Warrant Reso 2009-10COSTA MESA SANITARY DISTRICT
Warrant Resolution No. CMSD 2009 -10
A RESOLUTION OF THE COSTA MESA SANITARY DISTRICT
RATIFYING THE PAYMENT OF CERTAIN CLAIMS AND DEMANDS, AND
SPECIFYING THE FUNDS OUT OF WHICH THE SAME WERE PAID.
THE BOARD OF DIRECTORS OF THE COSTA MESA SANITARY DISTRICT
DOES HEREBY ORDER AND RESOLVE AS FOLLOWS:
Section 1. That the attached claims and demands totaling $525,326.76 have
been audited as required by law and that the same were paid out of respective funds as
hereinafter set forth.
Section 2. That the Clerk of the District shall certify to the adoption of this
Resolution and shall retain a certified copy thereof in her own records.
PASSED AND ADOPTED this 27th day of April 2009.
ATTEST:
Secretary
STATE OF"C;ALIFOANIA )
COUNTY OF ORANGE ) ss
COSTA MESA SANITARY DISTRICT )
I, JOAN REVAK, Clerk of the Costa Mesa Sanitary District, hereby certify that
the foregoing Warrant Resolution No. CMSD 2009 -10 was duly adopted by the Costa
Mesa Sanitary District at a regular meeting held on the 27th day of April 2009.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed the Seal of
the Costa Mesa Sanitary District on this 27th day of April 2009.
Cler •f the- Costa Mesa' Sanitary District
Accounts Payable
Checks for Approval
User: tgonzalez
Printed: 04/01/2009 - 9:34 AM
COSTA 9IESA S ITA T DISTRICT
... an Independent Special oistrkt
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
0 03/01/2009
Liquid Waste Fund
Long -Term Disability
Guardian
236.60
0
03/04/2009
Liquid Waste Fund
Federal Withholding Taxes
Internal Revenue Service
243.52
0
03/04/2009
Liquid Waste Fund
FICA - Employee
Internal Revenue Service
356.25
0
03/04/2009
Liquid Waste Fund
FICA - Employee
Internal Revenue Service
356.25
0
03/04/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
83.32
0
03/04/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
83.32
Check Total: 1,122.66
0 03/01/2009
Liquid Waste Fund
Life /AD &D Insurance
Guardian
330.00
0 03/01/2009
Liquid Waste Fund
Long -Term Disability
Guardian
236.60
0 03/01/2009
Solid Waste Fund
Benefits Admin Costs
Guardian
0.50
0 03/01/2009
Liquid Waste Fund
Benefits Admin Costs
Guardian
4.50
Check Total:
571.60
0 03/06/2009
Liquid Waste Fund
PERS Medical
Cal PERS
6,089.50
0 03/06/2009
Solid Waste Fund
Benefits Admin Costs
Cal PERS
2.74
0 03/06/2009
Liquid Waste Fund
Benefits Admin Costs
Cal PERS
24.66
Check Total:
6,116.90
0 03/11/2009
Liquid Waste Fund
Federal Withholding Taxes
Internal Revenue Service
4,472.41
0 03/11/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
489.26
0 03/11/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
371.13
0 03/11/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
118.13
Check Total:
5,450.93
0 03/11/2009
Liquid Waste Fund
State Withholding Taxes
State of Cal Emp Dev Dept
1,311.43
Check Total:
1,311.43
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 1
Check Number Check Date Fund Name
Account Name
Vendor Name
Amount
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
108.70
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
33.65
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
210.19
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pets Employee Ret System
65.07
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
1,552.67
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
3,002.87
0 03/11/2009
Liquid Waste Fund
PERS Survivor Benefit
Cal Pers Employee Ret System
11.16
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
480.61
0 03/11/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
929.49
0 03/11/2009
Liquid Waste Fund
PERS - Employer
Cal Pers Employee Ret System
0.02
Check Total: 6,394.43
03/25/2009
Liquid Waste Fund
Federal Withholding Taxes
Internal Revenue Service
150.00
03/25/2009
Liquid Waste Fund
FICA - Employee
Internal Revenue Service
287.74
03/25/2009
Liquid Waste Fund
FICA - Employee
Internal Revenue Service
287.74
03/25/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
67.30
03/25/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
67.30
03/25/2009
Liquid Waste Fund
Medicare - Employer
Internal Revenue Service
4.35
Check Total:
864.43
0 03/25/2009
Liquid Waste Fund
Federal Withholding Taxes
Internal Revenue Service
4,188.50
0 03/25/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
478.40
0 03/25/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
357.60
0 03/25/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
120.80
Check Total:
5,145.30
0 03/25/2009
Liquid Waste Fund
State Withholding Taxes
State of Cal Emp Dev Dept
1,202.41
Check Total:
1,202.41
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
109.75
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
34.73
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
212.21
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
67.16
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
1,536.46
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
3,031.78
0 03/25/2009
Liquid Waste Fund
PERS Survivor Benefit
Cal Pers Employee Ret System
11.16
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
496.02
0 03/25/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
959.29
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 2
Check Number Check Date Fund Name Account Name Vendor Name Amount
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 3
Check Total:
6,458.56
0
03/15/2009
Solid Waste Fund
Investment Earnings
Bank of America
380.96
Check Total:
380.96
6138
03/12/2009
Solid Waste Fund
Building Maintenance
949 Storage
16.00
6138
03/12/2009
Liquid Waste Fund
Building Maintenance
949 Storage
144.00
Check Total:
160.00
6139
03/12/2009
Liquid Waste Fund
Employee Insurance
AFLAC
922.22
Check Total:
922.22
6140
03/12/2009
Solid Waste Fund
Professional Services
BHI Management Consulting
587.26
6140
03/12/2009
Liquid Waste Fund
Professional Services
BHI Management Consulting
5,285.34
Check Total:
5,872.60
6141
03/12/2009
Liquid Waste Fund
Sewer Lateral Program #186
Brad Larkins
1,750.00
Check Total:
1,750.00
6142
03/12/2009
Solid Waste Fund
Legal Services
Alan R. Burns
2,166.57
6142
03/12/2009
Liquid Waste Fund
Legal Services
Alan R. Burns
4,023.63
6142
03/12/2009
Liquid Waste Fund
Legal Services
Alan R. Burns
1,104.10
6142
03/12/2009
Solid Waste Fund
Legal Services
Alan R. Burns
924.91
6142
03/12/2009
Liquid Waste Fund
Legal Services
Alan R. Burns
1,717.69
6142
03/12/2009
Liquid Waste Fund
Legal Services
Alan R. Burns
181.00
Check Total:
10,117.90
6143
03/12/2009
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
C &R Drains
176.00
6143
03/12/2009
Liquid Waste Fund
Accounts Receivable
C &R Drains
579.00
Check Total:
755.00
6144
03/12/2009
Solid Waste Fund
Container Collection Costs
CR Transfer, Inc.
28,202.07
Check Total:
28,202.07
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 3
Check Number Check Date Fund Name Account Name Vendor Name Amount
6145
03/12/2009
Solid Waste Fund
Recycling /Disposal
CR Transfer, Inc.
137,144.34
6145
03/12/2009
Solid Waste Fund
Recycling /Disposal
CR Transfer, Inc.
7,641.35
Check Total:
144,785.69
6146
03/12/2009
Liquid Waste Fund
Fog Program #180 - Contract Svc
Environmental Engr & Cont, Inc
10,826.00
Check Total:
10,826.00
6147
03/12/2009
Solid Waste Fund
Building Maintenance
F.M. Thomas Air Condittioning,
15.30
6147
03/12/2009
Liquid Waste Fund
Building Maintenance
F.M. Thomas Air Condittioning,
137.70
Check Total:
153.00
6148
03/12/2009
Solid Waste Fund
Travel/Meals /Lodging
Gary Monahan
1.87
6148
03/12/2009
Liquid Waste Fund
Travel/Meals /Lodging
Gary Monahan
16.83
Check Total:
18.70
6149
03/12/2009
Solid Waste Fund
Gas - Building
The Gas Company
6.90
6149
03/12/2009
Liquid Waste Fund
Gas - Building
The Gas Company
62.13
Check Total:
69.03
6150
03/12/2009
Liquid Waste Fund
Sewer Maint - Material /Supplies
Golden Bell Products, Inc.
1,481.56
Check Total:
1,481.56
6151
03/12/2009
Solid Waste Fund
Contract Services
Cassandra Chenevert
232.31
6151
03/12/2009
Liquid Waste Fund
Contract Services
Cassandra Chenevert
431.44
6151
03/12/2009
Solid Waste Fund
Contract Services
Cassandra Chenevert
299.25
6151
03/12/2009
Liquid Waste Fund
Contract Services
Cassandra Chenevert
555.75
Check Total:
1,518.75
6152
03/12/2009
Liquid Waste Fund
Engineering /Architectual Sery
Robin B. Hamers & Assoc., Inc.
1,400.00
6152
03/12/2009
Liquid Waste Fund
Plan Ck/Inspection- Inside
Robin B. Hamers & Assoc., Inc.
6,460.00
6152
03/12/2009
Liquid Waste Fund
Plan Ck/Inspection- Outside
Robin B. Hamers & Assoc., Inc.
382.50
6152
03/12/2009
Liquid Waste Fund
Plan Ck/Inspection-I n side
Robin B. Hamers & Assoc., Inc.
8,010.00
6152
03/12/2009
Liquid Waste Fund
OCSD Grant #175 - Cont Svc
Robin B. Hamers & Assoc., Inc.
9,775.00
6152
03/12/2009
Solid Waste Fund
District Manager
Robin B. Hamers & Assoc., Inc.
2,296.88
6152
03/12/2009
Liquid Waste Fund
District Manager
Robin B. Hamers & Assoc., Inc.
4,265.62
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 4
Check Number Check Date Fund Name Account Name Vendor Name Amount
Check Total: 32,590.00
6153 03/12/2009 Solid Waste Fund Postage Hasler 4.26
6153 03/12/2009 Liquid Waste Fund Postage Hasler 38.30
6154 03/12/2009 Liquid Waste Fund
6154 03/12/2009 Solid Waste Fund
6154 03/12/2009 Liquid Waste Fund
6155 03/12/2009 Solid Waste Fund
6155 03/12/2009 Liquid Waste Fund
6156 03/12/2009 Liquid Waste Fund
6157
03/12/2009
Liquid Waste Fund
6158
03/12/2009
Liquid Waste Fund
6158
03/12/2009
Liquid Waste Fund
6158
03/12/2009
Liquid Waste Fund
6158
03/12/2009
Liquid Waste Fund
6159 03/12/2009 Liquid Waste Fund
Check Total: 42.56
Sewer Maint - Material /Supplies
Home Depot Credit Services
68.30
Building Maintenance
Home Depot Credit Services
1.72
Building Maintenance
Home Depot Credit Services
15.46
Check Total:
85.48
Benefits Admin Costs
Horizon Health EAP
1.40
Benefits Admin Costs
Horizon Health EAP
12.60
Sewer Maint -Pump Stn Contract Jimni Systems, Inc
Sewer Lateral Program #186
Sewer Maint- Water Pumps
Sewer Maint- Water Pumps
Sewer Maint- Water Pumps
Sewer Maint- Water Pumps
Kenneth Ryder
Mesa Consolidated Water Dist
Mesa Consolidated Water Dist
Mesa Consolidated Water Dist
Mesa Consolidated Water Dist
Sewer Maint- Equipment Maint Nextmk
Check Total:
Check Total:
Check Total:
Check Total:
Check Total:
6160 03/12/2009 Liquid Waste Fund Due to OCSD Orange County Sanitation Distr
14.00
1,655.58
1,655.58
1,179.66
1,179.66
15.00
15.00
15.00
1,400.00
1,445.00
8,610.11
8,610.11
1,633.05
Check Total: 1,633.05
6161 03/12/2009 Solid Waste Fund Office Supplies Office Depot 25.04
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 5
Check Number Check Date
Fund Name
Account Name
Vendor Name
Amount
6161
03/12/2009
Liquid Waste Fund
Office Supplies
Office Depot
225.40
6161
03/12/2009
Solid Waste Fund
Office Supplies
Office Depot
0.92
6161
03/12/2009
Liquid Waste Fund
Office Supplies
Office Depot
8.28
6161
03/12/2009
Solid Waste Fund
Office Supplies
Office Depot
0.89
6161
03/12/2009
Liquid Waste Fund
Office Supplies
Office Depot
8.01
Check Total:
268.54
6162
03/12/2009
Solid Waste Fund
Travel/Meals /Lodging
Bob Ooten
0.77
6162
03/12/2009
Liquid Waste Fund
Travel /Meals /Lodging
Bob Ooten
6.93
Check Total:
7.70
6163
03/12/2009
Solid Waste Fund
Building Maintenance
Pacific Building Care, Inc.
45.38
6163
03/12/2009
Liquid Waste Fund
Building Maintenance
Pacific Building Care, Inc.
408.37
Check Total:
453.75
6164
03/12/2009
Liquid Waste Fund
Staff Development
CMSD Petty Cash
8.77
6164
03/12/2009
Solid Waste Fund
Staff Development
CMSD Petty Cash
12.98
6164
03/12/2009
Solid Waste Fund
Staff Development
CMSD Petty Cash
5.10
6164
03/12/2009
Liquid Waste Fund
Staff Development
CMSD Petty Cash
45.90
6164
03/12/2009
Liquid Waste Fund
Postage
CMSD Petty Cash
4.90
6164
03/12/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
CMSD Petty Cash
27.50
6164
03/12/2009
Liquid Waste Fund
Staff Development
CMSD Petty Cash
34.00
6164
03/12/2009
Solid Waste Fund
MultiMed/Blueprint/Copies /Sub
CMSD Petty Cash
0.73
6164
03/12/2009
Liquid Waste Fund
MultiMed/Blueprints /Copies /Sub
CMSD Petty Cash
6.57
6164
03/12/2009
Solid Waste Fund
Building Maintenance
CMSD Petty Cash
0.60
6164
03/12/2009
Liquid Waste Fund
Building Maintenance
CMSD Petty Cash
5.41
6164
03/12/2009
Solid Waste Fund
Public Info /Ed/Community Promo
CMSD Petty Cash
24.00
6164
03/12/2009
Liquid Waste Fund
Public Info /Ed/Community Promo
CMSD Petty Cash
24.00
6164
03/12/2009
Solid Waste Fund
Staff Development
CMSD Petty Cash
1.50
6164
03/12/2009
Liquid Waste Fund
Staff Development
CMSD Petty Cash
13.50
6164
03/12/2009
Solid Waste Fund
Medical /Employment Services
CMSD Petty Cash
1.00
6164
03/12/2009
Liquid Waste Fund
Medical /Employment Services
CMSD Petty Cash
9.00
6164
03/12/2009
Solid Waste Fund
Postage
CMSD Petty Cash
7.33
6164
03/12/2009
Liquid Waste Fund
Postage
CMSD Petty Cash
65.94
6164
03/12/2009
Solid Waste Fund
Public Info /Ed/Community Promo
CMSD Petty Cash
3.45
6164
03/12/2009
Liquid Waste Fund
Public Info /Ed/Community Promo
CMSD Petty Cash
31.03
6164
` 03/12/2009
Solid Waste Fund
Public Info /Ed/Community Promo
CMSD Petty Cash
8.00
6164
03/12/2009
Liquid Waste Fund
Public Info /Ed/Community Promo
CMSD Petty Cash
8.00
6164
03/12/2009
Solid Waste Fund
Staff Development
CMSD Petty Cash
12.05
6164
03/12/2009
Solid Waste Fund
Travel /Meals /Lodging
CMSD Petty Cash
1.79
6164
03/12/2009
Liquid Waste Fund
Travel/Meals /Lodging
CMSD Petty Cash
16.12
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 6
Check Number Check Date Fund Name
6165 03/12/2009 Facilities Revolving Fund
6166 03/12/2009 Liquid Waste Fund
6166 03/12/2009 Liquid Waste Fund
6167 03/12/2009 Solid Waste Fund
6167 03/12/2009 Liquid Waste Fund
6168
03/12/2009
Solid Waste Fund
6168
03/12/2009
Liquid Waste Fund
6168
03/12/2009
Solid Waste Fund
6168
03/12/2009
Liquid Waste Fund
6169 03/12/2009 Liquid Waste Fund
6170 03/12/2009 Liquid Waste Fund
6171 03/12/2009 Liquid Waste Fund
6171 03/12/2009 Liquid Waste Fund
6171 03/12/2009 Liquid Waste Fund
Account Name Vendor Name Amount
Check Total:
Travel/Meals /Lodging Arlene Schafer
Travel/Meals /Lodging Arlene Schafer
Office Supplies Arlene Schafer
Office Supplies Arlene Schafer
Check Total:
Contract Services Underground Service Alert/SC
Check Total:
Deferred Compensation - 457 VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Check Total:
Check Total:
394.28
1.83
16.51
5.38
48.37
72.09
144.50
144.50
305.00
305.00
271.32
202.66
68.66
542.64
6172 03/12/2009 Liquid Waste Fund Sewer Lateral Program #186 Predrag Vasiljevic 1,800.00
Check Total: 1,800.00
6173 03/12/2009 Solid Waste Fund Cellular Service Verizon Wireless 40.70
AP - Checks for Approval ( 04/01 /2009 - 9:34 AM) Page 7
Check Total:
379.17
District Yard
Robert Thorton Architects, Inc
250.00
Check Total:
250.00
Irvine /Tustin Pump Stn #168 -Con
Santa Ana Blue Print
34.87
Bristol St Pump - Contract Labor
Santa Ana Blue Print
225.38
Check Total:
260.25
Electric - Building
Southern California Edison
39.43
Electric - Building
Southern California Edison
354.85
Check Total:
Travel/Meals /Lodging Arlene Schafer
Travel/Meals /Lodging Arlene Schafer
Office Supplies Arlene Schafer
Office Supplies Arlene Schafer
Check Total:
Contract Services Underground Service Alert/SC
Check Total:
Deferred Compensation - 457 VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Check Total:
Check Total:
394.28
1.83
16.51
5.38
48.37
72.09
144.50
144.50
305.00
305.00
271.32
202.66
68.66
542.64
6172 03/12/2009 Liquid Waste Fund Sewer Lateral Program #186 Predrag Vasiljevic 1,800.00
Check Total: 1,800.00
6173 03/12/2009 Solid Waste Fund Cellular Service Verizon Wireless 40.70
AP - Checks for Approval ( 04/01 /2009 - 9:34 AM) Page 7
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
100.00
6173
03/12/2009
Liquid Waste Fund
Cellular Service
Verizon Wireless
731.46
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Check Total:
772.16
6174
03/12/2009
Liquid Waste Fund
Sewer Lateral Program #186
Wayne Leffler
276.25
6182
03/26/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Check Total:
276.25
6180
03/26/2009
Solid Waste Fund
Office Supplies
Ariel Supply
20.46
6180
03/26/2009
Liquid Waste Fund
Office Supplies
Ariel Supply
184.16
6182
03/26/2009
Liquid Waste Fund
Equipment Maintenance
Check Total:
204.62
6181
03/26/2009
Solid Waste Fund
Telephone
AT &T
5.78
6181
03/26/2009
Liquid Waste Fund
Telephone
AT &T
52.05
6181
03/26/2009
Solid Waste Fund
Telephone
AT &T
20.52
6181
03/26/2009
Liquid Waste Fund
Telephone
AT &T
184.65
Check Total: 263.00
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
60.40
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
100.00
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
-17.79
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
-6.82
6182
03/26/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Bank of America
30.00
6182
03/26/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Bank of America
400.00
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
- 268.03
6182
03/26/2009
Solid Waste Fund
Equipment Maintenance
Bank of America
189.88
6182
03/26/2009
Liquid Waste Fund
Equipment Maintenance
Bank of America
1,708.92
6182
03/26/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
19.13
6182
03/26/2009
Liquid Waste Fund
Travel /Meals /Lodging
Bank of America
172.19
6182
03/26/2009
Liquid Waste Fund
Sewer Maint - Material /Supplies
Bank of America
78.98
6182
03/26/2009
Solid Waste Fund
Travel /Meals /Lodging
Bank of America
23.02
6182
03/26/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
207.18
6182
03/26/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
21.02
6182
03/26/2009
Liquid Waste Fund
Travel /Meals /Lodging
Bank of America
189.18
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
64.07
6182
03/26/2009
Solid Waste Fund
Travel /Meals /Lodging
Bank of America
47.48
6182
03/26/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
427.34
6182
03/26/2009
Solid Waste Fund
Travel /Meals /Lodging
Bank of America
14.92
6182
03/26/2009
Liquid Waste Fund
Travel /Meals /Lodging
Bank of America
134.28
6182
03/26/2009
Solid Waste Fund
Travel /Meals /Lodging
Bank of America
7.81
6182
03/26/2009
Liquid Waste Fund
Travel /Meals /Lodging
Bank of America
70.25
6182
03/26/2009
Solid Waste Fund
Building Maintenance
Bank of America
6.40
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 8
Check Number Check Date Fund Name Account Name Vendor Name Amount
6182
03/26/2009
Liquid Waste Fund
Building Maintenance
Bank of America
57.64
6182
03/26/2009
Solid Waste Fund
Travel /Meals /Lodging
Bank of America
2.90
6182
03/26/2009
Liquid Waste Fund
Travel /Meals /Lodging
Bank of America
26.15
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
70.23
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
3.22
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
30.00
6182
03/26/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
27.32
6182
03/26/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
245.88
6182
03/26/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
59.31
6182
03/26/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
3.00
6182
03/26/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
26.96
6182
03/26/2009
Solid Waste Fund
MultiMed/Blueprint/Copies /Sub
Bank of America
12.60
6182
03/26/2009
Liquid Waste Fund
MultiMed/Blueprints /Copies /Sub
Bank of America
113.40
6182
03/26/2009
Solid Waste Fund
Small Tools /Equipment
Bank of America
34.16
6182
03/26/2009
Liquid Waste Fund
Small Tools /Equipment
Bank of America
307.46
6182
03/26/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
4.14
6182
03/26/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
37.27
6182
03/26/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
5.40
6182
03/26/2009
Liquid Waste Fund
Travel /Meals/Lodging
Bank of America
48.60
6182
03/26/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Bank of America
66.75
6182
03/26/2009
Solid Waste Fund
Staff Development
Bank of America
1.50
6182
03/26/2009
Liquid Waste Fund
Staff Development
Bank of America
13.50
Check Total:
4,877.20
6183
03/26/2009
Solid Waste Fund
Fiscal Services
CBIZ ATA Orange County LLC
1,965.60
6183
03/26/2009
Liquid Waste Fund
Fiscal Services
CBIZ ATA Orange County LLC
3,650.40
Check Total:
5,616.00
6184
03/26/2009
Solid Waste Fund
Trash Hauler
Costa Mesa Disposal
196,603.05
Check Total:
196,603.05
6185
03/26/2009
Liquid Waste Fund
Dental Insurance
CoPower
630.63
Check Total:
630.63
6186
03/26/2009
Solid Waste Fund
Contract Services
Cassandra Chenevert
192.94
6186
03/26/2009
Liquid Waste Fund
Contract Services
Cassandra Chenevert
358.31
Check Total:
551.25
6187
03/26/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Irvine Ranch Water District
7.50
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) - Page 9
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
6193
03/26/2009
Solid Waste Fund
6193
03/26/2009
6187
03/26/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Irvine Ranch Water District
7.50
Liquid Waste Fund
Check Total:
15.00
6188
03/26/2009
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
2.06
6188
03/26/2009
Liquid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
18.55
6188
03/26/2009
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
36.38
6188
03/26/2009
Liquid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
327.40
6189 03/26/2009 Liquid Waste Fund
6190 03/26/2009 Liquid Waste Fund
6191 03/26/2009 Liquid Waste Fund
6192 03/26/2009 Liquid Waste Fund
6193
03/26/2009
Solid Waste Fund
6193
03/26/2009
Liquid Waste Fund
6193
03/26/2009
Solid Waste Fund
6193
03/26/2009
Liquid Waste Fund
6194
03/26/2009
Solid Waste Fund
6194
03/26/2009
Liquid Waste Fund
6195 03/26/2009 Liquid Waste Fund
AP - Checks for Approval ( 04/01/2009 - 9:34 AM )
Check Total:
Sewer Lateral Program #186 Lisa Stanton
Sewer Lateral Program #186
Sewer Maint- Water Pumps
Check Total:
Mary Humphrey
Check Total:
Mesa Consolidated Water Dist
,Check Total:
Televising Swr#159 -Contr Svc National Plant Services, Inc.
Check Total:
Office Supplies
Office Depot
Office Supplies
Office Depot
Office Supplies
Office Depot
Office Supplies
Office Depot
Check Total:
MultiMed/Blueprint/Copies /Sub
United States Postmaster
MultiMed/Blueprints /Copies /Sub
United States Postmaster
Check Total:
Sewer Lateral Program #186 Richard Lehn
Check Total:
384.39
1,800.00
1,800.00
1,800.00
1,800.00
15.00
15.00
4,620.00
4,620.00
1.36
12.21
4.65
41.83
60.05
18.00
162.00
180.00
647.50
Page 10
647.50
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
6196
03/26/2009
Facilities Revolving Fund
District Yard
Robert Thorton Architects, Inc
84.86
Check Total:
84.86
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
310.22
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
1,063.75
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
197.40
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
325.27
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
79.79
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
35.82
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
58.50
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
428.66
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
457.55
6197
03/26/2009
Liquid Waste Fund
Sewer Maint- Electric Pumps
Southern California Edison
1,138.93
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
69.61
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
83.27
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
109.25
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
40.74
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
287.27
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
421.25
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
1,034.33
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
80.26
6197
03/26/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
347.74
Check Total:
6,569.61
6198
03/26/2009
Solid Waste Fund
Workers' Compensation
Spec Dist Risk Mgt Authority
384.00
6198
03/26/2009
Liquid Waste Fund
Swr Maint - Workers Comp
Spec Dist Risk Mgt Authority
2,726.40
6198
03/26/2009
Liquid Waste Fund
Workers' Compensation
Spec Dist Risk Mgt Authority
729.60
Check Total:
3,840.00
6199
03/26/2009
Solid Waste Fund
Sharps Program
Stericycle
203.54
6199
03/26/2009
Solid Waste Fund
Sharps Program
Stericycle
195.18
6199
03/26/2009
Solid Waste Fund
Sharps Program
Stericycle
145.99
6199
03/26/2009
Solid Waste Fund
Sharps Program
Stericycle
125.39
Check Total:
670.10
6200
03/26/2009
Solid Waste Fund
Building Maintenance
Trimco Landscape
19.90
6200
03/26/2009
Liquid Waste Fund
Building Maintenance
Trimco Landscape
179.10
Check Total: 199.00
AP - Checks for Approval ( 04/01/2009 - 9:34 AM) Page 11
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
6201
03/26/2009
Liquid Waste Fund
Deferred Compensation - 457
VantagePoint Transfer Agents
305.00
Check Total:
305.00
6202
03/26/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
278.30
6202
03/26/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
208.77
6202
03/26/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
69.53
Check Total: 556.60
Report Total: 525,326.76
AP - Checks for Approval ( 04/01/2009 - 9:34 AM ) Page 12