Warrant Reso 2008-03COSTA MESA SANITARY DISTRICT °
Warrant Resolution No. CMSD 2008 -03
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 $823,933.76 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 13th day of September 2007.
ATTEST:
S ,
- Secretary,'
STATE OF CALIFORNIA )
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 2008 -03 was duly adopted by the Costa
Mesa Sanitary District at a regular meeting held, on the 13th day of September 2007.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed the Seal of
the Costa Mesa Sanitary District on this 13th day of September 2007.
Clerk of u e Costa Mesa Sanitary District
-:
Accounts Payable
Checks for Approval
User: skallab
Printed: 09/04/2007 - 8:26 AM
Check Number Check Date Fund Name
Account Name
COSTIA W ES'A SYWIZARTOISTRICT
--- an Independent Specia6 (District
Vendor Name
Void Amount
0 08/01/2007
Liquid Waste Fund
State Withholding Taxes
State of Cal Emp Dev Dept
1,094.76
Check Total:
1,094.76
0 08/01/2007
Liquid Waste Fund
Federal Withholding Taxes
Federal Taxes
3,700.05
0 08/01/2007
Liquid Waste Fund
Medicare - Employee
Federal Taxes
348.01
0 08/01/2007
Liquid Waste Fund
Medicare - Employee
Federal Taxes
308.01
0 08/01/2007
Liquid Waste Fund
Medicare - Employee
Federal Taxes
40.00
Check Total:
4,396.07
0 08/01/2007
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
81.54
0 08/01/2007
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
14.17
0 08/01/2007
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
166.70
0 08/01/2007
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
28.97
0 08/01/2007
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
1,164.84
0 08/01/2007
Liquid Waste Fund
'PERS Retirement
Cal Pers Employee Ret System
2,381.44
0 08/01/2007
Liquid Waste Fund
PERS Survivor Benefit
Cal Pers Employee Ret System
6.51
0 08/01/2007
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
202.41
0 08/01/2007
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
413.81
Check Total:
41460.39
0 08/01/2007
Liquid Waste Fund
Life /AD &D Insurance
Guardian
265.50
0 08/01/2007
Liquid Waste Fund
Long -Term Disability
Guardian
196.25
0 08/01/2007
Solid Waste Fund
Benefits Admin Costs
Guardian
0.50
Check Total: 462.25
0 08/01/2007 Liquid Waste Fund Benefits Admin Costs Guardian 4.50
AP - Checks for Approval ( 09/04/2007 - 8:26 AM) Page 1
Check Number Check Date Fund Name
0 08/07/2007 Liquid Waste Fund
0 08/07/2007 Solid Waste Fund
0 08/07/2007 Liquid Waste Fund
0 08/15/2007 Solid Waste Fund
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
0 08/15/2007
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
0 08/15/2007 Liquid Waste Fund
0 08/15/2007
Liquid Waste Fund
0 08/15/2007
Liquid Waste Fund
0 08/15/2007
Liquid Waste Fund
0 08/15/2007
Liquid Waste Fund
Account Name
Vendor Name
Void Amount
Check Total: 4.50
PERS Medical
Cal PERS
3,051.75
Benefits Admin Costs
Cal PERS
1.34
Benefits Admin Costs
Cal PERS
12.09
Check Total:
3,065.18
Investment Earnings
Bank of America
153.91
Check Total:
153.91
Federal Withholding Taxes
Federal Taxes
167.58
FICA - Employee
Federal Taxes
200.26
FICA - Employee
Federal Taxes
200.26
Medicare - Employee
Federal Taxes
46.84
Medicare - Employee
Federal Taxes
46.84
PERS Retirement
PERS Retirement
PERS Retirement
PERS Retirement
PERS Retirement
PERS Retirement
PERS Survivor Benefit
PERS Retirement
PERS Retirement
State Withholding Taxes
Federal Withholding Taxes
Medicare - Employee
Medicare - Employee
Medicare - Employee
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
State of Cal Emp Dev Dept
Check Total:
Check Total:
661.78
78.74
13.93
160.98
28.48
1,124.79
2,299.58
6.51
199.02
406.88
4,318.91
1,017.18
Check Total: 1 ,017.18
Federal Taxes
3,503.46
Federal Taxes
335.12
Federal Taxes
295.80
Federal Taxes
39.32
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 2
Check Number Check Date Fund Name
0 08/29/2007
0 08/29/2007
0 08/29/2007
0 08/29/2007
0 08/29/2007
0 08/29/2007
0 08/29/2007
0 08/29/2007
0 08/29/2007
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
Liquid Waste Fund
0 08/29/2007 Liquid Waste Fund
0
08/29/2007
Liquid Waste Fund
0
08/29/2007
Liquid Waste Fund
0
08/29/2007
Liquid Waste Fund
0
08/29/2007
Liquid Waste Fund
4480
08/02/2007
Solid Waste Fund
4480
.08/02/2007
Liquid Waste Fund
4481 08/02/2007 Liquid Waste Fund
4482 08/02/2007 Solid Waste Fund
Account Name
PERS Retirement
PERS Retirement
PERS Retirement
PERS Retirement
PERS Retirement
PERS Retirement
PERS Survivor Benefit
PERS Retirement
PERS Retirement
State Withholding Taxes
Federal Withholding Taxes
Medicare - Employee
Medicare - Employee
Medicare - Employee
Building Maintenance
Building Maintenance
Employee Insurance
Vendor Name
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Cal Pers Employee Ret System
Check Total
Check Total
State of Cal Emp Dev Dept
Check Total:
Federal Taxes
Federal Taxes.
Federal Taxes
Federal Taxes
949 Storage
949 Storage
AFLAC
Check Total:
Check Total:
Check Total:
Public Info/Ed/Community Promo American Solutions for Business
Check Total:
4483 08/02/2007 Solid Waste Fund Telephone
4483 08/02/2007 Liquid Waste Fund Telephone
AT &T
AT &T
Void Amount
AP - Checks for Approval ( 09/04/2007 - 8:26 AM) Page 3
4,173.70
78.82
13.93
161.16
28.48
1,126.06
2,302.15
6.51
199.02
406.88
4,323.01
1,071.31
1,071.31
3,630.57
346.43
301.00
45.43
4,323.43 i
15.50
139.50
155.00
550.40
550.40
4,945.51
4,945.51
27.31
245.76
Check Number Check Date Fund Name Account Name Vendor Name Void Amount
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 4
Check Total:
273.07
4484
08/02/2007
Solid Waste Fund
Legal Services
Alan R. Burns
618.80
4484
08/02/2007
Liquid Waste Fund
Legal Services
Alan R. Burns
1,149.20
4484
08/02/2007
Liquid Waste Fund
Legal Services
Alan R. Burns
3,827.00
Check Total:
5,595.00
4485
08/02/2007
Liquid Waste Fund
Fiscal Services
CalbizCentral
3,281.20
4485
08/02/2007
Solid Waste Fund
Fiscal Services
CalbizCentral
1,766.80
Check Total:
5,048.00
4486
08/02/2007
Solid Waste Fund
Telephone
Comm360 Software, Inc.
0.81
4486
08/02/2007
Liquid Waste Fund
Telephone
Comm360 Software, Inc.
7.33
Check Total:
8.14
4487
08/02/2007
Solid Waste Fund
Household Hazardous Waste
Curbside, Inc.
178.00
4487
08/02/2007
Solid Waste Fund
Household Hazardous Waste
Curbside, Inc.
106.00
Check Total:
284.00
4488
08/02/2007
Solid Waste Fund
Public Info/Ed /Community Promo
Eagle Aerial Imaging
17.50
4488
08/02/2007
Liquid Waste Fund
Public Info/Ed/Community Promo
Eagle Aerial Imaging
157.50
Check Total:
175.00
4489
08/02/2007
Liquid Waste Fund
WDR Ph III # 176 - Contr Svc
Environmental Engr & Cont, Inc
4,000.00
Check Total:
4,000.00
4490
08/02/2007
Solid Waste Fund
Benefits Admin Costs
Employee Support Systems
1.40
4490
08/02/2007
Liquid Waste Fund
Benefits Admin Costs
Employee Support Systems
12.60
Check Total:
14.00
4491
08/02/2007
Solid Waste Fund
Gas - Building
The Gas Company
1.78
4491
08/02/2007
Liquid Waste Fund
Gas - Building
The Gas Company
16.03
Check Total:
17.81
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 4
Check Number Check Date Fund Name Account Name Vendor Name Void Amount
4492
08/02/2007
Liquid Waste Fund
Engineering/Architectural Sery
Robin B. Hamers & Assoc., Inc.
1,400.00
4492
08/02/2007
Liquid Waste Fund
Plan Ck/Inspection- Inside
Robin B. Hamers & Assoc., Inc.
370.00
4492
08/02/2007
Liquid Waste Fund
Plan Ck/Inspection- Outside
Robin B. Hamers & Assoc., Inc.
1,110.00
4492
.08/02/2007
Liquid Waste Fund
Plan Ck/Inspection- Inside
Robin B. Hamers & Assoc., Inc.
1,168.75
4492
08/02/2007
Liquid Waste Fund
Plan Ck/Inspection- Outside
Robin B. Hamers & Assoc., Inc.
3,506.25
4492
08/02/2007
Liquid Waste Fund
Plan Ck/Inspection- Inside
Robin B. Hamers & Assoc., Inc.
639.38
4492
08/02/2007
Liquid Waste Fund
Plan Ck/Inspection- Outside
Robin B. Hamers & Assoc., Inc.
1,918.12
4492
08/0.2/2007
Liquid Waste Fund
Plan Ck/Inspection- Inside
Robin B. Hamers & Assoc., Inc.
2,160.00
4492
08/0212007
Liquid Waste Fund
Plan Ck/Inspection- Outside
Robin B. Hamers & Assoc., Inc.
6,480.00
4492
08/02/2007
Liquid Waste Fund
Tustin Pump Stn# 168 -Contr Svc
Robin B. Hamers & Assoc., Inc.
13,472.50
4492
08/02/2007
Liquid Waste Fund
OCSD Grant # 175 - Cont Svc
Robin B. Hamers & Assoc., Inc.
"
2,722.50
4492
08/02/2007
Liquid Waste Fund
WDR Ph III # 176 - Contr Svc
Robin B. Hamers & Assoc., Inc.
1,400.00
4492
08/02/2007
Solid Waste Fund
District Manager
Robin B. Hamers & Assoc., Inc.
475.86
4492
08/02/2007
Liquid Waste Fund
District Manager
Robin B. Hamers & Assoc., Inc.
883.74
4492
08/02/2007
Solid Waste Fund
District Manager
Robin B. Hamers & Assoc., Inc.
1,485.31
4492
08/02/2007
Liquid Waste Fund
District Manager
Robin B. Hamers & Assoc., Inc.
2,758.44
Check Total:
41,950.85
4493
08/02/2007
Solid Waste Fund
Postage
Hasler
4.10
4493
08/02/2007
Liquid Waste Fund
Postage
Hasler
36.85
Check Total:
40.95
4494
08/02/2007
Liquid Waste Fund
Sewer Maint- Water Pump
Irvine Ranch Water District
7.50
4494
08/02/2007
Liquid Waste Fund
Sewer Maint- Water Pump
Irvine Ranch Water District
7.50
Check Total:
15.00
4495
08/02/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
765.44
4495
08/02/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
196.10
Check Total:
961.54
4496
08/02/2007
Liquid Waste Fund
Misc Swr Wk#164 -Cont Svc
John Dickens Inc.
1,350.00
Check Total:
1,350.00
4497
08/02/2007
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol, Inc
1.58
4497
08/02/2007
Liquid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol, Inc
14.22
4497
08/02/2007
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol, Inc
22.14
4497
08/02/2007
Liquid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol, Inc
199.26
AP - Checks for Approval ( 09/04/2007 - 8:26 AM) Page 5
Check Number Check Date Fund Name
4498
08/02/2007
Liquid Waste Fund
4498
08/02/2007
Liquid Waste Fund
4498
08/02/2007
Liquid Waste Fund
4499
08/02/2007
Solid Waste Fund
4499
08/02/2007.
Liquid Waste Fund
4499
08/02/2007
Solid Waste Fund
4499
08/02/2007
Liquid Waste Fund
4499
08/02/2007
Solid Waste Fund
4499
08/02/2007
Liquid Waste Fund
4499
08/02/2007
Solid Waste Fund
4499
08/02/2007
Liquid Waste Fund
4499
08/02/2007
Solid Waste Fund
4499
08/02/2007
Liquid Waste Fund
4500
08/02/2007
Solid Waste Fund
Account Name
Sewer Maint- Water Pump
Sewer Maint- Water Pump
Sewer Maint- Water Pump
Office Supplies
Office Supplies
Office Supplies
Office Supplies
Office Supplies
Office Supplies
Office Supplies
Office Supplies
Office Supplies
Office Supplies
Vendor Name
Mesa Consolidated Water Dist
Mesa Consolidated Water Dist
Mesa Consolidated Water Dist
Office Depot
Office Depot
Office Depot
Office Depot
Office Depot
Office Depot
Office Depot
Office Depot
Office Depot
Office Depot
Check Total:
Check Total:
Check Total:
Sharps Program Professional Hospital Supply --
Check Total:
4501 08/02/2007 Solid Waste Fund Contract Services
4501 08/02/2007 Liquid Waste Fund Contract Services
4502 08/02/2007 Solid Waste Fund
4503 08/02/2007 Liquid Waste Fund
Peggy Preston
Peggy Preston
MultiMedBlueprint/Copies /Sub Resource Recycling
Prof Membership/Dues Santa Ana River Flood Protect
Check Total:
Void Amount
237.20
15.92
17.91
17.91
51.74
4.31
38.79
0.74
6.62
-0.81
-7.33 .
-0.74
-6.62
0.78
6.97
42.71
2,846.82
2,846.82
43.35
390.15
433.50
80.00
Check Total: 80.00
1,100.00
Check Total: 1,100.00
4504 08/02/2007 Liquid Waste Fund Tustin Pump Stn# 168 -Contr Svc Southern California Edison 6,842.05 0.00
4504 08/02/2007 Solid Waste Fund Electric - Building Southern California Edison 82.34 0.00
4504 08/02/2007 Liquid Waste Fund . Electric - Building Southern California Edison 741.09 0.00
AP - Checks for Approval ( 09/04/2007 - 8:26 AM) Page 6
Check Number Check Date Fund Name Account Name Vendor Name Void Amount
4505
08/02/2007
Solid Waste Fund
4505
08/02/2007
Liquid Waste_Fund
4506
08/02/2007
Liquid Waste Fund
4506
08/02/2007
Liquid Waste Fund
4507
08/02/2007
Liquid Waste Fund
4508
08/02/2007
Liquid Waste Fund
4508
08/02/2007
Liquid Waste Fund
4508
08/02/2007
Liquid Waste Fund
4509
08/02/2007
Solid Waste Fund
4509
08/02/2007
Liquid Waste Fund
4515
08/10/2007
Solid Waste Fund
4515
08/10/2007
Liquid Waste Fund
Travel/Meals/Lodging
Travel/Meals/Lodging
Bld /Grds Fund# 179 -Contr Svc
Bld /Grds Fund #179 -Contr Svc
Deferred Compensation - 457
Arlene Schafer
Arlene Schafer
Check Total:
Check Total:
Saratoga Trading Company
Saratoga Trading Company
Check Total:
VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Deferred Medical -RHS- Employee VantagePoint Transfer Agents
Professional Services
Professional Services
Electric - Building
Electric - Building
Visual Perspectives Internet
Visual Perspectives Internet
Southern California Edison
Southern California Edison
Check Total:
Check Total:
Check Total:
0.00
1.49
13.36
14.85
399.90 0.00
199.88 0.00
0.00
90.00
90.00
167.65
139.22
28.43
335.30
11,250.00
11,250.00
22,500.00
82.34
741.09
Check Total:
823.43
4516
08/16/2007
Liquid Waste Fund
Contract Services
BDM Consulting
1,125.00
Check Total:
1,125.00
4517
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
8.08
4517
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
72.69
4517
08/16/2007
Solid Waste Fund
Educational Tours
Bank of America
24.98
4517
08/16/2007
Liquid Waste Fund
Sewer Maint - Equipment Maint
Bank of America
15.53
4517
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
9.57
4517
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
86.09
AP - Checks for Approval ( 09/04/2007 - 8:26 AM)
Page 7
Check Number Check Date Fund Name Account Name Vendor Name Void Amount
4517
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
4.84
4517
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
43.58
4517
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
82.50
4517
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
742.50
4517
08/16/2007
Solid Waste Fund
Building Maintenance
Bank of America
11.59
4517
08/16/2007
Liquid Waste Fund
Building Maintenance
Bank of America
104.34
4517
08/16/2007
Liquid Waste Fund
Sewer Maint- Equipment Maint'
Bank of America
104.47
4517
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
180.72
4517
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
20.08
4517
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
21.28
4517
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
191.52
4517
08/16/2007
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
109.50
4517
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
3.50
4517
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
31.50
4517
08/16/2007
Solid Waste Fund
Staff Development
Bank of America
1.50
4517
08/.16/2007
Liquid Waste Fund
Staff Development
Bank of America
13.50
4517
08/16/2007
Solid Waste Fund
Educational Tours
Bank of America
152.12
Check Total:
2,035.98
4518
08/16/2007
Solid Waste Fund
Fiscal Services
CBIZ ATA Orange County LLC
391.20
4518
08/16/2007
Liquid Waste Fund
Fiscal Services
CBIZ ATA Orange County LLC
3,520.80
Check Total:
3,912.00
4519
08/16/2007
Solid Waste Fund
Public Info/Ed/Community Promo
City of Costa Mesa
250.00
4520
08/16/2007
Solid Waste Fund
4521
08/16/2007
Solid Waste Fund
4521
08/16/2007
Solid Waste Fund
4522 08/16/2007 Liquid Waste Fund
Trash Hauler
Recycling/Disposal
Recycling/Disposal
Costa Mesa Disposal
CR Transfer, Inc.
CR Transfer, Inc.
Sewer Maint - Material /Supplies Golden Bell Products, Inc.
Check Total:
Check Total:
Check Total:
250.00
195,797.38
195,797.38
194,273.04
10,298.82
204,571.86
1,422.30
Check Total: 1,422.30
4523 08/16/2007 Liquid Waste Fund Sewer Maint -Pump Stn Contract Jimni Systems, Inc 1,435.20
AP - Checks for Approval ( 09/04/2007 - 8:26 AM) Page 8
Check Number Check Date Fund Name Account Name Vendor Name Void Amount
4523
08/16/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
669.76
4523
08/16/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
574.08
4523
08/16/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
130.73
4523
08/16/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
196.10
.4523
08/16/2007
Liquid Waste Fund
Sewer Maint -Pump Sm Contract
Jimni Systems, Inc
522.92
4523
08/16/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
922.97
4523
08/16/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
589.01
4527
08/16/2007
Liquid Waste Fund
Public Info/Ed /Community Promo
Check Total:
5,040.77
4524
08/16/2007
Solid Waste Fund
MultiMedBlueprint/Copies /Sub
Martin & Chapman Co.
2.54
4524
08/16/2007
Liquid Waste Fund
MultiMedBlueprints /Copies /Sub
Martin & Chapman Co.
22.86
4527
08/16/2007
Solid Waste Fund
Public Info/Ed/Community Promo
Check Total:
25.40
4525
08/16/2007
Liquid Waste Fund
Sewer Maint- Water Pump
Mesa Consolidated Water Dist
18.91
4525
08/16/2007
Liquid Waste Fund
Sewer Maint- Water Pump _
Mesa Consolidated Water Dist
15.00
4527
08/16/2007
Solid Waste Fund
Public Info/Ed /Community Promo
Check Total:
33.91
4526
08/16/2007
Solid Waste Fund
Office Supplies
Office Depot
7.62
4526
08/16/2007
Liquid Waste Fund
Office Supplies
Office Depot
68.58
4526
08/16/2007
Solid Waste Fund
Office Supplies
Office Depot
1.74
4526
08/16/2007
Liquid Waste Fund
Office Supplies
Office Depot
15.70
Check Total: 93.64
4527
08/16/2007
Solid Waste Fund
Staff Development
CMSD Petty Cash
3.60
4527
08/16/2007
Liquid Waste Fund
Staff Development
CMSD Petty Cash
32.40
4527
08/16/2007
Solid Waste Fund
Staff Development
CMSD Petty Cash
5.83
4527
08/16/2007
Liquid Waste Fund
Staff Development
CMSD Petty Cash
52.45
4527
08/16/2007
Solid Waste Fund
Public Info/Ed /Community Promo
CMSD Petty Cash
6.06
4527
08/16/2007
Liquid Waste Fund
Public Info/Ed /Community Promo
CMSD Petty Cash
54.54
4527
08/16/2007
Solid Waste Fund
Public Info/Ed/Community Promo
CMSD Petty Cash
1.47
4527
08/16/2007
Liquid Waste Fund
Public Info/Ed /Community Promo
CMSD Petty Cash
13.20
4527
08/16/2007
Solid Waste Fund
Travel/Meals/Lodging
CMSD Petty Cash
6.50
4527
08/16/2007
Liquid Waste Fund
Travel/Meals/Lodging
CMSD Petty Cash
58.50
4527
08/16/2007
Solid Waste Fund
Public Info/Ed/Community Promo
CMSD Petty Cash
0.76
4527
08/16/2007
Liquid Waste Fund
Public Info/Ed /Community Promo
CMSD Petty Cash
6.87
4527
08/16/2007
Solid Waste Fund
Educational Tours
CMSD Petty Cash
12.69
4527
08/16/2007
Solid Waste Fund
Public Info/Ed /Community Promo
CMSD Petty Cash
8.30
4527
08/16/2007
Liquid Waste Fund
Public Info/Ed /Community Promo '
CMSD Petty Cash
74.70
4527
08/16/2007
Solid Waste Fund
Staff Development
CMSD Petty Cash
0.99
4527
08/16/2007
Liquid Waste Fund
Staff Development
CMSD Petty Cash
8.85
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 9
Check Number Check Date Fund Name Account Name Vendor Name Void Amount
4527 08/16/2007 Liquid Waste Fund Staff Development
4527 08/16/2007 Solid Waste Fund Staff Development
CMSD Petty Cash .38 ' 65
CMSD Petty Cash 4.29
Check Total: 390.65
4528
08/16/2007
Solid Waste Fund
Telephone
Quest
0.48
4528
08/16/2007
Liquid Waste Fund
Telephone
Quest
4.29
Check Total:
4.77
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
114.16
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
48.86
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
81.88
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
328.79
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
417.72
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
777.29
4529
08/16/2007
Liquid Waste Fund
Sewer Maint- Electric Pump
Southern California Edison
37.31
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
320.05
4529
08/16/2007
Liquid Waste Fund.
Sewer Maint - Electric Pump
Southern California Edison
404.38
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
85.46"
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
106.73
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
307.29
4529
08/16/2007
Liquid Waste Fund
Sewer Maint- Electric Pump
Southern California Edison
20439
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
397.60
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
1,311.72
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison-
1,318.26
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
76.64
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
37.50
4529
08/16/2007
Liquid Waste Fund
Sewer Maint - Electric Pump
Southern California Edison
434.77
Check Total:
6,810.80
4530
08/16/2007
Liquid Waste Fund
Misc Swr Wk #164 -Cont Svc
Schuler Engineering Corp.
46,784.64
Check Total:
46,784.64
4531
08/16/2007
Solid Waste Fund
Recycling/Disposal
Stericycle
97.62
4531
08/16/2007
Solid Waste Fund
Recycling/Disposal
Stericycle
106.47
4531
08/16/2007
Solid Waste Fund
Recycling/Disposal
Stericycle
97.62
4531.
08/16/2007
Solid Waste Fund
Recycling/Disposal
Stericycle
211.62
Check Total: 513.33
4532 08/16/2007 Solid Waste Fund Public Info/Ed/Community Promo Times Community News 73.75
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 10
Check Number Check Date Fund Name
Account Name
Vendor Name
Void Amount
4532
08/16/2007
Liquid Waste Fund
Public InfolEd/Community Promo
Times Community News
663.75
Check Total:
737.50
4533
08/16/2007
Liquid Waste Fund
Contract Services
Underground Service Alert/SC
112.00
Check Total:
112.00
4534
08/16/2007
Liquid Waste Fund
Deferred Compensation - 457
VantagePoint Transfer Agents
90.00
Check Total:
90.00
4535
08/16/2007
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
167.65
4535
08/16/2007
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
139.22
4535
08/16/2007
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
28.43
Check Total:
335.30
4536
08/16/2007
Solid Waste Fund
Cellular Service
Verizon Wireless
42.18
4536
08/16/2007
Liquid Waste Fund
Cellular Service
Verizon Wireless
561.83
Check Total:
604.01
4538
08/30/2007
Solid Waste Fund
Building Maintenance
949 Storage
15.50
4538
08/30/2007
Liquid Waste Fund
Building Maintenance
949 Storage
139.50
Check Total:
155.00
4539
08/30/2007
Liquid Waste Fund
Employee Insurance
AFLAC
550.40
Check Total:
550.40
4540
08/30/2007
Solid Waste Fund
Public Info/Ed/Community Promo
American Solutions for Business
267.38
4540
08/30/2007
Liquid Waste Fund
Public Info/Ed/Community Promo
American Solutions for Business
2,406.44
Check Total:
2,673.82
4541
08/30/2007
Solid Waste Fund
Telephone
AT &T
71.58
4541
08/30/2007
Liquid Waste Fund
Telephone
AT &T
644.18
4541
08/30/2007
Solid Waste Fund
Telephone
AT &T
4.85
4541
08/30/2007
Liquid Waste Fund
Telephone
AT &T
43.62
4541.
08/30/2007
Solid Waste Fund
Telephone
AT &T
27.42
4541
08/30/2007
Liquid Waste Fund
Telephone
AT &T
246.76
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 11
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Liquid Waste Fund
Void Amount
08/30/2007
Liquid Waste Fund
4550
08/30/2007
Solid Waste Fund
4550
08/30/2007
Liquid Waste Fund
Check Total:
1,038.41
4542
08/30/2007
Solid Waste Fund
Building Maintenance
Bay Alarm
13.20
4542
08/30/2007
Liquid Waste Fund
Building Maintenance
Bay Alarm
118.80
Check.Total:
132.00
4543
08/30/2007
Solid Waste Fund
Investment Earnings
Bank of New York
1,500.00
Check Total:
1,500.00
4544
08/30/2007
Liquid Waste Fund
Other Reimbursements
CBIZ ATA Orange County LLC
5,048.00
Check Total:
5,048.00
4545
08/30/2007
Liquid Waste Fund
Sewer Maint- Water Pump
City of Newport Beach
9.87
Check Total:
9.87
4546
08/30/2007
Solid Waste Fund
Telephone
Comm360 Software, Inc.
1.00
4546
08/30/2007
Liquid Waste Fund
Telephone
Comm360 Software, Inc.
9.03
Check Total:
10.03
4547
08/30/2007
Liquid Waste Fund
Dental Insurance
CoPower
367.53
4548
08/30/2007
Liquid Waste Fund
4548
08/30/2007
Liquid Waste Fund
4549
08/30/2007
Liquid Waste Fund
4550
08/30/2007
Solid Waste Fund
4550
08/30/2007
Liquid Waste Fund
Check Total:
Accounts Receivable C &R Drains
Sewer Maint- Equipment Maint C &R Drains
Check Total:
Fog # 180 - Contract Sery Environmental Engr & Cont, Inc
Check Total:
Gas - Building
Gas - Building
The Gas Company
The Gas Company
367.53
132.00
40.00
172.00
5,134.16
5,134.16
1.29
11.57
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 12
Check Number Check Date Fund Name
4551 08/30/2007 Liquid Waste Fund
4551 08/30/2007 Liquid Waste Fund
4552 08/30/2007 Solid Waste Fund
4552 08/30/2007 Liquid Waste Fund
4553 08/30/2007 Liquid Waste Fund
4553 08/30/2007 Liquid Waste Fund
Account Name Vendor Name Void Amount
Misc Swr Wk# 164 -Cont Svc
Misc Swr Wk# 164 -Cont Svc
Postage
Postage
Sewer Maint- Water Pump
Sewer Maint- Water Pump
Golden Bell Products, Inc.
Golden Bell Products, Inc.
Hasler
Hasler
Irvine Ranch Water District
Irvine Ranch Water District
Check Total:
Check Total:
Check Total:
12.86
2,775.00
245.00
3,020.00
4.10
36.85
40.95
7.50
7.50
Check Total: 15.00
4554
08/30/2007
Solid Waste Fund
Travel/Meals/Lodging
Independent Special Dist of OC
12.00
4554
08/30/2007
Liquid Waste Fund
Travel/Meals/Lodging
Independent Special Dist of OC
12.00
Check Total:
24.00
4555
08/30/2007
Solid Waste Fund
Building Maintenance
Janico
41.25
4555
08/30/2007
Liquid Waste Fund
Building Maintenance
Janico
371.25
Check Total:
412.50
4556
08/30/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
574.08
4556
08/30/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
478.40
4556
08/30/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract.
Jimni Systems, Inc
382.72
4556
08/30/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
191.36
4556
08/30/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
382.72
4556
08/30/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
478.40
4556
08/30/2007
Liquid Waste Fund
Sewer Maint -Pump Stn Contract
Jimni Systems, Inc
478.40
Check Total:
2,966.08
4557
08/30/2007
Liquid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol, Inc
23.39
4557
08/30/2007
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol, Inc
2.60
4557
08/30/2007
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol, Inc
39.28
4557
08/30/2007
Liquid Waste Fund
Equipment Maintenance.
Konica Minolta Bus Sol, Inc
353.47
AP - Checks for Approval ( 09/04/2007 - 8:26 AM)
Page 13
Check Number Check Date Fund Name Account Name Vendor Name Void Amount
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 14
Check Total:
418.74
4558
08/30/2007
Solid Waste Fund
Water - Building
Mesa Consolidated Water Dist
28.32
4558
08/30/2007
Liquid Waste Fund
Water - Building
Mesa Consolidated Water Dist
254.86
Check Total:
283.18
4559
08/30/2007
Liquid Waste Fund
OCSD Grant #175 - Cont Svc
National Plant Services, Inc.
6,982.84
4559
08/30/2007
Liquid Waste Fund
Sewer Maint -Sewer Line Maint
National Plant Services, Inc.
35,479.87
4559
08/30/2007
Liquid Waste Fund
OCSD Grant # 175 - Cont Svc
National Plant Services, Inc.
13,485.17
4559
08/30/2007
Liquid Waste Fund
Sewer Maint -Sewer Line Maint
National Plant Services, Inc.
35,546.73
Check Total:
91,494.61
4560
08/30/2007
Liquid Waste Fund
Sewer Maint - Material /Supplies
Orange County Hose Co.
144.17
Check Total:
144.17
4561
08/30/2007
Liquid Waste Fund
Due to OCSD
Orange County Sanitation Distr
23,184.08
4561
08/30/2007
Liquid Waste Fund
WDR Ph III # 176 - Contr Svc
Orange County Sanitation Distr
4,576.79
Check Total:
27,760.87
4562
08/30/2007
Solid Waste Fund
Office Supplies
Office Depot
14.18
4562
08/30/2007
Liquid Waste Fund
Office Supplies
Office Depot
127.64
Check Total:
141.82
4563
08/30/2007
Liquid Waste Fund
MultiMedBlueprints /Copies /Sub
Santa Ana Blue Print
32.61
4563
08/30/2007
Liquid Waste Fund
Bristol St Pump- Contract Labor
Santa Ana Blue Print
94.96
4563
08/30/2007
Liquid Waste Fund
MultiMedBlueprints /Copies /Sub
Santa Ana Blue Print
46.94
Check Total:
174.51
4564
08/30/2007
Solid Waste Fund
Electric - Building
Southern California Edison
89.73
4564
08/30/2007
Liquid Waste Fund
Electric - Building
Southern California Edison
807.55
Check Total:
897.28
4565
08/30/2007
Solid Waste Fund
Travel/Meals/Lodging
Arlene Schafer
1.32
4565
08/30/2007
Liquid Waste Fund
Travel/Meals/Lodging
Arlene Schafer
11.91
AP - Checks for Approval ( 09/04/2007 - 8:26 AM ) Page 14
Check Number Check Date Fund Name
4566 08/30/2007 Liquid Waste Fund
4567 08/30/2007 Liquid Waste Fund
4568 08/30/2007 Liquid Waste Fund
4568 08/30/2007 Liquid Waste Fund
4568 08/30/2007 Liquid Waste Fund
Account Name
Vendor Name
Void Amount
Report Total: 823,933.76
AP - Checks for Approval ( 09/04/2007 - 8:26 AM) Page 15
Check Total:
13.23
Deposits Payable
South Coast Home Furnishing
80,630.00
Check Total:
80,630.00
Deferred Compensation - 457
VantagePoint Transfer Agents
200.00
Check Total:
200.00
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
167.65
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
139.22
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
28.43
Check Total:
335.30
Report Total: 823,933.76
AP - Checks for Approval ( 09/04/2007 - 8:26 AM) Page 15