System: 8/7/2006 4:19:04 PM The Lynde & Harry Bradley Foun Page: 1 User Date: 8/7/2006 VENDOR CHECK REGISTER REPORT User ID: jason Payables Management Ranges: From: To: From: To: Check Number First Last Check Date 8/7/2006 8/7/2006 Vendor ID First Last Checkbook ID NORTHERN NORTHERN Vendor Name First Last Sorted By: Check Number * Voided Checks Check Number Vendor ID Vendor Check Name Check Date Checkbook ID Audit Trail Code Amount --------------------------------------------------------------------------------------------------------------------------------- 00000000000000005197 U069 U.S. Bank 8/7/2006 NORTHERN PMCHK00000026 $7,804.77 00000000000000005198 J053 Juniper Bank 8/7/2006 NORTHERN PMCHK00000027 $2,584.07 -------------------- Total Checks: 2 Total Amount of Checks: $10,388.84 ====================