HomeMy WebLinkAboutItem 4.05 Check Issuance Reportor
19 82
/ii � 111
DATE:
TO:
FROM:
SUBJECT
STAFF REPORT
CITY COUNCIL
June 19, 2012
Honorable Mayor and City Councilmembers
Joni Pattillo City Manager""'
Check Issuance Report and Electronic Funds Transfers
Prepared by Veronica Briggs, Finance Technician 11
EXECUTIVE SUMMARY:
CITY CLERK
File #330 -50
The City Council will receive a listing of payments issued from May 1, 2012 — May 31, 2012
totaling $ 7,372,303.60.
FINANCIAL IMPACT:
SUMMARY OF PAYMENTS ISSUED
May 1, 2012 through May 31, 2012
Total Number of Payments: 377
Total Amount of Payments: $7,372,303.60
RECOMMENDATION:
Staff recommends that the City Council receive the report.
Submitted By Reviewed By
Administrative Services Director Assistant City Manager
DESCRIPTION:
The Payment Issuance Report (Attachment 1) provides a listing of all payments for the period
beginning May 1, 2012 through May 31, 2012. 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 May 2012
Page 1 of 1 ITEM NO. 4.5
Print Date: 06/01/2012 City of Dublin
Page 1 of 14 Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued Payee
05/01/2012 BUSINESS CARD
Check Total
05/01/2012 BUSINESS CARD
Check Total
05/01/2012 BUSINESS CARD
Check Total
05/01/2012 BUSINESS CARD
Check Total
05/01/2012 BUSINESS CARD
Check Total
05/01/2012 BUSINESS CARD
Amount Description
243.23 CONFERENCE EXPENSE -SMITH
263.15 CONFERENCE EXPENSE - WETHERFORD
392.06 CSMFO CONFERENCE EXPENSE - RANKIN
399.00 WEBSITE CERTIFICATE RENEWAL
1,297.44
30.00 ALAMEDA COUNTY RECORDER FEES
20.00 AMERICAN PUBLIC WORKS MEETING EXP -SMITH
106.53 CA ECON DEVELOPMENT CONF EXP- L.SMITH
146.61 CA ECON DEVELOPMENT CONF EXP - WETHERFORD
15.00 CLIPPER CARDS
171.56 DEVELOPMENT MEETING EXPENSE
500.00 ECONOMIC DEV MARKETING CAMPAIGN ADS
28.64 ERGONOMIC EQUIPMENT
30.83 MEETING SUPPLIES
65.00 MEMBERSHIP RENEWAL- L.SMITH
65.00 MEMBERSHIP RENEWAL - WETHERFORD
316.53 PRIDE WEEK BROCHURES
352.50 RECRUITMENT ADVERTISING
500.00 RECYCLING CONTEST SUPPLIES
279.76 REUSABLE BAG COMMUNITY PROMOTION
2,627.96
- 450.00 2012 PLANNERS INSTITUTE REG REFUND -BROWN
310.00 AMERICAN PLANNING ASSOC MEMBERSHIP -ADAMS
95.00 AMERICAN PLANNING ASSOC SUBSCRIPTION
995.00 CONSTRUCTION EXAM CERTI FICATION-RECI NOS
175.00 CUSTOMER APPRECIATION DAY SUPPLIES
35.00 INCLUSIONARY HOUSING WORKSHOP - LUCERO
329.94 OFFICE EQUIPMENT
300.00 PERMIT TECHNICIAN TRAINING REG- NELSON
1,789.94
270.01 BUDGET STUDY SESSION SUPPLIES
1,425.55 NATIONAL LEAGUE CITIES CONF - SWALWELL
1.695.56
331.60 LEAGUE OF CA CITIES MEETING EXP - BIDDLE
-25.00 REFUND ANNUAL CARD FEE
306.60
190.90 AFTER SCHOOL REC SUPPLIES
960.98 CA PARKS & REC CONF EXPENSE - HUDSON
1,007.24 CA PARKS & REC CONF EXPENSE -ISLES
457.96 CA PARKS & REC CONF EXPENSE - LICHTENSTEIN
1,004.84 CA PARKS & REC CONF EXPENSE -MACK
686.94 CA PARKS & REC CONF EXPENSE - SANDHOLM
86.99 COMPUTER EQUIPMENT
143.22 EMPLOYEE RECOGNITION
17.24 ONLINE ADVERTISING
258.86 ONLINE MARKETING
286.65 PUBLICART DEDICATION SUPPLIES
52.26 ST PATRICK'S FESTIVAL MEETING SUPPLIES
725.02 ST PATRICK'S FESTIVAL SUPPLIES
- 423.28 ST PATRICK'S FESTIVAL SUPPLIES RETURNED
32.40 TABLECLOTH CLEANING
94.33 TEEN EVENT SUPPLIES
392.77 TEEN JOB FAIR SUPPLIES
Print Date:
06/01/2012
City of Dublin
Page 2 of 14
ALAMEDA COUNTY FLOOD CONTROL
Payment Issuance Report
05/08/2012
ALAMEDA COUNTY LIBRARY SYSTEM
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/08/2012
AMADOR VALLEY INDUSTRIES LLC
Check Total: 5,975.32
05/01/2012
BUSINESS CARD
33.28 AFTER SCHOOL REC SUPPLIES
05/08/2012
AMERIPRIDE UNIFORM SERVICES
160.00 CA PARKS & REC SOCIETY MEMBERSHIP -GAMEZ
86.53 CAMP FLYER PRINTING
218.26 CAMP PARKS EXHIBIT PRINTING
Check Total:
127.99 FUN RUN MARKETING
05/08/2012
AT &T - CALNET 2
365.94 FUN RUN SUPPLIES
271.60 HERITAGE CENTER SIGNS
26.86 HERITAGE CENTER SUPPLIES
40.06 MAY FAIR SUPPLIES
Check Total:
90.00 MMANC CONFERENCE REG- FRANKLIN
05/08/2012
AXIS COMMUNITY HEALTH
34.99 PARADE BANNER
98.00 PRESCHOOL FIELD TRIP FEES
325.50 PRESCHOOL SUPPLIES
746.80 ST PATRICK'S FESTIVAL SUPPLIES
79.67 SWIM CENTER SUPPLIES
Check Total: 2,705.48
05/01/2012
BUSINESS CARD
12.98 ACADEMY SUPPLIES
286.00 CA PROPERTY & EVIDENCE CONF REG - MICHLIG
324.25 MAP BOOKS
108.11 POLICE SUPPLIES
465.42 POLICE UNIFORMS
47.98 PUBLIC FORUM SUPPLIES
Check Total: 1,244.74
05/01/2012
BUSINESS CARD
468.27 LEAGUE OF CITIES CONF EXPENSE - HUISINGH
05/01/2012
CAL PERS
72,432.91 PERS RETIREMENT: PE 4/20/12
05/01/2012
CALPERS
300.00 VALUATION ADMIN FEE
05/01/2012
INTERNAL REVENUE SERVICE
72.89 FEDERAL WITHHOLDING: PE 4/20/12
05/01/2012
STEVEN'S PRINTING
1,310.44 PRINTING SERVICES
05/01/2012
UNION BANK OF CALIF -PARS
108.00 PARS: PE 4/20/12
Payments Issued 5/1/2012 Total: 92,335.55
05/08/2012
ALAMEDA COUNTY CLERK
50.00 NOTICE OF EXEMPTION FILING FEE
05/08/2012
ALAMEDA COUNTY FLOOD CONTROL
402,991.38 ZONE 7 FEES COLLECTED JAN -MAR 2012
05/08/2012
ALAMEDA COUNTY LIBRARY SYSTEM
91,964.50 ADDITIONAL LIBRARY SERVICES JAN -MAR 2012
05/08/2012
ALLIANT INSURANCE SVCS INC
4,516.74 FACILITIES RENTAL INSURANCE
05/08/2012
AMADOR VALLEY INDUSTRIES LLC
1,163.37 RECYCLING ORGANICS SUBSIDY -DUSD -MAR 2012
05/08/2012
AMERICAN SAFETY ACADEMY
137.20 REC CLASS INSTRUCTOR
05/08/2012
AMERIPRIDE UNIFORM SERVICES
75.86 MAT SERVICE APR 2012
151.72 MAT SERVICE JAN 2012
72.36 MAT SERVICE OCT 2011
Check Total:
299.94
05/08/2012
AT &T - CALNET 2
15.64 SERVICE TO 4/10/12
1,019.81 SERVICE TO 4/12/12
480.06 SERVICE TO 4/14/12
355.50 SERVICE TO 4/19/12
Check Total:
1,871.01
05/08/2012
AXIS COMMUNITY HEALTH
2,040.00 COMMUNITY GRANT FUNDING JAN -MAR 2012
Print Date:
Page 3 of 14
06/01/2012 City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/08/2012
BAY ALARM COMPANY
504.00 ALARM SERVICES
177.76 SERVICE MAY -JUL 2012
Check Total: 681.76
05/08/2012
BELLECCI &ASSOCIATES, INC.
13,920.74 DUBLIN BOULEVARD IMPROVEMENTS
05/08/2012
BKF ENGINEERS
6,246.08 ENGINEERING SERVICES TO 11/13/11
05/08/2012
BOURGEOIS, JAIMEE
137.00 ALACO TRANSP COMMISSION MEETING EXPENSE
05/08/2012
BRADLEY, ROGER
6.84 REFUND
05/08/2012
BURKETT, GAYLENE
155.12 MILEAGE REIMBURSEMENT
05/08/2012
CHAK, VICTORIA
81.11 REIMBURSEMENT FOR MEETING SUPPLIES
05/08/2012
CODE PUBLISHING COMPANY
91.00 MUNICIPAL CODE UPDATES
05/08/2012
COMCAST
112.51 HERITAGE PARK INTERNETACCESS
05/08/2012
COMPUCOM
264.27 COMPUTER EQUIPMENT
1,313.55 COMPUTER SOFTWARE MAINTENANCE RENEWAL
Check Total: 1,577.82
05/08/2012
CUNNINGHAM, MARY
111.20 REC CLASS REFUND
05/08/2012
D -PREP, LLC.
786.00 CRIME PREVENTION TRAINING- DELGADO, ADAMS
05/08/2012
ENVIRONMENTAL FORESIGHT INC
950.00 PLANNING SERVICES
05/08/2012
FASTSIGNS
162.31 CAR SHOW BANNER
05/08/2012
FIREMASTER
730.00 FIRE INSPECTION SERVICES
05/08/2012
FRANCHISE TAX BOARD
175.00 SPECIAL WITHHOLDING: PE 4/20/12
05/08/2012
FRANKLIN, RHONDA
48.41 MILEAGE REIMBURSEMENT
05/08/2012
HARPER, CPA &ASSOCIATES, KEVIN W
4,400.00 FEE STUDY PROJECT MANAGEMENT
05/08/2012
HAYWARD RUBBER STAMP CO INC
18.27 OFFICE SUPPLIES
05/08/2012
HSBC BUSINESS SOLUTIONS
385.07 TEEN JOB FAIR SUPPLIES
05/08/2012
HUDSON, ANNA
124.07 REIMB CA PARKS & REC CONFERENCE EXPENSE
05/08/2012
IMPRINT WORKS, THE
3,222.83 DUBLIN PRIDE WEEK SUPPLIES
05/08/2012
ISLES, ELIZABETH
65.38 REIMB CA PARKS & REC CONFERENCE EXPENSE
05/08/2012
J. S. BUILDING MAINTENANCE
1,860.98 JANITORIAL SERVICES APR 2012
05/08/2012
J.C. NELSON SUPPLY CO
179.98 JANITORIAL SUPPLIES APR 2012
05/08/2012
JACKMAN, SHARI
371.03 REIMB PRINTING SERVICES
05/08/2012
JARVIS, FAY, DOPORTO & GIBSON
7,021.75 ACAP TRUST FUND DISBURSEMENT
05/08/2012
JOBSAVAILABLE
262.50 EMPLOYMENT ADVERTISEMENT
05/08/2012
KIMLEY- HORNANDASSOC. INC.
86,350.47 CONSULTING SVCS - DOUGHERTY RD IMPROVEMENT
1,675.50 ENGINEERING SERVICES MAR 2012
Check Total: 88,025.97
05/08/2012
LICHTENSTEIN, HERMA
103.40 REIMB CA PARKS & REC CONFERENCE EXPENSE
05/08/2012
MANAGEMENT PARTNERS INC.
3,231.25 MANAGEMENT CONSULTING
05/08/2012
MCCREARY, PAUL
1,266.13 REIMB CA PARKS & REC CONFERENCE EXPENSE
05/08/2012
MERRILL, HOWARD
18.00 REIMBURSE SR CENTER DRIVER MEAL
05/08/2012
MEYERS NAVE
62,579.78 LEGAL SERVICES TO 4/6/12
05/08/2012
NEXTEL COMMUNICATIONS
105.25 SERVICE TO 3/19/12
05/08/2012
ONE HOUR DELIVERY SERVICE INC
44.80 DELIVERY SERVICE
05/08/2012
OTIS ELEVATOR CO., INC.
270.00 SERVICE MAY 2012
Print Date: 06/01/2012
Page 4 of 14
Date Issued Payee
05/08/2012 P G & E
05/08/2012 P G & E
City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Check Total
05/08/2012
PACHECO BROTHERS GARDENING INC
05/08/2012
PAKPOUR CONSULTING GROUP, INC.
05/08/2012
PURSUIT NORTH
05/08/2012
RECINOS- SERNA, ROXANNA
05/08/2012
ROTH STAFFING COMPANIES, L.P.
05/08/2012
SAV ON SUPPLIES
05/08/2012
SDG ARCHITECTURE & ENGINEERING
05/08/2012
SIGNATURE DEVELOPMENT GROUP
05/08/2012
STEVENSON, PORTO & PIERCE INC.
Check Total
05/08/2012
SWAIN- MEYER, ROSE
05/08/2012
SWRCB
05/08/2012
TASTEFULAFFAIR CATERING, A
05/08/2012
TRI- VALLEY JANITORIAL INC.
05/08/2012
TRUST ACCOUNT OF THE LAW
05/08/2012
TYLER TECHNOLOGIES, INC.
Check Total
05/08/2012 UNIVERSAL BUILDING SERVICES
05/08/2012 VERIZON WIRELESS
Payments Issued 5/8/2012 Total
05/11/2012
CAL PERS
05/11/2012
CALIF STATE DISBURSEMENT UNIT
05/11/2012
EMPLOYMENT DEVELOPMENT DEPT
05/11/2012
1 C M A 401 PLAN
05/11/2012
1 C M A457 PLAN
05/11/2012
INTERNAL REVENUE SERVICE
05/11/2012
UNION BANK OF CALIF -PARS
05/11/2012
WAGEWORKS, INC.
Payments Issued 5/11/2012 Total
Amount Description
1,753.10 POSITANO HILLS PARK PG &E FEES
12.03 SERVICE TO 4/11/12
1,853.72 SERVICE TO 4/12/12
16,606.93 SERVICE TO 4/16/12
18,472.68
3,465.00 LANDSCAPE MAINTENANCE MAR 2012
1,715.44 ENGINEERING SVCS MAR 2012
75.78 POLICE VEHICLE EQUIPMENT
110.00 REIMB INT'L CODE COUNCIL EXAM FEE
520.00 TEMPORARY STAFF RECORDS PROJECT
109.80 MAINTENANCE SUPPLIES
625.00 ARCHITECTURAL DESIGN - FACADE IMPROVEMENT
7,738.86 PRIVATE DEVELOPMENT REFUND
3,998.75 PLANNING SERVICES TO 3/23/12
18,100.00 PLANNING SERVICES TO 4/20/12
22,098.75
750.00 REFUND DEPOSIT - SHANNON CENTER RENTAL
582.00 POSITANO HILLS PARK PERMIT FEES
1,267.21 CATERING FOR TRAINING
11,363.00 SERVICES APR 2012
215,000.00 ACAP TRUST FUND DISBURSEMENT
900.00 EDEN LICENSING TRAINING
375.00 INSTALL SOFTWARE
6,500.00 MODIFICATION OF WEB LICENSING MODULE
900.00 PERMIT MODULE REMOTE TRAINING
b,biS.UU
11,410.27 STREET SWEEPING MAR 2012
114.03 SERVICE TO 4/10/12
1,0099784.79
67,336.12 PERS RETIREMENT: PE 5/4/12
57.44 CHILD SUPPORT: PE 5/4/12
12,392.77 CALIF STATE WITHHOLDING: PE 5/4/12
771.99 DEFERRED COMP 401A: PE 5/4/12
20,716.02 DEFERRED COMP 457: PE 5/4/12
46,990.63 FEDERAL WITHHOLDING: PE 5/4/12
2,298.55 PARS: PE 5/4/12
2,437.43 FLEXIBLE SPENDING PLAN: PE 5/4/12
153,000.95
05/14/2012 4LEAF INC. 96,741.75 BUILDING INSPECTION SERVICES -APR 2012
380.00 CAPITAL IMPROVEMENT PROJECT INSPECTIONS
Check Total: 97,121.75
05/14/2012 AERO JUMP 400.00 SPRING EGGSTRAVAGANZA JUMPERS
05/14/2012 AJA, MARTHA 28.86 MILEAGE REIMBURSEMENT
Print Date:
Page 5 of 14
06/01/2012 City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/14/2012
AMERIPRIDE UNIFORM SERVICES
49.67 MAT & TOWEL SERVICE - SENIOR CENTER
05/14/2012
ARROW FIRE PROTECTION
809.19 FIRE EXTINGUISHER SERVICE
05/14/2012
AT &T - CALNET 2
227.43 SERVICE TO 4/26/12
134.46 SERVICE TO 4/27/12
Check Total: 361.89
05/14/2012
ATKINS, MAUREEN E.
100.00 MAY FAIR ENTERTAINMENT
05/14/2012
BAALMAN, KELLY G
163.20 REC CLASS INSTRUCTOR
05/14/2012
BACKYARD CARNIVALS
450.00 SPRING EGGSTRAVAGANZA RENTALS
05/14/2012
BAHIA ELECTRIC
88,642.54 PARK LIGHTING REPLACEMENT PROJECT
05/14/2012
BAY ALARM COMPANY
334.98 ALARM SERVICES MAY -JUL 2012
05/14/2012
BAY ISLAND OFFICIALASSOC
2,902.00 SPORTS OFFICIALS
05/14/2012
BRADLEY, ROGER
1,315.00 DUBLIN PRIDE WEEK SUPPLIES
05/14/2012
BRANCHCOMB, AMBER
725.00 REFUND DEPOSIT - SHANNON CENTER RENTAL
05/14/2012
BYOG
23.90 MARKETING SUPPLIES
05/14/2012
CALPELRA
350.00 PERSONNEL LABOR ASSN DUES- A.SMITH
05/14/2012
CERTIFIED TIRE & SERVICE CNTRS
62.50 SENIOR CENTER VAN INSPECTION & SERVICE
05/14/2012
CHAN, ROSA
372.00 SENIOR CENTER CLASS INSTRUCTOR
05/14/2012
COIT SERVICES, INC.
555.00 CARPET CLEANING APR 2012
2,145.00 CARPET CLEANING MAY 2012
Check Total: 2,700.00
05/14/2012
COMCAST
127.51 INTERNET ACCESS -CIVIC CENTER
05/14/2012
CRIL
1,287.03 GRANT FUNDING - HOUSING SVCS JAN -MAR 2012
05/14/2012
CROSSWINDS CHURCH
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
DAHLIN GROUP INC
1,300.00 ARCHITECTURAL CONSULTING SVCS -CIVIC
05/14/2012
DENG, JUN YUAN
75.00 SENIOR CENTER INSTRUCTOR
05/14/2012
DEVANE, BRENDAN
640.80 REC CLASS INSTRUCTOR
320.40 REC CLASS INSTUCTOR
Check Total: 961.20
05/14/2012
DHS IRISH GUARD BAND BOOSTERS
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
DOUGHERTY ELEMENTARY PFC
1,000.00 DUSD RECYCLING CONTESTAWARD
05/14/2012
DOUGHERTY ELEMENTARY SCHOOL
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
DRAKE, KATHIE & LARRY
750.00 REFUND DEPOSIT - SHANNON CENTER RENTAL
05/14/2012
DUBLIN HIGH CLASS OF 2012
750.00 REFUND DEPOSIT - SHANNON CENTER RENTAL
05/14/2012
DUBLIN HISTORICAL PRESERVATION
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
DUBLIN UNIFIED SCHOOL DISTRICT
2,376.00 JANITORIAL SERVICES - MAY 2012
05/14/2012
DUTCHOVER &ASSOCIATES
5,525.00 PLANNING & ENGINEERING SERVICES -APR 2012
05/14/2012
ECHO HOUSING
1,472.41 RENTALASST GRANT FUNDING JAN -MAR 2012
05/14/2012
FARMER, LYNDA
124.80 SENIOR CENTER INSTRUCTOR
05/14/2012
FEDEX
468.08 EXPRESS MAIL SERVICE APR 2012
05/14/2012
FEHR & PEERS ASSOCIATES INC.
13,238.25 TRAFFIC ENGINEERING CONSULTING SERVICES
1,010.63 TRAFFIC ENGINEERING SVCS-SILVERA RANCH
Check Total: 14,248.88
05/14/2012
FREDERIKSEN ELEMENTARY PFC
250.00 DUSD RECYLCING CONTESTAWARD
05/14/2012
HAAG, JERRY P
8,500.00 PLANNING SERVICES APR 2012
05/14/2012
HSBC BUSINESS SOLUTIONS
40.98 ST PATRICK'S DAY SUPPLIES
05/14/2012
IMPRINT WORKS, THE
274.43 FARMERS' MARKET BANNER
Print Date:
Page 6 of 14
06/01/2012 City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/14/2012
INSIGHT PUBLIC SECTOR, INC
3,310.91 COMPUTER EQUIPMENT
05/14/2012
JOHN KNOX PRESBYTERIAN CHURCH
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
KING, ARTHUR
59.50 SENIOR CENTER INSTRUCTOR
05/14/2012
KNIGHTS OF COLUMBUS
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
KOHFIELD, JUNE
750.00 REFUND DEPOSIT - SHANNON CENTER RENTAL
05/14/2012
LEARN IT, INC.
1,388.88 MICROSOFT SQL SERVER TRAINING - EISLER
05/14/2012
LITTLE EXPLORER'S PETTING ZOO
341.00 SPRING EGGSTRAVAGANZA PETTING ZOO RENTAL
05/14/2012
LIVERMORE AUTO GROUP
1,114.29 POLICE VEHICLE MAINTENANCE
05/14/2012
MAKE ME A PRO SPORTS
3,286.40 REC CLASS INSTRUCTOR
05/14/2012
MCE CORPORATION
3,815.06 ASPHALT REPAIR - PUBLIC SAFETY COMPLEX
05/14/2012
MEIN, STEPHANIE
4.35 REIMBURSEMENT SPECIAL EVENT SUPPLIES
05/14/2012
MILLAR, DIANE
42.00 REFUND DEPOSIT - EMERALD GLEN PICNIC AREA
05/14/2012
MOTTOLA, ANN
62.06 MILEAGE REIMBURSEMENT
05/14/2012
MURRAY ELEMENTARY PFC
500.00 DUSD RECYCLING CONTESTAWARD
05/14/2012
NEXTEL COMMUNICATIONS
74.60 SERVICE TO 4/19/12
05/14/2012
NEXTEL COMMUNICATIONS
188.40 SERVICE TO 4/19/12
05/14/2012
P G & E
374.23 SERVICE TO 4/25/12
3,749.20 SERVICE TO 4/26/12
3,774.02 SERVICE TO 4/27/12
38.93 SERVICE TO 4/30/12
101.03 SERVICE TO 5/1/12
Check Total: 8,037.41
05/14/2012
PAPPA, STEVE
38.86 MILEAGE REIMBURSEMENT
05/14/2012
PAUL NIEMUTH &ASSOCIATES
950.00 PLANNING SERVICES APR 2012
1,400.00 PLANNING SERVICES FEB -APR 2012
900.00 PLANNING SERVICES JAN -APR 2012
Check Total: 3,250.00
05/14/2012
PHANTOM FIREWORKS
150.00 REFUND 1/2 FIREWORKS APPLICATION FEES
05/14/2012
Q L S PARENTS ASSOC
750.00 REFUND DEPOSIT - SHANNON CENTER RENTAL
05/14/2012
ROCKIN JUMP, DREW
84.00 REC CLASS INSTRUCTOR
05/14/2012
RUSHING, KATHLEEN F
375.00 REC CLASS INSTRUCTOR
05/14/2012
SARMIENTO, JR., ERNESTO
400.00 ALL AMERICAN CAR SHOW ENTERTAINMENT
05/14/2012
SAV ON SUPPLIES
202.23 MAINTENANCE SUPPLIES
05/14/2012
SENIOR SUPPORT PROGRAM
513.22 GRANT FUNDING - MAR 2012
05/14/2012
SIERRA DISPLAY INC
966.00 COMMUNITY BANNERS
05/14/2012
SOUTHERN, KATHY
29.94 REIMBURSEMENT DUBLIN PRIDE WEEK SUPPLIES
328.98 REIMBURSEMENT - DUBLIN PRIDE WEEK SUPPLIES
Check Total: 358.92
05/14/2012
ST RAYMOND SCHOOL
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
ST. RAYMOND CHURCH
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
STEVENSON, PORTO & PIERCE INC.
29,081.55 PLANNING SERVICES
05/14/2012
TLC INTERIOR PLANT SERVICE
135.00 PLANT SERVICE MAY 2012
05/14/2012
UNITED KARATE FEDERATION OF CA
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/14/2012
UNUM LIFE INS CO OFAMERICA
8,611.05 LIFE /DISABILITY INSURANCE MAY 2012
662.69 SUPPLEMENTAL LIFE INSURANCE MAY 2012
Check Total: 9,273.74
Print Date: 06/01/2012
Page 7 of 14
Date Issued Payee
City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
05/14/2012
VALENTIN, M.
05/14/2012
WEISS, ROBIN S.
05/14/2012
WELLS MIDDLE SCHOOL BAND
05/14/2012
WEST STAR ENVIRONMENTAL
05/14/2012
WETHERFORD, HAZEL
05/14/2012
WIGLEY, NANCY
05/14/2012
YOUNG REMBRANDTS
05/17/2012 HERROLD, DEBI -ANN
05/18/2012 CASAOROZCO
Payments Issued 5/14/2012 Total
Payments Issued 5/17/2012 Total
Payments Issued 5/18/2012 Total
Amount Description
124.80 SENIOR CENTER INSTRUCTOR
98.00 SENIOR CENTER INSTRUCTOR
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
128,804.24 CIVIC CENTER GENERATOR EQUIP PURCHASE
304.14 CA SPECIALIZED TRAINING INSTITUTE EXP
140.00 SENIOR CENTER INSTRUCTOR
324.00 REC CLASS INSTRUCTOR
420,237.90
500.00 REFUND CASH COMPLETION BOND
500.00
500.00 REFUND CASH COMPLETION BOND
500.00
05/21/2012
ACCLAIM PRINT & COPY CTR
19.58 PRINTING SERVICES
05/21/2012
ADT SECURITY SERVICES INC
25.00 ALARM INSTALLATION (6363 CLARKAVE)
928.44 SERVICE TO 5/3/12
Check Total:
953.44
05/21/2012
ALAMEDAWASTE MANAGEMENT
16,000.00 USED OIL RECYCLING CAMPAIGN
05/21/2012
ALL CITY MANAGEMENT SVCS INC
5,536.80 CROSSING GUARD SERVICES
05/21/2012
ALL STAR SPORTS
1,364.37 ADULT SPORTS SOFTBALL SUPPLIES
05/21/2012
AMERICAN SAFETY ACADEMY
140.00 REC CLASS INSTRUCTOR
05/21/2012
AMERIPRIDE UNIFORM SERVICES
146.99 MAT & TOWEL SERVICE
05/21/2012
AMY'S ENGRAVED SIGNS &AWARDS
36.16 CHAMBER NAME PLATE - MCCAFFERTY
05/21/2012
ARLEN NESS, INC.
1,383.56 POLICE MOTORCYCLE MAINTENANCE
05/21/2012
ARMENTA MANAGEMENT CONSULTING
130.00 CONSULTING SERVICES - SHANNON PARK
05/21/2012
ARROYO, ANEL
1,386.00 REC CLASS INSTRUCTOR
05/21/2012
ASLA
422.00 LANDSCAPE ARCHITECT DUES - LICHTENSTEIN
05/21/2012
ASSOCIATED ENGINEERING
19,697.50 ENGINEERING SERVICES APR 2012
05/21/2012
AT &T - CALNET 2
0.01 SERVICE TO 4/12/12
28.99 SERVICE TO 4/14/12
15.67 SERVICE TO 4/27/12
28.86 SERVICE TO 5/1/12
Check Total:
73.53
05/21/2012
BALLOON THRILLS
309.94 CUSTOMER APPRECIATION DAY SUPPLIES
05/21/2012
BAY ALARM COMPANY
348.00 ALARM SERVICES
05/21/2012
BILLINGSLEY, KIM
62.40 REC CLASS INSTRUCTOR
05/21/2012
BRADLEY, ROGER
469.14 MILEAGE REIMBURSEMENT
05/21/2012
CAL ENGINEERING & GEOLOGY INC
2,501.25 ENGINEERING SERVICES APR 2012
05/21/2012
CALLANDER ASSOCIATES INC.
11,616.59 LANDSCAPE DESIGN SVCS - PASSATEMPO PARK
05/21/2012
CGS GYMNASTIC SERVICES INC
364.00 REC CLASS INSTRUCTOR
05/21/2012
CHECKERS CATERING
473.23 GENERAL EMPLOYEE MEETING SUPPLIES
05/21/2012
CHRISP COMPANY
30,640.34 STRIPING & MARKING CONTRACT TO 4/21/12
Print Date:
Page 8 of 14
06/01/2012 City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/21/2012
COMCAST
39.23 CABLE SERVICE - SENIOR CENTER
05/21/2012
COMPUCOM
2,025.91 COMPUTER DATABASE SOFTWARE
05/21/2012
DOSAJ, SHASHI
144.00 REC CLASS INSTRUCTOR
05/21/2012
DUBLIN INTEGRITY INACTION
300.00 CITY MEMBERSHIP DUES
05/21/2012
DUBLIN RANCH GOLF COURSE
1,560.00 REC CLASS INSTRUCTOR
05/21/2012
DUBLIN REAL ESTATE, LLC
11,250.00 REFUND PUBLICART IN -LIEU FEE
05/21/2012
DUBLIN TROPHY HOUSE
2,751.38 YOUTH TROPHIES
05/21/2012
DUBLIN UNIFIED SCHOOL DISTRICT
1,014.00 JANITORIAL SERVICES - WELLS GYM
224.78 STAGER GYM UTILITIES FEB / MAR 2012
249.84 TEACHER TRAINING RECYCLING PROGRAM
Check Total: 1,488.62
05/21/2012
DUNBAR ARMORED INC
115.72 ARMORED CAR SERVICE APR 2012
05/21/2012
EAST BAY EDA
840.00 ANNUAL SUBSCRIPTION FOR ECONOVUE DATA
05/21/2012
ENTERPRISE RENT -A -CAR
1,291.96 POLICE VEHICLE RENTAL
05/21/2012
ENVIRONMENTAL FORESIGHT INC
425.00 PLANNING SERVICES
05/21/2012
EVOLVE TECHNOLOGY GROUP
1,886.40 COMPUTER SOFTWARE & SUPPORT
05/21/2012
FRANCHISE TAX BOARD
175.00 EARNINGS WITHHOLDING ORDER: PE 5/4/12
05/21/2012
GILDEA, LIANNE
8.05 MILEAGE REIMBURSEMENT
05/21/2012
GLADWELL GOVERNMENTAL SVCS INC
2,921.49 DEVELOPMENT OF SCANNING RFP
05/21/2012
GOLDEN STATE WARRIORS
9,250.00 JUNIOR WARRIORS UNIFORMS
05/21/2012
HARRIS &ASSOCIATES
6,180.00 PHASE II STORM DRAIN ASSESSMENT
05/21/2012
HAYWARD RUBBER STAMP CO INC
189.14 OFFICE SUPPLIES
05/21/2012
HUDSON, ANNA
38.85 MILEAGE REIMBURSEMENT
05/21/2012
IMPRINT WORKS, THE
519.83 DUBLIN PRIDE WEEK SUPPLIES
05/21/2012
J.C. NELSON SUPPLY CO
146.17 JANITORIAL SUPPLIES MAY 2012
05/21/2012
JAM SERVICES INC
18,064.46 TRAFFIC SIGNAL EQUIPMENT
05/21/2012
JORDAN &ASSOCIATES, INC.
1,600.00 LEGISLATIVE SERVICES CONSULTANT
05/21/2012
LAI &ASSOCIATES
602.68 GEOTECHNICAL SVCS - POSITANO HILLS PARK
05/21/2012
LANGUAGE LINE SERVICES
9.50 LANGUAGE LINE SERVICES APR 2012
05/21/2012
LANLOGIC INC.
786.25 CONSULTANT ASSISTANCE COMPUTER PROJECTS
8,325.00 NETWORK ONSITE SUPPORT
Check Total: 9,111.25
05/21/2012
LIVERMORE AUTO GROUP
702.28 POLICE VEHICLE MAINTENANCE
05/21/2012
LIVERMORE VALLEY FILM
2,500.00 CITY MEMBERSHIP DUES
05/21/2012
MEIN, STEPHANIE
34.84 REIMBURSEMENT SPECIAL EVENT SUPPLIES
05/21/2012
MEYERS NAVE
7,602.80 LEGAL SERVICES
05/21/2012
MINUTEMAN PRESS
1,075.54 SENIOR CENTER NEWSLETTER
05/21/2012
MPA DESIGN
4,560.75 POSITANO HILLS PARK DESIGN SERVICES
05/21/2012
NATIONALASSN OF TOWN WATCH
35.00 MEMBERSHIP DUES CORREA - HERNANDEZ
05/21/2012
NEXTEL COMMUNICATIONS
96.92 SERVICE TO 5/4/12
05/21/2012
OMNI -MEANS LTD
1,300.00 PARKING SURVEYS
05/21/2012
P G & E
3,140.83 SERVICE TO 5/1/12
43.34 SERVICE TO 5/1/2012
Check Total: 3,184.17
Print Date:
Page 9 of 14
06/01/2012 City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/21/2012
PEELLE TECHNOLOGIES INC
81.56 DOCUMENT RETRIEVAL SERVICES
5,235.50 DOCUMENT SCANNING SERVICES
Check Total:
5,317.06
05/21/2012
PHOENIX GROUP INFO SYS.
257.39 PARKING CITATION PROCESSING MAR 2012
05/21/2012
PM2 -SHIR MARTIALARTS, LLC
268.20 REC CLASS INSTRUCTOR
05/21/2012
PUBLIC BENEFIT TECHNOLOGY
415.00 VIDEO ON DEMAND MAR 2012
05/21/2012
PURSUIT NORTH
95.21 POLICE VEHICLE EQUIPMENT
05/21/2012
RAYNE OF SAN JOSE
409.75 SERVICE MAY 2012
05/21/2012
RBF CONSULTING
1,675.30 ENGINEERING SERVICES MAR 2012
05/21/2012
ROSS RECREATION EQUIPMENT CO
391.00 PLAY EQUIPMENT PARTS
05/21/2012
ROTARY CLUB OF DUBLIN, CA
180.00 SUPER STAR AWARDS MEETING - 10 ATTENDEES
05/21/2012
ROTH STAFFING COMPANIES, L.P.
520.00 TEMPORARY STAFF RECORDS PROJECT
05/21/2012
RUIZ, GLORIA
262.50 REC CLASS INSTRUCTOR
05/21/2012
S & S WORLDWIDE INC
595.79 AFTER SCHOOL RECREATION SUPPLIES
05/21/2012
SAFEWAY INC
187.95 POLICE SUPPLIES
05/21/2012
SAV ON SUPPLIES
138.08 MAINTENANCE SUPPLIES
05/21/2012
SAVIOR PLUMBING, INC.
500.00 RELEASE ENCROACHMENT PERMIT BOND
05/21/2012
SHAMROCK OFFICE SOLUTIONS INC
146.81 PRINTER REPAIR
108.74 TONER
Check Total:
255.55
05/21/2012
SNG &ASSOCIATES INC.
24,419.00 ENGINEERING SERVICES FEB 2012
05/21/2012
SPECTRUM COMMUNITY SVCS INC.
424.00 MEALS ON WHEELS APR 2012
05/21/2012
STEVENSON, PORTO & PIERCE INC.
28,650.00 PLANNING SERVICES
05/21/2012
STUDIO BLUE REPROGRAPHICS
91.35 PASSATEMPO PRINTING SERVICES
990.52 POSITANO HILLS PARK PRINTING SERVICES
Check Total:
1,081.87
05/21/2012
TELEPACIFIC COMMUNICATIONS
613.06 CIVIC CENTER INTERNETACCESS
05/21/2012
TNT FIREWORKS, INC.
75.00 REFUND 1/2 FIREWORKS APPLICATION FEE
05/21/2012
TREASURER ALAMEDA COUNTY
2,418.82 POLICE SERVICES AVOID 21 PROGRAM
05/21/2012
TREASURER ALAMEDA COUNTY
2,169.50 PARKING CITATION SURCHARGE - MAR 2012
05/21/2012
TREASURER ALAMEDA COUNTY
1,000.00 POLICE IT NETWORK -MAR 2012
Vendor Total:
5,588.32
05/21/2012
TRI- SIGNAL INTEGRATION INC
323.75 QUARTERLY FIRE ALARM TESTING MAY -JUL
05/21/2012
TRI- VALLEY HAVEN, INC
509.44 COMMUNITY SUPPORT GRANT MAR 2012
657.79 COMMUNITY SUPPORT GRANT -MAR 2012
Check Total:
1,167.23
05/21/2012
TRI- VALLEY JANITORIAL INC.
1,504.99 JANITORIAL SERVICES APR 2012
23.10 JANITORIAL SUPPLIES MAY 2012
Check Total:
1,528.09
05/21/2012
VALLEY WINDOW CLEANING INC
2,625.00 WINDOW CLEANING MAY 2012
05/21/2012
VERIZONWIRELESS
795.43 SERVICE APRIL 2012
05/21/2012
WEST CORPORATION
457.84 ANNUAL MAINTENANCE - DOOR SECURITY SYS
05/21/2012
ZUMWALT ENGINEERING GROUP
14,444.50 ENGINEERING SERVICES APR 2012
Payments Issued 5/21/2012 Total: 281,763.63
Print Date: 06/01/2012 City of Dublin
Page 10 of 14 Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/24/2012
DUBLIN ELEMENTARY SCHOOL PFC
100.00 DUSD RECYCLING CONTESTAWARD
05/24/2012
GREEN ELEMENTARY SCHOOL PFC
100.00 DUSD RECYCLING CONTESTAWARD
05/24/2012
KOLB ELEMENTARY SCHOOL PFC
100.00 DUSD RECYCLING CONTESTAWARD
Payments Issued 5/24/2012 Total:
300.00
05/25/2012
CAL PERS
68,062.22 PERS RETIREMENT: PE 5/18/12
05/25/2012
CALIF STATE DISBURSEMENT UNIT
53.21 CHILD SUPPORT: PE 5/18/12
05/25/2012
EMPLOYMENT DEVELOPMENT DEPT
11,385.12 CALIF STATE WITHHOLDING: PE 5/18/12
05/25/2012
1 C M A401 PLAN
744.90 DEFERRED COMP 401A: PE 5/18/12
05/25/2012
1 C M A457 PLAN
19,298.87 DEFERRED COMP 457: PE 5/18/12
05/25/2012
INTERNAL REVENUE SERVICE
43,726.85 FEDERAL WITHHOLDING: PE 5/18/12
05/25/2012
UNION BANK OF CALIF -PARS
2,506.30 PARS: PE 5/18/12
05/25/2012
WAGEWORKS, INC.
2,437.43 FLEXIBLE SPENDING PLAN: PE 5/18/12
Payments Issued 5/25/2012 Total:
148,214.90
05/29/2012
ABAG PLAN CORPORATION
19.50 INSURANCE CLAIM EXPENSE
05/29/2012
AJILON
3,626.27 TEMPORARY STAFF ASSISTANCE -CIP
05/29/2012
ALAMEDA CO. MAYORS CONFERENCE
50.00 APRIL MEETING EXPENSE
05/29/2012
AMADOR VALLEY INDUSTRIES LLC
7,640.26 COMMERCIAL ORGANICS SUBSIDY -APR 2012
2,344.76 COMMERCIAL RECYCLING DUBLIN PRIDE WEEK
1,277.62 RECYCLING ORGANICS SUBSIDY -DUSD -APR 2012
Check Total:
11,262.64
05/29/2012
AMERIPRIDE UNIFORM SERVICES
75.86 MAT SERVICE 5/7/12
05/29/2012
AMY'S ENGRAVED SIGNS &AWARDS
24.47 CUBICLE SIGNAGE FINANCE -TJENG
125.07 NAME PLATES- CHAK,SOUTHERN
Check Total:
149.54
05/29/2012
ARORA, AKSHAY
7,073.40 REC CLASS INSTRUCTOR
05/29/2012
ARROWHEAD
885.84 WATER APR 2012
05/29/2012
BAY AREA NEWS GROUP
598.36 LEGAL NOTICES
05/29/2012
BELLECCI &ASSOCIATES, INC.
35,669.05 DUBLIN BOULEVARD WIDENING PROJECT DESIGN
05/29/2012
BJ'S RESTAURANTS, INC.
11,532.80 REFUND CONSTRUCTION DEPOSIT
05/29/2012
BONASCH, MARCIA
99.00 REC CLASS REFUND
05/29/2012
BOZZO, TARYN
85.32 EDUCATION REIMBURSEMENT
05/29/2012
BROWN, ROBERT
9.00 REFUND - SENIOR CENTER EVENT
05/29/2012
BROWNELL, LENA
36.00 REFUND - SENIOR CENTER EVENT
05/29/2012
BURGINYON, SHEILA
20.00 REFUND - SENIOR CENTER EVENT
05/29/2012
BUTLER, FRED
20.00 REFUND - SENIOR CENTER EVENT
05/29/2012
CA SURVEYING & DRAFTING SUPPLY
7,830.00 PLOTTER REPLACEMENT
466.48 PLOTTER SUPPLIES
Check Total:
8,296.48
05/29/2012
CDW GOVERNMENT INC
229.42 COMPUTER SOFTWARE
05/29/2012
CHILD CARE LINKS
1,593.34 GRANT FUNDING -APR 2012
05/29/2012
DELL MARKETING L.P.
5,828.99 EMAIL CONTINUITY SERVICE (EMS)
05/29/2012
DEPARTMENT OF JUSTICE
177.00 FINGERPRINT PROCESSING -APR 2012
Print Date:
Page 11 of 14
06/01/2012 City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/29/2012
DSRSD
165.00 ANNUAL INSPECTION SHANNON CENTER
05/29/2012
DSRSD
9,149.46 SERVICE TO 5/14/2012
Vendor Total: 9,314.46
05/29/2012
DU -ALL SAFETY
1,000.00 SAFETY CONSULTING SERVICES APR 2012
05/29/2012
E.R.A. CONSTRUCTION, INC.
73,550.00 CIVIC CENTER GENERATOR INSTALLATION PROJ
05/29/2012
EAST BAY POOL SERVICE, INC.
1,860.00 SWIM CENTER MAINTENANCE
05/29/2012
EMPLOYMENT DEVELOPMENT DEPT
16.60 CALIF STATE WITHHOLDING: PE 6/8/12
05/29/2012
EVOLVE TECHNOLOGY GROUP
3,824.57 NETWORK EQUIPMENT REPLACEMENT
05/29/2012
FEHR & PEERS ASSOCIATES INC.
8,123.38 TRAFFIC ENGINEERING CONSULTING SERVICES
05/29/2012
GANNON, ROSE
38.00 REFUND - SENIOR CENTER EVENT
05/29/2012
HARRIS &ASSOCIATES
5,302.50 ASSESSMENT DISTRICT FEE ADMIN-APR 2012
2,272.50 ASSESSMENT DISTRICT FEE ADMIN -MAR 2012
Check Total: 7,575.00
05/29/2012
HEALY, JEAN
9.00 REFUND - SENIOR CENTER EVENT
05/29/2012
HINDERLITER DE LLAMAS
2,630.25 QUARTERLY SALES TAX &AUDIT SERVICES
05/29/2012
HOUSTON, BARBARA
9.00 REFUND - SENIOR CENTER EVENT
05/29/2012
HUDSON, SARAH
956.40 REC CLASS INSTRUCTOR
05/29/2012
IMPRINT WORKS, THE
978.75 BUSINESS ANNIVERSARY AWARDS PROGRAMS
195.75 SCHOOL RECYCLE CONTEST SUPPLIES
Check Total: 1,174.50
05/29/2012
INTERNAL REVENUE SERVICE
138.36 FEDERAL WITHHOLDING: PE 6/8/12
05/29/2012
INTERWEST CONSULTING GROUP INC
4,125.00 BUILDING INSPECTION /PLAN CHECK SERVICES
05/29/2012
IRON MOUNTAIN
283.99 OFFSITE BACK UP TAPE STORAGE -APR 2012
05/29/2012
ISLES, ELIZABETH
45.01 REIMBURSE HERITAGE CENTER SUPPLIES
05/29/2012
J.C. NELSON SUPPLY CO
707.32 JANITORIAL SUPPLIES
05/29/2012
JARVIS, FAY, DOPORTO & GIBSON
1,943.33 ACAP TRUST FUND DISBURSEMENT
05/29/2012
KIMLEY -HORN ANDASSOC. INC.
58,860.69 DOUGHERTY RD WIDENING PROJECT DESIGN
05/29/2012
KINDERMUSIK W/ MS LINDSAY &
1,620.00 REC CLASS INSTRUCTOR
05/29/2012
KLEIST, JULAINA
336.00 SENIOR CENTER INSTRUCTOR
05/29/2012
LAI &ASSOCIATES
8,617.05 GEOTECHNICAL CONSULTING SVCS-CORP YARD
8,893.80 GEOTECHNICAL PUBLIC SAFETY COMPLEX
Check Total: 17,510.85
05/29/2012
LECLAIR, DEBRA
30.20 MILEAGE REIMBURSEMENT
05/29/2012
LEW EDWARDS GROUP, THE
915.60 COMMUNITY ENGAGEMENT SERVICES
05/29/2012
LINCOLN EQUIPMENT INC
2,930.45 SWIM CENTER CHEMICALS
05/29/2012
MAKE ME A PRO SPORTS
2,256.72 REC CLASS INSTRUCTOR
05/29/2012
MCE CORPORATION
483.02 TREE REMOVAL SERVICE
05/29/2012
MCMICHAEL, PAT
9.00 REFUND - SENIOR CENTER EVENT
05/29/2012
MEIN, STEPHANIE
25.00 REIMBURSEMENT EVENT PLANNING EXPENSE
05/29/2012
MEJORANDO GROUP, THE
555.00 STAFF TRAINING
05/29/2012
MEYERS NAVE
58,347.25 LEGAL SERVICES TO 4/30/12
05/29/2012
NEXTEL COMMUNICATIONS
77.02 SERVICE TO 5/3/12
05/29/2012
O'MAHONYAND MYER, INC.
1,550.00 CIVIC CENTER GENERATOR PROJECT DESIGN
05/29/2012
OMNI -MEANS LTD
2,808.00 DEVELOPMENT PARKING STUDY
Print Date: 06/01/2012 City of Dublin
Page 12 of 14 Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued
Payee
Amount Description
05/29/2012
ORKIN EXTERMINATING INC
968.74 PEST CONTROLAPR 2012
05/29/2012
P G & E
36.29 SERVICE TO 4/12/12
933.23 SERVICE TO 5/1/12
1,150.70 SERVICE TO 5/10/12
23.94 SERVICE TO 5/13/12
2,426.73 SERVICE TO 5/14/12
15.30 SERVICE TO 5/17/12
13,336.76 SERVICE TO 5/2/12
862.71 SERVICE TO 5/3/12
2,229.41 SERVICE TO 5/9/12
Check Total:
21,015.07
05/29/2012
PAKPOUR CONSULTING GROUP, INC.
1,026.38 OVERLAY PROJECT MANAGEMENT APR 2012
05/29/2012
PARS
717.58 ADMINISTRATION & TRUSTEE FEES MAR 2012
05/29/2012
PRIME TIME ENTERTAINMENT INC
2,500.00 FARMERS' MARKET ENTERTAINMENT
05/29/2012
PROVEN MANAGEMENT, INC.
104,969.25 ALAMO CANAL TRAIL UNDERCROSSING PROJECT
05/29/2012
RESIDENCE INN SACRAMENTO
874.80 CRIME PREVENTION TRNG EXP- DELGADO /ADAMS
05/29/2012
S & S WORLDWIDE INC
812.51 AFTER SCHOOL RECREATION SUPPLIES
05/29/2012
SAN RAMON, CITY OF
175.00 TRI- VALLEY COUNCIL MEETING- 5ATTENDEES
05/29/2012
SANTOS, OLIVA
40.00 REFUND - SENIOR CENTER EVENT
05/29/2012
SELECT IMAGING
106.58 BUSINESS CARDS
05/29/2012
SHAH, DINAH
1,922.40 REC CLASS INSTRUCTOR
05/29/2012
SHAMROCK OFFICE SOLUTIONS INC
911.19 COPIES APR 2012
05/29/2012
SHUMS CODAASSOCIATES INC
9,000.00 PLAN REVIEW SERVICES
05/29/2012
SOTO, CAROLINE
373.56 REPLENISH PETTY CASH
05/29/2012
STAPLES ADVANTAGE
4,950.82 OFFICE SUPPLIES APR 2012
05/29/2012
TELEPACIFIC COMMUNICATIONS
793.83 PHONE SERVICES -CIVIC CENTER
05/29/2012
THOMAS, LACHIYA
149.00 REFUND -AFTER SCHOOL REC
05/29/2012
TREASURER ALAMEDA COUNTY
14,897.49 FUEL CHARGES APR 2012
05/29/2012
TREASURER ALAMEDA COUNTY
15,373.76 SIGNAL & STREET LIGHT MAINT -FEB 2012
27,658.42 SIGNAL & STREET LIGHT MAINT -MAR 2012
Check Total:
43,032.18
05/29/2012
TRI VALLEY HOUSING OPPORTUNITY
6,250.00 COMMUNITY SUPPORT GRANT QUARTER 3
05/29/2012
TRI- SIGNAL INTEGRATION INC
126.00 QUARTERLY FIRE ALARM TESTING MAY -JUL 201
05/29/2012
TRI- VALLEY COMMUNITY
1,036.37 TELEVISE COUNCIL MEETINGS APR 2012
05/29/2012
UNION BANK OF CALIF -PARS
73.89 PARS: PE 6/8/12
05/29/2012
UNITED SITE SERVICES OF CAI NC
561.31 DISPOSAL SERVICE MAY 2012
05/29/2012
UNIVERSAL BUILDING SERVICES
1,250.40 STREET SWEEPING MAR 2012
10,319.34 STREET SWEEPING SERVICES
Check Total:
11,569.74
05/29/2012
VALLEY WINDOW CLEANING INC
2,625.00 WINDOW CLEANING MAY 2012
Payments Issued 5/29/2012 Total:
575,529.51
05/31/2012
ALAMEDA COUNTY FIRE DEPARTMENT
2,553,316.00 FIRE SERVICES QTR 3 FISCALYR 2011 -2012
Print Date: 06/01/2012
City of Dublin
Page 13 of 14
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Date Issued Payee
Amount Description
05/31/2012 BUSINESS CARD
616.15 CATRAINING INSTITUTE EXP - WETHERFORD
297.30 PUBLIC INFO OFFICIAL CONF EXP - WETHERFORD
122.08 RETAIL REAL ESTATE CONV EXP - WETHERFORD
122.08 RETAIL REAL ESTATE CONVENTION EXP -SMITH
Check Total: 1,157.61
05/31/2012 BUSINESS CARD
65.00 CLIPPER CARDS
210.11 DUBLIN PRIDE WEEK POSTERS
1,052.72 DUBLIN PRIDE WEEK SUPPLIES
68.27 EAST BAY EDA MEETING SUPPLIES
1,000.00 ECONOMIC DEV MARKETING CAMPAIGN ADS
81.85 ECONOMIC DEVELOPMENT MEETING SUPPLIES
49.99 EMAIL SSL CERTIFICATE RENEWAL
740.54 ERGONOMIC EQUIPMENT
50.00 GREEN BUSINESS PROGRAM PRIZE
150.00 INFORMATION OFFICIAL CONF EXP - WETHERFORD
37.61 INTERVIEW PANEL SUPPLIES
95.00 LEADERSHIP SUMMIT REG - WETHERFORD
215.00 MUNICIPAL CLERKS MEMBERSHIP DUES -SOTO
290.02 OFFICE SUPPLIES
70.00 SIGNATURE SYMPOSIUM REG - WETHERFORD
Check Total: 4,176.11
05/31/2012 BUSINESS CARD
1.00 BUSINESS LICENSE CREDIT CARD TESTING
65.00 MEMBERSHIP DUES (MMANC) - BAKER
61.99 ORAL BOARD MEETING SUPPLIES
87.57 PLANNING BOOK
222.00 PUBLIC SAFETY COURSE REG - BAKER,STEFFEN
Check Total: 437.56
05/31/2012 BUSINESS CARD
303.76 BUDGET STUDY SESSION SUPPLIES
17.73 EMPLOYEE RECOGNITION SUPPLIES
203.39 INTERVIEW PANEL SUPPLIES
Check Total: 524.88
05/31/2012 BUSINESS CARD
36.00 TRI- VALLEY HOUSING MEETING EXP - PATTILLO
05/31/2012 BUSINESS CARD
86.52 CRAFT SUPPLIES
84.65 DELIVERY SERVICE - POSITANO HILLS PARK
13.49 ONLINE MARKETING
385.00 RECREATION LIFEGUARD TRAINING
37.99 SENIOR CENTER DOMAIN NAME ANNUAL RENEWAL
43.46 SENIOR CENTER LUNCHEON SUPPLIES
141.35 SENIOR CENTER SUPPLIES
19.93 VOLUNTEER MEETING SUPPLIES
Check Total: 812.39
05/31/2012 BUSINESS CARD
157.48 CAMP PARKS EXHIBIT PANELS
144.38 EGGSTRAVAGANZA SUPPLIES
15.10 FONT FOR SPECIAL EVENT PUBLICATION
25.64 HERITAGE CENTER ARCHIVING SUPPLIES
527.37 HERITAGE CENTER FRAMED PHOTOS
270.71 HERITAGE CENTER SUPPLIES
57.81 MAY FAIR BANNER
232.18 MAY FAIR SUPPLIES
368.38 ONLINE MARKETING
326.54 OUTDOOR MOVIE NIGHT SUPPLIES
41.50 PUBLICATION STOCK PHOTOS
60.80 SENIOR CENTER ENTERTAINMENT SUPPLIES
76.99 SENIOR CENTER EQUIPMENT REPAIR PARTS
Print Date: 06/01/2012
Page 14 of 14
Date Issued Payee
City of Dublin
Payment Issuance Report
Payments Dated 5/1/2012 through 5/31/2012
Amount Description
Payments Issued 5/31/2012 Total
Grand Total for Payments Dated 5/1/2012 through 5/31/2012
Total Number of Payments Issued: 377
4,690,136.37
7,372,303.60
43.49 SENIOR CENTER SUPPLIES
69.95 SENIOR CENTER VEHICLE REPAIR
964.25 SENIOR CENTER VOLUNTEER SUPPLIES
15.75 SHANNON CENTER SUPPLIES
98.82 SIGNS FOR MAY FAIR
28.08 SPECIAL EVENT COSTUME CLEANING
31.82 SPRING BREAK CAMP SUPPLIES
192.47 SWIM CENTER SUPPLIES
Check Total: 3,749.51
05/31/2012
BUSINESS CARD
477.50 NATIONAL BIKE MONTH SUPPLIES
252.19 NAT'L BIKE MONTH POCKET GUIDE PRINTING
37.97 TRI- VALLEY INVESTMENT MEETING SUPPLIES
190.13 VOLUNTEER APPRECIATION WEEK EXPENSE
Check Total: 957.79
05/31/2012
BUSINESS CARD
200.00 ACCESSIBILITY CODE TRAINING - NAVARRO
581.85 CALTRANS STANDARD PLANS & SPECS
57.00 NATIONAL PUBLIC WORKS WEEK POSTERS
Check Total: 838.85
05/31/2012
CITIES GROUP, THE
2,807.00 QTR 4 WORKERS COMPENSATION PREMIUM
05/31/2012
D -PREP, LLC.
393.00 ENVIRONMENTAL DESIGN COURSE REG- SHREEVE
05/31/2012
FRANCHISE TAX BOARD
175.00 EARNINGS WITHHOLDING ORDER: PE 5/18/12
05/31/2012
PLEASANTON, CITY OF
60,313.77 TVBID FEES COLLECTED JAN -MAR 2012
05/31/2012
RESIDENCE INN SACRAMENTO
291.60 ENVIRONMENTAL DESIGN TRNG EXP- SHREEVE
05/31/2012
SCOTT VALLEY BANK
5,248.46 ESCROW DER ALAMO CANAL TRAIL RETENTION
05/31/2012
TREASURER ALAMEDA COUNTY
2,054,900.84 POLICE SERVICES NOV -DEC 2011
Payments Issued 5/31/2012 Total
Grand Total for Payments Dated 5/1/2012 through 5/31/2012
Total Number of Payments Issued: 377
4,690,136.37
7,372,303.60