Rec Center Pool Renovation 2022

Pump replacements, large crack in the bottom of a pool, concrete work on scum gutters, tile replacement along pool edge, backwash replacement and sand system replacement.

Project Appropriation

Project Appropriation
$999,956.25

Total Programmed Funds

Total Programmed Funds
$999,956.25
100.0% programmed of total appropriation

Total Expenditures

Total Expenditures
$974,162.97
97.4% expended of total appropriation

Project Expenditures

Project Expenditures
Date Account Vendor Amount
04/03/2023 562000 TORRISI PLUMBING SERVICES INC. $49,909.72
05/09/2023 562000 RJP ELECTRIC $24,999.00
05/18/2023 562000 INTEGRATED FACILITY SERVICES $97,770.79
05/25/2023 562000 TORRISI PLUMBING SERVICES INC. $13,471.10
08/08/2023 562000 INTEGRATED FACILITY SERVICES $12,736.00
08/08/2023 562000 INTEGRATED FACILITY SERVICES $3,316.42
12/07/2023 562000 INTEGRATED FACILITY SERVICES $68,070.93
03/01/2024 562000 INTEGRATED FACILITY SERVICES $3,549.26
03/05/2024 562000 INTEGRATED FACILITY SERVICES $31,221.00
03/05/2024 562000 INTEGRATED FACILITY SERVICES $2,905.74
03/05/2024 562000 INTEGRATED FACILITY SERVICES $787.26
03/05/2024 562000 INTEGRATED FACILITY SERVICES $43,990.00
03/05/2024 562000 INTEGRATED FACILITY SERVICES $46,950.00
04/04/2024 562000 Integrated Facility Services -$5,000.00
04/04/2024 562000 Integrated Facility Services -$8,125.00
04/04/2024 562000 Biz Saver Reversal $8,125.00
04/04/2024 562000 Biz Saver Reversal $5,000.00
05/01/2024 562000 INTEGRATED FACILITY SERVICES $43,950.00
05/01/2024 562000 INTEGRATED FACILITY SERVICES $53,646.35
05/01/2024 562000 INTEGRATED FACILITY SERVICES $7,371.08
05/09/2024 562000 INTEGRATED FACILITY SERVICES $84,639.73
05/09/2024 562000 INTEGRATED FACILITY SERVICES $44,244.57
06/05/2024 562000 INTEGRATED FACILITY SERVICES $5,007.83
06/06/2024 562000 INTEGRATED FACILITY SERVICES $22,664.02
06/06/2024 562000 INTEGRATED FACILITY SERVICES $18,743.27
06/06/2024 562000 INTEGRATED FACILITY SERVICES $64,311.87
06/06/2024 562000 INTEGRATED FACILITY SERVICES $7,632.29
06/06/2024 562000 INTEGRATED FACILITY SERVICES $18,777.73
06/06/2024 562000 INTEGRATED FACILITY SERVICES $7,096.49
06/06/2024 562000 INTEGRATED FACILITY SERVICES $20,732.72
07/11/2024 562000 INTEGRATED FACILITY SERVICES $34,675.00
10/07/2024 562000 INTEGRATED FACILITY SERVICES $33,165.74
10/07/2024 562000 INTEGRATED FACILITY SERVICES $25,722.27
10/14/2024 562000 INTEGRATED FACILITY SERVICES $20,532.43
10/16/2024 562000 INTEGRATED FACILITY SERVICES $33,044.38
11/07/2024 562000 INTEGRATED FACILITY SERVICES $28,527.98

Definitions

  • Appropriated Funds: Total amount of authorized funding set aside for a specific purpose
  • Programmed Funds: Estimate and Apportionment (E&A) approved contracts, personnel services, Board Bill approved Intergovernmental agreements (IGA)
  • Expenditures: Total amount spent by departments

Notes and Contact

SLFRF reporting will be updated on a rolling monthly basis.

The Project and Expenditure data reported is through Jan 31, 2025.

The data was last updated on Mar 11, 2025.

SLFRF - Coronavirus State and Local Fiscal Recovery Funds ($498,076,054.00)

Please contact STLARPA@stlouis-mo.gov if you have questions about the data.

See Also

An overview of ARPA data can also be found on the ARPA Transparency Portal

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