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HomeMy WebLinkAboutItem 4.3 Check Issuance Report~~~~ Off' nU~~~ /ii ~ 111 L~~ - ~ ~~~ DATE: TO STAFF REPORT CITY CLERK File #330-50 January 17, 2012 Honorable Mayor and City Councilmembers ,. r FROM: Joni Pattillo, City Manager ~~.. SUBJECT: Check Issuance Report and Electronic Funds Transfers, December 2011 Prepared by Barbara Dunning, Accountant EXECUTIVE SUMMARY: The City Council will receive a listing of payments issued from December 1 through December 31, 2011 totaling $9,167,598.73. FINANCIAL IMPACT: SUMMARY OF PAYMENTS ISSUED December 1 through December 31, 2011 Total number of payments: 247 Total amount of payments: $9,167,598.73 RECOMMENDATION: Staff recommends that the City Council receive the report. ~'~ ~" ~. ~. ~a.,a~ 1, ~; ,.~ 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 December 1, 2011 through December 31, 2011. 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 December 2011 Page 1 of 1 ITEM NO. 4.3 Print Date: 01/05/2012 City of Dublin Page 1 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee 12/01/2011 FIDELITY NATIONAL TITLE CO Payments Issued 12/1/2011 Total 12/05/2011 BAY ISLAND OFFICIALASSOC 12/05/2011 BILLINGSLEY, KIM 12/05/2011 CLEARWIRE 12/05/2011 SNG & ASSOCIATES INC. 12/05/2011 STAGES UNLIMITED 12/05/2011 WOOLLY MAMMOTH LODGE Payments Issued 12/5/2011 Total 12/08/2011 CAL ENGINEERING & GEOLOGY INC Check Total: 12/08/2011 HAAG, JERRY P 12/08/2011 LIVERMORE, CITY OF 12/08/2011 RUSHING, KATHLEEN F 12/08/2011 STEVENSON, PORTO & PIERCE INC. Payments Issued 12/8/2011 Total 12/09/2011 ALBANY, CITY OF Payments Issued 12/9/2011 Total Amount Description 26,025.00 FIRST TIME HOME BUYER LOAN #11-04 26,025.00 2,573.00 SPORTS OFFICIALS OCT 2011 84.00 REC CLASS INSTRUCTOR 6,935.36 REFUND PRIVATE DEVELOPMENT ACCT 28,732.00 ENGINEERING SERVICES OCT 2011 1,633.80 EQUIPMENT RENTAL- TREE LIGHTING EVENT 84.00 FUN RUN SERVICES 4U,U4L.'I ti 2,606.25 ENGINEERING SERVICES TO 10/31/2011 702.00 ENGINEERING SERVICES TO 11/30/2011 3,308.25 2,000.00 PLANNING SERVICES NOV 2011 5,427.00 CONTRIB -SHELTER LOAN REPAYMENT 300.00 SPECIAL EVENT SERVICES (MAYORS CONF) 17,175.00 PLANNING SERVICES TO 12/02/11 40.00 MEETING EXPENSE PATTILLO 4U.UU 12/13/2011 FIRST AMERICAN TRUST, FSB 5,508,847.41 CIVIC CENTER SITE EXPANSION Payments Issued 12/13/2011 Total: 5,508,847.41 12/16/2011 925 LACROSSE 250.00 REFUND RENTAL DEPOSIT (SHANNON CTR) 12/16/2011 ABRAMSON, ARIEL 61.98 RECREATION SUPPLIES 12/16/2011 ACCOUNTEMPS 808.45 FINANCE TEMPORARY STAFF W/E 10/25/11 12/16/2011 ACCURATE IMPRESSIONS 121.63 POLICE VOLUNTEER SUPPLIES 12/16/2011 ACTIVE NETWORK LTD, THE 10,165.01 ANNUAL RECREATION SOFTWARE MAINTENANC 12/16/2011 ADS REPROGRAPHICS INC. 463.58 OFFICE SUPPLIES 12/16/2011 ADT SECURITY SERVICES INC 1,089.71 ANNUAL SERVICE 12/1/11-11/30/12 12/16/2011 AIR EXCHANGE INC 1,350.84 EXHAUST SYSTEM MAINTENANCE 12/16/2011 AJILON 1,560.00 POLICE TEMPORARY STAFF W/E 11/13/2011 1,365.00 POLICE TEMPORARY STAFF W/E 11/20/2011 Check Total: 2,925.00 12/16/2011 ALAMEDA COUNTY HOUSING 1,946.00 CONTRIBUTION- HOMELESS INFO SYSTEM 12/16/2011 ALL CITY MANAGEMENT SVCS INC 5,167.68 CROSSING GUARD SERVICES 11/6 - 11/19/11 12/16/2011 AMADOR VALLEY INDUSTRIES LLC 4,600.53 COMMERCIAL RECYCLING OUTREACH 12/16/2011 AMERICAN ASPHALT INC. 477,410.02 ANNUAL SLURRY SEAL TO 9/30/11 Print Date: 01/05/2012 City of Dublin Page 2 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee 12/16/2011 AMERIPRIDE UNIFORM SERVICES Check Total: 12/16/2011 AMY'S ENGRAVED SIGNS & AWARDS Check Total: 12/16/2011 ARROYO, ANEL 12/16/2011 ASSOC ENGINEERING CONSULTANTS 12/16/2011 AT&T - CALNET 2 Check Total: 12/16/2011 AXIS COMMUNITY HEALTH Check Total: 12/16/2011 BALLARD, MITCH 12/16/2011 BAY ALARM COMPANY 12/16/2011 BAY AREA NEWS GROUP 12/16/2011 BAY ISLAND OFFICIALASSOC 12/16/2011 BILLINGSLEY, KIM 12/16/2011 BKF ENGINEERS 12/16/2011 BOOKS-WILLIAMS, LISA MICHELLE 12/16/2011 BUILDING OPPORTUNITIES FOR 12/16/2011 CA MUNI STATISTICS INC. 12/16/2011 CAL ENGINEERING & GEOLOGY INC 12/16/2011 CARDUCCI AND ASSOCIATES INC. 12/16/2011 CDW GOVERNMENT INC 12/16/2011 CERTIFIED TIRE & SERVICE CNTRS 12/16/2011 CESA COASTAL CHAPTER 12/16/2011 CGS GYMNASTIC SERVICES INC 12/16/2011 CHAN, ROSA 12/16/2011 CHINN, AVAYEE 12/16/2011 CINTAS FAS LOCKBOX 636525 12/16/2011 CIVICPLUS 12/16/2011 COIT DRAPERY & CLEANERS 12/16/2011 COMCAST 12/16/2011 CRANFORD, ROBIN 12/16/2011 DAVIS STREET COMMUNITY CENTER 12/16/2011 DEAM, VALERIE 12/16/2011 DENALECTALARM COMPANY Amount Description 72.36 MAT SERVICE AUG 2011 75.86 MAT SERVICE DEC 2011 75.86 MAT SERVICE NOV 2011 72.36 MAT SERVICE SEPT 2011 49.67 SR CENTER MAT & TOWEL SERVICE DEC 2011 47.65 SR CENTER MAT & TOWEL SERVICE JUN 2011 49.67 SR CENTER MAT & TOWEL SERVICE NOV 2011 443.43 54.38 SIGNAGE -CITY MANAGER'S OFFICE 247.14 SIGNAGE -RECREATION & COMM SERVICES 301.52 1,374.72 REC CLASS INSTRUCTOR 31,027.50 ENGINEERING SERVICES TO 11/25/11 71.65 SERVICE TO 11/12/11 378.79 SERVICE TO 11/14/11 177.75 SERVICE TO 11/19/11 232.31 SERVICE TO 11/26/11 140.35 SERVICE TO 11/27/11 1,000.85 2,040.00 CDBG GRANT FUNDING 7/1 - 9/30/11 4,000.00 COMMUNITY GRANT FUNDING 7/1 -10/18/11 6,040.00 500.00 TREE LIGHTING SERVICES 380.67 SERVICE 12/1/11-3/1/12 520.84 LEGAL NOTICES 1,466.00 SPORTS OFFICIALS NOVEMBER 2011 338.40 REC CLASS INSTRUCTOR 7,552.13 ENGINEERING SERVICES TO 10/16/11 117.00 REC CLASS INSTRUCTOR 8,863.85 ACAP TRUST FUND DISBURSEMENT 450.00 CAFR STATISTICAL DATA 1,357.25 DOUGHERTY HILLS SLOPE-DRAIN REPAIR SVC~ 7,000.00 FALCON PARK MASTER PLAN REVIEW 942.36 SOFTWARE PURCHASE 105.98 SENIOR CENTER VAN MAINTENANCE SVCS 77.87 CA EMERGENCY SERVICE MEMBERSHIP-BRADL 502.20 REC CLASS INSTRUCTOR 290.25 SENIOR CENTER CLASS INSTRUCTOR 397.80 REC CLASS INSTRUCTOR 114.74 FIRSTAID SUPPLIES 80.00 CITY WEBSITE SERVICES 880.00 CARPET CLEANING NOV 2011 119.90 INTERNET ACCESS- CIVIC CENTER 2,353.20 REC CLASS INSTRUCTOR 7,500.00 ACAP TRUST FUND DISBURSEMENT 1,387.55 REC CLASS INSTRUCTOR 294.00 QUARTERLY INSPECTION FS18 Print Date: 01/05/2012 City of Dublin Page 3 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee 12/16/2011 DENG, JUN YUAN 12/16/2011 DENNIS, SUSANNEA 12/16/2011 DOCTOR DIESEL 12/16/2011 DSRSD 12/16/2011 DSRSD Check Total: Vendor Total 12/16/2011 DU-ALL SAFETY 12/16/2011 DUBLIN CHEVRON 12/16/2011 DUBLIN TOYOTA 12/16/2011 DUBLIN UNIFIED SCHOOL DISTRICT Check Total: 12/16/2011 DUTCHOVER & ASSOCIATES 12/16/2011 EAST BAY POOL SERVICE 12/16/2011 EDEN I & R INC 12/16/2011 ENTERPRISE RENT-A-CAR 12/16/2011 FARMER, LYNDA 12/16/2011 FAULKNER, ROBIN 12/16/2011 FEDEX 12/16/2011 FESCO 12/16/2011 GAMEZ, AURELIA 12/16/2011 GINN, CARLA 12/16/2011 GLADWELL GOVERNMENTAL SVCS INC Check Total: 12/16/2011 HDL COREN & CONE 12/16/2011 HSBC BUSINESS SOLUTIONS 12/16/2011 HSI, RON 12/16/2011 HUDSON, ANNA 12/16/2011 INTERNATIONAL CODE COUNCIL INC 12/16/2011 INTERNATIONAL CODE COUNCIL INC Vendor Total 12/16/2011 INTERWEST CONSULTING GROUP INC 12/16/2011 INT'LASSN OF ELECTRICAL INSP 12/16/2011 INTOXIMETERS INC 12/16/2011 IRON MOUNTAIN 12/16/2011 JACKMAN, SHARI Check Total: Amount Description 50.00 SENIOR CENTER CLASS INSTRUCTOR 428.40 REC CLASS INSTRUCTOR 2,790.00 ANNUAL DIESEL TANK SERVICE NOV 2011 9,500.00 PASSATEMPO PARK WATER METER 104,429.88 SERVICE TO 11/30/11 199.13 SERVICE TO 11/30/11 492.94 SERVICE TO 11/30/114 .i u~, .i L.i . a~ 1,125.00 SAFETY CONSULTING PROFESSIONAL SVCS 82.09 FUEL PUBLIC WORKS INSP TRUCK 528.67 CITY VEHICLE REPAIR 2,376.00 JANITORIAL SERVICE DEC 2011 2,335.01 STAGER GYM UTILITIES 4,711.01 12,750.00 PLANNING & ENGINEERING SERVICES NOV 201' 1,860.00 SWIM CENTER MAINTENANCE 7,254.60 ACAP TRUST FUND DISBURSEMENT 645.98 POLICE VEHICLE RENTAL 201.00 SENIOR CENTER CLASS INSTRUCTOR 750.00 REFUND RENTAL DEPOSIT (SHANNON CTR) 165.63 EXPRESS MAIL CHARGES NOV 2011 7,454.00 ACAP TRUST FUND DISBURSEMENT 750.00 REFUND RENTAL DEPOSIT (SHANNON CTR) 117.00 REC CLASS INSTRUCTOR 2,574.37 CIVIC CENTER PROJECT-RECORDS MANAGEME 631.71 TRAINING -CITY MANAGERS OFFICE 3,206.08 1,375.00 PROPERTY TAX CONSULTING SVCS Q2 103.21 HOMETOWN HEROES SUPPLIES 351.00 REC CLASS INSTRUCTOR 23.31 MILEAGE REIMBURSEMENT 689.19 BUILDING PUBLICATIONS 50.32 BUILDING PUBLICATIONS 739.51 13,200.00 BUILDING INSPECTION/PLAN CHECK SERVICES 102.00 MEMBERSHIP RENEWAL- SHREEVE 233.41 TESTING EQUIPMENT MAINTENANCE 362.65 ACAP TRUST FUND DISBURSEMENT 380.93 SPECIAL EVENT SUPPLIES 385.15 TREE LIGHTING SUPPLIES 766.08 Print Date: 01/05/2012 City of Dublin Page 4 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee Amount Description 12/16/2011 JAMMAL, LAURA 746.25 EDUCATION REIMBURSEMENT 30.00 EMPLOYEE RECOGNITION DINNER REFUND Check Total: 776.25 12/16/2011 JI, JASMINE 89.00 REFUND REC CLASS 12/16/2011 JORDAN & ASSOCIATES, INC. 1,600.00 LEGISLATIVE SERVICES NOV 2011 12/16/2011 KINDERMUSIC WITH MISS LINDSAY 2,203.20 REC CLASS INSTRUCTOR 12/16/2011 KLEIST, JULAINA 403.20 SENIOR CENTER CLASS INSTRUCTOR 12/16/2011 KROLL FACTUAL DATA CORP 90.75 FIRST TIME HOME BUYER CREDIT REPORTS 12/16/2011 LA FLOR FLORAL CREATIONS 3,245.68 CIVIC CENTER SUPPLIES 12/16/2011 LADNER, JAMES C 225.00 BREAKFAST W/ SANTA SERVICES 175.00 SANTA SERVICES 100.00 TREE LIGHTING SERVICES Check Total: 12/16/2011 LANLOGIC INC. 12/16/2011 LEEDHAM, KAYE 12/16/2011 LEW EDWARDS GROUP, THE 12/16/2011 LIVERMORE RAREFY DAVIDSON 12/16/2011 LUNA, FRANK 12/16/2011 MAGNOLIA WOMEN'S RECOVERY PROG 12/16/2011 MANAGEMENT PARTNERS INC. 12/16/2011 MARTIALARTSAMERICA 12/16/2011 MCE CORPORATION 12/16/2011 MEIN, STEPHANIE 12/16/2011 MERRILL, HOWARD 12/16/2011 MOTTOLA, ANN 12/16/2011 MUNI SERVICES LLC 12/16/2011 NATIONAL ELEVATOR CO INC 12/16/2011 NEOPOST 12/16/2011 NEXTEL COMMUNICATIONS 12/16/2011 NEXTEL COMMUNICATIONS 12/16/2011 NEXTEL COMMUNICATIONS 12/16/2011 O'MAHONY AND MYER, INC. 12/16/2011 ONE WORKPLACE L. FERRARI LLC Check Total: ~uu. uu 1,200.00 NETWORK MAINTENANCE 50.40 SENIOR CENTER ENTERTAINMENT 3,500.00 COMMUNITY ENGAGEMENT SERVICES 104.81 POLICE MOTORCYCLE 10M74 MAINTENANCE 221.95 PETTY CASH REIMBURSEMENT 2,822.92 ACAP TRUST FUND DISBURSEMENT 22,015.00 ACAP TRUST FUND DISBURSEMENT 1,267.20 REC CLASS INSTRUCTOR 254,165.37 MAINTENANCE SERVICES OCT 2011 11,325.82 PAVEMENT REPAIR 497.00 PAVEMENT REPAIR WOODROSE CT 2,236.88 SAND BLASTING FIRE STATION #16 268, 225.07 28.28 ALL AMERICA CITY SIGN 25.00 RECREATION SUPPLIES 328.54 TREE LIGHTING SUPPLIES Check Total: 381.82 13.08 REIMBURSE SR CENTER DRIVER MEAL 2,208.45 REIMBURSE RELOCATION EXPENSES-MOTTOL~ 25.90 TREE LIGHTING SUPPLIES Check Total: 2,234.35 312.40 TRANSIENT OCCUPANCY TAX AUDIT 270.00 SERVICE DEC 2011 143.12 POSTAGE MACHINE SUPPLIES 68.15 SERVICE TO 11/3/11 152.20 SERVICE TO 11/19/11 187.59 SERVICE TO 11/23/11 770.00 CIVIC CENTER GENERATOR TO 10/31/11 18,024.67 CIVIC CENTER FURNITURE Print Date: 01/05/2012 City of Dublin Page 5 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee 12/16/2011 P G & E Check Total: 12/16/2011 PACHECO BROTHERS GARDENING INC 12/16/2011 PAKPOUR CONSULTING GROUP, INC. 12/16/2011 PAPPA, STEVE Check Total: Check Total: Amount Description 802.32 SERVICE TO 10/17/11 1,361.34 SERVICE TO 11/14/11 24,720.89 SERVICE TO 11/16/11 6,333.63 SERVICE TO 11/28/11 4,516.16 SERVICE TO 11/29/11 4,306.73 SERVICE TO 11/7/11 200.48 SERVICE TO 11/8/11 1,360.81 SERVICE TO 11/9/11 3,777.07 SERVICE TO 12/1/11 175.90 SERVICE TO 12/2/11 47,555.33 3,465.00 LANDSCAPE MAINTENANCE DEC 2011 4,940.25 ENGINEERING SERVICES OCT 2011 19,746.56 ENGINEERING SVCS-STREET RESURFACING OC 24,686.81 36.63 MILEAGE REIMBURSEMENT OCT-NOV 17.17 REIMB INFO SVCS SUPPLIES 53.80 870.62 PARK EQUIPMENT 750.00 REFUND RENTAL DEPOSIT (SHANNON CTR) 205.00 PARKING CITATION PROCESSING OCT 2011 335.84 FALCON SPORTS PARK MAINTENANCE 3,548.00 FALCON SPORTS PARK RESTROOM REPAIR 12/16/2011 PBM SUPPLY & MFG., INC. 12/16/2011 PEDROZA, JULIO 12/16/2011 PHOENIX GROUP INFO SYS. 12/16/2011 PUBLIC RESTROOM COMPANY, THE 12/16/2011 PURSUIT NORTH 12/16/2011 RANKIN, PAUL S. 12/16/2011 RAYNE OF SAN JOSE 12/16/2011 ROMERO BROS. 12/16/2011 BOTH STAFFING COMPANIES, L. P. 12/16/2011 RUSHING, KATHLEEN F 12/16/2011 SAFE ALTERNATIVES TO VIOLENT 12/16/2011 SAFEWAY INC 12/16/2011 SANGHERA, RANVIR 12/16/2011 SARAMICS 12/16/2011 SAV ON SUPPLIES 12/16/2011 SELECT IMAGING Check Total: 3,883.84 107.63 POLICE VEHICLE 09D10 SERVICE 275.00 POLICE VEHICLE EQUIPMENT Check Total: 382.63 30.00 EMPLOYEE RECOGNITION DINNER REFUND 409.75 SERVICE DEC 2011 150.00 SENIOR CENTER ENTERTAINMENT 899.92 ADMIN TEMPORARY STAFF W/E 11/13/11 1,283.20 RECORDS MANAGEMENT TEMP W/E 11/06/11 Check Total: 2,183.12 375.00 PRESCHOOL ENTERTAINMENT 6,666.00 ACAP TRUST FUND DISBURSEMENT 26.24 MEETING SUPPLIES 103.80 PRESCHOOL SUPPLIES SHANNON CENTER Check Total: Check Total: 12/16/2011 SENIOR SUPPORT PROGRAM OF THE 12/16/2011 SHAMROCK OFFICE SOLUTIONS INC "I ~iU. U4 60.00 EMPLOYEE RECOGNITION DINNER REFUND 1,128.00 REC CLASS INSTRUCTOR 381.61 MAINTENANCE SUPPLIES-SENIOR CENTER 553.66 ALLAMERICA CITY TREE LIGHTING SUPPLIES 1,382.64 BUSINESS CARDS 1,936.30 970.88 CDBG & SENIOR SUPPORT OCT-NOV 451.54 COLOR COPIES NOV 2011 261.00 PRINTER REPAIR Check Total: 712.54 12/16/2011 SOTO, CAROLINE 47.14 REIMB CITY CLERK CONF EXPENSES Print Date: 01/05/2012 City of Dublin Page 6 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee 12/16/2011 SPECTRUM COMMUNITY SVCS INC. 12/16/2011 STAPLES ADVANTAGE 12/16/2011 SWRCB 12/16/2011 TELEDYNAMIC COMMUNICATIONS INC 12/16/2011 TELEPACIFIC COMMUNICATIONS 12/16/2011 TLC INTERIOR PLANT SERVICE 12/16/2011 TOWNSEND PUBLIC AFFAIRS, INC 12/16/2011 TREASURER ALAMEDA COUNTY 12/16/2011 TREASURER ALAMEDA COUNTY 12/16/2011 TREASURER ALAMEDA COUNTY Check Total: 12/16/2011 TRI VALLEY HOUSING OPPORTUNITY 12/16/2011 TRI-SIGNAL INTEGRATION INC 12/16/2011 TRI-VALLEY JANITORIAL INC. 12/16/2011 UNITED SITE SERVICES OF CA INC 12/16/2011 UNIVERSAL BUILDING SERVICES 12/16/2011 VALENTIN, M. 12/16/2011 WAKEFIELD, ANNA 12/16/2011 WALLACE, LOREY 12/16/2011 WESTERN PACIFIC SIGNAL LLC 12/16/2011 WETHERFORD, HAZEL 12/16/2011 WIGLEY, NANCY 12/16/2011 WILLDAN FINANCIAL SERVICES 12/16/2011 WOMEN ON THE WAY RECOVERY CNTR 12/16/2011 YOUNG REMBRANDTS 12/16/2011 ZUMWALT ENGINEERING GROUP Amount Description 443.00 CDBG MEALS ON WHEELS OCT 2011 5,104.40 OFFICE SUPPLIES NOV 2011 12,131.00 STORM WATER PERMIT FEES FY11/12 3,533.60 FIRE TELEPHONE MAINT 12/1/11-12/1/12 604.00 CIVIC CENTER INTERNET ACCESS DEC 2011 135.00 PLANT SERVICE DEC 2011 4,000.00 ACAP TRUST FUND DISBURSEMENT 1,377.50 PARKING CITATIONS OCT 2011 1,000.00 POLICE NETWORK OCT 2011 21,388.55 SIGNAL & STREET LIGHT MAINT 7/11-8/6/11 16,643.92 SIGNAL & STREET LIGHT MAINT 8/7-9/3/11 38,032.47 6,250.00 COMMUNITY SUPPORT GRANT Q1 449.75 QUARTERLY FIRE ALARM TESTING NOV-JAN 10,963.00 SERVICES NOV 2011 522.38 DISPOSAL SERVICE 11/19-12/16/11 10,469.83 STREET SWEEPING OCT 2011 134.40 SENIOR CENTER CLASS INSTRUCTOR 7.50 SENIOR CENTER INSTRUCTOR 717.60 REC CLASS INSTRUCTOR 348.00 TRAFFIC SIGNAL REPAIR 57.89 MILEAGE REIMBURSEMENT-NOVEMBER 100.80 SENIOR CENTER CLASS INSTRUCTOR 2,405.13 LANDSCAPE & LIGHTING ADMIN DEC 2011 7,698.26 ACAP TRUST FUND DISBURSEMENT 201.60 REC CLASS INSTRUCTOR 19,508.00 ENGINEERING SERVICES NOV 2011 Payments Issued 12/16/2011 Total: 1,272,493.14 12/22/2011 4LEAF INC. 12/22/2011 ACCOUNTEMPS Check Total: 12/22/2011 ALAMEDA CO SURPLUS PROP AUTHOR 12/22/2011 ALEX, ROSEMARY 12/22/2011 ALL CITY MANAGEMENT SVCS INC 12/22/2011 AMADOR VALLEY INDUSTRIES LLC 12/22/2011 AT&T - CALNET 2 Check Total: 75,873.00 BUILDING INSP/PLAN CHECK SERVICES NOV 1,406.00 FINANCE TEMPORARY STAFF W/E 12/2/11 1,080.86 FINANCE TEMPORARY STAFF W/E 12/9/11 2,486.86 14,822.18 DISBURSE TASSAJARA INTERCHANGE FEES 84.37 MILEAGE REIMBURSEMENT 3,076.00 CROSSING GUARD SERVICES 11/20-12/3/11 7,178.05 COMMERCIAL ORGANICS SUBSIDY NOV 2011 1,034.66 RECYCLING ORGANICS SUBSIDY (SCHOOLS) 8,212.71 28.67 SERVICE TO 12/1/11 34.72 SERVICE TO 12/6/11 Check Total: 63.39 12/22/2011 BMI 540.00 OFFICE SUPPLIES Print Date: 01/05/2012 City of Dublin Page 7 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee Amount Description 12/22/2011 BUSINESS CARD 59.90 BROCHURE PRINTING 29.00 CLIPPER CARD-BAKER, CENTENO, PAPPA 43.60 CONFERENCE EXPENSE-WETHERFORD 50.00 COUNCIL OF SHOPPING CENTERS MEMBERSHII 697.59 EMPLOYEE RECOGNITION EVENT SUPPLIES 40.37 EMPLOYEE RECRUITMENT SUPPLIES 7.61 HOLIDAY DECORATIONS 254.44 MEETING SUPPLIES 15.00 OFFICE SUPPLIES 152.73 ONLINE ADVERTISEMENT 104.16 SHOP LOCAL PROGRAM ADVERTISING Check Total: 1,454.40 12/22/2011 BUSINESS CARD 395.00 CONFERENCE EXPENSE-CHAK 149.40 CONFERENCE EXPENSE-LECLAIR 990.00 CONFERENCE EXPENSE-LECLAIR & MCCAFFER Check Total: 1,534.40 12/22/2011 BUSINESS CARD 95.62 MEETING SUPPLIES 12/22/2011 BUSINESS CARD 40.49 HOLIDAY CRAFT SUPPLIES 160.90 HOLIDAY EVENT SUPPLIES 66.88 HOLIDAY TEA SUPPLIES 43.46 KITCHEN EQUIPMENT 184.43 KITCHEN SUPPLIES 65.00 MUNCIPAL MGMNTASSN MEMBERSHIP-FRANKL 49.72 OFFICE SUPPLIES 642.34 POSTAGE 619.74 PROMOTIONAL FLYER Check Total: 1,872.96 12/22/2011 BUSINESS CARD 278.77 EMAILADVERTISING 585.26 HOLIDAY EVENT SUPPLIES 92.42 MEETING SUPPLIES 76.04 OFFICE EQUIPMENT 488.00 PRESCHOOL SUPPLIES 96.49 RECREATION SUPPLIES 112.68 SIGNAGE 35.57 STUDENT UNION SUPPLIES Check Total: 1,765.23 12/22/2011 BUSINESS CARD 176.42 MEETING SUPPLIES 25.00 SHIPPING CONTAINERS Check Total: 201.42 12/22/2011 CACEO 75.00 CA ASSN CODE ENFORCEMENT OFFICERS-BAXI 75.00 CA ASSN CODE ENFORCEMENT OFFICERS-RON Check Total: 150.00 12/22/2011 CARDUCCI AND ASSOCIATES INC. 5,141.20 FALCON SPORTS PARK MASTER PLAN UPDATE 12/22/2011 CDW GOVERNMENT INC 2,284.04 SOFTWARE LICENSES 12/22/2011 CHAK, VICTORIA 59.65 CONFERENCE SUPPLIES 12/22/2011 CHANG SU-O-LIN 626,846.21 DISTRIBUTION EAST SIDE STORM DRAIN FEES 12/22/2011 CHANG SU-O-LIN 308,974.39 FALCON INTERCHANGE FEES COLLECTED 12/22/2011 CHANG SU-O-LIN 23,592.82 DISBURSE TASSAJARA INTERCHANGE FEES Vendor Total: 959,413.42 12/22/2011 CITIES GROUP, THE 5,614.00 WORKERS' COMPENSATION 7/11-12/31/11 Print Date: 01/05/2012 City of Dublin Page 8 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee Amount Description 12/22/2011 CITY CLERKS ASSOCIATION OF CA 235.00 ANNUAL DUES(SOTO, RAMIREZ & MCCAFFERTY 12/22/2011 CLIENTFIRST CONSULTING GROUP 437.50 COMPUTER TECHNICAL SUPPORT 12/22/2011 CPR TRAINING SOLUTIONS 480.00 SAFETY TRAINING NOV 2011 12/22/2011 CREATIVE BUSINESS CONCEPTS 48.25 OFFICE SUPPLIES 12/22/2011 CREATIVE SUPPORTS INC 410.42 OFFICE EQUIPMENT 12/22/2011 D R ACQUISITIONS III LLC 436,566.66 ALLOC FIRE IMPACT FEES -REDUCE CREDITS 12/22/2011 DAPPER TIRE CO INC 1,099.89 TIRES -POLICE VEHICLES 12/22/2011 DEPARTMENT OF JUSTICE 544.00 FINGERPRINT PROCESSING NOV 2011 12/22/2011 DSS CORPORATION 300.00 SOFTWARE MAINTENANCE -CITY CLERK 12/22/2011 DUNBAR ARMORED INC 115.42 ARMORED CAR SERVICE NOV 2011 12/22/2011 ENVIRONMENTAL FORESIGHT INC 1,950.00 PLANNING SERVICES 11/8-12/8/11 12/22/2011 EVOLVE TECHNOLOGY GROUP 200.62 COMPUTER NETWORK SUPPORT 12/22/2011 FALLS, DENA 250.00 REFUND FACILITY DEPOSIT 12/22/2011 INTERNATIONAL CODE COUNCIL INC 50.00 INTERNATIONAL CODE COUNCIL MEMBERSHIP 12/22/2011 IRON MOUNTAIN 307.56 OFFSITE BACK UP TAPE STORAGE NOV 2011 376.34 RECORDS STORAGE OCT 2011 Check Total: 683.90 12/22/2011 J. S. BUILDING MAINTENANCE 1,860.98 JANITORIAL SERVICES NOV 2011 12/22/2011 J.C. NELSON SUPPLY CO 403.84 JANITORIAL SUPPLIES DEC 2011 762.39 JANITORIAL SUPPLIES NOV 2011 Check Total: 1,166.23 12/22/2011 JAM SERVICES INC 1,071.19 TRAFFIC SIGNAL SUPPLIES 12/22/2011 JARVIS, FAY, DOPORTO & GIBBON 25,596.97 ACAP TRUST FUND DISBURSEMENT 7,950.00 ACAP TRUST FUND DISTRIBUTION Check Total: 33,546.97 12/22/2011 LAMORINDA BASEBALL CLUB 250.00 REFUND FIELD RENTAL DEPOSIT 12/22/2011 LEXISNEXIS RISK DATA MGMT 162.95 DATABASE SERVICES NOV 2011 12/22/2011 LINCOLN EQUIPMENT INC 2,126.33 SWIM CENTER CHEMICALS 12/22/2011 LIVERMORE AUTO GROUP 69.95 FORD DEALER PD VEH 05D34 MAINTENANCE 1,259.03 FORD DEALER PD VEH 07D01 MAINTENANCE Check Total: 1,328.98 12/22/2011 MCE CORPORATION 264,531.14 MAINTENANCE SERVICES NOV 2011 12/22/2011 MEYERS NAVE 67,201.24 LEGAL SERVICES DEC 2011 12/22/2011 MOTTOLA, ANN 29.09 HERITAGE CENTER PROGRAM SUPPLIES 12/22/2011 MSSH DEVELOPMENT, LLC 181,515.40 IMPACT FEE RIGHT TO REIMBURSEMENT TIF1 12/22/2011 NCCIPMA-HR 60.00 INTERNATIONAL PUBLIC MGTASSN-CARTER 12/22/2011 NORCAL MUNI HR MGRS GROUP 100.00 CONFERENCE REGISTRATION-CARTER 12/22/2011 O'MAHONY AND MYER, INC. 2,097.50 CIVIC CENTER GENERATOR PROJECT DESIGN 12/22/2011 P G & E 389.24 SERVICE TO 12/1/11 11.12 SERVICE TO 12/12/11 1,682.32 SERVICE TO 12/13/11 14,374.25 SERVICE TO 12/2/11 397.92 SERVICE TO 12/3/11 3,949.08 SERVICE TO 12/8/11 1,659.40 SERVICE TO 12/9/11 Check Total: 22,463.33 12/22/2011 PAGE & MORIS 4,872.51 DUBLIN LIBRARY BUILDING PROGRAM UPDATE Print Date: 01/05/2012 City of Dublin Page 9 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee 12/22/2011 PDR DISTRIBUTION, LLC 12/22/2011 POSITIVE PROMOTIONS INC 12/22/2011 PROFESSIONAL ANDTECHNICAL ENG, LOCAL 21 F 12/22/2011 PSOMAS 12/22/2011 PURSUIT NORTH 12/22/2011 REVEL ENVIRONMENTAL MFG INC. 12/22/2011 BOTH STAFFING COMPANIES, L. P. Check Total 12/22/2011 SAFEWAY INC 12/22/2011 SHRED WORKS, INC. 12/22/2011 SHUMS CODAASSOCIATES INC 12/22/2011 SPECTRUM COMMUNITY SVCS INC. 12/22/2011 SPRINT 12/22/2011 STANDARD PACIFIC 12/22/2011 STUDIO BLUE REPROGRAPHICS 12/22/2011 TECHNICAL INVESTIGATIVE SERV 12/22/2011 TREASURER ALAMEDA COUNTY Check Total: 12/22/2011 TRI VALLEY YOUNG PERFORMERS 12/22/2011 TRIPLE THREAT LAX 12/22/2011 TRI-VALLEY HAVEN, INC 12/22/2011 TYLER TECHNOLOGIES 12/22/2011 UMEH, MARTIN 12/22/2011 UNION BANK, N.A. 12/22/2011 WAGEWORKS, INC. 12/22/2011 WESTERN PACIFIC SIGNAL LLC Check Total: Payments Issued 12/22/2011 Total Amount Description 65.20 REFERENCE BOOK 462.66 SCHOOL & SAFETY PROGRAM 250.00 REFUND FACILITY DEPOSIT 3,240.00 GIS NEEDS ASSESSMENT CONSULTING 65.00 POLICE VEHICLE REPAIR D9D13 1,480.00 STORM DRAIN FILTER CLEANING 934.10 ADMIN TEMPORARY STAFF W/E 11/20/11 721.39 ADMIN TEMPORARY STAFF W/E 11/27/11 1,655.49 75.27 POLICE TRAINING SUPPLIES 700.00 SHREDDING SERVICES 600.00 PLANNING SERVICES NOV 2011 423.00 MEALS ON WHIEELS NOV 2011 96.15 SERVICE TO 12/7/11 18,484.60 IMPACT FEE RIGHT TO REIMBURSEMENT TIF1 1,899.53 ALAMO CANALTRAILPLANS 834.82 CRIME PREVENTION TRAINING 27,241.74 ANIMAL CONTROL FIELD SERVICES FY11-Q1 29,510.63 ANIMAL CONTROL FIELD SERVICES FY11-Q2 56,752.37 855.00 REC CLASS INSTRUCTOR 250.00 REFUND FIELD RENTAL DEPOSIT 1,157.43 COMMUNITY SUPPORT GRANT OCT 69,695.91 ANNUAL SOFTWARE MAINTENANCE-EDEN 250.00 REFUND FACILITY DEPOSIT 875.00 SERVICES TO 12/13/11 459.50 BENEFIT PLAN ADMINISTRATION FEES 350.00 TRAFFIC MANAGEMENT SOFTWARE MAINTENAI 854.09 TRAFFIC SIGNAL EQUIPMENT REPAIR 1.204.09 L,L/4,33"1.3/ 12/28/2011 BUSINESS CARD 110.00 MEMBERSHIP CASOC MUNI FINANCE-RANKIN 63.90 OFFICE SUPPLIES Check Total: 173.90 12/28/2011 BUSINESS CARD 23.82 CONFERENCE EXPENSE-BIDDLE 1,052.94 NCL CONFERENCE EXPENSE-BIDDLE Check Total: 1,076.76 12/28/2011 TREASURER ALAMEDA COUNTY 15,958.74 ANIMAL CONTROL FIELD SERVICES FY11-Q4 12/28/2011 TREASURER ALAMEDA COUNTY 400.00 FINGERPRINT PROCESSING NOV 2011 Vendor Total: 16,358.74 Payments Issued 12/28/2011 Total: 17,609.40 Print Date: 01/05/2012 City of Dublin Page 10 of 10 Payment Issuance Report Payments Dated 12/1/2011 through 1/31/2012 Date Issued Payee Amount Description Grand Total for Payments Dated 12/1/2011 through 1/31/2012: 9,167,598.73 Total Number of Payments Issued: 247