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CC Resolution No. 22-014 Accepting Accounts Payable for the period ending December 13, 2021RESOLUTION NO. 22-014 A RESOLUTION OF THE CUPERTINO CITY COUNCIL 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 December 13, 2021 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 does hereby allow the following claims and demands in the amounts and from the funds as hereinafter set forth in the attached Payment Register. CERTIFIED: Zach K:iti, ~ Manager PASSED AND ADOPTED at a regular meeting of the City Council of the City of Cupertino this 18 th day of January, 2022, by the following vote: AYES: NOES: ABSENT: ABSTAIN: Members of the City Council Paul, Moore, Wei, Willey None None Chao Resolution No. 22-014 Page2 SIGNED: City of Cu ATTEST: Kirsten Squarcia, City Clerk Date Date 1/27/22 Number Date Status Void Reason Main Account -Main Checking Account Check 729240 12/10/2021 Open Invoice Date 0001317166 11 /30 /2021 729241 12/10/2021 Open Invoice Date 4984729110219 11/02/2019 4984729061320 06/13/2020 4984729080820 08/08/2020 4984729032021 03/20/2021 4984729051521 05/15/2021 4984729071021 07/10/2021 4984729103021 10/30/2021 4984729112721 11/27/2021 729242 12/10/2021 Open Invoice Date 1141216 12/06/2021 729243 12/10/2021 Open Invoice Date Duurvoort90621 09 /06 /2 021 729244 12/10/2021 Open Invoice Date 1500-00773682 11 /19/2021 729245 12/10/2021 Open Invoice Date 3310-110721 11 /0 7/202 1 729246 12/10/2021 Open Invoice Date 12032 021 12/03/2021 729247 12/10/2021 Open Invoice Date DIR-2021-023 12/07 /202 1 DIR-2021-024 12/07/2021 DIR-2021-025 12/07 /202 1 R-2021-024 12/07/2021 RM-2021-017 12/07/2021 RM-2021-023 12/07/2021 729248 12/10/2021 Open Invoice Date 5509807-0002 10/05/2021 user: Vi Tran **LIVE** Cupertino **LIVE** Payment Register From Pa ment Date: 12/4/2021 -To Pa ment Date: 12/10/2021 Reconciled/ Voided Date Source Accounts Payable Description Legal Advertising -November 2021 Accounts Payable Description Employee Drinking Water for ace Employee Drinking Water for ace Employee Drinking Water for ace Employee Drinking Water for ace Employee Drinking Water for ace Employee Drinking Water for ace Employee Drinking Water for ace Employee Drinking Water for ace Accounts Payable Description Payee Name ADTAXI I BAY AREA NEWS GROUP Amount $2,972.00 ALHAMBRA & SIERRA SPRINGS Amount $125.00 $14 .90 $14.90 $14.90 $14 .90 $51 .60 $55 .75 $141.11 American Society of Landscape Architects Amount Raymond Joseph ASLA renewal through 0101 22- 123122 $490.00 Accounts Payable Description Tuition Reimbursement for Fall 2021 Accounts Payable Description ANDRE DUURVOORT Amount $2,000.00 ASBURY ENVIRONMENTAL SERVICES Amount Streets -Used Metal Oil and Gas Filter Pickup $55.00 Accounts Payable COMCAST Description Amount 8155 40 065 0183310 -110721 Accounts Payable $2,162 .67 Community Health Chariti es of California Description Amount Community Health Charities pp 11/20/21-12/3 /21 $20.00 Description Exe mpt Filing Exempt Filing Exe mpt Filing Exempt Filing Exe mpt Filing Exempt Filing Description Fleet -Forklift Accounts Payable COUNTY OF SANTA CLARA CLERK -RECORDER Accounts Payable Cresco Equipment Rentals Pages: 1 of 11 Amount $50.00 $50.00 $50.00 $50.00 $50.00 $50.00 Amount $1,540 .91 Transaction Amount $2,972.00 $433.06 $490.00 $2,000.00 $55.00 $2,162.67 $2 0.00 $300.00 $1,540.91 Reconciled Amount Difference Monday, December 13, 202 1 Number Date 729249 12/10/2021 Invoice 1130211 729250 12/10/2021 Invoice OSIP 69155 729251 12/10/2021 Invoice 21-457 729252 12/10/2021 Invoice 1107012851 729253 12/10/2021 Invoice GLeeFall2021 729254 12/10/2021 Invoice 3035002 729255 12/10/2021 Invoice 1604174 6030169 4394345 9601716 8381840 6320457 6320472 9320122 9320121 6320449 3023965 3611202 2320766 1320863 1381875 1400368 9524857 9605007 3613988 1614620 8095643 5010370 user: Vi Tran Status Open Open Open Open Open Open Open Void Reason Date 11/30/2021 Date 12 /01/2021 Date 10/31/2021 Date 12/16/2021 Date 12 /07 /2021 Date 12/09/2021 Date 10/28/2021 11 /02/2021 11/04/2021 11/09/2021 11 /10/2021 11/12/2021 11/12/2021 11/09/2021 11/09/2021 11/12/2021 11/15/2021 11/05/2021 11/16/2021 11/17/2021 11/17/2021 11/17/2021 11/09/2021 11/19/2021 11/15/2021 11/17/2021 11/10/2021 11/23/2021 **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reconciled/ Voided Date Source Payee Name Accounts Payable Description DAVE STAHL PIANO SERVICE Amount Cupertino Room Piano Tuning Accounts Pa yab le Description $170 .00 DEPT OF INDUSTRIAL RELATIONS Amount Workers Comp-Assessment July 1, 2021 -June 30 , 2022 $2 ,548.09 Accounts Payable EMC PLANNING GROUP, INC . Description Amount Housing Element Update 2023-31 Consultant 2021/9- 10 $33 ,605.86 Accounts Payable Description ENR -ENGINEERING NEWS RECORD Membership to ENR Unlimited for Chad Mosley Accounts Payable GLORIA LEE Description Gloria Lee Fall 2021 Payment Accounts Payable Description GOVERNMENT FINANCE OFFICERS ASSOCIATION Amount $48.00 Amount $648.00 Amount Annual Governmental GAAP Update Accounts Payable Description $135.00 HOME DEPOT CREDIT SERVICES Amount Facilities -Ty B Router Bit, Straight Bit Trees/ROW -Justice P 9V 12 Pack Grounds -Paul S Bucket, Coupling, Filter Sock Facilities -Ty B Flag Bracket, White Aerosol, Outlet Box Grounds -Travis Warner Pruning Kit , Bi-Metal Set Trees/ROW -Adam Picard Holiday Lights Trees/ROW -Adam Picard Holiday Lights Trees/ROW -Adam Picard LED Dome Multi Bulb Trees/ROW -Adam Picard Lighting Supplies Streets -Jerry A White Spray Paint Trees/ROW -Ricardo A Tools Facilities -Robert G Dual Range Facilities -Ty B Paint Supplies Streets -Dan Barone Gorilla Ultimate Grounds -Kevin G Concrete Mix, Rebar Wire Trees/ROW -James Silva QCC Tree Lights Fleet -Cesar G Tape Facilities -Ty B Supplies Faciliti~s -Ty B Tank Drain , Acid Brushes Facilities -Ty B Belt Drive , Rail Belt , Garage Door Spray Trees/ROW -Holiday Lights Grounds -Brandon M Gloves , Hose Pages : 2 of 11 $106.08 $48 .06 $123.04 $358.86 $509.36 $120 .20 $139.82 $152.82 $165.62 $11.24 $37.24 $52.43 $133.15 $109.05 $184.00 $20.72 $105 .78 $415 .95 $281.63 $323 .05 $72.12 $147.57 Transaction Amount $170 .00 $2,548 .09 $33 ,605.86 $48.00 $648.00 $135 .00 $4,156 .84 Reconciled Amount Difference Monday, Decembe r 13, 2021 **LIVE** Cupertino **LIVE** Payment Register Fro m Payment Date: 12/4/2021 -To Payment Date : 12/10/2021 Re co nciled / Trans acti o n Re co nciled Number Date Statu s Voi d Rea so n Void ed Date So urce PaJ!e e Name Am o unt Am o unt Difference 6616168 11/22/2021 Gro unds -Ralph A Pai nt for Meta l T rash Can Lids $15 .90 6516127 11/22/2021 Faci lities -Ty B Supp lies $326 .09 6321383 11/22/2021 Faci lities -Ty B Frame Anchor, Screw $51.62 5606281 11/23/2021 Facilitie s -Robert G Togg le Bolt $33.60 1514500 11/17/2021 Facilities -Robert G Caulk Gu n , Kitchen Faucet $96 .56 7032551 11/21 /2021 T rees/ROW -David D Na il s $15.28 729256 12/10/2021 Open Accounts Payable JO HN THOM PSON TREE EX PERT $7,000.00 Invoice Date Descrietion A mou nt 12-7-21 12/07/2021 tree work at BB F go lf co urse $7,000.00 729257 12/10/2021 Open Accounts Payable LI SA MOLARO $7,779 .80 Invoice Date Descrietion Amo unt MolaroFall2021 -1 12/07/2021 Lisa Mola ro Fall 2021 Payment 1 $7,779 .80 729258 12/10/2021 Ope n Accounts Payable MAD SCIENCE OF THE BAY AREA $1,074 .60 Invoice Date Descrietion Amount MScienceFall2021 12/07/2021 Mad Science Fall 2021 Classes Payment $1 ,074.60 729259 12/10/2021 Open Acco un ts Payable MAHAN AND SONS INC $1,400.00 Invoice Date Descrietion Amou nt 1870 12/03/2021 Grounds -Nov 2021 Varian Park Main!. $1,400.00 729260 12/10/2021 Open Accounts Paya bl e MICHEL E W ESTLAK EN $210.00 Invoice Date Descrietion Amount 120721 12 /07/2021 Feldenk rais (11 .2-11.23) 12 students $210 .00 729261 12/10/2021 Open Accou nts Payable MING FEN LEE $302.40 Invoice Date Descrielio n Amount 120721 12/07/2021 Chinese Brush Painti ng (10 .25-11.15) 12 Students $302.40 729262 12/10/2021 Open Accounts Payab le MOOD ME DI A $108.90 Invo ice Date Descrietion Amou nt 56520196 12/01 /2021 Mood Media recurring service 12/1 to 12/31 $108 .90 729263 12/10/2021 Ope n Accou nts Payable MOST DEPENDABLE FOUNTAINS, $911 .10 INC . Invoice Date Descrietion A mount INV66287 11 /04 /2021 Grounds -NSA Filter Replacement $911.10 729264 12/10/2021 Ope n Accounts Payab le Operating Engineer #3 $1 ,492.54 Invoice Date Descrietion Amount 12032021 12/03 /2021 Union Dues pp 11/20/21 -12/3/21 $1,492.54 729265 12/10/2021 Ope n Accounts Payable Pay Pal Inc VPS $51.90 Invoice Date Descrielion Amo unt 115233469 11/30/2021 Account No : VSV0001160385 -Cupertinoweb2 Nov. $31.95 2021 115044082 11/30/2021 V SV0003096477 -Cupertinoweb4 Nov. 2021 $19.95 729266 12/10/2021 Open Accou nts Payable ROYAL BRASS INC $1,124 .50 Invoice Date Descrielion Amount 967515-001 10/11/2021 Trees/ROW -Irrigation Tra il er Parts $1,124.50 729267 12/10/2 021 Open Accounts Payable SHERRILL, INC $3,099.91 Invoice Date Descrietion Amount INV-694448 11/09/2021 Trees/ROW -PPE $2,479 .92 user: Vi Tran Pages: 3 of 11 Monday, December 13, 2021 **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source PaJlee Name Amount Amount Difference INV-693816 11 /06/2021 Trees/ROW -Rescue Joe Tra ining Dummy $619 .99 729268 12/10/2021 Open Accounts Payable SUBURBAN PROPANE-1644 $120.00 Invoice Date Descrietion Amount 246676 11 /14/2021 Fleet -Equipment Rent $120.00 729269 12/10/2021 Open Accounts Payable SUE AND KATHY LINE DANCE $1 ,543.50 Invoice Date Descrietion Amount 120721 12/07/2021 Line Dan ce-Imp/Int, Imp+ (11 .2-12 .7 , 11.3-12.8) $1,543.50 28 ,21 Students 729270 12/10/2021 Open Accounts Payable SUMMERWINDS GARDEN CNTR $340.12 INC . Invoice Date Descrietion Amount 1510/59 12/01 /2021 Grounds -Poinsettia $326.26 1511/59 12/01 /2021 Grounds -Saucer 8in $13 .86 729271 12/10/2021 Open Accounts Payable SYSCO -SAN FRANCISCO $686.90 Invoice Date Descrietion Amount 450624133 11 /23/2021 Sysco Holiday Order 2021 $447.41 450632849 11 /29 /2021 Sysco Holiday Order 2021 $70.64 450641988 12/02 /2021 Breakfast with Santa Fruit Order $168 .8 5 729272 12/10/2021 Open Accounts Payable TPX COMMUNICATIONS $2,096.14 Invoice Date Descrietion Amount 150395962-0 11/30/2021 Telephone Service for new VoIP System No. 2021 $2 ,096.14 729273 12/10/2021 Open Accounts Pa y able TransUnion Risk & Alternative Data $160.00 Solutions, Inc. Invoice Date Descrietion Amount 6110432-202111-1 12/01 /2021 TLo 11/01/2021 -11 /30 /2021 $160 .00 729274 12/10/2021 Open Accounts Payable UNITED SITE SERVICES INC . $816.30 Invoice Date Descrietion Amount 114-12620614 11/23/2021 Trees/ROW -Service Center WWP Bathrooms $492.71 114-12620587 11 /23 /2021 portable toilet at compost site-Nov-Dec 2021 $323 .59 729275 12/10/2021 Open Accounts Payable VERIZON WIRELESS $17.00 Invoice Date Descrietion Amount 9892130929 11 /04 /2021 EOC Phone Service -10/5/21 -11 /4/21 $17 .00 729276 12/10/2021 Open Accounts Payable A-1 HEATING AND COOLING $155 .00 Invoice Date Descrietion Amount 12 524 12/09/2021 A-1 HEATING AND COOLING Business License $155 .00 refund 729277 12/10/2021 Open Accounts Payable Dee, Maria $500.00 Invoice Date Descrietion Amount 2005009.030 12/01 /2021 QCC-11 .22 .21-Cupertino Room Security Deposit $500 .00 729278 12/10/2021 Open Accounts Payable DEVCON CONSTRUCTION $5,000.00 Invoice Date Descrietion Amount 276341 12/06/2021 REFUND 19339 STEVENS CREEK BLVD BLD-2021-$5,000.00 0581 TCO BOND user: Vi Tran Pages : 4 of 11 Mo nda y , Dece mb er 13, 202 1 **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Pal£'.ee Name Amount Amount Difference 729279 12/10/2021 Open Accounts Payable FREFEL , BUFFY $95.00 Invoice Date Descrietion Amount 2005003.030 12/01/2021 QCC, course #15064 cancelled $95.00 729280 12/10/2021 Open Accounts Payable Lee, Crystallyn $500.00 Invoice Date Descrietion Amount 2005008 .030 12/01 /2 021 QCC-11.23.21-Cupertino Room Security Deposit . $500.00 729281 12/10/2021 Open Accounts Payable STEVEN HIRSCH $39.99 Invoice Date Descrietion Amount HIRSCH120621 12/06/2021 Livescan reimbursement $39.99 Type Check Totals : 42 Transactions $87,911 .03 EFT 33159 12/06/2021 Open Accounts Payable SQUARE , INC . $70.00 Invoice Date Descrietion Amount Square0120221 12 /02 /2021 Square Billing Period 12/01 /2021-12/02/2022 $70.00 33160 12/10/2021 Open Accounts Payable Colonial Life & Accident Insurance $29.16 Invoice Date Descrietion Amount 12032021 12 /03 /2021 Colonial Products pp 11/20/2 1-12/3/21 $29.16 33161 12/10/2021 Open Accounts Payable Employment Developme nt $6,409 .39 Invoice Date Descrietion Amount 12032021 12 /03 /2 021 State Disability Insurance pp 11/20/21-12/3/21 $6,409.39 33162 12/10/2021 Open Accounts Payable PERS-457K $9,936.53 Invoice Date Descrietion Amount 12032021 12/03/2021 PERS Deferred Comp pp 11/20/21-12/3/21 $9,936 .53 33163 12/10/2021 Open Accounts Payable State Disbursement Unit $254.30 Invoice Date Descrietio n Amount 12032021 12/03 /2 021 Child Support pp 11/20/21 -12 /3/21 $254.30 33164 12/09/2021 Open Accounts Payable California Pub lic Employees' $354,629.80 Retirement System Invoice Date Descrietion Amount 7158-11152021 11/15/2021 Health Premiums $354,629 .80 33165 12/10/2021 Open Accounts Payabl e ABAG POWER-ASSOCIATION OF $2,400.89 BAY AREA GOVERNMENTS Invoice Date Descrietion Amount AR027166 12 /01 /2021 CUPACPC001 FY 22 -LEVELIZED CHARGE-NAT GAS $2,400 .89 33166 12/10/2021 Open Accounts Pa yable Amazon Capital Services $425.46 Invoice Date Descrietion Amount 1 C46-7X39-V3NW 11/29/2021 2x HP 746 DesignJet Printhead (P2V25A) for $401.80 DesignJet Z6 & Z9 1 HR1-RGTV-MKY1 11 /30 /2021 Refund -Code Enf Vehicle USS Cables ($8.72) 1XH6-TNLW-JQ9V 12/06/2021 Bill -Cyber Mayday and the Da y After Book $32.38 33167 12/10/2021 Open Accounts Payable AMAZON WEB SERVICES, INC. $2,379.05 Invoice Date Descrietion Amount 918245237 12/03 /2021 AWS -Nov. 2021 Applications $1,497.93 911614469 12/03 /2 021 AWS -NOV . 2021 GIS $881.12 user: Vi T ran Pages: 5 of 11 Monday, December 13, 2021 **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/20~1 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source PaJi'.ee Name Amount Amount Difference 33168 12/10/2021 Open Accounts Payable ANDY BADAL $165.00 Invoice Date Descrietion Amount AndyB120621 12/06/2021 Andy Cell Bills -Jun 29 -Sept. 28, 2021 $165 .00 33169 12/10/2021 Open Accounts Payable Baird + Driskell Community Planning $3,375.00 Invoice Date Descrietion Amount 1238 08/11/2021 Housing Element Study Session $3,375.00 33170 12/10/2021 Open Accounts Payable BARONE, DAN $55.00 Invoice Date Descrietion Amount DanB111821 11/18/2021 Cell phone reimbursement Oct. Standby $55.00 33171 12/10/2021 Open Accounts Payable BATTERY SYSTEMS INC . $200 .81 Invoice Date Descrietion Amount 7043076 10/07/2021 Fleet -A-Core, U-Core $200.81 33172 12/10/2021 Open Accounts Payable BKF ENGINEERS $7,128 .00 Invoice Date Descrietion Amount 21120911 12/06/2021 JST Prof. Svces SO#1 through 102521-112121 $7,128.00 33173 12/10/2021 Open Accounts Payable BOUCHER LAW $11,548.00 Invoice Date Descrietion Amount 775 12/03/2021 Labor & Employment Law Matters $11,548.00 33174 12/10/2021 Open Accounts Payable COBBLESTONE SYSTEMS CORP $102 .30 Invoice Date Descrietion Amount 12185 11/05/2021 Service -Technical Configuration $102.30 33175 12/10/2021 Open Accounts Payable COLLEEN FERRIS $55.00 Invoice Date Descrietion Amount ColleenF111121 11/11/2021 cell phone service 10/12-11 /11 $55.00 33176 12/10/2021 Open Accounts Payable COMMUNICATION ACADEMY $637.00 Invoice Date Descrietion Amount CAFall2021 12/06/2021 Comunication Academy Fall 2021 Classes $637.00 33177 12/10/2021 Open Accounts Payable CSG CONSULTANTS, INC . $4,390.00 Invoice Date Descrietion Amount 40007 11/04/2021 Torre Ave. Library Book Return through 102921 $4,390.00 33178 12/10/2021 Open Accounts Payable DAN GERTMENIAN $42,760.58 Invoice Date Descrietion Amount DanGFall2021 12/07/2021 Dan Gertmenian Fall 2021 Payment (1 of 2) $42,760.58 33179 12/10/2021 Open Accounts Payable DASHER TECHNOLOGIES, INC . $2,315.00 Invoice Date Descrietion Amount 363669 11/30/2021 Infrastructure Consulting Services for FY22 -Nov. 21 $2,315.00 33180 12/10/2021 Open Accounts Payable Eflex Group, Inc $8,239.49 Invoice Date Descrietion Amount 12032021 12/03/2021 FSA Employee Health pp 11/20/21-12/3/21 $8,239.49 33181 12/10/2021 Open Accounts Payable EPAC TECHNOLOGIES, INC. $669.02 Invoice Date Descrietion Amount E343087 11/19/2021 Bulk order -city logo envelops for QCC $669.02 user: Vi Tran Pages: 6 of 11 Monday, December 13, 2021 **LIV E** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reco nci le d/ Transacti o n Rec o nc il e d Number Date Stat us V o id Reason V o ided Date Source Pa:z:ee Name Amo unt Amo unt Difference 33182 12/10/2021 Open Accounts Payable G EOTA B USA, INC . $2,637.50 Invoice Da te Descri etion Amo unt IN291053 11/30/2021 FY2 1 T elematics Project Nov . 2021 $2,637 .50 33183 12/10/2021 Open Accou nts Payab le GRACE DUVAL $279.30 Invoice Date Descri etion Amount 120721 12/07 /2021 Zu mba Gold-Zoom (11.10-12 .1) 19 st udents $279 .30 33184 12/10/2021 Ope n Accou nts Payable GRAINGER INC $247 .73 Invoice Date Descrietio n Amou nt 9136999894 12 /01/2021 Fleet -First A id Kit $2 13.77 9135642925 11/30/2021 Gro und s -Rubber Boot Green Size 9 $33.96 33185 12/10/2021 Open Acco unts Payab le GYM PRECISION, INC . $195.00 Invoice Date Descrietion Amou nt 15673 11 /22 /2021 PM on gym equipmen t for Novem ber #21070 $195.00 33 186 12/10/2 021 Open Accounts Payable HORTSC IE NCE I BART LETT $2,070 .00 CONS ULTING Invoice Date Desc rietion Amo un t 15374 10 /3 0/2021 Arborist Review 2021/10 -21965 Hyannisport Drive $540.00 15347 10/30/2021 Arborist Review 2021/10 -214 08 Krzich Place $1,350 .00 15361 10 /30 /2021 Arborist Review 2021/10 -19925 Stevens Creek Blvd $180 .00 33187 12/10/2021 Open Accounts Payable ICMA Retirement Trust-457 $12,420.23 Invoice Date Descri etio n Amo un t 12032021 12/03/2021 ICMA Defe rred Comp pp 11 /20/2 1-12/3/2 1 $12,420 .23 33188 12/10/2021 Open A ccounts Payable IFP T E LOCAL 21 $1,934.92 Invoice Date Desc rietion Amo unt 12032021 12 /03 /2021 Associatio n Dues -CEA pp 11/20/21-12/3/21 $1,934.92 33189 12/10/2021 Ope n Accou nts Payab le IMPEC GROU P INC,. $760.41 Invoice Date Descrietion Amount 2111225 11 /30/2021 Faci li ties -Linda V ista T rail Gate $760.41 33190 12/10/2021 Open Accounts Payable IND EPEND ENT COD E $9,373 .77 CONS ULTANTS, INC . Invoice Date Descrietio n Amount 1517 12/01/2021 Bui lding Plan Review Services for Westport $2,250 .00 1516 12/01/2021 Bui ldi ng Pl an Review Serv ices $7,123.77 33191 12/10/2021 Open Acco un ts Payab le JUNK PROS LLC $8,490 .00 Invoice Date Descrietio n Amo un t 55580 12/06 /2021 10197 Finch Avenue $8,490.00 33 192 12/10/2021 Open Accounts Payab le KIMBALL-MIDWEST $682.42 Invoice Date Descrietion Amou nt 9422136 11 /30 /2021 Fleet -Sealing , Lock Nut, Caplug , Bushing $520.04 9423082 11 /3 0/2021 Streets -Mask Tape $162 .38 33193 12/10/2021 Ope n Accounts Payable KIM LEY-HORN AN D AS SOCIAT ES , $61,347 .50 INC . Invoice Date Descrietion Amount 19843452 11/30/2021 DeAnza-Mccle ll an Upgrade t hroug h 093021 $22 ,93 7.50 20109812 11 /3 0/2021 DeAnza-Mcclellan Upgrade through 103121 $38,410 .00 user: Vi Tran Pages : 7 of 11 Monday, D ecember 13, 2021 **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Pa:iee Name Amount Amount Difference 33194 12/10/2021 Open Accounts Payable KMVT COMMUNITY TELEVISION $5,817.94 Invoice Date Descrietion Amount 7714 11/30/2021 KMVT Community TV November 2021 $5,817.94 33195 12/10/2021 Open Accounts Payable Local Government Commission Inc $2,636.36 Invoice Date Descrietion Amount 105975 11/30/2021 CivicSpark Services -November 2021 (Karen Chen) $2 ,636.36 33196 12/10/2021 Open Accounts Payable MOSLEY, CHAD , E $25.00 Invoice Date Descrietion Amount ChadM120221 12/02/2021 Staff Retreat Lunch $25.00 33197 12/10/2021 Open Accounts Payable Natasha Austin $499.20 Invoice Date Descrietion Amount Natasha2022-4 11/30/2021 Contractor Payment -Fall 2021 $499 .20 33198 12/10/2021 Open Accounts Payable National Deferred (ROTH) $3,834.73 Invoice Date Descrietion Amount 12032021 12/03/2021 Nationwide Roth pp 11/20/21-12/3/21 $3,834.73 33199 12/10/2021 Open Accounts Payable National Deferred Compensatin $24,694.70 Invoice Date Descrietion Amount 12032021 12/03/2021 Nationwide Deferred Compensation pp 11/20/21-$24,694.70 12/3/21 33200 12/10/2021 Open Accounts Payable OFFICE DEPOT, INC. $141 .07 Invoice Date Descri(2tion Amount 208444044001 11/19/2021 Office Supplies and Kitchen Supplies $82.31 208444044002 11/22/2021 Office Supplies and Kitchen Supplies $28.87 210682690001 11/22/2021 Kitchen Supplies $7.09 208463321001 11 /21/2021 Office Supplies $22.80 33201 12/10/2021 Open Accounts Payable PACIFIC OFFICE AUTOMATION, $1,487.25 INC Invoice Date Descri(2tion Amount 805466 11/30/2021 Quarterly Main!. & Support for 15 mfp 8/20 -11/20, $1,487 .25 2021 33202 12/10/2021 Open Accounts Payable Pakpour Consulting Group, Inc. $10,500.00 Invoice Date Descrietion Amount 3675 12/03/2021 Stevens Creek Blvd Class IV Bikeway Ph. 2 through $10,500.00 110121-113021 33203 12/10/2021 Open Accounts Payable PARS/City of Cupertino $2,251.90 Invoice Date Descrietion Amount 12032021 12/03/2021 PARS Employee pp 11/20/21-12/3/21 $2,251.90 33204 12/10/2021 Open Accounts Payable RIDEAMIGOS $500.00 Invoice Date Descrietion Amount 02435 08/25/2021 Employee Commute Program $500.00 33205 12/10/2021 Open Accounts Payable RINCON CONSULTANTS, INC. $16,701.04 Invoice Date Descrietion Amount 35269 11/24/2021 Project 21-10845 Cupertino CAP Update $16,701.04 user: Vi Tran Pages : 8 of 11 Monday, December13 ,2021 Number Date Status 33206 12/10/2021 Open Invoice Cupertino -007 33207 12/10/2021 Open Invoice RudyL110621 33208 12/10/2021 Open Invoice Snapology22-3 33209 12/10/2021 Open Invoice 143069-23816 33210 12/10/2021 Open Invoice 655653111 33211 12/10/2021 Open Invoice 82625 82845 82504 82503 82906 83053 33212 12/10/2021 Open Invoice 0051829 33213 12/10/2021 Open Invoice ToanQ120721 33214 12/10/2021 Open Invoice INV-698721 33215 12/10/2021 Open Invoice UrsulaS120221 33216 12/10/2021 Open Invoice jindyg111521 AndrewS111521 BradA 111521 BrianG111521 CesarG111521 user: Vi Tran Void Reason Date 11/30/2021 Date 11/06/2021 Date 11/30/2021 Date 11/30/2021 Date 12/01/2021 Date 07/31/2021 08/31/2021 07/30/2021 07/30/2021 08/31/2021 09/30/2021 Date 10/31/2021 Date 12/07/2021 Date 11/23/2021 Date 12 /02 /2021 Date 11/15/2021 11 /15/2021 11/15/2021 11/15/2021 11 /15/2 021 **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reconciled/ Voided Date Source Accounts Payable Description BMR Program Administrator 2021/11 Accounts Payable Description Payee Name RISE HOUSING SOLUTIONS, INC Amount $76,464.00 RUDY LOMAS Amount Cell Phone Reimbursement -Rudy L, Oct 7 to Nov 6, 2021 $55.00 Accounts Payable Description Contractor Payment 1 -Fall 2021 Accounts Payable Description Consolidated Invoice Accounts Payable Description Facilities -Pine Sol Cleaner Accounts Payable Description Snapology of Los Gatos Amount $1,005.00 TERRYBERRY COMPANY LLC Amount $4 39.27 THE HOME DEPOT PRO Amount $105.68 THERMAL MECHANICAL, INC. Amount Facilities -Sport Center HVAC Unit REplacement Facilities -QCC HVAC Repairs $32,334.11 $348.00 $904.09 $3,466.33 $3,904.38 $1,122.00 Facilities -BBF HVAC Repairs Facilities -BBF HVAC Repairs Facilities -Sport Center HVAC Repairs Library lntellipak Unit Repair Accounts Payable Description TJKM TRANSPORTATION CONSULTANTS Cupertino Local Roadway Safety Plan through 100121 -10 3121 Accounts Payable Description Toan Reimbursement -IT Smal tools Accounts Payable Description TOAN QUACH TREESTUFF Trees/ROW -Pruner Head w/Swivel Pulley Accounts Payable URSULA SYROVA Description Amount $730.00 Amount $37.03 Amount $224.40 Amount Staff Retreat Lunch Accounts Payable $25.00 US BANK-PURCHASING CARD PROGRAM Description 0175 cc charges 9993 cc charges 6013 cc charges 6202 cc charges 9076 cc charges Pages : 9 of 11 Amount $345.82 $902.87 $3 ,330.00 $1,162.84 $305.89 Transaction Amount $76,464.00 $55.00 $1 ,005.00 $439.27 $105.68 $42,078 .91 $730.00 $37.03 $224.40 $25.00 $43,221.40 Reconciled Amount Difference Monday, December 13, 2021 **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source PaJl:ee Name Amount Amount Difference lkaP111521 11/15/2 021 8108 cc charges $1,198.89 JonF111521 11 /15 /2 021 3969 cc charges $319 .08 KevinG111521 11 /15 /2 02 1 5856 cc charges $471.57 RicA111521 11/15/2021 9906 CC Charges $1,213.23 RobG111521 11 /15/202 1 6980 cc charges $136.36 KeithW111521 11/15/2021 8803 CC Charges $121.42 Branton111521 11 /15 /202 1 5320 CC Charges $3 ,76 3.09 KevinK111521 11/15/2021 8746 CC Charges $100.00 MariahG111521 11/15/2021 7882 CC Charges $621.78 BrianB111521 11 /15/2021 3634 CC Charges $1,687 .39 KimL11152021 11 /15/202 1 5169 CC Charges $2,150.06 ReiD111521 11/15/2021 9254CC Charges $3,092.61 KarenL 111521 11/15/2021 8993CCCharges $357.14 BennyH111521 11/15/2021 1015 CC Charges $447 .32 MarilynM111521 11 /15/202 1 6763 CC Charges $713.60 Sh awnT111521 11 /15/2021 7105 CC Charges $1,903 .20 RudyL111521 11 /15 /202 1 8736 cc charges $2,035 .98 TyB111521 11 /15 /2021 6047 cc charges $5,028 .16 KelseyH 111521 11/15/2021 1679 CC Charges $2,480.70 AmandaH111521 11 /15/202 1 9326 CC Charges $1,151 .24 FrankV11152021 11 /15/202 1 5849 CC Charges $19.36 MariluM111521 11/15/2021 0793 CC Charges $782.92 ColleenF111521 11 /15/2021 0798 cc charges $316.31 LaurenS111521 11/15/2021 0578CCCharges $39.95 KirstenS111521 11 /1 5/2 021 8069 CCCharges $613.92 MollyJ111521 11/15/2021 4137 CC Charges $591.47 CyrahC111521 11/15/2021 0363 CC Charges $575.00 SundariP111521 11/15/2021 9702 CC Charges $3,496 .38 JasonB111521 11 /15/202 1 2565 CC Charges ($455.00) DanielM111521 11/15/2021 9167 CC Charges for 11.15.21 $159 .3 1 KennethE111521 11 /15 /202 1 5954 CC Charges $202.96 CherieW111521 11/15/2021 1161 CC Charges $14.17 UrsulaS111521 11/15/2021 2512 CC Charges $1,133.78 AlexC11152021 11/15/2021 0400 CC Charges $447.21 RSander111521 11/15/2021 4371 $117.31 MarielaV111521 11 /15/202 1 8337 CC Charges $126.11 33217 12/10/2021 Open A ccounts Pa yable WEST VALLEY COMMUNITY SVCS $5,187 .16 AGENCY Invoice Date Descrietion Amount HTHJTPP 10/01/2021 Homeless Jobs Program 2021/10 $5,187.16 33218 12/10/2021 Open Acco unts Payable ZAYO GROUP, LLC $2,662.66 Invoice Date De scrietion Amount 202 1120030583 12/01/2021 FY22 Disaster Recovery Tele co m services Dec . 2021 $2,662.66 Type EFT Totals: 60 Tran sactions $799,938 .26 Main Account -Main Checking Account Totals Checks Status Count Trans actio n Amount Reconciled Amount Open 42 $87,911.03 $0.00 Reconciled 0 $0 .00 $0.00 Voided 0 $0 .00 $0.00 user: Vi Tran Pages: 10 of 11 Monday, December 13, 2021 Number Date Status Void Reason Grand Totals: December 13, 2021 us e r : Vi Tra n **LIVE** Cupertino **LIVE** Payment Register From Payment Date: 12/4/2021 -To Payment Date: 12/10/2021 Reconciled/ Voided Date EFTs All Checks EFTs All Source Stopped 0 Total 42 Status Count Open 60 Reconciled 0 Voided 0 Total 60 Status Count Open 102 Reconciled 0 Voided 0 Stopped 0 Total 102 Status Count Open 42 Reconciled 0 Voided 0 Stopped 0 Total 42 Status Count Open 60 Reconciled 0 Voided 0 Total 60 Status Count Open 102 Reconciled 0 Voided 0 Stopped 0 Total 102 Pag e s: 11 of 11 Payee Name $0.00 $87,911 .03 Transaction Amount $799 ,938.26 $0.00 $0.00 $799 ,938.26 Transaction Amount $887,849.29 $0.00 $0 .00 $0.00 $887 ,849.29 Transaction Amount $87,911.03 $0.00 $0.00 $0.00 $87,911.03 Transaction Amount $799,938.26 $0.00 $0.00 $799,938.26 Transaction Amount $887,849.29 $0.00 $0.00 $0.00 $887,849.29 Transaction Reconciled Amount Amount Difference $0.00 $0.00 Reconciled Amount $0.00 $0.00 $0.00 $0.00 Reconciled Amount $0.00 $0.00 $0.00 $0 .00 $0.00 Reconciled Amount $0.00 $0.00 $0.00 $0.00 $0.00 Reconciled Amount $0.00 $0.00 $0.00 $0.00 Reconciled Amount $0.00 $0.00 $0.00 $0.00 $0.00 Monday, Decembe r 13 , 2021