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CC Resolution No. 13-029 Accounts Payable, March 15, 2013 RESOLUTION NO.13-0 2 9
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CUPERTINO
ALLOWING CERTAIN CLAIMS AND DEMANDS PAYABLE IN THE AMOUNTS
AND FROM THE FUNDS AS HEREINAFTER DESCRIBED FOR GENERAL AND
MISCELLANEOUS EXPENDITURES FOR THE PERIOD ENDING
March 15,2013
WHEREAS,the Director of Administrative Services or her designated
representative has certified to accuracy of the following claims and demands and to the
availability of funds for payment hereof; and
WHEREAS,the said claims and demands have been audited as required by law.
NOW,THEREFORE,BE IT RESOLVED, that the City Council hereby allows
the following claims and demands in the amounts and from the funds as hereinafter set
forth in Exhibit"A".
CERTIFIED:
Finance Director
PASSED AND ADOPTED at a regular meeting of the City Council of the City of
Cupertino this 2nd day of Apr i 1 ,2013,by the following vote:
Vote Members of the City Council
AYES: Mahoney,Wong, Chang, Santoro, Sinks
NOES: None
ABSENT: None
ABSTAIN: None
ATTEST: APPRO • I.
Grace Schmidt, City Clerk Orrin Mahoney,May. ,City of Cupertino
FINANCIAL ACCOUNTING PAGE NUMBER: 2 DATE: 21
- CITY OF CUPERTINO ACCTPA21
14:
TIME: 14:21:27 27 CHECK REGISTER - DISBURSEMENT FUND
SELECTION CRITERIA: transact.tran8_date between '20130311 00:00:00.000' and '20130315 00:00:00.000'
ACCOUNTING PERIOD: 9/13
FUND - 110 - GENERAL FUND
CASH ACCT CHECK NO ISSUE DT VENDOR FUND/DEPT DESCRIPTION SALES TAX AMOUNT
1020 669308 03/15/13 4037 B&H PHOTO VIDEO 1103500 HAMILTON TABLETOP SCRE 0.00 93.05
1020 669308 D3/15/13 4037 B&H PHOTO VIDEO 1103500 SHURE SLX WIRELESS DUA 0.00 123.63
1020 669308 03/15/13 4037 B&H PHOTO VIDEO 1104050 SHORE SLX WIRELESS DUA 0.00 649.00 .
1020 669308 03/15/13 4537 B&H PHOTO VIDEO 1106265 SHORE SLX WIRELESS DUA 0.00 3248.17
TOTAL CHECK
1020 669309 03/15/13 3242 BALANCE HYDROLOGICS INC 4279112 12/15/12-2/16/13 POST 0.00 77.50
1020 669310 03/15/13 78 JO ANN BARNEY 5806349 2/27/13 ART CERAMI 0.00 100.00
1020 669311 03/15/13 4111 BAY AREA PRINTER & DATA 1106265 INK CARTRIDGES 0.00 398.76
1020 669312 03/15/13 3517 BOB'S AUTO SUPPLY 6308840 FY 2012-2013 OPEN PURC 0.00 21.83
1020 669312 03/15/13 3517 BOB'S AUTO SUPPLY 6308840 FY 2012-2013 OPEN PURC 0.00 32.98
TOTAL CHECK
1020 669313 03/15/13 127 THE CALIFORNIA CHANNEL 1103500 3/13 CABLE FEES 0.00 253.34
1020 669314 03/15/13 3743 CALIFORNIA LAND MANAGEME 1106220 JAN2013 PARK CODE 0.00 7299.60
1020 669315 03/15/13 147 CASH 1106549 TIPS/MEALS 0.00 236.14
03/15/13 147 CARR 1106549 VOLUNTEER SUPPORT 0.00 29.75
1020 669315 03,15,13 147 - 1106529 FLOWERS r'O1( CAREGIVER 0.00 29.•5
1020 669315 03/15/13 147 CASH 1106549 SUPPL 2/27&2/21 SOCIAL 0.00 26.27
1020 669315 03/15/13 147 CASH 0.00 296.16
TOTAL CHECK
1020 669316 03/15/13 3701 CATHOLIC CHARITIES OF S 1107406 7/1/12-9/30/12 SERVICE 0.00 2230.00
00 1669.00
1020 669316 03/15/13 3701 CATHOLIC CHARITIES OF S 1107406 10/1-12/31/12 SERVICE 0.00 3899.00
TOTAL rHRCK
1020 669317 03/15/13 2646 CDW-G 1101000 APPLE TIMECAPSULE 2TB 0.00 468.13
1020 669317 03/15/13 2646 CDW-G 1101000 APPLE MACBOOK PRO 15.4 0.00 2403.88
1020 669317 03/15/13 2646 03W-G
1101000 APPLE REMOTE 0.00 18.60
1020 669317 03/15/13 2646 CDW-G 1101000 APPLECARE 3 YEARS 0.00 299.00
1020 669317 03/15/13 2646 CDW-G 6104800 SQL SERVER STANDARD 2 0.00 12780.00
0.00 15969.61
TOTAL CHECK
1020 669318 03/15/13 1057 CERIDIAN BENEFITS SERVIC 110 *FLEX DEP/2401255 0.00 1397.67
1020 669318 03/15/13 1057 CERIDIAN BENEFITS SERVIC 110 0.00 2845.77
TOTAL CHECK
1020 669319 03/15/13 1156 COMMUNITY HEALTH CHARITI 110
CHARITIES 0.00 149.85
1020 669320 03/15/13 M2013 CHEN, ANDREW 1100000 REPLACE C1(#99815 0.00 65.10
1020 669320 03/15/13 M2013 CHEN, ANDREW 1100000 REPLACE CK4100360 0.00 157.32
TOTAL CHECK
1020 669321 03/15/13 4366 CITY DATA SERVICES 2657405 W p � � yIG� 0.00 825.00
FINANCIAL ACCOUNTING
RUN DATE 03/14/13 TIME 14:21:28
FINANCIAL ACCOUNTING PAGE NUMBER: 4
DATE: 21
CITY OF CUPERTINO ACCTPA21
14
TIME: 14:21:27 27 CHECK REGISTER - DISBIIRSEMENT FUND
SELECTION CRITERIA: transact_trans_date between '20130311 00:00:00.000' and '20130315 00:00:00.000'
ACCOUNTING PERIOD: 9/13
FUND - 110 - GENERAL FUND
CASH ACCT CHECK NO ISSUE DT VENDOR FUND/DEPT DESCRIPTION SALES TAX AMOUNT
1020 669340 03/15/13 298 GRAINGER INC 2708405 FY 2012-2013 OPEN PURC 0.00 253.69
TOTAL CHECK
1020 669341 03/15/13 5054 GYM PRECISION INC 5706450 BIKE REPAIRS
0.00 567.02
1020 669342 03/15/13 3155 HALO BRANDED SOLUTIONS 1101000 BALLPOINT PENS 0.00 755.07
1020 669343 03/15/13 M2013 HAN SUEJANE 110 BS 18936 REED DEP 0.00 180.99
1020 669344 03/15/13 2116 HARRIS & ASSOCIATES 1108601 SVC THRU 2/28 ENGR STA 0.00 345.00
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108314 SUPPL 0.00 71.21
227.74
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108516 SUPPL 0.00 388.90
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108314 SUPPL A32657 0 00 48.94 1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108314 SUPPL 0.00 148.94
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108516 SUPPL 0.00 20.58
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 2708404 SUPPL 2860 0.00 34.69
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 2708404 SUPPL 2859 0.00 70.92
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108516 SUPPL 0.00 95.36
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108407 SUPPL 0.00 127.87
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108516 SUPPL 0.00 88.31
1070 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108516 SUPPL 0 00 87 31
07 cTTPPL
1020 669345 03/15/13 334 xOraR DEPOT CREDIT S�VIC 1109,..• -" 0.00 72.31
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108314 SUPPL 0.00 172.31
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108314 SUPPL A32683 0.00 126.35
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108516 SUPPL 0.00 81.44
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 5706450 SUPPL A32004 0.00 57.20
1020 669345 03/15/13 334 HOME DEPOT CREDIT SERVIC 1108314 SUPPL 0.00 1926.92
TOTAL CHECK
1020 669346 03/15/13 1742 CARS, JECH 1106549 1/22-3/12/13 HUMANITIE 0.00 490.00
1020 669347 03/15/13 5132 JUNAR INC 1103300 CONSULTING/IMPL SVCS 0.00 2000.00
1020 669348 03/15/13 M2013 KANG JULIE
110 BS 19028 REFD DEP 0.00 183.30
1020 669349 03/15/13 3067 KMVT COMMUNITY TELEVISIO 5806349 2/18/13 TV STUDIO 0.00 292.50
1020 669350 03/15/13 2356 LYNX TECHNOLOGIES 6104800 ESMTS PROD COGO PARCEL 0.00 6825.00
1020 669351 03/15/13 4611 MAD SCIENCE OF THE BAY A 5806349 1/2 PMT SPRING SCIENCE 0.00 6457.70
1020 669352 03/15/13 M2013 MARIE MILLER 110 CANCEL DENTAL&VISION 0.00 1066.5D
1020 669352 03/15/13 M2013 MARIE MILLER 1100000 CANCEL DENTAL&VISION 0.00 21.30
110 CANCEL DENTAL&VISION 0.00 149.40
1020 669352 03/15/13 M2013 MARIE MILLER 1100000 CANCEL DENTAL&VISION 0.00 3.00
1020 669352 03/15/13 M2013 MARIE MILLER 0.00 1240.20
TOTAL CHECK
FINANCIAL ACCOUNTING
RUN DATE 03/14/13 TIME 14:21:29
EINAN/IA/ ACCOUNTING PAGE NUMBER: 6
-DATE: 03/14/13 CITY OF CUPE?RTIATO
TIME: 14:21:27 CHECK REGISTER - DISBURSEMENT FUND
SELECTION CRITERIA: transact.trans_date between '20130311 00:00:00.000' and '20130315 00:00:00.000'
ACCOUNTING PERIOD: 9/13
FUND - 110 - GENERAL FUND
CASH ACCT CHECK NO ISSUE DT VENDOR FUNGI/DEPT DESCRIPTION SALES TAX AMOUNT
1020 669364 03/15/13 3980 ONLINE SOLUTIONS LLC 110 7/1/13-4/30/14 CITIZEN 0.00 6000.00
0.00 7200.00
TOTAL CHECK
1020 669365 03/15/13 501 OPERATING ENGINEERS #3 110 UNION DUES 0.00 1246.00
1020 669366 03/15/13 4562 ROBERT OSTENBERG 5806349 2/13 RETIREMENT PLAT 0.00 684.00
1020 669367 03/15/13 513 PACIFIC GAS & ELECTRIC ( 1108516 1/19-2/20/13 0.00 82.71
1020 669367 03/15/13 513 PACIFIC GAS & ELECTRIC ( 1108516 1/19-2/20/13 0.00 599.27
TOTAL CHECK
1020 669368 03/15/13 533 PERS LONG TERM CARE PROG 110 PERS LTC 0.00 96.12
1020 669369 03/15/13 M2013 PRABHU SATISH 1100000 B517868 REF OVERPMT PW 0.00 263.00
1020 669370 03/15/13 5014 OSANDI ROBINSON 1103600 MARKETING PLAN 0.00 2500.00
•
1020 669371 03/15/13 1190 OLDS RONALD D 1103500 2/17/13 SVCS 0.00 97.50
1020 669371 03/15/13 1190 OLDS RONALD D 1103500 2/25-3/3/13 SVCS 0.00 568.75
1020 669371 03/15/13 1190 OLDS RONALD D 1103500 2/2-2/24/13 SVCS 0.00 1235.00
TOTAL CHECK
.
1020 669372 03/15/13 M2013 SARKAS, GEORGE liuuuvu 7m22.2:= �r.•�V,"Mr1,c o 0 00 165.59
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108511 12/26-2/26/13 0.00 180.50
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108512 12/26-2/26/13 0.00 354.30
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108516 12/26-2/26/13 0.00 694.27
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 5606440 12/26-2/26/13 0.00 671.02
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 5708510 12/26-2/26/13 0.00 628.58
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108302 12/26-2/26/13
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108303 12/26-2/26/13 0.00 2586.36
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108312 12/26-2/26/13 0.00 1320.82
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108314 12/26-2/26/13 0.0D 2855.40
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108315 12/26-2/26/13 0.00 2173.61
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108321 12/26-2/26/13 0.00 242.87
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108407 12/26-2/26/13 0.00 4402.89
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108408 12/26-2/26/13 0.00 177.83
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108501 12/26-2/26/13 0.00 166.30
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108503 12/26-2/26/13
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108504 12/26-2/26/13 0.00 334.91
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108505 12/26-2/26/13 0.00 248.90
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108506 12/26-2/26/13 0.00 341.73
1020 669373 03/15/13 625 SAN JOSE WATER COMPANY 1108507 12/26-2/26/13 0.00 121.69
0.00 17960.18
TOTAL CHECK
1020 669374 03/15/13 4554 SANTA CLARA CNTY HOUSING 2657405 JAN2013 HOMELESS COUNT 0.00 3470.53
1020 669375 03/15/13 2224 SANTA CLARA CNTY CLERK/R 110 EXEMPT FILING 0.00 50.00
FINANCIAL ACCOUNTING
RUN DATE 03/14/13 TIME 14:21:29
PAGE NUMBER: 8
EINAN/214/27 ACCOUNTING CITY OF CUPERTINO ACCTPA21
-DATE: 14 CHECK REGISTER - DISBURSEMENT FUND
TIME: 14:21:27
SELECTION CRITERIA: tiansact.trans_date between '20130311 00:00:00.000' and '20130315 00:00:00.000'
ACCOUNTING PERIOD: 9/13
FUND - 110 - GENERAL FOND
CASH ACCT CHECK NO ISSUE DT
VENDOR FUND/DEPT DESCRIPTION SALES TAX AMOUNT
1020 669392 03/15/13 4407 TRB & ASSOCIATES INC 1107502 2/1-2/28/13 PG&E COMPR 0.00 518.70
1020 669393 03/15/13 1154 UNITED WAY SILICON VALLE 110
UNITED WAY 0.00 5.00
1020 669394 03/15/13 2584 UNIVERSAL DIALOG INC. 1103300 TRANSLATION SVCS
0.00 1115.23
1103500 SUPPL A25177 0.00 336.00
1020 669395 03/15/13 745 VMI INC 768.00
1020 669396 03/15/13 754 BARBARA WALTON
5806449 7/1/12-6/30/13 DANCE C 0.00
1106549 1/22-3/19/13 FELDBNKRA 0.00 315.00
1020 669397 03/15/13 4858 MICHELE WESTLAKEN LEADERSHIP 950 0.00 187.50
1020 669398 03/15/13 4524 WILFRED JARVIS INSTITUTE 1106010 1/17/13 L 0.00 187.50
1106549 1/25-3/15/13 PLAYREADI
1020 669399 03/15/13 3216 ANDREW WILLYOUNG 64.60
1101000 2/20-3/2/13 COPERTINO- 0.00
1020 669400 03/15/13 3927 GILBERT WONG 1101000 1/9-1/13/13 NAT LEAGUE 0.00 837.25
1020 669400 03/15/13 3927 GILBERT WONG 1101000 2/6-2/8/13 BOD MEETING 0.00 345.32
1020 669400 03/15/13 3927 GILBERT WONG 0.00 1247.17
TOTAL 1104100 2/28 LUNCH MTG FIN STA 0.00 64.00
i+� non TAVSD WOO .,i..� rcurvn CONE' 0.00 21.00
1020 669401 03/1,/13 34_0 -A- 1104100 2/21-2 22 _---
1020 669401 03/15/13 3410 DAVID WOO
TOTAL CHECK 0.00 85.00
5.00
0.00 22
1020 669402 03/15/13 2456 WORLD JOURNAL SF LLC 2607401 8/13 LEGAL ADS 0.00 1225.00
5806349 1/18/13 WATERCOLOR
1020 669403 03/15/13 793 NANCY WOLFF 0.00 7729.24
1020 W031513 03/15/13 4857 PERS - 457K 110 3/8 DEF COMP 110 3/8 LOAN 0.00 88.00
1020 W031513 03/15/13 4857 PSRS - 457K
TOTAL CHECK 0.00 7817.24
0.00 1167389.64
TOTAL CASH ACCOUNT
TOTAL FUND 0.00 1167389.64
0.00 1167389.64
TOTAL REPORT
- FINANCIAL ACCOUNTING
RUN DATE 03/14/13 TIME 14:21:29
-FIN:l\NCL'>L ACCO'ONTING
D..'l.TE: 03/J.4/13
TIME: l4:2J.:27
CITY OF CUPERTINO
CHECK REGISTER -DISBURSEMENT FUND
PAGE NUMBER: 5
ACCTPA2l
SELECTION CRITERIA: transact-trans date between '20130311 00:00:00.000' and '20130315 00:00:00-000'
ACCOUNTING PERIOD: 9/13 -
FOND -110 -GENERAL FlJND
CASH ACCT CHECK NO ISSUE .oT --------------VENDOR-------------FUND/DEPT
1020 669353
1020 669353
TOTAL CHECK
J.020 669354
1020 669355
J.020 669356
1020 669357
1020 669358
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1.020
1020
1020
1.020
1020
1020
102'0
1020
1020
102D
1020
1020
1020
1020
1020
TOTAL
1020
CHECK
669359
669360
669361
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669363
669364
03/15/13 M2013
03/15/13 M2013
03/15/13 M2013
03/15/13 2567
03/15/B 5095
03/J.5/13 1602
03/15/13 4486
03/15/13 3875
03 /15/J.3 4927
03/15/13 M2013
03/15/13 493
D3/l5/13 493
03/15/13 493
03 /J.S/13 493
03/15/13 493
03/15/13 493
03/15/13 433
03/15/13 493
03 /15/J.3 493
03/15/J.3 493
03/15/13 493
03/15/13 493
03/15/13 493
03/15/13 493
03/15/13 493
03/J.5/13 493
03/15/13 493
03/15/13 493
03/15/13 493
03/15/13 433
03/15/13 493
03/15/13 493
03/15/1.3 493
03/15/J.3 493
03/15/13 493
03/15/13 3980
RUN DATE 03/14/13 TIME 14:21:29
MCCLELLAN DEVELOPMENT
MCCLELLAN DEVELOPMENT
MILLER, MARTIN
MISDU
EOMA MOJGANI
MONISERVICES LLC
RDBIN MUSSMAN
110
110
1100000
110
110
1100000
1106549
NELSON NYGAARD CONSDLTIN 110
NI GOVERNMENT SERVICES I 1101200
NOVO CONSTRUCTION
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
OFFICE DEPOT
ONLINE SOLUTIONS LLC
110
1101500
1101500
1101500
1108201
6308840
1108201
1108201
1108201
1106549
1106500
110650D
1106549
1104510
1104700
1107301
1107503
1104700
ll.04700
1104510
1104700
1104700
lJ.08101
110810i
1104510
1104510
1104700
-----DESCRIPTION------
BS 16405 REFD DEP
BS 16766 REFD A.'<B DEP
REPLACE CK#l00520
J TRYBUS 385960CSGARNS
BS 17240 :R.EFD GEO DEP
9/30/12 QTR. SUTA
1/9-3/J.3 ESL CLS SE
SVC Tf!RU 2/28 APPLE DE
2/1-2/28/13 SAT PHONE
BS 18668 TCO REFD
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
SUPPL
STI1'PL
SUPPL
SUPPL
SUPPL
5/1/13-6/30/13 CITIZEN
SALES T.l\X
0.00
0.00
0.00
0-00
o_oo
0.00
0.00
0-00
o_oo
o.oo
0.00
0.00
0.00
0.00
0.00
0.00
0.00 o_oo
0.00
0.00 o.oo
0.00
0.00
0.00 o_oo
0.00
D-00 o.oo
0.00
0.00
0_00 o_oo
0.00 a.co
0.00
0.00
0.00
o_oo
-FINANCDIL ACCOUNTING
AMOUNT
301-01
2873_75
3174-76
94.35
543_22
751-85
20290-16
399_00
J.2531-25
77_54
100·00. 00
125-45
48.85
50 _17
75.13
110 .42
38.01
135.33
320 .36
17-88
2.98
47.40
€_64
J.44_98
11-93
69-57
19-54
8_64
108.61
33.34
51-53
59.73
45_23
10-81
135_89
24.23
1702.65
1200_01)
',
-FINANCIAL ACCOUNTING
DATE: 03/14/13
TIME: 14:21:27
CITY OF CUPERTINO
CHECK REGISTER. -DISBURSEMENT F1JND
PAGE NUMBER: 6
ACCTPA21
SELECTION CRITERIA: transact.trans date between '20130311 00:00:00.000' and '20130315 00:00:00.000'
ACCOUNTING PERIOD: 9/13 -
FOND -110 -GENERAL FllND
CASH ACCT CHECK NO ISSUE DT --------------VENDOR-------------FUND/DEPT
1020 669364
TOTAL CHECK
1020 669365
1020 669366
1020 669367
1020 669367
TOTAL CHECK
1020
1020
1020
1020
1020
1020
TOTIIL CHECK
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
1020
l.020
1020
TOTIIL CHECK
J.020
J.020
669368
669369
669370
·669311
669371
669371
669372
669373
669373
669373
669373
669373
669373
669373
669373
669373
669373
669373
669373
669373
669373
569373
669373
669373
669373
669373
669374
669375
03/15/l.3 3980
03/15/l3 501
03/15/l.3 4562
03/15/J.3 513
03/J.5/J.3 513
03/15/J.3 533
03/15/13 M2013
03/l.5/13 5014
03/15/13 ll.90
03/l.5/l.3 l.1SO
03/15/13 1190
03/15/l.3 M20l3
03/15/13
03/15/l.3
03/15/13
03/l5/l3
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/13
03/15/J..3
03/15/13
625
625
625
625
625
625
625
625
625
625
625
625
625
625
625
625
625
625
625
03/15/13 4554
03/15/13 2224
RDN DATE 03/14/13 TIME 14:21:2S
ONLINE SOLUTIONS LLC llO
OPERATING ENGINEERS #3 110
ROBERT OSTENBERG 5806349
PACIFIC GAS & ELECTRIC [ 1108516
PACIFIC GAS & ELECTRIC ( 1108516
PERS LONG TERM CARE FROG 110
PRABHU SATISR
OSANDI ROBINSON
OLDS RONALD D
OLDS RONALD D
OLDS ROIDILD D
SAKICllS, GEORGE
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATR.1<. COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WAT.ER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMP.ANY
SAN JOSE WAl'ER COMPANY
8.l'..N JOSE WATER COMPANY
SAN JOSE WATER COMPANY
Sll.N JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
SAN JOSE WATER COMPANY
l.100000
1103600
1103500
1103500
1103500
1100000
1108511
1108512
1108516
SE>06440
5708510
1108302
110-8303
1108312
1108314
1108315
l.108321
1108407
1108408
1108501
1108503
1108504
1108505
1108506
1108507
SANTA CLARA CNTY HOUSING 2657405
SANTA CLARA CNTY CLERX/R 110
-----DESCRIPTION------
7/1/13-4/30/14 CITIZEN
UNION DUES
2/13 RETIREMENT PLN
1/19-2/20/13
1/19-2/20/13
PERS LTC
BSl.7868 REF OVERPMT PW
MARKETING PLllN
2/17/13 SVCS
2/25-3/3/13 SVCS
2/2-2/24/13 SVCS
REPLACE CK#l.00258
12/26-2/26/13
12/26-2/26/13
12/26-2/26/13
12/26-2/26/13
12/26-2/26/13
12/25-2/26/13
12/26-2/25/13
12/26-2/26 /13
12/26-2/25/13
12/26-2/26/13
12/26-2/26/13
12/26-2/25/13
12/26-2/26/13
12/26-2/26/13
12/26-2/26/13
12/26-2/26/l.3
12/26-2/26/13
12/26-2/26/13
12/26-2/26/13
JAN2013 HOMELESS COUNT
EXEMPT FILING
SALES TAX
0.00
0-00
0.00
o_oo
0.00
0.00
IL OD
0-00
0.00
o_oo
0-00 o_oo
0.00
0-00
0.00
o_oo
0.00 o_oo o_oo
0.00
0.00
Q_OQ
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 o_oo
0.00
0.00
O.DD o_oo
0.00
0.00
-FINANCIAL ACCOUNTING
AMOUNT
6000.00 noo_oo
l.246.00
684.00
82_71
599_27
661-98
96-12
263_00
2500.00
S7_50
568. 75
568-75
1235.00
165-59
180-50 354_3(]
694.27
671.02
628.58
J.93-17
2586.36
1320.82
2855.40
2173.61
242-87
4402-89
177.83
265_03
166.3D
334.91
248.90
341.73
121.69
17960.18
3470.53
50.00
-FINANCIAL ACCOUNTING
DAl'E: 03/14/13
TIME: 14:21:27
CITY OF CUPERTINO
CHECK :REGISTER -DISBDRSEMENI' FUND
PAGE NUMBER: 7
ACCTPA21
SELECTION CRITERIA: transact.trans date between '20130311 00:00:00_000' and '20130315 00:00:00.000'
ACCOUNTING l'ElUOD: 9/13 -
FOND -110 -GENERAL FUND
CASH ACCT CHECK NO ISSUE DT --------------VENDOR-------------FlJ.lilD/DEPT
1020 669375
TO'!AL Ol:ECK
1020 669376
1020 669376
TOTAL CHECK
102D 669377
1020 669378
1020 669379
1020 669380
1020 669380
TOTAL CHECK
1020
1020
1020
1020
1020
1020
1020
TOTAL CHECK
1020
1020
1020
1020
1020
TOTAL CHECK
1020
669381
669382
669383
669384
669384
669384
669384
669385
669386
669387
669387
669387
669388
1020 669389
1020 669389
TOTAL cHEcX
1020 669390
1020 669391
03/15/13 2224
03/15/13 2228
03/15/13 2228
03/15/13 M2013
03/15/13 M2013
03/15/13 3793
03/15/13 5053
03/15/13 5053
03/15/13 3596
03/15/l.3 3956
03/15/13 M2013
03/15/13
03/15/13
03/15/13
03/15/13
2810
2810
2810
281D
03/15/13 1663
03/15/13 5000
03/15/13 M2013
03/15/13 M2013
03/15/13 M2013
03/15/13 5052
03/15/13 3573
03/15/13 3573
03/15/13 690
03/lS/13 Hl.6
RUN DATE 03/14/13 TIME 14:21:29
SANTA CLl\lU\. C'NTY CLERK/R 110
SANTA CIARA COUNTY SHERI 1102100
SANTA CLARA COUNTY SHElU J.102401
SANTILlJ\J:i!, ANA TRUJILLO
sEYEDm SARA
SHN ~<..;? 54<-E"".S
SIEGEL & STRAIN .l\RCHITEC
SIEGEL & STRATIS! ARCHITEC
1100000
110
1106549 Si<:,
<..-riz
1108101
4209133
SILICON VALLEY COMMUNITY 1107301
SILICON VALLEY SECORITY& 1106265
S~ DANDAPANI
SMART & FINAL SMART & FINAL
SMART & FINAL
SMART & FINAL
KIMBERLY SMITE
110
1106344
1106549
1106549
1106549
1104300
SOPEORA M1>.NDARIN LEIIRNIN 1106549
SPEDIACCI CONSTRUCTION
SPEDIACCI -CONSTRUCTION
SPEDIACCI CONSTRUCTION
110
110
1100000
STANIEC CONSULTING SERVI 4209561
STATE DISBDRSEMEl:ilT UNIT 110
STATE DISBURSEMENT 1JNIT 110
SUNNYVALE FORD 6308840
MR. STEVE SWAN 1106549
-----DESCRIPTION------
EXEMP.T FIJ,J:NG
3/13 sec LAW ENFORCE
3/13 sec LAW ENFORCE
REPLACE CK#l.00431
BS 16649 ENCR#6209 REF
4/24 JERSEY BOYS BALllN
2/1-2/28/13 MCCLELLAN
2/1-2/28/13 DESIGN
2/1-2/28/13 LEGAL 1\DS
2/4-2/17/13 SECURITY
BS 18885 TCO REFD DEP
SUPPL A34225
BINGO SUPPL A31537
ST PATTY'S SUPPL
ST PATTY'S SUPPL
IPAD2 EXP
1/10-3/15/13 CONVERS :M
BS18289 REF-JOB CANCEL
BS182S9 REF-JOB CANCEL
BS18289 REF-JOB CANCEL
FIELD REVW 3 I.NTERSCT
J ANDERSON 567637344
A LOPEZ JR 566398126
FY 2012-2013 OPEN PURC
4/13 PERFORMANCE DEPOS
SALES TAX
o.oo o.oo
o.oo o.oo
l:LOO
0.00
Q_QQ
0 .00
u.oo o.oo
0-00
0.00
Q _ Q{)
0.00
o_oo
D.00 Q_oo o.oo o_oo
0.00
0.00
0.00
0.00
0.00
0.00
0 .DO
o_oo
0 .00
0.00
0.00
0.00
-FINANCIAL ACCOUNTING
AMODm
50.00 200_00
738551.33
8333.34
746884.67
155-68
sooo_oo
1856.00
3920.00
15959.85
19879_85
1311. 00
200.00
10000_00
324.78
134-29
80-47
25.27
564.81
270.48
961J_OQ
25-16
4.80
726-18
756-14
17105.00
276.92
253.85
530.77
55.45
150-00
"·
-FINANCIAL ACCOUNTING
DATE: 03/14/1.3
TIME: 14:21:27
CITY OF CUPERTINO
CHECIC REGISTER -DISBURSEMENT FUND
l?AGE NUMBER: 8
ACCTPA2l
SELECTION CRITERIA: trailsact.trans date between '20130311 00:00:00.000' and '20130315 00:00:00.000'
ACCOUNTING PERIOD: 9/13 -
FOND -110 -GENERAL FOND
C1<SE: ACCT CHECK NO ISSUE DT --------------VENDOR-------------FDND/DEPT. -----DESCRIPTION------SALES TAX 1\MOUNT
J.020 669392 03/15/13 4407 TRB & ASSOCIATES INC 1107502 2/1-2/28/13 PG&E COMPR 0.00 518.70
1020 669393 03/i5/l3 1154 UNITED WAY SILICON V11LLE 110 UNITED WAY 0.00 5.00
l.020 669394 03/15/13 2584 UNIVERSAL DIALOG INC. 1103300 TRANSLATION SVCS 0.00 1115.23
1020 669395 03/15/13 745 VMI INC 1103500 SUPPL A25177 0.00 336.00
1020 669396 03/15/13 754 BARBARA WALTON 5806449 7/1/12-6/30/13 DANCE C 0.00 768.00
1020 669397 03/15/13 4858 MICHELE WESTLAKEN 1106549 1/22-3/19/13 FELDENKRA (!. 00 315. 00
1020 669398 03/15/13 4524 WILFRED JARVIS INSTITUTE 1106010 l/17/13 LEADERSHIP 950 0.00 187.50
1020 669399 03/15/13 3216 ANDREW WILLYOUNG 1106549 1/25-3/15/13 PLAY.READI 0.00 351.0D
1020 669400 03/1.5/1.3 3927 GILBERT WONG llOlCOO 2/20-3/2/13 COPERTINO-0.00 64.60
1020 669400 03/15/13 3927 GILBERT WONG 1101000 l/9-1/13/13 NAT LEAGUE 0.00 837 .25
l020 669400 03/15/13 3927 GILBERT WONG 1101000 2/6-2/8/13 BOD MEETING 0. 00 345.32
TOTAL CHECK O.DO 1247.17
1020 669401 03/15/13 3410 DAVID WOO 1104100 2/28 LDNCR MTG FIN ST.A 0.00 64.0D
1020 669401 03/15/l.3 3410 DAVID WOO 1104100 2/21-2/22 CSMFO CONF 0.DO 21.00
TOTAL CHECK 0.00 85.00
1020 669402 03/15/13 2456 WORLD JOURNAL SF =c 25D740l 8/13 LEGAL ADS 0.00 225.00
1020 669403 03/.15/13 793 NANCY wbLFF 5806349 l/18/13 WATERCOLOR 0.00 1950.00
1020 W031513 03/15/13 4857 PERS -457K 110 3/8 DEF COMP 0.00 7729.24
1020 W031513 03/15/13 4857 l?ERS -457K 110 3/8 LOAli! 0.00 88.00
TOTAL CHECIC 0.00 7817.24
TOTAL CASH ACCOUNT 0.00 1167309.64
TOTAL FlJND 0.00 1167389 .64
TOTAL REPORT D.00 1167389.64
RDN DATE 03/14/13 TIME l4:2i,29 -FINANCIAL ACCOUNTING