Warrant Reso 2010-03COSTA MESA SANITARY DISTRICT
Warrant Resolution No. CMSD 2010 -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 $653,155.60 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 17th day of September 2009.
ATTEST:
8ecr tary -
STATE OF CALIFORNIA )
COUNTY OF ORANGE ) ss
COSTA MESA SANITARY DISTRICT )
President
I, JOAN REVAK, Clerk of the Costa Mesa Sanitary District, hereby certify that
the foregoing Warrant Resolution No. CMSD 2010 -03 was duly adopted by the Costa
Mesa Sanitary District at a regular meeting held on the 17th day of September 2009.
IN WITNESS WHEREOF, I have hereunto set my hand and affixed the Seal of
the Costa Mesa Sanitary District on this 17th day of September 2009.
Clerk cethe Costa, Mesa`.Sainitary District
Accounts Payable
Checks for Approval
User: tgonzalez
Printed: 09/01/2009 - 12:31 PM
COST
51l S}WITA IRT ISTRIC
_.. an Independent Special' oissrks
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
0
08/07/2009
Liquid Waste Fund
PERS Medical
Cal PERS
6,089.50
0
08/07/2009
Solid Waste Fund
Benefits Admin Costs
Cal PERS
2.50
0
08/07/2009
Liquid Waste Fund
Benefits Admin Costs
Cal PERS
22.46
Check Total: 6,114.46
0 08/12/2009
Liquid Waste Fund
Federal Withholding Taxes
Internal Revenue Service
4,306.19
0 08/12/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
459.98
0 08/12/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
352.23
0 08/12/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
107.75
Check Total:
5,226.15
0 08/12/2009
Liquid Waste Fund
State Withholding Taxes
State of Cal Emp Dev Dept
1,318.43
Check Total:
1,318.43
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
101.24
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
34.53
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
182.26
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
62.18
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
1,445.91
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
2,603.65
0 08/12/2009
Liquid Waste Fund
PERS Survivor Benefit
Cal Pers Employee Ret System
11.16
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
493.32
0 08/12/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
888.31
Check Total:
5,822.56
0 08/15/2009
Solid Waste Fund
Investment Earnings
Bank of America
353.66
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page i
Check Number Check Date Fund Name Account Name Vendor Name Amount -
Check Total: 760.86
AP - Checks for Approval ( 09/01/2009 - 12:31 PM) Page 2
Check Total:
353.66
0
08/26/2009
Liquid Waste Fund
Federal Withholding Taxes
Internal Revenue Service
3,906.79
0
08/26/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
435.92
0
08/26/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
328.17
0
08/26/2009
Liquid Waste Fund
Medicare - Employee
Internal Revenue Service
107.75
Check Total:
4,778.63
0
08/26/2009
Liquid Waste Fund
State Withholding Taxes
State of Cal Emp Dev Dept
1,185.67
Check Total:
1,185.67
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
100.96
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
34.53
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
181.78
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
62.18
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
1,442.12
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
2,596.81
0
08/26/2009
Liquid Waste Fund
PERS Survivor Benefit
Cal Pers Employee Ret System
11.16
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
493.32
0
08/26/2009
Liquid Waste Fund
PERS Retirement
Cal Pers Employee Ret System
888.31
0
08/26/2009
Liquid Waste Fund
PERS - Employer
Cal Pers Employee Ret System
0.01
Check Total:
5,811.18
6583
08/06/2009
Solid Waste Fund
Building Maintenance
949 Storage
11.00
6583
08/06/2009
Liquid Waste Fund
Building Maintenance
949 Storage
99.00
Check Total:
110.00
6584
08/13/2009
Solid Waste Fund
Office Supplies
American Solutions for Business
20.45
6584
08/13/2009
Liquid Waste Fund
Office Supplies
American Solutions for Business
183.99
6584
08/13/2009
Liquid Waste Fund
Public Info/Ed/Community Promo
American Solutions for Business
2,254.12
Check Total:
2,458.56
6585
08/13/2009
Liquid Waste Fund
Accounts Receivable
C &R Drains
477.34
6585
08/13/2009
Liquid Waste Fund
Accounts Receivable
C &R Drains
283.52
Check Total: 760.86
AP - Checks for Approval ( 09/01/2009 - 12:31 PM) Page 2
Check Number Check Date Fund Name Account Name Vendor Name
6586 08/13/2009 Solid Waste Fund
6587 08/13/2009 Liquid Waste Fund
6588 08/13/2009 Liquid Waste Fund
6589 08/13/2009 Facilities Revolving Fund
6590 08/13/2009 Solid Waste Fund
6590 08/13/2009 Liquid Waste Fund
6591 08/13/2009 Liquid Waste Fund
6592 08/13/2009 Liquid Waste Fund
6593
08/13/2009
Solid Waste Fund
6593
08/13/2009
Liquid Waste Fund
6594
08/13/2009
Solid Waste Fund
6594
08/13/2009
Liquid Waste Fund
6594
08/13/2009
Liquid Waste Fund
6594
08/13/2009
Solid Waste Fund
6594
08/13/2009
Solid Waste Fund
6594
08/13/2009
Liquid Waste Fund
6594
08/13/2009
Liquid Waste Fund
AP - Checks for Approval ( 09/01/2009 - 12:31 PM )
Household Hazardous Waste Curbside, Inc.
Check Total:
Fog Program #180 - Contract Svc Environmental Engr & Cont, Inc
Check Total:
Sewer Maint -Sewer Line Maint National Plant Services, Inc.
Check Total:
District Yard Robert Thorton Architects, Inc
Check Total:
Building Maintenance
Building Maintenance
Employee Insurance
Misc Swr Wk#164 -Cont Svc
Trimco Landscape
Trimco Landscape
AFLAC
Alhambra Foundry Co. LTD
Check Total:
Check Total:
Check Total:
Professional Services BHI Management Consulting
Professional Services BHI Management Consulting
Check Total:
Legal Services
Legal Services
Legal Services
Legal Services
Legal Services
Legal Services
Legal Services
Alan R. Burns
Alan R. Burns
Alan R. Burns
Alan R. Burns
Alan R. Burns
Alan R. Burns
Alan R. Burns
Page 3
5,787.00
2,945.78
5,470.72
2,733.10
651.60
411.78
764.72
3,746.70
Check Number Check Date Fund Name Account Name Vendor Name Amount
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 4
Check Total:
16,724.40
6595
08/13/2009
Solid Waste Fund
Recycling/Disposal
CR Transfer, Inc.
178,187.70
6595
08/13/2009
Solid Waste Fund
Recycling /Disposal
CR Transfer, Inc.
12,978.75
Check Total:
191,166.45
6596
08/13/2009
Liquid Waste Fund
Sewer Lateral Program #186
David Reid
1,021.53
Check Total:
1,021.53
6597
08/13/2009
Solid Waste Fund
Public Info/Ed/Community Promo
Estancia High School
500.00
Check Total:
500.00
6598
08/13/2009
Liquid Waste Fund
Sewer Maint- Material/Supplies
Golden Bell Products, Inc.
1,495.31
Check Total:
1,495.31
6599
08/13/2009
Liquid Waste Fund
Sewer Maint - Material /Supplies
Home Depot Credit Services
116.35
Check Total:
116.35
6600
08/13/2009
Solid Waste Fund
Benefits Admin Costs
Horizon Health EAP
1.40
6600
08/13/2009
Liquid Waste Fund
Benefits Admin Costs
Horizon Health EAP
12.60
6600
08/13/2009
Solid Waste Fund
Benefits Admin Costs
Horizon Health EAP
2.80
6600
08/13/2009
Liquid Waste Fund
Benefits Admin Costs
Horizon Health EAP
25.20
Check Total:
42.00
6601
08/13/2009
Solid Waste Fund
Building Maintenance
Lloyd Pest Control
7.00
6601
08/13/2009
Liquid Waste Fund
Building Maintenance
Lloyd Pest Control
63.00
Check Total:
70.00
6602
08/13/2009
Liquid Waste Fund
Mise Swr Wk #164 -Copt Svc
Manhole Adjusting Inc.
5,575.50
Check Total:
5,575.50
6603
08/13/2009
Solid Waste Fund
MuitiMed/Blueprint/Copies /Sub
Martin & Chapman Co.
2.66
6603
08/13/2009
Liquid Waste Fund
MultiMed/Blueprints /Copies /Sub
Martin & Chapman Co.
23.92
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 4
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
Check Total:
26.58
6604
08/13/2009
Solid Waste Fund
District Manager
Donald McIntyre
3,333.75
6604
08/13/2009
Liquid Waste Fund
District Manager
Donald McIntyre
6,191.25
Check Total:
9,525.00
6605
08/13/2009
Solid Waste Fund
District Manager
Donald McIntyre
134.75
6605
08/13/2009
Liquid Waste Fund
District Manager
Donald McIntyre
250.25
Check Total:
385.00
6606
08/13/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Mesa Consolidated Water Dist
15.00
6606
08/13/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Mesa Consolidated Water Dist
15.00
6606
08/13/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Mesa Consolidated Water Dist
15.00
Check Total:
45.00
6607
08/13/2009
Liquid Waste Fund
Accounts Receivable
National Plant Services, Inc.
2,280.00
Check Total:
2,280.00
6608
08/13/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Nextruk
5,306.15
Check Total:
5,306.15
6609
08/13/2009
Solid Waste Fund
Public Info/Ed/Community Promo
Norseman Plastics Ltd.
1,900.00
6609
08/13/2009
Solid Waste Fund
Public Info/Ed/Community Promo
Norseman Plastics Ltd.
175.76
Check Total:
2,075.76
6610
08/13/2009
Liquid Waste Fund
Due to OCSD
Orange County Sanitation Distr
4,718.47
Check Total:
4,718.47
6611
08/13/2009
Solid Waste Fund
Travel/Meals/Lodging
Bob Ooten
1.54
6611
08/13/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bob Ooten
13.86
Check Total:
15.40
6612
08/13/2009
Facilities Revolving Fund
District Yard
Robert Thorton Architects, Inc
420.00
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 5
Check Number Check Date Fund Name Account Name Vendor Name Amount
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 6
Check Total:
420.00
6613
08/13/2009
Liquid Waste Fund
Prof Membership/Dues
Santa Ana River Flood Protect
1,100.00
Check Total:
1,100.00
6614
08/13/2009
Solid Waste Fund
Electric - Building
Southern California Edison
98.78
6614
08/13/2009
Liquid Waste Fund
Electric - Building
Southern California Edison
889.07
Check Total:
987.85
6615
08/13/2009
Solid Waste Fund
Travel/Meals /Lodging
Arlene Schafer
1.65
6615
08/13/2009
Liquid Waste Fund
Travel/Meals/Lodging
Arlene Schafer
14.85
Check Total:
16.50
6616
08/13/2009
Liquid Waste Fund
Bristol St Pump - Contract Labor
Times Community News
487.50
6616
08/13/2009
Solid Waste Fund
Public Info/Ed/Community Promo
Times Community News
125.00
6616
08/13/2009
Liquid Waste Fund
Public Info/Ed/Community Promo
Times Community News
112.50
Check Total:
725.00
6617
08/13/2009
Liquid Waste Fund
Deferred Compensation - 457
VantagePoint Transfer Agents
305.00
Check Total:
305.00
6618
08/13/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
267.55
6618
08/13/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
197.07
6618
08/13/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
70.48
Check Total:
535.10
6619
08/13/2009
Solid Waste Fund
Cellular Service
Verizon Wireless
31.91
6619
08/13/2009
Liquid Waste Fund
Cellular Service
Verizon Wireless
488.26
Check Total:
520.17
6620
08/13/2009
Solid Waste Fund
MuldMed/Blueprint/Copies /Sub
Waste News
69.00
Check Total:
69.00
6626
08/27/2009
Liquid Waste Fund
Sewer Lateral Program #186
Allyson Ebert
741.00
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 6
Check Number Check Date Fund Name Account Name Vendor Name Amount
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 7
Check Total:
741.00
6627
08/27/2009
Solid Waste Fund
MultiMed/Blueprint /Copies /Sub
American Solutions for Business
8.56
6627
08/27/2009
Liquid Waste Fund
MultiMed/Blueprints /Copies /Sub
American Solutions for Business
77.06
Check Total:
85.62
6628
08/27/2009
Solid Waste Fund
Telephone
AT &T
6.15
6628
08/27/2009
Liquid Waste Fund
Telephone
AT &T
55.35
6628
08/27/2009
Solid Waste Fund
Telephone
AT &T
46.25
6628
08/27/2009
Liquid Waste Fund
Telephone
AT &T
416.25
Check Total:
524.00
6629
08/27/2009
Solid Waste Fund
Building Maintenance
Bay Alarm
14.40
6629
08/27/2009
Liquid Waste Fund
Building Maintenance
Bay Alarm
129.60
Check Total:
144.00
6630
08/27/2009
Solid Waste Fund
Building Maintenance
Bay Alarm
15.00
6630
08/27/2009
Liquid Waste Fund
Building Maintenance
Bay Alarm
135.00
Check Total:
150.00
6631
08/27/2009
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
13.56
6631
08/27/2009
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
122.05
6631
08/27/2009
Solid Waste Fund
Staff Development
Bank of America
-3.90
6631
08/27/2009
Liquid Waste Fund
Staff Development
Bank of America
-35.10
6631
08/27/2009
Solid Waste Fund
Staff Development
Bank of America
-3.90
6631
08/27/2009
Liquid Waste Fund
Staff Development
Bank of America
-35.10
6631
08/27/2009
Solid Waste Fund
Staff Development
Bank of America
1.50
6631
08/27/2009
Liquid Waste Fund
Staff Development
Bank of America
13.50
6631
08/27/2009
Liquid Waste Fund
Postage
Bank of America
45.00
6631
08/27/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Bank of America
104.42
6631
08/27/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
9.56
6631
08/27/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
86.02
6631
08/27/2009
Solid Waste Fund
Building Maintenance
Bank of America
14.95
6631
08/27/2009
Liquid Waste Fund
Building Maintenance
Bank of America
134.60
6631
08/27/2009
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
8.99
6631
08/27/2009
Liquid Waste Fund
Travel /Meals/Lodging
Bank of America
80.89
6631
08/27/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
2.10
6631
08/27/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
18.86
6631
08/27/2009
Liquid Waste Fund
Sewer Maint - Material /Supplies
Bank of America
28.24
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 7
Check Number Check Date Fund Name Account Name Vendor Name Amount
6631
08/27/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
-7.50
6631
08/27/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
-67.50
6631
08/27/2009
Solid Waste Fund
Staff Development
Bank of America
-22.50
6631
08/27/2009
Liquid Waste Fund
Staff Development
Bank of America
- 202.50
6631
08/27/2009
Solid Waste Fund
Office Supplies
Bank of America
12.07
6631
08/27/2009
Liquid Waste Fund
Office Supplies
Bank of America
108.66
6631
08/27/2009
Solid Waste Fund
Office Supplies
Bank of America
-3.26
6631
08/27/2009
Liquid Waste Fund
Office Supplies
Bank of America
-29.37
6631
08/27/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
850.00
6631
08/27/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
75.00
6631
08/27/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
207.50
6631
08/27/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
63.55
6631
08/27/2009
Solid Waste Fund
Staff Development
Bank of America
79.00
6631
08/27/2009
Liquid Waste Fund
Staff Development
Bank of America
711.00
6631
08/27/2009
Solid Waste Fund
Staff Development
Bank of America
79.00
6631
08/27/2009
Liquid Waste Fund
Staff Development
Bank of America
711.00
6631
08/27/2009
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
56.50
6631
08/27/2009
Liquid Waste Fund
Travel/Meals /Lodging
Bank of America
508.50
6631
08/27/2009
Solid Waste Fund
Travel/Meals /Lodging
Bank of America
52.50
6631
08/27/2009
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
472.50
6631
08/27/2009
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
52.50
6631
08/27/2009
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
472.50
6631
08/27/2009
Liquid Waste Fund
Sewer Maint- Equipment Maint
Bank of America
166.64
6631
08/27/2009
Solid Waste Fund
Travel/Meals/Lodging
Bank of America
5.08
6631
08/27/2009
Liquid Waste Fund
Travel/Meals/Lodging
Bank of America
45.70
Check Total:
5,002.81
6632
08/27/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
City of Newport Beach
9.87
Check Total:
9.87
6633
08/27/2009
Solid Waste Fund
Trash Hauler
Costa Mesa Disposal
196,749.54
Check Total:
196,749.54
6634
08/27/2009
Liquid Waste Fund
MultiMed/Blueprints /Copies /Sub
Consolidated Reprographics
1,060.70
Check Total:
1,060.70
6635
08/27/2009
Liquid Waste Fund
Sewer Lateral Program #186
C &R Drains
626.69
Check Total:
626.69
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 8
Check Number Check Date Fund Name Account Name Vendor Name Amount
6636
08/27/2009
Solid Waste Fund
Household Hazardous Waste
Curbside, Inc.
1,625.82
6636
08/27/2009
Solid Waste Fund
Sharps Program
Curbside, Inc.
1,625.81
6636
08/27/2009
Solid Waste Fund
Household Hazardous Waste
Curbside, Inc.
1,477.15
Check Total:
4,728.78
6637
08/27/2009
Liquid Waste Fund
Sewer Lateral Program #186
Gorrie Douglas
1,800.00
Check Total:
1,800.00
6638
08/27/2009
Solid Waste Fund
Building Maintenance
F.M. Thomas Air Condittioning,
15.30
6638
08/27/2009
Liquid Waste Fund
Building Maintenance
F.M. Thomas Air Condittioning,
137.70
Check Total:
153.00
6639
08/27/2009
Liquid Waste Fund
Misc Swr Wk #164 -Copt Svc
Golden Bell Products, Inc.
6,462.50
Check Total:
6,462.50
6640
08/27/2009
Solid Waste Fund
Contract Services
Cassandra Chenevert
208.69
6640
08/27/2009
Liquid Waste Fund
Contract Services
Cassandra Chenevert
387.56
Check Total:
596.25
6641
08/27/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Irvine Ranch Water District
7.75
6641
08/27/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Irvine Ranch Water District
7.75
Check Total:
15.50
6642
08/27/2009
Liquid Waste Fund
Sewer Lateral Program #186
Jill Lindsay
911.95
Check Total:
911.95
6643
08/27/2009
Liquid Waste Fund
Sewer Maint -Pump Sm Contract
Jimni Systems, Inc
391.60
Check Total:
391.60
6644
08/27/2009
Liquid Waste Fund
Sewer Lateral Program #186
Julia Brown
125.00
Check Total:
125.00
6645
08/27/2009
Solid Waste Fund
Staff Development
Sherry Kallab
15.62
6645
08/27/2009
Liquid Waste Fund
Staff Development
Sherry Kallab
140.54
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 9
Check Number Check Date Fund Name Account Name Vendor Name Amount
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 10
Check Total:
156.16
6646
08/27/2009
Solid Waste Fund
Public Info /Ed/Community Promo
King Badge & Button Comp
63.86
6646
08/27/2009
Liquid Waste Fund
Public Info /Ed/Community Promo
King Badge & Button Comp
574.78
Check Total:
638.64
6647
08/27/2009
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
4.38
6647
08/27/2009
Liquid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
39.42
6647
08/27/2009
Solid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
22.10
6647
08/27/2009
Liquid Waste Fund
Equipment Maintenance
Konica Minolta Bus Sol U.S.A.,
198.85
Check Total:
264.75
6648
08/27/2009
Solid Waste Fund
District Manager
Donald McIntyre
3,150.00
6648
08/27/2009
Liquid Waste Fund
District Manager
Donald McIntyre
5,850.00
Check Total:
9,000.00
6649
08/27/2009
Solid Waste Fund
District Manager
Donald McIntyre
154.00
6649
08/27/2009
Liquid Waste Fund
District Manager
Donald McIntyre
286.00
Check Total:
440.00
6650
08/27/2009
Liquid Waste Fund
Sewer Maint- Water Pumps
Mesa Consolidated Water Dist
15.00
Check Total:
15.00
6651
08/27/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Nextruk
119.79
6651
08/27/2009
Liquid Waste Fund
Sewer Maint - Equipment Maint
Nextruk
298.20
Check Total:
417.99
6652
08/27/2009
Solid Waste Fund
Office Supplies
Noack Awards Engraving & Promo
0.92
6652
08/27/2009
Liquid Waste Fund
Office Supplies
Noack Awards Engraving & Promo
8.32
Check Total:
9.24
6653
08/27/2009
Solid Waste Fund
Office Supplies
Office Depot
1.27
6653
08/27/2009
Liquid Waste Fund
Office Supplies
Office Depot
11.46
6653
08/27/2009
Solid Waste Fund
Office Supplies
Office Depot
9.04
6653
08/27/2009
Liquid Waste Fund
Office Supplies
Office Depot
81.35
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 10
Check Number Check Date Fund Name Account Name Vendor Name Amount
6653
08/27/2009
Solid Waste Fund
Office Supplies
Office Depot
-0.73
6653
08/27/2009
Liquid Waste Fund
Office Supplies
Office Depot
-6.53
6653
08/27/2009
Solid Waste Fund
Office Supplies
Office Depot
12.69
6653
08/27/2009
Liquid Waste Fund
Office Supplies
Office Depot
114.25
Check Total:
222.80
6654
08/27/2009
Solid Waste Fund
Building Maintenance
Pacific Building Care, Inc.
45.38
6654
08/27/2009
Liquid Waste Fund
Building Maintenance
Pacific Building Care, Inc.
408.37
Check Total:
453.75
6655
08/27/2009
Solid Waste Fund
Sharps Program
Professional Hospital Supply
3,018.42
Check Total:
3,018.42
6656
08/27/2009
Facilities Revolving Fund
District Yard
Robert Thorton Architects, Inc
357.40
Check Total:
357.40
6657
08/27/2009
Liquid Waste Fund
Sewer Lateral Program #186
Rollo McClellan
1,800.00
Check Total:
1,800.00
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
2,364.61
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
805.42
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
208.28
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
312.13
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
96.49
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
40.99
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
61.62
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
351.99
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
425.53
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
658.76
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
72.47
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
88.18
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
117.06
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
44.61
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
434.36
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
-8.83
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
1,004.98
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
76.31
6658
08/27/2009
Liquid Waste Fund
Sewer Maint - Electric Pumps
Southern California Edison
398.88
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 1 I
Check Number
Check Date
Fund Name
Account Name
Vendor Name
Amount
Check Total:
7,553.84
6659
08/27/2009
Solid Waste Fund
Mileage Reimbursement
Ronald Shef
358.88
6659
08/27/2009
Liquid Waste Fund
Mileage Reimbursement
Ronald Shef
39.87
Check Total:
398.75
6660
08/27/2009
Solid Waste Fund
Sharps Program
Stericycle
237.94
6660
08/27/2009
Solid Waste Fund
Sharps Program
Stericycle
228.17
6660
08/27/2009
Solid Waste Fund
Sharps Program
Stericycle
145.98
6660
08/27/2009
Solid Waste Fund
Sharps Program
Stericycle
291.91
6660
08/27/2009
Solid Waste Fund
Sharps Program
Stericycle
146.21
6660
08/27/2009
Solid Waste Fund
Sharps Program
Stericycle
35.00
Check Total:
1,085.21
6661
08/27/2009
Liquid Waste Fund
Contract Services
Underground Service Alert/SC
153.50
Check Total:
153.50
6662
08/27/2009
Solid Waste Fund
Postage
USPS -Hasler
50.00
6662
08/27/2009
Liquid Waste Fund
Postage
USPS -Hasler
450.00
Check Total:
500.00
6663
08/27/2009
Liquid Waste Fund
Deferred Compensation - 457
VantagePoint Transfer Agents
305.00
Check Total:
305.00
6664
08/27/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
267.05
6664
08/27/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
196.57
6664
08/27/2009
Liquid Waste Fund
Deferred Medical -RHS- Employee
VantagePoint Transfer Agents
70.48
Check Total:
534.10
6665
08/27/2009
Liquid Waste Fund
Sewer Lateral Program #186
Wayne Leffler
1,200.00
Check Total:
1,200.00
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 12
Check Number Check Date Fund Name Account Name Vendor Name Amount
Report Total: 653,155.60
AP - Checks for Approval ( 09/01/2009 - 12:31 PM ) Page 13