073 COBURN SUPPLY COMPANY INC 402989 250141 INV 08/20/2025 48.83 OPEN PO FOR SUPPLIES 610020 29073 COBURN SUPPLY COMPANY INC 402991 250141 INV 08/20/2025 4.95 OPEN PO FOR SUPPLIES 610021 33797 TRANSUNION RISK AND ALTER 402992 INV 08/20/2025 864.00 BACKGROUND CHECKS 610022 41100 GUARDIAN ALLIANCE TECHNOL 402993 250065 EFT 08/20/2025 550.00 BACKGROUND CHECK / SE 610023 15682 RAYCOM MEDIA CORP 402994 INV 08/20/2025 2,520.00 JOB ADVERTISEMENT FOR 610024 9990 HODA ELECTRIC/ TIMOTHY HO 402995 INV 08/20/2025 160.00 REFUND FOR PERMIT 202 610025 2066 HAVARD PEST CONTROL 402996 EFT 08/20/2025 1,455.98 PEST CONTROL QUARTERL 610026 20674 BONDS SERVICES, INC 402997 EFT 08/20/2025 9,025.00 JANITORIAL SERVICES 610027 380 LOWES ACCTS RECEIVABLE PR 402998 251971 INV 08/20/2025 83.37 OPEN PO FOR SUPPLIES 610028 380 LOWES ACCTS RECEIVABLE PR 402999 251971 INV 08/20/2025 12.33 OPEN PO FOR SUPPLIES 610029 380 LOWES ACCTS RECEIVABLE PR 403000 251971 INV 08/20/2025 60.18 OPEN PO FOR SUPPLIES 610030 380 LOWES ACCTS RECEIVABLE PR 403001 251971 INV 08/20/2025 92.43 OPEN PO FOR SUPPLIES 610031 380 LOWES ACCTS RECEIVABLE PR 403002 252471 INV 08/20/2025 115.24 CEMETERY SUPPLIES 610032 380 LOWES ACCTS RECEIVABLE PR 403003 251971 INV 08/20/2025 26.58 OPEN PO FOR SUPPLIES 610033 380 LOWES ACCTS RECEIVABLE PR 403004 251971 INV 08/20/2025 12.33 OPEN PO FOR SUPPLIES 610034 380 LOWES ACCTS RECEIVABLE PR 403005 252471 INV 08/20/2025 745.57 CEMETERY SUPPLIES 610035 380 LOWES ACCTS RECEIVABLE PR 403006 252471 INV 08/20/2025 62.66 CEMETERY SUPPLIES 610036 20114 FIRST STUDENT 403007 252290 INV 08/20/2025 731.00 TRANSPORTATION FOR SU 610037 380 LOWES ACCTS RECEIVABLE PR 403009 252471 INV 08/20/2025 8.38 CEMETERY SUPPLIES Report generated: 08/11/2025 13:47:15 Page 135 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610038 20114 FIRST STUDENT 403008 252290 INV 08/20/2025 770.10 TRANSPORTATION FOR SU 610039 20114 FIRST STUDENT 403010 252290 INV 08/20/2025 782.00 TRANSPORTATION FOR SU 610040 380 LOWES ACCTS RECEIVABLE PR 403011 252471 INV 08/20/2025 570.55 CEMETERY SUPPLIES 610041 20114 FIRST STUDENT 403012 252290 INV 08/20/2025 776.90 TRANSPORTATION FOR SU 610042 20114 FIRST STUDENT 403013 252290 INV 08/20/2025 340.00 TRANSPORTATION FOR SU 610043 380 LOWES ACCTS RECEIVABLE PR 403014 252471 CRM 08/20/2025 -531.05 CEMETERY SUPPLIES 610044 20114 FIRST STUDENT 403015 252290 INV 08/20/2025 680.00 TRANSPORTATION FOR SU 610045 1103 STATE OF MISSISSIPPI 403017 INV 08/20/2025 75.00 NOTARY APP FEES FOR M 610046 20114 FIRST STUDENT 403016 252290 INV 08/20/2025 340.00 TRANSPORTATION FOR SU 610047 860 THE SHERWIN WILLIAMS CO 403018 250145 EFT 08/20/2025 16.97 OPEN PO FOR SUPPLIES 610048 20114 FIRST STUDENT 403019 252290 INV 08/20/2025 340.00 TRANSPORTATION FOR SU 610049 20114 FIRST STUDENT 403020 252290 INV 08/20/2025 340.00 TRANSPORTATION FOR SU 610050 43520 CFF LLC 403021 EFT 08/20/2025 1,987.50 FY 2023 AUDIT PREPARA 610051 20114 FIRST STUDENT 403022 252290 INV 08/20/2025 861.90 TRANSPORTATION FOR SU 610052 32673 WILLIAM GRANT KOON 403023 252678 INV 08/20/2025 620.00 FOOD ALLOWANCE 610053 20114 FIRST STUDENT 403024 252290 INV 08/20/2025 363.80 TRANSPORTATION FOR SU 610054 8571 DANIEL CROUSE 403025 252677 INV 08/20/2025 620.00 FOOD ALLOWANCE 610055 20114 FIRST STUDENT 403026 252290 INV 08/20/2025 369.75 TRANSPORTATION FOR SU 610056 42967 MANUEL SANTOS 403027 252679 INV 08/20/2025 620.00 FOOD ALLOWANCE 610058 3823 MS ATTORNEY GENERALS OFFI 403029 INV 08/20/2025 250.00 VICTIMS HUMAN TRAFFIC 610061 20114 FIRST STUDENT 403030 252290 INV 08/20/2025 685.10 TRANSPORTATION FOR SU 610062 40691 MAULDIN & JENKINS LLC 403031 EFT 08/20/2025 7,000.00 Single Audit FYE 2023 610063 42266 SIJ HOLDINGS, LLC 403032 250022 EFT 08/20/2025 38.95 PUBLICATION OF ORDINA 610064 42266 SIJ HOLDINGS, LLC 403033 250022 EFT 08/20/2025 41.68 PUBLICATION OF ORDINA 610065 42266 SIJ HOLDINGS, LLC 403034 250022 EFT 08/20/2025 44.24 PUBLICATION OF ORDINA 610066 42266 SIJ HOLDINGS, LLC 403035 250022 EFT 08/20/2025 44.57 PUBLICATION OF ORDINA 610067 42266 SIJ HOLDINGS, LLC 403036 250022 EFT 08/20/2025 43.92 PUBLICATION OF ORDINA 610070 42266 SIJ HOLDINGS, LLC 403038 250022 EFT 08/20/2025 42.96 PUBLICATION OF ORDINA 610071 42266 SIJ HOLDINGS, LLC 403039 250022 EFT 08/20/2025 40.71 PUBLICATION OF ORDINA 610072 34786 JONES WALKER LLP 403040 INV 08/20/2025 2,000.00 Legislative Matters f 610073 42266 SIJ HOLDINGS, LLC 403041 250022 EFT 08/20/2025 48.42 PUBLICATION OF ORDINA 610074 42266 SIJ HOLDINGS, LLC 403042 250022 EFT 08/20/2025 48.10 PUBLICATION OF ORDINA 610075 42266 SIJ HOLDINGS, LLC 403043 250004 EFT 08/20/2025 231.68 LEGAL ADVERTISEMENTS 610076 6528 FLEETCOR 403044 EFT 08/20/2025 2,979.43 FD ACCT 126561 FUELMA 610077 220 NORMA JEAN SOROE 403045 250001 EFT 08/20/2025 175.00 ALL TRANSCRIPTS FROM 610079 6528 FLEETCOR 403047 EFT 08/20/2025 68.01 VEHICLE FUEL 610080 40142 SPORTSENGINE 403048 EFT 08/20/2025 111.00 JULY BACKGROUND CHECK 610081 4792 MS DEPT OF PUBLIC SAFETY 403049 EFT 08/20/2025 1,729.62 INTERLOCK IGNITION JU 610082 43643 DELTA UTILITIES AGGREGATO 403050 INV 08/20/2025 32.66 GAS 610083 15015 LANGUAGE LINE SERVICES 403051 EFT 08/20/2025 370.93 INTERPRETATION SERVIC Report generated: 08/11/2025 13:47:15 Page 136 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610084 40813 CALLYO 2009 CORP 403052 252796 INV 08/20/2025 6,016.00 SUBSCRIPTION 610085 41972 TIMOTHY WESTBROOK 403053 252492 EFT 08/20/2025 2,100.00 LOT CLEAN-UP 610116 5097 BILLY KELLEY 403084 INV 08/20/2025 124.20 NESHOBA COUNTY REGIST 610117 40677 LEE C. RUSSELL 403085 INV 08/20/2025 4,167.00 PUBLIC DEFENDER JULY 610118 4792 MS DEPT OF PUBLIC SAFETY 403086 EFT 08/20/2025 2,191.35 DEPT OF PUBLIC SAFETY 610119 1724 MS STATE TREASURER 403087 INV 08/20/2025 28,016.15 COURT ASSESSMENT/FINE 610120 166 CINTAS CORP 240 403088 EFT 08/20/2025 55.30 BLACK MAT / LOGO MAT 610121 166 CINTAS CORP 240 403089 EFT 08/20/2025 55.30 BLACK MAT / LOGO MAT 610122 166 CINTAS CORP 240 403090 EFT 08/20/2025 55.30 BLACK MAT / LOGO MAT 610123 166 CINTAS CORP 240 403091 EFT 08/20/2025 55.30 BLACK MAT / LOGO MAT 610124 31315 AMERICAN MUNICIPAL SERVIC 403092 EFT 08/20/2025 1,223.30 AMER MUNICIPAL SERVIC 610125 43151 JHS ENTERPRISES INC 403093 252580 EFT 08/20/2025 39.00 NOTARY STAMP 610126 530 HOWARD SMITH EQUIPMENT 403094 251373 EFT 08/20/2025 41.46 BLANKET PO FY25 610127 389 OREILLY AUTO PARTS 403095 251681 EFT 08/20/2025 20.16 BLANKET PO FY25 610128 389 OREILLY AUTO PARTS 403096 251681 EFT 08/20/2025 25.47 BLANKET PO FY25 610129 389 OREILLY AUTO PARTS 403097 251681 EFT 08/20/2025 33.98 BLANKET PO FY25 610130 389 OREILLY AUTO PARTS 403098 251681 EFT 08/20/2025 53.50 BLANKET PO FY25 610131 43643 DELTA UTILITIES AGGREGATO 403099 INV 08/20/2025 182.83 GAS STA 6 3204895-1 J 610136 20675 CHANCELLOR SUPPLY, INC 403103 251083 EFT 08/20/2025 231.10 OPEN FOR SUPPLIES 610137 329 GULF COAST BUSINESS SUPPL 403104 252546 EFT 08/20/2025 2,458.16 SUPPLIES 610138 860 THE SHERWIN WILLIAMS CO 403105 250145 EFT 08/20/2025 29.51 OPEN PO FOR SUPPLIES 610139 6528 FLEETCOR 403106 EFT 08/20/2025 286.01 FUEL 610140 43246 DENNIS E ROJAS 403107 INV 08/20/2025 120.00 FOOD ALLOWANCE MSFA A 610141 34613 JOSEPH ABERCROMBIE 403108 INV 08/20/2025 150.00 FOOD ALLOWANCE MSFA A 610144 553 SOUTH MS BUSINESS MACHINE 403110 EFT 06/27/2025 131.00 URBAN DEVELOPMENT 610145 553 SOUTH MS BUSINESS MACHINE 403111 EFT 06/27/2025 16.51 BRITTANY RODGERS 610146 553 SOUTH MS BUSINESS MACHINE 403112 EFT 06/27/2025 50.03 LEASE 8 610147 553 SOUTH MS BUSINESS MACHINE 403113 EFT 06/27/2025 128.03 LEASE 10 610148 553 SOUTH MS BUSINESS MACHINE 403114 EFT 06/27/2025 126.97 LEASE 10 610149 553 SOUTH MS BUSINESS MACHINE 403115 EFT 06/27/2025 259.38 LEASE 10 610150 553 SOUTH MS BUSINESS MACHINE 403116 EFT 06/27/2025 499.27 LEASE 10 610151 553 SOUTH MS BUSINESS MACHINE 403117 EFT 06/27/2025 203.47 LEASE 10 610152 553 SOUTH MS BUSINESS MACHINE 403118 EFT 06/27/2025 123.92 LEASE 10 610153 553 SOUTH MS BUSINESS MACHINE 403119 EFT 06/27/2025 1,819.21 LEASE 10 610154 553 SOUTH MS BUSINESS MACHINE 403120 EFT 06/27/2025 240.37 LEASE 10 610155 553 SOUTH MS BUSINESS MACHINE 403121 EFT 06/27/2025 278.82 LEASE 10 610156 553 SOUTH MS BUSINESS MACHINE 403122 EFT 06/27/2025 634.18 LEASE 10 610157 553 SOUTH MS BUSINESS MACHINE 403123 EFT 06/27/2025 182.48 LEASE 10 610158 553 SOUTH MS BUSINESS MACHINE 403124 EFT 06/27/2025 304.59 LEASE 11 610159 553 SOUTH MS BUSINESS MACHINE 403125 EFT 06/27/2025 157.96 LEASE 12 Report generated: 08/11/2025 13:47:15 Page 137 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610160 553 SOUTH MS BUSINESS MACHINE 403126 EFT 06/27/2025 229.01 LEASE 12 610161 553 SOUTH MS BUSINESS MACHINE 403127 EFT 06/27/2025 257.85 LEASE 13 610162 553 SOUTH MS BUSINESS MACHINE 403128 EFT 06/27/2025 236.63 LEASE 14 610163 553 SOUTH MS BUSINESS MACHINE 403129 EFT 06/27/2025 72.30 LEASE 16 610164 553 SOUTH MS BUSINESS MACHINE 403130 EFT 06/27/2025 72.30 LEASE 16 610165 553 SOUTH MS BUSINESS MACHINE 403131 EFT 06/27/2025 622.48 LEASE 17 610166 553 SOUTH MS BUSINESS MACHINE 403132 EFT 06/27/2025 546.20 LEASE 17 610167 553 SOUTH MS BUSINESS MACHINE 403133 EFT 06/27/2025 339.37 LEASE 17 610168 553 SOUTH MS BUSINESS MACHINE 403134 EFT 06/27/2025 386.20 LEASE 17 610169 553 SOUTH MS BUSINESS MACHINE 403135 EFT 06/27/2025 208.59 LEASE 17 610170 553 SOUTH MS BUSINESS MACHINE 403136 EFT 06/27/2025 209.32 LEASE 17 610171 553 SOUTH MS BUSINESS MACHINE 403137 EFT 06/27/2025 226.26 LEASE 17 610172 553 SOUTH MS BUSINESS MACHINE 403138 EFT 06/27/2025 209.45 LEASE 17 610173 553 SOUTH MS BUSINESS MACHINE 403139 EFT 06/27/2025 248.23 LEASE 17 610174 610 SUNBELT FIRE INC 403140 250026 EFT 08/20/2025 278.31 BLANKET PO FY25 610175 610 SUNBELT FIRE INC 403141 EFT 08/20/2025 167.73 VEHICLE MAINTENANCE / 610176 6528 FLEETCOR 403142 EFT 08/20/2025 38.40 FUEL CHARGES - MAROON 610177 1248 LEXISNEXIS 403143 EFT 08/20/2025 282.22 SUBSCRIPTION FEE - BA 610178 43459 SAFEBUILT LLC 403144 250595 INV 08/20/2025 1,066.35 COMMERICAL AND RESIDE 610179 383 STATE FIRE ACADEMY 403145 INV 08/20/2025 250.00 ROPE RESCUE TECHNICIA 610180 43459 SAFEBUILT LLC 403146 250595 INV 08/20/2025 1,166.95 COMMERICAL AND RESIDE 610181 43459 SAFEBUILT LLC 403147 250595 INV 08/20/2025 962.20 COMMERICAL AND RESIDE 610182 43459 SAFEBUILT LLC 403148 250595 INV 08/20/2025 795.39 COMMERICAL AND RESIDE 610183 43459 SAFEBUILT LLC 403149 250595 INV 08/20/2025 1,235.20 COMMERICAL AND RESIDE 610184 43459 SAFEBUILT LLC 403150 250595 INV 08/20/2025 765.64 COMMERICAL AND RESIDE 610185 43459 SAFEBUILT LLC 403151 250595 INV 08/20/2025 1,805.39 COMMERICAL AND RESIDE 610186 43459 SAFEBUILT LLC 403152 250595 INV 08/20/2025 943.09 COMMERICAL AND RESIDE 610187 43459 SAFEBUILT LLC 403153 250595 INV 08/20/2025 696.13 COMMERICAL AND RESIDE 610188 43459 SAFEBUILT LLC 403154 250595 INV 08/20/2025 782.78 COMMERICAL AND RESIDE 610189 43459 SAFEBUILT LLC 403155 250595 INV 08/20/2025 143.04 COMMERICAL AND RESIDE 610190 42266 SIJ HOLDINGS, LLC 403156 250002 EFT 08/20/2025 52.43 NEWSPAPER AND PUBLICA 610191 35169 AMERICAN TESTING & INSPEC 403157 EFT 08/20/2025 2,300.00 ANNUAL INSPECTION 610192 17387 BC GROUP HOLDINGS INC 403159 252680 EFT 08/20/2025 4,194.85 ID PRINTER 610193 6528 FLEETCOR 403158 EFT 08/20/2025 10,229.83 FUEL 610194 43364 COASTAL PRINTS LLC 403160 EFT 08/20/2025 473.71 TSHIRTS 610195 20659 CORNETT BOLT & SCREW, INC 403161 EFT 08/20/2025 13.00 SUPPLIES 610196 38362 CDW LLC 403162 252664 EFT 08/20/2025 3,567.08 LAPTOP 610197 235 DIBS CHEMICAL & SUPPLY CO 403163 252638 EFT 08/20/2025 134.29 CHEMICALS 610198 29073 COBURN SUPPLY COMPANY INC 403166 250141 INV 08/20/2025 87.18 OPEN PO FOR SUPPLIES 610199 235 DIBS CHEMICAL & SUPPLY CO 403164 252127 EFT 08/20/2025 805.75 CHEMICALS Report generated: 08/11/2025 13:47:15 Page 138 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610200 235 DIBS CHEMICAL & SUPPLY CO 403165 252101 EFT 08/20/2025 106.79 SUPPLIES 610202 40843 EAGLE SERVICES, INC. 403167 252720 EFT 08/20/2025 85.00 SERVICE CALL HARDY 2N 610203 40843 EAGLE SERVICES, INC. 403168 252622 EFT 08/20/2025 195.00 SERVICE CALL PW UNIT 610204 235 DIBS CHEMICAL & SUPPLY CO 403169 252638 EFT 08/20/2025 671.46 CHEMICALS 610205 40843 EAGLE SERVICES, INC. 403170 252749 EFT 08/20/2025 85.00 SERVICE CALL PUBLIC W 610207 43523 FIELD IN BLOOM INC 403172 252767 EFT 08/20/2025 949.75 PLANTS 610208 43749 PS WHOLESALE FLOORS, LLC 403173 INV 08/20/2025 45.89 FLOORING 610210 43419 GUARANTEE RESTORATION SER403174 252312 INV 08/20/2025 10,350.00 PAVILION REPAIR 610211 2066 HAVARD PEST CONTROL 403175 EFT 08/20/2025 100.00 PEST CONTROL SERVICES 610212 320 KEELING CO 403176 252102 EFT 08/20/2025 635.73 SUPPLIES 610213 29073 COBURN SUPPLY COMPANY INC 403177 250141 INV 08/20/2025 6.27 OPEN PO FOR SUPPLIES 610215 25935 ADVANCED AUTO PARTS 403178 252585 INV 08/20/2025 111.28 BLANKET PO / VEHICLE 610216 25935 ADVANCED AUTO PARTS 403179 252585 INV 08/20/2025 302.04 BLANKET PO / VEHICLE 610217 25935 ADVANCED AUTO PARTS 403180 252585 INV 08/20/2025 72.00 BLANKET PO / VEHICLE 610218 25935 ADVANCED AUTO PARTS 403181 252585 INV 08/20/2025 168.83 BLANKET PO / VEHICLE 610219 25935 ADVANCED AUTO PARTS 403182 252585 INV 08/20/2025 168.83 BLANKET PO / VEHICLE 610220 25935 ADVANCED AUTO PARTS 403183 252585 INV 08/20/2025 135.99 BLANKET PO / VEHICLE 610221 25935 ADVANCED AUTO PARTS 403184 252585 INV 08/20/2025 57.81 BLANKET PO / VEHICLE 610222 25935 ADVANCED AUTO PARTS 403185 252585 INV 08/20/2025 88.97 BLANKET PO / VEHICLE 610223 25935 ADVANCED AUTO PARTS 403186 252585 INV 08/20/2025 81.00 BLANKET PO / VEHICLE 610224 25935 ADVANCED AUTO PARTS 403187 252585 INV 08/20/2025 9.20 BLANKET PO / VEHICLE 610225 25935 ADVANCED AUTO PARTS 403188 252585 INV 08/20/2025 118.64 BLANKET PO / VEHICLE 610226 25935 ADVANCED AUTO PARTS 403189 252585 INV 08/20/2025 87.28 BLANKET PO / VEHICLE 610227 25935 ADVANCED AUTO PARTS 403190 252585 INV 08/20/2025 14.41 BLANKET PO / VEHICLE 610228 25935 ADVANCED AUTO PARTS 403191 252585 INV 08/20/2025 42.67 BLANKET PO / VEHICLE 610229 25935 ADVANCED AUTO PARTS 403192 252585 INV 08/20/2025 4.00 BLANKET PO / VEHICLE 610230 5078 AUTO ZONE INC 403193 252606 INV 08/20/2025 88.55 BLANKET PO / VEHICLE 610231 5078 AUTO ZONE INC 403194 252606 INV 08/20/2025 50.00 BLANKET PO / VEHICLE 610232 5078 AUTO ZONE INC 403195 252606 INV 08/20/2025 267.96 BLANKET PO / VEHICLE 610233 5078 AUTO ZONE INC 403196 252606 INV 08/20/2025 129.79 BLANKET PO / VEHICLE 610234 5078 AUTO ZONE INC 403197 252606 INV 08/20/2025 324.65 BLANKET PO / VEHICLE 610235 40516 DANA SAFETY SUPPLY 403198 252600 EFT 08/20/2025 862.56 CONSOLE - SPEAKER 610236 42605 DISTRIBUTORS HOLDING CORP 403199 252541 EFT 08/20/2025 154.94 BLANKET PO / VEHICLE 610237 41693 LESLIE SLADE 403200 251568 EFT 08/20/2025 485.00 WINDOW TINT 610238 41693 LESLIE SLADE 403201 251568 EFT 08/20/2025 485.00 WINDOW TINT 610239 42260 MANDAL AUTOMOTIVE OF DIBE 403202 252420 INV 08/20/2025 237.50 BLANKET PO / VEHICLE 610240 42260 MANDAL AUTOMOTIVE OF DIBE 403203 252420 INV 08/20/2025 20.92 BLANKET PO / VEHICLE 610241 42260 MANDAL AUTOMOTIVE OF DIBE 403204 252420 INV 08/20/2025 485.00 BLANKET PO / VEHICLE 610242 42260 MANDAL AUTOMOTIVE OF DIBE 403205 252420 INV 08/20/2025 76.31 BLANKET PO / VEHICLE 610243 40516 DANA SAFETY SUPPLY 403206 252524 EFT 08/20/2025 5,004.55 LIGHTS AND SIRENS Report generated: 08/11/2025 13:47:15 Page 139 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610244 389 OREILLY AUTO PARTS 403207 252540 EFT 08/20/2025 204.00 BLANKET PO / VEHICLE 610245 389 OREILLY AUTO PARTS 403208 252540 EFT 08/20/2025 49.82 BLANKET PO / VEHICLE 610246 39487 THE LINCOLN NATIONAL LIFE 403209 EFT 08/20/2025 6,645.99 AUGUST 2025 LIFE AD&D 610247 389 OREILLY AUTO PARTS 403210 252540 EFT 08/20/2025 1,476.58 BLANKET PO / VEHICLE 610248 389 OREILLY AUTO PARTS 403211 252540 EFT 08/20/2025 538.00 BLANKET PO / VEHICLE 610249 42266 SIJ HOLDINGS, LLC 403212 250004 EFT 08/20/2025 98.95 LEGAL ADVERTISEMENTS 610250 83 ACE DATA STORAGE COMPANY 403213 EFT 08/20/2025 60.00 ACE DATA STORAGE 610251 83 ACE DATA STORAGE COMPANY 403215 EFT 08/20/2025 40.00 ACE DATA STORAGE 610252 42832 CORE GROUP GULFPORT 403214 252355 EFT 08/20/2025 672.00 BUILDING MAINTENANCE 610253 83 ACE DATA STORAGE COMPANY 403216 EFT 08/20/2025 156.00 ACE DATA STORAGE 610254 83 ACE DATA STORAGE COMPANY 403217 EFT 08/20/2025 330.00 ACE DATA STORAGE 610255 22287 PARTS AND SUPPLY INC 403218 252491 EFT 08/20/2025 1,640.55 BLANKET PO FOR MOTOR 610256 22287 PARTS AND SUPPLY INC 403219 250827 EFT 08/20/2025 17.88 BLANKET PO FOR MOTOR 610257 377 PERFORMANCE TIRE & WHEEL 403220 252539 EFT 08/20/2025 295.06 TIRES 610258 377 PERFORMANCE TIRE & WHEEL 403221 252708 EFT 08/20/2025 4,530.12 TIRES 610260 377 PERFORMANCE TIRE & WHEEL 403222 EFT 08/20/2025 129.95 TIRES 610261 377 PERFORMANCE TIRE & WHEEL 403223 EFT 08/20/2025 512.44 TIRES 610262 10043 ROBERT HALLS AUTO SALVAGE 403224 250053 INV 08/20/2025 300.00 BLANKET PO / VEHICLE 610264 329 GULF COAST BUSINESS SUPPL 403225 EFT 08/20/2025 16.99 OFFICE SUPPLIES UNDER 610265 43510 SOUTHERN PRINTING 403226 252666 EFT 08/20/2025 2,728.25 UNIFORMS 610268 320 KEELING CO 403228 252126 EFT 08/20/2025 126.22 SUPPLIES 610269 320 KEELING CO 403230 252760 EFT 08/20/2025 815.61 CHEMICALS BEAUTIFICA 610270 43389 KENNETH REGINALD CASEY 403231 250363 EFT 08/20/2025 2,000.00 CONTRACT A-C-G -- GRO 610271 43389 KENNETH REGINALD CASEY 403232 250363 EFT 08/20/2025 2,300.00 CONTRACT A-C-G -- GRO 610272 43389 KENNETH REGINALD CASEY 403233 250363 EFT 08/20/2025 2,000.00 CONTRACT A-C-G -- GRO 610273 43389 KENNETH REGINALD CASEY 403234 250363 EFT 08/20/2025 1,900.00 CONTRACT A-C-G -- GRO 610274 380 LOWES ACCTS RECEIVABLE PR 403235 252116 INV 08/20/2025 32.22 SUPPLIES 610276 39312 AT&T MOBILITY II LLC 403237 INV 08/20/2025 1,790.32 ACCT 287290411730 JUL 610277 43077 MURRAYS NURSERY LLC 403238 252773 INV 08/20/2025 21,847.50 DOWNTOWN PLANTS 610278 29983 PENICK FOREST PRODUCTS IN 403239 252665 EFT 08/20/2025 3,238.50 MULCH 610279 18121 QUALITY LOGO PRODUCTS INC 403240 252644 EFT 08/20/2025 546.41 LS - PROMOTIONAL ITEM 610280 18121 QUALITY LOGO PRODUCTS INC 403241 252644 EFT 08/20/2025 642.17 LS - PROMOTIONAL ITEM 610281 18121 QUALITY LOGO PRODUCTS INC 403242 252644 EFT 08/20/2025 917.42 LS - PROMOTIONAL ITEM 610282 18121 QUALITY LOGO PRODUCTS INC 403243 252644 EFT 08/20/2025 336.74 LS - PROMOTIONAL ITEM 610283 18121 QUALITY LOGO PRODUCTS INC 403244 252644 EFT 08/20/2025 407.24 LS - PROMOTIONAL ITEM 610284 18121 QUALITY LOGO PRODUCTS INC 403245 252644 EFT 08/20/2025 575.74 LS - PROMOTIONAL ITEM 610285 18121 QUALITY LOGO PRODUCTS INC 403246 252644 EFT 08/20/2025 764.82 LS - PROMOTIONAL ITEM 610286 316 MID SOUTH UNIFORM & SUPPL 403247 251913 EFT 08/20/2025 2,129.82 BADGES 610287 316 MID SOUTH UNIFORM & SUPPL 403248 250563 EFT 08/20/2025 93.96 BLANKET PO FY25 610288 316 MID SOUTH UNIFORM & SUPPL 403249 EFT 08/20/2025 1,114.16 BADGES Report generated: 08/11/2025 13:47:15 Page 140 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610289 15812 SORG PRINTING LLC 403250 EFT 08/20/2025 475.00 FLYERS 610290 40826 TYREE A DAVIS 403251 252195 EFT 08/20/2025 500.00 LABOR 610291 40826 TYREE A DAVIS 403252 252195 EFT 08/20/2025 500.00 LABOR 610292 40182 WASTE PRO OF MISSISSIPPI 403253 EFT 08/20/2025 419.00 #040173-SHIP ISLAND 610293 40182 WASTE PRO OF MISSISSIPPI 403254 EFT 08/20/2025 234.00 #040166-WESTSIDE PARK 610294 40182 WASTE PRO OF MISSISSIPPI 403255 EFT 08/20/2025 209.00 #040164-ORANGE GROVE 610295 40182 WASTE PRO OF MISSISSIPPI 403256 EFT 08/20/2025 209.00 #040163-HERBERT WILSO 610296 40182 WASTE PRO OF MISSISSIPPI 403257 EFT 08/20/2025 209.00 #040161-HANDSBORO CC 610297 40182 WASTE PRO OF MISSISSIPPI 403258 EFT 08/20/2025 209.00 #040158-28TH ST 610298 40182 WASTE PRO OF MISSISSIPPI 403259 EFT 08/20/2025 324.00 #040152-BV FIELDS 610299 40182 WASTE PRO OF MISSISSIPPI 403260 EFT 08/20/2025 231.45 #040149-LYMAN CC 610300 40182 WASTE PRO OF MISSISSIPPI 403261 EFT 08/20/2025 209.00 #006568-SR CENTER 610302 42660 WOLVERTON PROPERTY MANAGE 403263 250365 EFT 08/20/2025 5,945.00 GROUNDS MAINTENANCE F 610303 42004 ROBERT KRISTIAN RIEMANN 403264 250634 EFT 08/20/2025 7,554.47 MIMA PAVING INFRASTRU 610304 6128 SUNCOAST INFRASTRUCTURE I 403265 250641 INV 08/20/2025 148,170.79 CONSTRUCTION - MIMA P 610305 37710 COVINGTON CIVIL & ENVIRON 403266 241351 EFT 08/20/2025 36,250.00 N GPT WASTEWATER TRTM 610306 37710 COVINGTON CIVIL & ENVIRON 403267 241352 EFT 08/20/2025 41,250.00 N GPT WASTEWATER TRTM 610307 43647 MALOUF CONSTRUCTION LLC 403268 251991 EFT 08/20/2025 476,244.14 CONSTRUCTION CONTRACT 610308 43130 OVERSTREET AND ASSOCIATES 403269 240790 INV 08/20/2025 1,532.00 PRELIMINARY ENGINEERI 610309 34048 SEYMOUR ENGINEERING PLLC 403270 252562 INV 08/20/2025 15,186.00 TURKEY CRK PUMP STATI 610310 37710 COVINGTON CIVIL & ENVIRON 403271 252513 EFT 08/20/2025 107,400.00 2025 WATER WELL PROJE 610311 43455 GILLS CRANE & DOZER SERVI 403272 250614 EFT 08/20/2025 388,740.00 CONSTRUCTION - FRED U 610312 24247 BROWN MITCHELL & ALEXANDE 403273 250822 EFT 08/20/2025 6,357.00 PRELIMINARY ENGINEERI 610313 40067 JAMES E. BATES 403275 EFT 08/20/2025 700.00 PHOTOGRAPHY 610315 43729 HILLTREE MARKETING LLC 403277 INV 08/20/2025 1,800.00 INAUGURATION 610316 43150 CRAWFORD ELECTRIC SUPPLY 403278 251882 EFT 08/20/2025 44,078.71 REVERSE AUCTION LED R 610317 40 ALL PHASE ELECTRIC SUPPLY 403279 252612 EFT 08/20/2025 1,806.35 STOCK FOR LIFT AND IN 610318 95771 MS POWER COMPANY 403280 251460 INV 08/20/2025 68,446.61 REROUTE OVERHEAD LINE 610319 923 CENTRAL PIPE SUPPLY INC 403281 252614 EFT 08/20/2025 557.83 RESTOCK INVENTORY - S 610320 923 CENTRAL PIPE SUPPLY INC 403282 251730 EFT 08/20/2025 1,275.75 RESTOCK INVENTORY - W 610321 611 SOUTHERN PIPE & SUPPLY CO 403283 252613 EFT 08/20/2025 1,802.20 RESTOCK INVENTORY - T 610322 611 SOUTHERN PIPE & SUPPLY CO 403284 251729 EFT 08/20/2025 2,142.40 RESTOCK INVENTORY - W 610323 611 SOUTHERN PIPE & SUPPLY CO 403285 251290 EFT 08/20/2025 4,913.70 RESTOCK INVENTORY - W 610324 611 SOUTHERN PIPE & SUPPLY CO 403287 251290 EFT 08/20/2025 10,845.10 RESTOCK INVENTORY - W 610325 380 LOWES ACCTS RECEIVABLE PR 403286 251971 INV 08/20/2025 3.97 OPEN PO FOR SUPPLIES 610328 40182 WASTE PRO OF MISSISSIPPI 403289 EFT 08/20/2025 520.00 DUMPSTER HARBOR FUELD 610330 40182 WASTE PRO OF MISSISSIPPI 403292 EFT 08/20/2025 624.00 DUMPSTER BOAT LAUNCH 610331 6528 FLEETCOR 403293 EFT 08/20/2025 517.19 FUEL FOR VEHICLES 610332 6528 FLEETCOR 403294 EFT 08/20/2025 145.11 FUEL FOR VEHICLES 610333 6528 FLEETCOR 403295 EFT 08/20/2025 609.80 FUEL FOR VEHICLES Report generated: 08/11/2025 13:47:15 Page 141 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610334 11424 EAGLE ENERGY INC. 403296 EFT 08/20/2025 4,771.19 FUEL FOR RETAIL CCAP 610335 6528 FLEETCOR 403297 EFT 08/20/2025 41.54 FUEL FOR VEHICLES 610336 6528 FLEETCOR 403299 EFT 08/20/2025 160.87 FUEL FOR VEHICLES 610337 6528 FLEETCOR 403298 EFT 08/20/2025 114.52 FUEL FOR MARINA USE 610338 611 SOUTHERN PIPE & SUPPLY CO 403300 252395 EFT 08/20/2025 2,888.80 RESTOCK METERS, OLD H 610339 3180 UNITED RENTALS NORTH AMER 403301 252520 EFT 08/20/2025 6,448.00 PUMP RENTALS FOR LIFT 610340 3180 UNITED RENTALS NORTH AMER 403302 252520 EFT 08/20/2025 4,356.00 PUMP RENTALS FOR LIFT 610341 16063 FAZZIOS HOME & FARM CENTE 403303 252460 INV 08/20/2025 1,267.00 RESTOCK INV. - BERMUD 610342 41691 FERGUSON US HOLDINGS, INC 403304 252559 EFT 08/20/2025 135.00 RESTOCK INVENTORY - T 610343 9995 RAY JOHNSON 403305 INV 08/20/2025 175.00 REFUND -- LYMAN CC 610344 41691 FERGUSON US HOLDINGS, INC 403306 252604 EFT 08/20/2025 5,064.00 RESTOCK INVENTORY - W 610345 20675 CHANCELLOR SUPPLY, INC 403307 252735 EFT 08/20/2025 952.50 STOCK FOR LIFT/INTERC 610346 9995 ALTO PERRY 403308 INV 08/20/2025 175.00 REFUND -- HERBERT WIL 610347 21892 HD SUPPLY INC 403309 252603 INV 08/20/2025 4,493.20 RESTOCK - WIKA PRESSU 610348 21892 HD SUPPLY INC 403310 252603 INV 08/20/2025 496.76 RESTOCK - WIKA PRESSU 610349 39457 OSBURN ASSOCIATES INC 403311 252616 EFT 08/20/2025 2,565.00 STOCK MATERIAL FOR SI 610350 29073 COBURN SUPPLY COMPANY INC 403312 252621 INV 08/20/2025 591.00 24" HDPE PIPE - RESTO 610351 177 CONSOLIDATED PIPE CO 403313 252553 INV 08/20/2025 90.00 4" PERF. UNDER-DRAIN 610352 129 BAY MOTOR WINDING INC 403314 252073 EFT 08/20/2025 12,540.00 25 HP MOTOR, 480V - F 610353 9995 KAJUNA STRICKLAND 403315 INV 08/20/2025 100.00 REFUND -- HANDSBORO C 610354 10297 DESIGN PRECAST INC 403316 252733 EFT 08/20/2025 108.96 8" FLEXIBLE COUPLINGS 610355 10297 DESIGN PRECAST INC 403317 252733 EFT 08/20/2025 217.92 8" FLEXIBLE COUPLINGS 610356 357 LAND SHAPER INC 403318 252554 EFT 08/20/2025 11,000.00 RESTOCK INVENTORY - F 610357 42020 B&R INDUSTRIAL SUPPLY, IN 403319 252741 EFT 08/20/2025 187.32 MANILLA TAGS TO LABEL 610358 42020 B&R INDUSTRIAL SUPPLY, IN 403320 252025 EFT 08/20/2025 950.82 RESTK INV. FOR SUMMER 610359 275 J H WRIGHT & ASSOC 403321 252602 EFT 08/20/2025 4,995.00 REPLACE STOCK FOR USE 610360 41691 FERGUSON US HOLDINGS, INC 403322 250166 EFT 08/20/2025 530.00 RESTOCK INVENTORY -- 610361 41691 FERGUSON US HOLDINGS, INC 403323 250166 EFT 08/20/2025 640.00 RESTOCK INVENTORY -- 610362 9995 IRENE MAGEE 403324 INV 08/20/2025 100.00 REFUND -- HANDSBORO C 610363 307 NECAISE LOCKSMITH SERVICE 403326 250144 EFT 08/20/2025 107.50 OPEN PO FOR SUPPLIES 610364 129 BAY MOTOR WINDING INC 403325 252601 EFT 08/20/2025 4,987.50 REPLACE FLOAT BALLS A 610365 9995 RONALD MCCORMICK 403327 INV 08/20/2025 100.00 REFUND -- LYMAN CC 610366 9995 ROGER BUCK 403328 INV 08/20/2025 175.00 REFUND -- ORANGE GROV 610367 41691 FERGUSON US HOLDINGS, INC 403329 252066 EFT 08/20/2025 740.00 4" GATE VALVE, FL-FL 610368 41691 FERGUSON US HOLDINGS, INC 403330 252367 EFT 08/20/2025 12,156.90 RESTOCK INV. - WATERL 610369 10297 DESIGN PRECAST INC 403331 252510 EFT 08/20/2025 7,896.00 INVENTORY RESTOCK - A 610370 10297 DESIGN PRECAST INC 403332 252510 EFT 08/20/2025 3,948.00 INVENTORY RESTOCK - A 610371 20603 HD SUPPLY WHITE CAP CONST 403333 252789 INV 08/20/2025 293.40 STRAW EROSION BLANKET 610372 518 TEMPLE INC 403334 251148 EFT 08/20/2025 4,300.00 FOR STOCK: 12" RED & 610373 129 BAY MOTOR WINDING INC 403335 252405 EFT 08/20/2025 3,096.00 REBUILD 5HP PUMP FOR Report generated: 08/11/2025 13:47:15 Page 142 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610374 42603 SUDDEN SERVICE INC 403336 252743 EFT 08/20/2025 240.00 DIAGNOSTICS AND REPAI 610375 329 GULF COAST BUSINESS SUPPL 403337 252728 EFT 08/20/2025 609.60 RESTOCK TRASH CAN LIN 610376 35280 PUCKETT MACHINERY COMPANY403338 EFT 08/20/2025 798.70 20' RUNABOUT 610377 329 GULF COAST BUSINESS SUPPL 403339 252728 EFT 08/20/2025 605.14 RESTOCK TRASH CAN LIN 610378 16367 ENGINEERING SERVICES & PR 403340 252629 EFT 08/20/2025 4,900.92 PANEL FANS FOR LIFT A 610379 24702 WEAVER ELECTRIC INC 403341 252736 EFT 08/20/2025 3,400.00 REPLACEMENT OF BREAKE 610380 40514 WOERNER LANDSCAPE SOURCE 403342 252739 EFT 08/20/2025 70.00 CENTIPEDE SOD FOR 107 610382 41840 BUSINESS FURNITURE SERVIC 403343 252631 EFT 08/20/2025 1,735.00 DESK FOR LINDA ALLEN 610383 39259 DNA UNDERGROUND LLC 403344 250642 EFT 08/20/2025 95,755.69 CONSTRUCTION FOR CITY 610384 25678 H2O INNOVATION OPERATION 403345 250285 EFT 08/20/2025 541,916.98 H2O PROFESSIONAL SERV 610385 25678 H2O INNOVATION OPERATION 403346 250285 EFT 08/20/2025 594,599.84 H2O PROFESSIONAL SERV 610386 25678 H2O INNOVATION OPERATION 403347 250285 EFT 08/20/2025 166,987.60 H2O PROFESSIONAL SERV 610387 26700 ISI WATER COMPANY 403348 250234 EFT 08/20/2025 3,100.00 MONTHLY NCBC SEWER US 610388 19719 BAYOU CONCRETE, LLC 403349 251987 EFT 08/20/2025 397.00 BLANKET PO FOR CONCRE 610389 153 BROWNELLS INC 403350 252655 EFT 08/20/2025 112.38 WEAPON CLEANER 610391 19719 BAYOU CONCRETE, LLC 403356 251987 EFT 08/20/2025 314.00 BLANKET PO FOR CONCRE 610392 43755 ESSTAC LLC 403352 252785 INV 08/20/2025 1,253.20 POUCHES 610393 153 BROWNELLS INC 403353 252799 EFT 08/20/2025 171.74 RANGE FINDER 610394 43756 HALEY STRATEGIC PARTNERS 403354 252786 INV 08/20/2025 152.74 AMMUNITIONS ACCESSORI 610395 42411 FERRO CONCEPTS USA INC 403355 252776 INV 08/20/2025 1,640.00 VEST CARRIERS - NARCO 610397 58 A T & T 403357 INV 08/20/2025 235.16 PHONE LINES - PD 610398 19719 BAYOU CONCRETE, LLC 403358 251987 EFT 08/20/2025 397.00 BLANKET PO FOR CONCRE 610399 19719 BAYOU CONCRETE, LLC 403359 251987 EFT 08/20/2025 940.00 BLANKET PO FOR CONCRE 610400 19719 BAYOU CONCRETE, LLC 403360 251987 EFT 08/20/2025 711.00 BLANKET PO FOR CONCRE 610401 19719 BAYOU CONCRETE, LLC 403361 251987 EFT 08/20/2025 850.00 BLANKET PO FOR CONCRE 610402 19719 BAYOU CONCRETE, LLC 403362 251987 EFT 08/20/2025 387.00 BLANKET PO FOR CONCRE 610403 19719 BAYOU CONCRETE, LLC 403363 251987 EFT 08/20/2025 780.00 BLANKET PO FOR CONCRE 610404 19719 BAYOU CONCRETE, LLC 403364 251987 EFT 08/20/2025 583.25 BLANKET PO FOR CONCRE 610405 883 WARREN PAVING INC 403365 252596 EFT 08/20/2025 265.02 BLANKET PO FOR FOB AS 610406 883 WARREN PAVING INC 403366 252596 EFT 08/20/2025 489.40 BLANKET PO FOR FOB AS 610407 883 WARREN PAVING INC 403367 252596 EFT 08/20/2025 440.82 BLANKET PO FOR FOB AS 610408 883 WARREN PAVING INC 403368 252596 EFT 08/20/2025 361.31 BLANKET PO FOR FOB AS 610409 883 WARREN PAVING INC 403369 252596 EFT 08/20/2025 434.63 BLANKET PO FOR FOB AS 610410 883 WARREN PAVING INC 403370 252596 EFT 08/20/2025 437.28 BLANKET PO FOR FOB AS 610411 883 WARREN PAVING INC 403371 252596 EFT 08/20/2025 259.72 BLANKET PO FOR FOB AS 610412 20876 BLACKLIDGE EMULSIONS, INC 403372 252537 EFT 08/20/2025 2,701.08 RESTOCK INV. - ASPHAL 610413 41691 FERGUSON US HOLDINGS, INC 403373 250219 EFT 08/20/2025 510.00 BLANKET PO FY 25: WAT 610414 41691 FERGUSON US HOLDINGS, INC 403374 250219 EFT 08/20/2025 710.00 BLANKET PO FY 25: WAT 610415 41691 FERGUSON US HOLDINGS, INC 403375 250219 EFT 08/20/2025 905.00 BLANKET PO FY 25: WAT 610416 41691 FERGUSON US HOLDINGS, INC 403376 250219 EFT 08/20/2025 149.26 BLANKET PO FY 25: WAT Report generated: 08/11/2025 13:47:15 Page 143 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610417 43145 PVS DX INC 403377 251000 EFT 08/20/2025 1,037.03 CHLORINE CYLINDERS TO 610418 43145 PVS DX INC 403378 251000 EFT 08/20/2025 829.62 CHLORINE CYLINDERS TO 610419 43145 PVS DX INC 403379 251000 EFT 08/20/2025 829.62 CHLORINE CYLINDERS TO 610420 43145 PVS DX INC 403380 251000 EFT 08/20/2025 829.62 CHLORINE CYLINDERS TO 610421 43145 PVS DX INC 403381 251000 EFT 08/20/2025 414.81 CHLORINE CYLINDERS TO 610422 43145 PVS DX INC 403382 251000 EFT 08/20/2025 622.22 CHLORINE CYLINDERS TO 610424 39648 NEWEDGE SERVICES LLC 403384 252023 EFT 08/20/2025 1,833.00 CITYWORKS HOSTING SER 610425 20675 CHANCELLOR SUPPLY, INC 403385 250217 EFT 08/20/2025 312.39 BLANKET PO FOR MISC. 610426 40182 WASTE PRO OF MISSISSIPPI 403386 250286 EFT 08/20/2025 574,488.82 SOLID WASTE RESIDENTI 610427 43342 RELIABLE CONCRETE LLC 403387 250182 EFT 08/20/2025 450.00 BLANKET PO FY 25 - CO 610428 1054 MICRO METHODS INC 403388 252390 EFT 08/20/2025 130.00 BLANKET PO FY 25: WAT 610429 43741 BVHARDWARE LLC 403389 252598 INV 08/20/2025 133.98 BLANKET PO FOR MISC. 610430 42389 LMR HARDWARE 403390 250220 EFT 08/20/2025 15.58 BLANKET PO FY 25 - MI 610431 380 LOWES ACCTS RECEIVABLE PR 403391 250213 INV 08/20/2025 42.54 BLANKET PO FY 25 - MI 610432 380 LOWES ACCTS RECEIVABLE PR 403392 250213 INV 08/20/2025 33.23 BLANKET PO FY 25 - MI 610433 28941 MICHAEL BAKER INTERNATION 403393 241960 EFT 08/20/2025 40,732.80 ENG SERV AGMT: COURTH 610434 28941 MICHAEL BAKER INTERNATION 403394 241960 EFT 08/20/2025 50,840.50 ENG SERV AGMT: COURTH 610435 9995 SHERIAL WILSON 403396 INV 08/20/2025 175.00 REFUND -- LYMAN CC 610436 329 GULF COAST BUSINESS SUPPL 403395 252656 EFT 08/20/2025 609.88 OFFICE SUPPLIES 610437 9995 DAMON LEWIS 403397 INV 08/20/2025 175.00 REFUND -- ORANGE GROV 610438 9995 LORETTA MCDONALD 403398 INV 08/20/2025 175.00 REFUND -- ORANGE GROV 610440 9995 AUDRAY TAYLOR 403399 INV 08/20/2025 175.00 REFUND -- ORANGE GROV 610441 9995 SHANEA RAMSEY 403400 INV 08/20/2025 175.00 REFUND -- WESTSIDE CC 610442 9995 LATONIA DEEN 403401 INV 08/20/2025 175.00 REFUND -- KATIE BOOTH 610444 9995 ANTOINIO SANDIFER 403403 INV 08/20/2025 175.00 REFUND -- KATIE BOOTH 610445 9995 BETTY MATHEWS 403404 INV 08/20/2025 175.00 REFUND -- KATIE BOOTH 610446 9995 RONNIE GROVESNOR 403405 INV 08/20/2025 175.00 REFUND -- WESTSIDE CC 610447 9995 SHIRLENE STAPLETON 403406 INV 08/20/2025 175.00 REFUND -- ORANGE GROV 610448 9995 JOE FORD 403407 INV 08/20/2025 200.00 REFUND -- LYMAN CC 610451 37051 DEERE CREDIT INC 403410 INV 08/20/2025 5,660.51 EQUIPMENT LEASE 006 610452 320 KEELING CO 403411 252126 EFT 08/20/2025 263.10 SUPPLIES 610453 320 KEELING CO 403412 252126 EFT 08/20/2025 90.34 SUPPLIES 610454 22390 FANT WALKER 403413 INV 08/20/2025 296.00 PER DIEM 8/17/25 - 8/ 610455 2066 HAVARD PEST CONTROL 403414 EFT 08/20/2025 40.00 HAVARD PEST CONTROL C 610459 1777 SOUTHERN MS PLANNING AND 403418 EFT 08/20/2025 257.58 CAP 10/8/24 -- SENIOR 610460 43684 BLISS PRODUCTS AND SERVIC 403419 252353 INV 08/20/2025 33,616.17 PARK EQUIPMENT 610461 41750 INTELLISTREETS INC 403420 251822 INV 08/20/2025 5,766.50 SOUND EQUIPMENT 610462 74 ABC RENTAL INC 403421 252759 INV 08/20/2025 660.80 RENTAL BEAUTIFICATION 610463 357 LAND SHAPER INC 403422 252529 EFT 08/20/2025 2,725.00 TOP SOIL 610464 43738 LEAGUE OUTFITTERS LLC 403423 252544 INV 08/20/2025 9,802.12 FOOTBALL EQUIPMENT Report generated: 08/11/2025 13:47:15 Page 144 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610465 41691 FERGUSON US HOLDINGS, INC 403424 252071 EFT 08/20/2025 698.00 SUPPLIES 610467 380 LOWES ACCTS RECEIVABLE PR 403426 252762 INV 08/20/2025 806.55 PRESSURE WASHER 610468 42233 VARSITY BRANDS HOLDING CO 403427 252766 EFT 08/20/2025 1,073.59 ATHLETIC SUPPLIES 610469 166 CINTAS CORP 240 403428 EFT 08/20/2025 345.05 MAT CLEANING & AIR FR 610470 166 CINTAS CORP 240 403429 EFT 08/20/2025 330.21 MAT CLEANING & AIR FR 610471 42706 GERARD THOMAS JOHNSON II 403451 252552 EFT 08/20/2025 2,740.25 PROFESSIONAL SVCS.- V 610473 1075 FEDEX 403431 INV 08/20/2025 81.54 SHIPMENT OF ITEMS TO 610474 329 GULF COAST BUSINESS SUPPL 403432 EFT 08/20/2025 84.00 EMERGENCY PAPER RESTO 610476 1054 MICRO METHODS INC 403434 EFT 08/20/2025 1,120.00 WATER TESTING - BOIL 610477 43157 LATASHA CRUZ 403435 EFT 08/20/2025 734.60 ANSWERING SERVICE - A 610478 42599 BAGWELL TRUCK AND EQUIPME 403436 EFT 08/20/2025 420.00 TROUBLESHOOT GENERATO 610479 2066 HAVARD PEST CONTROL 403437 EFT 08/20/2025 90.00 MONTHLY PEST CONTROL 610480 2066 HAVARD PEST CONTROL 403438 EFT 08/20/2025 45.00 MONTHLY RAT SERVICE - 610481 40182 WASTE PRO OF MISSISSIPPI 403439 EFT 08/20/2025 111.00 DUMPSTERS @ COLEMAN, 610482 39259 DNA UNDERGROUND LLC 403440 EFT 08/20/2025 14,162.00 RR FLAG. SERV. @ OLD 610483 6528 FLEETCOR 403441 EFT 08/20/2025 339.53 ACCT 126554: PW ADMIN 610484 6528 FLEETCOR 403442 EFT 08/20/2025 37.73 ACCT 126555: WATER IN 610485 6528 FLEETCOR 403443 EFT 08/20/2025 96.44 ACCT 126558: ENGINEER 610486 6528 FLEETCOR 403444 EFT 08/20/2025 504.60 ACCT 126559: PW TRAFF 610487 6528 FLEETCOR 403445 EFT 08/20/2025 333.57 ACCT 126554: PW ADMIN 610488 6528 FLEETCOR 403446 EFT 08/20/2025 108.06 ACCT 126555: PW WATER 610489 6528 FLEETCOR 403447 EFT 08/20/2025 136.87 ACCT 126558: ENGINEER 610490 6528 FLEETCOR 403448 EFT 08/20/2025 526.76 ACCT 126559: PW TRAFF 610491 20659 CORNETT BOLT & SCREW, INC 403449 EFT 08/20/2025 5.04 EQUIPMENT PART 610493 329 GULF COAST BUSINESS SUPPL 403450 EFT 08/20/2025 531.06 OFFICE SUPPLIES 610494 20539 BANKS & BANKS, INC. 403452 252806 EFT 08/20/2025 400.00 EQUIPMENT PARTS 610495 33797 TRANSUNION RISK AND ALTER 403453 INV 08/20/2025 75.00 CASE LEGAL SEARCHES; 610496 417 GULF COAST CENTER FOR NON 403454 252563 EFT 08/20/2025 1,768.20 PROFESSIONAL SVCS. - 610498 18119 CHARLES BODIE 403456 251238 EFT 08/20/2025 550.00 PROFESSIONAL SERVICES 610499 39534 AUTOMATED MERCHANTSYSTEMS 403457 EFT 08/20/2025 17.95 HL BANK FEES 610500 637 THOMSON REUTERS WEST PUBL403458 EFT 08/20/2025 57.99 LIBRARY PLAN CHGS FOR 610501 6528 FLEETCOR 403459 EFT 08/20/2025 93.43 FUELMAN NP68913432 07 610502 43147 JLE INCORPORATED 403460 251702 EFT 08/20/2025 330.00 CBTS RADIO ADVERTISIN 610503 637 THOMSON REUTERS WEST PUBL403461 EFT 08/20/2025 633.83 WESTLAW ONLINE SUBSCR 610504 43147 JLE INCORPORATED 403462 251702 EFT 08/20/2025 264.00 CBTS RADIO ADVERTISIN 610505 43400 JANINE WILLIAMS 403463 INV 08/20/2025 60.00 CLE FOR JANINE WILLIA 610506 40182 WASTE PRO OF MISSISSIPPI 403464 EFT 08/20/2025 3,315.32 034462- SUMMARY BILL 610507 17806 FROGGYS FOG LLC 403465 252713 EFT 08/20/2025 179.98 BUBBLE SOLUTION FOR F 610508 40418 MISSISSIPPI VALUATIONS LL 403466 EFT 08/20/2025 2,600.00 APPRAISAL RPT;GULF S 610509 42810 BECKWORKS LLC 403467 252672 EFT 08/20/2025 3,330.00 PRESSURE WASH DEPOT Report generated: 08/11/2025 13:47:15 Page 145 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610510 43643 DELTA UTILITIES AGGREGATO 403468 INV 08/20/2025 61.71 3225 HANCOCK AVE 610511 43643 DELTA UTILITIES AGGREGATO 403469 INV 08/20/2025 57.34 501 26TH ST 610512 43643 DELTA UTILITIES AGGREGATO 403470 INV 08/20/2025 64.98 15550 MARTIN LUTHER K 610513 43643 DELTA UTILITIES AGGREGATO 403471 INV 08/20/2025 46.43 1419 27TH AVE 610514 43643 DELTA UTILITIES AGGREGATO 403472 INV 08/20/2025 50.85 1038 E RAILROAD 610515 43643 DELTA UTILITIES AGGREGATO 403473 INV 08/20/2025 43.16 3908 28TH ST CEMETERY 610516 43643 DELTA UTILITIES AGGREGATO 403474 INV 08/20/2025 54.07 1422 23RD AVE 610517 43643 DELTA UTILITIES AGGREGATO 403475 INV 08/20/2025 50.79 2723 33RD AVE 610518 43643 DELTA UTILITIES AGGREGATO 403476 INV 08/20/2025 86.32 720 E BEACH BLVD 610519 42810 BECKWORKS LLC 403478 252717 EFT 08/20/2025 1,746.00 LABOR FOR FLOORING AT 610520 39025 HARRISON COUNTY CIRCUIT C 403477 INV 08/20/2025 166.00 FILING FEE; COG V B.C 610521 43760 NICOLE STEHLAR 403481 INV 08/20/2025 369.00 PER DIEM FOR CONFEREN 610522 39025 HARRISON COUNTY CIRCUIT C 403479 INV 08/20/2025 166.00 FILING FEE; COG V LUT 610523 42810 BECKWORKS LLC 403480 252662 EFT 08/20/2025 1,850.00 CEMETARY BATHROOMS 610524 71695 ELECTRONIC CASE MANAGEMEN403482 INV 08/20/2025 10.00 MEC ANNUAL RENEWAL FO 610525 341 THE MISSISSIPPI BAR 403483 INV 08/20/2025 410.00 BAR ENROLLMENT FEES 2 610527 341 THE MISSISSIPPI BAR 403485 INV 08/20/2025 395.00 BAR ENROLLMENT FEES 2 610528 41693 LESLIE SLADE 403486 252810 EFT 08/20/2025 608.00 VEHICLE MAINTENANCE / 610530 341 THE MISSISSIPPI BAR 403487 INV 08/20/2025 395.00 BAR ENROLLMENT FEES 2 610531 341 THE MISSISSIPPI BAR 403489 INV 08/20/2025 395.00 BAR ENROLLMENT FEES 2 610532 17804 VISION SERVICE PLAN INSUR 403490 INV 08/20/2025 4,612.21 AUGUST 2025 VSP 610533 341 THE MISSISSIPPI BAR 403491 INV 08/20/2025 190.00 BAR ENROLLMENT FEES 2 610534 70000 CABLE ONE 403492 INV 08/20/2025 329.94 ORANGE GROVE COM CNT 610535 70000 CABLE ONE 403493 INV 08/20/2025 150.00 13472 HIGHWAY 49 PARK 610536 70000 CABLE ONE 403494 INV 08/20/2025 478.29 HARBOR 610537 70000 CABLE ONE 403495 INV 08/20/2025 212.00 HARBOR 610538 70000 CABLE ONE 403496 INV 08/20/2025 413.13 FISHBONE ALLEY 610539 70000 CABLE ONE 403497 INV 08/20/2025 600.00 135 COURTHOUSE RD 610540 341 THE MISSISSIPPI BAR 403498 INV 08/20/2025 380.00 BAR ENROLLMENT FEES 2 610541 42007 COMMUNICATIONS INTERNATIO 403499 EFT 08/20/2025 628.00 RADIO EQUIPMENT SERVI 610542 42007 COMMUNICATIONS INTERNATIO 403500 EFT 08/20/2025 628.00 RADIO EQUIPMENT SERVI 610543 72744 RHONDA GADDIS 403501 INV 08/20/2025 369.00 PER DIEM FOR CONFEREN 610545 42007 COMMUNICATIONS INTERNATIO 403503 EFT 08/20/2025 628.00 RADIO EQUIPMENT SERVI 610546 43178 JP MORGAN CHASE BANK NA 403504 EFT 08/20/2025 155.70 IN *DE L'EPEE DEAF CE 610547 43178 JP MORGAN CHASE BANK NA 403505 EFT 08/20/2025 76.43 AMAZON MKTPL 610548 43178 JP MORGAN CHASE BANK NA 403506 EFT 08/20/2025 68.77 CHEVRON 0304692 610549 43178 JP MORGAN CHASE BANK NA 403507 EFT 08/20/2025 90.00 MS GULF COAST CHAMBER 610550 43178 JP MORGAN CHASE BANK NA 403508 EFT 08/20/2025 7.97 AMAZON MKTPL 610551 43178 JP MORGAN CHASE BANK NA 403509 EFT 08/20/2025 306.31 AMAZON MKTPL 610552 43178 JP MORGAN CHASE BANK NA 403510 EFT 08/20/2025 42.98 AMAZON MKTPL Report generated: 08/11/2025 13:47:15 Page 146 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610553 43178 JP MORGAN CHASE BANK NA 403511 EFT 08/20/2025 26.49 AMAZON.COM*N33T354J1 610554 43178 JP MORGAN CHASE BANK NA 403512 EFT 08/20/2025 682.04 AMAZON MKTPL 610555 43178 JP MORGAN CHASE BANK NA 403513 EFT 08/20/2025 300.00 GLOCK PROFESSIONAL IN 610556 43178 JP MORGAN CHASE BANK NA 403514 EFT 08/20/2025 1,065.80 SUPER SEER CORPORATIO 610557 43178 JP MORGAN CHASE BANK NA 403515 EFT 08/20/2025 222.27 CHEWY.COM 610558 43178 JP MORGAN CHASE BANK NA 403516 EFT 08/20/2025 72.65 LOWES #00466 610559 43178 JP MORGAN CHASE BANK NA 403517 EFT 08/20/2025 221.01 HILTON ADVPURCH800236 610560 43178 JP MORGAN CHASE BANK NA 403518 EFT 08/20/2025 44.59 AMAZON MKTPL 610561 43178 JP MORGAN CHASE BANK NA 403519 EFT 08/20/2025 852.23 MARRIOTT METRO CTR GI 610562 43178 JP MORGAN CHASE BANK NA 403520 EFT 08/20/2025 40.75 UBER *TRIP 610563 43178 JP MORGAN CHASE BANK NA 403521 EFT 08/20/2025 8.15 UBER *TRIP 610564 43178 JP MORGAN CHASE BANK NA 403522 EFT 08/20/2025 911.37 MOXY WASHINGTON DC DO 610565 43178 JP MORGAN CHASE BANK NA 403523 EFT 08/20/2025 977.46 COURTYARD BY MARRIOTT 610566 43178 JP MORGAN CHASE BANK NA 403524 EFT 08/20/2025 960.06 MARRIOTT MARQUIS WASH 610567 43178 JP MORGAN CHASE BANK NA 403525 EFT 08/20/2025 140.00 PACKTRACK 610568 43178 JP MORGAN CHASE BANK NA 403526 EFT 08/20/2025 895.62 JCPENNEY 0688 610569 43178 JP MORGAN CHASE BANK NA 403527 EFT 08/20/2025 71.25 JCPENNEY 0688 610570 43178 JP MORGAN CHASE BANK NA 403528 EFT 08/20/2025 -32.09 OFFICE DEPOT #437 610571 43178 JP MORGAN CHASE BANK NA 403529 EFT 08/20/2025 42.79 OFFICE DEPOT #437 610572 43178 JP MORGAN CHASE BANK NA 403530 EFT 08/20/2025 32.09 OFFICE DEPOT #437 610573 43178 JP MORGAN CHASE BANK NA 403531 EFT 08/20/2025 88.00 64445 - MSY/PFC - N T 610574 43178 JP MORGAN CHASE BANK NA 403532 EFT 08/20/2025 852.23 MARRIOTT METRO CTR GI 610575 43178 JP MORGAN CHASE BANK NA 403533 EFT 08/20/2025 54.00 AMTRAK 610576 43178 JP MORGAN CHASE BANK NA 403534 EFT 08/20/2025 350.00 MISSISSIPPI MUNICIPAL 610577 43178 JP MORGAN CHASE BANK NA 403535 EFT 08/20/2025 459.11 UNITED AIRLINES 610578 43178 JP MORGAN CHASE BANK NA 403536 EFT 08/20/2025 30.99 JCPENNEY.COM 610579 43178 JP MORGAN CHASE BANK NA 403537 EFT 08/20/2025 50.00 AMAZON MKTPL 610580 43178 JP MORGAN CHASE BANK NA 403538 EFT 08/20/2025 416.67 ATT 610581 43178 JP MORGAN CHASE BANK NA 403539 EFT 08/20/2025 12.90 UBER *TRIP 610582 43178 JP MORGAN CHASE BANK NA 403540 EFT 08/20/2025 108.00 61318 - MSY/PFC - LT 610583 43178 JP MORGAN CHASE BANK NA 403541 EFT 08/20/2025 42.00 MONDAY.COM 610584 43178 JP MORGAN CHASE BANK NA 403542 EFT 08/20/2025 300.00 MCCLATCHY ADVERTISING 610585 43178 JP MORGAN CHASE BANK NA 403543 EFT 08/20/2025 2,959.00 PAYPAL 610586 43178 JP MORGAN CHASE BANK NA 403544 EFT 08/20/2025 29.94 AMAZON MKTPL 610587 43178 JP MORGAN CHASE BANK NA 403545 EFT 08/20/2025 10.69 AMAZON MKTPL 610588 43178 JP MORGAN CHASE BANK NA 403546 EFT 08/20/2025 779.00 B2B PRIME*NL4U66TX0 610589 43178 JP MORGAN CHASE BANK NA 403547 EFT 08/20/2025 145.68 SAMS CLUB #8236 610590 43178 JP MORGAN CHASE BANK NA 403548 EFT 08/20/2025 49.90 SAMS CLUB #8236 610591 43178 JP MORGAN CHASE BANK NA 403549 EFT 08/20/2025 16.32 AMAZON MKTPL 610592 43178 JP MORGAN CHASE BANK NA 403550 EFT 08/20/2025 101.99 AMAZON MKTPL Report generated: 08/11/2025 13:47:15 Page 147 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610593 43178 JP MORGAN CHASE BANK NA 403551 EFT 08/20/2025 -124.99 AMAZON MKTPLACE PMTS 610594 43178 JP MORGAN CHASE BANK NA 403552 EFT 08/20/2025 2,035.14 WF *PERIGOLD350698462 610595 43178 JP MORGAN CHASE BANK NA 403553 EFT 08/20/2025 17.99 AMAZON.COM*NL81G1IY2 610596 43178 JP MORGAN CHASE BANK NA 403554 EFT 08/20/2025 154.87 SPARKLE CAR CLEANING 610597 43178 JP MORGAN CHASE BANK NA 403555 EFT 08/20/2025 194.99 AMAZON MKTPL 610598 43178 JP MORGAN CHASE BANK NA 403556 EFT 08/20/2025 317.64 AMAZON MKTPL 610599 43178 JP MORGAN CHASE BANK NA 403557 EFT 08/20/2025 162.12 AMAZON.COM*NL7LX2YJ2 610600 43178 JP MORGAN CHASE BANK NA 403558 EFT 08/20/2025 113.40 AMAZON MKTPL 610601 43178 JP MORGAN CHASE BANK NA 403559 EFT 08/20/2025 9.45 AMAZON MKTPL 610602 43178 JP MORGAN CHASE BANK NA 403560 EFT 08/20/2025 15.78 THE HOME DEPOT 2901 610603 43178 JP MORGAN CHASE BANK NA 403561 EFT 08/20/2025 94.16 PHILLIPS 66 - JAM JOE 610604 43178 JP MORGAN CHASE BANK NA 403562 EFT 08/20/2025 139.38 AMAZON MKTPL 610605 43178 JP MORGAN CHASE BANK NA 403563 EFT 08/20/2025 75.15 SUNOCO 0694968900 610606 43178 JP MORGAN CHASE BANK NA 403564 EFT 08/20/2025 123.20 HOMES TO SUITES BY HI 610607 43178 JP MORGAN CHASE BANK NA 403565 EFT 08/20/2025 32.38 SHELL OIL13095258011 610608 43178 JP MORGAN CHASE BANK NA 403566 EFT 08/20/2025 123.20 HOMES TO SUITES BY HI 610609 43178 JP MORGAN CHASE BANK NA 403567 EFT 08/20/2025 200.00 WWW.CBCFINC.ORG 610610 43178 JP MORGAN CHASE BANK NA 403568 EFT 08/20/2025 9.45 USPS PO 2731470501 610611 43178 JP MORGAN CHASE BANK NA 403569 EFT 08/20/2025 51.10 MAGNOLIA PRINTING & S 610612 43178 JP MORGAN CHASE BANK NA 403570 EFT 08/20/2025 275.00 MAGNOLIA PRINTING & S 610613 43178 JP MORGAN CHASE BANK NA 403571 EFT 08/20/2025 379.00 AMAZON MKTPL 610614 43178 JP MORGAN CHASE BANK NA 403572 EFT 08/20/2025 390.43 CARPARTSCOM 610615 43178 JP MORGAN CHASE BANK NA 403573 EFT 08/20/2025 122.44 AMAZON MKTPL 610616 43178 JP MORGAN CHASE BANK NA 403574 EFT 08/20/2025 130.52 CARPARTSCOM 610617 43178 JP MORGAN CHASE BANK NA 403575 EFT 08/20/2025 105.93 CARPARTSCOM 610618 43178 JP MORGAN CHASE BANK NA 403576 EFT 08/20/2025 540.75 MILNER RENTAL CENTER 610619 43178 JP MORGAN CHASE BANK NA 403577 EFT 08/20/2025 29.99 AMAZON MKTPL 610620 43178 JP MORGAN CHASE BANK NA 403578 EFT 08/20/2025 105.65 HOMES TO SUITES BY HI 610621 43178 JP MORGAN CHASE BANK NA 403579 EFT 08/20/2025 -105.65 HOMES TO SUITES BY HI 610622 43178 JP MORGAN CHASE BANK NA 403580 EFT 08/20/2025 115.35 HOMES TO SUITES BY HI 610623 43178 JP MORGAN CHASE BANK NA 403581 EFT 08/20/2025 -115.35 HOMES TO SUITES BY HI 610624 43178 JP MORGAN CHASE BANK NA 403582 EFT 08/20/2025 9.45 USPS PO 2731470501 610625 43178 JP MORGAN CHASE BANK NA 403583 EFT 08/20/2025 58.84 BEST BUY 0001174 610626 43178 JP MORGAN CHASE BANK NA 403584 EFT 08/20/2025 116.54 AMAZON MKTPL 610627 43178 JP MORGAN CHASE BANK NA 403585 EFT 08/20/2025 58.47 AMAZON MKTPL 610628 43178 JP MORGAN CHASE BANK NA 403586 EFT 08/20/2025 69.99 AMAZON MKTPL 610629 43178 JP MORGAN CHASE BANK NA 403587 EFT 08/20/2025 54.98 AMAZON MKTPL 610630 43178 JP MORGAN CHASE BANK NA 403588 EFT 08/20/2025 -2.99 AMAZON MKTPLACE PMTS 610631 43178 JP MORGAN CHASE BANK NA 403589 EFT 08/20/2025 868.07 AT&T 4603 4603 610632 43178 JP MORGAN CHASE BANK NA 403590 EFT 08/20/2025 136.96 AMAZON MKTPL Report generated: 08/11/2025 13:47:15 Page 148 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610633 43178 JP MORGAN CHASE BANK NA 403591 EFT 08/20/2025 31.89 AMAZON MKTPL 610634 43178 JP MORGAN CHASE BANK NA 403592 EFT 08/20/2025 676.30 AMAZON MKTPL 610635 43178 JP MORGAN CHASE BANK NA 403593 EFT 08/20/2025 218.90 SHERATON ARLINGTON HO 610636 43178 JP MORGAN CHASE BANK NA 403594 EFT 08/20/2025 600.00 ALABAMA FIRE COLLEGE 610637 43178 JP MORGAN CHASE BANK NA 403595 EFT 08/20/2025 155.19 AMAZON MKTPL 610638 43178 JP MORGAN CHASE BANK NA 403596 EFT 08/20/2025 81.39 AMAZON MKTPL 610639 43178 JP MORGAN CHASE BANK NA 403597 EFT 08/20/2025 87.96 THE HOME DEPOT 2901 610640 43178 JP MORGAN CHASE BANK NA 403598 EFT 08/20/2025 155.47 OFFICE DEPOT #437 610641 43178 JP MORGAN CHASE BANK NA 403599 EFT 08/20/2025 487.62 SAMSCLUB #8236 610642 43178 JP MORGAN CHASE BANK NA 403600 EFT 08/20/2025 595.00 GOVERNMENT FINANCE OF 610643 43178 JP MORGAN CHASE BANK NA 403601 EFT 08/20/2025 21.99 AMAZON.COM*NR8GN12A0 610644 43178 JP MORGAN CHASE BANK NA 403602 EFT 08/20/2025 23.74 AMAZON MKTPL 610645 43178 JP MORGAN CHASE BANK NA 403603 EFT 08/20/2025 133.44 AMAZON MKTPL 610646 43178 JP MORGAN CHASE BANK NA 403604 EFT 08/20/2025 194.99 TOPPER WORLD OF GULFP 610647 43178 JP MORGAN CHASE BANK NA 403605 EFT 08/20/2025 17.99 2PITNEY BOWES INC. 610648 43178 JP MORGAN CHASE BANK NA 403606 EFT 08/20/2025 19.49 AMAZON MKTPL 610649 43178 JP MORGAN CHASE BANK NA 403607 EFT 08/20/2025 127.33 EIG 610650 43178 JP MORGAN CHASE BANK NA 403608 EFT 08/20/2025 14.99 AMAZON MKTPL 610651 43178 JP MORGAN CHASE BANK NA 403609 EFT 08/20/2025 100.00 NRA MEMBERSHIP INTERN 610652 43178 JP MORGAN CHASE BANK NA 403610 EFT 08/20/2025 100.00 NRA MEMBERSHIP INTERN 610653 43178 JP MORGAN CHASE BANK NA 403611 EFT 08/20/2025 100.00 NRA MEMBERSHIP INTERN 610654 43178 JP MORGAN CHASE BANK NA 403612 EFT 08/20/2025 100.00 NRA MEMBERSHIP INTERN 610655 43178 JP MORGAN CHASE BANK NA 403613 EFT 08/20/2025 100.00 NRA MEMBERSHIP INTERN 610656 43178 JP MORGAN CHASE BANK NA 403614 EFT 08/20/2025 100.00 NRA MEMBERSHIP INTERN 610657 43178 JP MORGAN CHASE BANK NA 403615 EFT 08/20/2025 145.28 AMAZON.COM*VO8UR66O3 610658 43178 JP MORGAN CHASE BANK NA 403616 EFT 08/20/2025 536.76 AMAZON MKTPL 610659 43178 JP MORGAN CHASE BANK NA 403617 EFT 08/20/2025 114.74 AMAZON.COM*3R1RG3PS3 610660 43178 JP MORGAN CHASE BANK NA 403618 EFT 08/20/2025 72.74 NRPA OPERATING 610661 43178 JP MORGAN CHASE BANK NA 403619 EFT 08/20/2025 449.97 AMAZON MKTPL 610662 43178 JP MORGAN CHASE BANK NA 403620 EFT 08/20/2025 846.75 LIVE BY LOEWS ARLINGT 610663 43178 JP MORGAN CHASE BANK NA 403621 EFT 08/20/2025 348.00 SAMS CLUB #8236 610664 43178 JP MORGAN CHASE BANK NA 403622 EFT 08/20/2025 8.09 CONSTELLIX 610665 43178 JP MORGAN CHASE BANK NA 403623 EFT 08/20/2025 300.00 GLOCK PROFESSIONAL IN 610666 43178 JP MORGAN CHASE BANK NA 403624 EFT 08/20/2025 644.96 HOLIDAY INN EXPRESS H 610667 43178 JP MORGAN CHASE BANK NA 403625 EFT 08/20/2025 106.20 AMAZON MKTPL 610668 43178 JP MORGAN CHASE BANK NA 403626 EFT 08/20/2025 65.95 AMAZON MKTPL 610669 43178 JP MORGAN CHASE BANK NA 403627 EFT 08/20/2025 310.00 INT'L CODE COUNCIL IN 610670 43178 JP MORGAN CHASE BANK NA 403628 EFT 08/20/2025 136.96 LULULEMONCOM 610671 43178 JP MORGAN CHASE BANK NA 403629 EFT 08/20/2025 69.99 ADOBE INC 610672 43178 JP MORGAN CHASE BANK NA 403630 EFT 08/20/2025 483.54 GOVX Report generated: 08/11/2025 13:47:15 Page 149 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610673 43178 JP MORGAN CHASE BANK NA 403631 EFT 08/20/2025 54.10 AMAZON MKTPL 610674 43178 JP MORGAN CHASE BANK NA 403632 EFT 08/20/2025 161.24 HOLIDAY INN EXPRESS H 610675 43178 JP MORGAN CHASE BANK NA 403633 EFT 08/20/2025 628.56 AMAZON MKTPL 610676 43178 JP MORGAN CHASE BANK NA 403634 EFT 08/20/2025 66.27 AMAZON MKTPL 610677 43178 JP MORGAN CHASE BANK NA 403635 EFT 08/20/2025 79.17 AMAZON.COM*YS0AK48W3 610678 43178 JP MORGAN CHASE BANK NA 403636 EFT 08/20/2025 63.48 AMAZON MKTPL 610679 43178 JP MORGAN CHASE BANK NA 403637 EFT 08/20/2025 27.45 AMAZON MKTPL 610680 43178 JP MORGAN CHASE BANK NA 403638 EFT 08/20/2025 9.99 GOOGLE *GOOGLE ONE 610681 43178 JP MORGAN CHASE BANK NA 403639 EFT 08/20/2025 121.92 AMAZON MKTPL 610682 43178 JP MORGAN CHASE BANK NA 403640 EFT 08/20/2025 306.32 AMAZON MKTPL 610683 43178 JP MORGAN CHASE BANK NA 403641 EFT 08/20/2025 179.98 AMAZON MKTPL 610684 43178 JP MORGAN CHASE BANK NA 403642 EFT 08/20/2025 247.97 MILNER RENTAL CENTER 610685 43178 JP MORGAN CHASE BANK NA 403643 EFT 08/20/2025 700.00 NRPA OPERATING 610686 43178 JP MORGAN CHASE BANK NA 403644 EFT 08/20/2025 72.26 AMAZON MKTPL 610687 43178 JP MORGAN CHASE BANK NA 403645 EFT 08/20/2025 32.09 OFFICE DEPOT #437 610688 43178 JP MORGAN CHASE BANK NA 403646 EFT 08/20/2025 106.69 AMAZON MKTPL 610689 43178 JP MORGAN CHASE BANK NA 403647 EFT 08/20/2025 14.00 DOCHUB 610690 43178 JP MORGAN CHASE BANK NA 403648 EFT 08/20/2025 795.00 FBI LEEDA INC 610691 43178 JP MORGAN CHASE BANK NA 403649 EFT 08/20/2025 795.00 FBI LEEDA INC 610692 43178 JP MORGAN CHASE BANK NA 403650 EFT 08/20/2025 795.00 FBI LEEDA INC 610693 43178 JP MORGAN CHASE BANK NA 403651 EFT 08/20/2025 92.84 WAL-MART #5079 610694 43178 JP MORGAN CHASE BANK NA 403652 EFT 08/20/2025 359.94 FOOD GIANT 607 610695 43178 JP MORGAN CHASE BANK NA 403653 EFT 08/20/2025 40.64 AMAZON MKTPL 610696 43178 JP MORGAN CHASE BANK NA 403654 EFT 08/20/2025 24.60 AMAZON MKTPL 610697 43178 JP MORGAN CHASE BANK NA 403655 EFT 08/20/2025 137.96 AMAZON MKTPL 610698 43178 JP MORGAN CHASE BANK NA 403656 EFT 08/20/2025 179.98 AMAZON MKTPL 610699 43178 JP MORGAN CHASE BANK NA 403657 EFT 08/20/2025 10.44 AMAZON MKTPL 610700 43178 JP MORGAN CHASE BANK NA 403658 EFT 08/20/2025 25.68 AMAZON.COM*ZH1HW04X3 610701 43178 JP MORGAN CHASE BANK NA 403659 EFT 08/20/2025 495.00 INTL ASSOC FOR ID 610702 43178 JP MORGAN CHASE BANK NA 403660 EFT 08/20/2025 315.92 SAMSCLUB #8236 610703 43178 JP MORGAN CHASE BANK NA 403661 EFT 08/20/2025 673.72 THE SUN HERALD 610704 43178 JP MORGAN CHASE BANK NA 403662 EFT 08/20/2025 39.97 AMAZON MKTPL 610705 43178 JP MORGAN CHASE BANK NA 403663 EFT 08/20/2025 18.18 ZOOM.COM 888-799-9666 610706 43178 JP MORGAN CHASE BANK NA 403664 EFT 08/20/2025 2,196.94 EXPEDIA 7318455373245 610707 43178 JP MORGAN CHASE BANK NA 403665 EFT 08/20/2025 40.00 UNITED AIRLINES 610708 43178 JP MORGAN CHASE BANK NA 403666 EFT 08/20/2025 1,500.00 SQ *BEAUTY SUPPLY 610709 43178 JP MORGAN CHASE BANK NA 403667 EFT 08/20/2025 958.31 SHERATON 610710 43178 JP MORGAN CHASE BANK NA 403668 EFT 08/20/2025 1,440.00 SQ *BEAUTY SUPPLY 610711 43178 JP MORGAN CHASE BANK NA 403669 EFT 08/20/2025 958.31 SHERATON 610712 43178 JP MORGAN CHASE BANK NA 403670 EFT 08/20/2025 155.25 GRAYSTONE LOCKSMITHS Report generated: 08/11/2025 13:47:15 Page 150 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610713 43178 JP MORGAN CHASE BANK NA 403671 EFT 08/20/2025 65.68 UBER *TRIP 610714 43178 JP MORGAN CHASE BANK NA 403672 EFT 08/20/2025 139.99 AMAZON MKTPL 610715 43178 JP MORGAN CHASE BANK NA 403673 EFT 08/20/2025 22.56 UNITED AIRLINES 610716 43178 JP MORGAN CHASE BANK NA 403674 EFT 08/20/2025 44.93 AMAZON MKTPL 610717 43178 JP MORGAN CHASE BANK NA 403675 EFT 08/20/2025 97.28 SAMS CLUB #8236 610718 43178 JP MORGAN CHASE BANK NA 403676 EFT 08/20/2025 224.17 CHEWY.COM 610719 43178 JP MORGAN CHASE BANK NA 403677 EFT 08/20/2025 99.00 AMAZON.COM*EO0RI0YN3 610720 43178 JP MORGAN CHASE BANK NA 403678 EFT 08/20/2025 19.25 O'REILLY 1489 610721 43178 JP MORGAN CHASE BANK NA 403679 EFT 08/20/2025 181.82 LOWES #00466 610722 43178 JP MORGAN CHASE BANK NA 403680 EFT 08/20/2025 182.91 O'REILLY 977 610723 43178 JP MORGAN CHASE BANK NA 403681 EFT 08/20/2025 42.79 O'REILLY 977 610724 43178 JP MORGAN CHASE BANK NA 403682 EFT 08/20/2025 101.68 AMAZON MKTPL 610725 43178 JP MORGAN CHASE BANK NA 403683 EFT 08/20/2025 379.99 AMAZON MKTPL 610726 43178 JP MORGAN CHASE BANK NA 403684 EFT 08/20/2025 135.80 AMAZON MKTPL 610727 43178 JP MORGAN CHASE BANK NA 403685 EFT 08/20/2025 18.28 AMAZON.COM*CF93O7GY3 610728 43178 JP MORGAN CHASE BANK NA 403686 EFT 08/20/2025 24.95 AMAZON.COM*M68KX24K3 610729 43178 JP MORGAN CHASE BANK NA 403687 EFT 08/20/2025 245.65 IN *DE L'EPEE DEAF CE 610730 43178 JP MORGAN CHASE BANK NA 403688 EFT 08/20/2025 44.38 AMAZON MKTPL 610731 43178 JP MORGAN CHASE BANK NA 403689 EFT 08/20/2025 35.58 AMAZON MKTPL 610732 43178 JP MORGAN CHASE BANK NA 403690 EFT 08/20/2025 40.00 UNITED AIRLINES 610733 43178 JP MORGAN CHASE BANK NA 403691 EFT 08/20/2025 36.35 AMAZON MKTPL 610734 43178 JP MORGAN CHASE BANK NA 403692 EFT 08/20/2025 5.15 EZTEXTINGCOM 610735 43178 JP MORGAN CHASE BANK NA 403693 EFT 08/20/2025 -100.00 PB ONLINE POSTAGE 610736 43178 JP MORGAN CHASE BANK NA 403694 EFT 08/20/2025 57.85 MS.GOV SUPREME CRT 610737 43178 JP MORGAN CHASE BANK NA 403695 EFT 08/20/2025 75.42 MS.GOV SUPREME CRT 610738 43178 JP MORGAN CHASE BANK NA 403696 EFT 08/20/2025 70.00 RPS GULFPORT 610739 43178 JP MORGAN CHASE BANK NA 403697 EFT 08/20/2025 74.70 UBER *TRIP 610740 43178 JP MORGAN CHASE BANK NA 403698 EFT 08/20/2025 38.00 AMAZON MKTPL 610741 43178 JP MORGAN CHASE BANK NA 403699 EFT 08/20/2025 64.00 AMAZON MKTPL 610742 43178 JP MORGAN CHASE BANK NA 403700 EFT 08/20/2025 30.00 EQUIP EXPO - HNA 610745 39259 DNA UNDERGROUND LLC 403704 251922 EFT 08/20/2025 120,536.00 WA 41: REMOVE/REPL EX 610746 553 SOUTH MS BUSINESS MACHINE 403703 EFT 08/20/2025 326.02 LEISURE SERVICES 610747 43326 UNITI FIBER HOLDINGS INC 403705 EFT 08/20/2025 228.00 1626087 610748 43326 UNITI FIBER HOLDINGS INC 403706 EFT 08/20/2025 228.00 1626087 610749 43326 UNITI FIBER HOLDINGS INC 403707 EFT 08/20/2025 228.00 1626087 610750 43326 UNITI FIBER HOLDINGS INC 403708 EFT 08/20/2025 228.00 1626087 610751 43326 UNITI FIBER HOLDINGS INC 403709 EFT 08/20/2025 228.00 1626087 610752 43326 UNITI FIBER HOLDINGS INC 403710 EFT 08/20/2025 228.00 1626087 610753 43326 UNITI FIBER HOLDINGS INC 403711 EFT 08/20/2025 228.00 1626087 610754 43326 UNITI FIBER HOLDINGS INC 403712 EFT 08/20/2025 228.00 1626087 Report generated: 08/11/2025 13:47:15 Page 151 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610755 43326 UNITI FIBER HOLDINGS INC 403713 EFT 08/20/2025 228.00 1626087 610756 43326 UNITI FIBER HOLDINGS INC 403714 EFT 08/20/2025 228.00 1626087 610757 43326 UNITI FIBER HOLDINGS INC 403715 EFT 08/20/2025 228.00 1626087 610758 43326 UNITI FIBER HOLDINGS INC 403716 EFT 08/20/2025 228.00 1626087 610759 43326 UNITI FIBER HOLDINGS INC 403717 EFT 08/20/2025 228.00 1626087 610760 43326 UNITI FIBER HOLDINGS INC 403718 EFT 08/20/2025 228.00 1626087 610761 43326 UNITI FIBER HOLDINGS INC 403719 EFT 08/20/2025 1,030.86 1626087 610762 193 COAST ELECTRIC POWER ASSO 403720 INV 08/20/2025 412.16 WILSON WELL S 610763 193 COAST ELECTRIC POWER ASSO 403721 INV 08/20/2025 70.48 DEDEAUX RD 14195 LIFT 610764 193 COAST ELECTRIC POWER ASSO 403722 INV 08/20/2025 91.00 THREE RV & DEDEAUX TR 610765 193 COAST ELECTRIC POWER ASSO 403723 INV 08/20/2025 108.40 CRYSTAL LAKE LIFT STA 610766 193 COAST ELECTRIC POWER ASSO 403724 INV 08/20/2025 195.11 CYPRESS PT LIFT STA 1 610767 193 COAST ELECTRIC POWER ASSO 403725 INV 08/20/2025 74.34 KLEIN RD & DEDEAUX RD 610768 193 COAST ELECTRIC POWER ASSO 403726 INV 08/20/2025 56.00 MARY DRIVE 610769 193 COAST ELECTRIC POWER ASSO 403727 INV 08/20/2025 3,078.62 DEDEAUX RD 14416 BLDG 610770 193 COAST ELECTRIC POWER ASSO 403728 INV 08/20/2025 171.87 DEDEAUX RD 14416 WELL 610771 193 COAST ELECTRIC POWER ASSO 403729 INV 08/20/2025 877.92 City of Gulfport Ligh 610772 193 COAST ELECTRIC POWER ASSO 403730 INV 08/20/2025 3,465.89 City of Gulfport Ligh 610773 193 COAST ELECTRIC POWER ASSO 403731 INV 08/20/2025 4,711.10 City of Gulfport Ligh 610774 193 COAST ELECTRIC POWER ASSO 403732 INV 08/20/2025 6,918.08 City of Gulfport Ligh 610775 193 COAST ELECTRIC POWER ASSO 403733 INV 08/20/2025 89.86 Alta Vida Security Li 610776 193 COAST ELECTRIC POWER ASSO 403734 INV 08/20/2025 7,503.83 City of Gulfport Ligh 610777 193 COAST ELECTRIC POWER ASSO 403735 INV 08/20/2025 8,535.79 City of Gulfport 610778 193 COAST ELECTRIC POWER ASSO 403736 INV 08/20/2025 76.29 TANNER RD 11178 610779 193 COAST ELECTRIC POWER ASSO 403737 INV 08/20/2025 74.16 ORANGE GROVE RD 17404 610780 58 A T & T 403738 INV 08/20/2025 4.10 228 M23 9239 001 0595 610781 58 A T & T 403739 INV 08/20/2025 3.52 228 M23 9239 001 0595 610782 58 A T & T 403740 INV 08/20/2025 23.69 228 M23 9239 001 0595 610783 58 A T & T 403741 INV 08/20/2025 4.19 228 M23 9239 001 0595 610784 58 A T & T 403742 INV 08/20/2025 131.98 228 M23 9239 001 0595 610785 58 A T & T 403743 INV 08/20/2025 172.29 228 M23 9239 001 0595 610786 58 A T & T 403744 INV 08/20/2025 83.44 228 M23 9239 001 0595 610787 58 A T & T 403745 INV 08/20/2025 16.42 228 M23 9239 001 0595 610788 58 A T & T 403746 INV 08/20/2025 2.54 228 M23 9239 001 0595 610789 58 A T & T 403747 INV 08/20/2025 1.95 228 M23 9239 001 0595 610790 58 A T & T 403748 INV 08/20/2025 216.39 228 M23 9239 001 0595 610791 58 A T & T 403749 INV 08/20/2025 29.50 228 M23 9239 001 0595 610792 58 A T & T 403750 INV 08/20/2025 60.87 228 M23 9239 001 0595 610793 58 A T & T 403751 INV 08/20/2025 32.34 228 M23 9239 001 0595 610794 58 A T & T 403752 INV 08/20/2025 1.10 228 M23 9239 001 0595 Report generated: 08/11/2025 13:47:15 Page 152 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610795 58 A T & T 403753 INV 08/20/2025 42.68 228 M23 9239 001 0595 610796 58 A T & T 403754 INV 08/20/2025 37.55 228 214 0312 001 0593 610797 58 A T & T 403755 INV 08/20/2025 1,782.77 404 685-9157 001 0352 610801 39312 AT&T MOBILITY II LLC 403758 INV 08/20/2025 808.11 287293643619 610802 39312 AT&T MOBILITY II LLC 403759 INV 08/20/2025 361.34 287293643619 610803 39312 AT&T MOBILITY II LLC 403760 INV 08/20/2025 80.46 287293643619 610804 39312 AT&T MOBILITY II LLC 403761 INV 08/20/2025 393.12 287293643619 610805 39312 AT&T MOBILITY II LLC 403762 INV 08/20/2025 90.25 287293643619 610806 39312 AT&T MOBILITY II LLC 403763 INV 08/20/2025 8,214.72 287293643619 IPADS 610807 39312 AT&T MOBILITY II LLC 403764 INV 08/20/2025 339.77 287275121217 610808 378 MS POWER COMPANY 403765 INV 08/20/2025 5,183.77 PLATFORM C 610809 378 MS POWER COMPANY 403766 INV 08/20/2025 7,693.01 PLATFORM A 610810 378 MS POWER COMPANY 403767 INV 08/20/2025 452.98 FUEL DOCK 610811 378 MS POWER COMPANY 403768 INV 08/20/2025 1,619.58 1419 27TH AVE THE DEP 610812 378 MS POWER COMPANY 403769 INV 08/20/2025 9,445.72 PLATFORM B 610813 378 MS POWER COMPANY 403770 INV 08/20/2025 81.00 2309 15TH ST 610814 378 MS POWER COMPANY 403771 INV 08/20/2025 95.97 2211 MORAIS PL 610815 378 MS POWER COMPANY 403772 INV 08/20/2025 9,209.69 SUMMARY BILL 610816 378 MS POWER COMPANY 403773 INV 08/20/2025 10,915.11 SUMMARY BILL 610817 378 MS POWER COMPANY 403774 INV 08/20/2025 98,398.25 SUMMARY BILL 610818 378 MS POWER COMPANY 403775 INV 08/20/2025 10,065.11 SUMMARY BILL 610819 378 MS POWER COMPANY 403776 INV 08/20/2025 11,398.98 SUMMARY BILL 610820 378 MS POWER COMPANY 403777 INV 08/20/2025 2,312.95 SUMMARY BILL 610821 378 MS POWER COMPANY 403778 INV 08/20/2025 6,328.73 SUMMARY BILL 610822 378 MS POWER COMPANY 403779 INV 08/20/2025 8,300.17 SUMMARY BILL 610823 378 MS POWER COMPANY 403780 INV 08/20/2025 13,468.39 SUMMARY BILL 610824 378 MS POWER COMPANY 403781 INV 08/20/2025 16,454.26 SUMMARY BILL 610825 378 MS POWER COMPANY 403782 INV 08/20/2025 6,154.07 SUMMARY BILL 610826 378 MS POWER COMPANY 403783 INV 08/20/2025 10,175.26 SUMMARY BILL 610830 90089 CITY OF GULFPORT 403787 INV 08/20/2025 177.70 030091025 POL ATHL DE 610831 90089 CITY OF GULFPORT 403788 INV 08/20/2025 11.70 030091030 POL ATHL DE 610832 90089 CITY OF GULFPORT 403789 INV 08/20/2025 150.06 060000711 GASTON PT C 610833 90089 CITY OF GULFPORT 403790 INV 08/20/2025 166.10 060000811 GASTON PT C 610834 90089 CITY OF GULFPORT 403791 INV 08/20/2025 3,951.20 070000111 BCH SPASH P 610835 90089 CITY OF GULFPORT 403792 INV 08/20/2025 24.24 070012511 CHAS WLKR S 610836 90089 CITY OF GULFPORT 403793 INV 08/20/2025 166.10 070012515 CHAS WLKR S 610837 90089 CITY OF GULFPORT 403794 INV 08/20/2025 166.10 070012530 WESTSIDE CO 610838 90089 CITY OF GULFPORT 403795 INV 08/20/2025 61.14 080042011 HORTICLTR B 610839 90089 CITY OF GULFPORT 403796 INV 08/20/2025 4,313.90 080123319 19TH ST SPS 610840 90089 CITY OF GULFPORT 403797 INV 08/20/2025 460.60 080122519 LEISURE SER Report generated: 08/11/2025 13:47:15 Page 153 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610841 90089 CITY OF GULFPORT 403798 INV 08/20/2025 111.66 100057011 ARMORY 610842 90089 CITY OF GULFPORT 403799 INV 08/20/2025 26.70 110000011 EAST PIER 610843 90089 CITY OF GULFPORT 403800 INV 08/20/2025 26.70 110000012 EAST PIER 610844 90089 CITY OF GULFPORT 403801 INV 08/20/2025 26.70 110000015 EAST PIER 610845 90089 CITY OF GULFPORT 403802 INV 08/20/2025 63.80 110000022 EAST PIER 2 610846 90089 CITY OF GULFPORT 403803 INV 08/20/2025 32.80 110000033 EAST PIER 610847 90089 CITY OF GULFPORT 403804 INV 08/20/2025 32.80 110000044 EAST PIER 610848 90089 CITY OF GULFPORT 403805 INV 08/20/2025 26.70 110000055 EAST PIER 610849 90089 CITY OF GULFPORT 403806 INV 08/20/2025 82.40 110000060 EAST PIER 610850 90089 CITY OF GULFPORT 403807 INV 08/20/2025 26.70 110000065 EAST PIER 610851 90089 CITY OF GULFPORT 403808 INV 08/20/2025 11.70 110082012 13 ST IRRIG 610852 90089 CITY OF GULFPORT 403809 INV 08/20/2025 11.70 110090012 13 ST IRRIG 610853 90089 CITY OF GULFPORT 403810 INV 08/20/2025 24.24 110291330 QUANSET HUT 610854 90089 CITY OF GULFPORT 403811 INV 08/20/2025 24.24 130006011 29TH AVE WH 610855 90089 CITY OF GULFPORT 403812 INV 08/20/2025 166.10 130037515 AMTRAK DEPO 610856 90089 CITY OF GULFPORT 403813 INV 08/20/2025 39.00 130037525 27TH AVE 610857 90089 CITY OF GULFPORT 403814 INV 08/20/2025 150.06 130038011 AMTRAK DEPO 610858 90089 CITY OF GULFPORT 403815 INV 08/20/2025 179.48 130069010 FEED MY SHE 610859 90089 CITY OF GULFPORT 403816 INV 08/20/2025 5.80 140065512 26TH AVE IR 610860 90089 CITY OF GULFPORT 403817 INV 08/20/2025 86.06 140065515 MAINT BLDG 610861 90089 CITY OF GULFPORT 403818 INV 08/20/2025 113.16 140148350 GAST HEWES 610862 90089 CITY OF GULFPORT 403819 INV 08/20/2025 26.70 140149511 EVERGREEN G 610863 90089 CITY OF GULFPORT 403820 INV 08/20/2025 39.00 140149512 EVERGREEN C 610864 90089 CITY OF GULFPORT 403821 INV 08/20/2025 24.24 140149513 EVERGREEN C 610865 90089 CITY OF GULFPORT 403822 INV 08/20/2025 61.14 160006011 EVERGREEN G 610866 90089 CITY OF GULFPORT 403823 INV 08/20/2025 124.46 602281500 STATION 12 610867 90089 CITY OF GULFPORT 403824 INV 08/20/2025 70.00 620042011 42 HOLLY CI 610868 90089 CITY OF GULFPORT 403825 INV 08/20/2025 162.86 700081440 STATION 10 610869 90089 CITY OF GULFPORT 403826 INV 08/20/2025 366.15 710010420 STATION 9 610870 90089 CITY OF GULFPORT 403827 INV 08/20/2025 171.90 740058461 DEDEAUX RD 610871 90089 CITY OF GULFPORT 403828 INV 08/20/2025 203.00 750008660 ORG GRV COM 610872 90089 CITY OF GULFPORT 403829 INV 08/20/2025 113.16 760031170 STATION 11 610873 193 COAST ELECTRIC POWER ASSO 403830 INV 08/20/2025 105.69 ROBINSON LIFT STATION 610874 193 COAST ELECTRIC POWER ASSO 403831 INV 08/20/2025 485.63 Oak Landing Phase 1 610875 193 COAST ELECTRIC POWER ASSO 403832 INV 08/20/2025 99.11 FLORENCE GARDENS V 610876 193 COAST ELECTRIC POWER ASSO 403833 INV 08/20/2025 158.29 FLORENCE GARDENS VI 610877 193 COAST ELECTRIC POWER ASSO 403834 INV 08/20/2025 158.29 FLORENCE GARDENS PH 8 610878 193 COAST ELECTRIC POWER ASSO 403835 INV 08/20/2025 375.32 SOUTHERN BREEZE ESTAT 610879 193 COAST ELECTRIC POWER ASSO 403836 INV 08/20/2025 78.64 SANCTUARY TRAILS LS 610880 193 COAST ELECTRIC POWER ASSO 403837 INV 08/20/2025 177.56 FLORENCE GARDENS PH 7 Report generated: 08/11/2025 13:47:15 Page 154 User: Alyssa M. Graham (agraham) Program ID: apwarrnt CITY OF GULFPORT ACCOUNTS PAYABLE WARRANT REPORT Warrant List by Voucher WARRANT: 08202025 08/20/2025 VOUCHER VENDOR DOCUMENT PO TYPE DUE DATE AMOUNT COMMENT 610881 193 COAST ELECTRIC POWER ASSO 403838 INV 08/20/2025 184.06 FLORENCE GARDENS PH 9 610882 193 COAST ELECTRIC POWER ASSO 403839 INV 08/20/2025 1,026.04 STIGLETS RD (NORTH EN 610883 193 COAST ELECTRIC POWER ASSO 403840 INV 08/20/2025 173.67 WINGATE LIFT STA 610884 193 COAST ELECTRIC POWER ASSO 403841 INV 08/20/2025 1,075.58 GPT HIGHLANDS SEC LGT 610885 193 COAST ELECTRIC POWER ASSO 403842 INV 08/20/2025 55.66 JACKSON ST WELL 610886 193 COAST ELECTRIC POWER ASSO 403843 INV 08/20/2025 55.94 DEDEAUX ELEV TANK LIT 610887 193 COAST ELECTRIC POWER ASSO 403844 INV 08/20/2025 149.69 WILDWOOD LIFT STA 610888 193 COAST ELECTRIC POWER ASSO 403845 INV 08/20/2025 158.73 LOREN D AT I10 LIFT S 610889 193 COAST ELECTRIC POWER ASSO 403846 INV 08/20/2025 64.44 PEPSI LIFT STA BEHIND 610890 193 COAST ELECTRIC POWER ASSO 403847 INV 08/20/2025 77.84 Brookfield Subd Light 610891 193 COAST ELECTRIC POWER ASSO 403848 INV 08/20/2025 1,420.46 Florence Gardens 610892 193 COAST ELECTRIC POWER ASSO 403849 INV 08/20/2025 502.36 Holliman Place 610893 193 COAST ELECTRIC POWER ASSO 403850 INV 08/20/2025 168.19 Plantation Oaks 610894 193 COAST ELECTRIC POWER ASSO 403851 INV 08/20/2025 71.91 18406 ROBINSON RD 610895 193 COAST ELECTRIC POWER ASSO 403852 INV 08/20/2025 440.08 Grand Oaks 610896 193 COAST ELECTRIC POWER ASSO 403853 INV 08/20/2025 140.12 Florence Gardens IV 610897 193 COAST ELECTRIC POWER ASSO 403854 INV 08/20/2025 25.36 TRACEWOOD DEV WARRANT TOTAL 4,797,341.34 Report generated: 08/11/2025 13:47:15 Page 155 User: Alyssa M. Graham (agraham) Program ID: apwarrnt