HomeMy WebLinkAboutItem 4.5 Check Issuance Report
STAFF REPORT CITY CLERK
File #300-40
CITY COUNCIL
DATE:March 18, 2014
TO:
Honorable Mayor and City Councilmembers
FROM:
Christopher L. Foss, Acting City Manager
SUBJECT:
Check Issuance Report and Electronic Funds Transfers
Prepared by Veronica Briggs, Finance Technician II
EXECUTIVE SUMMARY:
The City Council will receive a listing of payments issued from February 1, 2014 – February 28,
2014 totaling $4,474,338.60.
FINANCIAL IMPACT:
SUMMARY OF PAYMENTS ISSUED
February 1, 2014 through February 28, 2014
Total Number of Payments: 310
Total Amount of Payments: $4,474,338.60
RECOMMENDATION:
Staff recommends that the City Council receive the report.
Submitted By Reviewed By
Administrative Services Director Acting Assistant City Manager
DESCRIPTION:
The Payment Issuance Report (Attachment 1) provides a listing of all payments for the period
beginning February 1, 2014 through February 28, 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 and expenditures.
ATTACHMENTS:
1. Payment Listing - February 2014
ITEM NO. 4.5
Page 1 of 1
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 1 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/03/2014ALAMEDA COUNTY LIBRARY
102,250.75
ADDITIONAL LIBRARY SERVICES Q2 FY13-14
02/03/2014APPLE ONE EMPLOYMENT SERVICES
880.00
TEMPORARY PUBLIC WORKS STAFF
02/03/2014AT & T MOBILITY
131.74
SERVICE TO 1/7/14
02/03/2014AT&T - CALNET 2
178.97
SERVICE TO 1/12/14
02/03/2014AXIS COMMUNITY HEALTH
2,500.00
COMMUNITY SUPPORT GRANT
02/03/2014BAY ALARM COMPANY
175.09
FIRE STATION #16 ALARM SERVICE 2/1-5/1/1
659.85
HERITAGE CENTER ALARM SERVICE 2/1-5/1/14
369.30
SENIOR CENTER ALARM SERVICE 2/1-5/1/14
Check Total:
1,204.24
02/03/2014CALLANDER ASSOCIATES INC.
2,237.23
PASSATEMPO PARK LANDSCAPE DESIGN SVCS
02/03/2014CARDUCCI AND ASSOCIATES INC.
21,300.00
FALLON SPORTS PARK LANDSCAPE ARCHITECT
02/03/2014CAROLINE, SULLIVAN
47.00
REFUND REC CLASS
02/03/2014CIVICPLUS
4,209.00
ANNUAL FEE FOR HOSTING & SUPPORT
02/03/2014COIT SERVICES, INC.
405.00
CARPET CLEANING-JAN 2014
1,025.00
DRAPERY CLEANING-DEC 2013
Check Total:
1,430.00
02/03/2014CONTRA COSTA TIMES
14.95
ANNUAL SUBSCRIPTION
02/03/2014DAHLBERG, NANCY
66.00
REFUND REC CLASS
02/03/2014DIPIETRO & ASSOC. INC
533.70
AED UNITS SUPPLIES
02/03/2014FEHR & PEERS ASSOCIATES INC.
9,607.78
CROSSWALK DESIGN AMADOR VALLEY BLVD 10
02/03/2014GEOTECH UTILITY LOCATING LLC
435.00
LOCATING OF UNDERGROUND PIPES
02/03/2014HAAG, JERRY P
2,000.00
FALLON SPORTS PARK CEQA INITIAL STUDY TO
02/03/2014INT'L COUNCIL SHOPPING CENTERS
100.00
MEMBERSHIP RENEWAL-L.SMITH
50.00
MEMBERSHIP RENEWAL-WETHERFORD
Check Total:
150.00
02/03/2014LEAGUE OF CALIFORNIA CITIES
600.00
LEAGUE OF CA CITIES ANNUAL DUES
02/03/2014LINCOLN EQUIPMENT INC
2,826.12
SWIM CENTER CHEMICALS
02/03/2014MCCARTHY, TOM
846.82
REPLENISH POLICE SERVICES FUND
02/03/2014MCE CORPORATION
290,519.68
MAINTENANCE SERVICES-DEC 2013
02/03/2014MEIN, STEPHANIE
35.41
MILEAGE REIMBURSEMENT
02/03/2014MEYERS NAVE
1,050.00
LEGAL SERVICES-SCHAEFER RANCH GHAD
02/03/2014MMANC
160.00
MUNICIPAL MGMT ASSN WINTER FORUM REGIST
02/03/2014MPA DESIGN
2,125.00
POSITANO HILLS PARK PLAYGROUND DESIGN-D
02/03/2014NORCAL MUNI HR MGRS GROUP
100.00
MEETING EXPENSE-CARTER
02/03/2014OPEN HEART KITCHEN
3,996.22
COMMUNITY SUPPORT GRANT OCT-DEC 2013
02/03/2014OTIS ELEVATOR CO., INC.
270.00
ELEVATOR SERVICE-FEB 2014
02/03/2014P G & E
2,703.44
SERVICE TO 1/13/14
147.29
SERVICE TO 1/14/14
15.08
SERVICE TO 1/15/14
774.63
SERVICE TO 1/2/14
47.09
SERVICE TO 1/7/14
2,978.07
SERVICE TO 1/8/14
Check Total:
6,665.60
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 2 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/03/2014PAKPOUR CONSULTING GROUP, INC.
754.69
2012-13 OVERLAY-DUBLIN BLVD RESURFACING-
1,630.13
2013 SLURRY SEAL PROJECT-DEC 2013
2,596.13
2013 SLURRY SEAL PROJECT-NOV 2013
Check Total:
4,980.95
02/03/2014PEELLE TECHNOLOGIES INC
6,248.04
DOCUMENT PREPARATION & IMAGING SVCS
02/03/2014PMA CONSULTANTS LLC
3,850.00
CONTRACTOR PRE-QUALIFICATIONS EMERALD
02/03/2014ROBERT HALF INTERNATIONAL INC
1,507.75
TEMPORARY TECHNICIAN ASSISTANCE
02/03/2014SAN LEANDRO, CITY OF
3,283.00
MEMBERSHIP DUES 2014
02/03/2014SENIOR SUPPORT PROGRAM
1,685.76
COMMUNITY SUPPORT GRANT OCT-NOV 2013
02/03/2014SHAMROCK OFFICE SOLUTIONS INC
174.07
PRINTER SUPPLIES
02/03/2014SHELLITO TRAINING & CONSULTING
5,044.22
BUSINESS PLAN EMERALD GLEN COMPLEX NOV
02/03/2014SHOTTENSTEIN, GREG VON
754.00
CANDIDATE TRAVEL EXPENSE-EVENTS COORDI
02/03/2014SIERRA DISPLAY INC
311.00
STREET BANNERS
02/03/2014SOTO, CAROLINE
66.00
REIMB CITY CLERKS NEW LAW CONFERENCE E
02/03/2014SPECIAL SERVICES GROUP, LLC.
884.90
POLICE EQUIPMENT
02/03/2014SPECTRUM COMMUNITY SVCS INC.
291.02
COMMUNITY SUPPORT GRANT - DEC 2013
02/03/2014STONERIDGE CHRYSLER JEEP DODGE
135,623.40
POLICE VEHICLE
02/03/2014SWA GROUP
3,607.49
IRON HORSE PARK & OPEN SPACE DESIGN-AUG
398.64
IRON HORSE PARK & OPEN SPACE DESIGN-DEC
1,144.97
IRON HORSE PARK & OPEN SPACE DESIGN-NOV
Check Total:
5,151.10
02/03/2014TELEPACIFIC COMMUNICATIONS
2,095.58
CIVIC CENTER TELEPHONE & INTERNET SERVIC
02/03/2014THOMSON WEST PAYMENT CENTER
66.50
ELECTIONS CODE MANUAL-2014
02/03/2014TODD NICOLL FLOORS
1,528.00
CARPET-ASSISTANT CITY MANAGER'S OFFICE
829.00
CARPET-CITY MANAGER'S OFFICE
Check Total:
2,357.00
02/03/2014TREASURER ALAMEDA COUNTY
16,610.86
ANIMAL SHELTER DEBT SERVICE PAYMENT
02/03/2014TREASURER ALAMEDA COUNTY
15,998.83
TRAFFIC SIGNAL/STREET LIGHT MAINT-NOV 20
9,573.23
TRAFFIC SIGNAL/STREET LIGHT MAINT-OCT 20
Check Total:
25,572.06
02/03/2014TRI-VALLEY COMMUNITY TV
1,004.28
TELEVISE CITY COUNCIL MEETINGS-DEC 2013
02/03/2014TRI-VALLEY YMCA
360.00
MARTIN LUTHER KING DAY EVENT EXPENSE
02/03/2014TURNER, JAIMI
800.00
REFUND SHANNON CENTER RENTAL
02/03/2014UNUM LIFE INS CO OF AMERICA
11,019.59
LIFE INSURANCE PREMIUM - FEBRUARY 2014
02/03/2014VERIZON WIRELESS
266.07
BUILDING/PLANNING CELLPHONES TO 1/10/14
155.15
INFORMATION SERVICES CELLPHONES TO 1/10/
Check Total:
421.22
Payments Issued 2/3/2014 Total:688,533.51
02/05/2014BRIGGS, VERONICA
23.50
REIMBURSEMENT EXECUTRAIN EXCEL CLASS E
271.64
TUITION REIMBURSEMENT
Check Total:
295.14
02/05/2014DSRSD
14,710.66
SERVICE TO 1/14/2014
Payments Issued 2/5/2014 Total:15,005.80
02/06/2014CALPERS CERBT
301,449.51
RETIREE MEDICAL CONTRIBUTION TO 12/13/13
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 3 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/06/2014EMPLOYMENT DEVELOPMENT DEPT
10,811.06
SUI REIMBURSEMENT JUL-SEP 2013
02/06/2014EMPLOYMENT DEVELOPMENT DEPT
9,805.00
SUI REIMBURSEMENT OCT-DEC 2013
20,616.06
Vendor Total:
02/06/2014US BANK
10.00
SUPPLIES
Payments Issued 2/6/2014 Total:322,075.57
02/07/2014US BANK
498.68
AFTER SCHOOL REC SUPPLIES
1,596.21
ALAMEDA CO CITY MANAGER'S ASSN MEETING
250.00
CA PARKS & REC TRAINING REG-10 ATTENDEES
289.99
CITY MANAGER'S RETIREMENT SUPPLIES
29.94
HERITAGE CENTER SUPPLIES
1,922.35
MARKETING SUBSCRIPTION, BROCHURE PRINT
120.00
MEMBERSHIP RENEWAL
65.00
MMANC MEMBERSHIP RENEWAL
23.98
OFFICE SUPPLIES
17.94
ORAL BOARD INTERVIEW SUPPLIES
198.39
PRESCHOOL SUPPLIES
-10.00
REFUND SUPPLIES
44.60
SPECIAL EVENT COORDINATOR PANEL SUPPLIE
Check Total:
5,047.08
Payments Issued 2/7/2014 Total:5,047.08
02/10/2014ALAMEDA CO. MAYORS CONFERENCE
50.00
ALAMEDA COUNTY MAYORS' CONFERENCE-L.SM
02/10/2014ALAMEDA COUNTY FIRE DEPARTMENT
730,946.84
FIRE SERVICES - DEC 2013
02/10/2014AMADOR VALLEY INDUSTRIES LLC
437.50
COMMERCIAL RECYCLING PROGRAM CONSULT
02/10/2014AMY'S ENGRAVED SIGNS & AWARDS
24.53
EMPLOYEE NAME PLATE
108.73
EMPLOYEE NAME PLATES
Check Total:
133.26
02/10/2014APPLE ONE EMPLOYMENT SERVICES
1,947.00
TEMPORARY PUBLIC WORKS STAFF
02/10/2014ARAMARK UNIFORM SERVICES
51.50
MAT SERVICE-JAN 2013
02/10/2014ARLEN NESS, INC.
75.85
POLICE VEHICLE MAINTENANCE
02/10/2014ASSOCIATED ENGINEERING
16,560.00
ENGINEERING SERVICES TO 1/3/14
02/10/2014AT&T - CALNET 2
494.03
SERVICE TO 1/12/14
630.41
SERVICE TO 1/14/14
234.96
SERVICE TO 12/14/13
Check Total:
1,359.40
02/10/2014BAKER, MICHAEL W.
461.00
MEDICAL PREMIUM REIMBURSEMENT-DEC 2013
927.71
MEDICAL PREMIUM REIMBURSEMENT-JAN 2014
Check Total:
1,388.71
02/10/2014BIG O TIRES #7
327.45
POLICE VEHICLE MAINTENANCE
02/10/2014CDW GOVERNMENT INC
1,796.35
COLOR PRINTER
218.70
PRINTER
Check Total:
2,015.05
02/10/2014CEC PRINT SOLUTIONS
474.75
CITY WINDOW ENVELOPES
02/10/2014CELLEBRITE USA, CORP
8,082.99
POLICE SOFTWARE UPGRADE
02/10/2014CENTRAL TOWING & TRANSPORT LLC
200.00
EVIDENCE TOW
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 4 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/10/2014CENTRAL VALLEY TOXICOLOGY
911.00
LAB TESTING SERVICES - DEC 2013
02/10/2014CHAN, ROSA
328.50
REC CLASS INSTRUCTOR
02/10/2014COIT SERVICES, INC.
2,020.00
CARPET CLEANING-JAN 2013
02/10/2014CORWOOD CAR WASH, INC.
1,200.00
CITY CAR WASHES
02/10/2014COUNTY OF ALAMEDA
60.00
ASSESSOR'S MAPS
02/10/2014DAHLBERG, NANCY
194.00
REFUND REC CLASS
02/10/2014DAHLIN GROUP INC
158,316.87
AQUATIC COMPLEX ARCHITECTURAL DESIGN SV
9,088.00
MAINT FACILITY ARCHITECTURAL DESIGN TO 1
4,100.00
PUBLIC SAFETY BLDG ARCHITECTURAL DESIGN
Check Total:
171,504.87
02/10/2014DELFINO, MARIA REGINA
750.00
REFUND SHANNON CENTER DEPOSIT
02/10/2014DEMEYER, MIGGI
135.00
REC CLASS INSTRUCTOR
02/10/2014DENG, JUN YUAN
155.00
REC CLASS INSTRUCTOR
02/10/2014DIAZ, JACQUI
55.80
REIMBURSEMENT FITNESS ROUNDTABLE SUPP
02/10/2014DUBLIN INTEGRITY IN ACTION
350.00
DUBLIN INTEGRITY IN ACTION EVENT SPONSOR
02/10/2014DUBLIN UNIFIED SCHOOL DISTRICT
1,044.50
FACILITY USE DOUGHERTY ELEMENTARY
2,412.00
JANITORIAL SERVICES AFTER SCHOOL REC-FEB
78.20
STAGER GYM UTILITIES 10/31-12/2/2013
Check Total:
3,534.70
02/10/2014DUTCHOVER & ASSOCIATES
8,968.75
PLANNING & ENGINEERING SERVICES-DEC 2013
02/10/2014ECN INTERMEDIATE HOLDING CO
15,000.00
ANNUAL REVERSE 911 EMERG CALL SYSTEM
02/10/2014ECS REFINING, LLC
175.00
E-WASTE PICK-UP FEE
02/10/2014ERM WEST, INC.
3,239.92
HAZARDOUS TESTING-PUBLIC SAFETY COMPLE
02/10/2014FASTRAK
25.00
REPLENISH FASTRAK PASS FOR SENIOR CENTE
02/10/2014FASTSIGNS
139.09
TAXI PERMIT SUPPLIES
02/10/2014GOLDEN STATE FLEET SERVICES
95.00
POLICE VEHICLE REPAIR
02/10/2014GOODYEAR TIRE & RUBBER COMPANY
1,194.59
TIRES
02/10/2014GRAFIX SHOPPE
1,986.76
PATROL VEHICLE EQUIPMENT
02/10/2014GSM LANDSCAPE ARCHITECTS, INC.
18,582.27
JORDAN RANCH PARK DESIGN SERVICES TO 12
02/10/2014INTERWEST CONSULTING GROUP INC
2,145.00
PLAN REVIEW & BUILDING INSPECTION SVCS-D
02/10/2014INT'L ASSN OF ELECTRICAL INSP
102.00
ANNUAL MEMBERSHIP DUES - SHREEVE
02/10/2014IRON MOUNTAIN
663.57
OFFSITE STORAGE - DEC 2013
02/10/2014J. S. BUILDING MAINTENANCE
1,860.98
JANITORIAL SERVICES LIBRARY-JAN 2014
02/10/2014JOBS AVAILABLE
315.00
RECREATION SUPERVISOR ADVERTISEMENT
02/10/2014KIMLEY-HORN AND ASSOC. INC.
109,912.46
DOUGHERTY ROAD WIDENING PROJECT TO 10/3
106,375.67
DOUGHERTY ROAD WIDENING PROJECT TO 11/3
Check Total:
216,288.13
02/10/2014KING, ARTHUR
83.30
REC CLASS INSTRUCTOR
02/10/2014KLEIST, JULAINA
302.40
REC CLASS INSTRUCTOR
02/10/2014LAI & ASSOCIATES
1,396.80
GEOTECHNICAL CONSULTING SVCS-CORP YARD
2,733.81
GEOTECHNICAL SVC-SHANNON PARK SPLASH P
223.20
GEOTECHNICAL SVCS-PUBLIC SAFETY COMPLE
Check Total:
4,353.81
02/10/2014LEWIS SOFTWARE ASSOC. LLC
28.00
941 FILING SERVICE ANNUAL FEE
02/10/2014LIVERMORE AUTO GROUP
697.84
POLICE VEHICLE MAINTENANCE
02/10/2014LIVERMORE VALLEY WINEGROWERS
7,500.00
2014 MARKETING SPONSORSHIP
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 5 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/10/2014MACK5
16,425.00
CONSTRUCTION MGMT ALCO JOINT USE FACILIT
02/10/2014MEYERS NAVE
1,257.40
LEGAL SERVICES TO 1/24/14
56,510.28
LEGAL SERVICES TO 12/31/13
Check Total:
57,767.68
02/10/2014MMANC
80.00
CONFERENCE REGISTRATION-GONZALEZ
02/10/2014NEXTEL COMMUNICATIONS
73.55
PARKS CELLPHONE SERVICE TO 1/19/14
02/10/2014P G & E
168,582.86
UNDERGROUNDING OF UTILITIES-SCARLETT CT
02/10/2014P G & E
57,005.14
NEW ELECTRIC SERVICE-SCARLETT CT/ALCO M
02/10/2014P G & E
17,452.13
SERVICE TO 1/15/14
32.26
SERVICE TO 1/21/14
19.71
SERVICE TO 1/23/14
209.59
SERVICE TO 1/8/14
852.77
SERVICE TO 1/9/14
Check Total:
18,566.46
02/10/2014PEELLE TECHNOLOGIES INC
7,399.20
DOCUMENT PREPARATION & IMAGING SVCS
02/10/2014PLEASANTON, CITY OF
67,274.46
TVBID FEES COLLECTED FOR OCT-DEC 2013
02/10/2014PMA CONSULTANTS LLC
350.00
CONTRACTOR PRE-QUALIFICATIONS EMERALD
02/10/2014PURSUIT NORTH
138.82
POLICE VEHICLE MAINTENANCE/REPAIR
02/10/2014RBF CONSULTING
4,440.73
PLANNING SERVICES TO 12/31/13
02/10/2014REGIONAL GOVERNMENT SERVICES
4,994.72
TEMPORARY BUILDING STAFF-RECORDS PROJE
3,364.20
TEMPORARY POLICE ADMIN STAFF W/E 12/31/1
Check Total:
8,358.92
02/10/2014ROBERT HALF INTERNATIONAL INC
1,036.00
TEMPORARY TECHNICIAN ASSISTANCE W/E 1/24
02/10/2014SAFEWAY INC
80.92
POLICE CLASS EXPENSE
02/10/2014SHI INTERNATIONAL CORP
1,791.25
COMPUTER SERVER REPLACEMENT
02/10/2014SIMPLER SYSTEMS, INC
2,209.50
SOFTWARE HOSTING CONSULTING SERVICES
02/10/2014STEVENSON, PORTO & PIERCE INC.
1,282.50
ENGINEERING SERVICES TO 1/10/14
708.75
ENGINEERING SERVICES TO 1/24/14
26,500.00
PLANNING SERVICES TO 1/24/14
Check Total:
28,491.25
02/10/2014STUDIO BLUE REPROGRAPHICS
348.80
PARK OPENING BANNERS
02/10/2014TOASTMASTERS INTERNATIONAL
42.75
MEMBERSHIP DUES - GAVAGAN-BOZZO
02/10/2014TREASURER ALAMEDA COUNTY
141.25
CRIME LAB SERVICES-DEC 2013
02/10/2014TRI-VALLEY JANITORIAL INC.
10,808.00
JANITORIAL SERVICES-JAN 2013
02/10/2014TYLER TECHNOLOGIES, INC.
2,500.00
PUBLIC WEB IMPLEMENTATION
02/10/2014UNIQUE ELEVATOR INTERIORS, INC
11,775.00
ELEVATOR LIGHTING SYSTEM REPAIR
02/10/2014UNITED SITE SERVICES OF CA INC
787.33
SANITATION DISPOSAL SERVICE 1/11-2/7/14
02/10/2014VALENTIN, M.
43.20
REC CLASS INSTRUCTOR
02/10/2014VALI COOPER & ASSOCIATES INC
600.00
ENGINEERING SERVICES TO 11/30/13
02/10/2014VERIZON WIRELESS
38.01
IPAD SERVICE TO 1/10/14
02/10/2014WEISS, ROBIN S.
174.30
REC CLASS INSTRUCTOR
02/10/2014WEST COAST CODE CONSULTANT,INC
7,095.00
PLAN REVIEW & BUILDING INSPECTION SERVIC
02/10/2014ZUMWALT ENGINEERING GROUP
18,830.67
ENGINEERING SERVICES - DEC 2013
Payments Issued 2/10/2014 Total:1,722,251.63
02/14/2014CAL PERS
84,442.00
PERS RETIREMENT PLAN: PE 2/7/14
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 6 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/14/2014EMPLOYMENT DEVELOPMENT DEPT
14,869.19
CALIFORNIA STATE WITHHOLDING: PE 2/7/14
02/14/2014I C M A 401 PLAN
1,366.52
DEFERRED COMP 401A: PE 2/7/14
02/14/2014I C M A 457 PLAN
22,902.88
DEFERRED COMP 457: PE 2/7/14
02/14/2014INTERNAL REVENUE SERVICE
53,681.13
FEDERAL WITHHOLDING: PE 2/7/14
02/14/2014US BANK - PARS
2,054.29
PARS: PE 2/7/14
02/14/2014WAGEWORKS, INC.
3,140.76
DEPENDENT CARE- WAGEWORKS 2014: PE 2/7/1
Payments Issued 2/14/2014 Total:182,456.77
02/18/20144LEAF INC.
3,905.50
BUILDING INSPECTION SERVICES - JAN 2014
118,576.50
PLAN REVIEW & BUILDING INSPECTION SVCS -
Check Total:
122,482.00
02/18/2014ADAMS, SETH
35.36
MILEAGE REIMBURSEMENT
02/18/2014ALAMEDA COUNTY FIRE DEPARTMENT
931,917.08
FIRE SERVICES - JAN 2014
02/18/2014ALAMEDA COUNTY HOUSING
1,946.00
HOMELESS INFO SYSTEM MATCH CONTRIBUTIO
02/18/2014AT&T - CALNET 2
178.97
SERVICE TO 1/12/14
20.28
SERVICE TO 1/14/14
16.51
SERVICE TO 1/26/14
16.84
SERVICE TO 1/27/14
Check Total:
232.60
02/18/2014BALL-NOGUES DESIGN STUDIO, LLC
1,500.00
PUBLIC ART PROPOSAL PRESENTATION FEE
02/18/2014BAY AREA NEWS GROUP
777.88
LEGAL NOTICE
02/18/2014BLANKENSHIP, WILLIAM
214.50
REC CLASS INSTRUCTOR
02/18/2014BSK ASSOCIATES INC.
2,008.75
PASSATEMPO PARK GEOTECHNICAL SERVICES
02/18/2014BUSINESS CARD
21.00
CLIPPER CARD FEES - JAN 2014
250.00
DOMAIN NAME RENEWAL
Check Total:
271.00
02/18/2014BUSINESS CARD
38.10
OFFICE SUPPLY
02/18/2014CALICO CENTER
1,250.00
COMMUNITY SUPPORT GRANT OCT-DEC 2013
02/18/2014CAPITAL ONE COMMERCIAL
70.88
RECREATION SUPPLIES
02/18/2014CHANDLER ASSET MANAGEMENT
6,578.00
INVESTMENT MANAGEMENT SERVICES TO 1/31/
02/18/2014CHECKERS CATERING
717.71
EMPLOYEE BENEFIT WELLNESS TRAINING SUPP
02/18/2014CHRISTOPHER WEED SCULPTURE INC
1,500.00
PUBLIC ART PROPOSAL PRESENTATION FEE
02/18/2014CIVICPLUS
1,200.00
MOBILE APPLICATION ANNUAL FEE
3,000.00
REQUEST TRACKER LICENSE ANNUAL FEE
Check Total:
4,200.00
02/18/2014CODE PUBLISHING COMPANY
758.00
MUNICIPAL CODE CODIFICATION
02/18/2014COMCAST
206.02
CIVIC CENTER INTERNET & CABLE SERVICES T
02/18/2014CORLISS, TROY
1,500.00
PUBLIC ART PROPOSAL PRESENTATION FEE
02/18/2014COSTAR REALTY INFORMATION INC.
479.66
REAL ESTATE INFORMATION SUBSCRIPTION-FE
02/18/2014DELL MARKETING L.P.
2,095.63
COMPUTER EQUIPMENT
6,945.53
REPLACEMENT COMPUTERS
Check Total:
9,041.16
02/18/2014DEMEYER, MIGGI
45.00
REC CLASS INSTRUCTOR
02/18/2014DEPARTMENT OF JUSTICE
552.00
FINGERPRINT SERVICES - JAN 2014
02/18/2014DUBLIN UNIFIED SCHOOL DISTRICT
2,304.73
STAGER GYM UTILITIES 8/31-12/2/13
02/18/2014DUNBAR ARMORED INC
131.63
ARMORED CAR SERVICE - JAN 2014
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 7 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/18/2014FRANKLIN, RHONDA
215.71
MILEAGE REIMBURSEMENT
02/18/2014GOODLAND LANDSCAPE
7,374.52
CONSTRUCTION SERVICES-PASSATEMPO PARK
02/18/2014GREENLEE AND ASSOCIATES
548.44
WORKSHOP PRESENTATION FEE
02/18/2014HAAG, JERRY P
500.00
FALLON SPORTS PARK CEQA INITIAL STUDY
02/18/2014HATZIKOKOLAKIS, JACQUI
33.38
MILEAGE REIMBURSEMENT
02/18/2014HDL COREN & CONE
1,512.50
PROPERTY TAX CONSULTING JAN-MAR 2014
02/18/2014HEATH SATOW SCULPTURE
1,500.00
PUBLIC ART PROPOSAL PRESENTATION FEE
02/18/2014HORIZON COMMUNICATIONS
24,266.58
CABLING FOR PUBLIC SAFETY COMPLEX
02/18/2014HSI, RON
46.80
REC CLASS INSTRUCTOR
02/18/2014IMPRINT WORKS, THE
85.17
CODE ENFORCEMENT SUPPLIES
02/18/2014JORDAN & ASSOCIATES, INC.
2,015.12
LEGISLATIVE CONSULTANT SERVICES-JAN 2014
02/18/2014KARATE 4 KIDS.US
74.40
REC CLASS INSTRUCTOR
02/18/2014KRANSKY, JENNIFER
10.64
MILEAGE REIMBURSEMENT
02/18/2014LANLOGIC INC.
12,765.00
INFORMATION TECHNOLOGY TEMP STAFF SUPP
02/18/2014LINCOLN EQUIPMENT INC
986.31
SWIM CENTER CHEMICALS
02/18/2014LIVERMORE AUTO GROUP
4,909.81
POLICE VEHICLE MAINTENANCE
02/18/2014LOWES HARDWARE INC.
500.00
REFUND CASH COMPLETION BOND
02/18/2014MANAGEMENT PARTNERS INC.
1,106.50
EXECUTIVE COACHING SERVICES TO 1/15/14
465.75
EXECUTIVE COACHING SERVICES TO 1/31/14
Check Total:
1,572.25
02/18/2014MOTTOLA, ANN
38.25
MILEAGE REIMBURSEMENT
02/18/2014NFPA
165.00
NATIONAL FIRE PROTECTION DUES-SHREEVE
02/18/2014NIELSEN SEGMENTATION &
466.00
SITE REPORTS
02/18/2014P G & E
3,251.06
SERVICE TO 1/28/14
133.87
SERVICE TO 1/30/14
96.38
SERVICE TO 1/31/14
Check Total:
3,481.31
02/18/2014PACE COMMUNICATIONS
7,000.00
TRI-VALLEY FEATURE ADVERTISEMENT
02/18/2014PARS
1,052.73
ADMIN & TRUSTEE FEES - NOV 2013
576.08
ADMIN & TRUSTEE FEES - OCT 2013
582.36
ADMIN & TRUSTEE FEES - SEPT 2013
Check Total:
2,211.17
02/18/2014PHILIPS, APRIL J.
500.00
WATER CONSERVATION WORKSHOP PRESENTA
02/18/2014POLICE &FIRE:THE FALLEN HEROES
300.00
VOLUNTEER RECOGNITION EVENT CITIZEN DON
02/18/2014RHAA
2,616.81
PIONEER CEMETERY MASTER PLAN PROJECT-D
02/18/2014ROBERT HALF INTERNATIONAL INC
1,480.00
TEMPORARY TECHNICAL ASSISTANCE W/E 1/31/
02/18/2014ROONEY, DOUGLAS
51.42
MILEAGE REIMBURSEMENT
02/18/2014ROTARY CLUB OF DUBLIN, CA
500.00
VOLUNTEER RECOGNITION EVENT ORGANIZAT
02/18/2014SAFEAMERICA CREDIT UNION
300.00
VOLUNTEER RECOGNITION EVENT CITIZEN DON
02/18/2014SAN JOAQUIN COUNCIL OF GOV'TS
150.00
CA AIRPORT LAND USE SYMPOSIUM REG-DELGA
02/18/2014SELECT IMAGING
106.82
BUSINESS CARD
02/18/2014SHAMROCK OFFICE SOLUTIONS INC
452.02
COPIES-JAN 2013
02/18/2014SHAW, MARK
75.00
SENIOR CENTER LUNCHEON ENTERTAINMENT
02/18/2014SHRED WORKS, INC.
240.00
SHREDDING DAY EVENT
02/18/2014SHUMS CODA ASSOCIATES INC
440.00
PLAN REVIEW & BUILDING INSPECTIONS SVCS-
02/18/2014SKYRIM STUDIO INC.
1,500.00
PUBLIC ART PROPOSAL PRESENTATION FEE
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 8 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/18/2014SNG & ASSOCIATES INC.
6,590.50
ENGINEERING SERVICES - DEC 2013
02/18/2014SUSAN ZOCCOLA LLC
1,500.00
PUBLIC ART PROPOSAL PRESENTATION FEE
02/18/2014SWA GROUP
1,633.92
IRON HORSE PARK & OPEN SPACE DESIGN SVC
02/18/2014TERRYBERRY
1,765.82
RECOGNITION AWARDS
807.96
SERVICE AWARDS
Check Total:
2,573.78
02/18/2014TODJI KURTZMAN SCULPTURE, LLC
1,500.00
PUBLIC ART PROPOSAL PRESENTATION FEE
02/18/2014TRI-VALLEY COMMUNITY TV
457.68
TELEVISE CITY COUNCIL MEETINGS - JAN 201
02/18/2014VALLEY CATERING, INC.
3,375.00
2013 VOLUNTEER RECOGNITION EVENT CATER
02/18/2014VERIZON WIRELESS
71.37
NEIGHBORHOOD RESOURCES CELLPHONE SER
772.33
POLICE CELLPHONE SERVICE TO 1/3/14
Check Total:
843.70
Payments Issued 2/18/2014 Total:1,190,223.07
02/19/2014U.S. POSTAL SERVICE
1,988.35
2014 FUN RUN MAILER POSTAGE
02/19/2014VALLEY CATERING, INC.
634.84
2013 VOLUNTEER RECOGNITION EVENT CATER
Payments Issued 2/19/2014 Total:2,623.19
02/21/2014ALAMEDA COUNTY CLERK
50.00
NOTICE OF DETERMINATION FILING FEE
Payments Issued 2/21/2014 Total:50.00
02/24/20144 PAWS GOOSE CONTROL, INC
1,000.00
GOOSE CONTROL SERVICES - JAN 2014
02/24/2014ALL CITY MANAGEMENT SVCS INC
6,121.24
CROSSING GUARD SERVICES 1/5/14-1/18/14
02/24/2014ALPINE CHRISTMAS TREES
500.00
REFUND CASH COMPLETION DEPOSIT
02/24/2014AMERICAN PLANNING ASSOCIATION
340.00
MEMBERSHIP DUES - ADAMS
510.00
MEMBERSHIP DUES - BAKER
445.00
MEMBERSHIP DUES - BASCOM
445.00
MEMBERSHIP DUES - DELGADO
Check Total:
1,740.00
02/24/2014AMY'S ENGRAVED SIGNS & AWARDS
76.30
NAMEPLATES FOR HERITAGE COMMISSIONERS
02/24/2014APPLE ONE EMPLOYMENT SERVICES
836.00
TEMPORARY PUBLIC WORKS RECORDS STAFF
02/24/2014ARAMARK UNIFORM SERVICES
104.05
MAT SERVICE-FEB 2014
02/24/2014ARLEN NESS, INC.
45.50
POLICE VEHICLE MAINTENANCE
617.92
POLICE VEHICLE REPAIR
500.00
REFUND TEMPORARY USE PERMIT DEPOSIT
Check Total:
1,163.42
02/24/2014ARROWHEAD
862.31
WATER-JAN 2014
02/24/2014ARROYO, ANEL
378.00
REC CLASS INSTRUCTOR
02/24/2014AT&T - CALNET 2
212.31
SERVICE TO 1/26/14
33.91
SERVICE TO 1/27/14
219.18
SERVICE TO 11/14/13
30.10
SERVICE TO 2/1/14
Check Total:
495.50
02/24/2014BAY ALARM COMPANY
357.67
ALARM SERVICES FEB-APR 2014
02/24/2014BAY AREA NEWS GROUP
154.00
PUBLIC HEARING NOTICE
02/24/2014CDW GOVERNMENT INC
649.17
TWO HP PRINTERS - SENIOR CENTER
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 9 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/24/2014CENTENO, CAMILLE
27.89
MILEAGE REIMBURSEMENT
02/24/2014CGS GYMNASTIC SERVICES INC
588.00
REC CLASS INSTRUCTOR
02/24/2014CHINN, LOUIS
250.00
PUBLIC ART PANEL TECH ADVISOR FEE
02/24/2014CINTAS FAS LOCKBOX 636525
81.95
FIRST AID KIT SUPPLIES
02/24/2014COIT SERVICES, INC.
660.00
CARPET CLEANING
02/24/2014COLLVER, JERRY
500.00
REFUND TEMPORARY USE PERMIT DEPOSIT
02/24/2014COMCAST
125.75
HERITAGE CENTER INTERNET TO 2/13/14
223.99
SENIOR CENTER TV & INTERNET TO 3/6/14
7.50
SHANNON CENTER TV & INTERNET SVC-JAN 20
Check Total:
357.24
02/24/2014CONTRA COSTA TIMES
14.95
ONLINE NEWSPAPER SUBSCRIPTION
02/24/2014CSI FORENSIC SUPPLY
676.36
EVIDENCE SUPPLIES
02/24/2014DAKTRONICS INC.
897.00
BASKETBALL SCORE PAD
02/24/2014DHADWAL, RENUKA
319.93
REPLENISH PETTY CASH
02/24/2014DIPIETRO & ASSOC. INC
89.70
AED UNITS SUPPLIES
02/24/2014DSRSD
103.45
SERVICE TO 1/29/14
02/24/2014DSRSD
78,462.83
SERVICE TO 1/31/2014
78,566.28
Vendor Total:
02/24/2014DUBLIN HOST LIONS CLUB
60.00
MEMBERSHIP JAN-JUN 2014-HUISINGH
02/24/2014DUTCHOVER & ASSOCIATES
8,187.50
ENGINEERING SERVICES - JAN 2014
02/24/2014EAST BAY DIVISION LCC
150.00
LEAGUE OF CA CITIES MEETING EXPENSE - CI
02/24/2014EAST BAY POOL SERVICE, INC.
1,860.00
SWIM CENTER POOL MAINTENANCE
02/24/2014EAST BAY REGIONAL PARK DIST
31,853.02
TASSAJARA CREEK & ALAMO CANAL TRAIL MAIN
02/24/2014EASTER SEALS BAY AREA
500.00
REFUND TEMPORARY USE PERMIT DEPOSIT
02/24/2014EVERPRO KIDS
288.00
REC CLASS INSTRUCTOR
02/24/2014EXTRA TEAM, INC.
5,280.92
DATA SWITCH FOR POLICE DEPT WIRELESS NET
02/24/2014FARMER BROS CO.
47.50
REC CLASS INSTRUCTOR
02/24/2014FARMER, LYNDA
48.00
REC CLASS INSTRUCTOR
02/24/2014GAMEZ, ANGELA
3.90
MILEAGE REIMBURSEMENT
02/24/2014GRAFIX SHOPPE
750.45
POLICE VEHICLE EQUIPMENT
02/24/2014GRAYBAR ELECTRIC
1,525.46
LIGHTING BALLASTS
02/24/2014GREEN LANTERN CATERING INC.
188.85
ST PATRICK'S DAY LUNCHEON DEPOSIT
02/24/2014GSM LANDSCAPE ARCHITECTS, INC.
1,397.15
JORDAN RANCH PARK DESIGN SERVICES TO 2/7
02/24/2014HAAG, JERRY P
7,447.00
CEQA DOC PREP-BIKE/PED MASTER PLAN TO 1/
8,500.00
DUBLIN RANCH SUBAREA 3 CEQA REVIEW
8,260.50
GREEN PROJECT CEQA DOCUMENTATION
310.50
REGENCY CENTER CEQA DOCUMENTATION
Check Total:
24,518.00
02/24/2014IRON MOUNTAIN
415.37
OFF-SITE TAPE STORAGE - JAN 2014
02/24/2014KARATE 4 KIDS.US
36.00
REC CLASS INSTRUCTOR
02/24/2014KEYSER MARSTON ASSOCIATES, INC
5,877.50
REAL ESTATE & DEVELOPMENT CONSULTING SV
02/24/2014LIVERMORE AUTO GROUP
2,493.26
POLICE VEHICLE MAINTENANCE
02/24/2014MEIN, STEPHANIE
24.10
MILEAGE REIMBURSEMENT
97.90
REIMBURSE ST. PATRICK'S FESTIVAL SUPPLIE
Check Total:
122.00
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 10 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/24/2014METROPOLITAN TRANSP COMMISSION, MTC
6,960.00
PAVEMENT MANAGEMENT TECHNICAL ASSISTAN
02/24/2014NOVANI, LLC.
7,296.72
TRAFFIC COMMUNICATIONS EQUIPMENT
02/24/2014ORCHARD SUPPLY HARDWARE LLC
500.00
REFUND TEMPORARY USE PERMIT DEPOSIT
02/24/2014P G & E
3,032.80
SERVICE TO 1/27/14
12.24
SERVICE TO 1/30/14
1,060.92
SERVICE TO 1/31/14
655.74
SERVICE TO 2/10/14
2,707.73
SERVICE TO 2/12/14
7,542.15
SERVICE TO 2/2/14
3,391.65
SERVICE TO 2/3/14
12.61
SERVICE TO 2/4/14
44.29
SERVICE TO 2/6/14
209.93
SERVICE TO 2/7/14
545.45
SERVICE TO1/31/14
Check Total:
19,215.51
02/24/2014PACHECO BROTHERS GARDENING INC
3,465.00
LANDSCAPING SERVICES-FEB 2014
02/24/2014PAKPOUR CONSULTING GROUP, INC.
262.50
ENGINEERING SERVICES - JAN 2014
02/24/2014PATCHEN, KELLY
50.93
REIMBURSE PRESCHOOL SUPPLIES
02/24/2014PHOENIX GROUP INFO SYS.
304.66
PARKING CITATION PROCESSING - DEC 2013
02/24/2014PIERCE SIGNS
1,598.88
REFUND DEVELOPER DEPOSIT
02/24/2014PLEASANTON, CITY OF
400.00
TRI-VALLEY CITY COUNCIL MEETING EXPENSE
02/24/2014PLEASANTON, CITY OF
140.18
STEP TO IT DUBLIN SIGNAGE
02/24/2014PMA CONSULTANTS LLC
1,462.50
ENERGY EFFICIENCY UPGRADE - PROJECT MAN
02/24/2014PUBLIC WIRELESS, INC.
474.50
DEVELOPER DEPOSIT ACCOUNT REFUND
02/24/2014RAYNE OF SAN JOSE
409.75
WATER SOFTENING SERVICE-FEB 2014
02/24/2014RBF CONSULTING
750.00
DOWNTOWN SPECIFIC PLAN AMENDMENT
4,816.88
PLANNING SERVICES-HERITAGE PARK EIR
Check Total:
5,566.88
02/24/2014ROSS STORES, INC.
787.01
DEVELOPER DEPOSIT REFUND
02/24/2014SAN LEANDRO, CITY OF
350.00
ACCMA MEMBERSHIP - CHRIS FOSS
02/24/2014SAN RAMON, CITY OF
11,860.43
WORKERS COMP & MEDICAL BENEFITS OCT-DE
02/24/2014SHIR MARTIAL ARTS, LLC
354.90
REC CLASS INSTRUCTOR
02/24/2014SIERRA DISPLAY INC
3,680.00
STREET BANNER INSTALLATION
02/24/2014SIU, HENRY
71.79
MILEAGE REIMBURSEMENT
02/24/2014STAPLES ADVANTAGE
8,520.71
OFFICE SUPPLIES-JAN 2014
02/24/2014STEVENSON, PORTO & PIERCE INC.
21,687.50
PLANNING SERVICES TO 2/7/14
02/24/2014TABARES ENTERTAINMENT, INC.
500.00
REFUND TEMPORARY USE PERMIT DEPOSIT
02/24/2014TERMINIX INTERNATIONAL LP
625.00
PEST CONTROL-JAN 2014
02/24/2014TLC INTERIOR PLANT SERVICE
135.00
PLANT SERVICE-FEB 2014
02/24/2014TONG, JAMES
20,000.00
REFUND CASH COMPLETION BOND
02/24/2014TREASURER ALAMEDA COUNTY
2,925.00
PARKING CITATIONS COLLECTED - DEC 2013
02/24/2014TREASURER ALAMEDA COUNTY
1,000.00
POLICE COMPUTER NETWORK SERVICES-DEC 2
3,925.00
Vendor Total:
02/24/2014TRI-SIGNAL INTEGRATION INC
449.75
FIRE ALARM SYSTEM INSPECTION 2/1-4/30/14
02/24/2014VALI COOPER & ASSOCIATES INC
1,500.00
GOLDEN GATE DR CONSTRUCTION MGMT SVCS
02/24/2014WAGEWORKS, INC.
517.25
FLEXIBLE SPENDING ACCOUNT FEES
Print Date: 03/04/2014City of Dublin
Payment Issuance Report
Page 11 of 11
Payments Dated 2/1/2014 through 2/28/2014
Date IssuedPayeeAmountDescription
02/24/2014WESTERN PACIFIC SIGNAL LLC
16,668.54
TRAFFIC VIDEO EQUIPMENT
02/24/2014WETHERFORD, HAZEL
49.20
MILEAGE REIMBURSEMENT - JAN 2014
02/24/2014WHITE CAP CONSTRUCTION SUPPLY
35.65
MARKING PAINT FOR SIDEWALK REPAIR PROGR
02/24/2014ZUMWALT ENGINEERING GROUP
23,176.40
ENGINEERING SERVICES - JAN 2014
Payments Issued 2/24/2014 Total:346,071.98
Grand Total for Payments Dated 2/1/2014 through 2/28/2014:4,474,338.60
Total Number of Payments Issued:310