HomeMy WebLinkAboutItem 4.09 Check Issuance Reportor
19 82
/ii � 111
DATE:
TO:
STAFF REPORT
CITY COUNCIL
September 16, 2014
Honorable Mayor and City Councilmembers
FROM: Christopher L. Foss, City Manager "
SUBJECT: Check Issuance Report and Electronic Funds Transfers
Prepared by Veronica Briggs, Finance Technician 11
EXECUTIVE SUMMARY:
CITY CLERK
File #300 -40
The City Council will receive a listing of payments issued from August 1, 2014 — August 31,
2014 totaling $7,280,502.13.
FINANCIAL IMPACT:
SUMMARY OF PAYMENTS ISSUED
August 1, 2014 through August 31, 2014
Total Number of Payments: 387
Total Amount of Payments: $7,280,502.13
RECOMMENDATION:
Staff recommends that the City Council receive the report.
Submitted By
Administrative Services Director
DESCRIPTION:
%\ Reviewed By
Assistant City Manager
The Payment Issuance Report (see Attachment 1) provides a listing of all payments for the
period beginning August 1, 2014 through August 31, 2014. The 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 - August 2014
Page 1 of 1 ITEM NO. 4.9
Print Date: 09/03/2014
Page 1 of 14
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Date Issued
Payee
08/01/2014
CAL PERS
08/01/2014
EMPLOYMENT DEVELOPMENT DEPT
08/01/2014
1 C M A 401 PLAN
08/01/2014
1 C M A 457 PLAN
08/01/2014
INTERNAL REVENUE SERVICE
08/01/2014
US BANK- PARS
08/01/2014
WAGEWORKS, INC.
Payments Issued 8/1/2014 Total
08/04/2014
5 -STAR DENT REPAIR
08/04/2014
ALAMEDA CO SURPLUS PROP AUTHOR
08/04/2014
ALIOTTI, ANNA
08/04/2014
ARORA, AKSHAY
08/04/2014
AT &T - CALNET 2
Amount Description
86,592.20 PERS RETIREMENT PLAN: PE 7/25/14
14,336.72 CALIFORNIA STATE WITHHOLDING: PE 7/25/14
1,074.12 DEFERRED COMP 401A: PE 7/25/14
22,709.26 DEFERRED COMP 457: PE 7/25/14
53,850.76 FEDERAL WITHHOLDING: PE 7/25/14
3,910.28 PARS: PE 7/25/14
2,859.14 DEPENDENT CARE- WAGEWORKS: PE 7/25/14
I tfb,SSL.4tf
200.00 POLICE VEHICLE REPAIR
450,346.54 BART GARAGE FEES FY13 -14
531.00 REFUND REC CLASS
10,847.76 REC CLASS INSTRUCTOR
318.65 SERVICE TO 7/14/14
232.42 SERVICE TO 7/19/14
Check Total:
08/04/2014 DAHLIN GROUP INC
Check Total:
08/04/2014 DESTINATION SCIENCE EDUCATION
08/04/2014 DISCOUNT SCHOOL SUPPLY
lLy.10
342,344.12 AQUATIC COMPLEX ARCHITECTURAL DESIGN S
1,817.60 MAINT FACILITY ARCHITECTURAL DESIGN TO 6
344,161.72
798.00 REC CLASS INSTRUCTOR
119.42 CAMP SHAMROCK & CAMP DUBLIN SUPPLIES -J[
Check Total:
551.07
08/04/2014
BALLARD, MITCH
250.00 FARMERS' MARKET SOUND SERVICES
08/04/2014
BAY ALARM COMPANY
1,678.05 ALARM INSTALLATION FEE & SERVICE JULY &
175.09 FIRE STATION ALARM SERVICE AUG -OCT 2014
450.95 HERITAGE CENTERALARM SERVICE 8/1- 11/1/1
369.30 SENIOR CENTER ALARM SERVICE 8/1- 11/1/14
Check Total:
2,673.39
08/04/2014
BAY AREA JUMP
462.60 CAMP ACTIVITY EXPENSE
08/04/2014
BILLINGSLEY, KIM
1,194.00 REC CLASS INSTRUCTOR
08/04/2014
BROWN, MICHELLE
20.00 REIMBURSE BIKE PROGRAM GIFT CARD
08/04/2014
CK ROSS, INC.
1,500.00 SUMMER CONCERT SERIES ENTERTAINMENT
08/04/2014
COIT SERVICES, INC.
405.00 CARPET CLEANING JULY 2014
08/04/2014
COMCAST
122.29 SHANNON CENTER INTERNET AND TV 7/13 -8/12
08/04/2014
COMMUNICATION ACADEMY
1,788.00 REC CLASS INSTRUCTOR
08/04/2014
COOKIES BY DESIGN
37.50 EMPLOYEE RECOGNITION SUPPLIES
08/04/2014
CORWOOD CAR WASH, INC.
1,130.00 POLICE & PUBLIC WORKS CAR WASH SVCSAPF
08/04/2014
CRONIN, MICHELE
614.20 REIMBURSE CONFERENCE EXPENSE
08/04/2014
CROSSROADS SOFTWARE, INC.
1,800.00 COLLISION TRACKING SOFTWARE TRAINING
08/04/2014
CUNNINGHAM, AMY
64.18 MILEAGE REIMBURSEMENT - APRIL2014
34.92 MILEAGE REIMBURSEMENT - JUN 2014
30.06 MILEAGE REIMBURSEMENT - MAY 2014
Check Total:
08/04/2014 DAHLIN GROUP INC
Check Total:
08/04/2014 DESTINATION SCIENCE EDUCATION
08/04/2014 DISCOUNT SCHOOL SUPPLY
lLy.10
342,344.12 AQUATIC COMPLEX ARCHITECTURAL DESIGN S
1,817.60 MAINT FACILITY ARCHITECTURAL DESIGN TO 6
344,161.72
798.00 REC CLASS INSTRUCTOR
119.42 CAMP SHAMROCK & CAMP DUBLIN SUPPLIES -J[
Print Date: 09/03/2014
Page 2 of 14
Date Issued Payee
08/04/2014 DSRSD
08/04/2014 DSRSD
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Check Total:
08/04/2014
DUBLIN CORPORATE CENTER LLC
08/04/2014
DUBLIN UNIFIED SCHOOL DISTRICT
08/04/2014
DURHAM SCHOOL SERVICES, LP
08/04/2014
EAST BAY EDA
08/04/2014
EAST BAY RESTAURANT SUPPLY
08/04/2014
ECOLAB, INC.
08/04/2014 EDGE GYMNASTICS TRAINING CTR
08/04/2014 FASTRAK
08/04/2014 FEHR & PEERS ASSOCIATES INC.
Vendor Total
Check Total:
Check Total:
Check Total:
08/04/2014
FLAG COMPANY, THE
08/04/2014
GINN, CARLA
08/04/2014
GUIDA SURVEYING INC.
08/04/2014
HAAG, JERRY P
08/04/2014
INTERNATIONAL CODE COUNCIL INC
08/04/2014
INTERWEST CONSULTING GROUP INC
08/04/2014
J. S. BUILDING MAINTENANCE
08/04/2014
KARATE 4 KIDS.US
08/04/2014
KING, ARTHUR
08/04/2014
LAI & ASSOCIATES
08/04/2014
LEGAL BRIEFINGS FOR BLDG INSP
08/04/2014
MCE CORPORATION
08/04/2014
MCWILLIAMS, ALYSSA
08/04/2014
NEXT PLAY
08/04/2014
NORCAL MUNI HR MGRS GROUP
08/04/2014
OFFICE TEAM
Amount Description
1,896.87 SERVICE 5/15- 7/14/14
81.72 SERVICE 5/15- 7/14/14, 0
120.26 SERVICE 5/15-7/14/14,13
534.43 SERVICE 5/15- 7/14/14, 36
116.07 SERVICE 5/15- 7/14/14, 4
125.09 SERVICE 5/15- 7/14/14, 6
134.12 SERVICE 5/15- 7/14/14, 8
763.65 SERVICE 5/15- 7/14/14, 80
315.80 SERVICE 5/15- 7/14/14,030
139.50 SERVICE 5/15- 7/14/14,10
1,504.01 SERVICE TO 7/9/14
5,731.52
4,590.68 SERVICE TO 7/14/2014
"I U,322.2u
7,193.61 PARK & RIDE EXPENSES FOR JAN -JUN 2014
1,126.88 STAGER GYM UTILITIES 5/3- 6/3/14
503.26 NATURE DAY CAMP TRANSPORTATION
503.26 NATURE DAY CAMP TRANSPORTATIONI
1,006.52
5,666.76 ANNUAL MEMBERSHIP DUES
358.08 SENIOR CENTER SUPPLIES
641.26 SENIOR CENTER SUPPLIES
203.13 SHANNON CENTER DISHWASHER EQUIPMENT
844.39
651.00 REC CLASS INSTRUCTOR
25.00 SENIOR CENTER VAN FASTRAK REPLENISHMEN
2,241.75 DOWNTOWN TRAFFIC IMPACT FEE UPDATE -JUN
5,624.25 DOWNTOWN TRAFFIC IMPACT FEE UPDATE -MA)
7,866.00
1,512.94 REPLENISH FLAG INVENTORY
528.00 REC CLASS INSTRUCTOR
620.00 ENGINEERING SERVICES 5/11/14- 7/5/14
2,623.20 BIKEWAYS MASTER PLAN UPDATE -JUN 2014
148.13 BUILDING PUBLICATIONS
385.00 PLAN REVIEW & BUILDING INSPECTION SVCS -J
1,860.98 JANITORIAL SERVICES -JULY 2014
1,081.60 REC CLASS INSTRUCTOR
142.80 REC CLASS INSTRUCTOR
908.53 GEOTECHNICAL SVC- SHANNON PARK SPLASH F
99.00 BUILDING INSPECTORS LEGAL BRIEFINGS
444,416.15 MAINTENANCE SERVICES -JUN 2014
120.00 REFUND PRESCHOOL FEES
250.00 REFUND STAGER GYM DEPOSIT
150.00 MUNICIPAL HR MANAGERS GROUP CONF REG
1,128.00 TEMPORARY CLERICAL SUPPORT
Print Date: 09/03/2014
Page 3 of 14
Date Issued Payee
08/04/2014 OMNI -MEANS LTD
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Check Total:
08/04/2014 OTIS ELEVATOR CO., INC.
08/04/2014 P G & E
08/05/2014 GONG, VIVIAN
Payments Issued 8/4/2014 Total
Amount Description
300.00 EAST DUBLIN SPEED SURVEYS -JUN 2014
500.00 VIILLAGE PARKWAY SPEED SURVEY -JUN 2014
800.00
270.00 ELEVATOR SERVICE -AUG 2014
44,841.32 SERVICE OCT 2013 -JUNE 2014
1,599.54 SERVICE TO 7/25/14
6,404.03 SERVICE TO 7/28/14
52,844.89
3,465.00 LANDSCAPE MAINTENANCE -MAY 2014
872.76 ADMIN & TRUSTEE FEES - MAY 2014
7,687.50 PLANNING SERVICES TO 6/30/14
247.00 REFUND REC CLASS
2,070.00 CONTRACTOR PRE - QUALIFICATIONS EMERALD
4,098.75 HOUSING CONSULTING SERVICES TO 6/27/14
13.50 REFUND SWIM LESSONS
400.00 REIMBURSE LANDSCAPE ARCHITECTURE LICEI`
16.00 REFUND REC CLASS
80.00 MEMBERSHIP DUES
534.10 BUSINESS CARDS
7,170.28 COPIER MAINTENANCE FY14 -15
336.00 STREET BANNER INSTALLATION
25,847.00 ENGINEERING SERVICES - JUN 2014
1,550.81 CONCERT SERIES RENTAL EXPENSE
1,783.00 REFUND DEVELOPER DEPOSIT
24,062.50 PLANNING SERVICES TO 7/25/14
474.00 OUTDOOR MOVIE RENTAL FEE
190.00 REFUND REC CLASS
19,524.14 TRAFFIC SIGNAL /STREET LIGHT MAINT - JUNE
832.68 ANNUAL MEMBERSHIP 2014 -15
266.07 BUILDING /PLANNING CELLPHONES TO 7/10/14
2,500.00 ANNUAL MEMBERSHIP RENEWAL
517.25 FLEXIBLE SPENDING ACCOUNT FEES -JUL 201
50.88 MARKING PAINT FOR 2014 SLURRY SEAL PROGI
1,41 9,ZZU.b3
40,000.00 CLAIM SETTLEMENT
Payments Issued 8/5/2014 Total: 40,000.00
Check Total:
08/04/2014
PACHECO BROTHERS GARDENING INC
08/04/2014
PARS
08/04/2014
PAUL NIEMUTH & ASSOCIATES
08/04/2014
PIERCE, CECELIA
08/04/2014
PMA CONSULTANTS LLC
08/04/2014
PMC
08/04/2014
RACHMAN, FARRAH
08/04/2014
ROONEY, DOUGLAS
08/04/2014
RUBINO, SYLVIA
08/04/2014
SCAN C/O CITY OF TORRANCE
08/04/2014
SELECT IMAGING
08/04/2014
SHAMROCK OFFICE SOLUTIONS INC
08/04/2014
SIERRA DISPLAY INC
08/04/2014
SNG & ASSOCIATES INC.
08/04/2014
SPECIAL EVENTS
08/04/2014
STEVE PETERSON, AD ART SIGN CO
08/04/2014
STEVENSON, PORTO & PIERCE INC.
08/04/2014
SWANK MOTION PICTURES INC
08/04/2014
TEND, HELEN
08/04/2014
TREASURER ALAMEDA COUNTY
08/04/2014
UNDERGROUND SERVICE ALERT
08/04/2014
VERIZON WIRELESS
08/04/2014
VISIT TRI- VALLEY
08/04/2014
WAGEWORKS, INC.
08/04/2014
WHITE CAP CONSTRUCTION SUPPLY
08/05/2014 GONG, VIVIAN
Payments Issued 8/4/2014 Total
Amount Description
300.00 EAST DUBLIN SPEED SURVEYS -JUN 2014
500.00 VIILLAGE PARKWAY SPEED SURVEY -JUN 2014
800.00
270.00 ELEVATOR SERVICE -AUG 2014
44,841.32 SERVICE OCT 2013 -JUNE 2014
1,599.54 SERVICE TO 7/25/14
6,404.03 SERVICE TO 7/28/14
52,844.89
3,465.00 LANDSCAPE MAINTENANCE -MAY 2014
872.76 ADMIN & TRUSTEE FEES - MAY 2014
7,687.50 PLANNING SERVICES TO 6/30/14
247.00 REFUND REC CLASS
2,070.00 CONTRACTOR PRE - QUALIFICATIONS EMERALD
4,098.75 HOUSING CONSULTING SERVICES TO 6/27/14
13.50 REFUND SWIM LESSONS
400.00 REIMBURSE LANDSCAPE ARCHITECTURE LICEI`
16.00 REFUND REC CLASS
80.00 MEMBERSHIP DUES
534.10 BUSINESS CARDS
7,170.28 COPIER MAINTENANCE FY14 -15
336.00 STREET BANNER INSTALLATION
25,847.00 ENGINEERING SERVICES - JUN 2014
1,550.81 CONCERT SERIES RENTAL EXPENSE
1,783.00 REFUND DEVELOPER DEPOSIT
24,062.50 PLANNING SERVICES TO 7/25/14
474.00 OUTDOOR MOVIE RENTAL FEE
190.00 REFUND REC CLASS
19,524.14 TRAFFIC SIGNAL /STREET LIGHT MAINT - JUNE
832.68 ANNUAL MEMBERSHIP 2014 -15
266.07 BUILDING /PLANNING CELLPHONES TO 7/10/14
2,500.00 ANNUAL MEMBERSHIP RENEWAL
517.25 FLEXIBLE SPENDING ACCOUNT FEES -JUL 201
50.88 MARKING PAINT FOR 2014 SLURRY SEAL PROGI
1,41 9,ZZU.b3
40,000.00 CLAIM SETTLEMENT
Payments Issued 8/5/2014 Total: 40,000.00
Print Date: 09/03/2014
Page 4 of 14
Date Issued Payee
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
08/07/2014 U.S. BANK CORPORATE PMT SYSTEM
Check Total:
08/07/2014 UNUM LIFE INS CO OF AMERICA
Payments Issued 8/7/2014 Total
08/11/2014 A -1 ENTERPRISES
08/11/2014 ABAG PLAN CORPORATION
08/11/2014 ACKERLY ENTERTAINMENT
08/11/2014
AJA, MARTHA
08/11/2014
ALAMEDA CO SURPLUS PROP AUTHOR
08/11/2014
ALAMEDA COUNTY FIRE DEPARTMENT
08/11/2014
ALAMEDA COUNTY LIBRARY
08/11/2014
ALAMEDA COUNTY TRANSPORTATION
08/11/2014
ALL CITY MANAGEMENT SVCS INC
Check Total:
Amount Description
10.89 AFTER SCHOOL REC SUPPLIES
1,318.92 AMERICAN PLANNING ASSN CONF REG- BAKER,
1,098.87 AMERICANS FOR THE ARTS CONFERENCE EXPI
208.09 BATTERY
486.15 CHARLES EDSON TAX EXCELLENCE AWARDS E.
310.52 COMPUTER & OFFICE SUPPLIES
3,525.56 DUBLIN PRIDE WEEK & SCHOOL CONTEST PRIZ
1,103.98 EMPLOYEE TRAINING SUPPLIES
243.00 ESRI USER CONFERENCE EXPENSE
1,632.78 EXECUTIVE TEAM MEETING & WELLNESS SUPP
139.03 FARMERS' MARKET SUPPLIES
342.67 HERITAGE CENTER SUPPLIES
4,335.86 ICMA MEMBERSHIP & CONFERENCE REG
196.82 JOINT HUMAN SERVICES COMMISSION WORKSI
1,455.61 KIDS INACTION SUPPLIES
422.27 LIVE HEALTHY DUBLIN AWARDS
819.65 MEMBERSHIP DUES & OFFICE SUPPLIES
240.87 NAT'L REC &PARK ASSN CONFERENCE EXP -CR
1,781.69 PRESCHOOL& RECREATION SUPPLIES
113.35 PRINTER SUPPLIES
631.05 RECREATION SUPPLIES
382.55 RECRUITMENT AD FOR RECREATION SUPERVIS
371.68 RIBBON CUTTING SUPPLIES
417.99 SECURITY CERTIFICATE RENEWAL -CIVIC WI -FI
1,104.37 SENIOR CENTER EQUIPMENT & SUPPLIES
810.90 SENIOR CENTER LUNCHEON SUPPLIES
447.00 SOCIETY OF LANDSCAPE ARCHITECTS MEMBEF
35.15 SPECIAL EVENT SUPPLIES
475.15 SPLATTER EVENT BROCHURES
284.36 SPLATTER EVENT MAILING SUPPLIES
18.00 TRANSPORTATION COMMISSION MEETING EXPI
171.18 TRANSPORTATION EXPENSE TO MEETING
22.00 WATER BOARD MEETING EXPENSE
24,957.96
11,128.84 LIFE INSURANCE PREMIUM - AUGUST 2014
36,086.80
116.46 MARTIN CREEK TOILET RENTAL -JUN 2014
1,805.16 INSURANCE CLAIMS EXPENSE
750.00 FARMERS' MARKET ENTERTAINMENT
145.94 MILEAGE REIMBURSEMENT - JAN -JUN 2014
81,166.48 DISBURSE TASSAJARA INTERCHANGE FEES
860,212.95 FIRE SERVICES - JUNE 2014
102,250.75 ADDITIONAL LIBRARY SERVICES APR -JUN 2014
23,712.00 FY14 -15 MEMBERSHIP FEE
276.84 CROSSING GUARD SERVICES 6/22/14- 6/30/14
150.84 CROSSING GUARD SERVICES 7/1/14- 7/5/14
502.80 CROSSING GUARD SERVICES 7/6/14- 7/19/14
930.48
08/11/2014 AMP PRINTING 2,393.38 PRINTING SERVICES
Print Date: 09/03/2014
Page 5 of 14
Date Issued Payee
08/11/2014 AT &T - CALNET 2
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
08/11/2014
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
BAY AREA NEWS GROUP
BELLECCI & ASSOCIATES, INC.
BIG O TIRES #7
BKF ENGINEERS
BSN SPORTS, INC.
BYOG
Amount Description
50.79 SERVICE TO 6/27/14
227.71 SERVICE TO 7/26/14
102.36 SERVICE TO 7/27/14
Check Total: 380.86
1,363.06 LEGAL NOTICES - JUN 2014
25,448.16 DUBLIN BLVD WIDENING DESIGN PROJECT
454.80 POLICE VEHICLE MAINTENANCE
1,168.85 SURVEYING SERVICES - DUBLIN PIONEER CEME'
391.46 SPORTS EQUIPMENT
597.01 BASKETBALL SHIRTS
232.48 BOCCE SHIRTS
661.96 SOFTBALL SHIRTS
264.33 STAFF HATS
Check Total:
CALERO SOFTWARE LLC
CAPITAL ONE COMMERCIAL
CENTRAL VALLEY TOXICOLOGY
CGS GYMNASTIC SERVICES INC
CHANG SU -O -LIN
COMMUNICATION ACADEMY
COPWARE, INC
COSTA, TRISH
DEAM, VALERIE
DOUGHERTY ELEMENTARY PFC
DSRSD
DUBLIN 4 -H CLUB
DUBLIN ELEMENTARY SCHOOL
DUBLIN GREEN GATORS SWIM TEAM
DUBLIN HIGH CLASS OF 2015
DUBLIN HIGH SCHOOL LEADERSHIP
DUBLIN HIGH WOMEN'S LACROSE
DUBLIN ICELAND INC.
DUBLIN UNIFIED SCHOOL DISTRICT
EAST BAY POOL SERVICE, INC.
Check Total:
ELI FEGUARD INC
EMPLOYMENT DEVELOPMENT DEPT
ENTERPRISE RENT A CAR
FEHR & PEERS ASSOCIATES INC.
FREDERIKSEN ELEMENTARY PARENTS
GINN, CARLA
GOLDEN STATE WARRIORS
GREEN ELEMENTARY SCHOOL
HAAG, JERRY P
HORIZON COMMUNICATIONS
-i,i55.io
242.00 MAINTENANCE RENEWAL PHONE SYSTEM COM
474.55 SHANNON CENTER SUPPLIES
1,336.00 LAB TESTING SERVICES - MAY 2014
705.60 REC CLASS INSTRUCTOR
129,194.67 DISBURSE TASSAJARA INTERCHANGE FEES
3,696.00 REC CLASS INSTRUCTOR
85.00 FY2015 LEGAL SOURCEBOOK RENEWAL
180.00 REFUND PRESCHOOL FEES
979.20 REC CLASS INSTRUCTOR
200.00 FUN RUN VOLUNTEER HOURS
16.50 GREASE TRAP INTERCEPTORS INSPECTION FE
159.25 FUN RUN VOLUNTEER HOURS
400.00 FUN RUN VOLUNTEER HOURS
465.50 FUN RUN VOLUNTEER HOURS
141.75 FUN RUN VOLUNTEER HOURS
57.75 FUN RUN VOLUNTEER HOURS
614.25 FUN RUN VOLUNTEER HOURS
720.00 REC CLASS INSTRUCTOR
48,758.00 DHS TENNIS COMPLEX RENOVATION PROJ REM
5,755.00 SWIM CENTER POOL MAINTENANCE -JUN 2014
2,665.60 SWIM CENTER POOL MAINTENANCE -MAY 2014
8,420.60
247.79 LIFEGUARD EQUIPMENT
915.00 SIU REIMBURSEMENT APR - JUN 2014
2,180.32 POLICE VEHICLE RENTAL
2,279.52 BIKEWAYS MASTER PLAN UPDATE CONSULTINC
150.00 FUN RUN VOLUNTEER HOURS
576.00 REC CLASS INSTRUCTOR
825.00 JUNIOR WARRIORS UNIFORMS
300.00 FUN RUN VOLUNTEER HOURS
250.00 FALLON SPORTS PARK CEQA INITIAL STUDY
7,889.88 TELECOMMUNICATIONS DATA PACKAGE
Print Date: 09/03/2014
Page 6 of 14
Date Issued Payee
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
08/11/2014
INCREDIFLIX, INC, ATTN: TOBIN
08/11/2014
JOB'S DAUGHTERS
08/11/2014
KIMLEY -HORN AND ASSOC. INC.
08/11/2014
KINDERMUSIK W/ MS LINDSAY &
08/11/2014
KOLB ELEMENTARY SCHOOL
08/11/2014
LANGUAGE LINE SERVICES
08/11/2014
LESLIE'S POOLMART, INC.
08/11/2014
LINCOLN AQUATICS INC
Check Total:
08/11/2014
LING, KAE
08/11/2014
MCINTOSH, JANE
08/11/2014
MEYERS NAVE
08/11/2014
MURRAY SCHOOL PFC
08/11/2014
NATIONALAQUATIC SAFETY CO LLC
08/11/2014
NEIGHBORHOOD SIGN STORE, THE
08/11/2014
OAKLAND AMATEUR SOFTBALL ASSN
08/11/2014
P G & E
Check Total:
08/11/2014 PAKPOUR CONSULTING GROUP, INC.
08/11/2014 PAVAO ELECTRIC
08/11/2014 PLEASANTON, CITY OF
Check Total:
08/11/2014
PYRO SPECTACULARS NORTH, INC
08/11/2014
RAINBOW CHEFS, INC.
08/11/2014
RBF CONSULTING
08/11/2014
REGIONAL GOVERNMENT SERVICES
08/11/2014
SDG ARCHITECTURE & ENGINEERING
08/11/2014
SELECT IMAGING
Check Total:
08/11/2014
SHIR MARTIALARTS, LLC
08/11/2014
ST. RAYMOND'S ELEMENTARY PFC
08/11/2014
STALLER, GLENN
08/11/2014
STONERIDGE CHRYSLER JEEP DODGE
08/11/2014
SWENSON, SANDRA
08/11/2014
TERMINIX INTERNATIONAL LP
08/11/2014
TJ KRISTI CORPORATION
Amount Description
3,912.00 REC CLASS INSTRUCTOR
194.25 FUN RUN VOLUNTEER HOURS
192,867.12 DOUGHERTY ROAD WIDENING PROJECT
1,846.80 REC CLASS INSTRUCTOR
100.00 FUN RUN VOLUNTEER HOURS
2,211.11 LANGUAGE TRANSLATION SERVICES
240.34 POOL CHEMICALS
3,190.44 LIFEGUARD STAND REPLACEMENT PARTS
739.02 POOL EQUIPMENT
156.56 SHANNON CENTER WATERPLAY CHEMICALS
4,687.66 SWIM CENTER CHEMICALS
8,773.68
240.00 REFUND PRESCHOOL FEES
576.00 REC CLASS INSTRUCTOR
72,045.30 LEGAL SERVICES TO 6/30/14
250.00 FUN RUN VOLUNTEER HOURS
1,745.98 LIFEGUARD AUDIT 6/27/14
421.50 POLICE PROMOTIONAL SUPPLIES
190.00 SOFTBALL MEMBERSHIPS
8,921.26 SERVICE TO 7/17/14
5,963.07 SERVICE TO 7/29/14
286.75 SERVICE TO 7/31/14
1,939.56 SERVICE TO 8/1/14
48,931.29 SERVICE TO 8/3/14
5,242.96 SERVICE TO 8/4/14
71,284.89
7,298.81 2014 SLURRY SEAL PROGRAM BID DOCS & AWA
4,815.67 REPAIR DUBLINER PUBLIC ART
2,745.47 FOOD WASTE STICKERS
1,780.97 SIGNAGE
4,526.44
8,000.00 SPLATTER EVENT FIREWORKS PRODUCTION
2,637.60 REC CLASS INSTRUCTOR
15,728.00 PLANNING SERVICES TO 6/29/14
675.00 MANAGER & SUPERVISOR ACADEMY - IMAI
425.00 ARCHITECTURAL SERVICES - FACADE IMPROVEI\
2,361.60 BUSINESS LICENSE ANNUAL RENEWALS
175.78 SOFTBALL PRINTING EXPENSE
L,53 /.3t5
1,064.70 REC CLASS INSTRUCTOR
500.00 FUN RUN VOLUNTEER HOURS
248.40 REC CLASS INSTRUCTOR
27,124.68 REPLACEMENT POLICE VEHICLE
193.00 REFUND SENIOR CENTER PROGRAM
869.00 PEST CONTROL -JUNE 2014
300.00 FUEL TANK MONITORING APR -JUN 2014
Print Date: 09/03/2014
Page 7 of 14
Date Issued Payee
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
08/11/2014
TREASURER ALAMEDA COUNTY
08/11/2014
TREASURER ALAMEDA COUNTY
08/11/2014
TRI VALLEY YOUNG PERFORMERS
08/11/2014
TRI- VALLEY COMMUNITY TV
08/11/2014 TRI- VALLEY JANITORIAL INC.
Check Total:
Check Total:
08/11/2014
TRI- VALLEY YMCA
08/11/2014
VALLEY CHRISTIAN ELEMENTARY
08/11/2014
VERIZON WIRELESS
08/11/2014
WHITE CAP CONSTRUCTION SUPPLY
08/11/2014
WOOLY MAMMOTH LODGE
08/11/2014
YOUNG REMBRANDTS
08/11/2014
YOUNT, JULIE
Payments Issued 8/11/2014 Total
08/15/2014
CAL PERS
08/15/2014
EMPLOYMENT DEVELOPMENT DEPT
08/15/2014
1 C M A 401 PLAN
08/15/2014
1 C M A 457 PLAN
08/15/2014
INTERNAL REVENUE SERVICE
08/15/2014
US BANK - PARS
08/15/2014
WAGEWORKS, INC.
Payments Issued 8/15/2014 Total
08/18/2014
ALAMEDA COUNTY ENVIRONMENTAL
08/18/2014
ALAMEDA COUNTY FIRE DEPARTMENT
08/18/2014
AMOS PRODUCTIONS
08/18/2014
AMS.NET, INC.
08/18/2014
ARAMARK UNIFORM SVC LOCKBOX
08/18/2014
ARLEN NESS, INC.
08/18/2014
ART IN MOTION
08/18/2014
AT &T - CALNET 2
Amount Description
11,596.68 ANIMAL CONTROL FIELD SERVICES APR -JUN 20
13,646.75 FUEL -JUNE 2014
4,072.32 REC CLASS INSTRUCTOR
46,000.00 OPERATING SUBSIDY PAYMENT 1 OF 2
15,543.00 PEG CONTRIBUTION PAYMENT 1 OF 2
61,543.00
55.00 EXTRA JANITORIAL SERVICE -JULY 2014
125.00 EXTRA JANITORIAL SERVICES -JUNE 2014
75.00 JANITORIAL SERVICES MAR 2014
11,908.00 JANITORIAL SERVICES -JULY 2014
12,163.00
6,780.12 COMMUNITY SUPPORT GRANT FY13 -14
100.00 FUN RUN VOLUNTEER HOURS
772.49 POLICE CELLPHONES TO 7/3/14
50.88 MARKING PAINT FOR SLURRY SEAL PROGRAM
147.00 FUN RUN VOLUNTEER HOURS
480.00 REC CLASS INSTRUCTOR
525.00 FAMILY CAMP OUT PHOTOGRAPHY
1,t5bz,bzb.5y
87,004.41 PERS RETIREMENT PLAN: PE 8/8/14
14,040.38 CALIFORNIA STATE WITHHOLDING: PE 8/8/14
1,074.12 DEFERRED COMP 401A: PE 8/8/14
23,541.56 DEFERRED COMP 457: PE 8/8/14
52,618.05 FEDERAL WITHHOLDING: PE 8/8/14
3,442.37 PARS: PE 8/8/14
2,859.14 DEPENDENT CARE- WAGEWORKS: PE 8/8/14
104,06U.US
273.00 FIRE STATION #16 FILING FEES
970,421.25 FIRE SERVICES - JUL 2014
995.00 EMPLOYEE RECOGNITION EVENT ENTERTAINM
10,993.00 TELECOMMUNICATIONS DATA PKG -MAINT FACIL
96.55 MAT SERVICE -JULY 2014
835.95 POLICE VEHICLE MAINTENANCE
120.00 WELLNESS CLASS
18.30 SERVICE TO 7/27/14
119.20 SERVICE TO 8/1/14
Check Total: 137.50
08/18/2014 B & S HACIENDA AUTO BODY 3,762.00 POLICE VEHICLE REPAIR
08/18/2014 BARBER, ERNEST 750.00 REFUND SHANNON DEPOSIT
08/18/2014 BAY ALARM COMPANY 87.00 ALARM SERVICES AUG - OCT 2014
268.05 ALARM SERVICES AUG -OCT 2014
Check Total: 355.05
08/18/2014 BIG DOG SECURITY, INC. 6,499.50 FIRE WATCH SECURITY AT CORPYARD
Print Date: 09/03/2014 City of Dublin
Page 8 of 14 Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Date Issued
Payee
Amount Description
08/18/2014
BIG O TIRES #7
59.84 TIRE REPAIR
08/18/2014
BILLINGSLEY, KIM
75.00 WELLNESS CLASS
08/18/2014
BLANKENSHIP, WILLIAM
216.00 REC CLASS INSTRUCTOR
08/18/2014
BPXPRESS
558.03 BID PACKAGES - TENNIS CT RESURFACING PRO,
08/18/2014
BROWN, SHARON
250.00 REFUND CIVIC CENTER DEPOSIT
08/18/2014
CALTRONICS BUSINESS SYSTEMS 9,761.31 COLOR COPIER
08/18/2014
CAMINO PRESS
129.60 OFFICE SUPPLIES
08/18/2014
CAPIO
450.00 PUBLIC INFORMATION OFFICIALS ANNUAL DUE:
08/18/2014
CARDUCCI AND ASSOCIATES INC.
1,546.85 TENNIS COURT RESURFACING DESIGN SVCS T(
08/18/2014
CDW GOVERNMENT INC
22.04 UPS REPLACEMENT BATTERIES
08/18/2014
CENTRAL VALLEY TOXICOLOGY
4,045.00 LAB TESTING SERVICES - JUN 2014
08/18/2014
CHAN, ROSA
421.50 REC CLASS INSTRUCTOR
08/18/2014
CHECKERS CATERING
3,155.89 EMPLOYEE APPRECIATION EVENT
08/18/2014
CHILD CARE LINKS
10,000.00 COMMUNITY SUPPORT GRANT FY14 -15
08/18/2014
CHO, JOY
44.00 REFUND FINGERPRINT FEE
08/18/2014
CINTAS CORP
105.13 FIRSTAID SUPPLIES
08/18/2014
CODE PUBLISHING COMPANY
136.50 MUNI CODE CODIFICATION
08/18/2014
COLEMAN, DEBBIE
250.00 REFUND LIBRARY DEPOSIT
08/18/2014
COMCAST
224.00 SENIOR CENTER INTERNET & CABLE TO 8/3/14
08/18/2014
COMCAST
208.24 CIVIC CENTER INTERNET & CABLE
08/18/2014
COMPUCOM
3,276.12 SOFTWARE LICENSING RENEWAL
08/18/2014
COSTAR REALTY INFORMATION INC.
2,877.93 REAL ESTATE INFORMATION SUBSCRIPTION JUI
08/18/2014
CPS HR CONSULTING
2,670.75 TESTING MATERIALS
08/18/2014
DAHLBERG, NANCY
260.00 REFUND REC CLASS
08/18/2014
DAN CHAN PRESENTS
225.00 SPLATTER ENTERTAINMENT DEPOSIT
08/18/2014
DARLING INTERNATIONAL INC
204.71 GREASE TRAP CLEANING
08/18/2014
DAVIS, MATTHEW B
600.00 WELCOME NEIGHBOR PROGRAM SIGNAGE
08/18/2014
DAY, JENNIFER
1,349.00 DEVELOPER DEPOSIT REFUND
08/18/2014
DELL MARKETING L.P.
103.53 COMPUTER EQUIPMENT
08/18/2014
DENG, JUN YUAN
240.00 REC CLASS INSTRUCTOR
08/18/2014
DEPARTMENT OF JUSTICE
556.00 FINGERPRINTING SERVICES - JUL 2014
08/18/2014
DSRSD
305,797.01 SERVICE TO 7/31/2014
08/18/2014
DU -ALL SAFETY
2,968.75 SAFETY CONSULTING SERVICES -JUL 2014
08/18/2014
DUBLIN HIGH SCHOOL
930.00 NATIONAL NIGHT OUT KICK -OFF SUPPLIES
08/18/2014
DUBLIN HIGH SCHOOL PFSO
4,000.00 COMMUNITY SUPPORT GRANT FY14 -15
08/18/2014
DUBLIN RANCH GOLF COURSE
2,060.10 REC CLASS INSTRUCTOR
08/18/2014
DURHAM SCHOOL SERVICES, LP
483.71 NATURE DAY CAMP TRANSPORTATION
08/18/2014
DUTCHOVER & ASSOCIATES
2,812.50 PLANNING & ENGINEERING SERVICES TO 6/30/
08/18/2014
ECOLAB, INC.
641.26 SENIOR CENTER SUPPLIES
08/18/2014
ECS REFINING, LLC
175.00 ELECTRONIC WASTE PICK UP FEE
08/18/2014
ENTERPRISE RENT ACAR
678.91 POLICE VEHICLE RENTAL
08/18/2014
FEDEX
213.46 EXPRESS SHIPPING
08/18/2014
FRANKLIN, RHONDA
76.29 REIMBURSE I -PAD CASE
08/18/2014
GARCIA, MARIA
750.00 REFUND SHANNON CENTER DEPOSIT
Print Date: 09/03/2014
Page 9 of 14
Date Issued Payee
08/18/2014 GRAFIX SHOPPE
08/18/2014 HAAG, JERRY P
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
08/18/2014
HARRIS & ASSOCIATES
08/18/2014
HERNANDEZ PARTY RENT
08/18/2014
HUDSON, ANNA
08/18/2014
IMAGE SALES, INC.
08/18/2014
IRON MOUNTAIN
Amount Description
582.75 POLICE VEHICLE GRAPHICS
4,013.08 CEQA DOCUMENT PREP -SAN RAMON RD BYPA:
3,001.50 HOUSING ELEMENT - CEQA DOCUMENTATION T
4,636.18 PLANNING SERVICES TO 6/30/14
7,880.00 PLANNING SERVICES TO 7/31/14
Check Total: 19,530.76
10,605.00 ASSESSMENT DISTRICT FEE ADMIN SVCS TO 4/
190.00 CAMP SUNRISE EXPENSE
16.02 MILEAGE REIMBURSEMENT
2,096.83 ID BADGE PRINTER
148.00 ACAP TRUST FUND DISBURSEMENT
408.07 OFF -SITE TAPE STORAGE - JUL 2014
Check Total: 556.07
08/18/2014 JORDAN & ASSOCIATES, INC. 2,000.00 LEGISLATIVE CONSULTING SERVICES - JUL 20
08/18/2014 KIER & WRIGHT CIVIL ENGINEERS 5,991.48 ENGINEERING SERVICES TO 7/13/14
3,203.50 ENGINEERING SERVICES TO 7/31/14
08/18/2014 LAI & ASSOCIATES
08/18/2014
LEXISNEXIS RISK DATA MGMT
08/18/2014
MACK5
08/18/2014
MAHAJAN, RI NA
08/18/2014
MALALUR, BHARATHI
08/18/2014
MANAGEMENT PARTNERS INC.
08/18/2014
MIDSTATE CONSTRUCTION CORP
08/18/2014
MIG CONSULTING
08/18/2014
NEAL, NICOLE
08/18/2014
NET TRANSCRIPTS, INC.
08/18/2014
NEXTEL COMMUNICATIONS
08/18/2014
NORTH AMERICAN TITLE COMPANY
08/18/2014
NORTH STAR DESTINATION
08/18/2014
OFFICE TEAM
08/18/2014
P G & E
08/18/2014
PACIFIC RACING ASSOCIATION
08/18/2014
PAVAO ELECTRIC
08/18/2014
PHOENIX GROUP INFO SYS.
08/18/2014
PRIME TIME ENTERTAINMENT INC
08/18/2014
PURSUIT NORTH
Check Total:
Check Total:
Check Total:
Check Total:
08/18/2014 QUINTANA, ANNA LISA
08/18/2014 REGIONAL GOVERNMENT SERVICES
y, 1 y4.yjo
5,805.90 GEOTECHNICAL CONSULTING SVCS -CORP YARI
2,117.50 JORDAN RANCH PARK GEOTECHNICAL INVEST
7,923.40
204.50 DATABASE SEARCHES - JUL 2014
9,225.00 CONSTRUCTION MGMT MAINTENANCE FACILITI
527.00 REFUND PRESCHOOL FEE
109.00 REFUND REC CLASS
640.75 EXECUTIVE COACHING SERVICES FY14 -15
231,833.24 CONSTRUCTION PS COMPLEX /MAINT FACILITIE;
35,315.00 COMMERCIAL DEVELOPMENT TASK FORCE COP
15.38 REFUND SWIM CLASS
4.20 TRANSCRIPTION SERVICES
70.76 RECREATION CELLPHONES TO 7/23/14
100.00 RECORDING FEE
14,222.22 MARKETING & BRANDING STRATEGY DEVELOPI
1,240.80 TEMPORARY CLERICAL SUPPORT
322.07 SERVICE TO 7/8/14
145.08 SERVICE TO 8/11/14
104.16 SERVICE TO 8/4/14
13.62 SERVICE TO 8/5/14
584.93
50.00 SENIOR CENTER OUTING DEPOSIT
3,830.18 PUBLIC ART REPAIR
360.60 PARKING CITATION PROCESSING - JUN 2014
3,000.00 FARMERS' MARKET ENTERTAINMENT
6,377.56 EMERGENCY EQUIPMENT FOR UNMARKED VEH
400.00 STRIP POLICE VEHICLE
6,777.56
180.00 REFUND PRESCHOOL FEES
4,608.00 TEMPORARY STAFF PARKS & FACILITIES FY14-
Print Date: 09/03/2014 City of Dublin
Page 10 of 14 Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Date Issued
Payee Amount Description
08/18/2014
REVEL ENVIRONMENTAL MFG INC.
3,240.00 CATCH BASIN SERVICE PROGRAM
08/18/2014
ROTARY CLUB OF DUBLIN, CA
300.00 ANNUAL DUES - SMITH
08/18/2014
S & J ADVERTISING INC
250.00 FARMERS' MARKET ADVERTISING
08/18/2014
SAIFUDDIN, NADIA
750.00 REFUND SHANNON CENTER DEPOSIT
08/18/2014
SAN RAMON, CITY OF
12,634.40 WORKERS COMP & MEDICAL BENEFITS APR -JUI
08/18/2014
SELECT IMAGING
818.38 FARMERS' MARKET SUPPLIES
08/18/2014
SHAMROCK OFFICE SOLUTIONS INC
6,045.98 COPIER CONTRACT 7/1/14- 6/30/15
08/18/2014
SHI INTERNATIONAL CORP
3,072.48 NETWORK STORAGE
08/18/2014
SOLSA ENTERTAINMENT
1,600.00 SUMMER CONCERT ENTERTAINMENT
08/18/2014
STAPLES ADVANTAGE
8,377.66 OFFICE SUPPLIES -JULY 2014
08/18/2014
T & J FLOORS
8,710.00 INSTALL CARPET AT CIVIC CENTER
08/18/2014
TERMINIX INTERNATIONAL LP
52.00 PEST CONTROL -JULY 2014
2,250.00 TERMITE TREATMENT -FIRE STATION 16
Check Total:
2,302.00
08/18/2014
TRANS PACIFIC NATIONAL BANK
12,178.75 RETENTION DEPOSIT -MAINT FACILITY CONSTRI
08/18/2014
TREASURER ALAMEDA COUNTY
2,770.50 PARKING CITATIONS COLLECTED
08/18/2014
TRI- SIGNAL INTEGRATION INC
323.75 QUARTERLY TESTING /INSPECTION- LIBRARY
126.00 QUARTERLY TESTING /INSPECTIONS -ALL FIRES
Check Total:
449.75
08/18/2014
UNITED SITE SERVICES OF CA INC
825.91 DISPOSAL SERVICE -JULY 2014
08/18/2014
VALENTIN, M.
92.40 REC CLASS INSTRUCTOR
08/18/2014
VERIZON WIRELESS
71.38 PLANNING CELLPHONES TO 7/15/14
08/18/2014
WEISS, ROBIN S.
296.80 REC CLASS INSTRUCTOR
08/18/2014
WETHERFORD, HAZEL
32.70 MILEAGE REIMBURSEMENT - JUL 2014
08/18/2014
WHEELER, ANN MARIE
24.00 REC CLASS INSTRUCTOR
08/18/2014
WU, PATRICIA
18.00 REIMBURSE VAN DRIVER MEAL
08/18/2014
YOUNG REMBRANDTS
475.20 REC CLASS INSTRUCTOR
Payments Issued 8/18/2014 Total
08/20/2014 CLARE, SCOTT
08/20/2014 CLARE, SCOTT
Vendor Total
08/20/2014 CONTRA COSTA CO DA'S OFFICE
08/20/2014 NELSON, JEFFREY
08/20/2014 NELSON, JEFFREY
Vendor Total
Payments Issued 8/20/2014 Total
08/26/2014 4LEAF INC.
Check Total:
08/26/2014 ADAMEK, RUDOLF
1,ial,i its.ats
726,680.31 ASSET SEIZURE FUNDS DISTRIBUTION
1,404.00 ASSET SEIZURE FUNDS DISTRIBUTION
/ Lt5, Ut54.3 "1
13,868.81 ASSET SEIZURE FUNDS DISTRIBUTION
111,918.00 ASSET SEIZURE FUNDS DISTRIBUTION
910.81 ASSET SEIZURE FUNDS DISTRIBUTION
111, t51t5. t5'I
2,393.50 BUILDING INSPECTION SERVICES -JUL 2014
124,794.50 PLAN REVIEW & BUILDING INSPECTION SVCS -J
127,188.00
300.00 FARMERS' MARKET ENTERTAINMENT
Print Date: 09/03/2014
Page 11 of 14
Date Issued Payee
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
08/26/2014
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
AHLMAN, CHRIS
ALAMEDA COUNTY LAFCO
AMADOR VALLEY INDUSTRIES LLC
AMERICAN SAFETY ACADEMY
ARAMARK UNIFORM SVC LOCKBOX
ARCTIC GLACIER PREMIUM ICE
AT &T - CALNET 2
AYALA, ADRIANA
BARON, JELYN
BAY AREA NEWS GROUP
BILLINGSLEY, KIM
CALIFORNIA CUSTOM PAINTING
CEC PRINT SOLUTIONS
CGS GYMNASTIC SERVICES INC
CHANDLER ASSET MANAGEMENT
CHINN, AVAYEE
CITY SERVE OF THE TRI- VALLEY
CLUB V.I.P.
COGENT COMMUNICATIONS, INC
COIT SERVICES, INC.
COMCAST
CUNNINGHAM, AMY
DEVANE, BRENDAN
DUBLIN ICELAND INC.
DUNIYA DANCE & DRUM COMPANY
EDEN I & R INC
EDGE GYMNASTICS TRAINING CTR
EISLER, TIM
ENTERPRISE RENT A CAR
EVERPRO KIDS
FRANKLIN, RHONDA
HAGGIN, ERIC
HATZIKOKOLAKIS, JACQUI
IBE, MARVIN
JACKMAN, SHARI
JOHNSON, STERLING
KARATE 4 KIDS.US
KASSAB, ZI NA
KIDZ LOVE SOCCER
KROLL FACTUAL DATA CORP
MAKE ME A PRO SPORTS
Amount Description
150.00 SPLATTER ENTERTAINMENT
3,612.00 LAFCO APPORTIONAMENT 2013 -2014
12,276.19 BENCHMARK FEE SUBSIDY APR -JUN 2014
470.40 REC CLASS INSTRUCTOR
81.05 MAT SERVICE -AUG 2014
1,241.57 SPLATTER EXPENSE
648.87 SERVICE TO 8/12/14
1,533.00 REC CLASS INSTRUCTOR
96.00 REFUND PRESCHOOL FEES
1,500.00 SPLATTER ADVERTISING
370.00 WELLNESS CLASS
31,680.00 STREET LIGHT POLE PAINTING 2014
242.70 BUSINESS LICENSE RENEWAL ENVELOPES
247.54 BUSINESS LICENSE RENEWALS
Check Total: 490.24
2,261.00 REC CLASS INSTRUCTOR
7,189.00 INVESTMENT SERVICES JUL 2014
866.25 REC CLASS INSTRUCTOR
12,360.00 COMMUNITY SUPPORT GRANT FY14 -15
343.35 REC CLASS INSTRUCTOR
5,681.80 INTERNETACCESS FY14 -15
560.00 CARPET CLEANING -AUG 2014
125.75 HERITAGE CENTER INTERNET TO 8/13/14
72.00 REIMBURSE BERKELEY EXECUTIVE SEMINAR E
2,259.60 REC CLASS INSTRUCTOR
4,280.00 REC CLASS INSTRUCTOR
700.00 SPLATTER ENTERTAINMENT
10,000.00 COMMUNITY SUPPORT GRANT FY14 -15
5,566.48 REC CLASS INSTRUCTOR
65.70 REIMBURSE ESRI USER CONFERENCE EXPENS
1,357.82 POLICE VEHICLE RENTAL
3,363.60 REC CLASS INSTRUCTOR
1.68 MILEAGE REIMBURSEMENT
775.20 REC CLASS INSTRUCTOR
500.00 SPLATTER ARTIST DEPOSIT
Check Total: 1,275.20
220.00 REIMBURSE POSTAGE PERMIT
808.50 REC CLASS INSTRUCTOR
31.72 MILEAGE REIMBURSEMENT - JUL 2014
2,200.00 SPLATTER ARTIST PERFORMANCE
811.20 REC CLASS INSTRUCTOR
240.00 REC CLASS INSTRUCTOR
2,025.00 REC CLASS INSTRUCTOR
66.30 BACKGROUND CREDIT CHECKS
6,670.20 REC CLASS INSTRUCTOR
Print Date: 09/03/2014
Page 12 of 14
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Date Issued
Payee
08/26/2014
MARIN / CAL -SLA, COUNTY OF
08/26/2014
MCNABB CONSTRUCTION, INC.
08/26/2014
NORTHERN LIGHTS
08/26/2014
ONE WORKPLACE L. FERRARI LLC
08/26/2014
OPENGOV, INC.
08/26/2014
P G & E
Amount Description
1,200.00 2014 -15 MEMBERSHIP
36,826.14 SHANNON PARK WATER PLAY AREA RENOVATIC
4,300.00 SPLATTER STAGING & LIGHTING RENTAL
2,561.51 OFFICE CHAIRS
1,788.00 SOFTWARE ANNUAL HOSTING FEES
3,723.67 SERVICE TO 8/11/14
1,325.20 SERVICE TO 8/14/14
173.60 SERVICE TO 8/15/14
233.22 SERVICE TO 8/18/14
46.90 SERVICE TO 8/8/14
5,502.59
3,615.00 LANDSCAPING SERVICES -JUL 2014
40.00 FLOWERS FOR CITY ROSE GARDEN
74,626.20 TVBID FEES COLLECTED FOR APR -JUN 2014
2,700.00 HOUSING CONSULTANT SERVICES -JUL 2014
7,434.00 REC CLASS INSTRUCTOR
272.00 WATER SOFTENING SERVICE -AUG 2014
1,400.00 EDUCATION REIMBURSEMENT
91.95 MILEAGE REIMBURSEMENT - JUL 2014
4,212.34 REIMB MEDICARD SUBSIDIARY DISTRIBUTION -E
5,448.64 BUSINESS PLAN EMERALD GLEN REC & AQUATI
900.00 REFUND FOR BUILDING PERMIT FEES
62.74 MILEAGE REIMBURSEMENT - JUL & AUG 2014
966.00 REC CLASS INSTRUCTOR
677.00 PEST CONTROL -JULY 2014
332.64 REC CLASS INSTRUCTOR
1,575.00 REC CLASS INSTRUCTOR
135.00 PLANT MAINTENANCE -AUG 2014
250.00 SPLATTER ENTERTAINMENT
4,510.00 PLAN REVIEW & BUILDING INSPECTION SVCS
1,140.04 TELEVISE CITY COUNCIL MEETINGS -JUL 2014
938.00 CREATE PERMIT REPORT FOR AUDIT
Check Total:
08/26/2014
PACHECO BROTHERS GARDENING INC
08/26/2014
PACIFIC COAST FARMERS' MARKET
08/26/2014
PLEASANTON, CITY OF
08/26/2014
PMC
08/26/2014
RAINBOW CHEFS, INC.
08/26/2014
RAYNE OF SAN JOSE
08/26/2014
RI DAD, VALENTINAMG
08/26/2014
ROONEY, DOUGLAS
08/26/2014
SAN RAMON, CITY OF
08/26/2014
SHELLITO TRAINING & CONSULTING
08/26/2014
SOLARCITY HEADQUARTERS
08/26/2014
SOTO, CAROLINE
08/26/2014
STUDIO 8 DANCE & PERFORMING
08/26/2014
TERMINIX INTERNATIONAL LP
08/26/2014
THE FIT POTATO
08/26/2014
TINY TECHS CLUB
08/26/2014
TLC INTERIOR PLANT SERVICE
08/26/2014
TOQE, KEVIN C.
08/26/2014
TRB AND ASSOCIATES, INC.
08/26/2014
TRI- VALLEY COMMUNITY TV
08/26/2014
TYLER TECHNOLOGIES, INC.
Amount Description
1,200.00 2014 -15 MEMBERSHIP
36,826.14 SHANNON PARK WATER PLAY AREA RENOVATIC
4,300.00 SPLATTER STAGING & LIGHTING RENTAL
2,561.51 OFFICE CHAIRS
1,788.00 SOFTWARE ANNUAL HOSTING FEES
3,723.67 SERVICE TO 8/11/14
1,325.20 SERVICE TO 8/14/14
173.60 SERVICE TO 8/15/14
233.22 SERVICE TO 8/18/14
46.90 SERVICE TO 8/8/14
5,502.59
3,615.00 LANDSCAPING SERVICES -JUL 2014
40.00 FLOWERS FOR CITY ROSE GARDEN
74,626.20 TVBID FEES COLLECTED FOR APR -JUN 2014
2,700.00 HOUSING CONSULTANT SERVICES -JUL 2014
7,434.00 REC CLASS INSTRUCTOR
272.00 WATER SOFTENING SERVICE -AUG 2014
1,400.00 EDUCATION REIMBURSEMENT
91.95 MILEAGE REIMBURSEMENT - JUL 2014
4,212.34 REIMB MEDICARD SUBSIDIARY DISTRIBUTION -E
5,448.64 BUSINESS PLAN EMERALD GLEN REC & AQUATI
900.00 REFUND FOR BUILDING PERMIT FEES
62.74 MILEAGE REIMBURSEMENT - JUL & AUG 2014
966.00 REC CLASS INSTRUCTOR
677.00 PEST CONTROL -JULY 2014
332.64 REC CLASS INSTRUCTOR
1,575.00 REC CLASS INSTRUCTOR
135.00 PLANT MAINTENANCE -AUG 2014
250.00 SPLATTER ENTERTAINMENT
4,510.00 PLAN REVIEW & BUILDING INSPECTION SVCS
1,140.04 TELEVISE CITY COUNCIL MEETINGS -JUL 2014
938.00 CREATE PERMIT REPORT FOR AUDIT
Print Date: 09/03/2014 City of Dublin
Page 13 of 14 Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Date Issued Payee
08/26/2014 U.S. BANK CORPORATE PMT SYSTEM
Check Total:
08/26/2014
UNTALAN'S MARTIALARTS CENTER
08/26/2014
VISION COMMUNICATIONS CO
08/26/2014
VON SCHOTTENSTEIN, GREG
08/26/2014
WESCO GRAPHICS INC
08/26/2014
WESTERN PACIFIC SIGNAL LLC
Amount Description
1,886.29 AMERICAN PLANNING ASSN CONF REG- SIMS,B/
581.08 BICYCLE RODEO SUPPLIES
1,109.44 CA RESOURCE RECOVERY ASSN CONF REG -KH
1,465.42 CAMP SUPPLIES
313.80 COMMERCIAL DEVELOPMENT TASK FORCE SUF
1,677.49 COMPUTER EQUIPMENT, PRINTER
631.51 DRUG AWARENESS TRAINING EXPENSE
250.66 EFFECTIVE PRESENTATION TRAINING
49.82 EMPOYMENT TESTING SUPPLIES
930.74 ESRI USER CONFERENCE EXPENSE - EISLER
297.53 FARMERS' MARKET COOK -OFF SUPPLIES
53.80 FIRSTAID /CPR CERTIFICATES
585.05 FOLDING CHAIRS
3.00 GENERAL SERVICES AGENCY MEETING EXPEN:
392.36 GREEN BUSINESS PROGRAM SUPPLIES
951.21 HERITAGE CENTER & CAMP DUBLIN SUPPLIES
310.96 HUMAN RESOURCES ACADEMY EXPENSE -A.SM
870.00 ICSC CONFERENCE & INNOVATION FORUM REG
1,255.00 INSTITUTE OF TRAFFIC ENGINEERS CONFEREN
2,571.09 LEAGUE OF CA CITIES CONF REG, ICMA CONF
395.00 LEARNING RESOURCES MEMBERSHIP RENEWA
851.09 LIFEGUARD CERTIFICATIONS
274.00 MEMBERSHIP DUES
220.00 MEMBERSHIP RENEWAL
300.00 MMANC ANNUAL CONFERENCE REG - STEFFEN
629.00 MMANC CONFERENCE REGISTRATION
963.98 OFFICE & MEETING SUPPLIES
281.51 OFFICE SUPPLIES
947.17 OUTLOOK SECURITY CERTIFICATE
102.00 PARKS SOI L TESTI NG
14.12 POLICE SERVICES PUBLICATION
232.51 POLICE VEHICLE TINTING
34.87 PUBLICATION
71.98 ROSE GARDEN DEDICATION SUPPLIES
878.33 SENIOR CENTER LUNCHEON SUPPLIES
-94.56 SENIOR CENTER SUPPLIES
585.33 SENIOR CENTER VAN REPAIRS
1,330.89 SHANNON CENTER SUPPLIES
502.10 SOBRIETY TEST EQUIPMENT
299.99 SOFTWARE
1,982.10 SPECIAL EVENTS EQUIPMENT
1,307.04 SPLATTER EVENT SUPPLIES
215.00 SUMMER CAMPS PORTABLE RENTAL
5.99 SUMMER CAMPS TRANSPORTATION PLANNING
22.00 TRANSPORTATION COMMISSION MEETING EXPI
45.00 URBAN LAND INSTITUTE PANEL REG - SMTIH
-32.01 WELLNESS PROGRAM EXPENSE
566.31 WORK OF LEADERS TRAINING SUPPLIES
29,116.99
648.00 REC CLASS INSTRUCTOR
650.00 SPLATTER RADIO RENTAL EXPENSE
116.98 MILEAGE REIMBURSEMENT
4,311.43 ACTIVITY GUIDE PRINTING FY14 -15
1,801.74 TRAFFIC SIGNAL EQUIPMENT
Print Date: 09/03/2014
Page 14 of 14
City of Dublin
Payment Issuance Report
Payments Dated 8/1/2014 through 8/31/2014
Date Issued Payee
08/26/2014 WINNER CHEVROLET, INC.
Payments Issued 8/26/2014 Total
08/29/2014
CAL PERS
08/29/2014
CAL PERS HEALTH PREMIUM
08/29/2014
DELTA DENTAL OF CALIFORNIA
08/29/2014
EMPLOYMENT DEVELOPMENT DEPT
08/29/2014
1 C M A 401 PLAN
08/29/2014
1 C M A 457 PLAN
08/29/2014
INTERNAL REVENUE SERVICE
08/29/2014
US BANK - PARS
08/29/2014
VISION SERVICE PLAN - (CA)
08/29/2014
WAGEWORKS, INC.
Payments Issued 8/29/2014 Total
Grand Total for Payments Dated 8/1/2014 through 8/31/2014
Total Number of Payments Issued: 387
Amount Description
31,301.56 REPLACE POLICE SPECIAL SERVICE VEHICLE
484,490.96
86,873.30 PERS RETIREMENT PLAN: PE 8/22/14
166,027.50 HEALTH INSURANCE PREMIUM - SEPTEMBER 2C
11,824.38 DENTAL INSURANCE PREMIUM - SEPTEMBER 2C
16,070.75 CALIFORNIA STATE WITHHOLDING: PE 8/22/14
1,074.12 DEFERRED COMP 401A: PE 8/22/14
24,584.26 DEFERRED COMP 457: PE 8/22/14
57,894.00 FEDERAL WITHHOLDING: PE 8/22/14
3,110.39 PARS: PE 8/22/14
1,285.99 VISION INSURANCE PREMIUM - AUGUST 2014
2,859.14 DEPENDENT CARE- WAGEWORKS: PE 8/22/14
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