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HomeMy WebLinkAbout4.02 Payment Issuance Report or 19 82 STAFF REPORT CITY CLERK ` CITY COUNCIL File #300-40 DATE: April 21, 2015 TO: Honorable Mayor and City Councilmembers FROM: Christopher L. Foss, City Manager " SUBJECT: Payment Issuance Report and Electronic Funds Transfers Prepared by Veronica Briggs, Finance Technician 11 EXECUTIVE SUMMARY: The City Council will receive a listing of payments issued from March 1, 2015 — March 31, 2015 totaling $6,065,102.44. FINANCIAL IMPACT: SUMMARY OF PAYMENTS ISSUED March 1, 2015 through March 31, 2015 Total Number of Payments: 394 Total Amount of Payments: $6,065,102.44 RECOMMENDATION: Staff recommends that the City Council receive the report. r Submitted By \ Reviewed By Administrative Services Director Assistant City Manager DESCRIPTION: The Payment Issuance Report (see Attachment 1) provides a listing of all payments for the period beginning March 1, 2015 through March 31, 2015. 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 Issuance Report - March 2015 Page 1 of 1 ITEM NO. 4.2 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/02/2015 AREA MANAGEMENT, LLC 7,039.00 DEVELOPER DEPOSIT REFUND 03/02/2015 BROOKFIELD MARIPOSA LLC 47,795.60 REFUND CASH COMPLETION BOND 03/02/2015 BSA ARCHITECTS 2,417.77 ARCHITECTURAL DESIGN SVCS-LIBRARY EXPANSION 03/02/2015 CALLIDUS SOFTWARE, INC. 81,488.00 REFUND CASH COMPLETION BOND 03/02/2015 CENTRAL VALLEY TOXICOLOGY 2,349.00 LAB TESTING SERVICES-JAN 2015 03/02/2015 COIT SERVICES, INC. 660.00 CARPET CLEANING-FEB 2015 405.00 CARPET CLEANING-JAN 2015 Check Total: 1,065.00 03/02/2015 E. MAJDALANI CONSTRUCTION 22,962.00 FALLON SPORTS PARK CONSTRUCTION MGMT 03/02/2015 EAST BAY DIVISION LCC 50.00 LEAGUE OF CA CITIES DIVISION MTG EXP-HAUBERT 03/02/2015 EASTER SEALS KALEIDOSCOPE 500.00 2014 ORGANIZATION OF THE YEAR AWARD 03/02/2015 FIRST CARBON SOLUTIONS 73,732.80 PLANNING SERVICES TO 1/30/15 03/02/2015 GLADWELL GOVERNMENTAL SVCS INC 2,857.20 CONSULTING SVCS ELECTRONIC AGENDA SYSTEM 03/02/2015 GONG,VIVIAN 3,486.48 HEALTH PREMIUM REIMBURSEMENT 03/02/2015 GRAHAM CONTRACTORS, INC. 116,792.76 2014 ANNUAL SLURRY SEAL PROGRAM 03/02/2015 HAUBERT, DAVID 50.60 MILEAGE REIMBURSEMENT-JAN 2015 03/02/2015 IRON MOUNTAIN 373.29 OFF-SITE TAPE STORAGE-JAN 2015 03/02/2015 KINGSMILL GROUP LLC, THE 1,678.93 DEVELOPER DEPOSIT REFUND 03/02/2015 LANLOGIC INC. 2,405.00 COMPUTER NETWORK CONSULTING SERVICES 03/02/2015 NORTH STAR DESTINATION 14,222.23 MARKETING& BRANDING STRATEGY DEVELOPMENT 03/02/2015 P G& E 5,543.33 SERVICE TO 1/27/15 19,928.68 SERVICE TO 2/17/15 Check Total: 25,472.01 03/02/2015 PAUL NIEMUTH &ASSOCIATES 812.50 LANDSCAPE PLANNING SERVICES TO 2/18/15 8,437.50 LANDSCAPE PLANNING SERVICES TO 2/24/15 3,875.00 PLANNING SERVICES TO 2/24/15 Check Total: 13,125.00 03/02/2015 PDR DISTRIBUTION, LLC 65.35 INVESTIGATIONS REFERENCE BOOKS 03/02/2015 PEELLE TECHNOLOGIES INC 1,836.10 DOCUMENT PREPARATION & IMAGING SERVICES 03/02/2015 PURSUIT NORTH 12,287.21 POLICE VEHICLE EQUIPMENT 03/02/2015 REGISTRAR OF VOTERS 36,872.00 ELECTION COSTS FOR GENERAL ELECTION NOV 2014 03/02/2015 STUDIO BLUE REPROGRAPHICS 542.28 MOUNT UPDATED LAND USE MAPS 03/02/2015 TELEPACIFIC COMMUNICATIONS 2,186.82 CIVIC CENTER INTERNET& PHONE SVC TO 3/8/15 03/02/2015 TERRA NOVA INDUSTRIES 12,097.70 REFUND CASH COMPLETION BOND 03/02/2015 TREASURER ALAMEDA COUNTY 2,274,946.78 POLICE SERVICES 10/26/14-12/20/14 03/02/2015 TREASURER ALAMEDA COUNTY 17,768.22 ANIMAL SHELTER DEBT SERVICE PAYMENT Vendor Total: 2,292,715.00 03/02/2015 TRI-VALLEY HAVEN, INC 705.93 COMMUNITY SUPPORT GRANT-JAN 2015 03/02/2015 U.S. POSTAL SERVICE 1,000.00 POSTAGE FOR CITY SURVEY REPLY MAIL 03/02/2015 U.S. POSTAL SERVICE 220.00 BUSINESS REPLY MAIL PERMIT FEE Vendor Total: 1,220.00 03/02/2015 ULINE, INC. 1,740.88 STORAGE SHELVING 03/02/2015 UNUM LIFE INS CO OF AMERICA 10,749.29 LIFE AND AD&D: MARCH 2015 03/02/2015 VALLEYCARE OCCUPATIONAL HEALTH 172.00 NEW EMPLOYEE MEDICAL TESTING 03/02/2015 VERIZON WIRELESS 224.82 INFORMATION SYSTEMS CELLPHONES-JAN 2015 03/02/2015 VMI INC. 103.55 MICROPHONE REPAIR-COUNCIL CHAMBERS Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/02/2015 WC3-WEST COAST CODE CONSULTANT 3,850.00 PLAN REVIEW/BUILDING INSPECTION SVCS-JAN 2015 03/02/2015 WRA, INC. 156.25 PLANNING SERVICES-JAN 2015 Payments Issued 3/2/2015 Total: 2,797,387.85 03/10/2015 ABAG PLAN CORPORATION 7,667.09 INSURANCE CLAIM EXPENSE 03/10/2015 ABDILLA, MARK 550.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 ALL CITY MANAGEMENT SVCS INC 6,033.60 CROSSING GUARD SERVICES TO 1/31/15 03/10/2015 ALLAN, JOHN MCLEAN 3,250.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 AMERICAN SAFETY ACADEMY 100.80 REC CLASS INSTRUCTOR 03/10/2015 AMY'S ENGRAVED SIGNS&AWARDS 190.75 HERITAGE&CULTURAL ARTS COMM NAMEPLATES 03/10/2015 ARCTIC GLACIER PREMIUM ICE 1,265.00 ST. PATRICK'S FESTIVAL SUPPLIES 03/10/2015 ARLEN NESS, INC. 343.38 POLICE VEHICLE MAINTENANCE 2,002.07 POLICE VEHICLE REPAIR Check Total: 2,345.45 03/10/2015 ARROWHEAD 1,310.68 BOTTLED WATER-JAN 2015 03/10/2015 ASSOCIATED BUILDERS&CONTRACT 750.00 REFUND DEPOSIT SHANNON CENTER RENTAL 03/10/2015 AT&T-CALNET 2 1,109.46 SERVICE TO 2/12/15 522.24 SERVICE TO 2/14/15 2.92 SERVICE TO 2/19/15 Check Total: 1,634.62 03/10/2015 BALLARD, MITCH 2,800.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 BATCHELDER, PHILIP 300.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 BAY ALARM COMPANY 177.00 INSTALL PANIC BUTTON-KOLB HOUSE 03/10/2015 BELLECCI &ASSOCIATES, INC. 3,316.33 DUBLIN BLVD WIDENING DESIGN PROJECT-JAN 2015 03/10/2015 BIG O TIRES#7 468.69 POLICE VEHICLE MAINTENANCE 03/10/2015 BLACK IRISH BAND 1,600.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 BLUE SKY PRIVATE SECURITY 2,110.50 ST. PATRICK'S FESTIVAL SECURITY SERVICES 03/10/2015 CALIFORNIA CUSTOM CARPETS 175.00 FUN RUN PARKING LOT FEE 03/10/2015 CAMPBELL, JEFF 550.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 CARDUCCI AND ASSOCIATES INC. 31,026.25 FALLON SPORTS PARK LANDSCAPE ARCHITECTURE 03/10/2015 CDW GOVERNMENT INC 448.46 COMPUTER EQUIPMENT 1,689.41 REPLACEMENT UPS MAIN COMPUTER ROOM Check Total: 2,137.87 03/10/2015 CIVICPLUS 4,209.00 WEBSITE HOSTING &SUPPORT 03/10/2015 COBALT EQUIPMENT INC. 6,786.75 ST. PATRICK'S FESTIVAL ELECTRICAL DISTRIBUTION 03/10/2015 COIT SERVICES, INC. 1,525.00 CARPET CLEANING 03/10/2015 COMPUCOM 5,212.00 ANTI-VIRUS SOFTWARE RENEWAL 03/10/2015 CONTRACT SWEEPING SERVICES 9,895.51 STREET SWEEPING SERVICES-JAN 2015 03/10/2015 COUNTY OF ALAMEDA 27.00 ASSESSOR'S MAPS 03/10/2015 CYBELE SOFTWARE INC. 119.60 COMPUTER SOFTWARE MAINTENANCE 03/10/2015 DEAM,VALERIE 500.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 DIPIETRO &ASSOC. INC 192.16 AED SUPPLIES 03/10/2015 DSRSD 31,995.84 SERVICE TO 1/31/2015 03/10/2015 ESTIGOY-KAHO'ONEI,JULIA 69.30 SENIOR CENTER INSTRUCTOR 03/10/2015 FARMER, LYNDA 63.00 REC CLASS INSTRUCTOR 03/10/2015 FLOWINGLASS MUSIC 1,000.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 FRANKLIN, RHONDA 6.90 MILEAGE REIMBURSEMENT 03/10/2015 GOODYEAR TIRE& RUBBER COMPANY 1,376.19 POLICE VEHICLE TIRES 03/10/2015 HARRIS&ASSOCIATES 6,680.00 AQUATIC COMPLEX CONSTRUCTION MGMT-JAN 2015 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/10/2015 IMAGEX 291.95 ST. PATRICK'S FESTIVAL BANNERS 03/10/2015 LEPERKHANZ 1,400.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 LESLIE'S POOLMART, INC. 134.60 POOL CHEMICALS 03/10/2015 LYNAUGH, JACQUELINE 400.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 MACALINO, EMMANUEL 750.00 REFUND SHANNON DEPOSIT 03/10/2015 MCBRIDE IRISH DANCERS 500.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 MEIN, STEPHANIE/PETTY CASH CUSTODIAN 12,000.00 ST. PATRICK'S FESTIVAL CHANGE FUND 03/10/2015 MEIN, STEPHANIE 32.18 REIMBURSE ST. PATRICK'S FESTIVAL SUPPLIES Vendor Total: 12,032.18 03/10/2015 MICHAEL MULLEN'S TRIO OF ONE 200.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 MIDSTATE CONSTRUCTION CORP 41,792.40 MAINTENANCE FACILITY CONSTRUCTION TO 1/30/15 03/10/2015 MOLLY'S REVENGE 950.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 MOTTOLA,ANN 72.02 MILEAGE REIMBURSEMENT 03/10/2015 MPA(MUNICIPAL POOLING 133.82 TRAINING SUPPLIES 03/10/2015 MUNIZ, DEE 48.00 REC CLASS REFUND 03/10/2015 NEOPOST NORTHWEST 518.74 POSTAGE MACHINE SUPPLIES 03/10/2015 P G& E 3,778.17 SERVICE TO 2/26/15 03/10/2015 ROSS, PATRICIA M. 300.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 RUSHING, KATHLEEN F 400.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/10/2015 S &C ENGINEERS, INC. 19,285.00 CONSTRUCTION MGMT-DOUGHERTY RD PROJECT 03/10/2015 SELECT IMAGING 106.82 BUSINESS CARDS 03/10/2015 SHI INTERNATIONAL CORP 1,026.00 COMPUTER SOFTWARE 03/10/2015 SHIR MARTIAL ARTS, LLC 118.30 REC CLASS INSTRUCTOR 03/10/2015 SOTO, CAROLINE 31.85 MILEAGE REIMBURSEMENT- FEB 2015 03/10/2015 SPEEDO CHECK 528.00 POLICE VEHICLE SPEEDOMETER CALIBRATIONS 03/10/2015 STAGES UNLIMITED 2,750.00 ST. PATRICK'S DAY PARADE BLEACHER RENTAL 03/10/2015 STEVENSON, PORTO& PIERCE INC. 16,750.00 PLANNING SERVICES TO 2/20/2015 03/10/2015 STOEBE, MARK 420.00 REC CLASS INSTRUCTOR 03/10/2015 STONERIDGE CHRYSLER JEEP DODGE 732.09 POLICE VEHICLE MAINTENANCE 03/10/2015 STUDIO 8 DANCE& PERFORMING 576.00 REC CLASS INSTRUCTOR 03/10/2015 SUAREZ& MUNOZ CONSTRUCTION 6,618.88 RETENTION RELEASE-POSITANO HILLS PLAYGROUND 03/10/2015 SWA GROUP 2,100.00 DUBLIN CROSSING MASTER PLAN DEVELOPMENT 03/10/2015 TERMINIX INTERNATIONAL LP 47.00 PEST CONTROL SERVICE-JAN 2015 03/10/2015 TERRYBERRY 1,662.60 EMPLOYEE SERVICE AWARDS 03/10/2015 TRANS PACIFIC NATIONAL BANK 2,176.60 RETENTION DEPOSIT-MAINTENANCE FACILITY 03/10/2015 TREASURER ALAMEDA COUNTY 7,767.46 FUEL-JAN 2015 03/10/2015 TRI-VALLEY JANITORIAL INC. 10,553.00 JANITORIAL SERVICES-FEB 2015 400.00 JANITORIAL SERVICES-JAN 2015 Check Total: 10,953.00 03/10/2015 VALENZUELA, CARLA 475.00 REFUND SENIOR CENTER DEPOSIT 03/10/2015 VALI COOPER&ASSOCIATES INC 4,725.00 ENGINEERING SERVICES-JAN 2015 03/10/2015 VALLEY CHRISTIAN SCHOOL 750.00 REFUND SHANNON DEPOSIT 03/10/2015 VELOCITY SPORTS PERFORMANCE 5,014.00 REC CLASS INSTRUCTOR 03/10/2015 VERIZON WIRELESS 69.92 CODE ENFORCEMENT CELLPHONES TO 2/15/15 783.31 POLICE CELLPHONES TO 2/3/15 Check Total: 853.23 03/10/2015 WAGEWORKS, INC. 501.50 FLEXIBLE SPENDING ACCOUNT FEES-FEB 2015 03/10/2015 WEISS, ROBIN S. 382.20 REC CLASS INSTRUCTOR Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/10/2015 WELLS PFC 750.00 REFUND SHANNON DEPOSIT 03/10/2015 YAMAHA GOLF CARTS OF CALIF INC 3,101.05 ST. PATRICK'S FESTIVAL CART RENTALS 03/10/2015 YOUNG, JEAN 49.00 REC CLASS REFUND Payments Issued 3/10/2015 Total: 293,370.34 03/11/2015 U.S. BANK CORPORATE PMT SYSTEM 102.47 AFTER SCHOOL REC SUPPLIES 2.00 ALAMEDA COUNTY HOME MTG EXP-CUNNINGHAM 27.72 COMPUTER EQUIPMENT 377.82 CRISIS COMMUNICATION PILOT COURSE EXP-TAYLOR 263.00 CSMFO DUES &EAST BAY CHAPTER MTG-TJENG 151.12 DOMAIN NAME RENEWAL 686.63 EMPLOYEE COMMITTEE MEETING SUPPLIES 170.03 ERGONOMIC EQUIPMENT 316.03 ERGONOMIC EQUIPMENT 250.00 FUN RUN TRAIL PERMIT FEE 822.03 HERITAGE CENTER SUPPLIES 30.00 HOMICIDE INVESTIGATION MEMBERSHIP-ALVAREZ 251.06 HUMAN SERVICES COMMISSION MEETING SUPPLIES 70.91 JUNIOR WARRIORS SUPPLIES 119.42 LIVE HEALTHY DUBLIN SUPPLIES 135.00 MMANC MEMBERSHIP/WINTER FORUM REG-STEFFEN 84.00 MMANC WINTER FORUM CONF REG-WETHERFORD 486.69 OFFICE FURNITURE 34.84 OFFICE SUPPLIES 36.65 PARKS& FACILITIES DIVISION WORKSHOP EXPENSE 422.64 PLANNING PUBLICATIONS 457.37 POLICE EQUIPMENT 20.00 POLICY COMMITTEE MEETING EXPENSE-MCCREARY 1,722.81 PRESCHOOL SUPPLIES 200.00 PROPERTY & EVIDENCE CLASS REG-MICHLIG-FAHR 610.55 PUBLIC WORKS INSTITUTE CONF REG-HUISINGH 77.75 PUBLIC WORKS WEEK POSTERS 17.42 SENIOR CENTER SUPPLIES 404.66 SHOP LOCAL ADVERTISING 1,000.54 SOFTWARE LICENSE RENEWAL 1,302.66 ST. PATRICK'S FESTIVAL SUPPLIES 24.00 TRANSPORTATION COMMISSION MTG EXP-KHAN 2,570.66 U.S. CONFERENCE OF MAYORS EXPENSE-HAUBERT 2,434.45 VOLUNTEER EVENT SUPPLIES Check Total: 15,682.93 Payments Issued 3/11/2015 Total: 15,682.93 03/13/2015 CAL PERS 78,968.44 PERS RETIREMENT PLAN: PE 3/6/15 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/13/2015 EMPLOYMENT DEVELOPMENT DEPT 12,909.17 CA STATE WITHHOLDING: PE 3/6/15 03/13/2015 1 C M A 401 PLAN 1,074.12 DEFERRED COMP 401A: PE 3/6/15 03/13/2015 1 C M A 457 PLAN 22,840.26 DEFERRED COMP 457: PE 3/6/15 03/13/2015 INTERNAL REVENUE SERVICE 48,705.63 FEDERAL WITHHOLDING: PE 3/6/15 03/13/2015 US BANK- PARS 2,412.95 PARS: PE 3/6/15 03/13/2015 WAGEWORKS, INC. 2,178.80 WAGEWORKS 2015: PE 3/6/15 Payments Issued 3/13/2015 Total: 169,089.37 03/16/2015 4 PAWS GOOSE CONTROL, INC 1,000.00 GOOSE CONTROL SERVICES-FEB 2015 03/16/2015 ALAMEDA COUNTY FIRE DEPARTMENT 970,421.25 FIRE SERVICES- FEB 2015 03/16/2015 ALEX, ROSEMARY 261.43 MILEAGE REIMBURSEMENT-OCT 2014-FEB 2015 03/16/2015 ALL CITY MANAGEMENT SVCS INC 6,704.00 CROSSING GUARD SERVICES TO 2/14/15 03/16/2015 AMADOR VALLEY INDUSTRIES LLC 1,125.00 RECYCLING CONSULTING 03/16/2015 AMERICAN PACIFIC PROMOTIONS 3,202.32 ST. PATRICK'S FESTIVAL MUGS 03/16/2015 AMY'S ENGRAVED SIGNS&AWARDS 49.05 EMPLOYEE NAME PLATE 152.60 NAMEPLATES FOR PARKS COMMISSIONERS Check Total: 201.65 03/16/2015 ARAMARK UNIFORM SVC LOCKBOX 222.91 MAT SERVICE-FEB 2015 03/16/2015 ARORA,AKSHAY 16,920.90 REC CLASS INSTRUCTOR 03/16/2015 AT&T-CALNET 2 232.48 SERVICE TO 2/26/15 179.55 SERVICE TO 2/27/15 Check Total: 412.03 03/16/2015 BAY AREA NEWS GROUP 304.03 LEGAL NOTICES 03/16/2015 BAY ISLAND OFFICIAL ASSOC 2,240.00 SPORTS OFFICIATING SERVICES 1,650.00 SPORTS OFFICIATING SERVICES Check Total: 3,890.00 03/16/2015 BELLECCI &ASSOCIATES, INC. 6,000.00 INTERSECTION IMPROVEMENTS-DUBLIN/HACIENDA 03/16/2015 BLANKENSHIP, WILLIAM 601.20 REC CLASS INSTRUCTOR 03/16/2015 CA CONTRACTORS SUPPLIES, INC. 130.36 FIRST AID KITS 03/16/2015 CAL ENGINEERING &GEOLOGY INC 9,769.50 ENGINEERING SERVICES-JAN 2015 03/16/2015 CALICO CENTER 2,388.00 COMMUNITY SUPPORT GRANT OCT 2014-JAN 2015 03/16/2015 CALIFORNIA HIGH SCHOOL 760.36 REFUND SHANNON DEPOSIT 03/16/2015 CALTRONICS BUSINESS SYSTEMS 299.62 COPIES-FEB 2015 03/16/2015 CAPITAL ONE COMMERCIAL 369.93 SENIOR CENTER SUPPLIES 03/16/2015 CAVAZOS,ANNE 12.00 REC CLASS INSTRUCTOR 03/16/2015 CDW GOVERNMENT INC 151.77 COMPUTER EQUIPMENT 03/16/2015 CGS GYMNASTIC SERVICES INC 360.00 REC CLASS INSTRUCTOR 03/16/2015 CHAN, ROSA 242.00 REC CLASS INSTRUCTOR 03/16/2015 CHANDLER ASSET MANAGEMENT 7,319.00 INVESTMENT SERVICES- FEB 2015 03/16/2015 CLIENTFIRST CONSULTING GROUP 7,486.10 INFORMATION TECHNOLOGY MASTER PLAN 03/16/2015 COMCAST 218.14 CIVIC CENTER TV& INTERNET-MAR 2015 230.04 SENIOR CENTER CABLE &TV SERVICE 3/7/15-4/6/15 Check Total: 448.18 03/16/2015 CSG CONSULTANTS INC 13,100.00 ENGINEERING SERVICES-JAN 2015 03/16/2015 DELL MARKETING L.P. 1,041.87 COMPUTER 03/16/2015 DENG, JUN YUAN 318.00 REC CLASS INSTRUCTOR 03/16/2015 DIABLO PUBLICATIONS 205.00 VISIT TRI-VALLEY VISITORS GUIDE AD 03/16/2015 DUBLIN CORPORATE CENTER LLC, HELEN KASLIN 15,000.00 PARK AND RIDE EXPENSES JULY-DEC 2014 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/16/2015 DUBLIN TROPHY HOUSE 3,873.06 JUNIOR WARRIOR TROPHIES 03/16/2015 DUBLIN UNIFIED SCHOOL DISTRICT 5,649.76 STAGER GYM UTILITIES AUG 2014-JAN 2015 03/16/2015 EAST BAY POOL SERVICE, INC. 1,556.60 POOL CHEMICALS FOR SWIM CENTER 1,860.00 POOL MAINTENANCE SERVICES-SWIM CENTER 7,139.00 SWIM CENTER POOL HEATER REPAIR 195.00 SWIM CENTER REPAIR Check Total: 10,750.60 03/16/2015 FEDEX 193.58 EXPRESS SHIPPING 03/16/2015 FEHR&PEERS ASSOCIATES INC. 3,312.75 DOWNTOWN TRAFFIC IMPACT FEE UPDATE 03/16/2015 FOLEY, GERALDINE 150.00 SENIOR CENTER DANCE ENTERTAINMENT SVCS 03/16/2015 FRANKLIN, RHONDA 6.90 MILEAGE REIMBURSEMENT-FEB 2015 03/16/2015 FRESHI MEDIA 1,235.25 REC CLASS INSTRUCTOR 03/16/2015 GOODWIN CONSULTING GROUP, INC. 5,802.50 DUBLIN CROSSING CFD FORMATION SVCS-JAN 2015 03/16/2015 GOVERNMENT FINANCE OFFICERS 150.00 MEMBERSHIP DUES- DHADWAL 03/16/2015 HARMON, MICHAEL 250.00 REFUND HERITAGE CENTER DEPOSIT 03/16/2015 HARPER, LISA 200.00 PREPARATION OF TV30 MEETING MINUTES 03/16/2015 HATZIKOKOLAKIS, JACQUI 22.71 MILEAGE REIMBURSEMENT-JAN 2015 03/16/2015 HAUBERT, DAVID 67.43 REIMB U.S. CONFERENCE OF MAYORS EXP-HAUBERT 03/16/2015 HOLSEY, DENYCE L. 840.00 EMPLOYEE PROCESS CONSULTING SERVICES 03/16/2015 IMPRINT WORKS, THE 434.91 VOLUNTEER RECOGNITION EVENT AWARDS 03/16/2015 INTERWEST CONSULTING GROUP INC 1,485.00 PLAN REVIEW&BUILDING INSPECTION SVCS 03/16/2015 J. S. BUILDING MAINTENANCE 1,860.98 JANITORIAL SERVICES-FEB 2015 03/16/2015 JOCHNER, RICH 35.19 MILEAGE REIMBURSEMENT-FEB 2015 03/16/2015 JORDAN &ASSOCIATES, INC. 1,600.00 LEGISLATIVE CONSULTING SERVICES-FEB 2015 03/16/2015 KAPADIA, MARIA 300.00 REC CLASS INSTRUCTOR 03/16/2015 KIER&WRIGHT CIVIL ENGINEERS 1,989.50 ENGINEERING SERVICES 12/8/14-1/11/15 03/16/2015 KINDERMUSIK W/MS LINDSAY & 1,177.20 REC CLASS INSTRUCTOR 03/16/2015 KING,ARTHUR 93.10 REC CLASS INSTRUCTOR 03/16/2015 KRANSKY, JENNIFER 8.34 MILEAGE REIMBURSEMENT-FEB 2015 03/16/2015 LAI &ASSOCIATES 2,365.32 ENGINEERING SERVICES-JAN 2015 03/16/2015 LATITUDE GEOGRAPHICS GROUP 3,700.00 GIS SOFTWARE MAINTENANCE RENEWAL 03/16/2015 LEW EDWARDS GROUP,THE 3,500.00 CONSULTING SERVICES-FEB 2015 03/16/2015 LIVERMORE AUTO GROUP 380.61 PUBLIC WORKS VEHICLE MAINTENANCE 03/16/2015 LIVERMORE VALLEY WINEGROWERS 7,500.00 2015 MARKETING SPONSORSHIP 03/16/2015 MANAGEMENT PARTNERS INC. 22,250.00 DUBLIN ORGANIZATIONAL REVIEW CONSULTING 685.00 EXECUTIVE COACHING SERVICES-FEB 2015 Check Total: 22,935.00 03/16/2015 MEIN, STEPHANIE 65.71 MILEAGE REIMBURSEMENT-FEB 2015 03/16/2015 MEYERS NAVE 67,083.75 LEGAL SERVICES TO 1/31/15 882.41 LEGAL SERVICES TO 2/17/15 140.00 LEGAL SERVICES TO 2/24/15 Check Total: 68,106.16 03/16/2015 MIDDLETON, KRISTEN 21.79 MILEAGE REIMBURSEMENT-FEB 2015 03/16/2015 MOBILE MODULAR MANAGEMENT CORP 1,827.00 RESTROOM RENTAL PUBLIC SAFETY COMPLEX SITE 03/16/2015 NFPA 165.00 FIRE PROTECTION ASSN MEMBERSHIP-SHREEVE 03/16/2015 NORTH AMERICAN TITLE COMPANY 1,050.00 TITLE REPORT FOR CORP YARD 03/16/2015 OBSTFELD, KIM 5.24 MILEAGE REIMBURSEMENT- DEC 2014 25.23 MILEAGE REIMBURSEMENT- FEB 2015 14.00 MILEAGE REIMBURSEMENT-JAN 2015 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description Check Total: 44.47 03/16/2015 OTIS ELEVATOR CO., INC. 270.00 ELEVATOR SERVICE-MAR 2015 03/16/2015 P G& E 4,181.80 SERVICE TO 2/27/15 65.74 SERVICE TO 3/3/15 4,050.31 SERVICE TO 3/4/15 7,262.14 SERVICE TO 3/5/15 Check Total: 15,559.99 03/16/2015 PACHECO BROTHERS GARDENING INC 3,615.00 LANDSCAPING SERVICES-MAR 2015 03/16/2015 PAKPOUR CONSULTING GROUP, INC. 6,252.75 ENGINEERING SERVICES-JAN 2015 03/16/2015 PEELLE TECHNOLOGIES INC 11,601.08 DOCUMENT PREPARATION & IMAGING SERVICES 03/16/2015 PMC 245.00 HOUSING CONSULTANT SERVICES-DEC 2014 5,923.75 HOUSING CONSULTANT SERVICES-NOV 2014 Check Total: 6,168.75 03/16/2015 PON ACADEMICS, LLC 651.90 REC CLASS INSTRUCTOR 03/16/2015 PUBLIC BENEFIT TECHNOLOGY 340.00 CITY COUNCIL MEETING VIDEO SERVICES-JAN 2015 03/16/2015 ROONEY, DOUGLAS 9.55 MILEAGE REIMBURSEMENT-JAN 2015 03/16/2015 S &J ADVERTISING INC 1,600.00 YOUR TOWN MONTHLY ADVERTISING 03/16/2015 SIMPLER SYSTEMS, INC 1,003.20 PROJECT ACCOUNTING MAPPING SERVICES 1,500.00 SOFTWARE HOSTING CONSULTING SVCS-MAR 2015 Check Total: 2,503.20 03/16/2015 SMITH, JENNIFER 6.56 MILEAGE REIMBURSEMENT-FEB 2015 03/16/2015 SOUTHERN, KATHY 457.87 MILEAGE REIMBURSEMENT-JUL 2014-FEB 2015 114.25 REIMBURSE MEETING SUPPLIES &PARKING Check Total: 572.12 03/16/2015 SPECIAL EVENTS 4,818.70 RENTAL FOR AQUATIC COMPLEX GROUND BREAKING 03/16/2015 SPECTRUM COMMUNITY SVCS INC. 794.30 COMMUNITY SUPPORT GRANT-JAN 2015 03/16/2015 STUDIO BLUE REPROGRAPHICS 206.01 VOLUNTEER RECOGNITION EVENT POSTERS 03/16/2015 SWRCB 885.00 STORM WATER APPLICATION FEE AQUATIC COMPLEX 03/16/2015 TAU KAPPA EPSILON FRATERNITY 1,000.00 REFUND SENIOR CENTER RENTAL DEPOSIT 03/16/2015 TEAMWEAR GRAPHICS 399.30 ST. PATRICK'S FESTIVAL STAFF SHIRTS 03/16/2015 TJ KRISTI CORPORATION 300.00 FUEL TANK MONITORING OCT-DEC 2014 03/16/2015 TRI-VALLEY JANITORIAL INC. 1,353.62 JANITORIAL SERVICES-FEB 2015 03/16/2015 UNITED SITE SERVICES OF CA INC 825.91 DISPOSAL SERVICE-2/7/15-3/6/15 03/16/2015 VAISHALI, BHATNAGAR 750.00 REFUND DEPOSIT SHANNON CENTER RENTAL 03/16/2015 VERIZON WIRELESS 266.07 BUILDING/PLANNING CELLPHONE SVC TO 2/10/15 38.01 PARKS IPAD WIRELESS SERVICE TO 2/10/15 Check Total: 304.08 03/16/2015 VINTAGE CONTRACTORS, INC. 2,513.60 KOLB PARK BENCHES 03/16/2015 VSI RISK MGMT&ERGONOMICS INC 1,150.00 ERGONOMIC EVALUATIONS 03/16/2015 WESCO GRAPHICS INC 4,709.18 ACTIVITY GUIDE PRINTING- FEB 2015 03/16/2015 WETHERFORD, HAZEL 27.89 MILEAGE REIMBURSEMENT- FEB 2015 03/16/2015 ZUMWALT ENGINEERING GROUP 16,530.00 ENGINEERING SERVICES-JAN 2015 Payments Issued 3/16/2015 Total: 1,309,536.72 03/20/2015 4LEAF INC. 206.00 BUILDING INSPECTION SVCS CORP YARD-FEB 2015 89,944.50 PLAN REVIEW&BLDG INSPECTION SVCS-FEB 2015 Check Total: 90,150.50 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/20/2015 ALH URBAN &REGIONAL ECONOMICS 3,000.00 RETAIL LEAKAGE STUDY 03/20/2015 ALL CITY MANAGEMENT SVCS INC 6,033.60 CROSSING GUARD SERVICES 2/15/15-2/28/15 03/20/2015 ARAMARK UNIFORM SVC LOCKBOX 158.11 MAT SERVICE-MAR 2015 03/20/2015 AT&T-CALNET 2 111.81 SERVICE TO 3/1/15 37.64 SERVICE TO 3/6/15 Check Total: 149.45 03/20/2015 BAY ALARM COMPANY 222.98 ALARM SERVICE CALL 03/20/2015 BAY AREA BEVERAGE COMPANY 10,725.00 ST. PATRICK'S DAY FESTIVAL BEVERAGES 03/20/2015 BAY AREA NEWS GROUP 97.64 LEGAL NOTICES- FEB 2015 03/20/2015 BIG O TIRES#7 169.85 POLICE VEHICLE MAINTENANCE 03/20/2015 CALBO 2,500.00 BLDG OFFICIALS LEADERSHIP ACADEMY-RECI NOS 03/20/2015 CDW GOVERNMENT INC 125.56 COMPUTER EQUIPMENT 273.00 COMPUTER SOFTWARE 659.74 POLICE VISUAL EQUIPMENT Check Total: 1,058.30 03/20/2015 CINTAS CORP 88.62 FIRST AID KIT SUPPLIES 03/20/2015 DELL MARKETING L.P. 24.41 COMPUTER EQUIPMENT 03/20/2015 DENALECT ALARM COMPANY 306.00 ALARM SYSTEM MAINTENANCE 03/20/2015 DEPARTMENT OF JUSTICE 483.00 FINGERPRINT PROCESSING-FEB 2015 03/20/2015 DEPT OF INDUSTRIAL RELATIONS 225.00 ELEVATOR 092270 INSPECTION FEE 225.00 ELEVATOR 092268 INSPECTION FEE 225.00 ELEVATOR 092269 INSPECTION FEE Check Total: 675.00 03/20/2015 DEVELOPING MOMENTS PHOTOGRAPHY 750.00 PHOTOGRAPHY SERVICES-AQUATIC COMPLEX 03/20/2015 DSRSD 476.72 SERVICE TO 2/28/2015 3,098.84 SERVICE TO 3/14/2015 Check Total: 3,575.56 03/20/2015 DU-ALL SAFETY, LLC 1,750.00 SAFETY CONSULTING SERVICES-FEB 2015 03/20/2015 DUFFIN, GABRIEL 500.00 ST. PATRICK'S FESTIVAL ENTERTAINMENT 03/20/2015 E. MAJDALANI CONSTRUCTION 9,087.50 FALLON SPORTS PARK CONSTRUCTION MGMT 03/20/2015 EAST BAY DIVISION LCC 50.00 EAST BAY DIVISION MEETING EXPENSE-HAUBERT 03/20/2015 ECAM SECURE INC 5,040.00 MAINTENANCE AGREEMENT FOR EAGLE CAMERA 03/20/2015 ECOLAB, INC. 91.14 SENIOR CENTER SUPPLIES 596.56 SHANNON CENTER SUPPLIES Check Total: 687.70 03/20/2015 ENTERPRISE RENT A CAR 1,378.18 POLICE VEHICLE RENTAL 03/20/2015 FIRST CARBON SOLUTIONS 25,100.00 PLANNING SERVICES TO 2/27/15 03/20/2015 FOSS, CHRISTOPHER 120.00 REIMB INSTALLATION INNOVATION FORUM EXPENSE 03/20/2015 GOLDEN STATE WARRIORS 9,955.00 JUNIOR WARRIORS BASKETBALL CAMPS 03/20/2015 IMPRINT WORKS, THE 815.80 EMPLOYEE PROCESS SUPPLIES 03/20/2015 IRON MOUNTAIN 153.92 ACAP TRUST FUND DISBURSEMENT 789.85 OFF-SITE RECORDS STORAGE- MAR 2015 367.86 OFF-SITE TAPE STORAGE-FEB 2015 Check Total: 1,311.63 03/20/2015 KLEIST-CORWIN, JULAINA 386.40 REC CLASS INSTRUCTOR 03/20/2015 LAI &ASSOCIATES 1,147.50 GEOTECHNICAL SVCS FALLON SPORTS PARK 03/20/2015 LANGUAGE LINE SERVICES 9.50 LANGUAGE LINE SERVICES-FEB 2015 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/20/2015 LEXISNEXIS RISK DATA MGMT 288.55 DATABASE SEARCHES- FEB 2015 03/20/2015 LIVERMORE AUTO GROUP 2,518.58 POLICE VEHICLE MAINTENANCE 03/20/2015 MANAGEMENT PARTNERS INC. 8,900.00 DUBLIN ORGANIZATIONAL REVIEW CONSULTING 03/20/2015 MIDSTATE CONSTRUCTION CORP 175.00 ROOFING SITE VISIT 03/20/2015 MINUTEMAN PRESS 111.09 POLICE PROMOTIONAL SUPPLIES 54.50 POLICE PROMOTIONAL SUPPLIES Check Total: 165.59 03/20/2015 NEOPOST 420.00 FOLDING MACHINE MAINTENANCE APR-JUN 2015 03/20/2015 ONE WORKPLACE L. FERRARI LLC 2,426.89 OFFICE FURNITURE 03/20/2015 P G& E 52.65 SERVICE TO 3/10/15 3,476.98 SERVICE TO 3/11/15 Check Total: 3,529.63 03/20/2015 PALMA, MIGUEL 331.10 REFUND CIVIC CENTER DEPOSIT 03/20/2015 PHOENIX GROUP INFO SYS. 105.30 PARKING CITATION PROCESSING-JAN 2015 03/20/2015 POSITIVE COACHING ALLIANCE 490.50 SPORTS TEAM COACHING WORKSHOP BOOKS 03/20/2015 PURSUIT NORTH 909.10 POLICE VEHICLE MAINTENANCE 03/20/2015 RAYNE OF SAN JOSE 409.75 WATER SOFTENING SERVICES-MAR 2015 03/20/2015 RECINOS-SERNA, ROXANNA 43.18 REIMBURSEMENT OFFICE SUPPLIES 03/20/2015 REGIONAL GOVERNMENT SERVICES 3,906.00 TEMPORARY STAFF- RECORDS PROJECT 03/20/2015 SHAMROCK OFFICE SOLUTIONS INC 15.32 COPIES-JAN 2015 03/20/2015 SHREEVE, GREGORY 135.87 REIMB BUILDING OFFICIALS BUSINESS MTG EXPENSE 03/20/2015 SHUMS CODA ASSOCIATES INC 28,160.00 PLAN REVIEW&BLDG INSPECTION SVCS-FEB 2015 03/20/2015 STAPLES ADVANTAGE 4,342.01 OFFICE SUPPLIES-FEB 2015 03/20/2015 STEVENSON, PORTO& PIERCE INC. 19,437.50 PLANNING SERVICES TO 3/6/15 03/20/2015 STONERIDGE CHRYSLER JEEP DODGE 993.28 POLICE VEHICLE MAINTENANCE 03/20/2015 TAYLOR, LORI 148.47 REIMB ADV CRISIS COMMUNICATIONS COURSE EXP 03/20/2015 TERMINIX INTERNATIONAL LP 603.00 PEST CONTROL SERVICE 03/20/2015 THOMSON REUTERS-WEST 92.66 JUVENILE LAW BOOKS 03/20/2015 THRELKELD, JEFF 39.65 REIMBURSE INSPECTOR CERTIFICATE RENEWAL 03/20/2015 TLC INTERIOR PLANT SERVICE 135.00 PLANT SERVICE-MAR 2015 03/20/2015 TRB AND ASSOCIATES, INC. 14,245.00 PLAN REVIEW&BUILDING INSPECTION SVC-FEB 2015 03/20/2015 TREASURER ALAMEDA COUNTY 2,690.00 CRIME LAB SERVICES-JAN 2015 49.13 FINGERPRINT SERVICES- FEB 2015 Check Total: 2,739.13 03/20/2015 TREASURER ALAMEDA COUNTY 1,000.00 POLICE COMPUTER NETWORK SERVICES-JAN 2015 03/20/2015 TREASURER ALAMEDA COUNTY 140.36 PRINTING SERVICES-JAN 2015 Vendor Total: 3,879.49 03/20/2015 TRI-VALLEY COMMUNITY TV 161.60 TROUBLESHOOT AUDIO COUNCIL CHAMBERS 720.77 TELEVISE CITY COUNCIL MEETINGS-FEB 2015 Check Total: 882.37 03/20/2015 TROY GROUP, INC. 420.00 CHECK PRINTER MAINTENANCE 03/20/2015 U.S. POSTAL SERVICE 3,494.56 POSTAGE FOR SUMMER CAMPS &AQUATIC GUIDE 03/20/2015 UNITED STATES TENNIS ASSOC 44.00 MEMBERSHIP-JOCHNER 03/20/2015 VIDEO ONLY 3,056.07 PUBLIC WORKS &CAUCUS ROOM TELEVISIONS 03/20/2015 WESCO GRAPHICS INC 773.31 PRINTING SVCS-COMMUNITY FEEDBACK SURVEY 03/20/2015 WHITE, JOHN 76.00 REIMB INVESTIGATIVE OPERATION SUPPLIES Payments Issued 3/20/2015 Total: 283,099.96 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/25/2015 NEOPOST 4,000.00 REPLENISH POSTAGE METER 03/25/2015 VALLEY LEADERSHIP PRAYER 120.00 VALLEY LEADERSHIP PRAYER BREAKFAST-FOSS Payments Issued 3/25/2015 Total: 4,120.00 03/27/2015 CAL PERS 79,120.50 PERS RETIREMENT PLAN: PE 3/20/15 03/27/2015 CAL PERS HEALTH PREMIUM 157,547.21 HEALTH INSURANCE PREMIUM -APRIL 2015 03/27/2015 DELTA DENTAL OF CALIFORNIA 11,256.75 DELTA DENTAL:APRIL 2015 03/27/2015 EMPLOYMENT DEVELOPMENT DEPT 13,580.01 CA STATE WITHHOLDING: PE 3/20/15 03/27/2015 1 C M A 401 PLAN 1,074.12 DEFERRED COMP 401A: PE 3/20/15 03/27/2015 1 C M A 457 PLAN 23,927.98 DEFERRED COMP 457: PE 3/20/15 03/27/2015 INTERNAL REVENUE SERVICE 51,694.62 FEDERAL WITHHOLDING: PE 3/20/15 03/27/2015 UNUM LIFE INS CO OF AMERICA 10,566.63 LIFE AND AD&D: APRIL 2015 03/27/2015 US BANK- PARS 3,576.08 PARS: PE 3/20/15 03/27/2015 VISION SERVICE PLAN-(CA) 1,176.53 VISION INSURANCE: MARCH 2015 03/27/2015 WAGEWORKS, INC. 2,178.80 WAGEWORKS 2015: PE 3/20/15 Payments Issued 3/27/2015 Total: 355,699.23 03/30/2015 ADVANI, JAMUNA 47.00 REFUND SENIOR CENTER TRIP 03/30/2015 ALAMEDA COUNTY TRAINING CENTER 175.00 EXCEL CLASS REG-BOUDREAU 03/30/2015 AMADOR VALLEY INDUSTRIES LLC 1,208.93 REIMBURSE COMMERCIAL RECYCLING SUPPLIES 03/30/2015 ARAMARK UNIFORM SVC LOCKBOX 32.40 MAT SERVICE-FEB 2015 58.50 MAT SERVICE-JAN 2015 158.11 MAT SERVICE-MAR 2015 Check Total: 249.01 03/30/2015 ARIAS, MARTHA 750.00 REFUND DEPOSIT SHANNON CENTER RENTAL 03/30/2015 AT&T-CALNET 2 1,109.48 SERVICE TO 3/12/15 378.79 SERVICE TO 3/14/15 182.47 SERVICE TO 3/19/15 Check Total: 1,670.74 03/30/2015 BAY ALARM COMPANY 1,421.54 ALARM SERVICES 4/1/15-5/1/15 360.00 ALARM SERVICES-PANIC BUTTON TESTING Check Total: 1,781.54 03/30/2015 BPXPRESS 735.64 FALLON SPORTS PARK PRINTING 03/30/2015 BRIONES, MARILYN 39.00 REFUND SENIOR CENTER TRIP 03/30/2015 BYOG 7,316.09 FUN RUN & LIVE HEALTHY DUBLIN SUPPLIES 03/30/2015 CALBO 215.00 BUILDING OFFICIALS MEMBERSHIP-SHREEVE 03/30/2015 CASTRO VALLEY PERFORMING ARTS 1,772.10 REC CLASS INSTRUCTOR 03/30/2015 CDW GOVERNMENT INC 82.04 COMPUTER EQUIPMENT 03/30/2015 CENTRAL VALLEY TOXICOLOGY 3,195.00 LAB TESTING SERVICES- FEB 2015 03/30/2015 CHINN,AVAYEE 855.00 REC CLASS INSTRUCTOR 03/30/2015 COMCAST 134.02 HERITAGE CENTER INTERNET TO 4/17/15 127.44 SHANNON CENTER INTERNET TO 4/12/15 Check Total: 261.46 03/30/2015 COMMUNICATION ACADEMY 4,025.95 REC CLASS INSTRUCTOR 03/30/2015 CONNAUGHTON, JUDITH 930.00 REC CLASS INSTRUCTOR Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/30/2015 CONTRACT SWEEPING SERVICES 9,895.51 STREET SWEEPING SERVICES-FEB 2015 03/30/2015 COUNTY OF ALAMEDA 12.00 ASSESSOR'S MAPS 03/30/2015 CSG CONSULTANTS INC 18,975.00 ENGINEERING SERVICES TO 1/30/15 03/30/2015 DAHLIN GROUP INC 6,500.00 AQUATIC COMPLEX ARCHITECTURAL DESIGN SVC 03/30/2015 DE SEGUIRANT, LAWRENCE 150.00 SENIOR CENTER LUNCHEON ENTERTAINMENT 03/30/2015 DUBLIN SISTER CITY ASSOCIATION 750.00 REFUND SHANNON DEPOSIT 03/30/2015 DUBLIN TROPHY HOUSE 1,047.49 AWARDS FOR FUN RUN 03/30/2015 DUTCHOVER&ASSOCIATES 11,968.75 PLANNING& ENGINEERING SERVICES-FEB 2015 7,031.25 PLANNING &ENGINEERING SERVICES-JAN 2015 Check Total: 19,000.00 03/30/2015 EAST BAY POOL SERVICE, INC. 2,045.00 POOL CHEMICALS FOR DUBLIN SWIM CENTER 570.00 POOL HEATER REPAIR 1,860.00 SWIM CENTER POOL MAINTENANCE 4,465.00 SWIM CENTER POOL REPAIR Check Total: 8,940.00 03/30/2015 ECS IMAGING INC. 1,500.00 LASERFICHE SERVICES 03/30/2015 FASTSIGNS 172.61 FUN RUN SPONSOR SIGN 03/30/2015 FEHR&PEERS ASSOCIATES INC. 4,441.50 DOWNTOWN TRAFFIC IMPACT FEE UPDATE-FEB 2015 03/30/2015 FORD TIMING 5,398.70 TIMING SERVICES FOR SHAMROCK FUN RUN 03/30/2015 GINN, CARLA 1,050.00 REC CLASS INSTRUCTOR 03/30/2015 HAAG, JERRY P 7,000.00 PLANNING SERVICES TO 3/28/15 03/30/2015 HAGGIN, ERIC 979.20 REC CLASS INSTRUCTOR 03/30/2015 HARRIS&ASSOCIATES 10,330.00 CONSTRUCTION MGMT AQUATIC COMPLEX TO 2/22/15 03/30/2015 HATZIKOKOLAKIS, JACQUI 31.00 MILEAGE REIMBURSEMENT 03/30/2015 IMPRINT WORKS, THE 67.38 COUNCIL FRAME NAME PLATES 03/30/2015 J. S. BUILDING MAINTENANCE 1,860.98 JANITORIAL SERVICES-MAR 2015 03/30/2015 JP JAZZ ENTERTAINMENT GROUP 150.00 SENIOR CENTER LUNCH ENTERTAINMENT 03/30/2015 KARATE 4 KIDS.US 1,173.38 REC CLASS INSTRUCTOR 03/30/2015 KIDZ LOVE SOCCER 8,912.40 REC CLASS INSTRUCTOR 03/30/2015 KIMLEY-HORN AND ASSOC. INC. 1,249.58 2014 CITYWIDE SYNCRO MODEL-FEB 2015 13,880.42 2014 CITYWIDE SYNCRO MODEL-JAN 2015 31,778.40 DOUGHERTY ROAD WIDENING PROJECT-DEC 2014 125,575.51 DOUGHERTY ROAD WIDENING PROJECT-NOV 2014 2,094.45 TRAFFIC SIGNAL INTERVAL STUDY-FEB 2015 Check Total: 174,578.36 03/30/2015 KINDERMUSIK W/MS LINDSAY & 1,728.00 REC CLASS INSTRUCTOR 03/30/2015 MANNING, JAN 1,309.80 REC CLASS INSTRUCTOR 03/30/2015 MCE CORPORATION 289,938.85 MAINTENANCE SERVICES-FEB 2015 03/30/2015 MCPHERSON, LISA 2,991.70 REIMBURSE EMPLOYEE RELOCATION EXPENSE 03/30/2015 MORGAN, CATHERINE SUE 1,632.00 REC CLASS INSTRUCTOR 03/30/2015 MORTENSEN &SON CARPET 200.00 PRESSURE WASH SENIOR CENTER PATIO FURNITURE 03/30/2015 NEXTEL COMMUNICATIONS 175.86 RECREATION CELLPHONES TO 2/23/15 03/30/2015 NIELSEN CONSUMER ACTIVATION 327.00 ANNUAL DEMOGRAPHIC REPORTS 03/30/2015 OTIS ELEVATOR CO., INC. 270.00 ELEVATOR SERVICE-APR 2015 03/30/2015 P G& E 1,016.21 SERVICE TO 3/16/15 203.25 SERVICE TO 3/17/15 27,219.10 SERVICE TO 3/18/15 Check Total: 28,438.56 Print Date: 04/01/2015 City of Dublin Page 1 of 14 Payment Issuance Report Payments Dated 3/1/2015 through 3/31/2015 Date Issued Payee Amount Description 03/30/2015 PRZ CONSULTING 5,500.00 DUBLIN SPORTS FIELDS ASSESSMENT REPORT 03/30/2015 ROBBINS, BEVERLY 39.00 REFUND SENIOR CENTER TRIP 03/30/2015 ROONEY, DOUGLAS 48.88 MILEAGE REIMBURSEMENT-FEB 2015 03/30/2015 S &S WORLDWIDE INC 135.52 RECREATION PROGRAM SUPPLIES 03/30/2015 SENIOR SUPPORT PROGRAM 723.95 COMMUNITY SUPPORT GRANT-FEB 2015 03/30/2015 SHAH, DINAH 2,816.85 REC CLASS INSTRUCTOR 03/30/2015 SNG &ASSOCIATES INC. 39,697.00 ENGINEERING SERVICES- DEC 2014 29,347.00 ENGINEERING SERVICES-JAN 2015 36,898.00 ENGINEERING SERVICES- NOV 2014 Check Total: 105,942.00 03/30/2015 SPECTRUM COMMUNITY SVCS INC. 268.55 COMMUNITY SUPPORT GRANT- FEB 2015 03/30/2015 STEVENSON, PORTO& PIERCE INC. 472.50 ENGINEERING SERVICES TO 2/20/15 03/30/2015 SUMMERHILL HOMES 1,923.91 REFUND DEVELOPER DEPOSIT 03/30/2015 SUMMERSETT, MARIE 39.00 REFUND SENIOR CENTER TRIP 03/30/2015 SWEET AND MELLOW LLC 150.00 REFUND VENDOR FEES 03/30/2015 TERMINIX INTERNATIONAL LP 176.00 PEST CONTROL SERVICE-MAR 2015 03/30/2015 THE FIT POTATO 974.40 REC CLASS INSTRUCTOR 03/30/2015 THE ROASTED CORN 850.00 REFUND FOOD VENDOR DUPLICATE PAYMENT 03/30/2015 TOTAL CONTROL 600.00 SENIOR CENTER HVAC SOFTWARE 03/30/2015 TREASURER ALAMEDA COUNTY 5,933.78 FUEL-FEB 2015 03/30/2015 TREASURER ALAMEDA COUNTY 27,734.26 TRAFFIC SIGNAL/STREET LIGHT MAINT-JAN 2015 16,267.48 TRAFFIC SIGNAL/STREET LIGHT MAINT-DEC 2015 Check Total: 44,001.74 03/30/2015 TRI-VALLEY JANITORIAL INC. 10,953.00 JANITORIAL SERVICES-MAR 2015 1,824.00 ST. PATRICK'S FESTIVAL JANITORIAL SERVICES Check Total: 12,777.00 03/30/2015 TYLER TECHNOLOGIES, INC. 250.00 CASH REGISTER PRINTER REPAIR 03/30/2015 UNITED SITE SERVICES OF CA INC 825.91 DISPOSAL SERVICE-FEB 2015 03/30/2015 VALI COOPER&ASSOCIATES INC 2,100.00 STREET OVERLAY ENGINEERING SERVICES-FEB 2015 3,705.00 PROJECT MGMT DOUGHERTY RD IMPROVEMENTS Check Total: 5,805.00 03/30/2015 VASUDEVAN, PRIYA 2,512.70 REC CLASS INSTRUCTOR 03/30/2015 VERIZON WIRELESS 38.01 PARKS IPAD INTERNET TO 3/10/15 2,131.52 POLICE CELLPHONES TO 3/3/15 Check Total: 2,169.53 03/30/2015 VISION COMMUNICATIONS CO 270.00 FUN RUN RADIO RENTAL 420.00 ST. PATRICK'S FESTIVAL RADIO RENTAL Check Total: 690.00 03/30/2015 WALLACE, LOREY 1,512.00 REC CLASS INSTRUCTOR 03/30/2015 WESCO GRAPHICS INC 4,176.29 CITY REPORT NEWSLETTER PRINTING 03/30/2015 WESTERN PACIFIC SIGNAL LLC 517.75 TRAFFIC SIGNAL CONTROLLER REPAIR 03/30/2015 YOUNG,JEAN 47.00 REFUND SENIOR TRIP Payments Issued 3/30/2015 Total: 837,116.04 Grand Total for Payments Dated 3/1/2015 through 3/31/2015: 6,065,102.44 Total Number of Payments Issued: 394