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CC Resolution No. 02-157RESOLUTION NO. o~-~s?
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
AUGUST 23, 2002
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 fimds as hereinafter set
forth in Exhibit "A".
CERTIFIED:
Di~e~t(~ o{ Admihistiative Services
PASSED AND ADOPTED at a regular meeting of the City Council of the City of
Cupertino this 3rd day of September , 2002, by the following vote:
Vote
Members of the City Council
AYE S:
NOES:
ABSENT:
ABSTAIN:
Lowenthal, Chang, James, Kwok, Sandoval
None
None
None
ATTEST:
Mayor, C~ty of Cupertino
08/23/02
ACCOUNTING PERIOD: 2/03
CII~f OF CUPERTINO
C~ECK REGISTER - DISBURSEMENT F%3ND
p--~CTiON CRiTERiA: transact.trans_date between ,,08/19/2002,, and ,,08/23/2002.
1020 590506 V 01/18/02 M }A~R~IG, DEBRA 580
1020 590607 V 01/25/02 1032 AW DIRECT INC
6308840
1020 590653 V 01/25/02 M I~I, NELLIE 580
1020 594461 V 07/19/02 M2003 CITY OF LOS kLTOS 1106500
1020 595383 08/23/02 859 A CATERED AFFAIR 2204010
1020 595384 08/23/02 4 A T & T 1108501
1020 595385 08/23/02 2084 A.M. BEST COMPANY, INC. 1108101
1020 595386 08/23/02
1020 595386 08/23/02
TOTAL CHECK
2328 A/C SERVICE & DESIGN CO. 1108505
2388 A/C SERVICE & DESIGN CO. 1108504
1020 595387 08/23/02 858 ACI HOLDINGS, INC. 1100000
1020595388 08/23/02 13
1020595388 08/23/02 13
~-~ 595388 08/23/02 13
~ CHECK
ACME & SONS SANITATION C 1108321
ACME & SONS SANITATION C 5606640
ACME & SONS S~2qITATION C 5806449
1020 595389 08/23/02 1680 ADV~NTAGE GP~IX 1104100
1020 595390 08/23/02 M AGARWAL, ~rEELO 580
1020 595391 08/23/02 2566 TOM AIDe-LA
4239222
1020 595392 08/23/02 26
1020 595392 08/83/02 26
1020 595392 08/23/02 26
1020 595392 08/23/02 26
TOTAL CHECK
AIR FILTER CONTROL INC 1108501
AIR FILTER CONTROL INC 1108503
AIR FILTER COBVCROL INC 1108507
AIR FILTER CONTROL INC 1108504
1020 595393 08/23/02 28
1020 595393 08/23/02 28
TOTAL CHECK
AIRGAS 1108314
AIRC~ 1108303
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1~ 595395 08/83/02 1884
ALBERTSONS-NORTHERN DIVI 5806349
~LBERTSONS-NORTHERN DIVI 5806349
ALBERTSONS-NORTHEPJq DIVI 5806249
ALBERTSONS-NORT~qEP~N DIVI 5806249
ALBERTSONS-NORTHEP/~ DIVI 5806249
A-LBERTSONS-NORTHEP~N DIVI 5806349
ALBERTSONS-NORTHEP~ DIVI 1106342
ALBERTSONS NORTHERlq DIVI 5806349
ALBERTSONS-NORTHEP~N DIVI 5806349
ALBERTSONS-NORTHERN DIVI 1106448
PAGE 1
..... DESCRIPTION ...... S;%LES TAX AMOUNT
Refund: Check - WINTER 0.00 -12.00
SUPPLIES #15086 0.00 -245.49
REFI~RDS 126090 & 12609 0.00 -200.00
ST~tFF WORKSHOP SPACE 0.00 -112.50
BREAKF~T/LEA/)ERSHIP 0.00 990.49
AUG2002 SERVICE 0.08 17.05
2002 F~EY RATING GUIDE 0.00 259.90
L~OR 0.00 208.00
LJ%BOR 0.00 819.50
0.00 1021.50
APRIL-~E 2002 0.00 295385.72
RENTAL 7/13 8/09
FY 2002-2003 OPEN PL~C 0.00
PORTABLE TOILETS ;%ND S 0.00
0.00
PETTY CASH ENVELOPES 0.00
Refund: Check - Rental 0.00
SERVICE AGREEMENT FOR 0.00
ASSORTED FILTERS FOR V 0.00
;~SSORTED FILTERS FOR V 0.00
ASSORTED FILTERS FOR V 0.00
ASSORTED FILTERS FOR V 0.00
0.00
FY 2002-2003 OPEN PUNC 0.00
FY 2002-2003 OPEN PURC 0.00
0.00
154.13
168.83
1894.39
2217.35
188.77
300.00
8681.58
344.23
344.22
344.22
344.22
1376.89
600.81
638.93
SUPPLIES 25239 0.00 29.55
SUPPLIES 25365 0.00 46.94
SUPPLIES 25367 0.00 50.00
SUPPLIES 25368 0.00 18.26
SUPPLIES 25370 0.00 35.09
SUPPLIES 17075 0.00 40.02
SUPPLIES 25235 0.00 49.65
SUPPLIES 25343 0.00 20.93
SUPPLIES 25375 0.00 10.90
SUPPLIES 17503 0.00 52.69
RUN DATE 08/23/02 TIME 09:47:01 FIN/LNCI~kL ACCOLqqTING
08/23/02 CITY OF C~JPERTINO PAGE 2
ACCOUNTING PERIOD: 2/03 CHECK REGISTER - DISBURSEMENT FUND
~CTION CRITERIA: transact.transdate between "08/19/2002" and "08/23/2002-
1020 595395 08/28/02 1884
1020 595395 08/23/02 1884
1020 595395 05/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/82 1884
1020 595395 08/23/02 1884
1020 898395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 08/23/02 1884
1020 595395 05/23/02 1884
1020 595395 08/23/02 1884
TOTAL CHECK
ALBERTSONS-NORTHERN DIVI 5806349
ALBERTSONS NORTHERN DIVI 5806349
ALBERTSONS-NORTHERN DIVI 5806349
ALBERTSONS-NORTHERN DIVI 5806349
ALBERTSONS-NORTHERN DIVI 1106342
ALBERTSONS NORTHERN DIVI 5806349
ALBERTSONS-NORTHEP~N DIVI 5806349
AJ~BERTSONS-NORT}{ERN DIVI 5806349
ALBERTSONS-NORTHERN DIVI 5806349
ALBERTSONS-NORTHERN DIVI 1106342
~tLBERTSONS-NORTHERN DIVI 1106342
ALBERTSONS-NORTHERN DIVI 5806349
ALBERTSONS-NORTHEP~ DIVI 5806349
ALBERTSONS NORTHERN DIVI 1106342
ALBERTSONS-NORTHERN DIVI 1106342
ALBERTSONS-NORTHERN DIVI 5806349
1020 595396 08/23/02
1020 595396 08/23/02
TOTAL CHECK
2276 AL~%/4BRA 1104510
2276 AJ~H~RA 1104510
08/23/02 888 ALOHA POOL MAINTENANCE I 5708510
1020 595398
08/23/02 40 ALTEC IIfDUSTRIES INC 6308840
1020 595399 08/23/02 2330 ~¥4ERICRN INDUSTRIAL SUPP 1108314
1020 595399 08/23/02 2330 RNERICAN INDUSTRIAL SUPP 1108303
1020 595399 08/23/02 2330 AMERICAN INDUSTRIAL SUPP 1108504
1020 595399 08/23/02 2330 ~ERIC3tN INDUSTRIAL SUPP 1108501
1020 595399 08/23/02 2330 ~ERICAN INDUSTRIAL SUPP 2708405
1020 595399 08/23/02 2330 AMERIC]a/g INDUSTRI~LL SUPP 1108312
1020 595399 08/23/02 2330 ~4ERIC~ IXgDUSTRIAL SUPP 1108502
1020 595399 08/23/02 2330 ~4ERICAN INDUSTRIAL SUPP 1108315
TOTAL CMECK
1020 595400 08/23/02 44 A2~ERICJ%N RED CROSS 5806349
1020 595401 08/23/02 2623 ~4ERICAN SAFETY TRAINING 1108201
1020 595402 08/23/02 1343 ROSE-M3~RIE ANDICHOU 5606620
1020 595403 08/23/02 57 ;~K 1104510
1020 595404 08/23/02 2771 ASSEMBLED PRODUCTS CORP. 1108830
1020 595405 08/23/02 91 DR JOEL BERGER 5806449
1020 595406 08/23/02 2633 C/~LIFORNIA BINGO SERVICE 5506549
595407 08/23/02 124 CALIFORNIA SAFETY AA~ SU 6308840
..... DESCRIPTION ...... SALES
AMOUNT
SUPPLIES 25373 0.00 18.39
SUPPLIES 23259 0.00 14.32
SUPPLIES 25241 0.00 22.35
SUPPLIES 23262 0.00 12.80
SUPPLIES 25335 0.00 17.21
SUPPLIES 25348 0.00 35.89
SUPPLIES 25210 0.00 39.68
SUPPLIES 23263 0.00 21.99
SUPPLIES 17073 0.00 450.00
SUPPLIES 25378 0.00 16.03
SUPPLIES 23257 0.00 20.93
SUPPLIES 25344 0.00 16.75
SUPPLIES 25345 0.00 6.30
SUPPLIES 25351 0.00 17.47
SUPPLIES 22384 0.00 17.39
SUPPLIES 25340 0.00 35.75
0.00 1117.28
0.00
0.00
0,00
DRINKING WATER SERVICE
DRINKING WATER SERVICE
0.00
0.00
PARTS/SUPPLIES 8307
379.50
272.90
652.40
367.80
233.09
SUPPLIES 8309 0.00 54.12
SUPPLIES 8309 0.00 100.00
CARPET SPOT REMOVER 0.00 121.22
CARPET SPOT REMOVER 0.00 121.23
SUPPLIES 8657 0.00 359.02
SUPPLIES 8309 0.00 50.00
CARPET SPOT REMOVER 0.00 121.23
SUPPLIES 8309 0.00 25.00
0.00 951.82
SUPPLIES 17079 0.00 236.50
UPDATE SERVICE 1YR 0.00 67.00
SERVICE AGREEHENT FOR 0.00 95.00
COFFEE SERVICE 0.00 524.10
PARTS/SUPPLIES 8694 0.00 391.06
SERVICE AGREEMENT FOR 0.00 90.00
BINGO SUPPLIES 0.00 36.91
0.00
DISPOSABLE GLOVES 8316
230.39
RL~ DATE 08/23/02 TIF{E 09:47:02 - FINANCIAL ACCOI/NTING
08/23/02 CITY OF CUPERTINO
ACCOUNTING PERIOD: 2/0~ C~ECK REGISTER - DISBURSEMENT FUND
~CTION CRITERIA: transact.frans_date between "08/19/2002" and "08/23/2002"
PAGE 3
..... DESCRIPTION ...... SALES TAX AMOUNT
1020 595408 08/23/02 148 CASH 5806349
1020 595408 08/23/02 146 CASH 5806349
TOTAL CHECK
1020 595409 08/23/02 147 CASH 5506549
1020 595409 08/23/02 147 CASH 5506549
1020 595409 08/23/02 147 CASH 1106500
1020 595409 08/23/02 147 CASH 5506549
1020 595409 08/23/02 147 C/LSH 5506549
TOTAL CHECK
1020 595410 08/23/02 149 CASH 1104310
1020 595410 08/23/02 149 CASH 1104400
1020 595410 08/23/02 149 C~H 1101000
1020 595410 08/23/02 149 C~H 1104510
1020 595410 08/23/02 149 CASH 1107501
TOTAL CHECK
1020 595411 08/23/02 2136
1020 595412 08/23/02 155
595413 08/23/02 2461
1020 595414 08/23/02 M
1020 595415 08/23/02 M
1020 595416 08/23/02 1756
1020 595417 08/23/02 192
1020 595417 08/23/02 192
1020 595417 08/23/02 192
1020 595417 08/23/02 192
1020 595417 08/23/02 192
TOTAL CHECK
1020 595418 08/23/02 175
1020 595418 08/23/02 175
1020 595418 08/23/02 175
1020 595418 08/23/02 175
1020 595418 08/23/02 175
1020 595418 08/23/02 175
TOTAL CHECK
1020 595419 08/23/02 1579
1020 595419 08/23/02 1579
TOTAL CHECK
595420 08/23/02 198
CENT~ COMPUTER 1103500
CEbTi~ WHOLESALE AKIRSER 1108408
C~L~OT SPACE & SCIENCE C 5806349
CHEN, SANDY 580
CHEUNG, MEI YING 580
CITY OF SUNbTYVALE UTILIT 1108511
CMC OCCUPATION~.L HEALTH 1104540
CMC OCCUPATIONAL HEALTH 1108201
CMC OCCUPATIONAL HEALTH 1104540
CMC OCCUPATIONAL HEALTH 1108201
CMC OCCUPATIONAL HEALTH 1108201
COCA-COLA USA 5606620
COCA COLA USA 5606620
COCA-COLA USA 5606620
COCA-COLA USA 5606620
COCA-COLA USA 5606620
COCA-COLA USA 5606620
CUPERTINO LOC-N-STOR LLC 1108503
CUPERTINO LOC-N-STOR LLC 1108501
CUPERTINO UNION SCRL DIS 5806449
PETTY CASH 8/07-8/19 0.00 37.00
PETTY CASH 8/07-8/19 0.00 104.92
0.00 141.92
PETTY CASH 7/30-8/20 0.00 42.07
PETTY CASH 7/30-8/20 0.00 15.57
PETTY CASH 7/30-8/20 0.00 50.96
PETTY C~H 7/30 8/20 0.00 48.00
PETTY CASH 7/30-8/20 0.00 19.55
0.00 176.15
PETTY CASH 8/14-8/20 0.00 60.90
PETTY CASH 8/14-8/20 0.00 46.17
PETTY CASH 8/14-8/20 0.00 10.00
PETTY CASH 8/14-8/20 0.00 65.00
PETTY CASH 8/14-8/20 0.00 20.00
0.00 202.07
SUPPLIES 16451 0.00 287.89
I~SCAPE SUPPLY 8332 0.00 89.31
ADMISSION 8/14 0.00 150.00
Refund: Check Rental 8.00 300.00
Refund: Check SU~ER 0.00 168.00
5/14-8/01/02 0.00 6.58
~ALL CLAIM 0.00 53.51
BARRAGA/q/HEPATITIS 0.00 70.00
H~L CLAIM 0.00 248.67
BLOOMQUIST/HEPATITIS 0.00 70.00
P~IYSICAL GEISSHIRT/JAR 0.00 292.50
0.00 734.68
FOUNTAIN MACHINE 8/02 0.00 21.65
FOLTNTAIN MACHINE 8/02 0.00 21.65
FOUNTAIN MACHINE 8/02 0.00 21.65
FOUNTAIN MACHINE 8/02 0.00 21.65
FOUNTAIN MACHINES 8/02 0.00 27.06
FOUNTAIN MACHINE 8/02 0.00 21.65
0.00 135.31
UNIT G-33 9/2002 0.00 217.00
UNIT G-34 9/2002 0.00 217.00
0.00 434.00
RENTAL OF KENNEDY JR H 0.00 80.60
RUN DATE 05/23/02 TIME 09:47:02 - FIN~/qCIAL ACCOUNTING
08/23/02 CITY OF CUPERTINO
ACCOUNTING PERIOD: 2/08 CHECK REGISTER - DISBURSEMENT FT~ND
~-~CTION CRITERIA: transact.trans_date between "08/19/2002" and "08/23/2002"
1020 595421 08/23/02 210
1020 595422 08/23/02 1492
1020 595423 08/23/02 676
1020 595424 08/23/02 214
1020 595425 08/23/02 850
1020 595426 08/23/02 1242
1020 595426 08/23/02 1242
1020 595426 08/23/02 1242
TOTAL CHECK
1020 595427 08/23/02 1104
1020 595428 08/23/02 223
1020 595429 08/23/02 2756
~--n 595430 08/23/02 253
595430 08/23/02 253
TOTAL CHECK
1020 595431 05/23/02 2304
1020 595432 08/23/02 262
1020 595433 08/23/02 266
1020 595434 08/23/02 M
1020 595435 08/23/02 274
1020 595436 05/23/02 251
1020 595436 08/23/02 281
1020 595436 06/23/02 281
1020 595436 08/23/02 281
TOTAL CHECK
1020 595437 05/23/02 262
1020 595438 08/23/02 M2008
1020 595439 08/23/02 292
1020 595440 08/23/02 2755
1~ 595441 08/23/02 286
DEEP CLIFF ASSOCIATES L 5806449
DENCO SALES COMPAhnf 2708404
DEPAR/~ENT OF JUSTICE 1104510
DEPARTMENT OF T~LANSPORTA 1108602
DIDD~4S AMAZING PARI~ ST 5806349
DIGIT;kL PRINT IMPRESSION 1108501
DIGITAL PRINT IMPRESSION 1107501
DIGITAL PRINT IMPRESSION 1101200
DIVERSIFIED RISK 1104540
DON & MIKE'S SWEEPING IN 2308004
J~3LIE EGGER 1101201
EXC~L%NGE LINEN SERVICE 5606620
EXCHANGE LINEN SERVICE 5606620
FIELD PAOLI ARCHITECTURE 4269212
FIRST PLACE INC 1103300
RYAN FORBES 5806449
FOREMAN, JERRY 580
FRY'S ELECTRONICS 5706450
GARDENLAND 6308840
GARROD F~S/STkBLES 5806449
GELDREICH, SHERYL 110
GOLFLAND ENTERTAINMENT C 5806349
S~.LV~.DOR GONZALEZ 1101201
KAREN GOTTLEIB 5806449
..... DESCRIPTION ...... SALES TAR
PAGE 4
AMOUNT
SERVICE AGREEMENT FOR 0.00 12444.00
SUPPLIES 15120 0.00 299.44
FINGERPRINT JL~Y2002 0.00 288.00
FY 2002-2003 OPEN PURC 0.00 206.72
SUPPLIES 25376 0.00 25.72
B.C~S/R.WINSLOW 0.00 66.79
B.CARDS/G.CHSTEEL 0.00 66.79
B.C/RL~EAN/LAGERGREN 0.00 126.33
0.00 259.91
BLOCK P;~RTy 0.00 477.18
SWEEPING/WATER LE;~{ 0.00 195.00
SERVICE AGREEMENT FOR 0.00 1200.00
FY 2002-2003 OPEN PURC 0.00 172.32
FY 2002-2003 OPEN PURC 0.00 251.96
0.00 424.28
PUBLIC WORKS CONTRACT 0.00 13955.64
CHEST AWARD 0.00 86.60
SERVICE AGREEMENT FOR 0.00 1592.00
Refund: Check - Full r 0.00 55.00
FAX 17056 0.00 303.09
FY 2002-2003 OPEN PDRC 0.00 45.01
FY 2002-2003 OPEN PUBC 0.00 67.70
FY 2002-2003 OPEN PURC 0.00 83.76
FY 2002-2003 OPEN PURC 0.00 11.69
0.00 208.16
SERVICE AGREEMENT FOR 0.00 1040.00
RENTAL DPST REFURrD 0.00 320.00
FIELD ~IP 8/19 17078 0.00 75.00
SERVICE AGREEMENT FOR 0.00 1200.00
SERVICE AGREEMENT FOR 0.00 1600.00
RUN DATE 08/23/02 TIME 09:47:03 FINARCIAL ACCOL~NTING
08/23/02 CITY OF CUPERTINO
ACCOUNTING PERIOD: 2/08 C~ECK REGISTER - DISBURSEMENT FUND
~--~CTiON CRITERIA: transact.trans date between "08/19/2002" and "08/23/2002"
FUND - 110 - GENER3tL FUND
1020 595442 08/23/02 1741
1020 595443 08/23/02 2046
GOVCONNECTION, INC. 6104800
GOVEP/~MENT FINANCE OFFIC 1104000
1020 595444 08/23/02 298 GRAINGER INC 1108503
1020 595444 08/23/02 298 GRAINGER INC 1108830
1020 595444 08/23/02 298 GP~INGER INC 1108830
1020 595444 08/23/02 298 GRAINGER INC 1108830
1020 595444 08/23/02 298 GRAINGER INC 1108830
TOTAL CHECK
1020 595445 08/23/02 2630
1020 595446 08/23/02 M
1020 595447 08/23/02 2282
1020 595448 08/23/02 325
1020 595449 08/23/02 2612
~--~ 595450 08/23/02 1951
595450 08/23/02 1951
1020 595450 08/23/02 1951
1020 595450 08/23/02 1951
TOTAL CHECK
1020 595451 08/23/02 1898
1020 595451 08/23/02 1898
1020 595451 08/23/02 1898
TOTAL CHECK
1020 595452
08/23/02 M2003
08/23/02 1981
08/23/02 1981
1020 595453
1020 595453
TOTAL CHECK
1020 595454 08/23/02 353
1020 595455 08/23/02 354
1020 595456 08/23/02 2374
1020 595456 08/23/02 2374
1020 595456 08/23/02 2374
TOTAL CHECK
1020 595457 08/23/02 ~E2003
1~ 595458 08/23/02 1630
GREGORY B. BRAGG & ASSOC 6204550
GURIKAR, M/~qESH 580
HEA~TH CON~CTIONS 1106500
DAi~IEL HEDDEN 1106500
RONALD HOGUE 5506549
HOMESTEAD F.F.C. INC 5806349
HOMESTEAD F.F.C. INC 5806349
HOMESTEAD F.F.C. INC 5806349
HOMESTEAD F.F.C. INC 5806349
HORIZON 1108303
HORIZON 1108407
HORIZON 1108407
I A P M 0 1107501
INTERSTATE T~AFFIC CONTR 2708405
INTERSTATE TRAFFIC CONTR 2708405
IRON MOUNTAIN 1104300
J C~AWFORD & ASSOCIATES 1104400
JII PROMOTIONS, INC. 1102403
JII PROMOTIONS, INC. 1103300
JII PROMOTIONS, INC. 1101060
KEVY, K~EN 5806449
KIDZ LOVE SOCCER INC 5806449
..... DESCRIPTION ...... SALES TAX
PAGE 5
AMOUNT
2822.62
ME~ERSHIP RNWL 0.00 500.00
FY 2002-2003 OPEN PURC 0.00 17.56
PARTS/SUPPLIES 0.00 133.63
RETUP~ PA~RTS/SUPPLIES 0.00 -50.52
P~RTS/SUPPLIES 0.00 35.02
PARTS/SUPPLIES 0.00 103.01
0.00 238.70
WORK COM CLAIMS ADMIN 0.00
Refund: Check - Rental 0.00
HEALTH FAIR SUPPLIES 0.00
SERVICE AGREEMENT FOR 0.00
SERVICE AGREEMENT FOR 0.00
BOWLING SCIENCE FI/N 17 0.00
BOWLING 8/07 17513 0.00
BOWLING 8/13 17515 0.00
SL~ER FINALE 17562 0.00
0.00
FY 2002-2003 OPEN PURC 0.00
FY 2002-2003 OPEN PL~C
FY 2002 2003 OPEN PURC 0.0O
0.00
MEMBERSHIP FEE/STR3%SSE
ADVANCED TEC WHITE
ASVANCED TEC YELLOW PA
0.00
0.00
0.00
0.00
FY 2002-2003 OPEN PURC
SUPPLIES 16599 0.00
669.49
300.00
40.00
250.00
160.00
165.00
185.00
90.00
75.00
515.00
215.44
74.29
65.09
354.82
30.00
2300.31
5942.93
8243.24
484.86
131.06
449.70
399.05
1008.47
1857.22
AQUATICS BBQ O.O0 80.71
SERVICE AGREEMENT FOR 0.00 5801.60
RUN DATE 08/23/02 TIME 09:47:04 - FIN;%NCIAL ACCOgl~TING
08/23/02 CITY OF CUPERTINO
ACCOUNTING PERIOD: 2/03 CHECK REGISTER - DISBURSEMENT FUND
~--qCTION CRITERIA: transac~.trans_date between "08/19/2002" and "08/23/2002"
CASH ACCT CHECK NO
1020 595456
TOTAL CHECK
1020 595459
1020 595460
1020 595461
1020 595462
1020 595462
1020 595462
1020 595462
TOTAL CHECK
1020 595463
1020 595464
1020 595465
1020 595466
595467
1020 595468
1020 595468
1020 595468
1020 595468
TOTAL CHECK
1020 595469
1020 595469
TOTAL CHECK
1020 595470
1020 595471
1020 595472
1020 595472
1020 595472
TOTAL CHECK
1020 595473
1020 595473
TOTAL CHECK
1020 595474
1~ 595475
ISSUE DT .............. VENDOR ............. FUND/DEPT
08/23/02 1630 KIDZ LOVE SOCCER INC 5806449
08/23/02 1972 KIMBALL-MIDWEST 6308840
08/23/02 371 LISA KING 5806449
08/23/02 385 LAB SAFETY SUPPLY 1108409
08/23/02 390 L~WSON PRODUCTS INC 2708405
08/23/02 390 LAWSON PRODUCTS INC 2708405
08/23/02 390 LANSON PRODUCTS INC 2708405
08/23/02 390 LAWSON PRODUCTS INC 2708405
08/23/02 396
08/23/02 1393
08/23/02 397
08/23/02 1356
08/23/02 2514
08/23/02 408
08/23/02 408
08/23/02 408
08/23/02 406
PHILLIP M LENIHAN 5806449
THE LEONARD GROUP INC 1103300
LESLIE'S POOL SUPPLIES I 1108321
LEXISNEXIS M3kTTHEW BENDE 1101500
LOS ALTOS GARBAGE 1106448
LOS GATOS MEAT & SMOKEHO 5606620
LOS GATOS M~T & SMOKEHO 5606620
LOS GATOS MEAT & SMOKEHO 5606620
LOS GATOS MEAT & SMOKEHO 5606620
08/23/02 2773
08/23/02 2773
[~3kRCUS & ASSOCIATES 1108101
MARC~3S & ASSOCIATES 1108101
08/23/02 1968
08/23/02 940
08/23/02 444
08/23/02 444
08/29/02 444
I~AZE ~ ASSOCIATES 1104000
MILPITAS MOWERS INC 6308840
MINTON'S LURER 1108830
MINTON'S LURER 1108506
MINTON'S LUMBER 1108501
08/23/02 447
08/23/02 447
MISSION UNIFOR~ SERVICE 1108201
MISSION UNIFORM SERVICE 1108201
08/23/02 2448
08/23/02 2650
MO, TERESA F. 5506549
MONSTER~q{AK 1104510
..... DESCRIPTION ......
SERVICE AGREEMENT FOR
SUPPLIES 8318
SERVICE AGREEMENT FOR
SUPPLIES 8302
P~RTS/SUPPLIES 15108
PARTS/SUPPLIES 15112
PARTS/SUPPLIES 15112
PARTS/SUPPLIES 15108
SERVICE AGREEMENT FOR
MANTEL CLOCK/ANTONUCCI
POOL SUPPLIES
ACCT #9495034001
DEBRIS BOX 17076
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PURC
PROGBILL AUDIT FY02
PARTS/SUPPLIES 8303
pARTS/SUPPLIES 20584
PARTS/SUPPLIES 26732
PARTS/SUPPLIES 8313
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PURC
ICE CRF~ SOCIAL/GOLF
JOB POSTING/REC ASSIST
0.00
0.00
0,00
0.00
0,00
0.00
0.00
0.00
0.00
0.00
0.00
0,00
0.00
0.00
0.00
0,00
0,00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0,00
0.00
0.00
0.00
0.00
0.00
0.00
0,00
0.00
PAGE 6
AMOUNT
5417.00
11216.60
173.77
897.00
465.19
66.03
271.91
40.62
322.60
701.16
87.50
310.09
182.00
64.74
583.84
554.26
452.47
463.02
2388.93
3878.68
750.00
700.00
1450.00
87.50
192.08
12.60
26.81
118.66
160.07
77.60
77.60
155.20
152.41
25.00
RI/iq DATE 08/23/02 TIME 09:47:04 - FINANCIAL ACCOUNTING
08/23/02 CITY OF CUPERTINO
ACCOUNTING PERIOD: 2/03 C~ECK REGISTER - DISBURSEMENT FUND
~--~CTION CRITERIA: transact.trans_date between "08/19/2002" and "08/23/2002"
FL~ - 110 - GENEP~ FL~
CASR ACCT CHECK NO ISSUE DT .............. VENDOR ............. FEND/DEPT
..... DESCRIPTION ...... SALES TAX AMOUNT
1020 595476 08/23/02 2405 C~IS MORTON 5806449
1020 595477 08/23/02 465
1020 595477 08/23/02 465
1020 595477 08/23/02 465
1020 595477 08/23/02 465
TOT;kL CHECK
1020 595478 08/23/02 473
1020 595479 08/23/02 2774
1020 595480 05/23/02 479
1020 595481 08/23/02 ME2003
1020 595482 08/23/02 455
1020 595483 08/23/02 M2003
1020 595484 08/23/02 2639
595485 08/23/02 496
1020 595486 08/23/02 499
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
1020 595487 08/23/02 493
TOTkL C"~ECK
1020 595485 05/23/02 500
1020 595488 08/23/02 500
1020 595488 08/23/02 500
TOTAL CHECK
1020 595489 08/23/02 2692
1~ 595489 08/23/02 2692
MOL~AIN VIEW GAXDEN CEN 1108315
MOD/~TAIN VIEW GARDEN CEN 1108312
MOUbFFAIN VIEW GARDEN CEN 1108312
MOLrNTAIN VIEW GAP~DEN CEN 1108312
N~ER DISTRIBUTORS INC 5606620
NATIONAL WOOD PRODUCTS, 1108505
NATURES WOOD 5606620
NEMETZ, SCOTT 5606620
NEW~ TRAFFIC SIGNS 2708405
NOROUZI, REZA 110
NOVA PAXTNERS INC 4259313
O'GPJ%DY PAVING INC 2709435
DEBBIE O'NEILL 5606620
OFFICE DEPOT 1104510
OFFICE DEPOT 1107503
OFFICE DEPOT 5806249
OFFICE DEPOT 1104000
OFFICE DEPOT 1107405
OFFICE DEPOT 1108101
OFFICE DEPOT 1104000
OFFICE DEPOT 1107405
OFFICE DEPOT 1107301
OFFICE DEPOT 1107405
OFFICE DEPOT 1107405
OFFICE DEPOT 1108101
OFFICE DEPOT 1108101
OFFICE DEPOT 1107501
OFFICE DEPOT 1107301
OPERa, TING ENGINEERS PUN 110
OPERATING ENGINEERS pUB 1104510
OPERATING ENGINEERS P~IB 1104510
SERVICE AGREEMENT FOR 0.00 1800.00
FY 2002-2003 OPEN PUNC 0.00 48.64
FY 2002-2003 OPEN PURC 0.00 17.83
FY 2002 2003 OPEN PL~RC 0.00 32.42
FY 2002 2003 OPEN PUNC 0.00 64.84
0.00 163.73
FY 2002-2003 OPEN PURC
PARTS 16002
FY 2002 2003 OPEN PUNC
TRAINING CLASS
0.00 579.48
0.00 144.65
0.00 340.99
0.00 75.00
FY 2002-2003 OPEN PNRC 0.00 169.70
CASH/L~OR/MATERIAL BO 0.00 50000.00
SERVICE AGREEMENT FOR 0.00 3360.00
PROVIDE MATERIALS SIGN 0.00 3402.00
SERVICE AGREEMENT FOR 0.00 285.00
OFFICE SUPPLIES 0.00 23.97
OFFICE SUPPLIES 0.00 145.13
OFFICE SUPPLIES 0.00 203.10
OFFICE SUPPLIES 0.00 34.42
OFFICE SUPPLIES 0.00 54.10
RETURN OFFICE SUPPLIES 0.00 12.93
OFFICE SUPPLIES 0.00 119.57
OFFICE SUPPLIES 0.00 11.13
OFFICE SUPPLIES 0.00 96.16
OFFICE SUPPLIES 0.00 214.31
OFFICE SUPPLIES 0.00 25.95
OFFICE SUPPLIES 0.00 28.61
OFFICE SUPPLIES 0.00 53.95
OFFICE SUPPLIES 0.00 73.58
OFFICE SUPPLIES 0.00 73.58
0.00 1144.63
H & W P.W. EMPLOYEE 0.00 6286.00
H & W P.W. R.SPOUSAL 0.00 3812.50
H & W P.W. RETIREE 0.00 898.00
0.00 10996.50
PACIFIC BELL 6104800 7/01-7/31 0.00 595.75
PACIFIC BELL 1108505 8/07-9/06 0.00 55.25
RUN DATE 08/23/02 TIME 09:47:05 FIN/~NCIIkL ACCOUNTING
08/23/02 CITY OF CUPERTINO PAGE 8
ACCO~INTING PRRIOD: 2/03 CRECK REGISTER - DISBURSEMENT F~
"--~CTION CRITERIA: transact.trans_date between "08/19/2002" and "08/23/2002"
1020 595489 08/23/02 2692 PACIFIC BELL 1108501
1020 595489 08/23/02 2692 PACIFIC BELL 5606620
1020 895489 08/23/02 2692 PACIFIC BELL 1108505
1020 595489 08/23/02 2692 PACIFIC BELL 1108504
1020 595489 08/23/02 2692 PACIFIC BELL 5708510
1820 595489 08/23/02 2692 PACIFIC BELL 1108505
1020 595489 08/23/02 2692 PACIFIC BELL 1101500
1020 595489 08/23/02 2692 PACIFIC BELL 1108501
1020 595489 08/23/02 2692 PACIFIC BELL 1108503
1020 595489 08/23/02 2692 PACIFIC BELL 1101500
1020 595489 08/23/02 2692 PACIFIC BELL 1108501
1020 595489 08/23/02 2692 PACIFIC BELL 5708510
1020 595489 08/23/02 2692 PACIFIC BELL 1108501
1020 595489 08/23/02 2692 PACIFIC BELL 1108504
1020 595489 08/23/02 2692 PACIFIC BELL 1108503
1020 595489 08/23/02 2692 PACIFIC BELL 6104800
TOTAL CHECK
1020 595490 08/23/02 511 PACIFIC BELL/WORLDCOM 1108501
1020595491 08/23/02 515
1020595491 08/23/02 515
~--~595491 08/23/02 515
L CHECK
PACIFIC WEST SECTIRITY IN 1108501
PACIFIC WEST SECURITY IN 1102403
PACIFIC WEST SECL~RITY IN 1108501
1020 595492 08/23/02 520 PAPERDIRECT INC 5806349
1020 595493 08/23/02 M2003 PEACE, J~/~ETT 5806249
1020 595494 08/23/02 1748 STEVE PIA~ECKI 1107200
1020 595495 08/23/02 545 JEFF PISERCHIO 5606640
1020 595496 08/23/02 2316 POWER HOUSE EQUIPMENT 1108312
1020 595497
08/23/02 495 PRIME OFFICE PRODUCTS, I 1106100
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1020 595498 08/23/02 509
1~'~ 595498 08/23/02 509
PW SUPERMARKETS INC 1106342
PW SUPERMARKETS INC 5806349
PW SUPER~KETS INC 1106342
PW SUPERMARKETS INC 1106342
PW SUPERMARKETS INC 5806349
PW SUPERMARKETS INC 5806349
FW SUPERMARKETS INC 5806349
PW SUPERMARKETS INC 5506549
PW SUPERMARKETS INC 1106342
PN SUPERM~KETS INC 5806349
PW SUPERMARKETS INC 5806349
PW SUPEPJ~ARKETS INC 1106342
PW SUPEP~KETS INC 1106342
PW SUPER~KETS INC 1106342
..... DESCRIPTION ...... SALES TAX
AMOUNT
8/07-9/06 0.00 89.55
8/07-9/06 8.00 89.54
8/07-9/06 0.00 89.54
8/07-9/06 0.00 89.55
8/07-9/06 0.00 89.54
8/07-9/06 0.00 245.43
8/07-9/06 0.00 89.55
8/07 9/06 0.00 89.54
8/07-9/06 0.00 89.54
8/07-9/06 0.00 245.43
7/13-8/12 0.00 299.00
8/07-9/06 0.00 245.43
8/07-9/06 0.00 245.43
8/07-9/06 0.00 490.84
8/07-9/06 0.00 245.43
8/07-9/06 0.00 259.36
0,00 3643.70
#2522405 AUG2002 0.00 16.77
MONITORING FEE 8/2002 0.00 35.00
INSTALLATION 0.00 1118.00
MONITORING FEE 9/2002 0.00 35.00
0.00 1188.00
OFFICE SUPPLIES 17558 0.00 59.90
C}{AIRS/ART CLASS 0.00 363.72
APA STATEWIDE CONF 0.00 86.50
BBF COLF CONCESSIONAIR 0.00 1899.00
PARTS/SUPPLIES 8327 0.00 160.95
OFFICE SUPPLIES 0.00 108.59
SUPPLIES 25350 8.00 20.03
SUPPLIES 25236 0.00 5.99
SUPPLIES 25211 0.00 9.28
SUPPLIES 23227 0.00 47.55
SUPPLIES 25383 0.08 49.74
SUPPLIES 23226 0.00 15.04
SUPPLIES 25382 0.00 16.67
SUPPLIES 23394 0.00 23.97
SUPPLIES 25356 0.80 5.67
SUPPLIES 25338 0.00 44.21
SUPPLIES 25342 0.00 8.57
SUPPLIES 25357 0.00 3.28
SUPPLIES 25237 0.00 13.94
SUPPLIES 25205 0.00 15.13
ROI~ DATE 08/23/02 TIME 09:47:06 - FINAMCIAL ACCOLINTING
08/23/02 CITY OF CUPERTINO
ACCOL~qTING PERIOD: 2/03 C~ECK REGISTER - DISBURSEMENT FUND
~ECTION CRITERIA: transact.trans_date between "08/19/2002" and "08/23/2002"
FL~ - 110 - GEh~ERAL FUND
CASH ACCT CHECK NO
1020 595498 08/23/02 509 PW SUPER~KETS INC 1106342
1020 595498 08/23/02 509 PW SUPERMARKETS INC 5506349
1020 595498 08/23/02 589 PW SUPERMARKETS INC 5806349
1020 595498 08/23/02 509 PW SUPERMARKETS INC 1106342
TOTAL CHECK
1020 595499
1020 595500
1020 595501
1020 595502
1020 595502
TOTD~L CHECK
1020 595503
1020 595504
1020 595504
TOTAL CHECK
595505
595505
TOTAL CHECK
1020 595506
1020 595507
1020 595508
1020 595508
TOTAL CHECK
1020 595509
1020 598510
1020 595510
1020 595510
TOTAL C~ECK
1020 595511
1020 595512
1020 595512
1020 595512
1020 595512
1020 595512
1020 595512
TOTAL CHECK
08/23/02 2278 QUALLS, RALPH 1108001
08/23/02 1406 RAINES C~EVORLET 6308840
08/23/02 1071 REPUBLIC ELECTRIC 4209528
08/23/02 594 RIVERVIEW SYSTEMS GROUP 5506549
08/23/02 594 RIVERVIEW SYSTEMS GROUP 5506549
08/23/02 601
08/23/02 2465
08/23/02 2465
ROYAL BRASS INC 6308840
SAN JOSE BOILER WORKS, I 1108501
SAN JOSE BOILER WORKS, I 1108504
08/23/02 71 S~uN JOSE DAIRY 5606620
08/23/02 71 S~ JOSE DAIRY 5606620
08/23/02 621
08/23/02 959
08/23/02 625
08/23/02 625
SAN JOSE MERCURY CLASSIF 1104510
SAN JOSE MERCL~Y NEWS 1104000
SAN JOSE WATER COMPA~ 4209116
SA~ JOSE WATER COMPS-NY 1108407
08/23/02 628
08/23/02 633
08/23/02 633
08/23/02 633
S~%NTA CLARA COUNTY SHERI 1102100
SANTA CL~ COUNTY SBERI 5606620
SANTA CLARA COLBY SHERI 5606620
SANTA CLAP~ COUNTY SKERI 5606620
08/23/02 1648
08/23/02 639
08/23/02 639
08/23/02 639
08/23/02 639
08/23/02 639
08/23/02 639
SAVIN CORPORATION (SUPPL 1104310
SAVIN CORPORATION (COPIE 1104310
SAVIN CORPORATION (COPIE 5806449
SAVIN CORPORATION (COPIE 5806349
SAVIN CORPORF4TION (COPIE 5806249
SAVIN CORPORATION (COPIE 5706450
SAVIN CORPORATION (COPIE 5506549
PAGE 9
..... DESCRIPTION ...... SALES TAX AMOUNT
SUPPLIES 25380 0.00 12.40
SUPPLIES 25238 0.00 29.52
SUPPLIES 25377 0.00 50.00
SUPPLIES 25381 0.00 4.00
0.00 374.99
MTG EXPENSES 6/18-8/16 0.00 176.09
FY 2002-2003 OPEN PUNC 0.00 55.34
PUBLIC WORKS CONTPJ~CT 0.00 2080.00
RECEPTION HALL AT SENI 0.00 4753.04
AUDIO EQUIPMENT 0.00 2406.87
0.00 7159.91
0.00 52.42
0.00 862.48
0.00 862.48
0.00 1724.96
PARTS/SUPPLIES 24472
TIME/MATERIALS
TIME/MATERI~tLS
FY 2002-2003 OPEN PI/RC 0.00 186.00
FY 2002-2003 OPEN PUNC 0.00 320.80
0.00 506.80
ACCT #039069
9 12/2002 0491390
7/12-7/31
1/03-7/15
LAW ENFORCEMENT SERVIC
FY 2002 2003 OPEN PURC
FY 2002-2003 OPEN PURC
FY 2002 2003 OPEN PURC
0.00 598.68
0.00 40.58
0.00 50.71
0.00 347.75
0.00 395.46
0.00 488502.17
0.00 792.71
0.00 761.00
0.00 665.87
0.00 2219.58
0.00 191.49
~15060106 6/08-9/08 0.00 37.47
#15060106 6/08-9/08 0.00 6.05
#15060106 6/08-9/08 0.00 5.86
#15060106 6/08-9/08 0.00 22.84
#15060106 6/08 9/08 0.00 4.20
#15060106 6/08-9/08 0.00 21.01
0.00 97.43
RUN DATE 08/23/02 TIME 09:47:06 - FINANCIAL ACCOUNTING
08/23/02 CITY OF CUPERTINO
ACCOUNTING PERIOD: 2/03 CHECK REGISTER - DISBURSEMENT FLTND
~--?CTION CRITERIA: transact.trans_date between "08/19/2002" and "08/23/2002"
FU1FD - 110 - GENERAL FUND
1020 595513 08/23/02 2397
1020 595514 08/23/02 644
1020 595515 08/23/02 1530
1020 595516 08/23/02 2051
1020 595517 08/23/02 2446
1020 595518 08/23/02 1910
1020 595519 08/23/02 659
1020 595520 08/23/02 200
1020 595521 08/23/02 1954
1020 595522 08/23/02 951
1020 595523 08/23/02 529
~n 595524 08/23/02 2045
595524 08/23/02 2045
1020 595524 08/23/02 2045
1020 595524 08/23/02 2045
1020 595524 08/23/02 2045
TOTAL CHECK
1020 595525 08/23/02 694
1020 595526 08/23/02 695
1020 595526 08/23/02 695
1020 595526 08/23/02 695
1020 595526 08/23/02 695
1020 595526 08/23/02 695
TOTAL CHECK
1020 595527 08/23/02 700
1020 595527 08/23/02 700
1020 595527 08/23/02 700
TOTAL CHECK
1020 595528 09/23/02 701
1020 595526 08/23/02 70i
TOTAL CHECK
1020 595529
1020 595530
SAVIN CREDIT CORPORATION 1104310
SCREEN DESIGNS 5606620
S}~24ROCK SALES 1108201
SIADAT ENTERPRISES, INC. 6308840
SIGNA A RAMA 1101201
SILICON SHORES INC 5806449
SKYHAWKS SPORTS ACADEMY 5806449
LESLIE SOKOL DBA DANCEKI 5806449
SPHERION CORPORATION 1108201
SU~ERWINDS G~D~DEN CNTR, 1108303
SUNGARD PENTAF~TION, INC 6104800
SVCH 1104300
SVCN 1104300
SVCN 1104300
SVCN 1104300
SVCN 1104300
SYNCHRONEX 1108602
SYSCO FOOD SERVICES OF S 5506549
SYSCO FOOD SERVICES OF S 5506549
SYSCO FOOD SERVICES OF S 5606620
SYSCO FOOD SERVICES OF S 5606620
SYSCO FOOD SERVICES OF S 5506549
T~J~GET SPECIALTY PRODUCT 1108315
TARGET SPECIALTY PRODUCT 1108315
TARGET SPECIkLTY PRODUCT 1108303
TARGET STORES 5806349
TARGET STORES 5806349
08/23/02 1564
08/23/02 1763
TEACHERS' HELPER 5806349
THEATERFUN INC 5806349
..... DESCRIPTION .....
9/2002 PYMT #41626657
STAFF T-SHIRTS
SUPPLIES/FII~ 8324
VEHICLE WASHES 7/2002
BANNER/F.FESTIVAL 4279
SERVICE AGREE~4ENT FOR
SERVICE AGREEMENT FOR
SERVICE AGREEMENT FOR
N.T.LAW/E 8/04/02
LANDSCAPE SUPPLY 20568
DATA LINE CHRGS 7/2002
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PDRC
FY 2002-2003 OPEN PURC
AUDIBLE PED
EQUIPMENT
COFFEE
FY 2002-2003 OPEN PURC
FY 2002 2003 OPEN PURC
SENIOR SOCIALS
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN pURC
FY 2002-2003 OPEN pURC
SUPPLIES 25102
SUPPLIES 25104
SUPPLIES 25106
SERVICE AGREEMENT FOR
SALES TAX
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
AMOUNT
147.83
487.13
584.23
227.50
281.45
1444.50
2244.00
2960.70
840.00
50.34
171.96
47.50
50.00
32.50
27.50
45.00
202.50
3786.69
43.10
105.42
1988.76
3311.98
208.21
5657.47
2231.30
2890.19
3061.09
8182.58
16.18
44.74
60.92
34.49
85,00
RUN DATE 08/23/02 TIME 09:47:07 - FINA~CI/LL ACCOUNTING
08/23/02 CITY OF CUPERTINO PAGE
ACCOY3NTING PERIOD: 2/03 CHECK REGISTER - DISBURSEMENT FUND
'--qCTION CRITERIA: transact.transdate between "08/19/2002" and "08/23/2002"
1020 595531 08/23/02 709 LOU THXIR~ 5806449
1020 595532 08/23/02 M2003 TOM YEAGER/PWWA 1108201
1020 595533 08/23/02 727 U S POSTT4ASTER 5806449
1020 595533 08/23/02 727 U S POSTMASTER 5806349
1020 595533 08/23/02 727 U S POSTMASTER 5806249
TOTAL CHECK
1020 595534 08/23/02 2584 UNIVERSAL DIALOG, INC. 1103300
1020 595535 08/23/02 310 VERIZON WIRELESS 1108602
1020 595535 08/23/02 310 VERIZON WIRELESS 5208003
1020 595535 08/23/02 310 VERIZON WIRELESS 1101200
1020 595535 08/23/02 310 VERIZON WIRELESS 1107503
1020 595535 08/23/02 310 VERIZON WIRELESS 1108005
1020 595535 08/23/02 310 VERIZON WIRELESS 1108102
1020 595535 08/23/02 310 VERIZON WIRELESS 1108201
1020 595535 08/23/02 310 VERIZON WIRELESS 1108501
1020 595535 08/23/02 310 VERIZON WIRELESS 1107501
1020 595535 08/23/02 310 VERIZON WIRELESS 1108503
1020 595535 08/23/02 310 VERIZON WIRELESS 5606620
~--9 595535 08/23/02 310 VERIZON WIRELESS 1108504
595535 08/23/02 310 VERIZON WIRELESS 6104800
1020 595535 08/23/02 310 VERIZON WIRELESS 1108505
TOTAL CHECK
1020 595536 08/23/02 2117 RAD]{A VIGNOLA 5806449
1020 595537 08/23/02 746 VIKING OFFICE PRODUCTS 6308840
1020 595537 08/23/02 746 VIKING OFFICE PRODUCTS 6308840
TOTAL CHECK
1020 595535 08/23/02 751 VOLT 1108501
1020 595539 08/23/02 1342 VESTA WALDEN 5606620
1020 595540
05/23/02 18 WASTE ORGANIZATION ADONA 1108005
1020 595541 08/23/02 761 WEDEMEYER B~J~ERY 5606620
1020 595541 08/23/02 761 WEDEMEYER B;~fERY 5606620
TOTAL CHECK
1020 595542 08/23/02 765 DR CHI-HSUI D WENG 5806449
1020 595543
08/23/02 766 WEST BAY STUMP REMOVAL I 1108408
1020 595544
08/23/02 768 WEST GROUP PAYMENT CENTE 1101500
1020 595545 08/23/02 783 WIEBE PAINTING 1108503
.... DESCRIPTION ...... SALES TAX AMOUNT
SERVICE AGREEMENT FOR 0.00 929.50
2002 pWWA ANNUAL MTG 0.00 54.00
POSTAGE STAMPS 0.00 74.00
POSTAGE STAMPS 0.00 74.00
POSTAGE STAMPS 0.00 74.00
0.00 222.00
TRANSLATION 7/31-8/13 0.00 680.10
#408456999 JI/LY2002 0.00 207.02
#408456999 JI/LY2002 0.00 50.14
~408456999 JLTLY2002 0.00 54.10
#408456999 J~3LY2002 0.00 362.78
#408456999 JLrLY2002 0.00 68.48
#408456999 JULY2002 0.00 180.70
~408456999 J~3LY2002 0.00 812.74
~408456999 JI3LY2002 0.00 361.14
#408456999 JULY2002 0.00 56.92
~405456999 JULY2002 0.00 104,24
#408456999 JULY2002 0.00 102.06
#408456999 ~JLY2002 0.00 461.72
#408456999 JULY2002 0.00 54.10
#408456999 J~LY2002 0.00 104.44
0.00 2980.58
SERVICE AGREEMENT FOR
SUPPLIES 8311
SUPPLIES 8311
DISPLAY ASH
SERVICE AGREEMENT FOR
}{AZ WASTE DISPOSAL
FY 2002-2003 OPEN PURC
FY 2002-2003 OPEN PLTRC
0.00 703.00
0.00 227.38
0.00 31.85
0.00 259.23
0.00 430.68
0.00 190.00
0.00 4953.00
0.00 544.81
0.00 150.15
0.00 694.96
SERVICE AGREEMENT FOR 0.00 498.00
STUMP GRINDING 0.00 1190.00
WITKIN CA EVIDENCE 0.00 71.46
PAINT PIT FL00R AND WA 0.00 1000.00
RUN DATE 08/23/02 TIME 09:47:08 - FINANCIAL ACCOUNTING
08/23/02 CITY OF CUPERTINO
ACCOUNTING PERIOD: 2/03 CHECK REGISTER - DISBURSEMENT ~
~ECTION CRITERIA: transact.transdate between "08/19/2002" and "08/23/2002"
CASH ACCT CEECK NO
1020 595546
1020 595547
1020 595548
1020 595549
1020 595549
TOTAL CEECK
TOTAL CASH ACCOUNT
TOTAL FUND
TOTAL REPORT
ISSUE DT .............. VENDOR ............. FUND/DEPT
08/23/02 2498 KIERSA WITT 1101070
08/23/02 2456 WORLD JOURNAL 1103300
08/23/02 794 XEROX CORPORATION 1104310
08/23/02 2000 XPECT FIRST AID 1108506
08/23/02 2000 XPECT FIRST AID 1108506
..... DESCRIPTION
pLAN C0~ MTG
LEGAL ~/DS 7/24-8/07
FY 2002-2003 OPEN PUEC
SUPPLIES
SUPPLIES
SALES TAX
0.00
0.00
0.00
0.00
0.00
0.00
0,00
0.00
0.00
PAGE 12
AMOUNT
103.18
1478.40
1283.63
275.05
10.22
285.27
1015690.24
1015690.24
1015690.24
RI/N DATE 08/23/02 TIME 09:47:08 FINANCIAL ACCO~INTING