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CC Resolution No. 21-074 Accounts Payable July 05, 2021 RESOLUTION NO. 21-074 A RESOLUTION OF THE CUPERTINO CITY COUNCIL CUPERTINO ALLOWING CERTAIN CLAIMS AND DEMANDS PAYABLE IN THE AMOUNTS AND FROM THE FUNDS AS HEREINAFTER DESCRIBED FOR GENERAL AND MISCELLANEOUS EXPENDITURES FOR THE PERIOD ENDING July 5, 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 allows the following claims and demands in the amounts and from the funds as hereinafter set forth h-i the attached Payment Register. CERTIFIED: ` c� Zach K rach, Finance Manager PASSED AND ADOPTED at a regular meeting of the City Council of the City of Cupertino this 171h day of August, 2021, by the following vote: Vote Members of the City Council AYES: Chao, Moore, Wei, Willey NOES: None ABSENT: Paul ABSTAIN: None SIGNED: e/3-c'A6 z/ Date Darcy Paul, Mayor City of Cupertino ATTEST: 9 // �Z/ Date Kirsten Squarcia, City Clerk i I I **LIVE**Cupertino**LIVE** Payment Register From Payment Date:6/26/2021 -To Payment Date: 7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference Main Account-Main Checking Account Check 728206 07/02/2021 Open Accounts Payable ADVANTAGE GRAFIX $4,992.62 Invoice Date Description Amount 45769 06/16/2021 FY20-21 Smoking Ordinance No smoking signs, $4,992.62 window decals,art 728207 07/02/2021 Open Accounts Payable ALHAMBRA&SIERRA SPRINGS $14.90 Invoice Date Description Amount 4984729 061221 06/12/2021 FY20-21 water service for QCC $14.90 728208 07/02/2021 Open Accounts Payable CITIZEN COMMUNICATIONS LLC $14,250.00 Invoice Date Description Amount INV-2072 06/28/2021 "FY20-21"Subscription Fee:August 1,2021 to July $14,250.00 31,2022 728209 07/02/2021 Open Accounts Payable D&M TRAFFIC SERVICES INC. $2,858.02 Invoice Date Description Amount 77895 04/26/2021 FY 20-21,Signs for Bicycle Wayfinding Project $2,858.02 728210 07/02/2021 Open Accounts Payable FREMONT UNION HIGH SCHOOL $51,750.00 DISTRICT Invoice Date Description Amount FUHSDSIG21 06/29/2021 FY20-21 Summer Intensive Geometry Payment $51,750.00 728211 07/02/2021 Open Accounts Payable GRADETECH,INC. $21,403.83 Invoice Date Description Amount 10r3,2017-15 06/11/2021 FY 20-21,MRP Community Garden Improv,through $21,403.83 5/31/2021 728212 07/02/2021 Open Accounts Payable GRIFFIN STRUCTURES,INC. $12,507.70 Invoice Date Description Amount GSI-CLEP-08 05/31/2021 FY20-21,Library Expansion Project through 05312021 $12,507.70 728213 07/02/2021 Open Accounts Payable HONGYUN ART CORPORATION $3,844.37 Invoice Date Description Amount 06212021 06/21/2021 FY20-21 Library Mural Project Supplies $3,844.37 728214 07/02/2021 Open Accounts Payable INDIA EDUCATION METHODS- $2,214.00 CALIFORNIA LLC Invoice Date Description Amount India Ed-02 06/29/2021 FY20-21 Summer 2021_June Payment $2,214.00 728215 07/02/2021 Open Accounts Payable Little Medical School $1,095.00 Invoice Date Description Amount LMS2021-2 06/29/2021 FY20-21 Summer2021_June Payment $1,095.00 728216 07/02/2021 Open Accounts Payable MAD SCIENCE OF THE BAY AREA $4,248,00 Invoice Date Description Amount MadSciJune2021 06/29/2021 FY20-21 Mad Science June 2021 Payment $4,248.00 728217 07/02/2021 Open Accounts Payable MOLARO,LISA $5,524.20 Invoice Date Description Amount MolaroJune2021 06/29/2021 FY20-21 Lisa Molaro June 2021 Payment $5,524.20 user: Vi Tran Pages: 1 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date: 7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference 728218 07/02/2021 Open Accounts Payable MOUNTAIN VIEW GARDEN $93.63 CENTER Invoice Date Description Amount 107026 06/24/2021 Grounds-FY 20-21 Sports Fields $93.63 728219 07/02/2021 Open Accounts Payable O'REILLY AUTO PARTS $889.58 Invoice Date Description Amount 2591-145820 06/25/2021 Fleet-FY 20-21 Scratch Fix,Perfect Match $31.04 2591-145430 06/23/2021 Fleet-FY 20-21 Gas Magnum $203.68 2591-145124 06/22/2021 Fleet-FY 20-21 Tail Light $44.46 2591-144962 06/21/2021 Fleet-FY 20-21 Gloves Not Covid $610.40 728220 07/02/2021 Open Accounts Payable ORLAND]TRAILER $108.16 Invoice Date Description Amount 199556 06/24/2021 Fleet-FY 20-21 Remote Control $108.16 728221 07/02/2021 Open Accounts Payable QUENCH USA,INC. $235.77 Invoice Date Description Amount INVO3134774 06/01/2021 FY 20-21,water treatment for City Hall,6/1/2021- $157.18 7/31/2021 INVO3147234 06/01/2021 FY 20-21,Franco Traffic Ops water treatment, $78.59 6/l/2021-7/31/2021 728222 07/02/2021 Open Accounts Payable R&B A CORE&MAIN COMPANY $9,399.78 Invoice Date Description Amount P090224 06/21/2021 Grounds-FY 20-21 Supplies $9,399.78 728223 07/02/2021 Open Accounts Payable READYREFRESH BY NESTLE $23.00 Invoice Date Description Amount 11F0027344639 06/09/2021 FY 20-21,City Hall Water Delivery $23.00 728224 07/02/2021 Open Accounts Payable RODAN BUILDERS, INC. $540,471.22 Invoice Date Description Amount 3C 05/31/2021 FY20-21,Lib.Expan.Svcs.thru 53121 $537,607.40 8D 06/21/2021 FY 20-21Library Expansion Construction Payment $2,863.82 through 6/30/2021 728225 07/02/2021 Open Accounts Payable RPM EXTERMINATORS INC $2,225.00 Invoice Date Description Amount 0087590 05/10/2021 Facilities-FY 20-21 Sports Center Bait Station in $425.00 Basement 0087627 05/20/2021 Facilities-FY 20-21 Service Center Pest Service $375.00 0088245 06/21/2021 Facilities-FY 20-21 Creekside Spiders $375.00 0087098 05/28/2021 Facilities-FY 20-21 Bait at Various Sites $1,050.00 728226 07/02/2021 Open Accounts Payable SSB EDUCATION LLC $3,750.00 Invoice Date Description Amount E4K-01 06/29/2021 FY20-21 Summer2021_June Payment $3,750.00 728227 07/02/2021 Open Accounts Payable TECHNISOIL GLOBAL, INC $1,593.98 Invoice Date Description Amount 37853 03/18/2021 Streets-FY 20-21 TrowelPave Concrete Speed Set $1,593.98 728228 07/02/2021 Open Accounts Payable UNITED SITE SERVICES INC. $1,152.79 Invoice Date Description Amount 114-12066558 06/11/2021 FY20-21,portable toilet at compost site June services $323.59 user:Vi Tran Pages: 2 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date: 7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference 114-11826300 04/09/2021 Facilities-FY 20-21 Memoral Park Porte Potty $829.20 728229 07/02/2021 Open Accounts Payable APTIVE ENVIRONMENTAL LLC $155.00 Invoice Date Description Amount 11819 06/30/2021 FY20-21 APTIVE ENVIRONMENTAL LLC BL refund $155.00 728230 07/02/2021 Open Accounts Payable ENVIRONMENTAL DESIGN INC $155.00 _Invoice Date Description Amount 11815 06/30/2021 FY20-21 ENVIRONMENTAL DESIGN INC BL refund $155.00 728231 07/02/2021 Open Accounts Payable Galpaz,Ziv $40.00 Invoice Date Description Amount Galpaz05252021 05/25/2021 FY20-21 Live Scan and Fingerprinting Reimbursement $40.00 728232 07/02/2021 Open Accounts Payable HERNANDEZ DUMPSTERS& $155.00 DEMOLITIONS Invoice Date Description Amount 11807 06/30/2021 FY20-21 HERNANDEZ DUMPSTERS& $155.00 DEMOLITIONS BL refund 728233 07/02/2021 Open Accounts Payable Jacobs,Tessa $25.00 Invoice Date Description Amount JacobsT052521 05/25/2021 FY20-21 Live Scan and Fingerprinting Reimbursement $25.00 728234 07/02/2021 Open Accounts Payable Polefka,Auria $72.00 Invoice Date Description Amount Polefka05262021 05/26/2021 FY20-21 Live Scan and Fingerprinting Reimbursement $72.00 728235 07/02/2021 Open Accounts Payable Wan,Sara $25.00 Invoice Date Description Amount Wan061721 06/17/2021 FY20-21 Live Scan and Fingerprinting Reimbursement $25.00 Type Check Totals: 30 Transactions $685,272.55 EFT 31986 06/28/2021 Open Accounts Payable EMPLOYMENT DEVEL DEPT $40,667.33 Invoice Date Description Amount 06182021 06/18/2021 CA State Tax pp 6/5/21-6/18/21 $40,667.33 31987 06/28/2021 Open Accounts Payable IRS $131,400.07 Invoice Date Description Amount 06182021 06/18/2021 Federal Tax pp 6/5/21-6/18/21 $131,400.07 31988 06/30/2021 Open Accounts Payable P E R S $552.08 Invoice Date Description Amount 06012021 06/18/2021 PERS Council pp 6/1/21-6/30/21 $552.08 31989 06/30/2021 Open Accounts Payable P E R S $152,153.37 Invoice Date Description Amount 06182021 06/18/2021 PERS pp 6/5/21-6/18/21 $152,153.37 31990 06/28/2021 Open Accounts Payable USPS-EFT ONLY $3,821.20 Invoice Date Description Amount 432471965 06/09/2021 FY20-21 CUPERTINO SCENE INC $3,821.20 user: Vi Tran Pages: 3 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date: 7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Pavee Name Amount Amount Difference 31991 07/01/2021 Open Accounts Payable California Public Employees' $6,874.40 Retirement System Invoice Date Description Amount 100000016469996 06/24/2021 FY20-21 1959 Survivor Billing $6,874.40 31992 07/01/2021 Open Accounts Payable California Public Employees' $4,222.40 Retirement System Invoice Date Description Amount 100000016470863 06/24/2021 FY20-21 1959 Survivor Billing $4,222.40 31993 07/01/2021 Open Accounts Payable California Public Employees' $899.60 Retirement System Invoice Date Description Amount 100000016471211 06/24/2021 FY20-21 1959 Survivor Billing $899.60 31994 07/01/2021 Open Accounts Payable California Public Employees' $416.75 Retirement System Invoice Date Description Amount 100000016472931 06/29/2021 2021 Replacement Charges for City of Cupertino $416.75 31995 06/28/2021 Open Accounts Payable USPS-EFT ONLY $3,826.61 Invoice Date Description Amount 434352196 06/22/2021 FY20-21 CUPERTINO SCENE INC $3,826.61 31996 07/02/2021 Open Accounts Payable JOYFUL MELODIES $2,625.00 Invoice Date Description Amount JMS2021-6 06/29/2021 FY20-21 Summer2021_June Payment $2,625.00 31997 07/02/2021 Open Accounts Payable ALL CITY MANAGEMENT $22,394.88 SERVICES Invoice Date Description Amount 70797 06/02/2021 FY 20-21,School Crossing Guard Services,5.16.21- $11,842.56 5.29.21 70609 05/19/2021 FY 20-21,School Crossing Guard Services through $10,552.32 5.2.21-5.15.21 31998 07/02/2021 Open Accounts Payable AQUATIC SOLUTIONS DBA:SCUBA $37,690.00 POOL REPAIR Invoice Date Description Amount 5513 06/23/2021 Facilities-FY 20-21 BBF Pool Repair $37,690.00 31999 07/02/2021 Open Accounts Payable ARCHKEY TECHNOLOGIES $1,040.00 Invoice Date Description Amount 44317 06/21/2021 "FY20-21"Cupertino Sports Center Exacqvision NVR $1,040.00 SSA Renewal. 32000 07/02/2021 Open Accounts Payable B&H PHOTO VIDEO $18,356.95 Invoice Date Description Amount 189550831 06/03/2021 FY20-21 Shure Microphone for Cupertino Room $1,540.17 190211520 06/21/2021 FY20-21 Phabrix Signal Generator/Analyser $10,114.50 190115040 06/18/2021 FY20-21 LIVEU Solo Premium Bundle $1,415.91 190228560 06/21/2021 FY20-21 Sony Lenses;Atomos Ninja V Pro Kit $5,286.37 32001 07/02/2021 Open Accounts Payable BELLECCI&ASSOCIATES,INC. $7,600.00 Invoice Date Description Amount 18139-H 06/10/2021 FY20-21,Stevens Creek Rec.Trail-Haul Road $7,600.00 010121-050121 user: Vi Tran Pages:4 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date:7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference 32002 07/02/2021 Open Accounts Payable BIKEEP INC. $49.00 Invoice Date Description Amount 17767 06/30/2021 FY20-21,Bikeep monthly upkeep fee $49.00 32003 07/02/2021 Open Accounts Payable BRAINVYNE $454.30 Invoice Date Description Amount BrainVyne-02 06/29/2021 FY20-21_Summer2021June Payment $454.30 32004 07/02/2021 Open Accounts Payable CDW GOVERNMENT $9,438.65 Invoice Date Description Amount F856999 06/21/2021 "FY20-21"Conference Room Zoom Room Displays $9,438.65 32005 07/02/2021 Open Accounts Payable CODELINKD,LLC $2,664.00 Invoice Date Description Amount CodeLinkd-02 06/29/2021 FY20-21 Summer2021_June Payment $2,664.00 32006 07/02/2021 Open Accounts Payable COMMUNICATION ACADEMY $3,388.00 Invoice Date Description Amount CASu2021 EOY 06/29/2021 FY20-21 Communication Academy Camps/Classes $3,388.00 June 2021 32007 07/02/2021 Open Accounts Payable COTTON,SHIRES&ASSOCIATES, $2,409.07 INC. Invoice Date Description Amount 69820 06/21/2021 FY20-21,Geo Tech Services 11255 Mt.Crest PI 5121- $2,409.07 53121 32008 07/02/2021 Open Accounts Payable CSG CONSULTANTS,INC. $18,892.50 Invoice Date Description Amount 36292 04/12/2021 FY20-21,Torre Ave Lib.Book Return thru 32621 $5,832.50 37003 05/20/2021 FY20-21,Torre Av.Lib.Book Return thru 43021 $8,175.00 37408 06/16/2021 FY20-21,Torre Ave.Lib Book Return thru 53121 $4,885.00 32009 07/02/2021 Open Accounts Payable CUPERTINO SUPPLY INC $65.00 Invoice Date Description Amount 262177 06/23/2021 Facilities-FY 20-21 Wax $9.89 261979 06/22/2021 Facilities-FY 20-21 Wrench Set $55.11 32010 07/02/2021 Open Accounts Payable DAVID J.POWERS&ASSOCIATES, $3,919.49 INC. Invoice Date Description Amount 26797 06/28/2021 FY20-21,20-184 RCT Wildlife Mitigation 053121 $2,610.08 26798 06/28/2021 FY20-21,RCT Permitting Ass.through 053121 $1,309.41 32011 07/02/2021 Open Accounts Payable ESHERICK HOMSEY DODGE AND $8,540.00 DAVIS,ARCHITECTS Invoice Date Description Amount 21050031 05/31/2021 FY20-21,Cupertino Library Expansion Proj.050121- $1,980.00 053121 21050054 05/31/2021 FY20-21,Cupertino Library Additional Services 5121- $6,560.00 53121 32012 07/02/2021 Open Accounts Payable EWING IRRIGATION PRODUCTS, $3,358.43 INC. Invoice Date Description Amount 14513080 06/17/2021 Grounds-FY 20-21 Supplies $3,358.43 user: Vi Tran Pages: 5 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date:7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference 32013 07/02/2021 Open Accounts Payable FOLGER GRAPHICS INC $2,523.96 Invoice Date Description Amount 129352 06/23/2021 FY20-21 Smoking Ordinance Postcard Mailer $1,961.00 129394 06/28/2021 FY20-21,Postcards for Mailer $562.96 32014 07/02/2021 Open Accounts Payable GARDENLAND POWER $2,275.36 EQUIPMENT Invoice Date Description Amount 865352 06/29/2021 Grounds-FY 20-21 Small Tools $2,275.36 32015 07/02/2021 Open Accounts Payable GILBANE BUILDING COMPANY $3,780.00 Invoice Date Description Amount 23,2018-13 06/30/2021 FY20-21,RCT Master Agreement 2018-13 $3,780.00 32016 07/02/2021 Open Accounts Payable GOVERN MENTJOBS.COM,INC. $12,411.50 Invoice Date Description Amount INV-21757 08/21/2021 "FY20-21"FY22 Subscription(9/21/21 -9/20/22) $12,411.50 32017 07/02/2021 Open Accounts Payable GRANICUS,LLC $6,211.21 Invoice Date Description Amount 141451 06/29/2021 "Fy20-21"GovAccess $6,211.21 32018 07/02/2021 Open Accounts Payable HMH ENGINEERS INC $6,750.00 Invoice Date Description Amount 40186 06/08/2021 FY 20-21,Regnart Fence Foundations Services $6,750.00 through 5/39/2021 32019 07/02/2021 Open Accounts Payable IMPERIAL SPRINKLER SUPPLY, $3,098.80 INC Invoice Date Description Amount 4704064-00 06/18/2021 Grounds-FY 20-21 Supplies $1,422.17 4705157-00 06/18/2021 Grounds-FY 20-21 Supplies $1,676.63 32020 07/02/2021 Open Accounts Payable INCREDIFLIX $2,360.70 Invoice Date Description Amount Incrediflix-01 06/29/2021 FY20-21 Summer2021_June Payment $2,360.70 32021 07/02/2021 Open Accounts Payable INSERVH20 INC. $786.99 Invoice Date Description Amount 1366 06/04/2021 Facilities-FY 20-21 June 2021 Water Treatment $786.99 32022 07/02/2021 Open Accounts Payable JAM SERVICES INC $3,008.40 Invoice Date Description Amount 146234 06/16/2021 Streets-FY 20-21 LED Luminaire $3,008.40 32023 07/02/2021 Open Accounts Payable JARVIS,FAY&GIBSON,LLP $7,616.00 Invoice Date Description Amount 15316 05/31/2021 FY20-21,Legal Services,May 1 -May 31,2021 $2,856.00 15317 05/31/2021 FY 20-21 Legal Services May 1-31,2021 $4,760.00 32024 07/02/2021 Open Accounts Payable JULIA KINST $55.00 Invoice Date Description Amount JuliaK06192021 06/19/2021 FY20-21,Cell Phone Reimbursement 052021-061921 $55.00 32025 07/02/2021 Open Accounts Payable KEVIN RIEDEN $46.51 Invoice Date Description Amount KevinR06122021 06/12/2021 FY20-21,Cell Phone Reimbursement 06122021 $46.51 user: Vi Tran Pages:6 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date: 7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference 32026 07/02/2021 Open Accounts Payable KIMLEY-HORN AND ASSOCIATES, $18,334.58 INC. Invoice Date Description Amount 19056941 06/22/2021 FY 20-21,DeAnza McClellan Upgrade Services $18,334.58 through 5.31.2021 32027 07/02/2021 Open Accounts Payable MOSLEY,CHAD ,E $55.00 Invoice Date Description Amount ChadM06202021 06/20/2021 FY20-21,Cell Phone Reimbursement 052121-062021 $55.00 32028 07/02/2021 Open Accounts Payable OFFICE DEPOT, INC. $261.36 Invoice Date Description Amount 126081560001 09/24/2020 FY20-21 TONER,HP 508A,MAG ORG $188.98 170201287001 04/30/2021 FY20-21 Supplies $50.36 168584619001 05/04/2021 FY20-21 Office Supplies $22.02 32029 07/02/2021 Open Accounts Payable RECOLOGY SOUTH BAY $57,172.67 Invoice Date Description Amount Jun-21 RY1 06/30/2021 FY20-21 City Payment per FA Rate Year 2/1/21- $57,172.67 1/31/22-June 2021 32030 07/02/2021 Open Accounts Payable RICHARD YAU $2,750.00 Invoice Date Description Amount 2104 06/24/2021 FY20-21,Bubb Rd Improv.&Bike Plan Impin.Pre- $2,750.00 desig 32031 07/02/2021 Open Accounts Payable SERVES YOU RIGHT $75.00 Invoice Date Description Amount 4149 06/02/2021 Small Claim Serve Fee(Case#21 SC 085240) $75.00 32032 07/02/2021 Open Accounts Payable SHUTE,MIHALY&WEINBERGER $74,253.96 LLP Invoice Date Description Amount 273264 06/22/2021 FY20-21,Legal Services, May 1 -May 31,2021 $50,724.06 273377 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $10,369.40 273258 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $6,549.60 273257 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $2,584.20 273262 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $575.70 273260 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $1,380.60 273267 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $132.00 273266 06/22/2021 FY20-21,Legal Services, May 1 -May 31,2021 $637.20 273268 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $451.60 273261 06/22/2021 FY20-21,Legal Services,May 1 -May 31,2021 $849.60 32033 07/02/2021 Open Accounts Payable Snapology of Los Gatos $1,500.00 Invoice Date Description Amount Snapology-05 06/29/2021 FY20-21 Summer2021 Payment-14005 $1,500.00 32034 07/02/2021 Open Accounts Payable STAPLES BUSINESS ADVANTAGE $225.46 Invoice Date Description Amount 3460279821 10/29/2020 FY20-21 City Clerk Supplies(Paper) $225.46 32035 07/02/2021 Open Accounts Payable STARBIRD CONSULTING LLC $1,643.06 Invoice Date Description Amount 0146 06/24/2021 FY20-21 McClellan Ranch West Parking Lot $1,643.06 user: Vi Tran Pages: 7 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date: 7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference 32036 07/02/2021 Open Accounts Payable SUNNYVALE FORD $31.20 Invoice Date Description Amount 189200 06/28/2021 Fleet-FY 20-21 Wire $31.20 32037 07/02/2021 Open Accounts Payable SUSAN MICHAEL $923.00 Invoice Date Description Amount SusanM06242021 06/24/2021 FY20-21,Reimbursement for AIA Membership $923.00 Renewal 32038 07/02/2021 Open Accounts Payable THE HOME DEPOT PRO $508.25 Invoice Date Description Amount 624608436 06/23/2021 Facilities-FY 20-21 Park Bathroom Supplies $508.25 32039 07/02/2021 Open Accounts Payable US BANK-PURCHASING CARD $1,837.97 PROGRAM Invoice Date Description Amount MarielaV061520 06/15/2021 FY20-21 8337 CC Charges $1,837.97 32040 07/02/2021 Open Accounts Payable WESTERN SITE SERVICES LLC. $847.00 Invoice Date Description Amount 27800 05/21/2021 Grounds-FY 20-21 Varian Park Hand Sanitizer Rental $242.00 28926 06/22/2021 Grounds-FY 20-21 Hoover Park Hand Sanitizer $242.00 28927 06/22/2021 Grounds-FY 20-21 Varian Park Hand Sanitizer Rental $242.00 28928 06/22/2021 Grounds-FY 20-21 BBF Hand Sanitizer $121.00 32041 07/02/2021 Open Accounts Payable WOWzy Creation Corp.DBA First $50.15 Place Inc. Invoice Date Description Amount 94902 06/14/2021 FY20-21,Name Plates for Ryan Do and Lisa Cameli $50.15 32042 07/02/2021 Open Accounts Payable ZUMAR INDUSTRIES, INC. $5,903.43 Invoice Date Description Amount 93529 06/21/2021 Streets-FY 20-21 Punch Holes $5,903.43 Type EFT Totals: 57 Transactions $705,015.60 Main Account-Main Checking Account Totals Checks Status Count Transaction Amount Reconciled Amount Open 30 $685,272.55 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 30 $685,272.55 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 57 $705,015.60 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 57 $705,015.60 $0.00 All Status Count Transaction Amount Reconciled Amount Open 87 $1,390,288.15 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 user:Vi Tran Pages: 8 of 9 Tuesday, July 06, 2021 **LIVE**Cupertino**LIVE** Payment Register From Payment Date: 6/26/2021 -To Payment Date:7/2/2021 Reconciled/ Transaction Reconciled Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference Total 87 $1,390,288.15 $0.00 Grand Totals: Checks Status Count Transaction Amount Reconciled Amount Open 30 $685,272.55 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 30 $685,272.55 $0.00 EFTS Status Count Transaction Amount Reconciled Amount Open 57 $705,015.60 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 57 $705,015.60 $0.00 O�'D�•� / All Status Count Transaction Amount Reconciled Amount Lf Open 87 $1,390,288.15 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 87 $1,390,288.15 $0.00 user: Vi Tran Pages: 9 of 9 Tuesday, July 06, 2021