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HomeMy WebLinkAbout4.06 Check Issuance Report STAFF REPORT CITY CLERK File #300-40 CITY COUNCIL DATE:December 17, 2013 TO: Honorable Mayor and City Councilmembers FROM: Joni Pattillo, City Manager SUBJECT: Check Issuance Report and Electronic Funds Transfers Prepared by Veronica Briggs, Finance Technician II EXECUTIVE SUMMARY: The City Council will receive a listing of payments issued from November 1, 2013 – November 30, 2013 totaling $11,155,592.55. FINANCIAL IMPACT: SUMMARY OF PAYMENTS ISSUED November 1, 2013 through November 30, 2013 Total Number of Payments: 280 Total Amount of Payments: $11,155,592.55 RECOMMENDATION: Staff recommends that the City Council receive the report. Submitted By Reviewed By Administrative Services Director Assistant City Manager DESCRIPTION: The Payment Issuance Report (Attachment 1) provides a listing of all payments for the period beginning November 1, 2013 through November 30, 2013. This report is provided in accordance with the policy adopted November 15, 2011 in Resolution 189-11. The listing of payments has been reviewed in accordance with policies for processing payments and expenditures. ATTACHMENTS: 1. Payment Listing - November 2013 ITEM NO. 4.6 Page 1 of 1 Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 1 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/01/2013FIRST AMERICAN TITLE 4,562,710.73 QUIMBY ACT NEIGHBORHOOD PARKLAND ACQU Payments Issued 11/1/2013 Total:4,562,710.73 11/04/2013ALEX, ROSEMARY 46.33 MILEAGE REIMBURSEMENT 11/04/2013AMADOR VALLEY INDUSTRIES LLC 370.69 COMMERCIAL RECYCLING CONTAINERS 332.50 COMMERCIAL RECYCLING PROGRAM CONSULT Check Total: 703.19 11/04/2013APPLE ONE EMPLOYMENT SERVICES 814.00 TEMPORARY PUBLIC WORKS STAFF 11/04/2013ARROWHEAD 2,123.77 WATER-SEPT 2013 11/04/2013AT & T MOBILITY 131.30 SERVICE TO 10/7/13 11/04/2013AT&T - CALNET 2 111.09 SERVICE TO 10/1/13 16.14 SERVICE TO 10/10/13 947.42 SERVICE TO 10/12/13 20.35 SERVICE TO 10/14/13 35.85 SERVICE TO 10/6/13 Check Total: 1,130.85 11/04/2013BAY ALARM COMPANY 224.88 HERITAGE CENTER CHURCH ALARM SERVICE 1 304.29 HERITAGE CENTER SCHOOLHOUSE ALARM SER 457.21 SHANNON CENTER ALARM INSTALLATION Check Total: 986.38 11/04/2013BIDDLE, DON 99.44 REIMB LEAGUE OF CA CITIES CONFERENCE EX 11/04/2013BLACKBURN, KATHY 1,000.00 SENIOR CENTER ENTERTAINMENT 11/04/2013BRADLEY, ROGER 491.80 REIMB LEAGUE OF CA CITIES CONFERENCE EX 11/04/2013BYOG 747.09 RECREATION SUPPLIES 403.30 STAFF SHIRTS Check Total: 1,150.39 11/04/2013CALIF STATE DISBURSEMENT UNIT 352.62 PAYROLL DEDUCTION / CHILD SUPPORT: PE 10 11/04/2013CALIFORNIA PEACE OFFICERS ASSN 125.00 MEMBERSHIP RENEWAL-MCCARTHY 11/04/2013CAMINO PRESS 119.03 RUBBER STAMPS 11/04/2013CHECKERS CATERING 1,209.47 TRAINING SUPPLIES 11/04/2013COMCAST 117.03 SHANNON CENTER TV & INTERNET TO 10/8/13 11/04/2013COMMUNICATION STRATEGIES 2,827.50 INFORMATION TECHNOLOGY CONSULTING 6,922.50 TECHNOLOGY CONSULTING SERVICES Check Total: 9,750.00 11/04/2013CONTRA COSTA TIMES 52.00 ANNUAL SUBSCRIPTION RENEWAL 11/04/2013COUNTY OF ALAMEDA 3.00 ASSESSOR'S MAPS 11/04/2013DELL MARKETING L.P. 69.02 COMPUTER EQUIPMENT 3,545.36 REPLACEMENT COMPUTERS Check Total: 3,614.38 11/04/2013DEPARTMENT OF JUSTICE 539.00 FINGERPRINT PROCESSING SERVICES- SEPT 20 11/04/2013DUBLIN CYCLERY 560.00 COMMUNITY OUTREACH EXPENSE 11/04/2013DUBLIN HIGH SCHOOL 500.00 SPLATTER EVENT RECYCLING 11/04/2013EASI FILE 626.10 RECORDS STORAGE SUPPLIES 11/04/2013FASTSIGNS 21.80 UPDATE BANNERS Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 2 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/04/2013FEHR & PEERS ASSOCIATES INC. 1,360.18 BIKEWAYS MASTER PLAN UPDATE CONSULTING 1,674.75 E CROSSWALK DESIGN AMADOR VALLEY BLVD-S Check Total: 3,034.93 11/04/2013FERGUSON, LARRY 1,104.77 REIMBURSE HEALTH INSURANCE PREMIUMS 11/04/2013FIELDMAN, ROLAPP & ASSOCIATES 3,126.00 CONSULTANT SVCS FOR CFD FOR SUNCAL PRO 11/04/2013FOSS, CHRISTOPHER 486.80 REIMB LEAGUE OF CA CITIES CONFERENCE EX 155.00 REIMB LEAGUE OF CA CITIES MEETING EXPEN S Check Total: 641.80 11/04/2013FRANCHISE TAX BOARD 175.00 WAGE ASSIGNMENT: PE 10/18/13 11/04/2013GOODYEAR TIRE & RUBBER COMPANY 955.67 POLICE VEHICLE TIRES 11/04/2013GUPTA, ABE 99.44 REIMB LEAGUE OF CA CITIES CONFERENCE EX 11/04/2013HAUBERT, DAVID 64.70 REIMB LEAGUE OF CA CITIES CONFERENCE EX 11/04/2013IMAGEX 5,256.05 SPLATTER EVENT EXPENSE 11/04/2013IMPRINT WORKS, THE 755.52 INSIDE DUBLIN SUPPLIES 11/04/2013ISLES, ELIZABETH 11.31 MILEAGE REIMBURSEMENT 98.90 REIMBURSE HERITAGE CENTER EXPENSES Check Total: 110.21 11/04/2013JJACPA, INC 2,500.00 PROJECT ACCOUNTING CONSULTING SERVICES 11/04/2013KIMLEY-HORN AND ASSOC. INC. 1,773.39 DOUGHERTY ROAD WIDENING PROJECT-AUG 2 40.45 DOUGHERTY ROAD WIDENING PROJECT-JULY 2 Check Total: 1,813.84 11/04/2013KLEIST, JULAINA 268.80 REC CLASS INSTRUCTOR 11/04/2013LIVERMORE AUTO GROUP 78.63 CODE ENFORCEMENT VEHICLE MAINTENANCE 11/04/2013MANAGEMENT PARTNERS INC. 1,281.50 EXECUTIVE COACHING SERVICES TO 10/15/13 11/04/2013MARTIN, JULIE 39.00 REFUND SENIOR CENTER EXCURSION FEE 11/04/2013MCE CORPORATION 348,059.90 MAINTENANCE SERVICES-SEPT 2013 11/04/2013MEIN, STEPHANIE 129.27 MILEAGE REIMBURSEMENT 11/04/2013MERRILL, HOWARD 16.38 REIMBURSE DRIVER MEAL EXPENSE 11/04/2013OTIS ELEVATOR CO., INC. 270.00 ELEVATOR SERVICE-NOV 2013 11/04/2013P G & E 134.46 SERVICE TO 10/10/13 4,498.33 SERVICE TO 10/11/13 133.72 SERVICE TO 10/13/13 52.57 SERVICE TO 10/15/13 198.24 SERVICE TO 10/28/13 12.52 SERVICE TO 10/3/13 42.99 SERVICE TO 10/6/13 3,411.71 SERVICE TO 10/8/13 Check Total: 8,484.54 11/04/2013PARS 555.57 ADMIN & TRUSTEE FEES-AUG 2013 11/04/2013PATTILLO, JONI 51.70 REIMBURSE ICMA CONFERENCE EXPENSE 11/04/2013PUBLIC BENEFIT TECHNOLOGY 405.00 CITY COUNCIL MEETING VIDEO & ARCHIVING-S 11/04/2013RBF CONSULTING 411.47 ENGINEERING SERVICES TO 9/29/13 11/04/2013REGIONAL GOVERNMENT SERVICES 4,929.00 TEMPORARY BUILDING STAFF-RECORDS PROJE 4,870.08 TEMPORARY POLICE ADMIN STAFF Check Total: 9,799.08 11/04/2013ROONEY, DOUGLAS 46.33 MILEAGE REIMBURSEMENT 11/04/2013SNG & ASSOCIATES INC. 12,801.00 ENGINEERING SERVICES TO 8/31/13 11/04/2013STEVENSON, PORTO & PIERCE INC. 22,875.00 PLANNING SERVICES TO 10/18/13 Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 3 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/04/2013THE MURPHY TRUST 70,000.00 COMMERCIAL FACADE IMPROVEMENT GRANT 11/04/2013TJ KRISTI CORPORATION 300.00 FUEL TANK MONITORING-SEPT 2013 11/04/2013TREASURER ALAMEDA COUNTY 14,549.96 FUEL-SEPT 2013 11/04/2013TRI-VALLEY COMMUNITY TV 350.00 SPLATTER EVENT FILMING 11/04/2013UNUM LIFE INS CO OF AMERICA 10,957.21 LIFE INSURANCE PREMIUM - NOVEMBER 2013 11/04/2013VALLEY WINDOW CLEANING INC 6,320.00 WINDOW CLEANING-OCT 2013 11/04/2013VERIZON WIRELESS 266.07 SERVICE TO 10/10/13 771.03 SERVICE TO 10/3/13 Check Total: 1,037.10 Payments Issued 11/4/2013 Total:554,992.25 11/05/2013CITY SERVE OF THE TRI-VALLEY 5,000.00 COMMUNITY SUPPORT GRANT FY13-14 Payments Issued 11/5/2013 Total:5,000.00 11/08/2013CAL PERS 80,852.53 PERS RETIREMENT PLAN: PE 11/1/13 11/08/2013EMPLOYMENT DEVELOPMENT DEPT 13,836.18 CALIFORNIA STATE WITHHOLDING: PE 11/1/13 11/08/2013I C M A 401 PLAN 1,366.52 DEFERRED COMP 401A: PE 11/1/13 11/08/2013I C M A 457 PLAN 21,419.99 DEFERRED COMP 457: PE 11/1/13 11/08/2013INTERNAL REVENUE SERVICE 50,062.78 FEDERAL WITHHOLDING: PE 11/1/13 11/08/2013US BANK - PARS 1,620.07 PARS: PE 11/1/13 11/08/2013WAGEWORKS, INC. 2,752.20 DEPENDENT CARE - WAGE WORKS: PE 11/1/13 Payments Issued 11/8/2013 Total:171,910.27 11/12/20134 PAWS GOOSE CONTROL, INC 1,000.00 GOOSE CONTROL SERVICES-OCT 2013 1,000.00 GOOSE CONTROL SERVICES-SEPT 2013 Check Total: 2,000.00 11/12/2013ALAMEDA COUNTY FIRE DEPARTMENT 852,018.84 FIRE SERVICES - SEPT 2013 11/12/2013ALL CITY MANAGEMENT SVCS INC 6,152.00 CROSSING GUARD SERVICES TO 10/12/13 11/12/2013AMY'S ENGRAVED SIGNS & AWARDS 24.53 RECREATION STAFF NAMEPLATES 11/12/2013ANDERSON, LINDSAY 750.00 REFUND SHANNON DEPOSIT 11/12/2013APPLE ONE EMPLOYMENT SERVICES 880.00 TEMPORARY PUBLIC WORKS STAFF 11/12/2013ARROYO, ANEL 910.80 REC CLASS INSTRUCTOR 11/12/2013ASSOCIATED RIGHT OF WAY SVCS 3,185.00 TRAFFIC & FACILITY IMPACT FEE STUDY 11/12/2013AT&T - CALNET 2 0.31 SERVICE TO 10/12/13 124.04 SERVICE TO 10/14/13 178.97 SERVICE TO 10/19/13 Check Total: 303.32 11/12/2013B & S HACIENDA AUTO BODY 2,061.58 POLICE VEHICLE MAINTENANCE 1,305.25 POLICE VEHICLE REPAIR Check Total: 3,366.83 11/12/2013BAY ISLAND OFFICIAL ASSOC 1,862.00 SPORTS OFFICIATING SERVICES-OCT 2013 1,847.00 SPORTS OFFICIATING SERVICES-SEPT 2013 Check Total: 3,709.00 11/12/2013CALIF STATE DISBURSEMENT UNIT 352.62 PAYROLL DEDUCTION / CHILD SUPPORT: PE 11 11/12/2013CALLANDER ASSOCIATES INC. 3,341.73 PASSATEMPO PARK LANDSCAPE DESIGN SVCS Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 4 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/12/2013CAPITAL ONE COMMERCIAL 882.20 SHANNON & SENIOR CENTER SUPPLIES 11/12/2013CCAC 200.00 CITY CLERK'S ASSOCIATION WORKSHOP REG-J 11/12/2013CENTRAL VALLEY TOXICOLOGY 2,570.00 LAB TESTING SERVICES TO 9/25/13 11/12/2013CGS GYMNASTIC SERVICES INC 782.60 REC CLASS INSTRUCTOR 11/12/2013CHAN, PAMELA 35.00 REFUND REC CLASS 11/12/2013CHAN, ROSA 296.25 REC CLASS INSTRUCTOR 11/12/2013CHINN, AVA YEE 502.90 REC CLASS INSTRUCTOR 11/12/2013CONNAUGHTON, JUDITH 612.00 REC CLASS INSTRUCTOR 11/12/2013COSTAR REALTY INFORMATION INC. 459.00 REAL ESTATE INFORMATION SUBSCRIPTION-NO 11/12/2013CPRS DISTRICT 2 110.00 RECREATION FALL FORUM REGISTRATION-SIU, 11/12/2013CRANFORD, ROBIN 1,833.73 REC CLASS INSTRUCTOR 11/12/2013DIAZ, JACQUI 376.60 REIMBURSE CA SPECIALIZED TRAINING CLASS 11/12/2013DOSAJ, SHASHI 420.00 REC CLASS INSTRUCTOR 11/12/2013EAST BAY DIVISION LCC 100.00 LEAGUE OF CA CITIES MEETING EXP-SBRANTI, 11/12/2013FARMER, LYNDA 60.00 REC CLASS INSTRUCTOR 11/12/2013FRANCHISE TAX BOARD 175.00 PAYROLL DEDUCTION / WAGE ASSIGNMENT: PE 11/12/2013FRANKLIN, RHONDA 11.87 MILEAGE REIMBURSEMENT 11/12/2013GCS PROMOTION SPECIALTIES 1,103.01 POLICE SUPPLIES 11/12/2013HAGGIN, ERIC 720.00 REC CLASS INSTRUCTOR 11/12/2013HSI, RON 23.40 REC CLASS INSTRUCTOR 11/12/2013IRON MOUNTAIN 482.27 OFFSITE RECORDS STORAGE-SEPT 2013 11/12/2013ISLES, ELIZABETH 90.14 MILEAGE REIMBURSEMENT 22.88 REIMBURSE HERITAGE CENTER SUPPLIES Check Total: 113.02 11/12/2013JACOBS, PAMELA 54.00 REC CLASS INSTRUCTOR 11/12/2013KENNEDY, RUSS 7.58 HERITAGE CENTER SUPPLIES 11/12/2013KHYBER PASS KABOBS 600.00 SPLATTER EVENT REIMBURSEMENT 11/12/2013KING, ARTHUR 83.30 REC CLASS INSTRUCTOR 11/12/2013KOMADINA, SMILJKA 750.00 REFUND SHANNON DEPOSIT 11/12/2013KOVVURI, SRINIVASA 370.67 REFUND REC CLASS 11/12/2013LIVERMORE AUTO GROUP 1,745.69 POLICE VEHICLE MAINTENANCE 673.30 POLICE VEHICLE REPAIR Check Total: 2,418.99 11/12/2013LIVERMORE, CITY OF 75.00 REGIONAL BUSINESS EVENT 11/12/2013MANNING, JAN 1,600.50 REC CLASS INSTRUCTOR 11/12/2013MATASSOW, MARINA 250.00 REFUND HERITAGE CENTER DEPOSIT 11/12/2013MERKADEAU, LISA 750.00 REFUND SHANNON DEPOSIT 11/12/2013MOTTOLA, ANN 34.69 MILEAGE REIMBURSEMENT 11/12/2013NATIONAL ASSN OF TOWN WATCH 99.75 NATIONAL NIGHT OUT SUPPLIES 11/12/2013NEXTEL COMMUNICATIONS 77.32 SERVICE TO 10/19/13 11/12/2013P G & E 261.79 SERVICE TO 10/30/13 11/12/2013PAUL NIEMUTH & ASSOCIATES 8,687.50 PLANNING SERVICES - AUG/SEP 2013 4,312.50 PLANNING SERVICES - JUL 2013 Check Total: 13,000.00 11/12/2013PURSUIT NORTH 121.06 POLICE VEHICLE REPAIR Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 5 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/12/2013SAFEWAY INC 82.87 BICYCLE RODEO SUPPLIES 41.51 POLICE PUBLIC FORUM SUPPLIES Check Total: 124.38 11/12/2013SMITH, JENNIFER 6.33 MILEAGE REIMBURSEMENT- SEPT/OCT 2013 11/12/2013SMITH, SUSAN 750.00 REFUND SHANNON DEPOSIT 11/12/2013SNG & ASSOCIATES INC. 10,605.50 ENGINEERING SERVICES TO 9/30/13 11/12/2013STALLER, GLENN 237.60 REC CLASS INSTRUCTOR 11/12/2013STIVING, KIMBERLEY 750.00 REFUND SHANNON DEPOSIT 11/12/2013SWA GROUP 10,178.90 IRON HORSE PARK & OPEN SPACE DESIGN SVC 11/12/2013TAE, HEE YU 1,033.50 REFUND PRESCHOOL FEES 11/12/2013TREASURER ALAMEDA COUNTY 7,544.10 BOOKING FEES 11/12/2013TRI-VALLEY YMCA 8,219.88 GRANT FUNDING FY13-14 11/12/2013VALENTIN, M. 100.80 REC CLASS INSTRUCTOR 11/12/2013VERIZON WIRELESS 71.05 SERVICE TO 10/15/13 38.01 WIRELESS SERVICE PARKS IPAD TO 10/10/13 Check Total: 109.06 11/12/2013WALLACE, LOREY 882.00 REC CLASS INSTRUCTOR 11/12/2013WEISS, ROBIN S. 176.40 REC CLASS INSTRUCTOR 11/12/2013WESTERN PACIFIC SIGNAL LLC 16,880.00 CITYWIDE SIGNAL COMMUNICATIONS UPGRADE 11/12/2013WETHERFORD, HAZEL 28.48 MILEAGE REIMBURSEMENT - OCT 2013 11/12/2013WILLKOMM, PHILLIP 223.74 REIMB CODE ENFORCEMENT OFFICER CONF EX 11/12/2013WOLFF, ADRIAN 250.00 REFUND SPORTS FIELD RENTAL DEPOSIT Payments Issued 11/12/2013 Total:967,518.84 11/18/2013ARORA, AKSHAY 14,548.20 REC CLASS INSTRUCTOR 11/18/2013AT&T - CALNET 2 298.16 SERVICE TO 10/14/13 227.54 SERVICE TO 10/26/13 149.21 SERVICE TO 10/27/13 Check Total: 674.91 11/18/2013ATHENS BURGERS 2,000.00 SCHAEFFER RANCH PARK DEDICATION EXPENS 11/18/2013BSK ASSOCIATES INC. 4,750.00 PASSATEMPO PARK GEOTECHNICAL SVCS TO 8 2,652.50 PASSATEMPO PARK GEOTECHNICAL SVCS TO 9 Check Total: 7,402.50 11/18/2013CALLANDER ASSOCIATES INC. 2,025.65 SHANNON PARK WATER AREA DESIGN SVCS TO 1,912.57 SHANNON PARK WATER AREA DESIGN SVCS TO Check Total: 3,938.22 11/18/2013CASTRO VALLEY PERFORMING ARTS 1,447.05 REC CLASS INSTRUCTOR 11/18/2013CDW GOVERNMENT INC 980.02 COMPUTER EQUIPMENT 11/18/2013CENTENO, CAMILLE 14.01 MILEAGE REIMBURSEMENT 11/18/2013COFFEE CONCEPTS 750.00 CONTRACT SERVICES 11/18/2013COMCAST 411.04 CIVIC CENTER INTERNET & CABLE SVC TO 11/ 11/18/2013COMCAST 222.49 SENIOR CENTER INTERNET & CABLE SVC TO 12 11/18/2013CRONIN, MICHELE 395.91 REIMBURSE NATIONAL REC & PARK CONF EXPE 11/18/2013DAHLIN GROUP INC 149,400.00 AQUATIC COMPLEX ARCHITECTURAL DESIGN SV 11,237.09 MAINT FACILITY ARCHITECTURAL DESIGN TO 9 Check Total: 160,637.09 Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 6 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/18/2013DEPARTMENT OF CONSUMER AFFAIRS 115.00 CIVIL ENGINEERING LICENSE RENEWAL-HUISIN 11/18/2013DEVANE, BRENDAN 1,103.60 REC CLASS INSTRUCTOR 11/18/2013DSRSD 1,651.70 SERVICE TO 10/31/13 11/18/2013DUBLIN HIGH SCHOOL PFS 750.00 REFUND SHANNON CENTER DEPOSIT 11/18/2013E. MAJDALANI CONSTRUCTION 12,350.00 CONSTRUCTION MGMT PASSATEMPO PARK TO 11/18/2013FIELDMAN, ROLAPP & ASSOCIATES 8,263.00 CONSULTANT SVCS FOR CFD FOR SUNCAL PRO 11/18/2013GOODLAND LANDSCAPE 147,158.06 CONSTRUCTION SVCS-PASSATEMPO PARK TO 1 11/18/2013HAAG, JERRY P 1,198.75 IRON HORSE TRAIL CEQA PREPARATION TO 10/ 27,595.59 PLANNING SERVICES TO 10/31/13 Check Total: 28,794.34 11/18/2013HATZIKOKOLAKIS, JACQUI 48.79 REIMBURSE TREE LIGHTING SUPPLIES 11/18/2013HOLMES, SHEILA 45.00 REC CLASS INSTRUCTOR 11/18/2013HORIZON DISTRIBUTORS, INC. 460.68 PASSATEMPO PARK TREE STAKES 11/18/2013HUDSON, ANNA 35.03 MILEAGE REIMBURSEMENT 11/18/2013IBE, MARVIN 182.88 REC CLASS INSTRUCTOR 11/18/2013INTERWEST CONSULTING GROUP INC 5,060.00 PLAN REVIEW & BUILDING INSPECTION SVCS T 11/18/2013KAPADIA, MARIA 304.50 REC CLASS INSTRUCTOR 11/18/2013LANLOGIC INC. 13,782.50 INFORMATION TECHNOLOGY TEMP STAFF SUPP 11/18/2013LINDORF, BRUCE 750.00 REFUND DEPOSIT SHANNON CENTER RENTAL 11/18/2013MACK5 22,050.00 CONSTRUCTION MGMT ALCO JOINT USE FACILIT 11/18/2013MCCAIN, INC. 558.08 STREET NAME SIGN 11/18/2013MEIN, STEPHANIE 63.55 REIMBURSE STORAGE BINS 11/18/2013MERRILL, HOWARD 16.59 REIMBURSE SR VAN DRIVER MEAL 11/18/2013OMNI-MEANS LTD 2,196.00 SPEED SURVEYS 11/18/2013P G & E 4,256.05 SERVICE TO 10/24/13 3,432.28 SERVICE TO 10/25/13 175.48 SERVICE TO 10/29/13 627.68 SERVICE TO 10/30/13 10,258.23 SERVICE TO 10/31/13 12.32 SERVICE TO 11/1/13 Check Total: 18,762.04 11/18/2013PAPPA, STEVE 8.48 MILEAGE REIMBURSEMENT - OCT 2013 23.17 MILEAGE REIMBURSEMENT - SEPT 2013 Check Total: 31.65 11/18/2013PLEASANTON, CITY OF 77,701.04 TVBID FEES FOR JUL-SEP 2013 11/18/2013RAYNE OF SAN JOSE 409.75 WATER SOFTENER SERVICE-NOV 2013 11/18/2013RBF CONSULTING 16,686.72 PLANNING SERVICES TO 9/29/13 15,453.20 PLANNING SERVICES TO 9/30/13 Check Total: 32,139.92 11/18/2013SELECT IMAGING 213.64 BUSINESS CARDS 344.71 DUBLIN CROSSING SPECIFIC PLAN COPIES Check Total: 558.35 11/18/2013SHAMROCK OFFICE SOLUTIONS INC 1,754.90 PRINTER SUPPLIES 11/18/2013SHUMS CODA ASSOCIATES INC 1,430.00 PLAN REVIEW & BUILDING INSPECTIONS SVCS- 11/18/2013SIMPLER SYSTEMS, INC 16,317.85 SOFTWARE HOSTING CONSULTING SERVICES 11/18/2013SPECTRUM COMMUNITY SVCS INC. 1,001.00 COMMUNITY SUPPORT GRANT-SEP 2013 11/18/2013STEVENSON, PORTO & PIERCE INC. 17,312.50 PLANNING SERVICES TO 11/1/13 Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 7 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/18/2013TLC INTERIOR PLANT SERVICE 135.00 PLANT SERVICE-NOV 2013 11/18/2013TREASURER ALAMEDA COUNTY 331.63 FINGERPRINT SERVICES - SEPT 2013 2,478,849.33 POLICE SERVICES - JUL/AUG 2013 Check Total: 2,479,180.96 11/18/2013TREASURER ALAMEDA COUNTY 2,833.50 PARKING CITATIONS COLLECTED-AUG 2013 2,482,014.46 Vendor Total: 11/18/2013TRI-SIGNAL INTEGRATION INC 126.00 FIRE ALARM SYSTEM QUARTERLY TESTING 11/1 11/18/2013TRI-VALLEY COMMUNITY TV 760.00 PRODUCTION SERVICES-DUBLIN REAL ESTATE 11/18/2013TRI-VALLEY HOUSING OPPORTUNITY 18,750.00 COMMUNITY SUPPORT GRANT FY13-14 11/18/2013YOSEMITE CHAPTER OF ICC 125.00 INTERNATIONAL CODE COUNCIL COURSE REG-T Payments Issued 11/18/2013 Total:3,101,132.30 11/22/2013CAL PERS 82,232.30 PERS RETIREMENT PLAN: PE 11/15/13 11/22/2013CAL PERS HEALTH PREMIUM 158,421.45 HEALTH INSURANCE PREMIUM - DECEMBER 201 11/22/2013CALIF STATE DISBURSEMENT UNIT 352.62 PAYROLL DEDUCTION CHILD SUPT PE 11/15/13 11/22/2013EMPLOYMENT DEVELOPMENT DEPT 16,387.47 CALIFORNIA STATE WITHHOLDING: PE 11/15/1 11/22/2013I C M A 401 PLAN 1,339.44 DEFERRED COMP 401A: PE 11/15/13 11/22/2013I C M A 457 PLAN 21,804.42 DEFERRED COMP 457: PE 11/15/13 11/22/2013INTERNAL REVENUE SERVICE 56,479.56 FEDERAL WITHHOLDING: PE 11/15/13 11/22/2013US BANK - PARS 1,772.11 PARS: PE 11/15/13 11/22/2013WAGEWORKS, INC. 2,752.20 DEPENDENT CARE - WAGE WORKS: PE 11/15/13 Payments Issued 11/22/2013 Total:341,541.57 11/25/2013ADAMS, SHALICE 750.00 REFUND SHANNON DEPOSIT 11/25/2013AGBAYANI CONSTRUCTION CORP 15,295.00 CIVIC CENTER MODIFICATION CONSTRUCTION 18,086.98 RETAINAGE RELEASE-CIVIC CENTER CONSTRU Check Total: 33,381.98 11/25/2013ALAMEDA COUNTY FIRE DEPARTMENT 931,917.08 FIRE SERVICES - OCT 2013 11/25/2013ALAMEDA COUNTY HOUSING & 750.00 HOUSING MORTGAGE CREDIT CERTIFICATION P 11/25/2013AMERIPRIDE UNIFORM SERVICES 232.54 MAT SERVICE-OCT 2013 11/25/2013AMOS PRODUCTIONS 745.00 EMPLOYEE RECOGNITION EVENT SERVICES 11/25/2013APPLE ONE EMPLOYMENT SERVICES 880.00 TEMPORARY PUBLIC WORKS STAFF 11/25/2013ARORA, AKSHAY 701.40 JUNIOR TENNIS TEAM INSTRUCTOR 238.80 REC CLASS INSTRUCTOR Check Total: 940.20 11/25/2013BASCOM, KRISTI 559.60 C REIMB AMERICAN PLANNING ASSN CONFEREN 11/25/2013BORTOLOTTO & CO., INC., G. 12,743.40 RETAINAGE RELEASE-DUBLIN BLVD RESURFAC 11/25/2013BOZZO, TARYN GAVAGAN 102.18 REIMB MUNICIPAL MGMT ASSN CONFERENCE E 11/25/2013BRADLEY, ROGER 368.66 REIMB MUNICIPAL MGMT ASSN CONFERENCE E 11/25/2013BSK ASSOCIATES INC. 1,185.00 STORM DRAIN ASSESSMENT EXPENSE 11/25/2013C.F. ARCHIBALD PAVING, INC. 13,146.39 2013 ANNUAL STREET OVERLAY PROGRAM 11/25/2013CHITTA, RAGHU 537.00 REFUND PRESCHOOL FEES 11/25/2013COIT SERVICES, INC. 2,230.00 CARPET CLEANING-OCT 2013 Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 8 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/25/2013COMMUNICATION ACADEMY 450.00 REC CLASS INSTRUCTOR 11/25/2013CONTRACT SWEEPING SERVICES 379.50 STREET SWEEPING-SLURRY SEAL 345.00 STREET SWEEPING-SPLATTER EVENT Check Total: 724.50 11/25/2013DEPARTMENT OF JUSTICE 741.00 FINGERPRINTING SERVICES - OCT 2013 11/25/2013DSRSD 10,424.26 STORM INTERCEPTOR CLEANING 11/25/2013DUBLIN RANCH GOLF COURSE 2,212.70 REC CLASS INSTRUCTOR 11/25/2013DUBLIN UNIFIED SCHOOL DISTRICT 2,412.00 JANITORIAL SERVICE AFTER SCHOOL REC-NOV 11/25/2013EAST BAY CHAPTER ICC 265.00 ANNUAL MEMBERSHIP - SHREEVE 11/25/2013ENTERPRISE RENT A CAR 1,197.06 POLICE VEHICLE RENTAL 11/25/2013FRANCHISE TAX BOARD 175.00 PAYROLL DEDUCTION / WAGE ASGNMT: PE 11/1 11/25/2013HATZIKOKOLAKIS, JACQUI 16.84 MILEAGE REIMBURSEMENT 11/25/2013IAPMO 124.58 BUILDING PUBLICATIONS 11/25/2013I-GATE NEST 25,000.00 ANNUAL MUNICIPAL BOARD PARTNERSHIP 11/25/2013INTERNATIONAL CODE COUNCIL 50.00 MEMBERSHIP DUES-SHREEVE 11/25/2013IRON MOUNTAIN 148.00 ACAP TRUST FUND DISBURSEMENT 11/25/2013J. S. BUILDING MAINTENANCE 1,860.98 JANITORIAL SERVICES LIBRARY-OCT 2013 11/25/2013JORDAN & ASSOCIATES, INC. 2,000.00 LEGISLATIVE CONSULTANT SERVICES-OCT 2013 11/25/2013KIMLEY-HORN AND ASSOC. INC. 5,674.42 DOUGHERTY ROAD WIDENING PROJECT 5,320.00 DOUGHERTY ROAD WIDENING PROJECT TO 8/3 Check Total: 10,994.42 11/25/2013KROLL FACTUAL DATA CORP 37.20 FIRST TIME HOME LOAN PRGM CREDIT REPORT 11/25/2013LI, YIZHI 545.00 REC CLASS INSTRUCTOR 11/25/2013MANAGEMENT PARTNERS INC. 1,902.75 EXECUTIVE COACHING SERVICES TO 10/31/13 11/25/2013MAZE & ASSOCIATES 15,056.00 FINANCIAL AUDIT SERVICES FOR FY12-13 11/25/2013MEIN, STEPHANIE 47.36 MILEAGE REIMBURSEMENT 11/25/2013MENDOZA, DAN 750.00 REFUND SHANNON DEPOSIT 11/25/2013MEYERS NAVE 1,938.40 LEGAL SERVICES-SCHAEFER RANCH GHAD 11/25/2013NORTH STAR DESTINATION 42,666.66 MARKETING & BRANDING STRATEGY DEVELOPM 11/25/2013P G & E 4,904.10 SERVICE TO 10/17/13 2,741.51 SERVICE TO 11/12/13 Check Total: 7,645.61 11/25/2013PACHECO BROTHERS GARDENING INC 3,465.00 LANDSCAPING SERVICES-NOV 2013 11/25/2013PAKPOUR CONSULTING GROUP, INC. 11,326.88 SLURRY SEAL PROGRAM INSPECTION SVCS-OC 11/25/2013PEELLE TECHNOLOGIES INC 3,732.87 DOCUMENT PREPARATION & IMAGING SVCS 11/25/2013PLEASANTON RENTALS INC 103.55 SCHAEFER RANCH OPENING SUPPLIES 11/25/2013PMC 40.00 DUBLIN CLIMATE ACTION PLAN UPDATE TO 10/ 6,350.00 HOUSING CONSULTANT SERVICES TO 7/26/13 Check Total: 6,390.00 11/25/2013POSITIVE PROMOTIONS INC 3,303.95 RED RIBBON WEEK SUPPLIES 11/25/2013RHAA 3,030.16 PIONEER CEMETERY MASTER PLAN PROJECT-O 11/25/2013ROONEY, DOUGLAS 119.78 MILEAGE REIMBURSEMENT 11/25/2013ROTO ROOTER 91,205.25 2013 STORM DRAIN SYSTEM IMPROVEMENTS 11/25/2013SAFEWAY INC 248.22 COUNCIL MEETING SUPPLIES 11/25/2013SELECT IMAGING 302.14 DOCUMENT COPIES FOR THE VILLAGE AT DUBL 11/25/2013SHAH, DINAH 1,382.40 REC CLASS INSTRUCTOR Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 9 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/25/2013SHAMROCK OFFICE SOLUTIONS INC 87.01 COPIER SUPPLIES 761.93 OFFICE SUPPLIES-OCT 2013 435.95 PRINTER 316.10 PRINTER REPAIRS Check Total: 1,600.99 11/25/2013SMITH, LINDA 143.19 REIMB MUNICIPAL MGMT ASSN CONFERENCE E 67.80 REIMBURSE IDEA EXCHANGE PROGRAM EXPE N Check Total: 210.99 11/25/2013SPECIAL EVENTS 1,408.06 SUNDAY CONCERT EXPENSE 11/25/2013STEFFEN, ERIN 406.66 REIMB MUNICIPAL MGMT ASSN CONFERENCE E 11/25/2013TERMINIX INTERNATIONAL LP 677.00 PEST CONTROL SERVICES-OCT 2013 622.00 PEST CONTROL SERVICES-SEPT 2013 Check Total: 1,299.00 11/25/2013TNT BAND 600.00 DANCESCAPE EXPENSE 11/25/2013TREASURER ALAMEDA COUNTY 1,000.00 POLICE COMPUTER NETWORK SERVICES-SEP 2 11/25/2013TRI-VALLEY JANITORIAL INC. 2,018.56 EXTRA JANITORIAL SERVICES-OCT 2013 10,808.00 JANITORIAL SERVICES FY13-14 OCT 2013 Check Total: 12,826.56 11/25/2013TYLER BUSINESS FORMS 251.16 W-2 AND 1099 SUPPLIES 11/25/2013UNITED SITE SERVICES OF CA INC 787.33 DISPOSAL SERVICE TO 11/15/13 11/25/2013VALLEY WINDOW CLEANING INC 1,480.00 WINDOW CLEANING-SHANNON OCT 2013 11/25/2013VSS INTERNATIONAL, INC. 164,861.10 2013 ANNUAL SLURRY SEAL PROGRAM 11/25/2013WETHERFORD, HAZEL 144.50 REIMB MUNICIPAL MGMT ASSN CONFERENCE E 11/25/2013WHITE, ROYLEEN A 7,500.00 ADMINISTRATIVE SERVICES CONSULTING SVCS Payments Issued 11/25/2013 Total:1,435,380.26 Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 10 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 11/27/2013BUSINESS CARD 279.47 ADMIN SERVICES DEPT TRAINING SUPPLIES 171.36 CIVIC CENTER HOLIDAY TREE SUPPLIES 515.67 SCHAEFER PARK OPENING SUPPLIES 27.00 ST. PATRICK'S EVENT SUPPLIES Check Total: 993.50 11/27/2013BUSINESS CARD 504.30 CA SPECIALIZED TRAINING CLASS EXPENSE-DI 21.00 CLIPPER CARD FEES - SEP 2013 250.00 EMPLOYEE RECOGNITION EVENT SERVICES 475.00 EMPLOYMENT ADVERTISEMENT 229.84 IDEA EXCHANGE PROGRAM EXPENSE-L.SMITH 124.34 INSIDE DUBLIN SUPPLIES 25.00 LEGISLATIVE UPDATE BRIEFING-DIAZ 23.96 MANAGEMENT TRAINING SUPPLIES 41.26 MEETING SUPPLIES 563.58 OFFICE EQUIPMENT 203.66 SAFETY WEEK SUPPLIES Check Total: 2,461.94 11/27/2013BUSINESS CARD 352.53 AMERICAN PLANNING ASSN CONFERENCE EXP- 125.00 BUILDING OFFICIALS CLASS REG-RECINOS-SER 591.96 CODE ENFORCEMENT OFFICERS CONFERENCE 90.00 INT'L CODE COUNCIL CERTIFICATION-RUVALCA 300.00 INT'L CODE COUNCIL CLASS REG-SHREEVE/RUV 300.00 MUNICIPAL MGMT ASSN CONFERENCE REG-BAK 93.05 POLICE CAPTAINS ACADEMY SUPPLIES Check Total: 1,852.54 11/27/2013BUSINESS CARD 159.80 CONGRESS OF CITIES & EXPOSITION EXP-HAUB 670.00 CONGRESS OF CITIES & EXPOSITION REG-HAU 211.62 HUMAN RESOURCE MANAGERS SEMINAR EXP-C 38.96 INSIDE DUBLIN SUPPLIES 140.00 SOCIAL MEDIA WORKSHOP REG-DIAZ/JACKMAN 600.00 U.S. MAYORS CONFERENCE REG-SBRANTI Check Total: 1,820.38 11/27/2013BUSINESS CARD 43.00 MEETING EXPENSE-PATILLO 31.00 MEETING EXPENSE-PATTILLO 463.56 NATIONAL CIVIC LEAGUE BOARD MEETING EXP- Check Total: 537.56 11/27/2013BUSINESS CARD 149.99 ANNUAL SUBSCRIPTION 109.86 BREAKFAST WITH SANTA SUPPLIES 130.40 HARVEST FAIRE SUPPLIES 127.57 HERITAGE PARK & MUSEUMS SUPPLIES 70.70 HOMETOWN HEROES EVENT SUPPLIES 12.07 PRESCHOOL SUPPLIES 46.64 RECREATION SUPPLIES 372.54 SCHAEFER RANCH PARK BANNER 2,792.46 SCHAEFER RANCH PARK SUPPLIES 43.54 SHANNON CENTER SUPPLIES 1,285.00 SOCIETY OF LANDSCAPE ARCHITECTS CONF RE 115.00 ST. PATRICK'S FESTIVAL SUPPLIES Check Total: 5,255.77 11/27/2013BUSINESS CARD 252.59 HARVEST FAIRE SUPPLIES 898.50 HERITAGE CENTER SUPPLIES 216.27 HOMETOWN HEROES SUPPLIES 32.10 MEETING SUPPLIES 130.00 MUNICIPAL MGMT ASSN MEMBERSHIP-FRANKLI Print Date: 12/03/2013City of Dublin Payment Issuance Report Page 11 of 11 Payments Dated 11/1/2013 through 11/30/2013 Date IssuedPayeeAmountDescription 228.25 OFFICE SUPPLIES -55.00 REFUND NAT'L PARK & REC CONF REG-MCCREA Check Total: 1,702.71 11/27/2013BUSINESS CARD 280.44 POLICE EQUIPMENT 75.90 ROBBERY AWARENESS SUPPLIES 134.35 SAFETY SEMINAR SUPPLIES 141.24 TRI-VALLEY CRIME NETWORK SUPPLIES Check Total: 631.93 11/27/2013BUSINESS CARD 150.00 AMERICAN PUBLIC WORKS CONF REG-KHAN/DE Payments Issued 11/27/2013 Total:15,406.33 Grand Total for Payments Dated 11/1/2013 through 11/30/2013:11,155,592.55 Total Number of Payments Issued:280