HomeMy WebLinkAboutItem 4.4 Check Issuance Rpt
STAFF REPORT CITY CLERK
File #300-40
CITY COUNCIL
DATE:May 21, 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 April 1, 2013 – April 30, 2013
totaling $7,886,842.78.
FINANCIAL IMPACT:
SUMMARY OF PAYMENTS ISSUED
April 1, 2013 through April 30, 2013
Total Number of Payments: 437
Total Amount of Payments: $7,886,842.78
RECOMMENDATION:
Staff recommends that the City Council receive the report.
DESCRIPTION:
The Payment Issuance Report (Attachment 1) provides a listing of all payments for the period
beginning April 1, 2013 through April 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 and expenditures.
Submitted By Reviewed By
Administrative Services Director Assistant City Manager
ATTACHMENTS:
1. Payment Listing - April 2013
ITEM NO. 4.4
Page 1 of 1
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 1 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/01/20134 PAWS GOOSE CONTROL, INC
1,000.00
GOOSE CONTROL SERVICES - FEB 2013
04/01/2013ARLEN NESS, INC.
1,158.84
MOTORCYCLE MAINTENANCE
04/01/2013ARROWHEAD
798.53
WATER-FEB 2013
04/01/2013ASSOCIATED ENGINEERING
25,607.50
ENGINEERING SERVICES TO 2/1/13
11,040.00
ENGINEERING SERVICES TO 2/2/13
18,182.50
ENGINEERING SERVICES TO 3/1/13
Check Total:
54,830.00
04/01/2013AT&T - CALNET 2
358.60
SERVICE TO 3/12/13
35.48
SERVICE TO 3/6/13
Check Total:
394.08
04/01/2013BAY ALARM COMPANY
135.00
ALARM SERVICES APR - JUN 2013
117.08
ALARM SERVICES APR - JUN 2013
Check Total:
252.08
04/01/2013BAY AREA NEWS GROUP
465.10
LEGAL NOTICES
04/01/2013BOY SCOUT TROUP 84
702.00
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013CAL ENGINEERING & GEOLOGY INC
6,851.25
ENGINEERING SERVICES TO 2/28/13
04/01/2013CALLANDER ASSOCIATES INC.
3,093.00
SHANNON PARK WATER AREA DESIGN SVCS TO
04/01/2013COMCAST
112.53
HERITAGE PARK INTERNET SERVICE TO 4/17/1
04/01/2013CONTRACT SWEEPING SERVICES
9,495.67
STREET SWEEPING-FEB 2013
04/01/2013COTTINGHAM, JAMES W
225.00
ST. PATRICK'S DAY PHOTOGRAPHY
04/01/2013CSG CONSULTANTS INC
2,240.00
ENGINEERING SERVICES TO 2/22/13
04/01/2013DEPARTMENT OF JUSTICE
379.00
FINGERPRINT PROCESSING - FEB 2013
04/01/2013DHS CLASS OF 2014
425.75
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DHS PFSO CLASS OF 2015
437.13
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DHS PFSO CLASS OF 2016
243.75
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DIPIETRO & ASSOC. INC
217.05
REPLACE EXPIRED AED SUPPLIES
04/01/2013DUBLIN CORPORATE CENTER ONE LP
5,311.24
REIMBURSE PARK & RIDE KOLL CENTER JULY-D
04/01/2013DUBLIN HIGH SCHOOL AVID 2015
341.25
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DUBLIN HIGH SCHOOL AVID 2016
417.63
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DUBLIN HIGH SCHOOL LEADERSHIP
100.75
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DUBLIN IRISH GUARD BOOSTERS
424.13
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DUBLIN SENIOR FOUNDATION
199.88
ST. PATRICK'S FESTIVAL SERVICES
04/01/2013DUTCHOVER & ASSOCIATES
6,520.55
PLANNING & ENGINEERING SERVICES - FEB 20
04/01/2013EAST BAY BICYCLE COALITION
900.00
BIKE TO WORK DAY SUPPLIES
04/01/2013EAST BAY POOL SERVICE, INC.
1,860.00
SWIM CENTER MAINTENANCE - FEB 2013
1,860.00
SWIM CENTER MAINTENANCE - JAN 2013
466.00
SWIM CENTER REPAIRS
Check Total:
4,186.00
04/01/2013GILDEA, LIANNE
16.95
MIILEAGE REIMBURSEMENT
04/01/2013HATZIKOKOLAKIS, JACQUI
10.00
REIMBURSE PARKS CONFERENCE PARKING
04/01/2013ICMA
1,500.00
SERVICES FOR MANAGEMENT WORKSHOP
04/01/2013IMPRINT WORKS, THE
386.41
COUNCILMEMBER LOGO SHIRTS & JACKETS
8.18
ENGRAVING ON CITY COUNCIL PLAQUE
138.08
NAME BADGES FOR NEW COMMISSIONERS
8.18
NAMEPLATES FOR CITY COUNCILMEMBERS
Check Total:
540.85
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 2 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/01/2013IRON MOUNTAIN
309.80
OFFSITE TAPE STORAGE-FEB 2013
04/01/2013JOBS AVAILABLE
280.00
EMPLOYMENT ADVERTISEMENT
04/01/2013JOB'S DAUGHTERS BETHEL NO.1
256.75
ST. PATRICK'S DAY WORKERS
04/01/2013KEYSER MARSTON ASSOCIATES, INC
2,112.50
DUBLIN CROSSINGS FISCAL IMPACT STUDY-FEB
04/01/2013KTS NETWORK SOLUTIONS INC
85.00
TELEPHONE REPAIR CONSULTING
04/01/2013LAI & ASSOCIATES
740.52
GEOTECHNICAL SVC-SHANNON PARK SPLASH P
04/01/2013LEAGUE OF CALIFORNIA CITIES
400.00
LOCAL ROADS/STREETS NEEDS ASSESSMENT
04/01/2013LEXISNEXIS RISK DATA MGMT
60.05
POLICE DATABASE SEARCHES-FEB 2013
04/01/2013LINCOLN EQUIPMENT INC
2,924.09
SWIM CENTER CHEMICALS
04/01/2013LIVERMORE AUTO GROUP
2,622.94
POLICE VEHICLE REPAIR/MAINTENANCE
04/01/2013LUNA, FRANK
37.06
REIMBURSE ST. PATRICK'S DAY SUPPLIES
04/01/2013METROPOLITAN TRANSP COMMISSION
1,500.00
REFUND SHANNON CENTER DEPOSIT
04/01/2013MEYERS NAVE
86,937.00
LEGAL SERVICES TO 2/28/13
15,878.97
LEGAL SERVICES TO 3/13/13
Check Total:
102,815.97
04/01/2013MINUTEMAN PRESS
1,802.77
FUN RUN PRINTING SERVICES
04/01/2013MPA DESIGN
729.75
SCHAEFFER RANCH PARK CONSULTING SVCS-F
04/01/2013O'CONNOR CONSTRUCTION MGMT INC
17,472.00
CIVIC CENTER MODIFICATION CONSULTING SVC
04/01/2013OPEN HEART KITCHEN
1,242.50
COMMUNITY SUPPORT GRANT JAN-MAR 2013
04/01/2013P G & E
5,031.44
SERVICE TO 3/10/13
3,951.47
SERVICE TO 3/11/13
1,599.34
SERVICE TO 3/12/13
316.34
SERVICE TO 3/13/13
198.60
SERVICE TO 3/14/13
42.93
SERVICE TO 3/7/2013
Check Total:
11,140.12
04/01/2013PACHECO BROTHERS GARDENING INC
3,465.00
LANDSCAPE MAINTENANCE-APR 2013
04/01/2013PARS
548.99
ADMIN & TRUSTEE FEES - JAN 2013
04/01/2013RBF CONSULTING, ATTN: ACCOUNTS RECEIVABLE
5,787.00
ENGINEERING SERVICES TO 2/3/2013
04/01/2013REGIONAL GOVERNMENT SERVICES
13,000.64
TEMPORARY ADMIN SVCS & COMM DEV STAFF-
04/01/2013ROTH STAFFING COMPANIES, L.P.
1,188.00
TEMPORARY FINANCE STAFF
04/01/2013RUSHING, KATHLEEN F
375.00
REC CLASS INSTRUCTOR
04/01/2013SELECT IMAGING
1,449.97
LIVE HEALTHY DUBLIN SUPPLIES
04/01/2013SENIOR SUPPORT PROGRAM
4,378.56
COMMUNITY GRANT SUPPORT FEB-JUN 2013
04/01/2013SHAMROCK OFFICE SOLUTIONS INC
771.29
COPIES-FEB 2013
132.71
PRINTER SUPPLIES-FEB 2013
Check Total:
904.00
04/01/2013SIERRA DISPLAY INC
1,802.61
STREET BANNER CHANGEOUT SERVICES
04/01/2013SIGN CENTER, THE
3,038.04
ST. PATRICK'S FESTIVAL SIGNAGE
04/01/2013SMITH, LINDA
9.95
REIMB ICSC MONTEREY IDEA EXCHANGE EXPE
56.59
REIMBURSE MEETING SUPPLIES
Check Total:
66.54
04/01/2013TELEPACIFIC COMMUNICATIONS
1,618.10
CIVIC CENTER PHONE & INTERNET SVC TO 4/8
04/01/2013TREASURER ALAMEDA COUNTY
2,080,103.71
DUBLIN POLICE SERVICES 10/28/12-12/22/12
04/01/2013TREASURER ALAMEDA COUNTY
12,972.74
FUEL-FEB 2013
04/01/2013TRI-VALLEY COMMUNITY TV
1,058.94
TELEVISE COUNCIL MEETINGS - FEB 2013
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 3 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/01/2013VALI COOPER & ASSOCIATES INC
15,150.00
CONSTRUCTION MANAGEMENT SVCS-JAN 2013
7,800.00
S
GOLDEN GATE DR CONSTRUCTION MGMT SVC
Check Total:
22,950.00
04/01/2013VALLEY CATERING, INC.
1,500.00
VOLUNTEER APPRECIATION LUNCH CATERING
04/01/2013VERIZON WIRELESS
691.02
SERVICE TO 3/3/2013
04/01/2013VISION COMMUNICATIONS CO
270.00
FUN RUN RADIO RENTALS
04/01/2013ZUMWALT ENGINEERING GROUP
17,133.00
ENGINEERING SERVICES - FEB 2013
Payments Issued 4/1/2013 Total:2,424,623.67
04/03/2013FRANCHISE TAX BOARD
175.00
EARNINGS WITHHOLDING ORDER: PE 3/22/13
Payments Issued 4/3/2013 Total:175.00
04/04/2013CITIES GROUP, THE
2,338.80
WORKERS COMP & SAFETY/COMP ASSESSMEN
Payments Issued 4/4/2013 Total:2,338.80
04/08/20134EVER DANCE STUDIO
2,079.00
REC INSTRUCTOR
04/08/20136450 MOTORS, LLC
166,927.00
SALES TAX SHARING ECONOMIC INCENTIVE PR
04/08/2013AGBAYANI CONSTRUCTION CORP
227,222.12
CIVIC CENTER MODIFICATION CONSTRUCTION T
04/08/2013AJW CONSTRUCTION
4,977.03
RETENTION RELEASE FY11-12 ANNUAL SIDEWA
04/08/2013ALAMEDA COUNTY CLERK
50.00
NOTICE OF DETERMINATION FEE
04/08/2013ALAMEDA COUNTY FIRE DEPARTMENT
896,702.33
FIRE SERVICES FEB 2013
04/08/2013ALL CITY MANAGEMENT SVCS INC
11,042.84
CROSSING GUARD SERVICES FEB 2013
04/08/2013AMERIPRIDE UNIFORM SERVICES
142.59
MAT SERVICE MARCH 2013
04/08/2013AMSTERDAM PRINTING & LITHO
1,025.00
NEIGHBORHOOD RESOURCES SUPPLIES
04/08/2013AMY'S ENGRAVED SIGNS & AWARDS
29.98
NAMEPLATE FOR SPECIAL PROJECTS MANAGER
04/08/2013APWA NORCAL CHAPTER
230.00
AWARDS LUNCHEON EXPENSE-5 PUBLIC WKS S
04/08/2013ARROYO, ANEL
845.40
REC INSTRUCTOR
04/08/2013AT&T - CALNET 2
663.83
SERVICE TO 3/12/13
400.63
SERVICE TO 3/14/13
358.60
SERVICE TO 3/19/13
Check Total:
1,423.06
04/08/2013BAY ALARM COMPANY
308.85
ALARM SERVICES SHANNON CENTER TO 3/7/13
361.07
ALARM SERVICES SHANNON CENTER TO 7/1/13
Check Total:
669.92
04/08/2013BERGER, ROBERT L.
648.00
REC INSTRUCTOR
04/08/2013BIG O TIRES #7
269.93
POLICE VEHICLE TIRES
56.54
RADAR TRAILER REPAIR
Check Total:
326.47
04/08/2013BYOG
658.36
RECREATION STAFF UNIFORMS
04/08/2013CASTRO VALLEY PERFORMING ARTS
673.20
REC INSTRUCTOR
04/08/2013CENTRAL VALLEY TOXICOLOGY
2,054.00
LAB TESTING SERVICES TO 2/20/13
04/08/2013CHINN, AVA YEE
1,669.20
REC INSTRUCTOR
04/08/2013COHEN, JODI
750.00
REFUND SHANNON DEPOSIT
04/08/2013COMPUCHILD
1,497.45
REC INSTRUCTOR
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 4 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/08/2013CONNAUGHTON, JUDITH
576.00
REC INSTRUCTOR
04/08/2013CRANFORD, ROBIN
842.40
REC INSTRUCTOR
04/08/2013DAHLIN GROUP INC
47,900.00
AQUATIC COMPLEX ARCHITECTURAL DESIGN SV
6,330.00
CIVIC CENTER ARCHITECTURAL DESIGN SVCS T
8,470.33
MAINT FACILITY ARCHITECTURAL DESIGN TO 2
24,079.30
PUBLIC SAFETY BLDG ARCHITECTURAL DESIGN
Check Total:
86,779.63
04/08/2013DEAM, VALERIE
1,322.40
REC INSTRUCTOR
04/08/2013DELL MARKETING L.P.
263.65
COMPUTER EQUIPMENT
04/08/2013DENG, JUN YUAN
80.00
REC INSTRUCTOR
04/08/2013DSRSD
10,440.51
SERVICE TO 3/14/2013
04/08/2013ENTERPRISE RENT-A-CAR
271.01
FUN RUN EXPENSE
04/08/2013ENVIRONMENTAL FORESIGHT INC
983.25
PLANNING SERVICES MARCH 2013
04/08/2013FARMER, LYNDA
86.40
REC INSTRUCTOR
04/08/2013FEHR & PEERS ASSOCIATES INC.
1,799.38
BIKE/PED DATA COLLECTION-ALAMO CANAL TRA
22,539.70
BIKEWAYS MASTER PLAN UPDATE CONSULTING
Check Total:
24,339.08
04/08/2013FORD TIMING
5,458.80
FUN RUN EXPENSE
04/08/2013FUN EXPRESS, LLC
208.60
ST PATRICK'S DAY SUPPLIES
04/08/2013G & R CAFE
232.99
ECONOMIC DEVELOPMENT MEETING EXPENSE
04/08/2013GCS PROMOTION SPECIALTIES
2,816.70
NEIGHBORHOOD RESOURCE SUPPLIES
04/08/2013HANSON & FITCH, INC.
100.00
ST. PATRICK'S DAY SUPPLIES
04/08/2013HARRIS, STACEY
250.00
REFUND PARK RENTAL
04/08/2013HEALTH PROMOTIONS NOW
3,352.38
ST. PATRICK'S DAY SUPPLIES
04/08/2013HENDRIX, MICHELLE
725.00
REFUND SHANNON CENTER RENTAL
04/08/2013HSI, RON
725.40
REC INSTRUCTOR
04/08/2013IMPRINT WORKS, THE
767.77
ST. PATRICK'S DAY SUPPLIES
04/08/2013INTERNATIONAL ASSOCIATION FOR
50.00
PROPERTY & EVIDENCE ASSN MEMBERSHIP-MI
04/08/2013INTERWEST CONSULTING GROUP INC
7,370.00
BUILDING INSPECTION/PLAN CHECK SERVICES
04/08/2013IRON MOUNTAIN
397.71
OFF-SITE RECORDS STORAGE - FEB 2013
04/08/2013J. S. BUILDING MAINTENANCE
1,860.98
JANITORIAL SERVICES MARCH 2013
04/08/2013JAM SERVICES INC
3,542.50
TRAFFIC SIGNAL OPERATING SUPPLIES
04/08/2013JEONG, GWANG
79.00
REFUND REC CLASS
04/08/2013KIMLEY-HORN AND ASSOC. INC.
16,263.24
DOUGHERTY ROAD WIDENING PROJECT TO 1/3
04/08/2013LIVERMORE AUTO GROUP
4,219.93
POLICE VEHICLE MAINTENANCE/REPAIR
04/08/2013LUND ASSOCIATES, SHERRY L.
10,125.00
STRATEGIC PLANNING SERVICES TO 3/27/13
04/08/2013MANAGEMENT PARTNERS INC.
1,050.00
MANAGEMENT CONSULTING SERVICES TO 3/15/
04/08/2013MCHUGH, KAREN
98.00
REC CLASS REFUND
04/08/2013MCNAUGHTON, DANIEL
57.98
REIMB POLICE INVESTIGATOR'S CONF EXPENSE
04/08/2013MERRILL, HOWARD
18.00
SENIOR CENTER DRIVER MEAL REIMBURSEMEN
04/08/2013MGT OF AMERICA INC
1,250.00
CONSULTING STATE MANDATED COSTS
04/08/2013MOORE TREES
970.05
HOLIDAY TREES
04/08/2013NATIONAL ASSN OF TOWN WATCH
35.00
MEMBERSHIP RENEWAL-CORREA-HERNANDEZ
04/08/2013NEXTEL COMMUNICATIONS
73.56
SERVICE TO 3/19/13
04/08/2013OTIS ELEVATOR CO., INC.
270.00
ELEVATOR SERVICE APRIL 2013
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 5 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/08/2013P G & E
2,711.31
SERVICE TO 3/14/13
27,241.29
SERVICE TO 3/18/13
Check Total:
29,952.60
04/08/2013PMA CONSULTANTS LLC
14,950.00
COMPREHENSIVE ENERGY UPGRADE CONSULT
04/08/2013PUBLIC BENEFIT TECHNOLOGY
405.00
CITY COUNCIL MEETING VIDEO & ARCHIVING-F
04/08/2013PURSUIT NORTH
439.60
POLICE VEHICLE MAINTENANCE
04/08/2013RED WING SHOE STORE
196.19
SAFETY BOOTS-PW INSPECTOR
04/08/2013RICHARDSON, USRALA
64.00
REC CLASS REFUND
04/08/2013ROMERO BROS.
150.00
SENIOR CENTER ENTERTAINMENT SERVICES
04/08/2013ROSEN GOLDBERG DER LEWITZ INC
5,899.50
DAY CARE ZONING ORDINANCE AMENDMENT TO
04/08/2013ROTH STAFFING COMPANIES, L.P.
1,188.00
TEMPORARY FINANCE STAFF TO 3/17/13
1,098.90
TEMPORARY FINANCE STAFF TO 3/24/13
Check Total:
2,286.90
04/08/2013S & J ADVERTISING INC
600.00
2013 FARMERS MARKET ADVERTISING
04/08/2013S & S WORLDWIDE INC
454.43
FUN IN THE SUN PROGRAM SUPPLIES
04/08/2013SAV ON SUPPLIES
222.20
MAINTENANCE SUPPLIES
04/08/2013SCHAEFER RANCH HOLDINGS, LLC
56,162.50
DUBLIN BLVD WIDENING IMPROVEMENT REIMBU
04/08/2013SECRETARY OF STATE
40.00
CALIFORNIA NOTARY EXAM FEE-A.NELSON
04/08/2013SNG & ASSOCIATES INC.
13,138.00
ENGINEERING SERVICES-JAN 2013
04/08/2013SOTO, CAROLINE
345.85
REPLENISH PETTY CASH
04/08/2013STARLINE SUPPLY OF OAKLAND INC
622.61
ST. PATRICK'S FESTIVAL SUPPLIES
04/08/2013STEVENSON, PORTO & PIERCE INC.
19,606.50
PLANNING SERVICES TO 3/22/13
04/08/2013STUDIO BLUE REPROGRAPHICS
247.50
PUBLIC SAFETY COMPLEX PROJECT PRINTING
04/08/2013TERI BLACK & COMPANY, LLC
19,069.28
ADMINISTRATIVE SVCS DIRECTOR RECRUITMEN
04/08/2013TREASURER ALAMEDA COUNTY
1,472.50
CRIME LAB SERVICES - FEB 2013
04/08/2013TREASURER ALAMEDA COUNTY
1,000.00
POLICE COMPUTER NETWORK SVCS - FEB 2013
04/08/2013TREASURER ALAMEDA COUNTY
23.20
POLICE PRINTING SERVICES
2,495.70
Vendor Total:
04/08/2013TRI VALLEY YOUNG PERFORMERS
3,060.00
REC INSTRUCTOR
04/08/2013TRI-VALLEY JANITORIAL INC.
11,363.00
JANITORIAL SERVICES MARCH 2013
04/08/2013UNION BANK, N.A.
2,020.00
INVESTMENT TRUSTEE DEC 2012-FEB 2013
04/08/2013UNTALAN'S MARITAL ARTS CENTER
504.00
REC INSTRUCTOR
04/08/2013UNUM LIFE INS CO OF AMERICA
10,373.40
LIFE INSURANCE PREMIUM - APRIL 2013
04/08/2013VALENTIN, M.
150.00
REC INSTRUCTOR
04/08/2013VELOCITY SPORTS PERFORMANCE
140.00
REC INSTRUCTOR
04/08/2013WAGEWORKS, INC.
485.75
FLEXIBLE SPENDING PLAN FEES - APRIL 2013
-68.25
FLEXIBLE SPENDING PLAN FEES CREDITED
Check Total:
417.50
04/08/2013WALLACE, LOREY
630.00
REC INSTRUCTOR
04/08/2013WEISS, ROBIN S.
168.00
REC INSTRUCTOR
04/08/2013YOUNG REMBRANDTS
432.00
REC INSTRUCTOR
Payments Issued 4/8/2013 Total:1,695,241.03
04/10/2013COMERICA BANK
36,749.00
FIRST TIME HOME BUYER HOUSING LOAN #12-0
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 6 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
Payments Issued 4/10/2013 Total:36,749.00
04/12/2013CAL PERS
72,570.86
PERS RETIREMENT PLAN: PAYMENT
04/12/2013CALIF STATE DISBURSEMENT UNIT
92.30
CHILD SUPPORT: PE 4/5/13
04/12/2013EMPLOYMENT DEVELOPMENT DEPT
12,373.28
CALIFORNIA STATE WITHHOLDING: PE 4/5/13
04/12/2013I C M A 401 PLAN
1,197.70
DEFERRED COMP 401A: PE 4/5/13
04/12/2013I C M A 457 PLAN
19,800.08
DEFERRED COMP 457: PE 4/5/13
04/12/2013INTERNAL REVENUE SERVICE
46,229.81
FEDERAL WITHHOLDING: PE 4/5/13
04/12/2013US BANK - PARS
1,572.36
PARS: PE 4/5/13
04/12/2013WAGEWORKS, INC.
3,951.91
DEPENDENT CARE - WAGE WORKS: PE 4/5/13
Payments Issued 4/12/2013 Total:157,788.30
04/15/2013ABAG PLAN CORPORATION
156.00
INSURANCE CLAIMS EXPENSE
04/15/2013ALA COASTA CENTERS
336.00
REFUND DEPOSIT SHANNON CENTER RENTAL
04/15/2013ALAMEDA COUNTY
45.00
SAFE MEDICATION DISPOSAL CONF REG-C.RHO
04/15/2013ALAMEDA COUNTY CLERK
2,156.25
NEGATIVE DECLARATION STATE FILING FEE
04/15/2013ALLIANT INSURANCE SVCS INC
5,455.02
FACILITIES RENTAL INSURANCE OCT-DEC 2012
04/15/2013AMERICAN PLANNING ASSOCIATION
620.00
AMERICAN PLANNING ASSN MEMBERSHIP-SIMS
04/15/2013AMIE, MICHAEL
190.00
PERMIT APPLICATION REFUND
04/15/2013AMY'S ENGRAVED SIGNS & AWARDS
231.63
DESK NAMEPLATES
201.65
EMPLOYEE NAMEPLATES-DIAZ & JACKMAN
Check Total:
433.28
04/15/2013AT&T - CALNET 2
0.12
SERVICE TO 3/12/13
33.90
SERVICE TO 3/14/13
231.61
SERVICE TO 3/26/13
84.81
SERVICE TO 3/27/13
29.38
SERVICE TO 4/1/13
Check Total:
379.82
04/15/2013BACKYARD CARNIVALS
650.00
SPRING EGGSTRAVAGANZA RENTALS
04/15/2013BAY ALARM COMPANY
409.25
ALARM SERVICES FEB-APR 2013
04/15/2013BELLECCI & ASSOCIATES, INC.
9,529.52
DUBLIN BLVD WIDENING DESIGN PROJECT TO 2
04/15/2013BLUE DEVILS DRUM & BUGLE CORPS
400.00
ST. PATRICK'S PARADE ENTERTAINMENT
04/15/2013CA SURVEYING & DRAFTING SUPPLY
394.80
PLOTTER SUPPLIES
04/15/2013CALIFORNIA BUILDING STANDARDS
2,946.60
GREEN BUILDING FEE JAN-MAR 2013
04/15/2013CENTENO, CAMILLE
23.71
MILEAGE REIMBURSEMENT DEC 2012-MAR 2013
36.44
REIMBURSE SENIOR CENTER SUPPLIES
Check Total:
60.15
04/15/2013CHAN, ROSA
328.50
REC INSTRUCTOR
04/15/2013COAST RADIO COMPANY INC.
1,575.00
ST. PATRICK'S FESTIVAL ADVERTISING
04/15/2013COMCAST
150.55
CIVIC CENTER INTERNET/CABLE SERVICE TO 4
219.20
SENIOR CENTER CABLE & INTERNET SVC TO 5/
Check Total:
369.75
04/15/2013COMMUNICATION STRATEGIES
3,792.50
TECHNOLOGY CONSULTING SERVICES TO 3/26/
04/15/2013CONCORD, CITY OF
735.00
POLICE PRINTING SERVICES
04/15/2013COSTAR REALTY INFORMATION INC.
275.00
REAL ESTATE INFORMATION SUBSCRIPTION-AP
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 7 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/15/2013COTTINGHAM, JAMES W
150.00
POSITANO HILLS PARK PHOTOGRAPHY
04/15/2013CREATIVE AUTISM SOLUTIONS TEAM
147.00
ABC APPLICATION REFUND
04/15/2013DEPT OF CONSERVATION
7,553.31
SMIP FEES JAN - MAR 2013
04/15/2013DUBLIN CUB SCOUTS PACK 930
500.00
REFUND DEPOSIT SENIOR CENTER RENTAL
04/15/2013DUBLIN FIGHTING IRISH
1,313.40
REC INSTRUCTOR
04/15/2013DUBLIN HIGH IRISH GUARD BAND
400.00
ST. PATRICK'S PARADE ENTERTAINMENT
04/15/2013DUBLIN SISTER CITY ASSOCIATION
500.00
REFUND DEPOSIT SENIOR CENTER RENTAL
04/15/2013DUBLIN UNIFIED SCHOOL DISTRICT
2,412.00
JANITORIAL SERVICES AFTER SCHOOL REC-APR
04/15/2013DUNBAR ARMORED INC
158.59
ARMORED CAR SERVICE-APR 2013
04/15/2013DUNLAP, ELLISON
400.00
ST. PATRICK'S PARADE ENTERTAINMENT
04/15/2013ECONOMIC & PLANNING SYSTEMS
15,611.25
PARKING ORDINANCE ANALYSIS TO 2/28/13
04/15/2013ELLUL, BARBARA
250.00
ST. PATRICK'S FESTIVAL VENDOR REFUND
04/15/2013FALLON SCHOOL MUSTANG BAND
400.00
ST. PATRICK'S PARADE ENTERTAINMENT
04/15/2013FEDEX
302.84
EXPRESS SHIPPING SERVICES TO 3/15/13
04/15/2013GARCIA, JESUS
725.00
REFUND DEPOSIT SHANNON CENTER RENTAL
04/15/2013GILDEA, LIANNE
16.95
MILEAGE REIMBURSEMENT
04/15/2013GOLDEN STATE FLEET SERVICES
150.00
POLICE VEHICLE TOW SERVICE
04/15/2013GRIPPI, TAMARA L.
250.00
REFUND DEPOSIT LIBRARY COMMUNITY ROOM
04/15/2013GRITTANI, TAMMY
225.00
ST. PATRICK'S FESTIVAL VENDOR REFUND
04/15/2013HAAG, JERRY P
21,109.03
PLANNING CONSULTANT SERVICES TO 3/31/13
04/15/2013HARRIS & ASSOCIATES
5,510.00
STORM DRAIN REPAIRS TO 1/31/13
04/15/2013HEXAGON TRANSPORTATION
20,905.00
PLANNING CONSULTANT SERVICES TO 3/15/13
04/15/2013HUDSON, ANNA
66.53
MILEAGE REIMBURSEMENT
22.31
REIMBURSE SENIOR CENTER SUPPLIES
Check Total:
88.84
04/15/2013IMAGEX
1,549.20
ST. PATRICK'S FESTIVAL BANNERS
04/15/2013INTOXIMETERS INC
265.66
POLICE EQUIPMENT TESTING SUPPLIES
04/15/2013JOBS AVAILABLE
280.00
EMPLOYMENT ADVERTISEMENT
04/15/2013JORDAN & ASSOCIATES, INC.
1,628.48
LEGISLATIVE CONSULTANT SERVICES-MAR 2013
04/15/2013KARAMI, MICHAEL
250.00
REFUND DEPOSIT LIBRARY COMMUNITY ROOM
04/15/2013KIDZ LOVE SOCCER
6,652.88
REC INSTRUCTOR
04/15/2013KIMLEY-HORN AND ASSOC. INC.
4,210.00
ENGINEERING PLAN CHECK SERVICES-FEB 201
04/15/2013LI, YIZHI
67.80
REC INSTRUCTOR
04/15/2013LICHTENSTEIN, HERMA
108.87
REIMBURSE CIVIC CENTER REMODEL CABLES
04/15/2013LIVERMORE AUTO GROUP
652.20
POLICE VEHICLE MAINTENANCE
04/15/2013MARK THOMAS & COMPANY, INC.
2,912.45
SAN RAMON RD STORM DRAIN DESIGN SVCS TO
04/15/2013MEIN, STEPHANIE
87.07
REIMBURSE ST. PATRICK'S FESTIVAL SUPPLIE
04/15/2013MEYERS NAVE
9,100.00
LEGAL SERVICES TO 4/2/13
04/15/2013NATIONAL CIVIC LEAGUE
2,500.00
2013 ALL-AMERICA CITY AWARD ADVERTISEMEN
04/15/2013NOVO CONSTRUCTION
27,179.90
REFUND WASTE MANAGEMENT CASH DEPOSIT
04/15/2013P G & E
4,280.25
SERVICE TO 2/28/13
2,413.64
SERVICE TO 3/27/13
1,054.49
SERVICE TO 4/1/13
13,038.15
SERVICE TO 4/2/13
1,699.41
SERVICE TO 4/3/13
Check Total:
22,485.94
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 8 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/15/2013PADILLA, DANIELLE
500.00
REFUND DEPOSIT SENIOR CENTER RENTAL
04/15/2013PAPPA, STEVE
20.91
MILEAGE REIMBURSEMENT
04/15/2013PHOENIX GROUP INFO SYS.
163.83
PARKING CITATION PROCESSING-FEB 2013
04/15/2013PLEASANTON RENTALS INC
228.50
ST. PATRICK'S FESTIVAL TEA ROOM RENTAL
04/15/2013PRIME TIME ENTERTAINMENT INC
2,500.00
FARMERS' MARKET ENTERTAINMENT
04/15/2013RAYNE OF SAN JOSE
409.75
WATER CONDITIONING SERVICE-APR 2013
04/15/2013RBF CONSULTING, ATTN: ACCOUNTS RECEIVABLE
27,854.96
PLANNING SERVICES TO 3/3/13
04/15/2013REDDY GUNTAKA, SIVASAISRINIVASA
250.00
REFUND DEPOSIT LIBRARY COMMUNITY ROOM
04/15/2013REGISTER, INGRID
140.63
ST. PATRICK'S FESTIVAL ENTERTAINMENT SUP
04/15/2013RODRIGUEZ, MIGUEL ANGEL G.
946.20
REC INSTRUCTOR
04/15/2013ROSEN GOLDBERG DER LEWITZ INC
1,242.00
DAY CARE ZONING ORDINANCE AMENDMENT TO
04/15/2013ROTH STAFFING COMPANIES, L.P.
712.80
TEMPORARY FINANCE STAFF TO 1/6/13
1,188.00
TEMPORARY FINANCE STAFF TO 3/31/13
Check Total:
1,900.80
04/15/2013SAN LEANDRO, CITY OF
350.00
ACCMA ANNUAL DUES - PATTILLO
04/15/2013SAV ON SUPPLIES
54.49
MAINTENANCE SUPPLIES
04/15/2013SCHMIDT, LINDA
8.10
MILEAGE REIMBURSEMENT
04/15/2013SHAH, DINAH
2,082.60
REC INSTRUCTOR
04/15/2013SHAMROCK OFFICE SOLUTIONS INC
1,774.88
COPIES-MARCH 2013
155.00
PRINTER/COPIER REPAIR
2,353.31
PRINTER/FAX MACHINE
-132.71
REFUND FOR DEFECTIVE TONER
Check Total:
4,150.48
04/15/2013SHI INTERNATIONAL CORP
153.14
COMPUTER ROOM TEMPERATURE MONITOR
04/15/2013SOTO, CAROLINE
31.88
MILEAGE REIMBURSEMENT
04/15/2013SPECTRUM COMMUNITY SVCS INC.
426.00
COMMUNITY GRANT SUPPORT-FEB 2013
04/15/2013STATE BOARD OF EQUALIZATION
243.00
ADDITIONAL SALES TAX FILING 2012
04/15/2013TLC INTERIOR PLANT SERVICE
255.00
PLANT SERVICE APRIL 2013
04/15/2013TREASURER ALAMEDA COUNTY
2,862.50
PARKING CITATIONS COLLECTED-FEB 2013
04/15/2013TREASURER ALAMEDA COUNTY
15,116.98
TRAFFIC SIGNAL/STREET LIGHT MAINTENANCE
04/15/2013TRI VALLEY HOUSING OPPORTUNITY
1,544.22
HOUSING CONSULTANT SERVICES - FEB 2013
04/15/2013TRI-VALLEY COMMUNITY TV
430.00
ST. PATRICK'S DAY PARADE RECORDING
763.52
TELEVISE COUNCIL MEETINGS - MAR 2013
Check Total:
1,193.52
04/15/2013VALLEY WINDOW CLEANING INC
1,040.00
WINDOW CLEANING-APRIL 2013
04/15/2013VERIZON WIRELESS
266.07
SERVICE TO 3/10/13
244.68
SERVICE TO 3/15/13
Check Total:
510.75
04/15/2013WELLS MIDDLE SCHOOL
400.00
ST. PATRICK'S PARADE ENTERTAINMENT
Payments Issued 4/15/2013 Total:256,826.34
04/22/2013ALAMEDA COUNTY MEDICAL CENTER
1,357.00
POLICE MEDICAL EXAM
04/22/2013ALL CITY MANAGEMENT SVCS INC
6,152.00
CROSSING GUARD SERVICES 3/10/13-3/23/13
04/22/2013AMY'S ENGRAVED SIGNS & AWARDS
160.23
CITY COUNCIL NAMEPLATES AT THE FIRE STAT
04/22/2013ARORA, AKSHAY
11,894.27
REC CLASS INSTRUCTOR
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 9 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/22/2013ARROWHEAD
488.90
WATER-MARCH 2013
04/22/2013AT&T - CALNET 2
65.29
SERVICE TO 3/27/13
04/22/2013BAUDVILLE
500.60
OFFICE SUPPLIES
04/22/2013BAY AREA NEWS GROUP
863.24
LEGAL NOTICES TO 3/23/13
399.44
LEGAL NOTICES TO 3/31/13
Check Total:
1,262.68
04/22/2013BOZZO, TARYN GAVAGAN
170.00
PETTY CASH REIMBURSEMENT
04/22/2013BSN SPORTS, INC.
543.91
SPORTS EQUIPMENT
04/22/2013CALLANDER ASSOCIATES INC.
6,102.66
PASSATEMPO PARK DESIGN SVCS TO 3/10/13
04/22/2013CAPITAL ONE COMMERCIAL
871.96
FUN RUN SUPPLIES
543.72
SENIOR CENTER SUPPLIES
324.41
SHANNON COMMUNITY CENTER & PRESCHOOL
600.51
SHANNON COMMUNITY CENTER, FUN RUN & FA
829.74
ST. PATRICK'S DAY SUPPLIES
Check Total:
3,170.34
04/22/2013CLAY BELL
600.00
FARMERS' MARKET ENTERTAINMENT
04/22/2013COIT SERVICES, INC.
2,330.00
CARPET CLEANING-APR 2013
04/22/2013COOKIES BY DESIGN
41.00
RECOGNITION AWARD
04/22/2013COUNTY OF ALAMEDA
6.00
ASSESSOR'S MAPS
04/22/2013DELL MARKETING L.P.
3,102.08
COMPUTER EQUIPMENT
04/22/2013DEPARTMENT OF JUSTICE
785.00
FINGERPRINTS-MARCH 2013
04/22/2013DIV OF THE STATE ARCHITECT
84.00
DISABILITY ACCESS & EDUCATION FEE
04/22/2013DSRSD
69,666.37
SERVICE TO 3/31/2013
04/22/2013DUBLIN CYCLERY
227.67
POLICE BICYCLE REPAIRS
04/22/2013DUBLIN HIGH SCHOOL
900.00
SPRING FAIRE SUPPLIES
04/22/2013DUBLIN TROPHY HOUSE
3,059.85
SPORTS PROGRAM TROPHIES
04/22/2013DUTCHOVER & ASSOCIATES
4,864.54
PLANNING & ENGINEERING SERVICES-MAR 2013
04/22/2013EAST BAY DIVISION
50.00
EAST BAY DIVISION MEETING EXPENSE-HAUBER
04/22/2013ENVIRONMENTAL FORESIGHT INC
1,035.00
PLANNING SERVICES TO 4/7/13
04/22/2013ERM WEST, INC.
150.43
NEW PUBLIC SAFETY FACILITY HAZARD TESTIN
04/22/2013FRANCHISE TAX BOARD
175.00
EARNINGS WITHHOLDING ORDER: PE 4/5/13
04/22/2013GCS PROMOTION SPECIALTIES
1,264.57
CRIME PREVENTION OUTREACH SUPPLIES
423.29
PROMOTIONAL ITEMS
Check Total:
1,687.86
04/22/2013HUNT ORTMANN PALFFY NIEVES
23,787.97
RETENTION RELEASE-ELITE LANDSCAPING INC
04/22/2013IMPRINT WORKS, THE
94.57
CITY COUNCIL SHIRTS
04/22/2013IRON MOUNTAIN
142.00
ACAP TRUST FUND DISBURSEMENT
508.56
OFFSITE STORAGE-MAR 2013
Check Total:
650.56
04/22/2013KIDZ LOVE SOCCER
1,189.87
REC INSTRUCTOR
04/22/2013KING, ARTHUR
23.80
REC INSTRUCTOR
04/22/2013KOSASIH, MONA
250.00
REFUND LIBRARY COMMUNITY ROOM DEPOSIT
04/22/2013KROLL FACTUAL DATA CORP
206.49
FIRST TIME HOME BUYER LOAN PROGRAM CRE
04/22/2013LAI & ASSOCIATES
612.00
GEOTECHNICAL SVCS-POSITANO HILLS PK W/E
04/22/2013LAQUEY, THERESA
550.00
SENIOR CENTER PROGRAM-FASHION SHOW PR
04/22/2013LEONG, JIMMY
750.00
REFUND SHANNON CENTER DEPOSIT
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 10 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/22/2013LEXISNEXIS RISK DATA MGMT
69.75
DATABASE SEARCHES-MARCH 2013
04/22/2013LITTLE EXPLORER'S PETTING ZOO
394.00
SPRING EGGSTRAVAGANZA ENTERTAINMENT
04/22/2013LIVERMORE AUTO GROUP
1,191.43
POLICE VEHICLE REPAIR/MAINTENANCE
04/22/2013LOGOBOSS
321.19
VOLUNTEER SHIRTS
04/22/2013LUNA, FRANK
227.65
REPLENISH PETTY CASH
04/22/2013MCE CORPORATION
249,514.47
MAINTENANCE SERVICES-FEB 2013
04/22/2013MEIN, STEPHANIE
21.00
POSITANO HILLS GRAND OPENING SUPPLIES
04/22/2013MEYERS NAVE
85,965.18
LEGAL SERVICES TO 3/31/13
04/22/2013NATIONAL IMPRINT CORP
392.00
CRIME PREVENTION OUTREACH SUPPLIES
04/22/2013NEXTEL COMMUNICATIONS
0.54
SERVICE TO 4/3/13
04/22/2013OWOBORODE, OLAYINKA
750.00
REFUND SHANNON CENTER DEPOSIT
04/22/2013P G & E
371.04
SERVICE TO 3/26/13
2,340.30
SERVICE TO 3/27/13
5,241.33
SERVICE TO 3/28/13
35.52
SERVICE TO 3/29/13
2,427.63
SERVICE TO 3/31/13
470.56
SERVICE TO 4/1/13
480.25
SERVICE TO 4/2/13
Check Total:
11,366.63
04/22/2013PCD, INC.
175.00
SHANNON CENTER ADUIO/VISUAL SYSTEM REP
04/22/2013PEELLE TECHNOLOGIES INC
1,148.05
DOCUMENT PREPARATION & IMAGING SVCS-FE
1,835.07
DOCUMENT PREPARATION & IMAGING SVCS-MA
Check Total:
2,983.12
04/22/2013PELHAM, MARK
150.00
PRESCHOOL CLASS INSTRUCTOR
04/22/2013PURSUIT NORTH
37.50
POLICE MOTORCYCLE REPAIR
04/22/2013RBF CONSULTING, ATTN: ACCOUNTS RECEIVABLE
1,253.85
PLANNING SERVICES TO 3/31/13
04/22/2013RICHARDSON, USRALA
139.00
REFUND REC CLASS
04/22/2013S & S WORLDWIDE INC
242.30
AFTER SCHOOL RECREATION SUPPLIES
04/22/2013SAV ON SUPPLIES
64.30
MAINTENANCE SUPPLIES-APR 2013
04/22/2013SHRAPNELL, SARA
198.00
REC INSTRUCTOR
04/22/2013SHUMS CODA ASSOCIATES INC
700.00
BUILDING INSP/PLAN CHECK SERVICES-MAR 20
04/22/2013SIU, HENRY
21.00
REIMBURSE SUMMER CONCERTS/MOVIES SUPP
04/22/2013STANFORD, DONALD H.
750.00
FITNESS FOR DUTY EXAM
04/22/2013STEVENSON, PORTO & PIERCE INC.
18,169.50
PLANNING SERVICES TO 4/5/13
04/22/2013STUDIO 8 DANCE & PERFORMING
480.00
REC INSTRUCTOR
04/22/2013TERMINIX INTERNATIONAL LP
677.00
PEST CONTROL-MARCH 2013
04/22/2013TERRYBERRY
134.21
SERVICE RECOGNITION AWARD
04/22/2013TREASURER ALAMEDA COUNTY
2,731.25
CRIME PREVENTION OUTREACH SUPPLIES
04/22/2013TREASURER ALAMEDA COUNTY
12,376.36
FUEL-MARCH 2013
04/22/2013TRI VALLEY HOUSING OPPORTUNITY
965.67
BELOW MARKET/FIRST TIME HOME BUYER LOA
04/22/2013VALI COOPER & ASSOCIATES INC
18,900.00
GOLDEN GATE DR CONSTRUCTION MGMT TO 2/
04/22/2013VIDEO ONLY
15,601.54
CIVIC CENTER TV/VIDEO EQUIPMENT
04/22/2013WEINBACH, LAURA
600.00
SPRING FAIRE ENTERTAINMENT
04/22/2013WHITE, ROYLEEN A
1,375.00
CUSTOMER SERVICE TRAINING CONSULTANT
04/22/2013WILLIAMS, RALPH
208.00
REFUND SR CENTER OUTING
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 11 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
Payments Issued 4/22/2013 Total:577,894.38
04/24/2013COMERICA BANK
36,749.00
FIRST TIME HOME BUYER HOUSING LOAN #12-0
Payments Issued 4/24/2013 Total:36,749.00
04/26/2013CAL PERS
87,933.99
PERS RETIREMENT PLAN: PE 4/19/13
04/26/2013CAL PERS HEALTH PREMIUM
154,587.46
HEALTH INSURANCE PREMIUM - MAY 2013
04/26/2013CALIF STATE DISBURSEMENT UNIT
88.62
CHILD SUPPORT: PE 4/19/13
04/26/2013COMERICA BANK
35,249.00
FIRST TIME HOME BUYER HOUSING LOAN #12-0
04/26/2013CUBIC TRANSPORTATION SYSTEM
137.50
CLIPPER CARD: PE 4/19/13
04/26/2013DELTA DENTAL OF CALIFORNIA
11,737.71
DENTAL INSURANCE PREMIUM - MAY 2013
04/26/2013EMPLOYMENT DEVELOPMENT DEPT
17,255.55
CALIFORNIA STATE WITHHOLDING: PE 4/19/13
04/26/2013I C M A 401 PLAN
1,307.10
DEFERRED COMP 401A: PE 4/19/13
04/26/2013I C M A 457 PLAN
22,012.26
DEFERRED COMP 457: PE 4/19/13
04/26/2013INTERNAL REVENUE SERVICE
60,649.57
FEDERAL WITHHOLDING: PE 4/19/13
04/26/2013US BANK - PARS
2,039.46
PARS: PE 4/19/13
04/26/2013VISION SERVICE PLAN - (CA)
1,177.81
OPTICAL CARE INSURANCE PREMIUM - MAY 201
04/26/2013WAGEWORKS, INC.
2,826.91
DEPENDENT CARE - WAGE WORKS: PE 4/19/13
Payments Issued 4/26/2013 Total:397,002.94
04/29/20134LEAF INC.
6,360.00
BUILDING INSPECTION SERVICES-MAR 2013
113,231.00
BUILDING INSPECTION/PLAN CHECK SERVICES-
Check Total:
119,591.00
04/29/2013ALAMEDA COUNTY FLOOD CONTROL
481,381.56
ZONE 7 FEES COLLECTED JAN - MAR 2013
04/29/2013AMERIPRIDE UNIFORM SERVICES
89.95
MAT SERVICE APR 2013
52.64
MAT SERVICE-APR 2013
Check Total:
142.59
04/29/2013AT&T - CALNET 2
16.02
SERVICE TO 4/10/13
663.62
SERVICE TO 4/12/13
384.46
SERVICE TO 4/14/13
35.48
SERVICE TO 4/6/13
Check Total:
1,099.58
04/29/2013BAY ALARM COMPANY
351.72
ALARM SERVICE 2/1-5/1/13
1,273.79
ALARM SERVICE 3/1-6/1/13
524.22
ALARM SERVICE 5/1-8/1/13
Check Total:
2,149.73
04/29/2013BAY ISLAND OFFICIAL ASSOC
660.00
SPORTS OFFICIATING SERVICES-FEB 2013
1,100.00
SPORTS OFFICIATING SERVICES-MAR 2013
Check Total:
1,760.00
04/29/2013BAYSHORE INTERNATIONAL TRUCKS
500.00
REFUND CASH COMPLETION BOND
04/29/2013BLUEPRINT SHOP INC., THE
752.43
BUILDING PLANS
04/29/2013CA SURVEYING & DRAFTING SUPPLY
223.75
GIS PLOTTER SUPPLIES
04/29/2013CAL ENGINEERING & GEOLOGY INC
6,021.00
ENGINEERING SERVICES TO 3/31/13
04/29/2013CDW GOVERNMENT INC
66.37
COMPUTER EQUIPMENT
04/29/2013CENTENO, CAMILLE
125.42
REIMB CA PARKS & REC CONF EXPENSE
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 12 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/29/2013CHANG SU-O-LIN
78,711.85
REFUND STORM DRAIN BENEFIT ASSESSMENT
23,739.77
REFUND TRAFFIC IMPACT FEES
Check Total:
102,451.62
04/29/2013COIT SERVICES, INC.
405.00
CARPET CLEANING-APR 2013
04/29/2013COMCAST
103.77
SHANNON CENTER SERVICE TO 4/8/13
04/29/2013COMPUCOM
3,833.56
BATTERY BACK-UPS
04/29/2013CONTRACT SWEEPING SERVICES
9,495.67
CITYWIDE STREET SWEEPING SERVICES-MARC
04/29/2013CRONIN, MICHELE
122.98
REIMB CA PARKS & REC CONF EXPENSE
04/29/2013D R ACQUISITIONS III LLC
64,874.60
REFUND FIRE IMPACT FEES
04/29/2013DELL MARKETING L.P.
124.13
COMPUTER MEMORY UPGRADE-GIS COORDINA
1,684.18
COMPUTER MEMORY UPGRADES-18 SERVERS
4,459.23
COMPUTER SERVER FOR LIBRARY DISASTER R
Check Total:
6,267.54
04/29/2013DSRSD
64.64
SERVICE TO 4/10/13
04/29/2013DU-ALL SAFETY
812.50
SAFETY CONSULTING SERVICES-MARCH 2013
04/29/2013DUBLIN SECURITY STORAGE
4,920.00
OFF-SITE STORAGE RENTAL 5/1/13-4/30/14
04/29/2013DUBLIN UNIFIED SCHOOL DISTRICT
106.50
JANITORIAL SERVICES - FEB 2013
1,366.98
STAGER GYM UTILITIES-ELECTRICITY TO 3/4/
Check Total:
1,473.48
04/29/2013EVOLVE TECHNOLOGY GROUP
4,923.61
COMPUTER EQUIPMENT MAINTENANCE
04/29/2013FASTSIGNS
419.10
IRON HORSE TRAIL BANNERS
04/29/2013FEHR & PEERS ASSOCIATES INC.
3,480.75
CITYWIDE TRAVEL DEMAND MODEL TO 12/28/12
7,818.88
CITYWIDE TRAVEL DEMAND MODEL TO 2/25/13
Check Total:
11,299.63
04/29/2013FERGUSON, LARRY
1,160.37
REFUND COBRA PAYMENT
04/29/2013FRANCHISE TAX BOARD
175.00
EARNINGS WITHHOLDING ORDER: PE 4/19/13
04/29/2013GOVT FINANCE OFFICERS ASSOC
250.00
FINANCE OFFICER MEMBERSHIP-TRIBBY & GON
04/29/2013HARRIS & ASSOCIATES
1,515.00
ASSESSMENT DISTRICT FEE ADMIN SERVICES T
9,359.30
CONSTRUCTION MANAGEMENT ALAMO CANAL T
2,390.00
STORM DRAIN REPAIRS TO 2/28/13
Check Total:
13,264.30
04/29/2013HUDSON, ANNA
117.97
REIMB CA PARKS & REC CONF EXPENSE
04/29/2013IMPRINT WORKS, THE
981.00
2013 BUSINESS ANNIVERSARY AWARDS
04/29/2013INTERWEST CONSULTING GROUP INC
9,570.00
BUILDING INSPECTION/PLAN CHECK SERVICES-
04/29/2013IRON MOUNTAIN
301.01
OFFSITE TAPE STORAGE-MARCH 2013
04/29/2013J.C. NELSON SUPPLY CO
365.54
JANITORIAL SUPPLIES-APR 2013
605.39
JANITORIAL SUPPLIES-MARCH 2013
Check Total:
970.93
04/29/2013KIMLEY-HORN AND ASSOC. INC.
20,103.18
DOUGHERTY ROAD WIDENING PROJECT TO 2/28
04/29/2013LANLOGIC INC.
1,850.00
COMPUTER CONSULTING SERVICES-MARCH 20
04/29/2013LICHTENSTEIN, HERMA
35.34
REIMBURSE CIVIC CENTER REMODEL SUPPLIES
04/29/2013LIVE HEALTHY AMERICA
6,000.00
LIVE HEALTHY DUBLIN PARTICIPANT FEE
04/29/2013MACKAY & SOMPS CIVIL ENGINEERS
14,800.00
TOPOGRAPHIC SURVEY SVCS TASSAJARA RD T
04/29/2013MAKE ME A PRO SPORTS
3,143.40
REC CLASS INSTRUCTOR
04/29/2013MCCARTHY, TOM
1,000.00
REPLENISH POLICE SERVICES FUND
04/29/2013MCCREARY, PAUL
80.00
REIMBURSE RECREATION BANQUET EXPENSE
04/29/2013MCE CORPORATION
363,181.98
MAINTENANCE SERVICES-MARCH 2013
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 13 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/29/2013MOTTOLA, ANN
291.22
REIMB CA PARKS & REC CONF EXPENSE
04/29/2013OMNI-MEANS LTD
800.00
CITYWIDE TRAFFIC SAFETY STUDY UPDATE TO
96.00
PARKING ANALYSIS SERVICES TO 1/25/13
1,792.00
TRAFFIC SAFETY STUDY UPDATE TO 12/21/12
Check Total:
2,688.00
04/29/2013ONE WORKPLACE L. FERRARI LLC
8,794.37
CIVIC CENTER FURNITURE
5,041.60
CIVIC CENTER OFFICE FURNITURE
3,873.70
NEIGHBORHOOD RESOURCES UNIT OFFICE FUR
28,858.01
POLICE DEPT OFFICE FURNITURE
Check Total:
46,567.68
04/29/2013OTIS ELEVATOR CO., INC.
270.00
ELEVATOR SERVICE-MAY 2013
04/29/2013P G & E
1,095.58
SERVICE TO 4/10/13
1,914.12
SERVICE TO 4/11/13
806.04
SERVICE TO 4/12/13
49.53
SERVICE TO 4/2/13
2,418.84
SERVICE TO 4/9/13
Check Total:
6,284.11
04/29/2013PACHECO BROTHERS GARDENING INC
3,465.00
LANDSCAPE MAINTENANCE-MAY 2013
04/29/2013PAKPOUR CONSULTING GROUP, INC.
2,882.25
2013 ANNUAL STREET OVERLAY TO 3/31/13
1,207.50
DUBLIN BLVD RESURFACING PROJECT TO 3/31/
Check Total:
4,089.75
04/29/2013PARS
596.64
ADMIN & TRUSTEE FEES-FEB 2013
04/29/2013PLEASANTON, CITY OF
55,849.68
FREEWAY INTERCHANGE DEBT PAYMENT JAN-M
04/29/2013PMA CONSULTANTS LLC
13,487.50
ENERGY UPGRADE CONSULTING-JAN 2013
04/29/2013RAGO NEON, INC.
1,254.50
DEVELOPER DEPOSIT REFUND
04/29/2013REGIONAL GOVERNMENT SERVICES
12,431.47
TEMPORARY ADMIN SVCS & COMM DEV STAFF-
04/29/2013REVEL ENVIRONMENTAL MFG INC.
2,840.00
CATCH BASIN MAINTENANCE-JAN-APR 2013
04/29/2013ROSS RECREATION EQUIPMENT CO
269.06
DUBLIN SPORTS GROUNDS PROJECT SUPPLIES
04/29/2013SHAMROCK OFFICE SOLUTIONS INC
174.03
COPIER SUPPLIES
04/29/2013SHI INTERNATIONAL CORP
5,265.94
COMPUTER SOFTWARE
04/29/2013SIERRA DISPLAY INC
1,771.00
STREET BANNER INSTALLATION
04/29/2013SMITH, LINDA
397.20
REIMB CA ASSN PUBLIC INFO OFFICIALS CONF
04/29/2013SOLAR CONTROL CO.
3,926.43
SHANNON CENTER WINDOW FILM REPLACEMEN
04/29/2013STAFFORD, JULIANNE
400.00
SPRING FAIRE ENTERTAINMENT
04/29/2013STAPLES ADVANTAGE
6,166.09
OFFICE SUPPLIES-MARCH 2013
04/29/2013STUDIO BLUE REPROGRAPHICS
2,294.01
PRINTING-PASSATEMPO PARK
04/29/2013SUAREZ & MUNOZ CONSTRUCTION
202,938.04
GOLDEN GATE DR STREETSCAPE PROJECT TO
310,596.67
GOLDEN GATE DR STREETSCAPE PROJECT TO
Check Total:
487,857.98
04/29/2013SUHARWARDY M., IQBAL
750.00
REFUND SHANNON DEPOSIT
04/29/2013TASTEFUL AFFAIR CATERING, A
1,290.56
TECHNICAL/ADMIN STAFF RETREAT EXPENSE
04/29/2013TELEPACIFIC COMMUNICATIONS
1,646.99
CIVIC CENTER PHONE & INTERNET SERVICE TO
04/29/2013TJ KRISTI CORPORATION
300.00
FUEL TANK MONITORING JAN-MAR 2013
04/29/2013TJENG, YULIANA
40.02
MILEAGE REIMBURSEMENT
04/29/2013TRI-VALLEY JANITORIAL INC.
614.00
DAY STAFF FOR SHAMROCK FESTIVAL
1,795.95
JANITORIAL SERVICES-MARCH 2013
Check Total:
2,409.95
04/29/2013TRI-VALLEY TRANSPORT. COUNCIL
339,690.41
FY 12/13 QTR 3 TRI-VALLEY TRANSPORTATION
Print Date: 05/07/2013City of Dublin
Payment Issuance Report
Page 14 of 14
Payments Dated 4/1/2013 through 4/30/2013
Date IssuedPayeeAmountDescription
04/29/2013UNITED SITE SERVICES OF CA INC
193.81
DISPOSAL SERVICE 3/18/13
96.86
DISPOSAL SERVICE 3/25-4/5/13
561.33
DISPOSAL SERVICE 3/9-4/5/13
787.33
DISPOSAL SERVICE 4/6-5/3/13
Check Total:
1,639.33
04/29/2013VALLEY WINDOW CLEANING INC
1,200.00
WINDOW CLEANING-APR 2013
04/29/2013WESCO GRAPHICS INC
6,624.55
ACTIVITY GUIDE PRINTING
04/29/2013WESTERN PACIFIC SIGNAL LLC
9,502.70
TRAFFIC SIGNAL COMMUNICATIONS EQUIPMEN
426.75
TRAFFIC SIGNAL CONTROLLER REPAIR
Check Total:
9,929.45
04/29/2013WETHERFORD, HAZEL
36.16
REIMB ECONOMIC DEVELOPMENT CONF EXPEN
04/29/2013ZUMWALT ENGINEERING GROUP
14,994.00
PLAN CHECK SERVICES-MARCH 2013
Payments Issued 4/29/2013 Total:2,301,454.32
Grand Total for Payments Dated 4/1/2013 through 4/30/2013:7,886,842.78
Total Number of Payments Issued:437