Loading...
AC 08-22-2022 Searchable PacketCITY OF CUPERTINO AUDIT COMMITTEE AGENDA This is a teleconference meeting without a physical location. Monday, August 22, 2022 4:00 PM Regular Meeting TELECONFERENCE / PUBLIC PARTICIPATION INFORMATION TO HELP STOP THE SPREAD OF COVID-19 In accordance with Government Code 54953(e), this will be a teleconference meeting without a physical location to help stop the spread of COVID-19. Members of the public wishing comment on an item on the agenda may do so in the following ways : 1) E-mail comments by 9:00 a.m. on Monday, August 22 to the Audit Committee at AuditCommittee@cupertino.org. These e-mail comments will be received by the Audit Committee members before the meeting and posted to the City’s website after the meeting. 2) E-mail comments during the times for public comment during the meeting to the Audit Committee at AuditCommittee@cupertino.org. The staff liaison will read the emails into the record, and display any attachments on the screen, for up to 3 minutes (subject to the Chair’s discretion to shorten time for public comments). Members of the public that wish to share a document must email AuditCommittee@cupertino.org prior to speaking. 3) Teleconferencing Instructions Members of the public may observe the teleconference meeting or provide oral public comments as follows: Oral public comments will be accepted during the teleconference meeting. Comments may be made during “oral communications” for matters not on the agenda, and during the public comment period for each agenda item . To address the Audit Committee, click on the link below to register in advance and access the meeting: Register in advance for this webinar: https://cityofcupertino.zoom.us/webinar/register/WN__ZUbQfUXQW2JPLxhk7Zadg Page 1 1 Audit Committee Agenda August 22, 2022 Phone Dial: 669-900-6833 and enter Webinar ID: 984 1370 8888 (Type *9 to raise hand to speak, *6 to unmute yourself). Unregistered participants will be called on by the last four digits of their phone number. Or an H.323/SIP room system: H.323: 162.255.37.11 (US West) Meeting ID: 984 1370 8888 SIP: 98413708888@zoomcrc.com After registering, you will receive a confirmation email containing information about joining the webinar. Please read the following instructions carefully: 1. You can directly download the teleconference software or connect to the meeting in your internet browser. If you are using your browser, make sure you are using a current and up-to-date browser: Chrome 30+, Firefox 27+, Microsoft Edge 12+, Safari 7+. Certain functionality may be disabled in older browsers, including Internet Explorer . 2. You will be asked to enter an email address and a name, followed by an email with instructions on how to connect to the meeting. Your email address will not be disclosed to the public. If you wish to make an oral public comment but do not wish to provide your name, you may enter “Cupertino Resident” or similar designation. 3. When the Chair calls for the item on which you wish to speak, click on “raise hand.” Speakers will be notified shortly before they are called to speak. 4. When called, please limit your remarks to the time allotted and the specific agenda topic . In compliance with the Americans with Disabilities Act (ADA), anyone who is planning to attend this teleconference meeting who is visually or hearing impaired or has any disability that needs special assistance should call the City Clerk's Office at 408-777-3223, at least 6 hours in advance of the meeting to arrange for assistance. In addition, upon request, in advance, by a person with a disability, meeting agendas and writings distributed for the meeting that are public records will be made available in the appropriate alternative format. ROLL CALL Page 2 2 Audit Committee Agenda August 22, 2022 ORDERS OF THE DAY APPROVAL OF MINUTES 1.Subject: Approve Minutes of Regular Meeting on June 27, 2022 Recommended Action: Approve Minutes of Regular Meeting on June 27, 2022 A - Draft Minutes 2.Subject: Approve Minutes of Regular Meeting on July 1, 2022 Recommended Action: Approve Minutes of Regular Meeting on July 1, 2022 A - Draft Minutes 3.Subject: Approve Minutes of Regular Meeting on July 25, 2022 Recommended Action: Approve Minutes of Regular Meeting on July 25, 2022 A - Draft Minutes POSTPONEMENTS ORAL COMMUNICATIONS This portion of the meeting is reserved for persons wishing to address the Committee on any matter within the jurisdiction of the Committee and not on the agenda. Speakers are limited to three (3) minutes. In most cases, State law will prohibit the Commission from making any decisions with respect to a matter not on the agenda. PUBLIC HEARINGS OLD BUSINESS NEW BUSINESS 4.Subject: ACTION ITEM Consider the Monthly Treasurer's Investment Report for July 2022 Recommended Action: Review the Monthly Treasurer's Investment Report for July 2022 and recommend filing with City Council Presenter: Thomas Leung, Senior Management Analyst 4:15(30) Staff Report A - Chandler Investment Report July 2022 B - Chandler Custodial Statement July 2022 C - PARS Pension and OPEB Account Statement July 2022 D - LAIF Account Statement July 2022 5.Subject: ACTION ITEM Consider the Monthly Treasurer's Report for July 2022 Page 3 3 Audit Committee Agenda August 22, 2022 Recommended Action: Review the Monthly Treasurer's Report for July 2022 and recommend filing with City Council Presenter: Thomas Leung, Senior Management Analyst 4:45(15) Staff Report A - Report of City-wide Receipts, Disbursements, and Cash Balances July 2022 B - Report of City-wide Fund Balances July 2022 C - Fund Structure D - Weekly Payment Register for Period Ending July 5, 2022 E – Weekly Payment Register for Period Ending July 11, 2022 F – Weekly Payment Register for Period Ending July 18, 2022 G – Weekly Payment Register for Period Ending July 25, 2022 H – Weekly Payment Register for Period Ending August 1, 2022 I – Weekly Payment Register PERS for Period Ending August 1, 2022 6.Subject: INFORMATION ITEM Consider the Internal Audit Status Report Recommended Action: Receive Internal Audit Status Report and provide direction Presenter: Moss Adams 5:00(5) A - Internal Audit Status Report - Moss Adams 7.Subject: ACTION ITEM Consider appointing External Auditor Selection Subcommittee Members and Request for Proposal (RFP) Kickoff Recommended Action: Appoint External Auditor Selection Subcommittee Members Presenter: Thomas Leung, Senior Management Analyst 5:05(10) Staff Report 8.Subject: INFORMATION ITEM Consider an overview of the Unassigned Fund Balance and Use of One Time Funds Policy Recommended Action: Receive an overview of the Unassigned Fund Balance and Use of One Time Funds Policy Presenter: Thomas Leung, Senior Management Analyst 5:15(15) Staff Report A - Committed, Unassigned Fund Balance, and Use of One Time Funds Policy B - Fund Balance Classifications C - Comparison of Fund Balance and Reserve Policies 9.Subject: INFORMATION ITEM Consider an overview of data sources for the City's interactive financial transparency portal OpenGov Page 4 4 Audit Committee Agenda August 22, 2022 Recommended Action: Receive an overview of data sources for the City's interactive financial transparency portal OpenGov Presenter: Thomas Leung, Senior Management Analyst 5:30(15) Staff Report 10.Subject: INFORMATION ITEM Consider the Audit Committee 2022 Schedule and Work Plan Recommended Action: Receive Audit Committee 2022 Schedule and Work Plan and provide direction to staff Presenter: Thomas Leung, Senior Management Analyst 5:45(5) A - Proposed Audit Committee 2022 Schedule and Work Plan - 8.22.22 STAFF AND COMMITTEE REPORTS FUTURE AGENDA SETTING ADJOURNMENT In compliance with the Americans with Disabilities Act (ADA), anyone who is planning to attend this meeting who is visually or hearing impaired or has any disability that needs special assistance should call the City Clerk's Office at 408-777-3223, at least 6 hours in advance of the meeting to arrange for assistance. In addition, upon request, in advance, by a person with a disability, meeting agendas and writings distributed for the meeting that are public records will be made available in the appropriate alternative format. Any writings or documents provided to a majority of the members after publication of the agenda will be made available for public inspection. Please contact the City Clerk’s Office in City Hall located at 10300 Torre Avenue, Cupertino, California 95014, during normal business hours. IMPORTANT NOTICE: Please be advised that pursuant to Cupertino Municipal Code section 2.08.100 written communications sent to the Cupertino City Council, Commissioners or City staff concerning a matter on the agenda are included as supplemental material to the agendized item. These written communications are accessible to the public through the City’s website and kept in packet archives. Do not include any personal or private information in written communications to the City that you do not wish to make public, as written communications are considered public records and will be made publicly available on the City website. Members of the public are entitled to address the members concerning any item that is described in the notice or agenda for this meeting, before or during consideration of that item. If you wish to address the Page 5 5 Audit Committee Agenda August 22, 2022 members on any other item not on the agenda, you may do so during the public comment . Page 6 6 CITY OF CUPERTINO Agenda Item 22-11361 Agenda Date: 8/22/2022 Agenda #: 1. Subject: Approve Minutes of Regular Meeting on June 27, 2022 Approve Minutes of Regular Meeting on June 27, 2022 CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™7 Page 1 City of Cupertino Audit Committee Regular Meeting Minutes June 27, 2022 CALL TO ORDER At 4:00 p.m., Chair Moore called the regular meeting to order. This was a teleconference meeting with no physical location. ROLL CALL Committee Members Present: Chair Kitty Moore, Vice Chair Angela Chen, Mayor Darcy Paul, Committeemember Hammer City Staff Present: Dianne Thompson, Kristina Alfaro, Thomas Leung, Beth Viajar Absent: Committeemember Song Guests: Carlos Oblites (Chandler), Chelsea Ritchie (Moss Adams), Chris McCarry (Chandler), Annie Rose Favreau (Moss Adams), Colleen Rozillis (Moss Adams), Tammy Lohr (Moss Adams) ORDERS OF THE DAY 1. APPROVAL OF MINUTES OF MAY 23, 2022 Chair Moore requested for repetition of individual names. Leung noted that staff would do so. Mayor Paul moved the minutes. Vice Chair Chen seconded. The motion carried unanimously with Committeemember Song absent. 2. APPROVAL OF MINUTES OF MAY 24, 2022 Mayor Paul moved the minutes. Commiteemember Hammer seconded. The motion carried unanimously with Vice Chair Chen abstaining and Committeemember Song absent. ORAL COMMUNICATIONS NEW BUSINESS 3. Consider the FY 2022-23 Internal Audit Program Rozillis and Ritchie provided an overview of the internal audit program and projects. Mayor Paul noted that he was tempted to move the Grants Management Performance Audit earlier but understood that it wouldn't have much bearing in improving the grant writing process. Mayor Paul asked if there was flexibility for the Enterprise Leadership Effectiveness Study to be moved earlier in the year. Rozillis noted that if there were urgency, they would reallocate the budget to mid-year, which has occurred with clients with larger budgets. Mayor Paul said that September would be a good time to have the Enterprise Leadership Effectiveness Study. Rozillis noted that if they want to capture the current Council, they would not want to start any later than September/early October, as they don't want to run into individuals leaving office. 8 Page 2 Mayor Paul asked if there would be opportunities for the public and the Council to partake in the Budget Process Review. Rozillis noted that the Budget Process Review was a small project. If they wanted to dive into the effectiveness of the City's budget and public input processes, that would be a larger project and take more time and effort. Chair Moore asked if Moss Adams ha d the bandwidth to expand the budget process review. Ritchie confirmed they had looked at the budget policy as part of the Fiscal Policy and Procedures project. Vice Chair Chen questioned the library audit and the trigger for the audit. Rozillis noted that construction audits are a best practice not because of concerns around the library but to increase public trust to ensure the City and vendor are doing things correctly. Chair Moore expressed concerns that the dollar amount for the Enterprise Leadership Effectiveness Study was high. Chair Moore wanted to add the IT General Controls or Cybersecurity Review. Rozillis noted they were limited to the budget the City had identified for internal audit. Rozillis noted that they could either supplement the budget from this fiscal year or build it into the next fiscal year's program. Director Alfaro said that any additional projects added would involve additional time from Moss Adams and City staff. Director Alfaro stated that a robust work program and fee study would take place next year. She added that her team had been tasked to work on grants management this upcoming fiscal year and was currently developing the policy and procedures. Grants management is currently minimal and decentralized amongst departments. If Moss Adams were to look at grants management, there might be a benefit to have Moss Adams review the pilot or assist in developing the pilot on the front end. Rozillis noted that looking at the program's infancy has benefits. There would be no difference between this year and next, as it would have the same benefits. Mayor Paul moved to recommend to the City Council, in prioritized order, the Policy Review Ongoing Support, Budget Process Review, Enterprise Leadership Effectiveness Study, and Library Construction Audit with an understanding that the ongoing internal audit services and Fraud, Waste, and Abuse Program are ongoing. Vice Chair Chen seconded. Committeemember Hammer disagreed with the prioritization and noted that prioritization by the committee is critical if they recommend an audit plan. Vice Chair Chen provided her feedback. Moss Adams will remove numbering items on slides. Motion carried unanimously by all members present. Committeemember Song absent. 4. Consider an update on the Fraud, Waste, and Abuse Program Lohr provided an update on the program. Leung noted that staff planned to bring this item to the July 19th City Council meeting. Mayor Paul asked for a summary of the 3 points and if the hotline was a 24/7 service. Lohr noted that the three points are policy development, establishing a Fraud, Waste, and Abuse hotline, and training. She also confirmed that there would be a 24/7 hotline. Mayor Paul asked what would happen if the complaint submitted was against the individual processing the complaint. Lohr noted the benefit of having the independent internal auditor be the recipient of those complaints and reports. Lohr noted that they recommended having an internal auditor. If the City chose not to, the function would go to the City Attorney's Office. 9 Page 3 5. Consider the Monthly Treasurer's Investment Report for May 2022 Leung provided an overview of the investment report. Oblites provided an overview of the Chandler investment report. Vice Chair Chen asked if we pool the funds and how often we post interest income and investment returns to the special funds. Leung noted that interest income for LAIF and Chandler are updated quarterly, and the market values are updated at the end of the year. Oblites noted that they meet monthly, and there is not much activity that happens monthly. Mayor Paul asked if there are any overarching investment recommendations they could be making given the current rising interest rates. Oblites noted that the investment program recognized that short-term market timing is difficult, but they do it opportunistically. Vice Chair Chen motioned, and Mayor Paul seconded. Motion carried unanimously by all members present. 6. Consider the Monthly Treasurer's Report for May 2022 Mayor Paul moved items 6-9, and items not numerated to Friday July 1st at 4pm. Committeemember Hammer seconded. Motion carried unanimously by all members present. 7. Consider an update on the FY 2021-22 Audit and AUP Engagements Mayor Paul moved items 6-9, and items not numerated to Friday July 1st at 4pm. Committeemember Hammer seconded. Motion carried unanimously by all members present. 8. Consider an update on Budget Format Review Mayor Paul moved items 6-9, and items not numerated to Friday July 1st at 4pm. Committeemember Hammer seconded. Motion carried unanimously by all members present. 9. Consider the Audit Committee 2022 Schedule and Work Plan Mayor Paul moved items 6-9, and items not numerated to Friday July 1st at 4pm. Committeemember Hammer seconded. Motion carried unanimously by all members present. OLD BUSINESS None. STAFF AND COMMITTEE REPORTS FUTURE AGENDA SETTING ADJOURNMENT The meeting adjourned at 6:15 p.m. Recording Secretary: Janet Liang, Administrative Assistant 10 CITY OF CUPERTINO Agenda Item 22-11362 Agenda Date: 8/22/2022 Agenda #: 2. Subject: Approve Minutes of Regular Meeting on July 1, 2022 Approve Minutes of Regular Meeting on July 1, 2022 CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™11 Page 1 City of Cupertino Audit Committee Regular Meeting Minutes July 1, 2022 CALL TO ORDER At 4:00 p.m., Chair Moore called the regular meeting to order. This was a teleconference meeting with no physical location. ROLL CALL Committee Members Present: Chair Kitty Moore, Vice Chair Angela Chen, Mayor Darcy Paul, Committeemember Hammer City Staff Present: Dianne Thompson, Kristina Alfaro, Thomas Leung, Beth Viajar Absent: Committeemember Song Guests: ORDERS OF THE DAY ORAL COMMUNICATIONS NEW BUSINESS 6. Consider the Monthly Treasurer's Report for May 2022 Leung provided an overview of the report. No public comment. Chair Moore requested to have explanations of the journal transfer included in the staff report and a link to what each fund i s. Chair Moore noted, in particular, that there are three items under Special Revenue Funds – the Storm Drain Improvement, Storm Drain AB 1600, and the Environmental Management Clean Creek Storm Drain Fund— that she could not locate an explanation for and that one was missing in the budget book. Chair Moore also noted that there is a Tree Fund, and she does not know what it is for and does the $138k mean that there is potential to increase tree canopy in the city. Vice Chair Chen moved to approve. Committeemember Hammer seconded. Motion carried unanimously by all members present. Committeemember Song absent. 7. Consider an update on the FY 2021-22 Audit and AUP Engagements Leung provided an update on the audit and AUP engagements. He noted that Korach mentioned in December that staff would be conducting an RFP for external audit services in July or August of 2022. Chair Moore asked if the subcommittee needed to be formed now. Leung confirmed the subcommittee would be formed either in July or August. Committeemember Hammer asked if it would consist of members from this committee. Leung confirmed. Chair Moore asked who made up the previous subcommittee. Leung noted it included the Chair, one committee member, and the Finance Manager. Chair Moore asked if there was a historical preference to include councilmembers. Director Alfaro noted that the committee generally nominates the 12 Page 2 subcommittee members. There are no limiting rules other than that the individual has to be an Audit Committee member. 8. Consider an update on Budget Format Review Leung noted that staff has gathered data and will present the information at the next meeting. He added that any input from the budget format review subcommittee would be brought to an audit committee meeting. Chair Moore requested that the previous budget format comments be included when we look at this item in the future. Chair Moore noted that the subcommittee needed to get together and provide comments. 9. Consider the Audit Committee 2022 Schedule and Work Plan Leung shared the 2022 schedule and work plan and welcomed comments. Chair Moore wanted to know how accounting for special projects is handled. Leung note d that staff would look into that and bring an update on Special Revenue Funds and a demonstration of how to use OpenGov to view the budget versus actuals for special projects. Chair Moore wanted staff to explain the Development Impact Fee report on the budget webpage and if there is a way to track those fees. Mayor Paul noted it would be good to get clarity on the Park Dedication Fee and BMR Housing Mitigation Fee. He was unsure what the deliverable would be and whether it was within the scope of the Audit Committee. Chair Moore noted that the grants could be included in the budget format review and asked if we could have the HUD audit as an update item moving forward. Acting City Manager Thompson noted that it might not be an Audit Committee role. It was more about the staff providing information as a check-in with Council as needed. Acting City Manager Thompson would check with finance staff. She noted that grants were spread across the city. Director Alfaro noted that Council funded a $100,000 contract for grants management in Administrative Services. They would work with the City Manager and Department Heads to develop a centralized process, policy, and procedures for grants management. She added that the HUD and CDTFA audit would not fall within the current duties and responsibilities of the Audit Committee because those are specific to the internal and external auditor . There would need to be an action to update the Audit Committee code if that was a report the Audit Committee wanted to receive. Mayor Paul asked if we were anticipating an internal review process that would generate a written report deliverable, why wouldn't the Audit Committee be a part of the process? Director Alfaro noted that it is not considered an internal audit as it is done by an external agency. Chair Moore noted that they should start with the budget format mission in July and slide the fund balance policy and OpenGov to the August meeting. She would also like the agenda packet to include previous comments that were collected in February and the last couple of years of budget format comments. Mayor Paul noted that the Commissioners and Committees handbook is being revised and believes that Chair Moore has the unilateral right to add items, and two committee members can ask for items to be placed. OLD BUSINESS None. 13 Page 3 STAFF AND COMMITTEE REPORTS None. FUTURE AGENDA SETTING Mayor Paul asked if the July meeting could be moved to 2:30pm. Present members noted that they are available. ADJOURNMENT The meeting adjourned at 5:15 p.m. Recording Secretary: Janet Liang, Administrative Assistant 14 CITY OF CUPERTINO Agenda Item 22-11363 Agenda Date: 8/22/2022 Agenda #: 3. Subject: Approve Minutes of Regular Meeting on July 25, 2022 Approve Minutes of Regular Meeting on July 25, 2022 CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™15 Page 1 City of Cupertino Audit Committee Regular Meeting Minutes July 25, 2022 CALL TO ORDER At 2:30 p.m., Chair Moore called the regular meeting to order. This was a teleconference meeting with no physical location. ROLL CALL Committee Members Present: Chair Kitty Moore, Vice Chair Angela Chen, Mayor Darcy Paul, Committeemember Sophie Song, Committeemember Laura Hammer City Staff Present: Kristina Alfaro, Thomas Leung, Beth Viajar, Lizz Cook Absent: Guests: Mitch Barker (PARS), Angela Tang (PARS), Rick Rosenthal (US Bank), Ryan Maxey (US Bank), Carlos Oblites (Chandler) ORDERS OF THE DAY 1. APPROVAL OF MINUTES OF JUNE 27, 2022 Mayor Paul motioned for minutes to be changed to past tense. Vice Chair Chen seconded. The motion carried unanimously with Committeemember Song absent. 2. APPROVAL OF MINUTES OF JULY 1, 2022 Mayor Paul motioned for minutes to be changed to past tense. Committeemember Hammer seconded. The motion carried unanimously with Committeemember Song absent. ORAL COMMUNICATIONS NEW BUSINESS 3. Consider receiving OPEB & Pension Section 115 Trust Performance Report for Quarter Ending June 30, 2022 Barker and Tang provided an overview of the report. Rosenthal provided an update on the portfolio. No public comment. 4. Consider the Monthly Treasurer's Investment Report for June 2022 Leung provided an overview of the report. Oblites provided an update on investments. No public comment. Vice Chair Chen asked questions about fund balance in internal service funds. Leung noted that he would look into it. Vice Chair Chen motioned, and Commiteemember Hammer seconded. Motion carried unanimously by all members present. 16 Page 2 5. Consider the Monthly Treasurer's Report for June 2022 Leung provided an overview of the report. No public comment. Chair Moore brought up her request for fund definitions to be included. Chair Moore asked questions on items in the AP register and noted that answers could be given when the AP register is brought to Council. Committeemember Song asked questions on transfers out. Leung and Director Alfaro provided the information. Vice Chair Chen motioned, and Committeemember Hammer seconded. Motion carried unanimously by all members present. 6. Consider an overview of the Budget Format Review Subcommittee's mission Leung provided an overview. No public comment. Chair Moore commented on how the Audit Committee had changed since its inception and questioned the Audit Committee 's budget. Director Alfaro noted the difference between format and substance. Director Alfaro said that the Audit Committee budget question could be asked at the budget study sessions and over email to staff. Chair Moore noted her previous questions on special projects/carryovers and how there was not enough time to look at the budget. Committeemember Song and Vice Chair Chen made comments. Vice Chair Chen asked where she could find the unfunded needs for projects. Leung noted that it could be found in the capital projects budget. Director Alfaro confirmed that we have been able to fund all department requests, so the only unfunded projects were capital projects. Vice Chair Chen asked about unassigned fund balance. Leung noted it could be found in the financial schedules under General Fund Fund Balance. Mayor Paul noted that there needed to be a focus on transparency, clarity, and decisional authority. Chair Moore noted that they might want to take some of the questions on this item and put them into the work plan or clarify what they want to review. 7. Consider the Audit Committee 2022 Schedule and Work Plan Leung shared the work plan. No public comment. Chair Moore noted that there were questions about fund transfers, grants, General Fund fund balance, unassigned and assigned fund balances, reserves for encumbrances, Non-Departmental, special projects, and special revenue funds. She would like to hear more information on these topics. Chair Moore asked if the budget format topic could be added to the September meeting as a repeat and if time amounts could be included on the agenda. Chair Moore and Committeemember Hammer requested a discussion on the structure for reviewing the budget and how the review is conducted in October or November. OLD BUSINESS STAFF AND COMMITTEE REPORTS FUTURE AGENDA SETTING ADJOURNMENT The meeting adjourned at 4:57 p.m. 17 Page 3 Recording Secretary: Janet Liang, Administrative Assistant 18 CITY OF CUPERTINO Agenda Item 22-11364 Agenda Date: 8/22/2022 Agenda #: 4. Subject: ACTION ITEM Consider the Monthly Treasurer's Investment Report for July 2022 Review the Monthly Treasurer's Investment Report for July 2022 and recommend filing with City Council Presenter: Thomas Leung, Senior Management Analyst 4:15(30) CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™19 1 AUDIT COMMITTEE STAFF REPORT Meeting: August 22, 2022 Subject Consider the Monthly Treasurer's Investment Report for July 2022 Recommended Action Review the Monthly Treasurer's Investment Report for July 2022 and recommend filing with City Council Discussion Background On May 19, 2022, the City Council approved the City's Investment Policy. Per the City's Investment Policy, the Treasurer shall submit monthly transaction reports to the City Council within 30 days of the end of the reporting period per California Government Code Section 53607. In addition to the monthly transaction reports, quarterly investment reports are submitted to the City Council approximately 45 days following the end of the quarter. The quarterly investment report offers a more extensive discussion of the City's economy, cash flow, and investments. The City's Municipal Code Section 2.24.050 Investment Authority states that the Treasurer shall make a monthly report of all investment transactions to the City Council. Lastly, the City's Municipal Code Section 2.88.100 Duties–Powers–Responsibilities lists one of the powers and functions of the Audit Committee is "to review the monthly Treasurer's report." Per the referenced code provisions, a Treasurer's Investment Report shall be submitted to the Audit Committee and City Council every month. Treasurer's Investment Report The report provides an update on the City's investment portfolio for the month ending July 31, 2022. The report is as of August 17, 2022. The attached statements include balances and transactions of the City's investments with the Local Agency Investment Fund (LAIF) and Chandler Asset Management. While not 20 2 governed by the City's Investment Policy, statements for the Public Agency Retirement Services (PARS) Section 115 Trusts are also attached per a request from the Monthly Treasurer's Report Subcommittee. As of July 31, 2022, the City's General Ledger cash and investments balance was $228.5 million, a $3.2 million decrease from the prior month due to receipts of $7.5 million, disbursements of ($11.4) million, and journal adjustments of $0.7 million. Cash and Investments – General Ledger Balance Fund Type Month Ending June 30, 2022 Receipts Disbursements Journal Adjustments* Month Ending July 31, 2022 General Fund 123,618,119 6,296,718 (8,889,105) 58,112 121,083,844 Special Revenue 47,683,992 550,040 (703,247) (500,000) 47,030,785 Debt Service 6,850 - - - 6,850 Capital Projects 39,585,744 529,854 (327,113) 500,000 40,288,485 Enterprise 12,874,527 130,027 (820,499) 666,856 12,850,909 Internal Service 7,923,077 - (687,120) (5,812) 7,230,145 Total $ 231,692,309 $ 7,506,639 $ (11,427,085) $ 719,155 $ 228,491,018 *Journal adjustments include transactions recorded in other systems and imported into the financial system, Council-approved budget adjustments, quarterly Cost Allocation Plan (CAP) charges, and quarterly interest earnings. 21 3 The $228.5 million in cash and investments includes $29.5 million in cash, $21.1 million in cash equivalents, $157.4 million in investments, and $20.5 million restricted for funding pension costs. The City pools cash for all funds except restricted funds. However, the City accounts for interest earnings, revenues, and expenditures separately for each fund to adequately meet the purpose and restrictions of each funding source. Pooling funds is a common and appropriate practice used in public agencies. By pooling funds, the City can benefit from economies of scale, diversification, liquidity, and ease of administration. 22 4 Cash and Investments – General Ledger Balance Month Ending June 30, 2022 Month Ending July 31, 2022 % of Portfolio Cash in banks and on hand Operating Checking (Wells Fargo) 32,667,152 29,441,674 13% Workers' Compensation Checking (Wells Fargo) 17,654 41,842 0% Payroll Checking (Wells Fargo) - - 0% Restricted for Bond Repayments1 (BNY Mellon) 8,333 8,333 0% Petty Cash and Change 5,100 5,100 0% Cash Equivalents Local Agency Investment Fund 21,059,752 21,059,752 9% Investments Investments (Chandler) 157,443,313 157,443,313 69% Restricted for Pension2 (PARS) 20,491,004 20,491,004 9% Total Cash and Investments3 $ 231,692,309 $ 228,491,018 100% 1 Cash held by fiscal agent for bond repayments 2 In accordance with GASB 67/68, the assets in the Section 115 Pension Trust are reported as restricted cash and investments in the General Fund. The assets can only be used to fund CalPERS costs. 3 Assets in the Section 115 OPEB Trust are excluded as the City cannot use these assets to fund its own operations. The assets are held in trust for retirees' post-employment health benefits. The table below shows the bank balances for the City's cash and investments. Bank and General Ledger balances differ due to timing. Bank balances do not include outstanding checks and deposits in transit. The General Ledger is updated quarterly with interest earnings and annually with the year-end investment market values. Cash and Investments – Bank Balance Month Ending June 30, 2022 Month Ending July 31, 2022 % of Portfolio Cash in banks and on hand Operating Checking (Wells Fargo) 32,249,699 29,788,907 14% Workers' Compensation Checking (Wells Fargo) 19,738 43,517 0% Payroll Checking (Wells Fargo) - - 0% Restricted for Bond Repayments1 (BNY Mellon) 8,333 8,333 0% Cash Equivalents Local Agency Investment Fund 21,059,752 21,099,180 10% Investments Investments (Chandler) 148,744,657 149,849,867 68% Restricted for Pension2 (PARS) 17,240,051 18,310,826 8% Total Cash and Investments3 $ 219,322,230 $ 219,100,630 100% 1 Cash held by fiscal agent for bond repayments 23 5 2 In accordance with GASB 67/68, the assets in the Section 115 Pension Trust are reported as restricted cash and investments in the General Fund. The assets can only be used to fund CalPERS costs. 3 Assets in the Section 115 OPEB Trust are excluded as the City cannot use these assets to fund its own operations. The assets are held in trust for retirees' post-employment health benefits. Local Agency Investment Fund (LAIF) LAIF is an investment pool administered by the State of California Treasurer and governed by California Government Code. The City can withdraw funds from LAIF at any time. As a result, the City uses LAIF for short-term investment, liquidity, and yield. As of July 31, 2022, the City's LAIF account had a balance of $21.1 million, an increase of $39,428 from the prior month due to a quarterly interest deposit. The interest rate was 0.75%. The City did not make any deposits or withdrawals in July 2022. Investment Portfolio In FY 2018-19, the City conducted a Request for Proposal (RFP) for investment management services and selected Chandler Asset Management. Under the City's Treasurer's direction, Chandler Asset Management manages the City's investment portfolio in accordance with the City's investment objectives. The City's investment objectives, in order of priority, are to provide:  Safety to ensure the preservation of capital in the overall portfolio  Sufficient liquidity for cash needs  A market rate of return consistent with the investment program The performance objective is to earn a total rate of return through a market cycle equal to or above the return on the benchmark index. Chandler Asset Management invests in high- quality fixed-income securities consistent with the City's Investment Policy and California Government Code to achieve the objective. As of July 31, 2022, the portfolio's market value was $149.8 million, compared to $148.7 million at the end of the previous month. The rate of return was 0.75% for the month. The table below includes monthly historical comparisons for the City's portfolio: 24 6 June 30, 2022 July 31, 2022 Market Value 148,744,657 149,849,867 Par Value 155,016,024 155,207,329 Book Value 155,117,380 155,242,781 Average Maturity 2.74 years 2.77 years Average Modified Duration 2.39 2.42 Average Purchase Yield 1.41% 1.49% Average Market Yield 3.25% 3.14% Average Quality1 AA+/Aa1 AA/Aa1 1 S&P and Moody's respectively The portfolio's market value fluctuates depending on interest rates. When interest rates decrease after an investment is purchased, the market value of the investment increases. In contrast, when interest rates increase after an investment is purchased, the market value of the investment decreases. At the time of purchase, the City intends to hold all investments until maturity, so changes in market price do not affect the City's investment principal. The market values were provided by Chandler Asset Management. Section 115 Trust Investment Portfolio The City established Section 115 Trusts to reduce pension rate volatility and pre -fund Other Post-Employment Benefits (OPEB) costs. A Section 115 Trust is a tax-exempt investment tool that allows local governments to pre-fund pension and retiree health costs. Once contributions are placed into the trust, assets from the trust can only be used to fund retirement plans. The Section 115 Trusts are not governed by the City's Investment Policy but by separate investment policies. On December 7, 2021, City Council approved the Pension Trust Investment Policy and OPEB Trust Investment Policy. Public Agency Retirement Services (PARS) administers the trust, and US Bank manages the investments per the investment policies. Both Section 115 Trusts are invested in "balanced" portfolios. The investment objective is designed to provide a moderate amount of current income with moderate growth of capital. It is recommended for investors with a long-term time horizon. The strategic asset allocation ranges for this objective are: 25 7 Asset Class Range Target Equities 50-70% 63% Fixed Income 20-40% 29% Real Estate 0-15% 5% Commodities 0-10% 2% Cash 0-10% 1% As of July 31, 2022, the Section 115 Pension Trust had a balance of $18.3 million, an increase of $1.1 million from the prior month due to investment gains. The Section 115 OPEB Trust had a balance of $33.3 million, an increase of $2.0 million from the prior month due to investment gains. The one-month investment returns were 6.24% for the Pension Trust and 6.27% for the OPEB Trust. Compliance All of the City's investments comply with state law and the City's Investment Policy. In compliance with California Government Code 53646 (b)(3), the City maintains the ability to meet its expenditure requirements for the next six months. Sustainability Impact No sustainability impact. Fiscal Impact No fiscal impact. _____________________________________ Prepared by: __________________ Thomas Leung Senior Management Analyst Reviewed by: __________________ Kristina Alfaro Director of Administrative Services Approved for Submission by: __________________ Dianne Thompson Acting City Manager Attachments: A – Chandler Investment Report July 2022 B – Chandler Custodial Statement July 2022 C – PARS Pension and OPEB Account Statement July 2022 D – LAIF Account Statement July 2022 26 CHANDLER ASSET MANAGEMENT, INC. | 800.317.4747 | www.chandlerasset.com INVESTMENT REPORT Period Ending July 31, 2022 City of Cupertino 27 SECTION 1 Economic Update SECTION 2 Account Profile SECTION 3 Portfolio Holdings SECTION 4 Transactions Table of Contents As of July 31, 2022 1 28 SECTION |Section 1 |Economic Update 2 29 Economic Update    Tightening financial conditions and higher interest rates continue to adversely impact the trajectory of the US and Global economy.Inflation is weighing heavily on consumer sentiment and beginning to impact discretionary spending.Labor markets remain strong,but wage gains are not keeping up with inflation. While we expect the Fed to continue to tighten monetary policy,evidence of slower economic conditions has begun to mount.Over the near-term,we expect financial market volatility to remain intensified and conditions to remain tighter with persistent inflation, geopolitical risk,supply chain bottlenecks, and the Fed's shift to a more hawkish monetary policy. At the July meeting,the Federal Open Market Committee (FOMC)delivered another 75-basis point increase to the Fed Funds Rate,increasing the range to 2.25%to 2.50%.The FOMC acknowledged spending and production were trending lower,offset by a strong labor market and elevated inflation metrics.Although declining to provide “forward guidance”, Fed Chair Powell acknowledged current policy settings are close to neutral but emphasized policy would need to move to a more restrictive stance to counterbalance the elevated inflation trends.We anticipate additional rates hikes as the Fed remains focused on lowering inflation. In July,yields fell,and the curve inverted.The 2-year Treasury yield declined 7 basis points to 2.89%,the 5-year Treasury yield plunged 36 basis points to 2.68%,and the 10-year Treasury yield dropped 37 basis points to 2.65%.The spread between the 2-year Treasury yield and 10-year Treasury yield inverted to -24 basis points at July month-end versus 6 basis points at June month-end,and 104 basis points one year ago.The spread between 3-month and 10-year treasuries compressed to just 29 basis points.The shape of the curve does not necessarily indicate an imminent recession but bears watching as a better predictor of recession over the medium- term. 3 30 Source: US Department of Labor Source: US Department of Labor Employment The U.S. economy added 528,000 jobs in July, more than double market expectations of 250,000, and job gains were revised up by 28,000 for the prior two months. Trends in employment remain strong,with the three-month moving average payrolls at 437,000 and the six-month moving average at 465,000.Hiring was widespread,led by leisure and hospitality,professional and business services,and healthcare.The unemployment rate dipped to 3.5%,returning to its pre-pandemic level,as the labor participation rate decreased to 62.1%from 62.2%in June. The U-6 underemployment rate,which includes those who are marginally attached to the labor force and employed part time for economic reasons remained steady at 6.7%.Average hourly earnings rose 5.2%in July from 5.1%year-over-year in June, adding to broader inflationary pressures in the economy. The strong July labor report bolsters the case for the Fed to continue raising the federal funds rate. -500 0 500 1,000 1,500 2,000 2,500 3,000 M O M C h a n g e I n ( 0 0 0 ' s ) Nonfarm Payroll (000's) Non-farm Payroll (000's) 3 month average (000's) 0.0% 4.0% 8.0% 12.0% 16.0% 20.0% 24.0% Unemployment Rate Underemployment Rate (U6) Unemployment Rate (U3) Ra t e ( % ) 4 31 Source: US Department of Labor Source: US Department of Commerce Inflation The Consumer Price Index (CPI)decelerated in July from a 40-year high as energy prices fell,although food and shelter prices remained stubbornly high. Headline CPI came in below expectations with an 8.5%year-over-year increase in July,down from a 9.1%year-over-year gain in June.Core CPI (CPI less food and energy)rose 5.9%year-over-year in July, remaining stable with a 5.9%year-over-year increase in June.The Personal Consumption Expenditures (PCE)index was up 6.8%year-over-year in June, up from a 6.3%year-over-year increase in May.Core PCE was up 4.8%year-over-year in June,versus up 4.7%year-over-year in May.Persistently elevated inflationis likely to keep the Federal Reserve on the path of tightening monetary policy as long as it continues to run well above the Fed’s longer-run target of around 2.0%. 0.0% 1.0% 2.0% 3.0% 4.0% 5.0% 6.0% 7.0% 8.0% 9.0% 10.0% Personal Consumption Expenditures (PCE) PCE Price Deflator YOY % Change PCE Core Deflator YOY % Change YO Y ( % ) C h a n g e 0.0% 1.0% 2.0% 3.0% 4.0% 5.0% 6.0% 7.0% 8.0% 9.0% 10.0% Consumer Price Index (CPI) CPI YOY % Change Core CPI YOY % Change Y O Y ( % ) C h a n g e 5 32 Retail sales rose 1.0%in June from an upwardly revised -0.1%in May,led by a significant dollar value increase in gasoline sales.The higher- than-expected results indicate consumer demand is holding up more than expected despite inflation.Retail sales growth is at risk as consumers dip into savings and assume more debt.On a year-over-year basis,retail sales were up 8.4%in June versus up 8.2%revised in May. The ConsumerConfidence index fell to 95.7 in July from a downwardly revised 98.4 in June. Consumers’ buyingplans for major purchases have waned coinciding with higher interest rates and stock market declines.In addition,discretionary spending decisions are increasingly pressured by elevated gas, food, and shelter costs. Source: US Department of Commerce Source: The Conference Board 0.0% 10.0% 20.0% 30.0% 40.0% 50.0% 60.0% Retail Sales YOY % Change Y O Y ( % ) C h a n g e 80 90 100 110 120 130 140 In d e x L e v e l Consumer Confidence Consumer 6 33 Source: The Conference Board Source: Federal Reserve Bank of Chicago Economic Activity The Conference Board’s Leading Economic Index (LEI)decreased more than expected to -0.8%month-over-month in June,following a decline to -0.6%in May.Although the index is still in positive territory at +1.4%year-over-year versus +2.8%in May,the Conference Board indicated that economic growth is slowing and recession risk is increasing due to elevated inflation and monetary policy tightening.The Chicago Fed National Activity Index (CFNAI)is unchanged at -0.19.On a 3-month moving average basis,the CFNAI decreased to -0.04 in June from +0.09 in May. -4.00 -2.00 0.00 2.00 4.00 6.00 Chicago Fed National Activity Index (CFNAI) 3 M o n t h A v e r a g e -1.0% -0.5% 0.0% 0.5% 1.0% 1.5% 2.0% 2.5% Leading Economic Indicators (LEI) M O M ( % ) C h a n g e 7 34 Source: US Department of Commerce Source: S&P Housing 0 200 400 600 800 1000 1200 1400 1600 1800 2000 M O M C h a n g e ( I n T h o u s a n d s o f U n i t s ) Housing Starts Multi Family Housing Starts Single Family Housing Starts 0.0% 3.0% 6.0% 9.0% 12.0% 15.0% 18.0% 21.0% 24.0% S&P/Case -Shiller 20 City Composite Home Price Index YO Y ( % ) C h a n g e Total housing starts declined 2.0%to an annual rate of 1,559,000 in June,from a revised 1,591,000 in units in May.Single-family home starts fell by 8.1%and multi-family increased 10.3%month-over-month.On a year-over-year basis,total housing starts decreased 6.3%,driven by a drop in construction of single-family houses as homebuyers struggle with a combination of elevated prices and higher mortgage rates.According to the Case-Shiller 20-City home price index,home prices were up 20.5%year-over-year in May,easing slightly from a 21.2%year-over-year increase in April.The rate of home price increases will likely decelerate as the year progresses due to the substantial rise in mortgage rates and the negative performance of financial markets. 8 35 Source: Institute for Supply Management Source: Federal Reserve Manufacturing The Institute for Suppl y Management (ISM)manufacturing index dropped to 52.8 in July from 53.0 in June. Readings above 50.0 are indicative of expansion in the manufacturing sector.The decline was driven by plunging crude oil and metals input prices along with weakness in new orders for merchandise and rising inventories as consumerspending shifts to services.Capacity utilization declined to 80.0%in June,from an upwardly revised 80.3% in May bringing it in line with its longer run average. 40 42 44 46 48 50 52 54 56 58 60 62 64 66 Institute of Supply Management Purchasing Manager Index EXPANDING CONTRACTING -20.0% -15.0% -10.0% -5.0% 0.0% 5.0% 10.0% 15.0% 20.0% Industrial Production YO Y ( % ) C h a n g e 9 36 Source: US Department of Commerce Source: US Department of Commerce 9/21 12/21 3/22 6/22 1.4% 1.8% 1.2% 0.7% 2.1% 5.8% 0.9% -2.7% -1.3% -0.2% -3.2% 1.4% -0.4% -0.3% -0.5% -0.2% 0.5% -0.2% -0.1% -0.1% 2.3% 6.9% -1.6% -0.9% Components of GDP Federal Government Expenditures State and Local (Consumption and Gross Investment) Net Exports and Imports Total Gross Private Domestic Investment Personal Consumption Expenditures -35.0% -30.0% -25.0% -20.0% -15.0% -10.0% -5.0% 0.0% 5.0% 10.0% 15.0% 20.0% 25.0% 30.0% 35.0% Gross Domestic Product (GDP) GDP QOQ % Change GDP YOY % Change Gross Domestic Product (GDP) According to the advance estimate,second quarter 2022 GDP contracted at an annualized rate of 0.9%,following a first quarterdecline of 1.6%. Although many market participants link two quarters in a row of negative GDP growth with a recession,an official declaration by the National Bureau of Economic Research is unlikely given the mosaic of data and the strength of the labor market. Personal consumption expenditures grew at a slower rate in the second quarter,as consumer spending shifted from nondurable goods to services.The largest negative contribution was from a drop in gross residential investment as the housing sector diminished sharply.The consensus estimate calls for 1.7% growth in the third quarter and 2.0% growth for the full year 2022. 10 37 Federal Reserve Source: Federal Reserve Source: Bloomberg At the July meeting,the Federal Open Market Committee (FOMC)delivered another 75-basis point increase to the Fed Funds Rate,increasing the range to 2.25%to 2.50%.The FOMC acknowledged spending and production were trending lower,offset by a strong labor market and elevated inflation metrics.Although declining to provide “forward guidance”,Fed Chair Powell acknowledged current policy settings are close to neutral but emphasized policy would need to move to a more restrictive stance to counterbalance the elevated inflation trends.The Fed will continue shrinking its $9 trillion balance sheet by $47.5 billion per month, increasing to $95 billionin September.We anticipate additional rates hikes as the Fed remains focused on lowering inflation.As inflation metrics begin to moderate,we believe the Federal Reserve will decelerate their pace of tightening, but a material decline in inflation in the short-term is unlikely. 0.00% 0.25% 0.50% 0.75% 1.00% 1.25% 1.50% 1.75% 2.00% 2.25% 2.50% 2.75% Effective Federal Funds Rate Yi e l d ( % ) 2,000,000 3,000,000 4,000,000 5,000,000 6,000,000 7,000,000 8,000,000 9,000,000 10,000,000 Federal Reserve Balance Sheet Assets In $ m i l l i o n s 11 38 Source: Bloomberg Source: Bloomberg 0.0% 0.5% 1.0% 1.5% 2.0% 2.5% 3.0% 3.5% US Treasury Note Yields 2-Year 5-Year 10-Year Y i e l d ( % ) 0.0% 0.5% 1.0% 1.5% 2.0% 2.5% 3.0% 3.5% US Treasury Yield Curve Jul-22 Apr-22 Jul-21 Y i e l d ( % ) Bond Yields At the end of July,the 2-year Treasury yield was 270 basis points higher,and the 10-Year Treasury yield was about 143 basis points higher,year- over-year.The spread between the 2-year Treasury yield and 10-year Treasury yield inverted to -24 basis points at July month-end versus 6 basis points at June month-end.The average historical spread (since 2003)is about 130 basis points.The spread between 3-month and 10-year treasuries compressed to just 29 basis points.The shape of the yield curve does not indicate an imminent recession but bears watching as a better predictor of recession over the medium-term. 12 39 Section 2|SECTION |Section 2 |Account Profile 13 40 Objectives Chandler Asset Management Performance Objective The performance objective for the portfolio is to earn a total rate of return through a market cycle that is equal to or above the return on the benchmark index. Investment Objectives The City of Cupertino’s investment objectives,in order of priority,are to provide safety to ensure the preservation of capital in the overall portfolio,provide sufficient liquidity for cash needs and a market rate of return consistent with the investment program. Strategy In order to achieve these objectives,the portfolio invests in high quality fixed incomes securities consistent with the investment policy and California Government Code. As of July 31, 2022 14 41 Compliance As of July 31, 2022 Category Standard Comment Treasury Issues No Limitation Complies Agency Issues 25% per Agency/GSE issuer; 20% max agency callable securities; Issued by Federal Agencies or U.S. Government Sponsored Enterprise obligations.Complies Supranational "AA" rating category or better by a NRSRO; 30% maximum; 10% max per issuer; USD denominated senior unsecured unsubordinated obligations issued or unconditionally guaranteed by IBRD, IFC, or IADB.Complies Municipal Securities "A" rating category or better by a NRSRO; 30% maximum; 5% max per issuer; Obligations of the City, State of California, and any local agency within the State of California; Obligations of any of the other 49 states in addition to California, including bonds payable solely out of the revenues from a revenue-producing property owned, controlled, or operated by a state or by a department, board, agency, or authority of any of the other 49 states in addition to California. Complies Corporate Medium Term Notes "A" rating category or better by a NRSRO; 30% maximum; 5% max per issuer; Issued by corporations organized and operating within the U.S. or by depository institutions licensed by the U.S. or any state and operating within the U.S.Complies Asset Backed/ Mortgage Backed/ Collateralized Mortgage Obligation "AA" rating category or better by a NRSRO; 20% maximum; 5% max per issuer on Asset-Backed or Commercial Mortgage security; There is no issuer limitation on any Mortgage security where the issuer is the U.S. Treasury or a Federal Agency/GSE . Complies Negotiable Certificates of Deposit (NCDs) No rating required if amount of the NCD is insured up to the FDIC limit; If above FDIC insured limit, requires "A-1" short- term rated or "A" long-term rating category or better by a NRSRO; 30% maximum; 5% max per issuer; Issued by nationally or state chartered banks, state or federal savings associations, or state or federal credit unions, or by a federally licensed or state-licensed branch of a foreign bank. Complies Certificates of Deposit (CDs)/Time Deposit (TDs) 30% maximum; 5% max per issuer; Certificates of Deposit, Time Deposit, non-negotiable, and collateralized in accordance with California Government Code.Complies Banker’s Acceptances "A-1" short-term rated or better by a NRSRO; or "A" long-term rating category or better by a NRSRO; 40% maximum; 5% max per issuer; 180 days max maturity Complies Commercial Paper "A-1" short term rated or better a NRSRO; "A" long-term issuer rating category or better by a NRSRO; 25% maximum; 5% max per issuer; 270 days max maturity; Issued by corporations organized and operating in the U.S. with assets > $500 million; 10% max outstanding paper of the issuing corporation. Complies Money Market Funds 20% maximum; Daily money market funds administered for or by trustees, paying agents and custodian banks contracted by a City of Cupertino as allowed under California Government Code; Only funds holding U.S. Treasury obligations, Government agency obligations or repurchase agreements collateralized by U.S. Treasury or Government agency obligations can be utilized. Complies Local Agency Investment Fund (LAIF) Maximum amount permitted by LAIF; Not used by investment adviser Complies City of Cupertino Assets managed by Chandler Asset Management are in full compliance with state law and with the City's investment policy. 15 42 Compliance As of July 31, 2022 Category Standard Comment Repurchase Agreements 1 year max maturity; 102% collateralized; A PSA Master Repurchase Agreement is required between City of Cupertino and the broke/dealer or financial institution for all repurchase agreements; Not used by investment adviser Complies Prohibited Securities Reverse Repurchase Agreement; Common stocks; Long-term (> 5 years maturity) notes and bonds; Special circumstances arise that necessitate purchase of securities beyond the 5-year limitation. On such occasions, request must be approved by City Council prior to purchase; Futures/Options; Inverse floaters; Ranges notes, Mortgage-derived, Interest-only strips; Zero interest accrual securities; Purchasing/selling securities on margin; Foreign currency denominated securities. Complies Minimum Budgeted Operating Expenditures in Short Term Investments Minimum 6 months of budgeted operating expenditures in short term investments to provide sufficient liquidity for expected disbursements Complies Max Per Issuer 5% per issuer, unless otherwise specified in the policy Complies Maximum maturity 5 years Complies City of Cupertino Assets managed by Chandler Asset Management are in full compliance with state law and with the City's investment policy. 16 43 Portfolio Summary –City of Cupertino # 10659 As of July 31, 2022 17 44 Purchase Yield as of 07/31/22 = 1.49% 0.00 0.50 1.00 1.50 2.00 2.50 Pe r c e n t ( % ) Historical Average Purchase Yield City of Cupertino As of July 31, 2022 18 45 SECTION |Section 3 |Portfolio Holdings 19 46 Issue Name Investment Type % Portfolio Government of United States US Treasury 25.37% Federal National Mortgage Association Agency 8.93% Federal Home Loan Bank Agency 6.12% Federal Home Loan Mortgage Corp Agency 5.87% Federal Home Loan Mortgage Corp CMO 5.27% Inter-American Dev Bank Supranational 3.34% American Express ABS ABS 1.93% Hyundai Auto Receivables ABS 1.84% Royal Bank of Canada Corporate 1.68% Toyota Motor Corp Corporate 1.63% Bank of America Corp Corporate 1.63% Bank of New York Corporate 1.60% International Finance Corp Supranational 1.55% JP Morgan Chase & Co Corporate 1.53% Intl Bank Recon and Development Supranational 1.48% Toronto Dominion Holdings Corporate 1.44% Honda ABS ABS 1.42% John Deere ABS ABS 1.36% Northwestern Mutual Glbl Corporate 1.31% Paccar Financial Corporate 1.26% GM Financial Automobile Leasing Trust ABS 1.24% Toyota Lease Owner Trust ABS 1.21% Toyota ABS ABS 1.18% Bank of Montreal Chicago Corporate 1.17% Amazon.com Inc Corporate 1.16% Metlife Inc Corporate 1.15% Salesforce.com Inc Corporate 1.12% Air Products & Chemicals Corporate 1.12% Prudential Financial Inc Corporate 1.11% United Health Group Inc Corporate 1.11% New York Life Global Funding Corporate 1.07% Berkshire Hathaway Corporate 1.06% Hyundai Auto Lease Securitization ABS 0.86% Guardian Life Global Funding Corporate 0.85% US Bancorp Corporate 0.82% Caterpillar Inc Corporate 0.72% GM Financial Securitized Term Auto Trust ABS 0.67% Deere & Company Corporate 0.66% Issuers City of Cupertino –Account #10659 As of July 31, 2022 20 47 Issue Name Investment Type % Portfolio Verizon Owner Trust ABS 0.62% Charles Schwab Corp/The Corporate 0.62% Mass Mutual Insurance Corporate 0.61% BMW Vehicle Lease Trust ABS 0.57% State of California Municipal Bonds 0.50% Northern Trust Corp Corporate 0.46% Morgan Stanley Corporate 0.42% BMW ABS ABS 0.35% Wells Fargo 100% Treasury MMKT Fund Money Market Fund 0.34% Nissan ABS ABS 0.27% Wal-Mart Stores Corporate 0.22% Mercedes-Benz Auto Lease Trust ABS 0.16% TOTAL 100.00% Issuers City of Cupertino –Account #10659 As of July 31, 2022 21 48 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration ABS 43815NAC8 Honda Auto Receivables Trust 2019-3 A3 1.780% Due 08/15/2023 153,661.98 Various 1.93% 153,403.67 153,650.97 99.80 3.20% 153,358.03 121.57 0.10% (292.94) Aaa / AAA NR 1.04 0.14 58769EAC2 Mercedes-Benz Auto Lease Trust 2020-B A3 0.400% Due 11/15/2023 240,048.01 09/15/2020 0.40% 240,035.84 240,045.60 99.34 3.04% 238,460.81 42.68 0.16% (1,584.79) NR / AAA AAA 1.29 0.25 477870AC3 John Deere Owner Trust 2019-B A3 2.210% Due 12/15/2023 106,847.66 08/27/2019 1.79% 107,836.84 107,163.52 99.86 3.01% 106,699.67 104.95 0.07% (463.85) Aaa / NR AAA 1.38 0.17 92348AAA3 Verizon Owner Trust 2019-C A1A 1.940% Due 04/22/2024 143,156.57 10/01/2019 1.95% 143,145.53 143,152.38 99.75 3.00% 142,801.54 84.86 0.10% (350.84) NR / AAA AAA 1.73 0.23 89238EAC0 Toyota Lease Owner Trust 2021-A A3 0.390% Due 04/22/2024 700,000.00 03/23/2022 2.16% 686,000.00 689,319.85 97.93 3.59% 685,486.20 83.42 0.46% (3,833.65) Aaa / AAA NR 1.73 0.65 44891VAC5 Hyundai Auto Lease Trust 2021-B A3 0.330% Due 06/17/2024 790,000.00 06/08/2021 0.34% 789,881.50 789,940.82 97.63 3.51% 771,308.60 115.87 0.51% (18,632.22) Aaa / AAA NR 1.88 0.75 65479JAD5 Nissan Auto Receivables Owner 2019-C A3 1.930% Due 07/15/2024 412,712.73 Various 1.70% 414,760.12 413,659.53 99.57 3.54% 410,928.57 354.02 0.27% (2,730.96) Aaa / AAA NR 1.96 0.27 43813DAC2 Honda Auto Receivables 2020-2 A3 0.820% Due 07/15/2024 94,588.20 05/18/2020 0.83% 94,580.76 94,584.68 98.80 3.38% 93,450.78 34.47 0.06% (1,133.90) Aaa / AAA NR 1.96 0.47 47789KAC7 John Deere Owner Trust 2020-A A3 1.100% Due 08/15/2024 131,303.83 03/04/2020 1.11% 131,295.80 131,300.13 98.98 3.63% 129,958.36 64.19 0.09% (1,341.77) Aaa / NR AAA 2.04 0.40 43813KAC6 Honda Auto Receivables Trust 2020-3 A3 0.370% Due 10/18/2024 445,900.47 09/22/2020 0.38% 445,834.97 445,873.35 98.09 3.63% 437,373.52 59.58 0.29% (8,499.83) NR / AAA AAA 2.22 0.59 36262XAC8 GM Financial Auto Lease Trust 2021-3 A2 0.390% Due 10/21/2024 965,000.00 08/10/2021 0.39% 964,986.88 964,992.04 96.93 3.53% 935,363.89 115.00 0.62% (29,628.15) NR / AAA AAA 2.23 0.99 47787NAC3 John Deere Owner Trust 2020-B A3 0.510% Due 11/15/2024 151,984.27 07/14/2020 0.52% 151,961.11 151,974.58 98.29 3.61% 149,384.88 34.45 0.10% (2,589.70) Aaa / NR AAA 2.30 0.55 09690AAC7 BMW Vehicle Lease Trust 2021-2 A3 0.330% Due 12/26/2024 425,000.00 09/08/2021 0.34% 424,956.14 424,973.03 97.27 3.53% 413,394.10 23.38 0.28% (11,578.93) Aaa / NR AAA 2.41 0.86 89236XAC0 Toyota Auto Receivables 2020-D A3 0.350% Due 01/15/2025 342,804.68 10/06/2020 0.36% 342,740.81 342,767.80 98.28 3.65% 336,904.33 53.33 0.22% (5,863.47) NR / AAA AAA 2.46 0.52 44891WAC3 Hyundai Auto Lease Trust 2022-A A3 1.160% Due 01/15/2025 540,000.00 01/11/2022 1.16% 539,988.07 539,990.90 96.97 3.52% 523,616.94 278.40 0.35% (16,373.96) Aaa / AAA NR 2.46 1.30 92290BAA9 Verizon Owner Trust 2020-B A 0.470% Due 02/20/2025 800,000.00 08/04/2020 0.48% 799,832.00 799,905.07 98.47 3.51% 787,770.40 114.89 0.53% (12,134.67) Aaa / NR AAA 2.56 0.50 89238LAC4 Toyota Lease Owner Trust 2022-A A3 1.960% Due 02/20/2025 1,150,000.00 02/23/2022 1.98% 1,149,818.99 1,149,852.06 97.59 3.55% 1,122,260.85 688.72 0.75% (27,591.21) NR / AAA AAA 2.56 1.53 As of July 31, 2022 22 49 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 36265MAC9 GM Financial Auto Lease Trust 2022-1 A3 1.900% Due 03/20/2025 945,000.00 02/15/2022 1.91% 944,991.87 944,993.51 97.73 3.51% 923,568.35 548.63 0.62% (21,425.16) Aaa / NR AAA 2.64 1.42 05601XAC3 BMW Vehicle Lease Trust 2022-1 A3 1.100% Due 03/25/2025 450,000.00 01/11/2022 1.11% 449,932.73 449,949.12 97.10 3.53% 436,959.00 82.50 0.29% (12,990.12) NR / AAA AAA 2.65 1.20 43813GAC5 Honda Auto Receivables Trust 2021-1 A3 0.270% Due 04/21/2025 295,000.00 02/17/2021 0.27% 294,994.60 294,997.12 97.67 3.75% 288,119.13 22.13 0.19% (6,877.99) Aaa / NR AAA 2.73 0.67 89240BAC2 Toyota Auto Receivables Owners 2021-A A3 0.260% Due 05/15/2025 1,049,214.79 02/02/2021 0.27% 1,049,020.06 1,049,112.86 97.67 3.60% 1,024,802.71 121.24 0.68% (24,310.15) Aaa / NR AAA 2.79 0.70 44933LAC7 Hyundai Auto Receivables Trust 2021-A A3 0.380% Due 09/15/2025 515,000.00 04/20/2021 0.38% 514,945.82 514,968.21 97.04 3.53% 499,731.80 86.98 0.33% (15,236.41) NR / AAA AAA 3.13 0.95 43815GAC3 Honda Auto Receivables Trust 2021-4 A3 0.880% Due 01/21/2026 460,000.00 11/16/2021 0.89% 459,903.03 459,923.49 95.78 3.60% 440,584.78 112.44 0.29% (19,338.71) Aaa / NR AAA 3.48 1.57 47789QAC4 John Deere Owner Trust 2021-B A3 0.520% Due 03/16/2026 580,000.00 07/13/2021 0.52% 579,948.26 579,962.85 95.08 3.98% 551,435.58 134.04 0.37% (28,527.27) Aaa / NR AAA 3.63 1.44 89238JAC9 Toyota Auto Receivables Trust 2021-D A3 0.710% Due 04/15/2026 430,000.00 11/09/2021 0.71% 429,990.84 429,992.84 95.46 3.75% 410,465.96 135.69 0.27% (19,526.88) NR / AAA AAA 3.71 1.51 43815BAC4 Honda Auto Receivables Trust 2022-1 A3 1.880% Due 05/15/2026 740,000.00 02/15/2022 1.89% 739,888.70 739,903.74 96.97 3.49% 717,612.79 618.31 0.48% (22,290.95) Aaa / AAA NR 3.79 1.91 44935FAD6 Hyundai Auto Receivables Trust 2021-C A3 0.740% Due 05/15/2026 1,330,000.00 Various 2.02% 1,296,371.65 1,300,688.25 95.73 3.56% 1,273,173.10 437.42 0.85% (27,515.15) NR / AAA AAA 3.79 1.53 05602RAD3 BMW Vehicle Owner Trust 2022-A A3 3.210% Due 08/25/2026 530,000.00 05/10/2022 3.23% 529,972.44 529,974.26 99.73 3.57% 528,592.32 283.55 0.35% (1,381.94) Aaa / AAA NR 4.07 0.78 362554AC1 GM Financial Securitized Term 2021-4 A3 0.680% Due 09/16/2026 350,000.00 10/13/2021 0.68% 349,991.08 349,993.12 95.41 3.85% 333,943.75 99.17 0.22% (16,049.37) Aaa / AAA NR 4.13 1.47 47787JAC2 John Deere Owner Trust 2022-A A3 2.320% Due 09/16/2026 450,000.00 03/10/2022 2.34% 449,900.46 449,911.20 97.60 3.57% 439,189.65 464.00 0.29% (10,721.55) Aaa / NR AAA 4.13 1.95 448977AD0 Hyundai Auto Receivables Trust 2022-A A3 2.220% Due 10/15/2026 1,010,000.00 03/09/2022 2.23% 1,009,961.12 1,009,965.64 97.27 3.70% 982,456.30 996.53 0.66% (27,509.34) NR / AAA AAA 4.21 1.87 380146AC4 GM Financial Auto Receivables 2022-1 A3 1.260% Due 11/16/2026 295,000.00 01/11/2022 1.27% 294,974.36 294,978.46 96.37 4.17% 284,303.89 154.88 0.19% (10,674.57) NR / AAA AAA 4.30 1.26 362585AC5 GM Financial Securitized ART 2022-2 A3 3.100% Due 02/16/2027 390,000.00 04/05/2022 3.13% 389,918.49 389,925.65 99.27 3.49% 387,154.56 503.75 0.26% (2,771.09) Aaa / AAA NR 4.55 1.97 47800AAC4 John Deere Owner Trust 2022-B A3 3.740% Due 02/16/2027 655,000.00 07/12/2022 3.77% 654,937.45 654,938.02 100.41 3.59% 657,682.88 748.52 0.44% 2,744.86 Aaa / NR AAA 4.55 2.33 02589BAA8 American Express Credit Accoun 22-1 A 2.210% Due 03/15/2027 1,545,000.00 03/21/2022 2.69% 1,524,359.77 1,526,844.94 97.26 3.33% 1,502,710.26 1,517.53 1.00% (24,134.68) Aaa / NR AAA 4.62 2.50 As of July 31, 2022 23 50 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 02582JJT8 American Express Credit Trust 2022-2 A 3.390% Due 05/17/2027 1,375,000.00 05/17/2022 3.42% 1,374,695.85 1,374,715.16 100.49 3.23% 1,381,704.50 2,071.67 0.92% 6,989.34 NR / AAA AAA 4.80 2.62 TOTAL ABS 20,987,223.19 1.61% 20,919,757.61 20,928,884.75 3.54% 20,502,712.78 11,512.76 13.69% (426,171.97) Aaa / AAA Aaa 3.25 1.38 Agency 3137EAER6 FHLMC Note 0.375% Due 05/05/2023 1,350,000.00 05/05/2020 0.39% 1,349,433.00 1,349,856.30 98.01 3.04% 1,323,132.30 1,209.38 0.88% (26,724.00) Aaa / AA+ AAA 0.76 0.75 3130A3DL5 FHLB Note 2.375% Due 09/08/2023 2,000,000.00 09/06/2019 1.52% 2,066,320.00 2,018,306.14 99.32 3.01% 1,986,346.00 18,868.06 1.34% (31,960.14) Aaa / AA+ NR 1.11 1.07 3137EAFA2 FHLMC Note 0.250% Due 12/04/2023 1,755,000.00 12/02/2020 0.28% 1,753,262.55 1,754,222.51 96.47 2.96% 1,692,997.61 694.69 1.13% (61,224.90) Aaa / AA+ AAA 1.35 1.32 3130A0F70 FHLB Note 3.375% Due 12/08/2023 2,100,000.00 Various 1.75% 2,222,418.00 2,144,535.56 100.49 3.00% 2,110,199.70 10,434.38 1.42% (34,335.86) Aaa / AA+ AAA 1.36 1.31 3130A0XE5 FHLB Note 3.250% Due 03/08/2024 1,500,000.00 03/28/2019 2.27% 1,568,115.00 1,522,063.83 100.45 2.96% 1,506,747.00 19,364.58 1.02% (15,316.83) Aaa / AA+ NR 1.61 1.53 3130A1XJ2 FHLB Note 2.875% Due 06/14/2024 1,500,000.00 06/18/2019 1.96% 1,564,890.20 1,524,324.92 99.84 2.96% 1,497,604.51 5,630.21 1.00% (26,720.41) Aaa / AA+ NR 1.87 1.80 3135G0V75 FNMA Note 1.750% Due 07/02/2024 1,500,000.00 07/16/2019 1.96% 1,484,895.00 1,494,156.40 97.99 2.83% 1,469,907.00 2,114.58 0.98% (24,249.40) Aaa / AA+ AAA 1.92 1.87 3130A2UW4 FHLB Note 2.875% Due 09/13/2024 2,000,000.00 09/13/2019 1.79% 2,103,380.00 2,043,868.49 99.78 2.98% 1,995,550.00 22,041.67 1.35% (48,318.49) Aaa / AA+ AAA 2.12 2.02 3135G0W66 FNMA Note 1.625% Due 10/15/2024 1,975,000.00 Various 1.73% 1,965,802.75 1,970,825.68 97.11 2.99% 1,917,952.13 9,449.83 1.29% (52,873.55) Aaa / AA+ AAA 2.21 2.13 3135G0X24 FNMA Note 1.625% Due 01/07/2025 1,295,000.00 Various 1.38% 1,309,953.95 1,302,566.92 96.92 2.95% 1,255,111.41 1,402.92 0.84% (47,455.51) Aaa / AA+ AAA 2.44 2.36 3137EAEP0 FHLMC Note 1.500% Due 02/12/2025 2,365,000.00 02/13/2020 1.52% 2,363,178.95 2,364,076.00 96.64 2.89% 2,285,509.99 16,653.54 1.54% (78,566.01) Aaa / AA+ AAA 2.54 2.44 3135G03U5 FNMA Note 0.625% Due 04/22/2025 1,860,000.00 04/22/2020 0.67% 1,856,168.40 1,857,909.85 94.08 2.90% 1,749,806.16 3,196.88 1.17% (108,103.69) Aaa / AA+ AAA 2.73 2.66 3135G04Z3 FNMA Note 0.500% Due 06/17/2025 2,500,000.00 Various 0.50% 2,499,227.30 2,499,676.42 93.49 2.87% 2,337,135.00 1,527.78 1.56% (162,541.42) Aaa / AA+ AAA 2.88 2.82 3137EAEU9 FHLMC Note 0.375% Due 07/21/2025 1,250,000.00 07/21/2020 0.48% 1,243,775.00 1,246,297.08 92.92 2.88% 1,161,487.50 130.21 0.78% (84,809.58) Aaa / AA+ AAA 2.98 2.92 3135G05X7 FNMA Note 0.375% Due 08/25/2025 2,500,000.00 Various 0.48% 2,487,983.75 2,492,408.95 92.67 2.89% 2,316,745.00 4,062.51 1.55% (175,663.95) Aaa / AA+ AAA 3.07 3.00 As of July 31, 2022 24 51 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 3137EAEX3 FHLMC Note 0.375% Due 09/23/2025 2,500,000.00 Various 0.46% 2,489,362.80 2,493,159.06 92.57 2.86% 2,314,225.00 3,333.33 1.55% (178,934.06) Aaa / AA+ AAA 3.15 3.08 3135G06G3 FNMA Note 0.500% Due 11/07/2025 2,500,000.00 Various 0.56% 2,492,700.00 2,495,212.12 92.65 2.87% 2,316,212.50 2,916.67 1.55% (178,999.62) Aaa / AA+ AAA 3.27 3.19 TOTAL Agency 32,450,000.00 1.12% 32,820,866.65 32,573,466.23 2.93% 31,236,668.81 123,031.22 20.93% (1,336,797.42) Aaa / AA+ Aaa 2.26 2.20 CMO 3137B4WB8 FHLMC K033 A2 3.060% Due 07/25/2023 1,000,000.00 08/13/2019 2.02% 1,037,656.25 1,009,368.27 99.58 3.35% 995,774.00 510.00 0.66% (13,594.27) Aaa / NR NR 0.98 0.82 3137B5JM6 FHLMC K034 A2 3.531% Due 07/25/2023 1,000,000.00 09/26/2019 2.00% 1,053,867.19 1,013,843.83 99.97 3.32% 999,656.00 2,942.50 0.67% (14,187.83) NR / NR AAA 0.98 0.86 3137B7MZ9 FHLMC K036 A2 3.527% Due 10/25/2023 1,000,000.00 08/19/2019 1.92% 1,061,914.06 1,018,269.72 100.01 3.32% 1,000,075.00 587.83 0.67% (18,194.72) Aaa / NR AAA 1.24 1.06 3137BFE98 FHLMC K041 A2 3.171% Due 10/25/2024 1,300,000.00 07/01/2021 0.72% 1,398,414.06 1,365,942.42 99.77 3.20% 1,296,974.90 3,435.25 0.87% (68,967.52) Aaa / AAA AAA 2.24 2.04 3137BLMZ8 FHLMC K049 A2 3.010% Due 07/25/2025 1,000,000.00 07/01/2021 0.87% 1,079,687.50 1,058,327.96 99.19 3.26% 991,880.00 2,508.33 0.66% (66,447.96) NR / NR AAA 2.99 2.70 3137BLW95 FHLMC K050 A2 3.334% Due 08/25/2025 950,000.00 11/16/2021 1.17% 1,018,132.81 1,005,272.81 100.24 3.19% 952,265.82 2,639.42 0.64% (53,006.99) NR / NR AAA 3.07 2.75 3137BM7C4 FHLMC K051 A2 3.308% Due 09/25/2025 440,000.00 03/15/2022 2.21% 453,079.69 451,671.27 100.03 3.24% 440,125.40 1,212.93 0.29% (11,545.87) NR / NR AAA 3.16 2.83 3137BN6G4 FHLMC KO53 2.995% Due 12/25/2025 570,000.00 03/15/2022 2.29% 582,001.17 580,816.73 99.12 3.24% 564,964.05 1,422.63 0.38% (15,852.68) NR / NR AAA 3.41 3.04 3137BSP72 FHLMC K058 A2 2.653% Due 08/25/2026 650,000.00 11/12/2021 1.35% 687,451.17 681,848.75 97.99 3.16% 636,950.60 1,437.04 0.43% (44,898.15) NR / NR AAA 4.07 3.76 TOTAL CMO 7,910,000.00 1.51% 8,372,203.90 8,185,361.76 3.26% 7,878,665.77 16,695.93 5.27% (306,695.99) Aaa / AAA Aaa 2.27 2.04 Corporate 24422EVN6 John Deere Capital Corp Note 0.450% Due 01/17/2024 1,030,000.00 03/01/2021 0.47% 1,029,268.70 1,029,627.73 96.40 2.98% 992,939.57 180.25 0.66% (36,688.16) A2 / A A 1.47 1.44 06051GHF9 Bank of America Corp Callable Note 1X 3/5/2023 3.550% Due 03/05/2024 1,200,000.00 Various 2.72% 1,226,303.25 1,205,734.97 99.82 3.47% 1,197,884.41 17,276.68 0.81% (7,850.56) A2 / A- AA- 1.60 1.52 As of July 31, 2022 25 52 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 89114QCA4 Toronto Dominion Bank Note 2.650% Due 06/12/2024 1,500,000.00 09/11/2019 2.24% 1,527,255.00 1,510,703.95 98.43 3.52% 1,476,501.00 5,410.42 0.99% (34,202.95) A1 / A AA- 1.87 1.79 06367TQW3 Bank of Montreal Note 0.625% Due 07/09/2024 600,000.00 02/09/2022 1.89% 582,216.00 585,675.69 94.69 3.48% 568,119.60 229.17 0.38% (17,556.09) A2 / A- AA- 1.94 1.90 79466LAG9 Salesforce.com Inc Callable Note Cont 7/15/2022 0.625% Due 07/15/2024 1,760,000.00 Various 0.87% 1,748,937.40 1,751,750.64 95.58 2.97% 1,682,232.64 488.88 1.12% (69,518.00) A2 / A+ NR 1.96 1.92 78013XZU5 Royal Bank of Canada Note 2.550% Due 07/16/2024 1,500,000.00 Various 1.98% 1,533,359.18 1,515,873.00 98.02 3.61% 1,470,318.00 1,593.76 0.98% (45,555.00) A1 / A AA- 1.96 1.89 91159HHX1 US Bancorp Callable Note Cont 6/28/2024 2.400% Due 07/30/2024 1,250,000.00 10/10/2019 2.07% 1,268,262.50 1,257,409.17 98.41 3.23% 1,230,108.75 83.33 0.82% (27,300.42) A2 / A+ A+ 2.00 1.93 009158AV8 Air Products & Chemicals Callable Note Cont 4/30/2024 3.350% Due 07/31/2024 1,675,000.00 08/07/2019 2.07% 1,771,212.00 1,710,563.88 100.32 3.16% 1,680,405.23 155.87 1.12% (30,158.65) A2 / A NR 2.00 1.69 69371RR40 Paccar Financial Corp Note 0.500% Due 08/09/2024 680,000.00 08/03/2021 0.52% 679,632.80 679,752.41 94.75 3.20% 644,280.28 1,624.44 0.43% (35,472.13) A1 / A+ NR 2.03 1.98 69371RQ25 Paccar Financial Corp Note 2.150% Due 08/15/2024 370,000.00 08/08/2019 2.20% 369,182.30 369,666.56 97.65 3.35% 361,315.73 3,668.14 0.24% (8,350.83) A1 / A+ NR 2.04 1.95 14913Q3B3 Caterpillar Finl Service Note 2.150% Due 11/08/2024 1,100,000.00 01/28/2020 1.92% 1,111,517.00 1,105,481.14 98.12 3.01% 1,079,336.50 5,452.64 0.72% (26,144.64) A2 / A A 2.28 2.18 74153WCQ0 Pricoa Global Funding Note 1.150% Due 12/06/2024 885,000.00 12/01/2021 1.19% 884,088.45 884,285.09 94.42 3.65% 835,620.54 1,554.90 0.56% (48,664.55) Aa3 / AA- AA- 2.35 2.28 89114TZL9 Toronto-Dominion Bank Note 1.450% Due 01/10/2025 700,000.00 03/15/2022 2.79% 674,737.00 678,097.22 95.43 3.42% 668,006.50 592.08 0.45% (10,090.72) A1 / A NR 2.45 2.36 89236TJT3 Toyota Motor Credit Corp Note 1.450% Due 01/13/2025 1,215,000.00 01/10/2022 1.50% 1,213,371.90 1,213,669.00 95.72 3.28% 1,163,041.74 880.88 0.78% (50,627.26) A1 / A+ A+ 2.46 2.37 64952WEK5 New York Life Global Note 1.450% Due 01/14/2025 1,680,000.00 01/11/2022 1.49% 1,678,185.60 1,678,515.04 95.07 3.57% 1,597,095.36 1,150.33 1.07% (81,419.68) Aaa / AA+ AAA 2.46 2.37 69371RR73 Paccar Financial Corp Note 2.850% Due 04/07/2025 885,000.00 03/31/2022 2.86% 884,769.90 884,794.25 98.86 3.30% 874,880.03 7,987.13 0.59% (9,914.22) A1 / A+ NR 2.69 2.54 78016EZ59 Royal Bank of Canada Note 3.375% Due 04/14/2025 1,050,000.00 04/07/2022 3.39% 1,049,611.50 1,049,650.14 99.28 3.65% 1,042,490.40 10,532.81 0.70% (7,159.74) A1 / A AA- 2.71 2.53 06406RBC0 Bank of NY Mellon Corp Callable Note Cont 3/25/2025 3.350% Due 04/25/2025 1,370,000.00 04/19/2022 3.35% 1,369,808.20 1,369,825.19 99.74 3.45% 1,366,435.26 12,111.18 0.92% (3,389.93) A1 / A AA- 2.74 2.50 06367WB85 Bank of Montreal Note 1.850% Due 05/01/2025 1,240,000.00 07/23/2021 0.85% 1,285,656.80 1,273,362.03 95.61 3.54% 1,185,550.36 5,735.00 0.79% (87,811.67) A2 / A- AA- 2.75 2.63 As of July 31, 2022 26 53 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 46647PCH7 JP Morgan Chase & Co Callable Note Cont 6/1/2024 0.824% Due 06/01/2025 1,370,000.00 05/24/2021 0.78% 1,371,773.90 1,371,084.41 94.03 3.48% 1,288,237.03 1,881.47 0.86% (82,847.38) A2 / A- AA- 2.84 2.75 46647PCK0 JP Morgan Chase & Co Callable Note Cont 6/23/2024 0.969% Due 06/23/2025 655,000.00 Various 0.95% 655,406.85 655,257.11 94.06 3.53% 616,081.87 669.96 0.41% (39,175.24) A2 / A- AA- 2.90 2.81 66815L2J7 Northwestern Mutual Glbl Note 4.000% Due 07/01/2025 1,170,000.00 06/27/2022 4.01% 1,169,602.20 1,169,613.45 101.15 3.58% 1,183,492.44 3,900.00 0.79% 13,878.99 Aaa / AA+ AAA 2.92 2.73 74153WCM9 Pricoa Global Funding Note 0.800% Due 09/01/2025 904,000.00 04/06/2022 3.26% 832,972.72 839,549.32 91.58 3.71% 827,919.36 3,013.33 0.55% (11,629.96) Aa3 / AA- AA- 3.09 2.98 06406HCQ0 Bank of New York Callable Note Cont 10/18/2025 3.950% Due 11/18/2025 1,000,000.00 04/05/2022 3.20% 1,024,910.00 1,022,670.03 101.24 3.54% 1,012,363.00 8,009.72 0.68% (10,307.03) A1 / A AA- 3.30 2.98 40139LBC6 Guardian Life Glob Fun Note 0.875% Due 12/10/2025 1,400,000.00 Various 1.12% 1,385,860.00 1,388,640.00 90.65 3.87% 1,269,055.20 1,735.42 0.85% (119,584.80) Aa2 / AA+ NR 3.36 3.25 66815L2A6 Northwestern Mutual Glbl Note 0.800% Due 01/14/2026 850,000.00 12/06/2021 1.47% 827,449.50 831,002.18 91.05 3.58% 773,904.60 321.11 0.52% (57,097.58) Aaa / AA+ AAA 3.46 3.35 06051GHY8 Bank of America Corp Callable Note Cont 2/13/2025 2.015% Due 02/13/2026 600,000.00 05/24/2021 1.05% 620,988.00 614,316.32 94.66 3.90% 567,971.40 5,642.00 0.38% (46,344.92) A2 / A- AA- 3.54 3.32 46647PBK1 JP Morgan Chase & Co Callable Note Cont 4/22/2025 2.083% Due 04/22/2026 401,000.00 05/20/2021 1.11% 415,969.33 411,423.01 94.66 3.98% 379,599.03 2,297.03 0.25% (31,823.98) A2 / A- AA- 3.73 3.51 6174468Q5 Morgan Stanley Callable Note Cont 4/28/2025 2.188% Due 04/28/2026 650,000.00 05/23/2022 4.18% 615,699.50 617,326.02 95.22 3.92% 618,911.80 3,674.02 0.42% 1,585.78 A1 / A- A 3.75 3.52 023135BX3 Amazon.com Inc Callable Note Cont 4/12/2026 1.000% Due 05/12/2026 1,875,000.00 05/10/2021 1.09% 1,866,900.00 1,868,878.42 92.71 3.06% 1,738,359.38 4,114.58 1.16% (130,519.04) A1 / AA AA- 3.78 3.65 91324PEC2 United Health Group Inc Callable Note Cont 4/15/2026 1.150% Due 05/15/2026 1,035,000.00 Various 1.37% 1,025,051.35 1,026,447.78 93.00 3.12% 962,534.48 2,512.74 0.64% (63,913.30) A3 / A+ A 3.79 3.65 89236TJK2 Toyota Motor Credit Corp Note 1.125% Due 06/18/2026 1,385,000.00 06/15/2021 1.13% 1,384,390.60 1,384,527.10 92.58 3.17% 1,282,166.52 1,861.09 0.86% (102,360.58) A1 / A+ A+ 3.88 3.74 06051GJD2 Bank of America Corp Callable Note Cont 6/19/2025 1.319% Due 06/19/2026 700,000.00 07/16/2021 1.27% 701,274.00 700,938.13 92.24 3.82% 645,680.00 1,077.18 0.43% (55,258.13) A2 / A- AA- 3.89 3.71 57629WDE7 Mass Mutual Global funding Note 1.200% Due 07/16/2026 1,000,000.00 08/19/2021 1.15% 1,002,230.00 1,001,802.21 91.17 3.61% 911,731.00 500.00 0.61% (90,071.21) Aa3 / AA+ AA+ 3.96 3.80 As of July 31, 2022 27 54 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 58989V2D5 Met Tower Global Funding Note 1.250% Due 09/14/2026 770,000.00 09/07/2021 1.27% 769,291.60 769,416.13 90.08 3.88% 693,596.75 3,662.85 0.47% (75,819.38) Aa3 / AA- AA- 4.13 3.93 931142ER0 Wal-Mart Stores Callable Note Cont 08/17/2026 1.050% Due 09/17/2026 350,000.00 09/08/2021 1.09% 349,338.50 349,453.70 93.15 2.82% 326,011.70 1,367.92 0.22% (23,442.00) Aa2 / AA AA 4.13 3.97 59217GER6 Metlife Note 1.875% Due 01/11/2027 1,115,000.00 01/03/2022 1.90% 1,113,728.90 1,113,869.51 92.24 3.79% 1,028,477.12 1,161.46 0.69% (85,392.39) Aa3 / AA- AA- 4.45 4.19 808513BY0 Charles Schwab Corp Callable Note Cont 2/3/2027 2.450% Due 03/03/2027 960,000.00 03/01/2022 2.46% 959,729.90 959,751.82 95.78 3.45% 919,487.04 9,669.33 0.62% (40,264.78) A2 / A A 4.59 4.24 084664CZ2 Berkshire Hathaway Callable Note Cont 2/15/2027 2.300% Due 03/15/2027 1,615,000.00 03/07/2022 2.30% 1,614,693.15 1,614,716.51 97.06 2.98% 1,567,552.92 14,032.56 1.06% (47,163.59) Aa2 / AA A+ 4.62 4.30 665859AW4 Northern Trust Company Callable Note Cont 4/10/2027 4.000% Due 05/10/2027 670,000.00 05/05/2022 4.04% 668,914.60 668,963.94 102.87 3.33% 689,211.58 6,030.00 0.46% 20,247.64 A2 / A+ A+ 4.78 4.23 91324PEG3 United Health Group Inc Callable Note Cont 4/15/2027 3.700% Due 05/15/2027 675,000.00 05/17/2022 3.69% 675,316.70 675,304.00 102.12 3.21% 689,335.65 4,925.63 0.46% 14,031.65 A3 / A+ A 4.79 4.27 TOTAL Corporate 42,840,000.00 1.91% 42,938,866.78 42,809,388.20 3.41% 41,108,241.77 158,767.29 27.54% (1,701,146.43) A1 / A+ AA- 2.97 2.81 Money Market Fund 94975H270 Wells Fargo 100% Treasury Money Mkt Fund 505,105.42 Various 1.19% 505,105.42 505,105.42 1.00 1.19% 505,105.42 0.00 0.34% 0.00 Aaa / AAA NR 0.00 0.00 TOTAL Money Market Fund 505,105.42 1.19% 505,105.42 505,105.42 1.19% 505,105.42 0.00 0.34% 0.00 Aaa / AAA NR 0.00 0.00 Municipal Bonds 13063DRK6 California State Taxable GO 2.400% Due 10/01/2024 755,000.00 10/16/2019 1.91% 772,342.35 762,613.71 98.13 3.30% 740,904.15 6,040.00 0.50% (21,709.56) Aa2 / AA- AA 2.17 2.07 TOTAL Municipal Bonds 755,000.00 1.91% 772,342.35 762,613.71 3.30% 740,904.15 6,040.00 0.50% (21,709.56) Aa2 / AA- AA 2.17 2.07 Supranational 4581X0DP0 Inter-American Dev Bank Note 0.250% Due 11/15/2023 2,800,000.00 07/01/2021 0.37% 2,792,300.00 2,795,792.69 96.80 2.80% 2,710,288.00 1,477.78 1.81% (85,504.69) Aaa / AAA NR 1.29 1.27 As of July 31, 2022 28 55 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 45950KCT5 International Finance Corp Note 0.375% Due 07/16/2025 2,500,000.00 05/27/2021 0.66% 2,471,150.00 2,479,310.76 92.89 2.90% 2,322,225.00 390.63 1.55% (157,085.76) Aaa / AAA NR 2.96 2.90 459058JL8 Intl. Bank Recon & Development Note 0.500% Due 10/28/2025 2,400,000.00 Various 0.60% 2,388,859.25 2,392,316.85 92.42 2.97% 2,218,012.80 3,100.00 1.48% (174,304.05) Aaa / AAA AAA 3.25 3.17 4581X0DV7 Inter-American Dev Bank Note 0.875% Due 04/20/2026 2,460,000.00 04/13/2021 0.97% 2,448,733.20 2,451,620.86 92.80 2.93% 2,282,852.94 6,038.96 1.53% (168,767.92) Aaa / AAA AAA 3.72 3.60 TOTAL Supranational 10,160,000.00 0.64% 10,101,042.45 10,119,041.16 2.90% 9,533,378.74 11,007.37 6.37% (585,662.42) Aaa / AAA Aaa 2.74 2.67 US Treasury 912828T91 US Treasury Note 1.625% Due 10/31/2023 650,000.00 Various 1.94% 641,405.27 647,577.54 98.39 2.94% 639,564.25 2,669.33 0.43% (8,013.29) Aaa / AA+ AAA 1.25 1.22 912828V23 US Treasury Note 2.250% Due 12/31/2023 1,500,000.00 06/21/2019 1.80% 1,529,472.66 1,509,229.17 99.00 2.97% 1,485,058.50 2,934.78 0.99% (24,170.67) Aaa / AA+ AAA 1.42 1.38 912828B66 US Treasury Note 2.750% Due 02/15/2024 2,000,000.00 Various 2.14% 2,053,613.28 2,017,944.29 99.69 2.96% 1,993,750.00 25,372.93 1.35% (24,194.29) Aaa / AA+ AAA 1.55 1.48 91282CBR1 US Treasury Note 0.250% Due 03/15/2024 1,450,000.00 03/30/2021 0.33% 1,446,488.28 1,448,075.06 95.74 2.96% 1,388,205.35 1,369.23 0.93% (59,869.71) Aaa / AA+ AAA 1.62 1.60 912828X70 US Treasury Note 2.000% Due 04/30/2024 1,700,000.00 06/10/2019 1.92% 1,705,976.56 1,702,136.16 98.40 2.94% 1,672,839.10 8,592.39 1.12% (29,297.06) Aaa / AA+ AAA 1.75 1.70 912828XX3 US Treasury Note 2.000% Due 06/30/2024 2,000,000.00 Various 1.80% 2,018,574.22 2,007,354.13 98.34 2.90% 1,966,718.00 3,478.27 1.31% (40,636.13) Aaa / AA+ AAA 1.92 1.86 912828D56 US Treasury Note 2.375% Due 08/15/2024 1,700,000.00 09/18/2019 1.71% 1,753,191.41 1,722,113.62 98.94 2.91% 1,682,003.80 18,626.04 1.13% (40,109.82) Aaa / AA+ AAA 2.04 1.95 912828YY0 US Treasury Note 1.750% Due 12/31/2024 2,100,000.00 03/15/2022 1.97% 2,087,203.13 2,088,932.78 97.40 2.87% 2,045,366.40 3,195.65 1.37% (43,566.38) Aaa / AA+ AAA 2.42 2.34 912828ZC7 US Treasury Note 1.125% Due 02/28/2025 1,500,000.00 03/18/2020 0.81% 1,523,144.53 1,512,065.38 95.71 2.86% 1,435,722.00 7,061.82 0.96% (76,343.38) Aaa / AA+ AAA 2.58 2.51 91282CED9 US Treasury Note 1.750% Due 03/15/2025 3,100,000.00 Various 2.23% 3,057,617.20 3,062,378.95 97.21 2.86% 3,013,417.00 20,491.16 2.02% (48,961.95) Aaa / AA+ AAA 2.62 2.52 912828ZL7 US Treasury Note 0.375% Due 04/30/2025 2,500,000.00 03/21/2022 2.24% 2,360,839.85 2,377,024.11 93.46 2.86% 2,336,620.00 2,369.23 1.56% (40,404.11) Aaa / AA+ AAA 2.75 2.70 91282CAB7 US Treasury Note 0.250% Due 07/31/2025 1,500,000.00 03/12/2021 0.72% 1,469,765.63 1,479,295.41 92.59 2.84% 1,388,907.00 10.19 0.93% (90,388.41) Aaa / AA+ AAA 3.00 2.95 91282CAM3 US Treasury Note 0.250% Due 09/30/2025 2,400,000.00 Various 0.56% 2,366,140.63 2,376,574.11 92.23 2.83% 2,213,532.00 2,016.40 1.48% (163,042.11) Aaa / AA+ AAA 3.17 3.11 As of July 31, 2022 29 56 Holdings Report City of Cupertino -Account #10659 CUSIP Security Description Par Value/Units Purchase Date Book Yield Cost Value Book Value Mkt Price Mkt YTM Market Value Accrued Int. % of Port. Gain/Loss Moody/S&P Fitch Maturity Duration 91282CAT8 US Treasury Note 0.250% Due 10/31/2025 2,450,000.00 Various 0.49% 2,422,492.19 2,431,283.91 92.07 2.82% 2,255,722.35 1,547.90 1.51% (175,561.56) Aaa / AA+ AAA 3.25 3.19 91282CAZ4 US Treasury Note 0.375% Due 11/30/2025 2,250,000.00 03/26/2021 0.77% 2,209,658.20 2,221,238.45 92.29 2.81% 2,076,592.50 1,429.30 1.39% (144,645.95) Aaa / AA+ AAA 3.34 3.27 91282CBH3 US Treasury Note 0.375% Due 01/31/2026 2,500,000.00 05/27/2021 0.75% 2,456,445.31 2,467,404.07 91.95 2.80% 2,298,827.50 25.48 1.53% (168,576.57) Aaa / AA+ AAA 3.51 3.43 91282CBW0 US Treasury Note 0.750% Due 04/30/2026 2,500,000.00 05/27/2021 0.80% 2,493,652.34 2,495,170.41 92.81 2.78% 2,320,215.00 4,738.45 1.55% (174,955.41) Aaa / AA+ AAA 3.75 3.64 91282CCZ2 US Treasury Note 0.875% Due 09/30/2026 1,400,000.00 10/18/2021 1.19% 1,379,054.68 1,382,369.77 92.66 2.75% 1,297,242.80 4,116.80 0.87% (85,126.97) Aaa / AA+ AAA 4.17 4.03 91282CDG3 US Treasury Note 1.125% Due 10/31/2026 1,400,000.00 11/15/2021 1.25% 1,391,468.75 1,392,680.76 93.52 2.75% 1,309,327.60 3,980.30 0.88% (83,353.16) Aaa / AA+ AAA 4.25 4.09 91282CEW7 US Treasury Note 3.250% Due 06/30/2027 3,000,000.00 Various 3.12% 3,018,222.66 3,018,071.52 102.50 2.70% 3,075,000.00 8,478.26 2.06% 56,928.48 Aaa / AA+ AAA 4.92 4.52 TOTAL US Treasury 39,600,000.00 1.47% 39,384,426.78 39,358,919.60 2.85% 37,894,631.15 122,503.91 25.37% (1,464,288.45) Aaa / AA+ Aaa 2.89 2.79 TOTAL PORTFOLIO 155,207,328.61 1.49% 155,814,611.94 155,242,780.83 3.14% 149,400,308.59 449,558.48 100.00% (5,842,472.24) Aa1 / AA Aaa 2.77 2.42 TOTAL MARKET VALUE PLUS ACCRUALS 149,849,867.07 As of July 31, 2022 30 57 SECTION |Section 4 |Transactions 31 58 Transaction Ledger City of Cupertino -Account #10659 Transaction Type Settlement Date CUSIP Quantity Security Description Price Acq/Disp Yield Amount Interest Pur/Sold Total Amount Gain/Loss ACQUISITIONS Purchase 05/10/2022 665859AW4 670,000.00 Northern Trust Company Callable Note Cont 4/10/2027 4% Due: 05/10/2027 99.838 4.04%668,914.60 0.00 668,914.60 0.00 Purchase 05/18/2022 05602RAD3 530,000.00 BMW Vehicle Owner Trust 2022-A A3 3.21% Due: 08/25/2026 99.995 3.23%529,972.44 0.00 529,972.44 0.00 Purchase 05/20/2022 91324PEG3 260,000.00 United Health Group Inc Callable Note Cont 4/15/2027 3.7% Due: 05/15/2027 100.077 3.68%260,200.20 0.00 260,200.20 0.00 Purchase 05/20/2022 91324PEG3 260,000.00 United Health Group Inc Callable Note Cont 4/15/2027 3.7% Due: 05/15/2027 100.077 3.68%260,200.20 0.00 260,200.20 0.00 Purchase 05/20/2022 91324PEG3 155,000.00 United Health Group Inc Callable Note Cont 4/15/2027 3.7% Due: 05/15/2027 99.946 3.71%154,916.30 0.00 154,916.30 0.00 Purchase 05/24/2022 02582JJT8 1,375,000.00 American Express Credit Trust 2022-2 A 3.39% Due: 05/17/2027 99.978 3.42%1,374,695.85 0.00 1,374,695.85 0.00 Purchase 05/25/2022 6174468Q5 650,000.00 Morgan Stanley Callable Note Cont 4/28/2025 2.188% Due: 04/28/2026 94.723 4.18%615,699.50 1,066.65 616,766.15 0.00 Purchase 07/01/2022 66815L2J7 1,170,000.00 Northwestern Mutual Glbl Note 4% Due: 07/01/2025 99.966 4.01%1,169,602.20 0.00 1,169,602.20 0.00 Purchase 07/15/2022 91282CEW7 1,500,000.00 US Treasury Note 3.25% Due: 06/30/2027 100.609 3.12%1,509,140.63 1,987.09 1,511,127.72 0.00 Purchase 07/19/2022 91282CEW7 1,500,000.00 US Treasury Note 3.25% Due: 06/30/2027 100.605 3.12%1,509,082.03 2,516.98 1,511,599.01 0.00 Purchase 07/20/2022 47800AAC4 655,000.00 John Deere Owner Trust 2022-B A3 3.74% Due: 02/16/2027 99.990 3.77%654,937.45 0.00 654,937.45 0.00 Subtotal 8,725,000.00 8,707,361.40 5,570.72 8,712,932.12 0.00 TOTAL ACQUISITIONS 8,725,000.00 8,707,361.40 5,570.72 8,712,932.12 0.00 April 30, 2022 through July 31, 2022 As of July 31, 2022 32 59 Transaction Ledger City of Cupertino -Account #10659 Transaction Type Settlement Date CUSIP Quantity Security Description Price Acq/Disp Yield Amount Interest Pur/Sold Total Amount Gain/Loss DISPOSITIONS Sale 05/09/2022 931142EK5 1,000,000.00 Wal-Mart Stores Callable Note Cont 5/26/2023 3.4% Due: 06/26/2023 100.893 2.80%1,008,930.00 12,561.11 1,021,491.11 3,041.77 Sale 05/19/2022 3137EAEN5 550,000.00 FHLMC Note 2.75% Due: 06/19/2023 100.505 1.83%552,777.50 6,302.08 559,079.58 -2,517.91 Sale 05/23/2022 02665WCQ2 700,000.00 American Honda Finance Note 3.625% Due: 10/10/2023 100.908 2.52%706,356.00 3,030.90 709,386.90 -1,428.72 Sale 05/25/2022 02665WCQ2 600,000.00 American Honda Finance Note 3.625% Due: 10/10/2023 100.903 2.52%605,418.00 2,718.75 608,136.75 -1,228.19 Sale 06/30/2022 45950KCP3 650,000.00 International Finance Corp Note 2.875% Due: 07/31/2023 99.751 0.31%648,378.25 7,786.46 656,164.71 -19,605.66 Sale 07/15/2022 45950KCP3 2,050,000.00 International Finance Corp Note 2.875% Due: 07/31/2023 99.565 0.31%2,041,074.30 27,013.02 2,068,087.32 -63,495.75 Sale 07/19/2022 3135G0U43 1,500,000.00 FNMA Note 2.875% Due: 09/12/2023 99.631 1.89%1,494,465.00 15,213.54 1,509,678.54 -21,834.87 Subtotal 7,050,000.00 7,057,399.05 74,625.86 7,132,024.91 -107,069.33 TOTAL DISPOSITIONS 7,050,000.00 7,057,399.05 74,625.86 7,132,024.91 -107,069.33 April 30, 2022 through July 31, 2022 As of July 31, 2022 33 60 Important Disclosures 2022 Chandler Asset Management,Inc, An Independent Registered Investment Adviser. Information contained herein is confidential.Prices are provided by ICE Data Services Inc (“IDS”),an independent pricing source.In the event IDS does not provide a price or if the price provided is not reflective of fair market value, Chandler will obtain pricing from an alternative approved third party pricing source in accordance with our written valuation policy and procedures.Our valuation procedures are also disclosed in Item 5 of our Form ADV Part 2A. Performance results are presented gross-of-advisory fees and represent the client’s Total Return.The deduction of advisory fees lowers performance results.These results include the reinvestment of dividends and other earnings.Past performance may not be indicative of future results.Therefore,clients should not assume that future performance of any specific investment or investment strategy will be profitable or equal to past performance levels.All investment strategies have the potential for profit or loss.Economic factors,market conditions or changes in investment strategies, contributions or withdrawals may materially alter the performance and results of your portfolio. Index returns assume reinvestment of all distributions.Historical performance results for investment indexes generally do not reflect the deduction of transaction and/or custodial charges or the deduction of an investment management fee,the incurrence of which would have the effect of decreasing historical performance results.It is not possible to invest directly in an index. Source ICE Data Indices,LLC ("ICE"),used with permission. ICE permits use of the ICE indices and related data on an "as is"basis; ICE,its affiliates and their respective third party suppliers disclaim any and all warranties and representations, express and/or implied,including any warranties of merchantability or fitness for a particular purpose or use,including the indices,index data and any data included in,related to,or derived therefrom.Neither ICE data,its affiliates or their respective third party providers guarantee the quality,adequacy,accuracy,timeliness or completeness of the indices or the index data or any component thereof,and the indices and index data and all components thereof are provided on an "as is"basis and licensee's use it at licensee's own risk. ICE data,its affiliates and their respective third party do not sponsor,endorse,or recommend chandler asset management,or any of its products or services. This report is provided for informational purposes only and should not be construed as a specific investment or legal advice.The information contained herein was obtained from sources believed to be reliable as of the date of publication,but may become outdated or superseded at any time without notice.Any opinions or views expressed are based on current market conditions and are subject to change.This report may contain forecasts and forward-looking statements which are inherently limited and should not be relied upon as indicator of future results.Past performance is not indicative of future results.This report is not intended to constitute an offer,solicitation,recommendation or advice regarding any securities or investment strategy and should not be regarded by recipients as a substitute for the exercise of their own judgment. Fixed income investments are subject to interest, credit and market risk.Interest rate risk:the value of fixed income investments will decline as interest rates rise.Credit risk:the possibility that the borrower may not be able to repay interest and principal.Low rated bonds generally have to pay higher interest rates to attract investors willing to take on greater risk.Market risk:the bond market in general could decline due to economic conditions,especially during periods of rising interest rates. Ratings information have been provided by Moody’s,S&P and Fitch through data feeds we believe to be reliable as of the date of this statement, however we cannot guarantee its accuracy. Security level ratings for U.S.Agency issued mortgage-backed securities (“MBS”)reflect the issuer rating because the securities themselves are not rated.The issuing U.S.Agency guarantees the full and timely payment of both principal and interest and carries a AA+/Aaa/AAA by S&P,Moody’s and Fitch respectively. As of July 31, 2022 34 61 Benchmark Disclosures ICE BofA 1-5 Yr US Treasury & Agency Index The ICE BofA 1-5 Year US Treasury &Agency Index tracks the performance of US dollar denominated US Treasury and nonsubordinated US agency debt issued in the US domestic market.Qualifying securities must have an investment grade rating (based on an average of Moody’s,S&P and Fitch).Qualifying securities must have at least one year remaining term to final maturity and less than five years remaining term to final maturity,at least 18 months to maturity at time of issuance,a fixed coupon schedule,and a minimum amount outstanding of $1 billion for sovereigns and $250 million for agencies. As of July 31, 2022 35 62 INVESTMENT AND INSURANCE PRODUCTS ARE: ·NOT INSURED BY THE FEDERAL DEPOSIT INSURANCE CORPORATION (FDIC) OR ANY FEDERAL GOVERNMENT AGENCY ·NOT A DEPOSIT, OBLIGATION OF, OR GUARANTEED BY ANY BANK OR BANKING AFFILIATE ·SUBJECT TO INVESTMENT RISKS AND MAY LOSE VALUE, INCLUDING POSSIBLE LOSS OF PRINCIPAL AMOUNT INVESTED IRT - SAN FRANCISCO CA 510 N VALLEY MILLS DRIVE, SUITE 400 WACO, TX 76710-6075 CITY OF CUPERTINO -CHANDLER ASSET MANAGEMENT ACCOUNT NUMBER MONTHLY STATEMENT JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT MANAGER: MICHAEL J WADE TELEPHONE NUMBER: 515-878-6110 PFGEDD INVESTMENT CONTACT: IMR/CONNOR GAFKJEN TELEPHONE NUMBER: ADMINISTRATOR: LEEANN MICHAEL TELEPHONE NUMBER: 254-262-3243 21122 SE 63 Custody and trust services are provided by Principal Bank ®, Member FDIC, and/or Principal Trust Company ®. These services are provided under the name Principal®Custody Solutions, a division of Principal Bank. Principal Trust Company is a trade name of Delaware Guarantee & Trust Company. Principal Bank and Principal Trust Company are members of the Principal Financial Group ®, Des Moines, IA 50392. ASSET VALUATION PRACTICES VALUES REFLECTED FOR PUBLICLY-TRADED ASSETS ARE FROM UNAFFILIATED FINANCIAL INDUSTRY SOURCES BELIEVED TO BE RELIABLE VALUES FOR NON-PUBLICLY TRADED ASSETS MAY BE DETERMINED FROM OTHER UNAFFILIATED SOURCES. ASSETS FOR WHICH A CURRENT VALUE IS UNAVAILABLE MAY BE REFLECTED AT THE LAST REPORTED PRICE, AT PAR, OR MAY BE SHOWN AS HAVING NOMINAL OR NO VALUE. REPORTED VALUES MAY NOT BE THE PRICE AT WHICH AN ASSET MAY BE SOLD. ASSET VALUES ARE UPDATED AS PRICING BECOMES AVAILABLE FROM EXTERNAL SOURCES, AND MAY BE UPDATED LESS FREQUENTLY THAN STATEMENTS ARE GENERATED. IN SITUATIONS WHERE AN ASSET VALUE CANNOT BE PROVIDED BY UNAFFILIATED FINANCIAL INDUSTRY SOURCES, WE WILL RELY ON THE CUSTOMER OR THEIR DESIGNATED REPRESENTATIVE TO PROVIDE US WITH THE UPDATED VALUE. IF PRINCIPAL CUSTODY SOLUTIONS DOES NOT RECEIVE AN UPDATED VALUE, OR IS UNABLE TO USE THE VALUE PROVIDED, THE LAST REPORTED VALUE WILL CONTINUE TO BE REPORTED AND SHOULD NOT BE CONSIDERED TO BE CERTIFIED BY PRINCIPAL CUSTODY SOLUTIONS. SPECIAL INVESTMENTS "SPECIAL INVESTMENTS" ARE ASSETS NOT HELD IN CUSTODY BY PRINCIPAL BANK/PRINCIPAL TRUST COMPANY BUT WHOSE VALUE MAY BE SHOWN ON ACCOUNT STATEMENTS. EXAMPLES OF SPECIAL INVESTMENTS INCLUDE, BUT ARE NOT LIMITED TO, COMMON OR COLLECTIVE FUNDS NOT ADMINISTERED BY PRINCIPAL BANK/PRINCIPAL TRUST COMPANY (OR THEIR AFFILIATES), HEDGE FUNDS, LIMITED PARTNERSHIPS, AND OTHER UNREGISTERED SECURITIES. AT THE DIRECTION OF AND AS A MATTER OF CONVENIENCE TO ITS CLIENTS, PRINCIPAL BANK/PRINCIPAL TRUST COMPANY MAY BE REPORT SPECIAL INVESTMENTS AS A RECORDKEEPING ITEM ON ACCOUNT STATEMENTS, AT NOMINAL VALUE OR SUCH OTHER VALUE PROVIDED BY CLIENTS/EXTERNAL SOURCES. NEITHER PRINCIPAL BANK NOR PRINCIPAL TRUST COMPANY IS RESPONSIBLE FOR THE ACCURACY OF INFORMATION PROVIDED BY EXTERNAL SOURCES, AND DOES NOT CERTIFY THAT INFORMATION PROVIDED BY THESE EXTERNAL SOURCES IS TRUE OR CORRECT FOR THE SPECIAL INVESTMENTS REFLECTED IN YOUR ACCOUNT. TRADE CONFIRMS PURSUANT TO FEDERAL REGULATION, MONTHLY OR QUARTERLY ACCOUNT STATEMENTS THAT INCLUDE INVESTMENT TRANSACTION DETAILS MAY BE PROVIDED IN LIEU OF SEPARATE TRADE CONFIRMATIONS. SEPARATE TRADE CONFIRMS MAY BE OBTAINED AT NO ADDITIONAL COST UPON WRITTEN REQUEST TO THE ACCOUNT MANAGER. UNCLAIMED PROPERTY DESIGNATED REPRESENTATIVE NOTIFICATION YOUR PROPERTY MAY BE TRANSFERRED TO THE APPROPRIATE STATE IF NO ACTIVITY OCCURS IN THE ACCOUNT WITHIN THE TIME PERIOD SPECIFIED BY STATE LAW. IF YOUR STATE OF RESIDENCE ALLOWS, YOU MAY DESIGNATE A REPRESENTATIVE FOR THE PURPOSE OF RECEIVING NOTICE OF ACCOUNT INACTIVITY BY PROVIDING THE NAME AND MAILING OR EMAIL ADDRESS OF A REPRESENTATIVE. THE DESIGNATED REPRESENTATIVE DOES NOT HAVE ANY RIGHTS TO YOUR ACCOUNT. PLEASE REFER TO YOUR STATE'S UNCLAIMED PROPERTY WEBSITE FOR MORE INFORMATION AND INSTRUCTIONS ON HOW TO DESIGNATE A REPRESENTATIVE FOR NOTICE. 64 TABLE OF CONTENTS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ PAGE REPORT NAME NUMBER ASSET SUMMARY .................................................................................. 1 STATEMENT OF ASSETS AND LIABILITIES ............................................................ 2 CASH SUMMARY ................................................................................... 20 STATEMENT OF TRANSACTIONS ...................................................................... 21 65 PAGE 1 ASSET SUMMARY CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ ASSET SUMMARY % TOTAL UNREALIZED ESTIMATED CURRENT ACCRUED INVESTMENT CATEGORY COST VALUE MARKET VALUE MARKET GAIN/LOSS ANNUAL INCOME YIELD INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ CASH 0.00 0.00 0.00 CASH EQUIVALENTS 455,486.67 455,486.67 0.30 0.00 5,278 1.16 309.57 BONDS AND NOTES 155,309,506.52 148,901,158.06 99.70 6,408,348.46- 2,418,402 1.62 503,501.70 TOTAL INVESTMENTS 155,764,993.19 149,356,644.73 100.00 6,408,348.46- 2,423,681 1.62 503,811.27 TOTAL ACCRUALS 503,811.27 503,811.27 ===================================================================================================================================== TOTAL ACCRUALS AND INVESTMENTS 156,268,804.46 149,860,456.00 6,408,348.46- 2,423,681 1.62 503,811.27 66 PAGE 2 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ CASH EQUIVALENTS 406,420.8 ALLSPRING 100% TREASURY 406,420.80 406,420.80 0.27 0.00 290.01 MONEY MARKET FUND - #008 1.0000 1.0000 49,065.87 PRINCIPAL PUBLIC DEPOSIT SWEEP 49,065.87 49,065.87 0.03 0.00 19.56 PROGRAM 1.0000 1.0000 TOTAL CASH EQUIVALENTS 455,486.67 455,486.67 0.30 0.00 309.57 BOND & NOTES 1,675,000 AIR PRODUCTS & CHEMICALS 1,771,212.00 1,680,410.25 1.13 90,801.75- 28,212.12 DTD 07/31/14 3.350 07/31/2024 105.7440 100.3230 MOODY'S RATING A2 CUSIP 009158AV8 1,875,000 AMAZON.COM INC 1,866,900.00 1,738,275.00 1.16 128,625.00- 4,114.58 DTD 05/12/21 1.000 05/12/2026 99.5680 92.7080 MOODY'S RATING A1 CUSIP 023135BX3 1,375,000 AMERICAN EXPRESS CREDIT ACCOUNT 1,374,695.85 1,381,806.25 0.93 7,110.40 2,071.67 ASSET BCKD SEC SER 2022-2 CL A 99.9779 100.4950 DTD 05/24/2022 3.390% 05/17/2027 NON CALLABLE CUSIP 02582JJT8 1,545,000 AMERICAN EXPRESS CREDIT ACCOUNT 1,524,359.77 1,502,821.50 1.01 21,538.27- 1,517.53 ASSET BCKD SEC SER 2022-1 CL A 98.6641 97.2700 DTD 03/18/2022 2.210% 03/15/2027 NON CALLABLE MOODY'S RATING AAA CUSIP 02589BAA8 1,200,000 BANK OF AMERICA CORP 1,226,303.25 1,197,888.00 0.80 28,415.25- 17,276.67 DTD 03/05/18 03/05/2024 102.1920 99.8240 MOODY'S RATING A2 CUSIP 06051GHF9 67 PAGE 3 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 600,000 BANK OF AMERICA CORP 620,988.00 568,008.00 0.38 52,980.00- 5,642.00 MED TERM NOTE 103.4980 94.6680 DTD 02/13/20 02/13/2026 MOODY'S RATING A2 CUSIP 06051GHY8 700,000 BANK OF AMERICA CORP 701,274.00 645,729.00 0.43 55,545.00- 1,077.18 MED TERM NOTE 100.1820 92.2470 DTD 06/19/20 06/19/2026 MOODY'S RATING A2 CUSIP 06051GJD2 600,000 BANK OF MONTREAL 582,216.00 568,122.00 0.38 14,094.00-229.17 MED TERM NOTE 97.0360 94.6870 DTD 07/09/21 0.625 07/09/2024 MOODY'S RATING A2 CUSIP 06367TQW3 1,240,000 BANK OF MONTREAL 1,285,656.80 1,185,638.40 0.79 100,018.40- 5,735.00 MED TERM NOTE 103.6820 95.6160 DTD 04/27/20 1.850 05/01/2025 MOODY'S RATING A2 CUSIP 06367WB85 1,000,000 BANK OF NEW YORK MELLON 1,024,910.00 1,012,320.00 0.68 12,590.00- 8,009.72 MED TERM NOTE 102.4910 101.2320 DTD 11/18/13 3.950 11/18/2025 MOODY'S RATING A1 CUSIP 06406HCQ0 1,370,000 BANK OF NY MELLON CORP 1,369,808.20 1,366,862.70 0.92 2,945.50- 12,111.18 DTD 04/26/2022 3.350% 04/25/2025 99.9860 99.7710 CALLABLE MOODY'S RATING A1 CUSIP 06406RBC0 1,615,000 BERKSHIRE HATHAWAY FIN 1,614,693.15 1,567,179.85 1.05 47,513.30- 14,032.56 DTD 03/15/2022 2.300% 03/15/2027 99.9810 97.0390 CALLABLE MOODY'S RATING AA2 CUSIP 084664CZ2 68 PAGE 4 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 450,000 BMW VEHICLE LEASE TRUST 449,932.73 436,842.00 0.29 13,090.73-82.50 SER 2022-1 CL A3 *0 DAY DELAY*99.9851 97.0760 DTD 01/19/22 1.100 03/25/2025 CUSIP 05601XAC3 425,000 BMW VEHICLE LEASE TRUST 424,956.14 413,287.00 0.28 11,669.14-19.48 SER 2021-2 CL A3 *0 DAY DELAY*99.9897 97.2440 DTD 09/15/21 0.330 12/26/2024 MOODY'S RATING AAA CUSIP 09690AAC7 530,000 BMW VEHICLE OWNER TRUST 529,972.44 528,584.90 0.35 1,387.54-283.55 ASSET BCKD SEC SER 2022-A CL A3 99.9948 99.7330 DTD 05/18/2022 3.210% 08/25/2026 CALLABLE MOODY'S RATING AAA CUSIP 05602RAD3 755,000 CALIFORNIA ST 772,342.35 740,904.15 0.50 31,438.20- 6,040.00 TXBL-REF 102.2970 98.1330 DTD 10/24/19 2.400 10/01/2024 MOODY'S RATING AA2 CUSIP 13063DRK6 1,100,000 CATERPILLAR FINL SERVICE 1,111,517.00 1,079,342.00 0.72 32,175.00- 5,452.64 MED TERM NOTE 101.0470 98.1220 DTD 11/08/19 2.150 11/08/2024 MOODY'S RATING A2 CUSIP 14913Q3B3 960,000 CHARLES SCHWAB CORP 959,729.90 919,488.00 0.62 40,241.90- 9,669.33 DTD 03/03/2022 2.450% 03/03/2027 99.9719 95.7800 CALLABLE MOODY'S RATING A2 CUSIP 808513BY0 2,100,000 FED HOME LN BK 2,222,418.00 2,110,059.00 1.41 112,359.00- 10,434.38 DTD 12/09/13 3.375 12/08/2023 105.8294 100.4790 MOODY'S RATING AAA CUSIP 3130A0F70 69 PAGE 5 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 1,500,000 FED HOME LN BK 1,568,115.00 1,506,840.00 1.01 61,275.00- 19,364.58 DTD 02/12/14 3.250 03/08/2024 104.5410 100.4560 MOODY'S RATING AAA CUSIP 3130A0XE5 1,500,000 FED HOME LN BK 1,564,890.20 1,497,630.00 1.00 67,260.20- 5,630.21 DTD 05/08/14 2.875 06/14/2024 104.3260 99.8420 MOODY'S RATING AAA CUSIP 3130A1XJ2 2,000,000 FED HOME LN BK 2,103,380.00 1,995,960.00 1.34 107,420.00- 22,041.67 DTD 08/15/14 2.875 09/13/2024 105.1690 99.7980 MOODY'S RATING AAA CUSIP 3130A2UW4 2,000,000 FED HOME LN BK 2,066,320.00 1,986,380.00 1.33 79,940.00- 18,868.06 DTD 10/17/14 2.375 09/08/2023 103.3160 99.3190 MOODY'S RATING AAA CUSIP 3130A3DL5 1,300,000 FED HOME LN MTG CORP 1,398,414.06 1,297,036.00 0.87 101,378.06- 3,435.25 SER KO41 CL A2 *24 DAY DELAY*107.5703 99.7720 DTD 12/01/14 3.171 10/25/2024 CUSIP 3137BFE98 1,000,000 FED HOME LN MTG CORP 1,037,656.25 995,600.00 0.67 42,056.25- 2,550.00 SER K033 CL A2 *24 DAY DELAY*103.7656 99.5600 DTD 10/01/13 07/25/2023 MOODY'S RATING AAA CUSIP 3137B4WB8 2,365,000 FED HOME LN MTG CORP 2,363,178.95 2,285,654.25 1.53 77,524.70- 16,653.54 DTD 02/14/20 1.500 02/12/2025 99.9230 96.6450 MOODY'S RATING AAA CUSIP 3137EAEP0 1,350,000 FED HOME LN MTG CORP 1,349,433.00 1,323,310.50 0.89 26,122.50- 1,209.38 DTD 05/07/20 0.375 05/05/2023 99.9580 98.0230 MOODY'S RATING AAA CUSIP 3137EAER6 70 PAGE 6 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 1,250,000 FED HOME LN MTG CORP 1,243,775.00 1,161,587.50 0.78 82,187.50-130.21 SER USD 99.5020 92.9270 DTD 07/23/20 0.375 07/21/2025 MOODY'S RATING AAA CUSIP 3137EAEU9 2,500,000 FED HOME LN MTG CORP 2,489,362.80 2,314,750.00 1.55 174,612.80- 3,333.33 DTD 09/25/20 0.375 09/23/2025 99.5745 92.5900 MOODY'S RATING AAA CUSIP 3137EAEX3 1,755,000 FED HOME LN MTG CORP 1,753,262.55 1,693,048.50 1.13 60,214.05-694.69 DTD 12/04/20 0.250 12/04/2023 99.9010 96.4700 MOODY'S RATING AAA CUSIP 3137EAFA2 1,500,000 FED NATL MTG ASSN 1,484,895.00 1,469,970.00 0.98 14,925.00- 2,114.58 DTD 07/08/19 1.750 07/02/2024 98.9930 97.9980 MOODY'S RATING AAA CUSIP 3135G0V75 1,975,000 FED NATL MTG ASSN 1,965,802.75 1,918,041.00 1.28 47,761.75- 9,449.83 DTD 10/18/19 1.625 10/15/2024 99.5343 97.1160 MOODY'S RATING AAA CUSIP 3135G0W66 1,295,000 FED NATL MTG ASSN 1,309,953.95 1,255,191.70 0.84 54,762.25- 1,402.92 DTD 01/10/20 1.625 01/07/2025 101.1548 96.9260 MOODY'S RATING AAA CUSIP 3135G0X24 1,860,000 FED NATL MTG ASSN 1,856,168.40 1,749,943.80 1.17 106,224.60- 3,196.88 DTD 04/24/20 0.625 04/22/2025 99.7940 94.0830 MOODY'S RATING AAA CUSIP 3135G03U5 2,500,000 FED NATL MTG ASSN 2,499,227.30 2,337,325.00 1.56 161,902.30- 1,527.78 DTD 06/19/20 0.500 06/17/2025 99.9691 93.4930 MOODY'S RATING AAA CUSIP 3135G04Z3 71 PAGE 7 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 2,500,000 FED NATL MTG ASSN 2,487,983.75 2,316,950.00 1.55 171,033.75- 4,062.50 DTD 08/27/20 0.375 08/25/2025 99.5194 92.6780 MOODY'S RATING AAA CUSIP 3135G05X7 2,500,000 FED NATL MTG ASSN 2,492,700.00 2,316,425.00 1.55 176,275.00- 2,916.67 DTD 11/12/20 0.500 11/07/2025 99.7080 92.6570 MOODY'S RATING AAA CUSIP 3135G06G3 1,000,000 FHLMC MULTIFAMILY STRUCTURED P 1,079,687.50 991,950.00 0.66 87,737.50- 2,508.33 SER K049 CL A2 *24 DAY DELAY*107.9688 99.1950 DTD 10/01/15 3.010 08/25/2025 CUSIP 3137BLMZ8 950,000 FHLMC MULTIFAMILY STRUCTURED P 1,018,132.81 952,337.00 0.64 65,795.81- 2,639.42 SER K050 CL A2 *24 DAY DELAY*107.1719 100.2460 DTD 11/01/15 08/25/2025 CUSIP 3137BLW95 440,000 FHLMC MULTIFAMILY STRUCTURED P 453,079.69 440,158.40 0.29 12,921.29- 1,212.93 SER K051 CL A2 *24 DAY DELAY*102.9727 100.0360 DTD 12/01/15 3.308 09/25/2025 CUSIP 3137BM7C4 570,000 FHLMC MULTIFAMILY STRUCTURED P 582,001.17 565,001.10 0.38 17,000.07- 1,422.63 SER K053 CL A2 *24 DAY DELAY*102.1055 99.1230 DTD 03/01/16 2.995 12/25/2025 CUSIP 3137BN6G4 650,000 FHLMC MULTIFAMILY STRUCTURED P 687,451.17 636,961.00 0.43 50,490.17- 1,437.04 SER K058 CL A2 *24 DAY DELAY*105.7617 97.9940 DTD 11/01/16 2.653 08/25/2026 CUSIP 3137BSP72 1,000,000 FHLMC MULTIFAMILY STRUCTURED P 1,053,867.19 999,450.00 0.67 54,417.19- 2,942.50 SER K034 CL A2 *24 DAY DELAY*105.3867 99.9450 DTD 11/01/13 07/25/2023 CUSIP 3137B5JM6 72 PAGE 8 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 1,000,000 FHLMC MULTIFAMILY STRUCTURED P 1,061,914.06 999,780.00 0.67 62,134.06- 2,939.17 SER K036 CL A2 *24 DAY DELAY*106.1914 99.9780 DTD 02/01/14 10/25/2023 MOODY'S RATING AAA CUSIP 3137B7MZ9 965,000 GM FINANCIAL AUTOMOBILE LEASIN 964,986.88 935,094.65 0.63 29,892.23-104.54 SER 2021-3 CL A3 *0 DAY DELAY*99.9987 96.9010 DTD 08/18/21 0.390 10/21/2024 CUSIP 36262XAC8 945,000 GM FINANCIAL AUTOMOBILE LEASIN 944,991.87 923,387.85 0.62 21,604.02-534.19 SER 2022-1 CL A3 *0 DAY DELAY*99.9992 97.7130 DTD 02/23/22 1.850 03/20/2025 MOODY'S RATING AAA CUSIP 36265MAC9 350,000 GM FINANCIAL SECURITIZED TERM 349,991.08 333,865.00 0.22 16,126.08-99.17 SER 2021-4 CL A3 *0 DAY DELAY*99.9975 95.3900 DTD 10/21/21 0.680 09/16/2026 MOODY'S RATING AAA CUSIP 362554AC1 390,000 GM FINANCIAL SECURITIZED TERM 389,918.49 387,172.50 0.26 2,745.99-503.75 ASSET BCKD SEC SER 2022-2 CL A3 99.9791 99.2750 DTD 04/13/2022 3.100% 02/16/2027 CALLABLE MOODY'S RATING AAA CUSIP 362585AC5 295,000 GM FINANCIAL SECURITIZED TERM 294,974.36 284,264.95 0.19 10,709.41-154.88 SER 2022-1 CL A3 *0 DAY DELAY*99.9913 96.3610 DTD 01/19/22 1.260 11/16/2026 CUSIP 380146AC4 1,400,000 GUARDIAN LIFE GLOB FUND 1,385,860.00 1,269,170.00 0.85 116,690.00- 1,735.42 144A PRIV PLCMT 0.875 12/10/2025 98.9900 90.6550 MOODY'S RATING AA2 CUSIP 40139LBC6 73 PAGE 9 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 94,588.2 HONDA AUTO RECEIVABLES OWNER T 94,580.76 93,452.20 0.06 1,128.56-34.47 SER 2020-2 CL A3 *0 DAY DELAY*99.9921 98.7990 DTD 05/27/20 0.820 07/15/2024 MOODY'S RATING AAA CUSIP 43813DAC2 295,000 HONDA AUTO RECEIVABLES OWNER T 294,994.60 288,094.05 0.19 6,900.55-22.13 SER 2021-1 CL A3 *0 DAY DELAY*99.9982 97.6590 DTD 02/24/21 0.270 04/21/2025 MOODY'S RATING AAA CUSIP 43813GAC5 445,900.47 HONDA AUTO RECEIVABLES OWNER T 445,834.97 437,370.39 0.29 8,464.58-59.58 SER 2020-3 CL A3 *0 DAY DELAY*99.9853 98.0870 DTD 09/29/20 0.370 10/18/2024 CUSIP 43813KAC6 740,000 HONDA AUTO RECEIVABLES OWNER T 739,888.70 717,585.40 0.48 22,303.30-618.31 SER 2022-1 CL A3 *0 DAY DELAY*99.9850 96.9710 DTD 02/23/22 1.000 05/15/2026 MOODY'S RATING AAA CUSIP 43815BAC4 460,000 HONDA AUTO RECEIVABLES OWNER T 459,903.03 440,505.20 0.29 19,397.83-112.44 SER 2021-4 CL A3 *0 DAY DELAY*99.9789 95.7620 DTD 11/24/21 0.880 01/21/2026 MOODY'S RATING AAA CUSIP 43815GAC3 153,661.98 HONDA AUTO RECEIVABLES OWNER T 153,403.67 153,357.73 0.10 45.94-121.56 SER 2019-3 CL A3 *0 DAY DELAY*99.8319 99.8020 DTD 08/27/19 1.780 08/15/2023 MOODY'S RATING AAA CUSIP 43815NAC8 790,000 HYUNDAI AUTO LEASE SECURITIZAT 789,881.50 771,237.50 0.52 18,644.00-101.38 SER 2021-B CL A3 *0 DAY DELAY*99.9850 97.6250 144A PRIV PLCMT 0.330 06/17/2024 MOODY'S RATING AAA CUSIP 44891VAC5 74 PAGE 10 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 540,000 HYUNDAI AUTO LEASE SECURITIZAT 539,988.07 523,481.40 0.35 16,506.67-278.40 SER 2022-A CL A3 *0 DAY DELAY*99.9978 96.9410 144A PRIV PLCMT 1.160 01/15/2025 MOODY'S RATING AAA CUSIP 44891WAC3 1,010,000 HYUNDAI AUTO RECEIVABLES TRUST 1,009,961.12 982,457.30 0.66 27,503.82-996.53 ASSET BCKD SEC SER 2022-A CL A3 99.9962 97.2730 DTD 03/16/2022 2.220% 10/15/2026 CALLABLE CUSIP 448977AD0 515,000 HYUNDAI AUTO RECEIVABLES TRUST 514,945.82 499,586.05 0.33 15,359.77-86.98 SER 2021-A CL A3 *0 DAY DELAY*99.9895 97.0070 DTD 04/28/21 0.380 09/15/2025 CUSIP 44933LAC7 1,330,000 HYUNDAI AUTO RECEIVABLES TRUST 1,296,371.65 1,272,943.00 0.85 23,428.65-437.42 SER 2021-C CL A3 *0 DAY DELAY*97.4716 95.7100 DTD 11/17/21 0.740 05/15/2026 CUSIP 44935FAD6 2,800,000 INTER-AMERICAN DEVEL BK 2,792,300.00 2,710,288.00 1.81 82,012.00- 1,477.78 DTD 09/02/20 0.250 11/15/2023 99.7250 96.7960 MOODY'S RATING AAA CUSIP 4581X0DP0 2,460,000 INTER-AMERICAN DEVEL BK 2,448,733.20 2,282,855.40 1.53 165,877.80- 6,038.96 DTD 04/20/21 0.875 04/20/2026 99.5420 92.7990 MOODY'S RATING AAA CUSIP 4581X0DV7 2,400,000 INTL BK RECON & DEVELOP 2,388,859.25 2,218,200.00 1.49 170,659.25- 3,100.00 DTD 10/28/20 0.500 10/28/2025 99.5358 92.4250 MOODY'S RATING AAA CUSIP 459058JL8 75 PAGE 11 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 2,500,000 INTL FINANCE CORP 2,471,150.00 2,322,550.00 1.56 148,600.00-390.63 DTD 07/16/20 0.375 07/16/2025 98.8460 92.9020 MOODY'S RATING AAA CUSIP 45950KCT5 1,030,000 JOHN DEERE CAPITAL CORP 1,029,268.70 992,940.60 0.66 36,328.10-180.25 MED TERM NOTE 99.9290 96.4020 DTD 03/04/21 0.450 01/17/2024 MOODY'S RATING A2 CUSIP 24422EVN6 450,000 JOHN DEERE OWNER TRUST 449,900.46 439,200.00 0.29 10,700.46-464.00 ASSET BCKD SEC SER 2022-A CL A3 99.9779 97.6000 DTD 03/16/2022 2.320% 09/16/2026 NON CALLABLE MOODY'S RATING AAA CUSIP 47787JAC2 151,984.27 JOHN DEERE OWNER TRUST 151,961.11 149,383.82 0.10 2,577.29-34.45 SER 2020-B CL A3 *0 DAY DELAY*99.9848 98.2890 DTD 07/22/20 0.510 11/15/2024 MOODY'S RATING AAA CUSIP 47787NAC3 106,847.66 JOHN DEERE OWNER TRUST 107,836.84 106,698.07 0.07 1,138.77-104.95 SER 2019-B CL A3 *0 DAY DELAY*100.9258 99.8600 DTD 07/24/19 2.210 12/15/2023 MOODY'S RATING AAA CUSIP 477870AC3 131,303.83 JOHN DEERE OWNER TRUST 131,295.80 129,956.65 0.09 1,339.15-64.19 SER 2020-A CL A3 *0 DAY DELAY*99.9939 98.9740 DTD 03/11/20 1.100 08/15/2024 MOODY'S RATING AAA CUSIP 47789KAC7 580,000 JOHN DEERE OWNER TRUST 579,948.26 551,336.40 0.37 28,611.86-125.67 SER 2021-B CL A3 *0 DAY DELAY*99.9911 95.0580 DTD 07/21/21 0.520 03/16/2026 MOODY'S RATING AAA CUSIP 47789QAC4 76 PAGE 12 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 655,000 JOHN DEERE OWNER TRUST 654,937.45 657,718.25 0.44 2,780.80 748.52 ASSET BCKD SEC SER 2022-B CL A3 99.9905 100.4150 DTD 07/20/2022 3.740% 02/16/2027 NON CALLABLE MOODY'S RATING AAA CUSIP 47800AAC4 655,000 JPMORGAN CHASE &655,406.85 616,079.90 0.41 39,326.95-669.96 SER F2F 100.0621 94.0580 DTD 06/23/21 06/23/2025 MOODY'S RATING A2 CUSIP 46647PCK0 401,000 JPMORGAN CHASE & CO 415,969.33 379,626.70 0.25 36,342.63- 2,297.03 DTD 04/22/20 04/22/2026 103.7330 94.6700 MOODY'S RATING A2 CUSIP 46647PBK1 1,370,000 JPMORGAN CHASE & CO 1,371,773.90 1,288,238.40 0.86 83,535.50- 1,881.47 DTD 06/01/21 06/01/2025 100.1295 94.0320 MOODY'S RATING A2 CUSIP 46647PCH7 1,000,000 MASSMUTUAL GLOBAL FUNDIN 1,002,230.00 911,730.00 0.61 90,500.00-500.00 144A PRIV PLCMT 1.200 07/16/2026 100.2230 91.1730 MOODY'S RATING AA3 CUSIP 57629WDE7 240,048.01 MERCEDES-BENZ AUTO LEASE TRUST 240,035.84 238,449.29 0.16 1,586.55-42.68 SER 2020-B CL A3 *0 DAY DELAY*99.9949 99.3340 DTD 09/23/20 0.400 11/15/2023 CUSIP 58769EAC2 1,115,000 MET LIFE GLOB FUNDING I 1,113,728.90 1,028,476.00 0.69 85,252.90- 1,161.46 144A PRIV PLCMT 1.875 01/11/2027 99.8860 92.2400 MOODY'S RATING AA3 CUSIP 59217GER6 77 PAGE 13 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 770,000 MET TOWER GLOBAL FUNDING 769,291.60 693,600.60 0.46 75,691.00- 3,662.85 144A PRIV PLCMT 1.250 09/14/2026 99.9080 90.0780 MOODY'S RATING AA3 CUSIP 58989V2D5 650,000 MORGAN STANLEY 615,699.50 618,956.00 0.41 3,256.50 3,674.02 DTD 04/28/20 04/28/2026 94.7230 95.2240 MOODY'S RATING A1 CUSIP 6174468Q5 1,680,000 NEW YORK LIFE GLOBAL FDG 1,678,185.60 1,597,209.60 1.07 80,976.00- 1,150.33 144A PRIV PLCMT 1.450 01/14/2025 99.8920 95.0720 MOODY'S RATING AAA CUSIP 64952WEK5 412,712.73 NISSAN AUTO RECEIVABLES OWNER 414,760.12 410,909.18 0.28 3,850.94-354.02 SER 2019-C CL A3 *0 DAY DELAY*100.4961 99.5630 DTD 10/23/19 1.930 07/15/2024 MOODY'S RATING AAA CUSIP 65479JAD5 670,000 NORTHERN TRUST CORP 668,914.60 689,208.90 0.46 20,294.30 6,030.00 DTD 05/10/2022 4.000% 05/10/2027 99.8380 102.8670 CALLABLE MOODY'S RATING A2 CUSIP 665859AW4 850,000 NORTHWESTERN MUTUAL GLBL 827,449.50 773,908.00 0.52 53,541.50-321.11 144A PRIV PLCMT 0.800 01/14/2026 97.3470 91.0480 MOODY'S RATING AAA CUSIP 66815L2A6 1,170,000 NORTHWESTERN MUTUAL GLBL 1,169,602.20 1,183,583.70 0.79 13,981.50 3,900.00 DTD 07/01/2022 4.000% 07/01/2025 99.9660 101.1610 NON CALLABLE 144A PRIVATE PLACEMENT MOODY'S RATING AAA CUSIP 66815L2J7 78 PAGE 14 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 370,000 PACCAR FINANCIAL CORP 369,182.30 361,316.10 0.24 7,866.20- 3,668.14 MED TERM NOTE 99.7790 97.6530 DTD 08/15/19 2.150 08/15/2024 MOODY'S RATING A1 CUSIP 69371RQ25 680,000 PACCAR FINANCIAL CORP 679,632.80 644,293.20 0.43 35,339.60- 1,624.44 MED TERM NOTE 99.9460 94.7490 DTD 08/09/21 0.500 08/09/2024 MOODY'S RATING A1 CUSIP 69371RR40 885,000 PACCAR FINANCIAL CORP 884,769.90 874,946.40 0.59 9,823.50- 7,987.13 DTD 04/07/2022 2.850% 04/07/2025 99.9740 98.8640 NON CALLABLE MOODY'S RATING A1 CUSIP 69371RR73 904,000 PRICOA GLOBAL FUNDING 1 832,972.72 828,579.28 0.55 4,393.44- 3,013.33 144A PRIV PLCMT 0.800 09/01/2025 92.1430 91.6570 MOODY'S RATING AA3 CUSIP 74153WCM9 885,000 PRICOA GLOBAL FUNDING 1 884,088.45 835,617.00 0.56 48,471.45- 1,554.90 144A PRIV PLCMT 1.150 12/06/2024 99.8970 94.4200 MOODY'S RATING AA3 CUSIP 74153WCQ0 1,500,000 ROYAL BANK OF CANADA 1,533,359.18 1,470,165.00 0.98 63,194.18- 1,593.75 DTD 07/16/19 2.550 07/16/2024 102.2240 98.0110 MOODY'S RATING A1 CUSIP 78013XZU5 1,050,000 ROYAL BANK OF CANADA 1,049,611.50 1,042,576.50 0.70 7,035.00- 10,532.81 MEDIUM TERM NOTE 99.9630 99.2930 CONVERTIBLE DTD 04/14/2022 3.375% 04/14/2025 NON CALLABLE MOODY'S RATING A1 CUSIP 78016EZ59 79 PAGE 15 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 1,760,000 SALESFORCE.COM INC 1,748,937.40 1,682,225.60 1.13 66,711.80-488.89 DTD 07/12/21 0.625 07/15/2024 99.3715 95.5810 MOODY'S RATING A2 CUSIP 79466LAG9 1,500,000 TORONTO-DOMINION BANK 1,527,255.00 1,476,465.00 0.99 50,790.00- 5,410.42 MED TERM NOTE 101.8170 98.4310 DTD 06/12/19 2.650 06/12/2024 MOODY'S RATING A1 CUSIP 89114QCA4 700,000 TORONTO-DOMINION BANK 674,737.00 668,052.00 0.45 6,685.00-592.08 MED TERM NOTE SER FXD 96.3910 95.4360 DTD 01/12/22 1.450 01/10/2025 MOODY'S RATING A1 CUSIP 89114TZL9 342,804.68 TOYOTA AUTO RECEIVABLES OWNER 342,740.81 336,908.44 0.23 5,832.37-53.33 SER 2020-D CL A3 *0 DAY DELAY*99.9814 98.2800 DTD 10/13/20 0.350 01/15/2025 CUSIP 89236XAC0 430,000 TOYOTA AUTO RECEIVABLES OWNER 429,990.84 410,383.40 0.27 19,607.44-135.69 SER 2021-D CL A3 *0 DAY DELAY*99.9979 95.4380 DTD 11/15/21 0.710 04/15/2026 CUSIP 89238JAC9 1,049,214.79 TOYOTA AUTO RECEIVABLES OWNER 1,049,020.06 1,024,694.64 0.69 24,325.42-121.24 SER 2021-A CL A3 *0 DAY DELAY*99.9815 97.6630 DTD 02/08/21 0.260 05/15/2025 MOODY'S RATING AAA CUSIP 89240BAC2 700,000 TOYOTA LEASE OWNER TRUST 686,000.00 685,447.00 0.46 553.00-68.25 SER 2021-A CL A3 *0 DAY DELAY*98.0000 97.9210 144A PRIV PLCMT 0.390 04/22/2024 MOODY'S RATING AAA CUSIP 89238EAC0 80 PAGE 16 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 1,150,000 TOYOTA LEASE OWNER TRUST 1,149,818.99 1,122,078.00 0.75 27,740.99-688.72 ASSET BCKD SEC SER 2022-A CL A3 99.9843 97.5720 DTD 02/28/2022 1.960% 02/20/2025 CALLABLE 144A PRIVATE PLACEMENT CUSIP 89238LAC4 1,385,000 TOYOTA MOTOR CREDIT CORP 1,384,390.60 1,283,950.40 0.86 100,440.20- 1,861.09 MED TERM NOTE 99.9560 92.7040 DTD 06/18/21 1.125 06/18/2026 MOODY'S RATING A1 CUSIP 89236TJK2 1,215,000 TOYOTA MOTOR CREDIT CORP 1,213,371.90 1,163,301.75 0.78 50,070.15-880.88 DTD 01/13/22 1.450 01/13/2025 99.8660 95.7450 MOODY'S RATING A1 CUSIP 89236TJT3 3,100,000 UNITED STATES TREASURY NOTES 3,057,617.20 3,013,665.00 2.02 43,952.20- 20,491.17 DTD 03/15/2022 1.750% 03/15/2025 98.6328 97.2150 MOODY'S RATING AAA CUSIP 91282CED9 3,000,000 UNITED STATES TREASURY NOTES 3,018,222.66 3,075,000.00 2.06 56,777.34 8,478.26 DTD 06/30/2022 3.250% 06/30/2027 100.6074 102.5000 MOODY'S RATING AAA CUSIP 91282CEW7 1,035,000 UNITEDHEALTH GROUP INC 1,025,051.35 962,539.65 0.64 62,511.70- 2,512.75 DTD 05/19/21 1.150 05/15/2026 99.0388 92.9990 MOODY'S RATING A3 CUSIP 91324PEC2 675,000 UNITEDHEALTH GROUP INC 675,316.70 689,337.00 0.46 14,020.30 4,925.63 DTD 05/20/2022 3.700% 05/15/2027 100.0469 102.1240 CALLABLE MOODY'S RATING A3 CUSIP 91324PEG3 81 PAGE 17 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 1,250,000 US BANCORP 1,268,262.50 1,230,112.50 0.82 38,150.00- 15,083.33 DTD 07/29/19 2.400 07/30/2024 101.4610 98.4090 MOODY'S RATING A2 CUSIP 91159HHX1 1,500,000 US TREASURY NOTE 1,469,765.63 1,388,970.00 0.93 80,795.63- 1,885.19 DTD 07/31/20 0.250 07/31/2025 97.9844 92.5980 MOODY'S RATING AAA CUSIP 91282CAB7 2,400,000 US TREASURY NOTE 2,366,140.63 2,213,712.00 1.48 152,428.63- 2,016.39 DTD 09/30/20 0.250 09/30/2025 98.5892 92.2380 MOODY'S RATING AAA CUSIP 91282CAM3 2,450,000 US TREASURY NOTE 2,422,492.19 2,255,911.00 1.51 166,581.19- 1,547.89 DTD 10/31/20 0.250 10/31/2025 98.8772 92.0780 MOODY'S RATING AAA CUSIP 91282CAT8 2,250,000 US TREASURY NOTE 2,209,658.20 2,076,862.50 1.39 132,795.70- 1,429.30 DTD 11/30/20 0.375 11/30/2025 98.2070 92.3050 MOODY'S RATING AAA CUSIP 91282CAZ4 2,500,000 US TREASURY NOTE 2,456,445.31 2,299,225.00 1.54 157,220.31- 4,712.98 DTD 02/01/21 0.375 01/31/2026 98.2578 91.9690 MOODY'S RATING AAA CUSIP 91282CBH3 1,450,000 US TREASURY NOTE 1,446,488.28 1,388,143.00 0.93 58,345.28- 1,369.23 DTD 03/15/21 0.250 03/15/2024 99.7578 95.7340 MOODY'S RATING AAA CUSIP 91282CBR1 2,500,000 US TREASURY NOTE 2,493,652.34 2,320,500.00 1.55 173,152.34- 4,738.45 DTD 04/30/21 0.750 04/30/2026 99.7461 92.8200 MOODY'S RATING AAA CUSIP 91282CBW0 82 PAGE 18 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 1,400,000 US TREASURY NOTE 1,379,054.68 1,297,408.00 0.87 81,646.68- 4,116.80 DTD 09/30/21 0.875 09/30/2026 98.5039 92.6720 MOODY'S RATING AAA CUSIP 91282CCZ2 1,400,000 US TREASURY NOTE 1,391,468.75 1,309,490.00 0.88 81,978.75- 3,980.30 DTD 11/01/21 1.125 10/31/2026 99.3906 93.5350 CUSIP 91282CDG3 2,000,000 US TREASURY NOTE 2,053,613.28 1,993,600.00 1.33 60,013.28- 25,372.93 DTD 02/18/14 2.750 02/15/2024 102.6807 99.6800 MOODY'S RATING AAA CUSIP 912828B66 1,700,000 US TREASURY NOTE 1,753,191.41 1,681,946.00 1.13 71,245.41- 18,626.04 DTD 08/15/14 2.375 08/15/2024 103.1289 98.9380 MOODY'S RATING AAA CUSIP 912828D56 650,000 US TREASURY NOTE 641,405.27 639,489.50 0.43 1,915.77- 2,669.33 DTD 10/31/16 1.625 10/31/2023 98.6777 98.3830 MOODY'S RATING AAA CUSIP 912828T91 1,500,000 US TREASURY NOTE 1,529,472.66 1,484,940.00 0.99 44,532.66- 2,934.78 DTD 01/03/17 2.250 12/31/2023 101.9649 98.9960 MOODY'S RATING AAA CUSIP 912828V23 2,000,000 US TREASURY NOTE 2,018,574.22 1,966,720.00 1.32 51,854.22- 3,478.26 DTD 06/30/17 2.000 06/30/2024 100.9287 98.3360 MOODY'S RATING AAA CUSIP 912828XX3 1,700,000 US TREASURY NOTE 1,705,976.56 1,672,715.00 1.12 33,261.56- 8,592.39 DTD 05/01/17 2.000 04/30/2024 100.3516 98.3950 MOODY'S RATING AAA CUSIP 912828X70 83 PAGE 19 STATEMENT OF ASSETS AND LIABILITIES CITY OF CUPERTINO AS OF JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF ASSETS AND LIABILITIES COST VALUE MARKET VALUE % TOTAL UNREALIZED PAR VALUE/SHARES DESCRIPTION / UNIT COST / UNIT PRICE MARKET GAIN/LOSS ACCRUED INCOME ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 2,100,000 US TREASURY NOTE 2,087,203.13 2,045,442.00 1.37 41,761.13- 3,195.65 DTD 12/31/19 1.750 12/31/2024 99.3906 97.4020 CUSIP 912828YY0 1,500,000 US TREASURY NOTE 1,523,144.53 1,435,845.00 0.96 87,299.53- 7,061.82 DTD 03/02/20 1.125 02/28/2025 101.5430 95.7230 MOODY'S RATING AAA CUSIP 912828ZC7 2,500,000 US TREASURY NOTE 2,360,839.85 2,337,025.00 1.56 23,814.85- 2,369.23 DTD 04/30/20 0.375 04/30/2025 94.4336 93.4810 MOODY'S RATING AAA CUSIP 912828ZL7 800,000 VERIZON OWNER TRUST 799,832.00 787,776.00 0.53 12,056.00-114.89 SER 2020-B CL A *0 DAY DELAY*99.9790 98.4720 DTD 08/12/20 0.470 02/20/2025 MOODY'S RATING AAA CUSIP 92290BAA9 143,156.57 VERIZON OWNER TRUST 143,145.53 142,795.82 0.10 349.71-84.86 SER 2019-C CL A1A *0 DAY DELAY*99.9923 99.7480 144A PRIV PLCMT 1.940 04/22/2024 CUSIP 92348AAA3 350,000 WALMART INC 349,338.50 326,011.00 0.22 23,327.50- 1,367.92 DTD 09/17/21 1.050 09/17/2026 99.8110 93.1460 MOODY'S RATING AA2 CUSIP 931142ER0 TOTAL BOND & NOTES 155,309,506.52 148,901,158.06 99.70 6,408,348.46- 503,501.70 ====================================================================================================================================== TOTAL INVESTMENTS 155,764,993.19 149,356,644.73 100.00 6,408,348.46- 503,811.27 TOTAL ACCRUALS 503,811.27 503,811.27 ====================================================================================================================================== TOTAL ACCRUALS AND INVESTMENTS 156,268,804.46 149,860,456.00 84 PAGE 20 CASH SUMMARY CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ CASH SUMMARY DESCRIPTION PRINCIPAL CASH INCOME CASH ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ BEGINNING BALANCE 0.00 0.00 RECEIPTS NET INTEREST COLLECTED 0.00 187,613.76 TRANSFER RECEIPTS 187,613.76 0.00 SALES 3,860,146.17 0.00 CASH MANAGEMENT SALES 2,833,380.31 0.00 TOTAL CASH RECEIPTS 6,881,140.24 187,613.76 DISBURSEMENTS INVESTMENT MANAGEMENT EXPENSES 9,127.72-0.00 ADMINISTRATIVE EXPENSES 4,576.85-0.00 TRANSFER DISBURSEMENTS 0.00 187,613.76- PURCHASES 4,842,762.31-0.00 CASH MANAGEMENT PURCHASES 2,024,673.36-0.00 TOTAL CASH DISBURSEMENTS 6,881,140.24-187,613.76- ENDING BALANCE 0.00 0.00 ________________________________________________________________________________________________________________________________________ 85 PAGE 21 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ BEGINNING BALANCE 0.00 155,773,883.32 ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ CASH EQUIVALENTS 07/01/22 INTEREST RECEIVED 140.95 AS 100% TREAS MM FD-SVC CL #008 INTEREST FROM 6/1/22 TO 6/30/22 07/01/22 INTEREST RECEIVED 10.08 PRINCIPAL PUBLIC DEPOSIT SWEEP PRGRM INTEREST FROM 6/1/22 TO 6/30/22 07/31/22 2,024,663.28 CASH SWEEP PURCHASES FOR STMT PERIOD 2,024,663.28- 2,024,663.28 AS 100% TREAS MM FD-SVC CL #008 14 TRANSACTIONS 07/31/22 10.08 CASH SWEEP PURCHASES FOR STMT PERIOD 10.08-10.08 PRINCIPAL PUBLIC DEPOSIT SWEEP PRGRM 1 TRANSACTIONS 07/31/22 2,833,380.31- CASH SWEEP SALES FOR STMT PERIOD 2,833,380.31 2,833,380.31- AS 100% TREAS MM FD-SVC CL #008 7 TRANSACTIONS BONDS & NOTES 07/15/22 INTEREST RECEIVED 2,845.38 AMERICAN EXPRES ABS 2.210% 3/15/27 CUSIP 02589BAA8 $0.00184/PV ON 1,545,000.00 PV DUE 7/15/22 07/18/22 INTEREST RECEIVED 3,884.38 AMERICAN EXPRESS ABS 3.390% 5/17/27 CUSIP 02582JJT8 86 PAGE 22 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/11/22 INTEREST RECEIVED 1,875.00 BANK OF MONTREAL 0.625% 7/09/24 CUSIP 06367TQW3 INTEREST ON 600,000.000 UNITS 07/25/22 INTEREST RECEIVED 116.88 BMW VEHICLE LEASE TR 0.330% 12/26/24 CUSIP 09690AAC7 $0.00027/PV ON 425,000.00 PV DUE 7/25/22 07/25/22 INTEREST RECEIVED 412.50 BMW VEHICLE LEASE TR 1.100% 3/25/25 CUSIP 05601XAC3 $0.00092/PV ON 450,000.00 PV DUE 7/25/22 07/13/22 REVERSAL 1,843.08- INTEREST RECEIVED BMW VEHICLE OWN ABS 3.210% 8/25/26 CUSIP 05602RAD3 AP10 INCORRECT POSTING 07/13/22 INTEREST RECEIVED 1,748.56 BMW VEHICLE OWN ABS 3.210% 8/25/26 CUSIP 05602RAD3 $0.00330/PV ON 530,000.00 PV DUE 6/25/22 07/25/22 INTEREST RECEIVED 1,417.75 BMW VEHICLE OWN ABS 3.210% 8/25/26 CUSIP 05602RAD3 07/21/22 INTEREST RECEIVED 2,343.75 FED HOME LN MTG CORP 0.375% 7/21/25 CUSIP 3137EAEU9 INTEREST ON 1,250,000.000 UNITS 87 PAGE 23 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/25/22 INTEREST RECEIVED 3,435.25 FED HOME LN MTG CORP 3.171% 10/25/24 CUSIP 3137BFE98 $0.00264/PV ON 1,300,000.00 PV DUE 7/25/22 07/07/22 INTEREST RECEIVED 10,521.88 FED NATL MTG ASSN 1.625% 1/07/25 CUSIP 3135G0X24 INTEREST ON 1,295,000.000 UNITS 07/05/22 INTEREST RECEIVED 13,125.00 FED NATL MTG ASSN 1.750% 7/02/24 CUSIP 3135G0V75 INTEREST ON 1,500,000.000 UNITS 07/19/22 1,500,000- SOLD 1,494,465.00 1,559,805.00-65,340.00- FED NATL MTG ASSN 2.875% 9/12/23 CUSIP 3135G0U43 AT $99.6310 ON TRADE DATE 07/18/2022 TO SETTLE ON 07/19/2022 MELLON BANK/CAPITAL MARKETS 07/19/22 ACCRUED INTEREST ON SALE 15,213.54 FED NATL MTG ASSN 2.875% 9/12/23 CUSIP 3135G0U43 07/25/22 INTEREST RECEIVED 1,437.04 FHLMC MULTIFAMILY ST 2.653% 8/25/26 CUSIP 3137BSP72 $0.00221/PV ON 650,000.00 PV DUE 7/25/22 07/25/22 INTEREST RECEIVED 1,422.62 FHLMC MULTIFAMILY ST 2.995% 12/25/25 CUSIP 3137BN6G4 $0.00250/PV ON 570,000.00 PV DUE 7/25/22 88 PAGE 24 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/25/22 INTEREST RECEIVED 2,508.33 FHLMC MULTIFAMILY ST 3.010% 8/25/25 CUSIP 3137BLMZ8 $0.00251/PV ON 1,000,000.00 PV DUE 7/25/22 07/25/22 INTEREST RECEIVED 1,212.93 FHLMC MULTIFAMILY ST 3.308% 9/25/25 CUSIP 3137BM7C4 $0.00276/PV ON 440,000.00 PV DUE 7/25/22 07/25/22 INTEREST RECEIVED 1,007.50 GM FINANCIAL ABS 3.100% 2/16/27 CUSIP 362585AC5 07/20/22 INTEREST RECEIVED 313.63 GM FINANCIAL AUTOMOB 0.390% 10/21/24 CUSIP 36262XAC8 $0.00032/PV ON 965,000.00 PV DUE 7/20/22 07/20/22 INTEREST RECEIVED 1,496.25 GM FINANCIAL AUTOMOB 1.850% 3/20/25 CUSIP 36265MAC9 $0.00158/PV ON 945,000.00 PV DUE 7/20/22 07/21/22 INTEREST RECEIVED 198.33 GM FINANCIAL SECURIT 0.680% 9/16/26 CUSIP 362554AC1 $0.00057/PV ON 350,000.00 PV DUE 7/16/22 07/18/22 INTEREST RECEIVED 309.75 GM FINANCIAL SECURIT 1.260% 11/16/26 CUSIP 380146AC4 $0.00105/PV ON 295,000.00 PV DUE 7/16/22 89 PAGE 25 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/21/22 INTEREST RECEIVED 66.38 HONDA AUTO RECEIVABL 0.270% 4/21/25 CUSIP 43813GAC5 $0.00023/PV ON 295,000.00 PV DUE 7/21/22 07/18/22 INTEREST RECEIVED 148.06 HONDA AUTO RECEIVABL 0.370% 10/18/24 CUSIP 43813KAC6 $0.00031/PV ON 480,194.03 PV DUE 7/18/22 07/18/22 34,293.56- PAID DOWN 34,293.56 34,288.52-5.04 HONDA AUTO RECEIVABL 0.370% 10/18/24 CUSIP 43813KAC6 07/15/22 INTEREST RECEIVED 70.71 HONDA AUTO RECEIVABL 0.820% 7/15/24 CUSIP 43813DAC2 $0.00068/PV ON 103,485.10 PV DUE 7/15/22 07/15/22 8,896.9- PAID DOWN 8,896.90 8,896.20-0.70 HONDA AUTO RECEIVABL 0.820% 7/15/24 CUSIP 43813DAC2 AT $422.6407 ON TRADE DATE 07/15/2022 07/21/22 INTEREST RECEIVED 337.33 HONDA AUTO RECEIVABL 0.880% 1/21/26 CUSIP 43815GAC3 $0.00073/PV ON 460,000.00 PV DUE 7/21/22 07/15/22 INTEREST RECEIVED 1,159.33 HONDA AUTO RECEIVABL 1.000% 5/15/26 CUSIP 43815BAC4 $0.00157/PV ON 740,000.00 PV DUE 7/15/22 90 PAGE 26 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/15/22 INTEREST RECEIVED 295.68 HONDA AUTO RECEIVABL 1.780% 8/15/23 CUSIP 43815NAC8 $0.00148/PV ON 199,336.03 PV DUE 7/15/22 07/15/22 45,674.05- PAID DOWN 45,674.05 45,597.27-76.78 HONDA AUTO RECEIVABL 1.780% 8/15/23 CUSIP 43815NAC8 AT $163.0068 ON TRADE DATE 07/15/2022 07/20/22 INTEREST RECEIVED 217.25 HYUNDAI AUTO LEASE 0.330% 6/17/24 CUSIP 44891VAC5 $0.00027/PV ON 790,000.00 PV DUE 7/15/22 07/15/22 INTEREST RECEIVED 522.00 HYUNDAI AUTO LEASE 1.160% 1/15/25 CUSIP 44891WAC3 $0.00097/PV ON 540,000.00 PV DUE 7/15/22 07/15/22 INTEREST RECEIVED 1,868.50 HYUNDAI AUTO REC ABS 2.220% 10/15/26 CUSIP 448977AD0 $0.00185/PV ON 1,010,000.00 PV DUE 7/15/22 07/15/22 INTEREST RECEIVED 163.08 HYUNDAI AUTO RECEIVA 0.380% 9/15/25 CUSIP 44933LAC7 $0.00032/PV ON 515,000.00 PV DUE 7/15/22 91 PAGE 27 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/15/22 INTEREST RECEIVED 820.17 HYUNDAI AUTO RECEIVA 0.740% 5/15/26 CUSIP 44935FAD6 $0.00062/PV ON 1,330,000.00 PV DUE 7/15/22 07/22/22 INTEREST RECEIVED 4,700.00 INTL FINANCE CORP 0.375% 7/16/25 CUSIP 45950KCT5 INTEREST ON 2,500,000.000 UNITS 07/19/22 2,050,000- SOLD 2,041,074.30 2,158,137.50- 117,063.20- INTL FINANCE CORP 2.875% 7/31/23 CUSIP 45950KCP3 AT $99.5646 ON TRADE DATE 07/13/2022 TO SETTLE ON 07/19/2022 TORONTO DOMINION BANK 07/19/22 ACCRUED INTEREST ON SALE 27,013.02 INTL FINANCE CORP 2.875% 7/31/23 CUSIP 45950KCP3 07/18/22 INTEREST RECEIVED 2,317.50 JOHN DEERE CAPITAL 0.450% 1/17/24 CUSIP 24422EVN6 INTEREST ON 1,030,000.000 UNITS 07/15/22 INTEREST RECEIVED 870.00 JOHN DEERE OWNER ABS 2.320% 9/16/26 CUSIP 47787JAC2 $0.00193/PV ON 450,000.00 PV DUE 7/15/22 07/20/22 655,000 PURCHASED 654,937.45-654,937.45 JOHN DEERE OWNER ABS 3.740% 2/16/27 CUSIP 47800AAC4 AT $99.9905 ON TRADE DATE 07/12/2022 TO SETTLE ON 07/20/2022 RBC DAIN RAUSCHER INC. 92 PAGE 28 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/15/22 INTEREST RECEIVED 68.72 JOHN DEERE OWNER TRU 0.510% 11/15/24 CUSIP 47787NAC3 $0.00042/PV ON 161,692.64 PV DUE 7/15/22 07/15/22 9,708.37- PAID DOWN 9,708.37 9,706.89-1.48 JOHN DEERE OWNER TRU 0.510% 11/15/24 CUSIP 47787NAC3 07/15/22 INTEREST RECEIVED 251.33 JOHN DEERE OWNER TRU 0.520% 3/16/26 CUSIP 47789QAC4 $0.00043/PV ON 580,000.00 PV DUE 7/15/22 07/15/22 INTEREST RECEIVED 131.75 JOHN DEERE OWNER TRU 1.100% 8/15/24 CUSIP 47789KAC7 $0.00092/PV ON 143,725.01 PV DUE 7/15/22 07/15/22 12,421.18- PAID DOWN 12,421.18 12,420.42-0.76 JOHN DEERE OWNER TRU 1.100% 8/15/24 CUSIP 47789KAC7 AT $302.7242 ON TRADE DATE 07/15/2022 07/15/22 INTEREST RECEIVED 237.24 JOHN DEERE OWNER TRU 2.210% 12/15/23 CUSIP 477870AC3 $0.00184/PV ON 128,817.76 PV DUE 7/15/22 07/15/22 21,970.1- PAID DOWN 21,970.10 22,173.49-203.39- JOHN DEERE OWNER TRU 2.210% 12/15/23 CUSIP 477870AC3 93 PAGE 29 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/15/22 INTEREST RECEIVED 90.85 MERCEDES-BENZ AUTO 0.400% 11/15/23 CUSIP 58769EAC2 $0.00033/PV ON 272,540.50 PV DUE 7/15/22 07/15/22 32,492.49- PAID DOWN 32,492.49 32,490.84-1.65 MERCEDES-BENZ AUTO 0.400% 11/15/23 CUSIP 58769EAC2 AT $115.7250 ON TRADE DATE 07/15/2022 07/15/22 INTEREST RECEIVED 759.21 NISSAN AUTO RECEIVAB 1.930% 7/15/24 CUSIP 65479JAD5 $0.00161/PV ON 472,049.18 PV DUE 7/15/22 07/15/22 59,336.45- PAID DOWN 59,336.45 59,630.81-294.36- NISSAN AUTO RECEIVAB 1.930% 7/15/24 CUSIP 65479JAD5 AT $683.9602 ON TRADE DATE 07/15/2022 07/01/22 1,170,000 PURCHASED 1,169,602.20- 1,169,602.20 NW MUTUAL GLOBAL 4.000% 7/01/25 CUSIP 66815L2J7 AT $99.9660 ON TRADE DATE 06/27/2022 TO SETTLE ON 07/01/2022 J.P. MORGAN SECURITIES INC., - 07/18/22 INTEREST RECEIVED 6,000.00 P/P MASSMUTUAL GLOBA 1.200% 7/16/26 CUSIP 57629WDE7 INTEREST ON 1,000,000.000 UNITS 07/11/22 INTEREST RECEIVED 10,453.13 P/P MET LIFE GLOB FU 1.875% 1/11/27 CUSIP 59217GER6 INTEREST ON 1,115,000.000 UNITS 94 PAGE 30 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/14/22 INTEREST RECEIVED 12,180.00 P/P NEW YORK LIFE GL 1.450% 1/14/25 CUSIP 64952WEK5 INTEREST ON 1,680,000.000 UNITS 07/14/22 INTEREST RECEIVED 3,400.00 P/P NORTHWESTERN MUT 0.800% 1/14/26 CUSIP 66815L2A6 INTEREST ON 850,000.000 UNITS 07/18/22 INTEREST RECEIVED 19,125.00 ROYAL BANK OF CANADA 2.550% 7/16/24 CUSIP 78013XZU5 INTEREST ON 1,500,000.000 UNITS 07/15/22 INTEREST RECEIVED 5,500.00 SALESFORCE.COM INC 0.625% 7/15/24 CUSIP 79466LAG9 INTEREST ON 1,760,000.000 UNITS 07/11/22 INTEREST RECEIVED 5,018.61 TORONTO-DOMINION BAN 1.450% 1/10/25 CUSIP 89114TZL9 INTEREST ON 700,000.000 UNITS 07/15/22 INTEREST RECEIVED 236.17 TOYOTA AUTO RECEIVAB 0.260% 5/15/25 CUSIP 89240BAC2 $0.00022/PV ON 1,090,000.00 PV DUE 7/15/22 07/15/22 40,785.21- PAID DOWN 40,785.21 40,777.64-7.57 TOYOTA AUTO RECEIVAB 0.260% 5/15/25 CUSIP 89240BAC2 95 PAGE 31 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/15/22 INTEREST RECEIVED 108.27 TOYOTA AUTO RECEIVAB 0.350% 1/15/25 CUSIP 89236XAC0 $0.00029/PV ON 371,225.19 PV DUE 7/15/22 07/15/22 28,420.51- PAID DOWN 28,420.51 28,415.22-5.29 TOYOTA AUTO RECEIVAB 0.350% 1/15/25 CUSIP 89236XAC0 07/15/22 INTEREST RECEIVED 254.42 TOYOTA AUTO RECEIVAB 0.710% 4/15/26 CUSIP 89238JAC9 $0.00059/PV ON 430,000.00 PV DUE 7/15/22 07/20/22 INTEREST RECEIVED 1,878.33 TOYOTA LEASE OWN ABS 1.960% 2/20/25 CUSIP 89238LAC4 $0.00163/PV ON 1,150,000.00 PV DUE 7/20/22 07/20/22 INTEREST RECEIVED 227.50 TOYOTA LEASE OWNER 0.390% 4/22/24 CUSIP 89238EAC0 $0.00032/PV ON 700,000.00 PV DUE 7/20/22 07/13/22 INTEREST RECEIVED 8,808.75 TOYOTA MOTOR CREDIT 1.450% 1/13/25 CUSIP 89236TJT3 INTEREST ON 1,215,000.000 UNITS 07/15/22 1,500,000 PURCHASED 1,509,140.63- 1,509,140.63 U.S. TREASURY NOTES 3.250% 6/30/27 CUSIP 91282CEW7 AT $100.6094 ON TRADE DATE 07/13/2022 TO SETTLE ON 07/15/2022 BARCLAYS CAPITAL INC. FIXED IN 96 PAGE 32 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/15/22 ACCRUED INTEREST ON PURCHASE 1,987.09- U.S. TREASURY NOTES 3.250% 6/30/27 CUSIP 91282CEW7 07/19/22 1,500,000 PURCHASED 1,509,082.03- 1,509,082.03 U.S. TREASURY NOTES 3.250% 6/30/27 CUSIP 91282CEW7 AT $100.6055 ON TRADE DATE 07/18/2022 TO SETTLE ON 07/19/2022 CITADEL DERIVATIVES GROUP LLC 07/19/22 ACCRUED INTEREST ON PURCHASE 2,516.98- U.S. TREASURY NOTES 3.250% 6/30/27 CUSIP 91282CEW7 07/20/22 INTEREST RECEIVED 313.33 VERIZON OWNER TRUST 0.470% 2/20/25 CUSIP 92290BAA9 $0.00039/PV ON 800,000.00 PV DUE 7/20/22 07/20/22 INTEREST RECEIVED 280.92 VERIZON OWNER TRUST 1.940% 4/22/24 CUSIP 92348AAA3 $0.00162/PV ON 173,764.62 PV DUE 7/20/22 07/20/22 30,608.05- PAID DOWN 30,608.05 30,605.69-2.36 VERIZON OWNER TRUST 1.940% 4/22/24 CUSIP 92348AAA3 AT $1,706.1910 ON TRADE DATE 07/20/2022 07/25/22 INTEREST RECEIVED 2,550.00 VR FED HOME LN MTG 3.060% 7/25/23 CUSIP 3137B4WB8 97 PAGE 33 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/25/22 INTEREST RECEIVED 2,639.42 VR FHLMC MULTIFAMI 3.334% 8/25/25 CUSIP 3137BLW95 $0.00278/PV ON 950,000.00 PV DUE 7/25/22 07/25/22 INTEREST RECEIVED 2,939.17 VR FHLMC MULTIFAMILY 3.527% 10/25/23 CUSIP 3137B7MZ9 $0.00294/PV ON 1,000,000.00 PV DUE 7/25/22 07/25/22 INTEREST RECEIVED 2,942.50 VR FHLMC MULTIFAMILY 3.531% 7/25/23 CUSIP 3137B5JM6 $0.00294/PV ON 1,000,000.00 PV DUE 7/25/22 TRANSFER RECEIPTS 07/01/22 ADDITION TO ACCOUNT 151.03 TRANSFER FROM INCOME 07/05/22 ADDITION TO ACCOUNT 13,125.00 TRANSFER FROM INCOME 07/07/22 ADDITION TO ACCOUNT 10,521.88 TRANSFER FROM INCOME 07/11/22 ADDITION TO ACCOUNT 17,346.74 TRANSFER FROM INCOME 07/13/22 ADDITION TO ACCOUNT 8,808.75 TRANSFER FROM INCOME 98 PAGE 34 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 07/14/22 ADDITION TO ACCOUNT 15,485.48 TRANSFER FROM INCOME 07/15/22 ADDITION TO ACCOUNT 43,585.61 TRANSFER FROM INCOME 07/18/22 ADDITION TO ACCOUNT 31,288.44 TRANSFER FROM INCOME 07/20/22 ADDITION TO ACCOUNT 20,863.40 TRANSFER FROM INCOME 07/21/22 ADDITION TO ACCOUNT 3,192.21 TRANSFER FROM INCOME 07/25/22 ADDITION TO ACCOUNT 20,018.53 TRANSFER FROM INCOME 07/26/22 ADDITION TO ACCOUNT 3,226.69 TRANSFER FROM INCOME INVESTMENT MANAGEMENT EXPENSES 07/07/22 INVESTMENT MGMT FEE 9,127.72- PAID TO BRIDGE BANK CHANDLER ASSET MGMT FEE INV 2206CUPERTIN ADMINISTRATIVE EXPENSES 07/20/22 ADMINISTRATIVE FEE/EXPENSE 4,576.85- CUSTODIAN FEE-PRIN 99 INVESTMENT AND INSURANCE PRODUCTS ARE: ·NOT INSURED BY THE FEDERAL DEPOSIT INSURANCE CORPORATION (FDIC) OR ANY FEDERAL GOVERNMENT AGENCY ·NOT A DEPOSIT, OBLIGATION OF, OR GUARANTEED BY ANY BANK OR BANKING AFFILIATE ·SUBJECT TO INVESTMENT RISKS AND MAY LOSE VALUE, INCLUDING POSSIBLE LOSS OF PRINCIPAL AMOUNT INVESTED PAGE 35 STATEMENT OF TRANSACTIONS CITY OF CUPERTINO FOR THE PERIOD JULY 1, 2022 THROUGH JULY 31, 2022 ACCOUNT NUMBER ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯ STATEMENT OF TRANSACTIONS REALIZED DATE PAR VALUE/SHARES DESCRIPTION CASH COST VALUE GAIN/LOSS ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ TRANSFER DISBURSEMENTS 07/01/22 TRANSFER TO PRINCIPAL 151.03- 07/05/22 TRANSFER TO PRINCIPAL 13,125.00- 07/07/22 TRANSFER TO PRINCIPAL 10,521.88- 07/11/22 TRANSFER TO PRINCIPAL 17,346.74- 07/13/22 TRANSFER TO PRINCIPAL 8,808.75- 07/14/22 TRANSFER TO PRINCIPAL 15,485.48- 07/15/22 TRANSFER TO PRINCIPAL 43,585.61- 07/18/22 TRANSFER TO PRINCIPAL 31,288.44- 07/20/22 TRANSFER TO PRINCIPAL 20,863.40- 07/21/22 TRANSFER TO PRINCIPAL 3,192.21- 07/25/22 TRANSFER TO PRINCIPAL 20,018.53- 07/26/22 TRANSFER TO PRINCIPAL 3,226.69- ================================================================================================================= ENDING BALANCE 0.00 155,764,993.19 ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ ¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯¯ 100 CITY OF CUPERTINO PARS Post-Employment Benefits Trust 7/1/2022 to 7/31/2022 Kristina Alfaro Director of Administrative Services City of Cupertino 10300 Torre Ave. Cupertino, CA 95014 Account Summary Source 7/1/2022 Contributions Earnings Expenses Distributions Transfers 7/31/2022 OPEB 1001 $31,339,861.08 $0.00 $1,965,702.21 $9,446.81 $0.00 $0.00 $33,296,116.48 PENSION 1002 $17,240,050.93 $0.00 $1,075,662.06 $4,886.67 $0.00 $0.00 $18,310,826.32 Totals $48,579,912.01 $0.00 $3,041,364.27 $14,333.48 $0.00 $0.00 $51,606,942.80 Investment Selection Source OPEB PENSION Investment Objective Source OPEB PENSION Investment Return Source 1-Month 3-Months 1-Year 3-Years 5-Years 10-Years OPEB 6.27%-0.99%-12.49%4.67%5.19%6.25%6/21/2010 PENSION 6.24%-0.99%-12.48%5.90%--3/26/2019 Information as provided by US Bank, Trustee for PARS; Not FDIC Insured; No Bank Guarantee; May Lose Value Headquarters - 4350 Von Karman Ave., Suite 100, Newport Beach, CA 92660 800.540.6369 Fax 949.250.1250 www.pars.org Account balances are inclusive of Trust Administration, Trustee and Investment Management fees Annualized Return Investment Return: Annualized rate of return is the return on an investment over a period other than one year multiplied or divided to give a comparable one-year return. Past performance does not guarantee future results. Performance returns may not reflect the deduction of applicable fees, which could reduce returns. Information is deemed reliable but may be subject to change. Individual account based on US Bank Balanced MM. Dual goals are to provide a moderate amount of current income with moderate capital growth. Income production and longer term growth of capital. Account Report for the Period Balance as of City of Cupertino - OPEB Balance as of Individual account based on US Bank Balanced MM. Dual goals are to provide a moderate amount of current income with moderate capital growth. Income production and longer term growth of capital. City of Cupertino - PEN Plan's Inception Date 101 8/2/22, 9:19 AM LAIF Regular Monthly Statement https://laifms.treasurer.ca.gov/RegularStatement.aspx 1/1 Local Agency Investment Fund P.O. Box 942809 Sacramento, CA 94209-0001 (916) 653-3001 August 02, 2022 LAIF Home PMIA Average Monthly Yields CITY OF CUPERTINO FINANCE MANAGER 10300 TORRE AVENUE CUPERTINO, CA 95014 Account Number: July 2022 Statement Tran Type Definitions Effective Date Transaction Date Tran Type Confirm Number Web Confirm Number Authorized Caller Amount 7/15/2022 7/15/2022 QRD 1709974 N/A SYSTEM 39,428 27 Account Summary Total Deposit:39,428.27 Beginning Balance:21,059,751.91 Total Withdrawal 0.00 Ending Balance 21,099,180 18 102 CITY OF CUPERTINO Agenda Item 22-11365 Agenda Date: 8/22/2022 Agenda #: 5. Subject:ACTION ITEM Consider the Monthly Treasurer's Report for July 2022 Review the Monthly Treasurer's Report for July 2022 and recommend filing with City Council Presenter: Thomas Leung, Senior Management Analyst 4:45(15) CITY OF CUPERTINO Printed on 8/19/2022Page 1 of 1 powered by Legistar™103 1 AUDIT COMMITTEE STAFF REPORT Meeting: August 22, 2022 Subject Consider the Monthly Treasurer's Report for July 2022 Recommended Action Review the Monthly Treasurer's Report for July 2022 and recommend filing with City Council Discussion Background California Government Code Section 41004 states: Regularly, at least once each month, the city treasurer shall submit to the city clerk a written report and accounting of all receipts, disbursements, and fund balances. The city treasurer shall file a copy with the legislative body. The City's Municipal Code Section 2.24.030 Monthly Reports states: The Treasurer shall make monthly reports which conform to the requirements of Government Code Section 41004. Said reports shall be delivered to the City Council, the City Manager and made available for review by such other persons who may so request. Lastly, the City's Municipal Code Section 2.88.100 Duties–Powers–Responsibilities lists one of the powers and functions of the Audit Committee is "to review the monthly Treasurer's report." Per the referenced code provisions, a Treasurer's Report (report and accounting of all receipts, disbursements, and fund balances) shall be submitted to the Audit Committee and City Council every month. 104 2 Cash vs. Accrual Basis Accounting Cash and accrual basis accounting differ in the timing when revenues and expenses are recognized and recorded. Cash basis accounting recognizes revenues when payment is received and expenses when payment is paid. Accrual basis accounting recognizes revenues when they are earned (but not necessarily received) and expenses when they are incurred (but not necessarily paid). Receipts, disbursements, and cash balance are measured on a cash basis. The cash balance shows the total cash and investments in the City's accounts. The ending balance is the beginning balance plus receipts minus disbursements. Journal adjustments include transactions recorded in other systems and imported into New World, Council-approved budget adjustments, quarterly Cost Allocation Plan (CAP) charges, and quarterly interest earnings. Revenues, expenditures, and fund balance are measured on an accrual basis. As a result, the amount in fund balance does not mean the City has that much cash on hand. Instead, fund balance is the difference between assets and liabilities. The ending balance is the beginning balance plus revenues minus expenditures. Treasurer's Report The report provides cash and fund balances for the City of Cupertino for July 2022. The report is as of August 17, 2022. Receipts, Disbursements, and Cash Balance The City's General Fund ending cash and investment balance was $121.1 million, a decrease of $2.5 million from the prior month. Receipts were $6.3 million, disbursements were ($8.9) million, and journal adjustments were $58,112 for the month. The City's total ending cash and investment balance was $228.5 million, a decrease of $3.2 million from the prior month. Receipts were $7.5 million, disbursements were ($11.4) million, and journal adjustments were $0.7 million for the month. For July 2022, the journal adjustments included:  Parks and Recreation transactions imported from ActiveNet into New World  Workers' Compensation transactions  Council-approved transfer from the Park Dedication Fund to the Capital Improvement Fund for the Memorial Park Specific Plan Project Fund Balance/Net Position The City's General Fund ending fund balance was $110.9 million, decreasing by $3.0 million from the prior month due to revenues of $1.6 million and expenditures of $4.6 million. 105 3 The City's total ending fund balance was $212.5 million, decreasing by $3.6 million from the prior month due to revenues of $3.0 million and expenditures of $6.5 million. Sustainability Impact No sustainability impact. Fiscal Impact No fiscal impact. _____________________________________ Prepared by: __________________ Thomas Leung Senior Management Analyst Reviewed by: __________________ Kristina Alfaro Director of Administrative Services Approved for Submission by: __________________ Dianne Thompson Acting City Manager Attachments: A – Report of City-wide Receipts, Disbursements, and Cash Balances July 2022 B – Report of City‐wide Fund Balances/Net Position July 2022 C – Fund Structure D – Weekly Payment Register for Period Ending July 5, 20221 E – Weekly Payment Register for Period Ending July 11, 2022 F – Weekly Payment Register for Period Ending July 18, 2022 G – Weekly Payment Register for Period Ending July 25, 2022 H – Weekly Payment Register for Period Ending August 1, 2022 I – Weekly Payment Register PERS for Period Ending August 1, 2022 1Attached for reference. Weekly Payment Register for Period Ending July 5, 2022 was reviewed by Audit Committee on July 25, 2022 and City Council on August 16, 2022. 106 July 2022 Report of City‐wide Receipts, Disbursements, and Cash Balances Cash and Investments  Beginning Balance  Ending Balance  Fund Type Fund Number/Name  as of June 30, 2022  Receipts  Disbursements  Journal Adjustments  as of July 31, 2022  General Fund 100  General Fund 123,658,748                        6,296,718          (8,889,105)                 58,112                                 121,124,472                         General Fund 130  Investment Fund (40,628)                                 ‐                          ‐                                  ‐                                           (40,628)                                 Special Revenue Funds 210  Storm Drain Improvement 2,346,706                             ‐                          ‐                                  ‐                                           2,346,706                             Special Revenue Funds 215  Storm Drain AB1600 1,867,676                            2,618                  ‐                                  ‐                                           1,870,294                             Special Revenue Funds 230  Env Mgmt Cln Crk Strm Drain 1,354,846                            9,089                 (106,867)                     ‐                                           1,257,068                             Special Revenue Funds 260  CDBG 454,218                               312,955             (142,031)                     ‐                                           625,143                                Special Revenue Funds 261  HCD Loan Rehab 232,280                                ‐                          ‐                                  ‐                                           232,280                                Special Revenue Funds 265  BMR Housing 5,986,907                            3,350                 (52,315)                       ‐                                           5,937,942                             Special Revenue Funds 270  Transportation Fund 12,406,736                          222,027             (385,645)                     ‐                                           12,243,118                           Special Revenue Funds 271  Traffic Impact 752,839                                ‐                          ‐                                  ‐                                           752,839                                Special Revenue Funds 280  Park Dedication 22,143,072                           ‐                         (16,390)                      (500,000)                              21,626,682                           Special Revenue Funds 281  Tree Fund 138,713                                ‐                          ‐                                  ‐                                           138,713                                Debt Service Funds 365  Public Facilities Corp 6,850                                    ‐                          ‐                                  ‐                                           6,850                                    Capital Project Funds 420  Capital Improvement Fund 29,865,158                          529,854             (327,113)                    500,000                               30,567,899                           Capital Project Funds 427  Stevens Creek Corridor Park 174,018                                ‐                          ‐                                  ‐                                           174,018                                Capital Project Funds 429  Capital Reserve* 9,546,568                             ‐                          ‐                                  ‐                                           9,546,568                             Enterprise Funds 520  Resource Recovery 6,199,161                            119,834             (164,649)                     ‐                                           6,154,346                             Enterprise Funds 560  Blackberry Farm 1,249,380                            2,100                 (65,414)                      62,558                                 1,248,624                             Enterprise Funds 570  Sports Center 2,066,764                             ‐                         (269,416)                    381,327                               2,178,675                             Enterprise Funds 580  Recreation Program 3,359,221                            8,093                 (321,020)                    222,971                               3,269,265                             Internal Service Funds 610  Innovation & Technology 2,207,601                             ‐                         (304,582)                     ‐                                           1,903,019                             Internal Service Funds 620  Workersʹ Compensation 4,027,804                             ‐                         (162,845)                    (5,812)                                  3,859,147                             Internal Service Funds 630  Vehicle/Equip Replacement 1,117,855                             ‐                         (118,060)                     ‐                                           999,795                                Internal Service Funds 641  Compensated Absence/LTD 691,754                                ‐                         9,592                          ‐                                           701,346                                Internal Service Funds 642  Retiree Medical (121,938)                               ‐                         (111,224)                     ‐                                           (233,163)                               Total 231,692,309$                      7,506,639$        (11,427,085)$             719,155$                             228,491,018$                       * For reporting purposes, this fund rolls up/combines with Fund 420 Printed August 17, 2022 10 7 July 2022 Report of City‐wide Fund Balances/Net Position Beginning Fund Balance Ending Fund Balance Fund Type Fund Number/Name as of June 30, 2022 Revenues Expenditures as of July 31, 2022 General Fund 100  General Fund 113,913,711                                    1,635,460                          4,619,276                          110,929,894                                     General Fund 130  Investment Fund (1,200)                                               ‐                                          ‐                                         (1,200)                                               Special Revenue Funds 210  Storm Drain Improvement 2,346,706                                         ‐                                          ‐                                         2,346,706                                         Special Revenue Funds 215  Storm Drain AB1600 1,867,676                                        2,618                                  ‐                                         1,870,294                                         Special Revenue Funds 230  Env Mgmt Cln Crk Strm Drain 1,367,438                                        302                                    86,346                               1,281,394                                         Special Revenue Funds 260  CDBG 1,333,546                                         ‐                                         10,272                               1,323,274                                         Special Revenue Funds 261  HCD Loan Rehab 232,280                                            ‐                                          ‐                                         232,280                                            Special Revenue Funds 265  BMR Housing 5,945,187                                        3,350                                 10,595                               5,937,942                                         Special Revenue Funds 270  Transportation Fund 12,367,186                                       ‐                                         131,623                             12,235,563                                       Special Revenue Funds 271  Traffic Impact 752,839                                            ‐                                          ‐                                         752,839                                            Special Revenue Funds 280  Park Dedication 22,122,166                                       ‐                                         500,000                             21,622,166                                       Special Revenue Funds 281  Tree Fund 138,713                                            ‐                                          ‐                                         138,713                                            Debt Service Funds 365  Public Facilities Corp 6,850                                                ‐                                          ‐                                         6,850                                                Capital Project Funds 420  Capital Improvement Fund 27,058,626                                      500,000                             124,558                             27,434,068                                       Capital Project Funds 427  Stevens Creek Corridor Park 174,018                                            ‐                                          ‐                                         174,018                                            Capital Project Funds 429  Capital Reserve* 9,546,568                                         ‐                                          ‐                                         9,546,568                                         Enterprise Funds 520  Resource Recovery 5,210,293                                        83,693                               62,744                               5,231,242                                         Enterprise Funds 560  Blackberry Farm 915,367                                           64,599                               26,835                               953,131                                            Enterprise Funds 570  Sports Center 2,265,800                                        345,451                             254,350                             2,356,901                                         Enterprise Funds 580  Recreation Program 2,474,718                                        311,602                             107,705                             2,678,615                                         Internal Service Funds 610  Innovation & Technology 767,524                                            ‐                                         236,908                             530,616                                            Internal Service Funds 620  Workersʹ Compensation 2,591,391                                         ‐                                         168,657                             2,422,734                                         Internal Service Funds 630  Vehicle/Equip Replacement 2,012,509                                         ‐                                         70,883                               1,941,626                                         Internal Service Funds 641  Compensated Absence/LTD 691,754                                           17,626                               8,034                                 701,346                                            Internal Service Funds 642  Retiree Medical (3,732)                                               ‐                                         111,224                             (114,957)                                           Total 216,097,932$                                  2,964,700$                        6,530,009$                        212,532,623$                                   * For reporting purposes, this fund rolls up/combines with Fund 420 Printed August 17, 2022 10 8 Fund Structure For accounting purposes, a state or local government is not treated as a single, integrated entity but as a collection of smaller separate businesses known as 'funds.' Fund accounting is an accounting system emphasizing accountability rather than profitability. In this system, a fund is a self-balancing set of accounts segregated for specific purposes in accordance with laws and regulations or special restrictions and limitations. The City’s finances are structured in a variety of funds that are the basic accounting and reporting entities in governmental accounting. The funds are grouped into two major categories: Governmental and Proprietary Funds. The purpose of each fund is described below. Governmental Funds Governmental Funds are those through which most governmental functions of the City are financed. The acquisition, use, and balances of the City’s expendable financial resources and the related liabilities (except those accounted for in the Proprietary Funds) are accounted for through governmental funds. Governmental funds include General, Special Revenue, Debt Service, and Capital Projects Funds. They are accounted for under the modified accrual basis of accounting. General Fund The General Fund is the primary operating fund for governmental services. The General Fund is a tax- supported fund. General Fund Purpose 100 General The General Fund is used to pay for core services such as public safety, parks and recreation, community development, public works, and a host of other vital services. The revenue used to pay for these services comes primarily from local taxes such as sales tax, property tax, franchise fees, charges for services, and a variety of other discretionary sources. 130 Investment Accounts for activities related to the City's investment portfolio. Special Revenue Funds Special Revenue Funds account for the proceeds of specific revenue sources that are legally restricted to expenditures for specific purposes. Special Revenue Funds include the Storm Drain, Environmental Management/Clean Creek, Community Development Block Grant, BMR Housing, Transportation, and Park Dedication funds. Fund Structure 1 109 Special Revenue Funds Purpose 210 Storm Drain Improvement Accounts for the construction and maintenance of storm drain facilities, including drainage and sanitary sewer facilities. Projects are funded by the Capital Reserve. 215 Storm Drain AB1600 Accounts for AB1600 revenue from development impact fees. Revenues were collected from developers as a result of connections to the storm drainage sewer system. 230 Environmental Management/Clean Creek/Storm Drain Accounts for activities related to operating the Non-Point Source Pollution Program. Revenues are from parcel taxes. 260 Community Development Block Grant Accounts for the Federal Housing and Community Development Block Grant (CDBG) Program activities. CDBG is a federally funded program for housing assistance and public improvements. 261 HCD Loan Rehab Accounts for activities related to Community Development Block Grant (CDBG) rehabilitation loans. 265 BMR Housing Accounts for activities related to the Below Market Rate (BMR) Housing Program. Revenues include BMR Housing Mitigation Fees collected from developers to mitigate the impact of housing needs. Monies in this fund are governed by the program's rules. 270 Transportation Accounts for the City's gas tax, vehicle registration fees, and grant revenues and expenditures related to the maintenance and construction of City streets. All revenue in this fund is restricted exclusively for street and road purposes, including related engineering and administrative expenditures. 271 Traffic Impact Accounts for development impact fees to ensure that new development and redevelopment projects pay their "fair share" to mitigate traffic impacts. 280 Park Dedication Accounts for the activity granted by the business and professions code of the State of California in accordance with the open space and conservation element of the City’s General Plan. Revenues are restricted for the acquisition, improvement, expansion, and implementation of the City's parks and recreation facilities. 281 Tree Accounts for revenues from in-lieu tree replacement fees and tree damage and removal fees. The revenues are transferred to the Street Tree Maintenance program to pay for new and replacement trees. Fund Structure 2 110 Debt Service Funds Debt Service Funds account for financial resources that are restricted, commi?ed, or assigned to expenditures for and payment of principal and interest. Debt Service Funds Purpose 365 Public Facilities Corporation Accounts for the payments of principal and interest on certificates of participation issued to provide for the financing of the Civic Center, Library, Wilson Park, Memorial Park, and other City facilities. Capital Projects Funds Capital Projects Funds account for the acquisition and/or construction of major capital facilities. Capital Projects Funds Purpose 420 Capital Improvement Projects Accounts for activities related to the acquisition or construction of major capital facilities. 427 Stevens Creek Corridor Park Accounts for the design and construction of the Stevens Creek Corridor Park projects. 429 Capital Reserve Reserves to fund future capital improvement projects. Proprietary Funds Proprietary Funds are used to account for “business-type” activities. Proprietary Funds include Enterprise Funds and Internal Service funds. They are accounted for under the full accrual basis of accounting. Enterprise Funds Enterprise Funds are for specific services funded directly by fees charged for goods or services. Enterprise Funds include the Resource Recovery, Blackberry Farm, Sports Center, and Recreation Program funds. Enterprise Funds Purpose 520 Resource Recovery Accounts for activity related to the collection, disposal, and recycling of solid waste. A private company has been issued an exclusive franchise to perform the services. 560 Blackberry Farm Accounts for activities related to operating the City-owned golf course. 570 Sports Center Accounts for the operation and maintenance of the Cupertino Sports Center. 580 Recreation Program Accounts for activities of the City's community center and park facilities. Fund Structure 3 111 Internal Service Funds Internal Service Funds are for areas where goods or services are provided to other departments or governments on a cost-reimbursement basis. Internal Service Funds include the Innovation & Technology, Workers’ Compensation, Vehicle and Equipment Replacement, Compensated Absences & Long-Term Disability, and Retiree Medical funds. Internal Service Funds Purpose 610 Innovation & Technology Accounts for the activities related to the maintenance and replacement of the City's technology infrastructure. Equipment is depreciated based on the acquisition or historical costs for the useful life of the asset using the straight- line method. 620 Workers' Compensation Accounts for claims and insurance premiums related to workers' compensation. 630 Vehicle/Equipment Replacement Accounts for the purchase and maintenance of fleet and general equipment having a value greater than $5,000 and an expected life of more than one year. Assets are depreciated based on the acquisition or historical costs for the useful life of the asset and using the straight-line method. 641 Compensated Absences & Long-Term Disability Accounts for accrued leave payouts and the long-term disability insurance program. 642 Retiree Medical Accounts for funds set aside for Other Post-Employment Benefits (OPEB). Fund Structure 4 112 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Main Account - Main Checking Account Check 730563 07/01/2022 Open Accounts Payable ADVANTAGE GRAFIX $87.30 Invoice Date Description Amount 46716 06/18/2022 FY21-22- PW CIP - BBF graphics and fact sheet $87.30 Paying Fund Cash Account Amount 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $87.30 730564 07/01/2022 Open Accounts Payable American Assured Security, Inc.$423.50 Invoice Date Description Amount 48907 06/19/2022 FY21-22 QCC Rental Security Staff 6/11/22 $423.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $423.50 730565 07/01/2022 Open Accounts Payable AMERICAN PORTABLES $8,763.83 Invoice Date Description Amount 1481 06/14/2022 FY21-22 4th of July - Portable Restrooms $8,763.83 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $8,763.83 730566 07/01/2022 Open Accounts Payable BUBBLE MARKETING $1,616.40 Invoice Date Description Amount 31451 03/30/2022 C-900 Club Wipes FY 21-22 $538.80 32418 06/22/2022 c-600 Citrus Refill FY 21-22 $1,077.60 Paying Fund Cash Account Amount 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $1,616.40 730567 07/01/2022 Open Accounts Payable California Association Public Information Official $25.00 Invoice Date Description Amount 16052 06/27/2022 FY21-22: Kavitha Registration for CAPIO Webinar Training $25.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $25.00 730568 07/01/2022 Open Accounts Payable CALIFORNIA WATER SERVICE $29,386.60 Invoice Date Description Amount 3333-062322 06/23/2022 FY 21-22 5926633333 5/18/22-6/17/22 $29,386.60 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $29,386.60 730569 07/01/2022 Open Accounts Payable CALIFORNIA WATER SERVICE $16,156.37 Invoice Date Description Amount 3333-052322 05/23/2022 FY 21-22 5926633333 4/20/22-5/17/22 $16,156.37 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $16,156.37 Tuesday, July 05, 2022Pages: 1 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 113 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730570 07/01/2022 Open Accounts Payable CINTAS $1,877.64 Invoice Date Description Amount 4123769248 06/28/2022 FY 21-22 Uniforms Safety Apparel $1,877.64 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,877.64 730571 07/01/2022 Open Accounts Payable CLAP Arts $9,248.85 Invoice Date Description Amount CLAPSpringJune22 06/28/2022 FY21-22: CLAP Arts Spring 2022 June Payment $9,248.85 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $9,248.85 730572 07/01/2022 Open Accounts Payable COLANTUONO, HIGHSMITH & WHATLEY, PC $165.53 Invoice Date Description Amount 52212 06/06/2022 FY 21-22 - Legal Services, May 2022 $165.53 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $165.53 730573 07/01/2022 Open Accounts Payable COUNTY OF SANTA CLARA $18,109.67 Invoice Date Description Amount 1800081782 06/08/2022 FY21-22 - Apple Worldwide Developers Conf 6/6/22 $18,109.67 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,109.67 730574 07/01/2022 Open Accounts Payable COUNTY OF SANTA CLARA $620.00 Invoice Date Description Amount IN1259707 06/15/2022 FY 21-22 Streets: Env Health Permit Fee $620.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $620.00 730575 07/01/2022 Open Accounts Payable County of Santa Clara $350.00 Invoice Date Description Amount DIR-2021-027 06/29/2022 Exempt Filing FY21-22 $50.00 DIR-2022-002 06/29/2022 Exempt Filing FY21-22 $50.00 DIR-2022-009 06/29/2022 Exempt Filing FY21-22 $50.00 R-2021-048 06/29/2022 Exempt Filing FY21-22 $50.00 RM-2021-035 06/29/2022 Exempt Filing FY21-22 $50.00 TR-2022-019 06/29/2022 Exempt Filing FY21-22 $50.00 TUP-2022-003 06/29/2022 Exempt Filing FY21-22 $50.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $350.00 730576 07/01/2022 Open Accounts Payable Cupertino Union School District $355.10 Invoice Date Description Amount AT22-00015 06/16/2022 FY21-22 McClellan Field Trip bus- Meyeholz School 5.16.22 $177.55 Tuesday, July 05, 2022Pages: 2 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 114 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference AT22-00016 06/16/2022 FY21-22 McClellan Field Trip bus- Meyeholz School 5.17.22 $177.55 Paying Fund Cash Account Amount 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $355.10 730577 07/01/2022 Open Accounts Payable DAVID WELLHOUSE & ASSOCIATES, INC. $4,000.00 Invoice Date Description Amount 1830 06/21/2022 FY 21-22 Services, Project ID CUPSB90F22 $4,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,000.00 730578 07/01/2022 Open Accounts Payable Degree HVAC, Inc $3,415.00 Invoice Date Description Amount 28927 06/24/2022 Facilities - FY 21-22 HVAC Services Sports Center $2,650.00 28850 06/24/2022 FY 21-22 Sport Center Unit #2 Rooftop Repair $765.00 Paying Fund Cash Account Amount 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $3,415.00 730579 07/01/2022 Open Accounts Payable Facilitron Inc.$1,447.80 Invoice Date Description Amount JX3M3B7U5ZAH-7 06/27/2022 FY 21/22 Recreation Department Rental CHS Field House $1,447.80 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $1,447.80 730580 07/01/2022 Open Accounts Payable FHDA CCD EUPHRAT MUSEUM DE ANZA COLLEGE $2,111.40 Invoice Date Description Amount EuphSpring22-1 06/28/2022 FY21-22 Spring 2022 Contractor Payment 1 - Euphrat Museum of Art $2,111.40 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $2,111.40 730581 07/01/2022 Open Accounts Payable Foster Brothers Security Systems $409.87 Invoice Date Description Amount 1882 06/27/2022 Facilities - FY 21-22 Cut Key, Deadbolt $409.87 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $409.87 730582 07/01/2022 Open Accounts Payable FREMONT UNION HIGH SCHOOL DISTRICT $40,575.00 Invoice Date Description Amount FY21-22 FUHSD 06/28/2022 FY21-22 FUHSD Contractor Closing Payment $40,575.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $40,575.00 Tuesday, July 05, 2022Pages: 3 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 115 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730583 07/01/2022 Open Accounts Payable Freyer & Laureta, Inc.$1,885.00 Invoice Date Description Amount 22-325 06/10/2022 FY 21-22 Service Center Security Project Task I & III $1,885.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,885.00 730584 07/01/2022 Open Accounts Payable H.T. Harvey & Associates $255.00 Invoice Date Description Amount 60742 05/31/2022 FY21-22-RCT Mitigation Monitoring & Report through 04302022 $255.00 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $255.00 730585 07/01/2022 Open Accounts Payable Hexagon Transportation Consultants, Inc. $3,500.00 Invoice Date Description Amount 15724 06/29/2022 FY21-22 10046 Bianchi Way Peer Review 2022/06 $3,500.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,500.00 730586 07/01/2022 Open Accounts Payable HOME DEPOT CREDIT SERVICES $5,209.11 Invoice Date Description Amount 321380 05/27/2022 FY 21-22 Grounds - Ralph A Parawedge $18.76 4013788 06/02/2022 FY 21-22 Streets Michael K Roller Cover $122.50 5321940 06/01/2022 FY 21-22 Grounds Brandon M Strap Wrench, Multi- Tool Blade Kit $923.28 6321892 05/31/2022 FY 21-22 Streets John S Gravel Final Backfill for Cordova Wall $23.06 3013910 06/03/2022 FY 21-22 Grounds-Brandon Morales Spreader $91.78 4605180 06/02/2022 FY 21-22 Fleet Cesar G Blue Bungee $3.83 6372974 06/10/2022 FY 21-22 Streets Dan B Socket $59.00 7518229 06/09/2022 FY 21-22 Facilities Domingo S Headlamp, Slide-on Under Seal $51.70 6520362 05/31/2022 FY 21-22 Facilities Robert G Lightbulbs $21.84 2390487 06/14/2022 FY 21-22 Grounds Travis Warner Lithium Ion Power Batt Bkpak $610.31 1035716 06/15/2022 FY 21-22 Grounds-Brandon Martinez Concrete Mix $181.86 9322748 06/17/2022 FY 21-22 Trees/ROW Diego Plywood, Lumber, Cannon, Surge Protec. $172.24 4010025 06/22/2022 FY 21-22 Streets John Stiehr 9oz Gorilla Max Adhesive $212.79 4030412 06/22/2022 FY 21-22 Grounds Brandon M Kneeling pad, Battery, Wrench, Brush $1,083.45 5390499 06/21/2022 FY 21-22 Grounds Sean Filbeck Brown Stain, Screw, Stakes $26.02 4520358 06/22/2022 FY 21-22 Facilities Ty B High Output Batt, Multi Tool $620.16 4512557 06/22/2022 FY 21-22 Facilities Ty B Measure, Blade Kit, Wrench, Bit Set $702.46 5400737 06/21/2022 FY 21-22 Grounds Sean Filbeck Brown Stain $9.67 Tuesday, July 05, 2022Pages: 4 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 116 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 4520334 06/22/2022 FY 21-22 Facilities Domingo Smartlock, GFCI, Batteries $95.03 3323117 06/23/2022 FY 21-22 Streets - Juan Deleon 2" Coupling $52.02 3090710 06/23/2022 FY 21-22 Trees/ROW Justice P 3 Hole 3/4 Deep Silver $63.98 3512972 06/23/2022 FY 21-22 Facilities Domingo S Ridgid Hi Effceny Fltr $63.37 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,735.91 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $59.00 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $387.31 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $23.06 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $3.83 730587 07/01/2022 Open Accounts Payable ICLEI-LOCAL GOV FOR SUSTAINABILITY $1,200.00 Invoice Date Description Amount 2747 05/02/2022 FY21-22 : Annual Membership Dues 8/1/2022- 7/31/2023 $1,200.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,200.00 730588 07/01/2022 Open Accounts Payable INTERSTATE BATTERY SYSTEM SAN JOSE INC. $268.10 Invoice Date Description Amount 60290859 06/21/2022 FY 21-22 Fleet: batteries $268.10 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $268.10 730589 07/01/2022 Open Accounts Payable IRON MOUNTAIN $1,622.42 Invoice Date Description Amount GRSB583 06/30/2022 FY 21-22 - City Clerk Office Storage for 7/1/22-7/31/22 $1,622.42 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,622.42 730590 07/01/2022 Open Accounts Payable Jumaini Judoprasetijo $625.75 Invoice Date Description Amount Jumaini060422 06/04/2022 FY21-22 - 2022 GFOA Conference $625.75 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $625.75 730591 07/01/2022 Open Accounts Payable KELLY-MOORE PAINT CO INC $146.33 Invoice Date Description Amount 808-00000848876 06/24/2022 Facilities - FY 21-22 Acryl Prim/Sealer $146.33 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $146.33 Tuesday, July 05, 2022Pages: 5 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 117 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730592 07/01/2022 Open Accounts Payable MAD SCIENCE OF THE BAY AREA $7,257.00 Invoice Date Description Amount MSCSpring22-June 06/28/2022 FY21-22 Spring Payment June - Mad Science $7,257.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $7,257.00 730593 07/01/2022 Open Accounts Payable NAPA AUTO PARTS $737.84 Invoice Date Description Amount 5983-767285 06/21/2022 Fleet - FY 21-22 Brake Pad, Valve, Brake Rotor $481.06 5983-767521 06/22/2022 Fleet - FY 21-22 Brake Rotor $171.33 5983-767785 06/23/2022 Fleet - FY 21-22 Spark Plug, 24 Valve $45.24 767297 06/21/2022 Fleet - FY 21-22 Spark Plugs Part#'s 7599 and 3066 $40.21 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $737.84 730594 07/01/2022 Open Accounts Payable OCCUPATIONAL HEALTH CENTERS OF CALIFORNIA $64.00 Invoice Date Description Amount 75671177 06/13/2022 FY21-22 TB Test - R.Bhasin, R. Katare $64.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $64.00 730595 07/01/2022 Open Accounts Payable PACIFIC COAST TRANE SERVICE $122.30 Invoice Date Description Amount JC100139 06/13/2022 Facilities - FY 21-22 Library $122.30 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $122.30 730596 07/01/2022 Open Accounts Payable PG&E $233.98 Invoice Date Description Amount 0349-062322 06/23/2022 FY 21-22 3042033034-9 5/20/22-6/17/22 $203.89 0719-062322 06/23/2022 FY 21-22 9223068071-9 5/19/22-6/16/22 $30.09 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $233.98 730597 07/01/2022 Open Accounts Payable REUSER INC.$3,196.37 Invoice Date Description Amount 6902 06/21/2022 Trees/ROW - FY 21-22 Woodchips $3,196.37 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,196.37 730598 07/01/2022 Open Accounts Payable Rodney Weathers $690.00 Invoice Date Description Amount RodneyW06142022 06/14/2022 ICC Commercial Electrical Inspector Certification FY21 -22 $230.00 RodneyW06282022 06/28/2022 ICC Residential Plumbing Inspector Certification FY21- 22 $230.00 Tuesday, July 05, 2022Pages: 6 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 118 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference RodneyW062822 06/28/2022 ICC Residential Electrical Inspector Certification FY21- 22 $230.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $690.00 730599 07/01/2022 Open Accounts Payable Royal Coach Tours $49.00 Invoice Date Description Amount 22810 06/21/2022 06/15/2022 Historic Napa River - Time Overage $49.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $49.00 730600 07/01/2022 Open Accounts Payable SIERRA PACIFIC TURF SUPPLY INC $1,103.77 Invoice Date Description Amount 0623197-IN 06/17/2022 Grounds - FY 21-22 Tri-Cure AD 2.5gal, Surge 25% POLYS $1,103.77 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,103.77 730601 07/01/2022 Open Accounts Payable STATE WATER RESOURCES CONTROL BOARD $200.00 Invoice Date Description Amount 551178 06/24/2022 Application fee for Memorial Park Ponds SWRCB $200.00 Paying Fund Cash Account Amount 280 - Park Dedication 280 100-100 (Cash & Investments Assets Operating Cash) $200.00 730602 07/01/2022 Open Accounts Payable STERICYCLE INC $673.63 Invoice Date Description Amount 3005877442 02/01/2022 FY21-22 Hazamat Pickup at BBF 2022 Calendar Year $673.44 3005954679 04/01/2022 FY21-22 Late Fee for Hazamat Pickup Payment for 2022 $0.19 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $673.63 730603 07/01/2022 Open Accounts Payable THE GOODYEAR TIRE & RUBBER COMPANY $1,002.56 Invoice Date Description Amount 189-1108778 06/22/2022 FY21-22 Fleet: tires $1,002.56 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $1,002.56 730604 07/01/2022 Open Accounts Payable UNIVERSAL DIALOG INC.$200.00 Invoice Date Description Amount 5779-ENTC 06/23/2022 FY21-22 Postcard translation services for AB1276 info $80.00 5781-ENTC 06/23/2022 FY21-22 translation services for single-use plastics flyer $120.00 Paying Fund Cash Account Amount Tuesday, July 05, 2022Pages: 7 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 119 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $200.00 730605 07/01/2022 Open Accounts Payable DAI, LULU $3,000.00 Invoice Date Description Amount 273398 06/28/2022 21837 Monte Ct, Encroachment Bond, 273398 $3,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,000.00 730606 07/01/2022 Open Accounts Payable DANIEL ZAMANO $298.89 Invoice Date Description Amount 308182 06/24/2022 REFUND 10441 GLENVIEW AVE BLD-2022-0565 WITHDRAWN FY21-22 $298.89 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $298.89 730607 07/01/2022 Open Accounts Payable KYUNG LEE $163.00 Invoice Date Description Amount 312018 06/29/2022 FY21-22 The applicant cancelled the application $163.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $163.00 730608 07/01/2022 Open Accounts Payable LUO WEI $882.00 Invoice Date Description Amount 307214 06/24/2022 REFUND 10340 PLUM TREE LN BLD-2022-0407 WITHDRAWN FY21-22 $882.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $882.00 730609 07/01/2022 Open Accounts Payable Nathan Vasquez $30.00 Invoice Date Description Amount Vasquez062322 06/23/2022 FY21-22 Live Scan and Fingerprinting Reimbursement $30.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $30.00 730610 07/01/2022 Open Accounts Payable SHANKO WANG $5,000.00 Invoice Date Description Amount 276232 06/22/2022 REFUND 1143 KENTWOOD AVE B-2018-1242 TCO BOND FY21-22 $5,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,000.00 730611 07/01/2022 Open Accounts Payable THOMAS JAMES HOMES $3,700.00 Invoice Date Description Amount 269874 06/29/2022 10206&10208 Orange Ave, FP Bond 10%, 269874 $3,700.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,700.00 Tuesday, July 05, 2022Pages: 8 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 120 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730612 07/01/2022 Open Accounts Payable Applied Development Economics $18,600.00 Invoice Date Description Amount 3221260 03/31/2022 FY21-22: Applied Development Economics - March 2022 $5,300.00 422160 04/30/2022 FY21-22: Applied Development Economics - April 2022 $5,400.00 5221260 05/31/2022 FY21-22: Applied Development Economics - May 2022 $7,900.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,600.00 730613 06/30/2022 Open Accounts Payable Affordable Water Heaters & Plumbing Inc. $171.50 Invoice Date Description Amount RefundB2018-1950 12/11/2018 Refund 28358 Constellation Rd B-2018-1950-Permit Refund $171.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $171.50 730614 06/30/2022 Open Accounts Payable Bhutta, Syeda Asra $300.00 Invoice Date Description Amount 5310 12/18/2018 Social Room, deposit refund, 12.16.18, Permit R5310 $300.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $300.00 Type Check Totals:52 Transactions $201,532.41 EFT 34626 06/27/2022 Open Accounts Payable EMPLOYMENT DEVEL DEPT $45,096.47 Invoice Date Description Amount 06172022 06/17/2022 FY21-22 CA State Tax pp 6/4/22-6/17/22 $45,096.47 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $45,096.47 34627 06/27/2022 Open Accounts Payable IRS $149,085.57 Invoice Date Description Amount 06172022 06/17/2022 FY21-22 Federal Tax pp 6/4/22-6/17/22 $149,085.57 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $149,085.57 34628 06/30/2022 Open Accounts Payable P E R S $159,517.80 Invoice Date Description Amount 06172022 06/17/2022 FY21-22 PERS Employee pp 6/4/22-6/17/22 $159,517.80 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $159,517.80 34629 06/30/2022 Open Accounts Payable P E R S $526.36 Invoice Date Description Amount 06012022 06/17/2022 FY21-22 PERS Council pp 6/1/22-6/30/22 $526.36 Paying Fund Cash Account Amount Tuesday, July 05, 2022Pages: 9 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 121 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $526.36 34630 06/27/2022 Open Accounts Payable USPS - EFT ONLY $3,922.30 Invoice Date Description Amount 486397401 05/27/2022 CUPERTINO SCENE INC - BBF Golf Mailer $3,922.30 Paying Fund Cash Account Amount 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $3,922.30 34631 06/27/2022 Open Accounts Payable USPS - EFT ONLY $3,922.30 Invoice Date Description Amount 486486158 05/28/2022 CUPERTINO SCENE INC $3,922.30 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,922.30 34632 06/27/2022 Open Accounts Payable USPS - EFT ONLY $393.29 Invoice Date Description Amount 490226639 06/21/2022 CUPERTINO SCENE INC $393.29 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $393.29 34633 06/28/2022 Open Accounts Payable California Public Employees' Retirement System $1.08 Invoice Date Description Amount 100000016835501 06/14/2022 2022 Replacement Benefit Contribution Charges $1.08 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1.08 34634 06/28/2022 Open Accounts Payable California Public Employees' Retirement System $1,029.30 Invoice Date Description Amount 100000016841152 06/20/2022 1959 Survivor Billing Adjustment $1,029.30 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,029.30 34635 06/28/2022 Open Accounts Payable California Public Employees' Retirement System $6,852.60 Invoice Date Description Amount 100000016840909 06/20/2022 1959 Survivor Billing Adjustment $6,852.60 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,852.60 34636 06/28/2022 Open Accounts Payable California Public Employees' Retirement System $3,073.80 Invoice Date Description Amount 100000016841186 06/20/2022 1959 Survivor Billing Adjustment $3,073.80 Paying Fund Cash Account Amount Tuesday, July 05, 2022Pages: 10 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 122 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,073.80 34637 07/01/2022 Open Accounts Payable ALESHIRE & WYNDER, LLP $945.00 Invoice Date Description Amount 68669 06/23/2022 FY21-22 Vallco SB35 Legal Review 2022/05 $945.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $945.00 34638 07/01/2022 Open Accounts Payable Amazon Capital Services $54.34 Invoice Date Description Amount 197F-D9XM-W4RJ 06/27/2022 FY21-22 Nidhi - CIO Leadership for Cities and Counties $32.68 1PGP-CQP1-QLVN 06/20/2022 FY21-22 (Amazon - AA batteries)$21.66 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $54.34 34639 07/01/2022 Open Accounts Payable B&H PHOTO VIDEO $2,373.89 Invoice Date Description Amount 203345427 06/22/2022 FY21-22 (RDL; ATEM Switcher; Video Assist 7"; Tiffen 77MM) $2,373.89 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,373.89 34640 07/01/2022 Open Accounts Payable BECK'S SHOES INCORPORATED $400.00 Invoice Date Description Amount 256588-00 06/24/2022 Uniforms Safety Apparel - FY 21-22 Boots Junnie Hemann $400.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $400.00 34641 07/01/2022 Open Accounts Payable BIKEEP INC.$49.00 Invoice Date Description Amount 17854 06/30/2022 FY21-22 - Monthly Bikeep Fee $49.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $49.00 34642 07/01/2022 Open Accounts Payable Boucher Law, PC $18,646.80 Invoice Date Description Amount 1073 06/21/2022 FY21-22 Labor & Employment Law Matters APR 2022 $11,230.60 1074 06/21/2022 FY 21-22 2022 Labor Negotiations $7,416.20 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,646.80 34643 07/01/2022 Open Accounts Payable CALIFORNIA COMMERCIAL FENCE $62,125.82 Invoice Date Description Amount 2383 06/17/2022 FY21-22-City of Cupertino - Regnart Creek Trail $62,125.82 Paying Fund Cash Account Amount Tuesday, July 05, 2022Pages: 11 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 123 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $62,125.82 34644 07/01/2022 Open Accounts Payable CHESAPEAKE SYSTEMS INTERNATIONAL, LLC $6,000.00 Invoice Date Description Amount 00014012 06/24/2022 FY21-22 Consultancy, custom development & Server Migration $6,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,000.00 34645 07/01/2022 Open Accounts Payable CODELINKD, LLC $930.00 Invoice Date Description Amount CODEL_SPR2022-1 06/29/2022 FY21-22 CODELINKD_SPRING2022-PAYMENT 1 $930.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $930.00 34646 07/01/2022 Open Accounts Payable COLLEEN FERRIS $55.00 Invoice Date Description Amount ColleenF061622 06/16/2022 cell phone service 5/17-6/16 FY 21-22 $55.00 Paying Fund Cash Account Amount 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $55.00 34647 07/01/2022 Open Accounts Payable Communication Academy $3,052.00 Invoice Date Description Amount CASpring22-1 06/28/2022 FY21-22 Spring 2022 Contractor Payment 1 - Communication Academy $3,052.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $3,052.00 34648 07/01/2022 Open Accounts Payable CUPERTINO SUPPLY INC $886.45 Invoice Date Description Amount 293323 06/17/2022 Facilities - FY 21-22 Brass Spud $70.71 293451 06/20/2022 FY21-22 Grounds: supplies $808.10 293453 06/20/2022 FY 21-22 Grounds: supplies $7.64 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $886.45 34649 07/01/2022 Open Accounts Payable Environmental Systems Research Institute, Inc. $1,000.00 Invoice Date Description Amount 94273360 06/22/2022 FY21-22 ArcGIS Online Service Credits; Block of 1,000 $1,000.00 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $1,000.00 34650 07/01/2022 Open Accounts Payable FitPros $2,200.00 Invoice Date Description Amount 2091 02/15/2022 FY21-22 - Health Talk - Diversity, Equity & Inclusion $2,200.00 Paying Fund Cash Account Amount Tuesday, July 05, 2022Pages: 12 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 124 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,200.00 34651 07/01/2022 Open Accounts Payable FolgerGraphics $3,788.32 Invoice Date Description Amount 132727 06/21/2022 FY21-22 - CIP PW: Jollyman Park Postcard Mailer $2,866.71 132747 06/23/2022 FY21-22 4th of July Postcards $497.61 132012 04/14/2022 FY21-22 Earth Day Postcards $424.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $497.61 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $2,866.71 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $424.00 34652 07/01/2022 Open Accounts Payable GARDENLAND POWER EQUIPMENT $735.82 Invoice Date Description Amount 941329 06/24/2022 Trees/ROW - FY 21-22 Hand Saw, Pole Runner, Pruner, Holster $735.82 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $735.82 34653 07/01/2022 Open Accounts Payable GRAINGER INC $1,808.46 Invoice Date Description Amount 9348051047 06/16/2022 Fleet - FY 21-22 Number Label 5, 7, 9, Cam and Groove Gasket $66.19 9348051005 06/16/2022 Fleet - FY 21-22 Cord Reel w/Lamp $367.77 9348051054 06/16/2022 Fleet - FY 21-22 #Label 0, 2, 3, 4, 6, 8, 1 Stencil Kit $344.44 9348051021 06/16/2022 Fleet - FY 21-22 Hose Reel 1/4 50Ft, 25Ft, Cord Reel w/Lamp $1,002.87 9352703681 06/21/2022 FY 21-22 Streets: marking flag $27.19 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $27.19 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $1,781.27 34654 07/01/2022 Open Accounts Payable GYM PRECISION, INC.$195.00 Invoice Date Description Amount 17103 06/23/2022 Preventative Maintenance was performed on all gym equi FY 21-22 $195.00 Paying Fund Cash Account Amount 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $195.00 34655 07/01/2022 Open Accounts Payable INSERVH20 INC.$810.80 Invoice Date Description Amount 2065 06/03/2022 Facilities - FY 21-22 June 2022 Water Treatment $810.80 Paying Fund Cash Account Amount Tuesday, July 05, 2022Pages: 13 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 125 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $810.80 34656 07/01/2022 Open Accounts Payable Jill Haff $312.00 Invoice Date Description Amount Spring Payment 2 06/28/2022 FY21/22 payment for spring classes $312.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $312.00 34657 07/01/2022 Open Accounts Payable JINDY GARFIAS $55.00 Invoice Date Description Amount JindyG061122 06/11/2022 Cell Phone Reimbursement - FY 21-22 Jindy G 5-12- 22 to 6-11-22 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $55.00 34658 07/01/2022 Open Accounts Payable Jo Anne Johnson $605.00 Invoice Date Description Amount JoAnneJ072221 07/22/2021 Cell Phone Reimbursement through 07222021 $55.00 JoAnneJ082221 08/22/2021 Cell Phone Reimbursement through 08222021 $55.00 JoAnneJ092221 09/22/2021 Cell Phone Reimbursement through 09222021 $55.00 JoAnneJ102221 10/22/2021 Cell Phone Reimbursement through 10222021 $55.00 JoAnneJ112221 11/22/2021 Cell Phone Reimbursement through 11222021 $55.00 JoAnneJ122221 12/22/2021 Cell Phone Reimbursement through 12222021 $55.00 JoAnneJ012222 01/22/2022 Cell Phone Reimbursement through 01222022 $55.00 JoAnneJ022222 02/22/2022 Cell Phone Reimbursement through 02222022 $55.00 JoAnneJ032222 03/22/2022 Cell Phone Reimbursement through 03222022 $55.00 JoAnneJ042222 04/22/2022 Cell Phone Reimbursement through 04222022 $55.00 JoAnneJ052222 05/22/2022 Cell Phone Reimbursement through 05222022 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $605.00 34659 07/01/2022 Open Accounts Payable John Raaymakers $110.00 Invoice Date Description Amount JohnR051922 05/19/2022 FY21-22-Cell Phone Reimbursement through 042022- 051922 $55.00 JohnR061922 06/19/2022 FY21-22-Cell Phone Reimbursement through 052022- 061922 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $110.00 34660 07/01/2022 Open Accounts Payable JULIA KINST $55.00 Invoice Date Description Amount JuliaK06192022 06/19/2022 FY21-22-Cell Phone Reimbursement through 052022- 061922 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $55.00 Tuesday, July 05, 2022Pages: 14 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 126 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34661 07/01/2022 Open Accounts Payable KEVIN GREENE $165.00 Invoice Date Description Amount KevinG041822 04/18/2022 Cell Phone Reimbursement - FY 21-22 Kevin G 3-19- 22 to 4-18-22 $55.00 KevinG051822 05/18/2022 Cell Phone Reimbursement - FY 21-22 Kevin G 4-19- 22 to 5-18-22 $55.00 KevinG061822 06/18/2022 Cell Phone Reimbursement - FY 21-22 Kevin G 05-19- 22 to 06-18-22 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $165.00 34662 07/01/2022 Open Accounts Payable KIMBALL-MIDWEST $244.29 Invoice Date Description Amount 100045972 06/21/2022 Fleet - FY 21-22 Grease Fit Adapt Set Tire Detailer $244.29 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $244.29 34663 07/01/2022 Open Accounts Payable MOSS ADAMS LLP $1,400.00 Invoice Date Description Amount 102317463 06/24/2022 FY 21-22 Professional Services MAY 2022 $1,125.00 102318895 06/28/2022 FY21-22 Ongoing Program Management MAY 2022 $275.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,400.00 34664 07/01/2022 Open Accounts Payable ODP Business Solutions, LLC $1,537.82 Invoice Date Description Amount 247661236001 06/02/2022 Service Center - FY 21-22 Kitchen and Closet Supplies $145.29 242933531001 05/19/2022 FY 21-22 Office supplies $610.81 247281543001 06/07/2022 FY 21-22 Office supplies $57.07 249637604001 06/10/2022 Service Center - FY 21-22 Cabinet Supplies $315.20 249709100001 06/09/2022 Service Center - FY 21-22 Kitchen Supplies $112.52 249718344001 06/09/2022 FY21-22 - Office Supplies - Admin Svcs $80.69 245993377001 06/07/2022 Office Supplies - Batteries FY21-22 $216.24 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,537.82 34665 07/01/2022 Open Accounts Payable RANEY PLANNING & MANAGEMENT, INC. $1,998.82 Invoice Date Description Amount 2198E-7 06/16/2022 FY21-22 20860 McClellan Road Environmental Review 2022/05 $1,998.82 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,998.82 34666 07/01/2022 Open Accounts Payable RISE HOUSING SOLUTIONS, INC $31,692.00 Invoice Date Description Amount Cupertino - 014 06/30/2022 BMR Program Administrator 2022/06 FY21-22 $31,692.00 Paying Fund Cash Account Amount Tuesday, July 05, 2022Pages: 15 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 127 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 265 - BMR Housing 265 100-100 (Cash & Investments Assets Operating Cash) $31,692.00 34667 07/01/2022 Open Accounts Payable Robert Half $932.20 Invoice Date Description Amount 60213776 06/21/2022 FY21-22 Tiago BL Support Assistance - week of 06/17/22 $932.20 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $932.20 34668 07/01/2022 Open Accounts Payable ROSS RECREATION EQUIPMENT, INC. $17,261.75 Invoice Date Description Amount I21248 06/28/2022 Grounds - FY 21-22 Rubber Surfacing $17,261.75 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $17,261.75 34669 07/01/2022 Open Accounts Payable RRM DESIGN GROUP $10,521.25 Invoice Date Description Amount 1832-00-0522 06/17/2022 FY21-22 Design Review Consultant 2022/06 $3,488.75 2132-01-0322 04/21/2022 FY21-22 CWP Mixed Use Design Review Standards 2022/03 $4,865.00 2132-01-0222 03/21/2022 FY21-22 CWP Mixed Use Design Review Standards 2022/02 $2,167.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $10,521.25 34670 07/01/2022 Open Accounts Payable Ryan Do $28.84 Invoice Date Description Amount RyanD060922 06/09/2022 FY21-22-Cell Phone Reimbursement through 06092022 $28.84 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $28.84 34671 07/01/2022 Open Accounts Payable SHUTE, MIHALY & WEINBERGER LLP $3,861.70 Invoice Date Description Amount 277372 06/24/2022 FY21-22, Legal Services, May 1 - May 31 $3,601.70 277247 06/22/2022 FY21-22, Legal Services, May 1 - May 31 $260.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,861.70 34672 07/01/2022 Open Accounts Payable Spectrio LLC $14.62 Invoice Date Description Amount 1342042 05/03/2022 FY21-22 (Enplug Prorated April Invoice)$14.62 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $14.62 Tuesday, July 05, 2022Pages: 16 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 128 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34673 07/01/2022 Open Accounts Payable Tenji, Inc.$1,909.35 Invoice Date Description Amount 3718 06/24/2022 Facilities - FY 21-22 May 2022 Aquarium Services $1,909.35 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,909.35 34674 07/01/2022 Open Accounts Payable TURF STAR, INC.$152.01 Invoice Date Description Amount 7232577-00 06/20/2022 Fleet - FY 21-22 Filter-Fuel/Water Separator $152.01 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $152.01 34675 07/01/2022 Open Accounts Payable WEST COAST ARBORISTS, INC.$1,600.00 Invoice Date Description Amount 1-8066 06/20/2022 FY21-22 23500 Cristo Rey Arborist Review 2022/06 $1,600.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,600.00 34676 07/01/2022 Open Accounts Payable Whisper Trading & Services LLC $8,252.80 Invoice Date Description Amount 1734 06/16/2022 FY21-22 Headset Replacement for Senior Center Trips $8,252.80 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $8,252.80 34677 07/01/2022 Open Accounts Payable Zoom Video Communications, Inc.$286.72 Invoice Date Description Amount INV154041288 06/22/2022 FY21-22 Zoom Webinar 1000 - Jun 22, 2022-Jul 21, 2022 $286.72 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $286.72 Type EFT Totals:52 Transactions $562,473.74 Main Account - Main Checking Account Totals Checks Status Count Transaction Amount Reconciled Amount Open 52 $201,532.41 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 52 $201,532.41 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 52 $562,473.74 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 52 $562,473.74 $0.00 All Status Count Transaction Amount Reconciled Amount Open 104 $764,006.15 $0.00 Tuesday, July 05, 2022Pages: 17 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 129 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 104 $764,006.15 $0.00 Grand Totals: Checks Status Count Transaction Amount Reconciled Amount Open 52 $201,532.41 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 52 $201,532.41 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 52 $562,473.74 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 52 $562,473.74 $0.00 All Status Count Transaction Amount Reconciled Amount Open 104 $764,006.15 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 104 $764,006.15 $0.00 Tuesday, July 05, 2022Pages: 18 of 18user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 6/25/2022 - To Payment Date: 7/1/2022 130 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Main Account - Main Checking Account Check 730615 07/08/2022 Open Accounts Payable ARRANGED 4 COMFORT $975.95 Invoice Date Description Amount 22-8224-SH 07/01/2022 FY21-22 (SOMA Form High Back Task Chair $975.95 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $975.95 730616 07/08/2022 Open Accounts Payable Astro Jump of San Jose $2,875.00 Invoice Date Description Amount 92834 06/20/2022 FY21-22 4th of July Inflatables $2,875.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,875.00 730617 07/08/2022 Open Accounts Payable CALIFORNIA CONSULTING, INC.$687.50 Invoice Date Description Amount 5277 06/30/2022 FY21-22-Grant Writing Services - FEMA Requested $687.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $687.50 730618 07/08/2022 Open Accounts Payable COUNTY OF SANTA CLARA $600.00 Invoice Date Description Amount 1800081792 06/14/2022 FY 21-22 LIVESCAN Services MAY 22 $600.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $600.00 730619 07/08/2022 Open Accounts Payable CUPERTINO-HSINCHU SISTER CITY ASSOCIATION $2,825.00 Invoice Date Description Amount HSINCHU062122 06/21/2021 FY 21-22 Hsinchu Annual Reimbursement 2021-2022 $2,825.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,825.00 730620 07/08/2022 Open Accounts Payable Elcor Electric, Inc.$25,134.00 Invoice Date Description Amount 7736 06/28/2022 FY 21-22 Facilities City Hall Power Upgrade/QCC Generator Cables $25,134.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $10,501.00 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $14,633.00 730621 07/08/2022 Open Accounts Payable Facilitron Inc.$733.37 Invoice Date Description Amount UYNNWAGW8RR5-6 07/05/2022 4th of July Facility Rental $733.37 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $733.37 Monday, July 11, 2022Pages: 1 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 131 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730622 07/08/2022 Open Accounts Payable Got Gophers, Inc.$1,235.00 Invoice Date Description Amount 30674 06/30/2022 FY 21-22 Grounds June 2022 Pest Control Various City Parks $925.00 30409 06/30/2022 FY 21-22 June 2022 mary Bridge and Blaney Ave Trapping Services $310.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,235.00 730623 07/08/2022 Open Accounts Payable GRASSROOTS ECOLOGY $18,247.00 Invoice Date Description Amount CUST0622 06/23/2022 FY 21-22 Grassroots Ecology Q4 Invoice $18,247.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,247.00 730624 07/08/2022 Open Accounts Payable Griffin Structures Inc.$10,842.66 Invoice Date Description Amount GSI-CLEP-20REV2 05/31/2022 Cupertino LIbrary Expansion Project services through May 2022 $10,842.66 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $10,842.66 730625 07/08/2022 Open Accounts Payable LISA MOLARO $11,672.50 Invoice Date Description Amount LMJune22 07/05/2022 FY21-22 Spring 2022 Contractor Payment June - Lisa Molaro $11,672.50 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $11,672.50 730626 07/08/2022 Open Accounts Payable MICHELE WESTLAKEN $478.80 Invoice Date Description Amount 07052022 07/05/2022 FY 21-22 Feldenkrais Movements (5.3-6.28)$478.80 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $478.80 730627 07/08/2022 Open Accounts Payable MING FEN LEE $126.00 Invoice Date Description Amount 07052022 07/05/2022 FY 21-22 Chinese Brush Painting (6.6-6.13)$126.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $126.00 730628 07/08/2022 Open Accounts Payable NGF CONSULTING INC $2,000.00 Invoice Date Description Amount 130031 03/31/2022 FY21-22 BBF Golf Course Repair Estimate through 3/31/2022 $2,000.00 Paying Fund Cash Account Amount 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $2,000.00 Monday, July 11, 2022Pages: 2 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 132 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730629 07/08/2022 Open Accounts Payable OCCUPATIONAL HEALTH CENTERS OF CALIFORNIA $480.00 Invoice Date Description Amount 75070954 04/13/2022 FY21-22 TB TEST - A. Patil $32.00 75382398 05/13/2022 FY21-22 TB TEST - A. Bunch, D. Choi, R. Goel, H. & S. Winebarger $384.00 75743998 06/15/2022 FY21-22 TB TEST - N. Bharat, K. Yu $64.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $480.00 730630 07/08/2022 Open Accounts Payable PACIFIC GAS & ELECTRIC $20,049.21 Invoice Date Description Amount 1715-062922 06/29/2022 FY21-22 4993063171-5 5/17-6/14/22 $20,049.21 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $20,049.21 730631 07/08/2022 Open Accounts Payable PG&E $55,487.66 Invoice Date Description Amount 4212-062822 06/28/2022 FY21-22 3535370421-2 5/21-6/21/22 $96.87 9785-062922 06/29/2022 FY21-22 2016881978-5 5/20-6/20/22 $10.76 8413-062822 06/28/2022 FY21-22 4685859841-3 5/23/22-6/21/22 $135.97 0092-063022-0 06/30/2022 FY21-22 110659172 -N De Anza 455FT S/O Mariani Dr, Irrig Control $13.07 0092-063022-1 06/30/2022 FY21-22110958527 115145264 -Randy Lane & Larry Way- Streetlights $57.55 0092-063022-2 06/30/2022 FY21-22 111736580 SF Cupertino 075 $3.93 0092-063022-3 06/30/2022 FY21-22 (Old116367536) 113736756 ESP113428799 -Senior Center $4,464.33 0092-063022-4 06/30/2022 FY21-22 116367013 -112017763 -11370 S Stelling Rd, Irrigation $17.00 0092-063022-5 06/30/2022 FY21-22 114315284 116367325 -21975 San Fernando Ave, Picnic Area $3,334.89 0092-063022-6 06/30/2022 FY21-22 114321565 116367416 -22601 Voss Ave $633.34 0092-063022-7 06/30/2022 FY21-22 116367001 -E27H4 Wolfe and Rte 280 NB Loc A $56.92 0092-063022-8 06/30/2022 FY21-22 116367025 -De Anza and Lazaneo, Traffic Signal $91.98 0092-063022-9 06/30/2022 FY21-22 116367035 -De Anza Blvd and Mariani, Traffic Sig $100.01 0092-063022-10 06/30/2022 FY21-22 116367044 -10555 Mary Ave NEM $42.28 0092-063022-11 06/30/2022 FY21-22 116367045 -De Anza Blvd &Hwy 280 S/Ramp, Traffic Signal $98.14 0092-063022-12 06/30/2022 FY21-22 116367050 -NW Corner Stevens Crk, Traffic Signals $82.94 0092-063022-13 06/30/2022 FY21-22 116367055-Saich Wy&Stevens Crk NE Corner, Traffic Signal $75.72 0092-063022-14 06/30/2022 FY21-22 116367060-E37R0 Stevens Crk&De Anza Blvd, Traffic Signal $115.51 0092-063022-15 06/30/2022 FY21-22 116367065 -Stevens Creek Blvd E/Saich Wy, Sprinkler Ctrl $11.20 Monday, July 11, 2022Pages: 3 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 133 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 0092-063022-16 06/30/2022 FY21-22 116367067 -Stonydale Dr&Varian Prk, walkway lighting $91.46 0092-063022-17 06/30/2022 FY21-22 116367070 -Stevens Crk &Blaney Ave., Traffic Signal $93.45 0092-063022-18 06/30/2022 FY21-22 116367071 -Linda Vista Dr/Hillside Park $28.47 0092-063022-19 06/30/2022 FY21-22 116367075 -Vallco Pkwy &Perimeter Rd., Traffic Signals $67.18 0092-063022-20 06/30/2022 FY21-22 116367090 -Wolfe and Vallco Pkwy, Traffic Signals $96.58 0092-063022-21 06/30/2022 FY21-22 116367100 -E37H3 Wolfe and 280 SB Loc B, Traffic Signal $79.51 0092-063022-22 06/30/2022 FY21-22 116367105 -Stevens Crk and Wolfe Rd, Traffic Signals $121.22 0092-063022-23 06/30/2022 FY21-22 116367110 -SW Cor Stevens Crk and Portal, Traffic Signal $83.97 0092-063022-24 06/30/2022 FY21-22 116367113 -Miller E/S 100N off Calle De Barcelona $81.12 0092-063022-25 06/30/2022 FY21-22 116367115 -Stevens Crk&Perimeter Rd, Traffic Ctrl Signal $72.72 0092-063022-26 06/30/2022 FY21-22 116367120 -Vallco Prky/Tantau Ave, Traffic Signal $93.71 0092-063022-27 06/30/2022 FY21-22 116367125 -Stevens Crk and Tantau, Traffic Signals $92.17 0092-063022-28 06/30/2022 FY21-22 116367130-NW Corner Steven Crk and Torre, Traffic Signal $92.48 0092-063022-29 06/30/2022 FY21-22 111190735 119980351-10300 Torre Ave, CH $10,465.86 0092-063022-30 06/30/2022 FY21-22 116367150 -Homestead and Wolfe Road, Sunnyvale $105.82 0092-063022-31 06/30/2022 FY21-22 116367155 -Homestead&Blaney, Cupertino Traffic Signal $64.84 0092-063022-32 06/30/2022 FY21-22 116367165-S/E Wolfe-Pruneridge, Sprinkler Ctrl &Traffic $112.09 0092-063022-33 06/30/2022 FY21-22 116367170 -Tantau Ave &Tandem D/W, Traffic Signal $89.87 0092-063022-34 06/30/2022 FY21-22 116367171 -10155 Barbara Ln, Irrigation and Scoreboard $238.62 0092-063022-35 06/30/2022 FY21-22 116367175 -S/E Corner Pruneridge &Tantau, Traffic Ctrl $77.15 0092-063022-36 06/30/2022 FY21-22 116367180 -Finch and Stevens Creek, Traffic Signals $96.37 0092-063022-37 06/30/2022 FY21-22 116367185 -Wolfe Rd 500 Ft S/O Homestead, City/Sign $35.30 0092-063022-38 06/30/2022 FY21-22 116367195 -Corner Miller and Phil Ln, Traffic Signal $71.19 0092-063022-39 06/30/2022 FY21-22 116367200 -Homestead&De Anza Blvd, Traffic Signal $107.65 0092-063022-40 06/30/2022 FY21-22 116367205 -Homestead Rd and Franco Ct, Traffic Signals $72.21 0092-063022-41 06/30/2022 FY21-22 116367215 -N/Ramp De Anza Blvd, Traffic Signal $89.79 0092-063022-42 06/30/2022 FY21-22 116367220 -Homestead Rd and Bluejay Rd, Traffic Signals $74.88 Monday, July 11, 2022Pages: 4 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 134 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 0092-063022-43 06/30/2022 FY21-22 118426656-WS Portal Btw Amhurst-Wheaton , Portal Prk Ltg $218.27 0092-063022-44 06/30/2022 FY21-22 116367236 -Stelling Rd Median 450' S/O Stevens Crk $13.00 0092-063022-45 06/30/2022 FY21-22 116367245 -Stevens Creek Blvd&Janice Ave, Sprinkler Ctrl $18.09 0092-063022-46 06/30/2022 FY21-22 116367255 -Lucille and Villa De Anza, Sprinkler Control $334.09 0092-063022-47 06/30/2022 FY21-22 116367269 -Cor/Lucille&Randy Ln, Sprinkler System $12.49 0092-063022-48 06/30/2022 FY21-22 116367274 -1170 Yorkshire Dr.$10.81 0092-063022-49 06/30/2022 FY21-22 116367275-Homestead and Tantau, Cupertino Traffic Signal $95.81 0092-063022-50 06/30/2022 FY21-22 116367280-Stevens Creek Blvd&Fwy 85 East Ramp, rafficSig $91.48 0092-063022-51 06/30/2022 FY21-22 116971849 -21111 Stevens Creek Blvd, Sports Center $9,377.54 0092-063022-52 06/30/2022 FY21-22 116367290 -Stevens Creek and Mary Ave, Traffic Signals $91.07 0092-063022-53 06/30/2022 FY21-22 116367332 -821 Bubb Rd #B/Building Concession $53.43 0092-063022-54 06/30/2022 FY21-22 116367343 112570652 -Foothill Blvd 150' N/O Alpine E/S $10.79 0092-063022-55 06/30/2022 FY21-22 116367357-N De Anza 188 FT N/Valley Green Dr, Irrig Ctrl $18.26 0092-063022-56 06/30/2022 FY21-22 116367359 -Homestead and Heron, traffic ctrl $70.32 0092-063022-57 06/30/2022 FY21-22 115211833-10300 Anisworth Dr, Ball Park Stevens Creek SV $10.73 0092-063022-58 06/30/2022 FY21-22 116367370 -Stevens Crk Blvd&Fwy 85 West Ramp,Traffic Sig $14.29 0092-063022-59 06/30/2022 FY21-22 110081495 -10710 Stokes Ave, Somerset Park $30.68 0092-063022-60 06/30/2022 FY21-22 116367380-NE Corner Peninsula&Stevens Creek, Traffic Sig $85.80 0092-063022-61 06/30/2022 FY21-22 116367385 -End/Stokes W/Wilson Crt, Sprinkler Ctrl $12.58 0092-063022-62 06/30/2022 FY21-22 116367395 -N/E corner Foothill&Starling Dr, Traffic Sig $70.24 0092-063022-63 06/30/2022 FY21-22 116367401 -Miller W/S N of Greenwood $19.95 0092-063022-64 06/30/2022 FY21-22 116367408 -Stevens Creek Bl&Mary Ave, Memorial Park Pump $72.20 0092-063022-65 06/30/2022 FY21-22 116367437 -10455 Miller Ave, Creekside Park $378.74 0092-063022-66 06/30/2022 FY21-22 116367447 -Stelling Rd Median 500' S/O Peppertree Ln $13.22 0092-063022-67 06/30/2022 FY21-22 116367449 -10350 Torre Ave, Community Hall $2,667.31 0092-063022-68 06/30/2022 FY21-22 116367455 -E37R9 Rodriguez&De Anza Blvd, Traffic Sig $94.05 0092-063022-69 06/30/2022 FY21-22 116367465 -De Anza Blvd&Scofield Dr, Sprinkler Ctrl $12.21 Monday, July 11, 2022Pages: 5 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 135 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 0092-063022-70 06/30/2022 FY21-22 116367474 -10500 Ann Arbor Ave, Field- Garden Gate $231.39 0092-063022-71 06/30/2022 FY21-22 116367475 -Foothill and Stevens Creek, Traffic Signal $84.11 0092-063022-72 06/30/2022 FY21-22 116367476-Salem Ave &Foothill Blvd, Irrigation Control $10.53 0092-063022-73 06/30/2022 FY21-22 116367477 -21121 Stevens Creek Blvd, Memorial Park $1,586.88 0092-063022-74 06/30/2022 FY21-22 116367484-20220 Suisun Dr, Parks&Rec Free Standing Panel $172.46 0092-063022-75 06/30/2022 FY21-22 116367493-Dumas Dr/Jollyman Park, Jollyman Park Restroom $749.87 0092-063022-76 06/30/2022 FY21-22 116367505 -Stevens Crk and Stelling, Signal $39.16 0092-063022-77 06/30/2022 FY21-22 116367510 -Bubb Rd and Results Wy, Traffic Signal $67.57 0092-063022-78 06/30/2022 FY21-22 116367515 -Bubb Rd&McClellan Intersection, Traffic Sig $102.40 0092-063022-79 06/30/2022 FY21-22 116367520 -Stelling Rd and Peppertree, Traffic Signal $67.89 0092-063022-80 06/30/2022 FY21-22 116367525 -Stelling and McClellan, Signals $94.82 0092-063022-81 06/30/2022 FY21-22 116367527 -Foothill Blvd 200' N/O Stevens Creek W/S $10.60 0092-063022-82 06/30/2022 FY21-22 116367530 -Orange Ave&Stevens CrkN/E corner, Traffic Cnt $57.47 0092-063022-83 06/30/2022 FY21-22 116367545 -Saratoga-Sunnyvale Rd, Traffic Signal $86.72 0092-063022-84 06/30/2022 FY21-22 116367550 -W/S Saratoga-Sunnyvale Rd @ RT85, Traffic Sig $76.53 0092-063022-85 06/30/2022 FY21-22 116367559 -21011 Prospect Rd, Irrigation Control $10.55 0092-063022-86 06/30/2022 FY21-22 116367560 -S/E corner De Anza&Pacifica, Traffic Sig $94.02 0092-063022-87 06/30/2022 FY21-22 116367570 -De Anza Blvd, Sprinkler Controller * $12.21 0092-063022-88 06/30/2022 FY21-22 116367585 -Rainbow and Stelling, Traffic Signal $82.94 0092-063022-89 06/30/2022 FY21-22 116367587 -10430 S De Anza Blvd, Holiday Lighting $44.88 0092-063022-90 06/30/2022 FY21-22 116367590 -Saratoga Sunnyvale Rd and Hwy 85, Traffic Sig $80.47 0092-063022-91 06/30/2022 FY21-22 116367605 -E37C1 Prospect and Rte 85, Traffic Signal $88.29 0092-063022-92 06/30/2022 FY21-22 116367610 -E37R6 Kentwood/S. De Anza Blvd, Traffic $87.79 0092-063022-93 06/30/2022 FY21-22 116367615 -Fallenleaf Ln and S De Anza Blvd, Traffic $92.99 0092-063022-94 06/30/2022 FY21-22 F116367620 -S De Anza Blvd&Sharon Dr , Irrigation Ctrl $18.96 0092-063022-95 06/30/2022 FY21-22 116367625 -Stevens Creek Blvd Orange S/W Cor, Irrigation $10.51 0092-063022-96 06/30/2022 FY21-22 116367628-N/W corner Alpine Dr&Foothill Blvd, Irrigation $10.68 Monday, July 11, 2022Pages: 6 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 136 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 0092-063022-97 06/30/2022 FY21-22 116367630 -22100 Stevens Creek Blvd, Golf Pro Shop $364.78 0092-063022-98 06/30/2022 FY21-22 116367648 -Linda Vista Prk/Dr, Irrigation Ctrl $149.17 0092-063022-99 06/30/2022 FY21-22 116367656 -Scofield and De Anza, 100HP $13.07 0092-063022-100 06/30/2022 FY21-22 116367677 -De Anza and Lazaneo, Sprinkler System $10.72 0092-063022-101 06/30/2022 FY21-22 116367685 -Ruppell Pl and Moltzen Dr, Sprinkler Control $120.74 0092-063022-102 06/30/2022 FY2122 116367740-Carmen Rd&Stevens Crk S/E corner, Irrigation Co $10.51 0092-063022-103 06/30/2022 FY21-22 116367568 -10555 Mary Ave, Corp Yard $26.92 0092-063022-104 06/30/2022 FY21-22 116367763 -10630 S De Anza Blvd, Holiday Lighting $44.99 0092-063022-105 06/30/2022 FY21-22 116367782 -N/S Stevens Crk Blvd 20301, Irrigation $10.51 0092-063022-106 06/30/2022 FY21-22 116367793 -101 Skyport Dr, DG A, SJ, PGE- Owned St/Highw $735.69 0092-063022-107 06/30/2022 FY21-22 116367815 -19784 Wintergreen Dr $876.77 0092-063022-108 06/30/2022 FY21-22 116367836 -De Anza Blvd E/S S/O Lazaneo, Sprinkler Ctrl $10.64 0092-063022-109 06/30/2022 FY21-22 116367840 -10185 N Stelling RD $12,148.79 0092-063022-110 06/30/2022 FY2122 116367902-0246 Parkside Ln, Wilson Pk Spnklers,SnackShack $532.07 0092-063022-111 06/30/2022 FY21-22 116367907-S/W Corner Stelling&Green leaf, Traffic Signal $87.49 0092-063022-112 06/30/2022 FY21-22 116367925 -22601 Voss Ave, Outdoor Lighting-MV Park $29.94 0092-063022-113 06/30/2022 FY21-22 116367941 -7548 Donegal Dr, Irrigation Ctrl/Hoover Park $10.68 0092-063022-114 06/30/2022 FY21-22 116367988 -21710 McClellan Rd, Playground Reception Area $10.51 0092-063022-115 06/30/2022 FY21-22 1110161867 - Wolfe Rd @ Apple Campus Driveway $78.95 0092-063022-116 06/30/2022 FY21-22 116644889 19500 Pruneridge ave pole TP16660 $6.49 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $45,745.34 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $364.78 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $9,377.54 730632 07/08/2022 Open Accounts Payable RPM EXTERMINATORS INC $1,800.00 Invoice Date Description Amount 0094894 05/24/2022 FY 21-22 Facilities - Service Center Ants $375.00 0094344 05/25/2022 FY 21-22 Facilities - May 2022 Rodent Services $1,050.00 0095474 06/15/2022 FY 21-22 Facilities BBF Ants $375.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,628.28 Monday, July 11, 2022Pages: 7 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 137 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $171.72 730633 07/08/2022 Open Accounts Payable Rupa Narayanan $193.20 Invoice Date Description Amount 07052022 07/05/2022 FY 21-22 Yoga Foundations (05.04-06.22.22)$193.20 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $193.20 730634 07/08/2022 Open Accounts Payable SOUTH BAY MOA $3,130.40 Invoice Date Description Amount Spring 2022 07/02/2022 FY 21-22 Spring Softball Umpires $3,130.40 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $3,130.40 730635 07/08/2022 Open Accounts Payable SUE AND KATHY LINE DANCE $1,278.90 Invoice Date Description Amount 07052022 07/05/2022 FY 21-22 Line Dance Intermediate+ (5.2-6.27)$1,278.90 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,278.90 730636 07/08/2022 Open Accounts Payable SWANK MOTION PICTURES, INC.$1,950.00 Invoice Date Description Amount 1883337 03/04/2022 FY21-22 Movie License Rentals $1,950.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,950.00 730637 07/08/2022 Open Accounts Payable T-MOBILE $100.20 Invoice Date Description Amount 966594158-062122 06/21/2022 FY21-22 4158 - 06212022 $100.20 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $100.20 730638 07/08/2022 Open Accounts Payable TRAFFIC DATA SERVICE LLC $13,425.00 Invoice Date Description Amount 22061 06/10/2022 FY 21-22 Traffic Intersection Turning Movement Count $6,200.00 22060 06/10/2022 FY21-22 Intersection Turning Mvmt, Traffic Speed & Volume Counts $7,225.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,200.00 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $7,225.00 730639 07/08/2022 Open Accounts Payable Valley Welding $4,000.00 Invoice Date Description Amount 2022175 06/21/2022 FY 21-22 McClellan Ranch Mowing $4,000.00 Paying Fund Cash Account Amount Monday, July 11, 2022Pages: 8 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 138 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,000.00 730640 07/08/2022 Open Accounts Payable CHANDANI, DEEPAK $13,000.00 Invoice Date Description Amount 218960 07/05/2022 21891 GRANADA AVE, ENCROACHMENT, 218960 $13,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $13,000.00 730641 07/08/2022 Open Accounts Payable SharePointXperts, LLC.$1,278.75 Invoice Date Description Amount 4119727 06/15/2022 FY21-22 SharePoint based services billing period of June 15, 22 $1,278.75 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $1,278.75 730642 07/07/2022 Open Accounts Payable Community Health Charities of California $50.00 Invoice Date Description Amount 07012022 07/01/2022 Community Health Charities pp 6/18/22-7/1/22 $50.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $50.00 730643 07/07/2022 Open Accounts Payable Facilitron Inc.$4,097.46 Invoice Date Description Amount SQX7QUGCRMPJ-5 07/05/2022 4th of July Facility Rental $4,097.46 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,097.46 730644 07/07/2022 Open Accounts Payable INTERSTATE BATTERY SYSTEM SAN JOSE INC. $404.61 Invoice Date Description Amount 60291100 07/05/2022 Fleet - 31P-MHD, MTP-48/H6, MTP-65HD $404.61 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $404.61 730645 07/07/2022 Open Accounts Payable Operating Engineer #3 $1,484.16 Invoice Date Description Amount 07012022 07/01/2022 Union Dues pp 6/18/22-7/1/22 $1,484.16 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,484.16 730646 07/07/2022 Open Accounts Payable Public Risk, Innovation, Solutions, and Management $158,781.00 Invoice Date Description Amount 23100119 07/01/2022 Excess Workers' Compensation Program 7/1/22- 6/30/23 $158,781.00 Paying Fund Cash Account Amount Monday, July 11, 2022Pages: 9 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 139 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 620 - Workers' Compensation 620 100-100 (Cash & Investments Assets Operating Cash) $158,781.00 730647 07/07/2022 Open Accounts Payable QUADIENT, INC. $1,608.94 Invoice Date Description Amount 59383107 07/01/2022 Standard Maintenance for Postage Machine (7/31/22- 10/30/22) $1,608.94 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,608.94 730648 07/07/2022 Open Accounts Payable West Valley Construction Company, Inc., $18,270.00 Invoice Date Description Amount 199381 07/06/2022 Trees/ROW - New Water Service Alhambra Ave $18,270.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,270.00 730649 07/08/2022 Open Accounts Payable SAN JOSE WATER COMPANY $46,253.33 Invoice Date Description Amount Import - 893936 02/28/2022 0068410000-1 - 22221 McClellan 8302 $714.92 Import - 893937 02/28/2022 0134100000-6 - 8303 Memorial Park $1,151.26 Import - 893938 02/28/2022 0345710000-0 - Alderbrook Ln.FS $117.79 Import - 893939 02/28/2022 0573900000-7 - 22120 Stevens Creek Blvd $86.40 Import - 893940 02/28/2022 0645365732-9 - City of Cupertino Portable Meter $424.84 Import - 893941 02/28/2022 0677310000-0 - 10300 Torre Ave LS (Comm.Hall)$288.10 Import - 893942 02/28/2022 1198300000-8 - 21979 San Fernando Ave. 6620 $224.06 Import - 893943 02/28/2022 1250520000-1 - 6620 Blackberry/Snack $278.59 Import - 893944 02/28/2022 1332100000-5 - Hyde Avenue $1,986.47 Import - 893945 02/28/2022 1393820000-6 - Irrig SC/Stelling LS (Stev Crk Blvd)$76.44 Import - 893946 02/28/2022 1444810000-9 - Hyannisport Dr. LS $1,770.05 Import - 893947 02/28/2022 1735700000-3 - 8303 Memorial Park Restroom $251.32 Import - 893948 02/28/2022 1787904559-3 - 22221 McClellan 8302 $140.60 Import - 893949 02/28/2022 1832500000-0 - Ruppell PL LS $2,223.62 Import - 893950 02/28/2022 1836700000-9 - 8322 Mary Mini Park $611.29 Import - 893951 02/28/2022 1987700000-0 - Alderbrook Ln LS $6,091.43 Import - 893952 02/28/2022 2228610000-7 - 21111 Stevens Crk LS $322.22 Import - 893953 02/28/2022 2243500000-9 - 10300 Ainsworth Dr.LS $824.40 Import - 893954 02/28/2022 2286120000-8 - 21251 Stevens Creek Blvd $73.90 Import - 893955 02/28/2022 2288800000-1 - Stokes Ave/8306 Somerset Park $289.50 Import - 893956 02/28/2022 2649300000-9 - 10300 Torre Ave. FS (Comm.Hall)$117.79 Import - 893957 02/28/2022 2787197813-9 - 8322 Stevens Creek Bl $71.00 Import - 893958 02/28/2022 2892070144-9 - 22221 McClellan 8320 $147.80 Import - 893959 02/28/2022 2958510000-0 - 10555 Mary Ave.$229.16 Import - 893960 02/28/2022 2974010000-2 - 21251 Stevens Creek Blvd $240.41 Import - 893961 02/28/2022 2984810000-3 - 8504 Alves and Stelling $245.87 Import - 893962 02/28/2022 3207400000-4 - 21710 McClellan 8312 $758.55 Import - 893963 02/28/2022 3296700000-4 - Irrig SC/Stelling LS (Stev Crk Blvd)$71.00 Import - 893964 02/28/2022 3322910000-4 - 8306 Somerset Park(Stokes Ave)$224.06 Import - 893965 02/28/2022 3530520000-4 - 21111 Stev.Crk Blvd 8510 $311.32 Import - 893966 02/28/2022 3612707315-7 - Stocklmeir Ct $262.23 Monday, July 11, 2022Pages: 10 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 140 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Import - 893967 02/28/2022 3673220000-5 - Stev.Crk/Cupertino Rd.$71.00 Import - 893968 02/28/2022 3688120000-4 - Mary Ave Footbridge $142.00 Import - 893969 02/28/2022 3746710000-6 - 21111 Stev.Crk BL FS $116.13 Import - 893970 02/28/2022 3841010000-2 - 8507 Monta Vista Park $251.32 Import - 893971 02/28/2022 3856110000-9 - 8322 Stella Estates $71.00 Import - 893972 02/28/2022 3857710000-1 - 8322 Foothill/Cupertino Rd $178.77 Import - 893973 02/28/2022 3900520000-9 - 10300 Torre Ave $469.10 Import - 893974 02/28/2022 3953083125-2 - Tuscany Pl $446.08 Import - 893975 02/28/2022 4012210000-7 - 22601 Voss Av 8304 $920.63 Import - 893976 02/28/2022 4103020000-4 - 6620 Blackberry/Snack $1,156.71 Import - 893977 02/28/2022 4227520000-6 - 8303 Memorial Park $376.76 Import - 893978 02/28/2022 4444250747-9 - Tuscany Pl $446.08 Import - 893979 02/28/2022 5022148584-5 - 10301 Byrne Ave $90.15 Import - 893980 02/28/2022 5122900000-8 - Portable Meter $443.86 Import - 893981 02/28/2022 5237400000-9 - Dumas Dr, LS $5,299.83 Import - 893982 02/28/2022 5356310000-6 - 8322 Stev.Crk/Median $224.06 Import - 893983 02/28/2022 5778910000-5 - 8504 Quinlan Ln.FS $73.90 Import - 893984 02/28/2022 5835000000-4 - 8322 Stelling/Alves $140.60 Import - 893985 02/28/2022 5929210000-1 - 8322 Ann Arbor Ct $146.04 Import - 893986 02/28/2022 5948100000-4 - Emerg Irrig/Golf/ 6640 BBF $3,069.61 Import - 893987 02/28/2022 5986710000-6 - 10300 Torre Ave. FS (Comm.Hall)$441.43 Import - 893988 02/28/2022 5997110000-9 - 7555 Barnhart Pl $1,376.37 Import - 893989 02/28/2022 6287875324-3 - 22241 McClellan Rd (Simms)$153.28 Import - 893990 02/28/2022 6292600000-1 - 10800 Torre Ave LS $1,387.00 Import - 893991 02/28/2022 6296810000-8 - 8322 Stev.Crk Bl median $71.00 Import - 893992 02/28/2022 6405210000-1 - 8506 McClellan Ranch $147.35 Import - 893993 02/28/2022 6578520000-0 - 8322 Foothill/Alpine LS $151.50 Import - 893994 02/28/2022 6730700000-9 - 21975 San Fernando Av $114.63 Import - 893995 02/28/2022 6788620000-4 - 10555 Mary Ave. 8503 $262.23 Import - 893996 02/28/2022 6875120000-4 - 21979 San Fernando Av $175.49 Import - 893997 02/28/2022 6907100000-9 - Alderbrook Ln $192.38 Import - 893998 02/28/2022 6935200000-9 - 8303 Memorial Park $1,391.24 Import - 893999 02/28/2022 6973320000-5 - 8301 Linda Vista PK1 $354.95 Import - 894000 02/28/2022 7036000000-7 - 85 Stev.Crk/Mary LS $146.04 Import - 894001 02/28/2022 7054200000-8 - 8322 Phar Lap LS $70.46 Import - 894002 02/28/2022 7112900000-7 - Oak Valley Rd $152.90 Import - 894003 02/28/2022 7495200000-3 - 10300 Torre Ave FS $117.79 Import - 894004 02/28/2022 7523510000-7 - Oak Valley Road LS $54.75 Import - 894005 02/28/2022 7630410000-1 - Salem Av.LS $140.60 Import - 894006 02/28/2022 7930000000-1 - 8322 Stelling/Christensen Dr.$140.60 Import - 894007 02/28/2022 8006810000-9 - 10450 Mann Dr $48.64 Import - 894008 02/28/2022 8065700000-8 - Peninsula and Fitzgerald Is $43.20 Import - 894009 02/28/2022 8270010000-9 - Janice Ave.LS $224.06 Import - 894010 02/28/2022 8287220000-9 - 8322 Stevens Cr/San Antonio Ls $71.00 Import - 894011 02/28/2022 8427420000-9 - 8322 Foothill/Vista Knoll $331.48 Import - 894012 02/28/2022 8549600000-2 - Bubb Rd.LS $991.21 Import - 894013 02/28/2022 8647520000-1 - 10555 Mary Ave/Corp Yard FS $190.02 Import - 894014 02/28/2022 8755010000-9 - 10455 Miller Ave/Creekside $574.20 Import - 894015 02/28/2022 8879620000-9 - 8504 Christensen Dr $240.41 Import - 894016 02/28/2022 8886800000-6 - 8301 Linda Vista PK2 $354.95 Monday, July 11, 2022Pages: 11 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 141 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Import - 894017 02/28/2022 9118810000-1 - 21121 Stevens Ck Bl Ls $324.83 Import - 894018 02/28/2022 9377600000-7 - 8307 Varian Park $905.82 Import - 894019 02/28/2022 9824500000-9 - 8322 Irrig SC/Stelling $151.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $42,109.22 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $3,069.61 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $1,074.50 Type Check Totals:35 Transactions $425,555.60 EFT 34679 07/08/2022 Open Accounts Payable ALL CITY MANAGEMENT SERVICES $11,762.24 Invoice Date Description Amount 78401 06/15/2022 FY21-22-School Crossing Guard Services through 052922-061122 $11,762.24 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $11,762.24 34680 07/08/2022 Open Accounts Payable Amazon Capital Services $1,052.94 Invoice Date Description Amount 1K3Y-YWKJ-WHDF 06/27/2022 FY21-22 3x Meta Quest 2 Virtual Reality Headset & 2x Aumox 5 Po $1,052.94 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $1,052.94 34681 07/08/2022 Open Accounts Payable Amazon Web Services, Inc.$1,237.19 Invoice Date Description Amount 1079552077 07/03/2022 FY21-22 AWS - June 2022 GIS $1,237.19 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $1,237.19 34682 07/08/2022 Open Accounts Payable B&H PHOTO VIDEO $171.83 Invoice Date Description Amount 203355647 06/22/2022 FY21-22 (V-Flat Foldable V-Flat)$171.83 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $171.83 34683 07/08/2022 Open Accounts Payable Bill Mitchell $553.83 Invoice Date Description Amount BillM07052022 07/05/2022 FY21-22 Bill FY22 Cell reimbursements Jun 17, 21 - Jun 16, 22 $553.83 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $553.83 Monday, July 11, 2022Pages: 12 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 142 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34684 07/08/2022 Open Accounts Payable COTTON, SHIRES & ASSOCIATES, INC. $4,180.00 Invoice Date Description Amount 622266 06/30/2022 FY21-22-22825 San Juan Road $807.50 622269 06/30/2022 FY21-22-21650 Rainbow Court $1,330.00 622268 06/30/2022 FY 21-22 Geotech Review for 10818 Juniper Ct through 6/30/2022 $2,042.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,180.00 34685 07/08/2022 Open Accounts Payable Cupertino Supply, Inc $150.46 Invoice Date Description Amount 294026 06/28/2022 FY 21-22 Grounds - 1/4 MIP x 3/8 Reduc Union $150.46 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $150.46 34686 07/08/2022 Open Accounts Payable DAN GERTMENIAN $58,751.55 Invoice Date Description Amount DanGFinal2022 07/05/2022 FY 21-22 Dan Gertmentian Payment Final $58,751.55 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $58,751.55 34687 07/08/2022 Open Accounts Payable DOGGIE WALK BAGS INC $5,722.51 Invoice Date Description Amount 0101227-IN 06/28/2022 FY 21-22 Grounds Doggie Bags $5,722.51 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,722.51 34688 07/08/2022 Open Accounts Payable EDGES ELECTRICAL GROUP $688.28 Invoice Date Description Amount S5603236.001 06/28/2022 FY 21-22 Facilities Photo Control, Wallpack $688.28 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $688.28 34689 07/08/2022 Open Accounts Payable EPAC TECHNOLOGIES, INC.$392.60 Invoice Date Description Amount E348661 06/22/2022 FY21-22 COC #10 Envelope w/ Logo Envelope $392.60 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $392.60 34690 07/08/2022 Open Accounts Payable FolgerGraphics $7,553.26 Invoice Date Description Amount 132852 06/30/2022 FY21-22 Scene July 2022 Printing $7,553.26 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $7,553.26 Monday, July 11, 2022Pages: 13 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 143 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34691 07/08/2022 Open Accounts Payable GARDENLAND POWER EQUIPMENT $2,478.83 Invoice Date Description Amount 942560 06/30/2022 FY 21-22 Grounds 14" Bar, Chain Saw, Chisel, Pruner $1,162.03 942658 06/30/2022 FY 21-22 Grounds Machete, Hedge Trimmer $1,316.80 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,478.83 34692 07/08/2022 Open Accounts Payable GRACE DUVAL $336.70 Invoice Date Description Amount 07052022 07/05/2022 FY 21-22 Zumba Gold-Zoom (5.18-6.22)$336.70 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $336.70 34693 07/08/2022 Open Accounts Payable GRAINGER INC $1,078.23 Invoice Date Description Amount 9360507835 06/28/2022 FY 21-22 Facilities Transformer 40VA $13.71 9360884077 06/28/2022 FY 21-22 Facilities Condensor Fan Motor $362.51 9360884069 06/28/2022 FY 21-22 Facilities V Belt $27.83 9363885600 06/30/2022 FY 21-22 Grounds Trailer Cart $674.18 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $687.89 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $390.34 34694 07/08/2022 Open Accounts Payable Interstate Traffic Control Products, Inc. $261.41 Invoice Date Description Amount 251302 06/30/2022 FY 21-22 Streets - Square Rain Caps $54.69 251300 06/30/2022 FY 21-22 Streets Preform Thermo 4"x30' Roll White $206.72 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $261.41 34695 07/08/2022 Open Accounts Payable Jorge Vargas $2,000.00 Invoice Date Description Amount 3 05/26/2022 FY 21-22 Pesticide Safety Training Webinar $2,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,000.00 34696 07/08/2022 Open Accounts Payable KIMBALL-MIDWEST $678.74 Invoice Date Description Amount 100066282 06/28/2022 FY 21-22 Streets Elec Tape, Galvo Zinc, Black LV, Clear RTV $678.74 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $678.74 Monday, July 11, 2022Pages: 14 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 144 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34697 07/08/2022 Open Accounts Payable KIMLEY-HORN AND ASSOCIATES, INC. $20,237.50 Invoice Date Description Amount 21635911 06/16/2022 FY 21-22 DeAnza-McClellan Upgrade Project through 5/31/2022 $20,237.50 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $20,237.50 34698 07/08/2022 Open Accounts Payable Law Office of Clare M. Gibson $792.00 Invoice Date Description Amount 1002 07/01/2022 FY21-22 $792.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $792.00 34699 07/08/2022 Open Accounts Payable LIFETIME TENNIS, INC.$31,551.50 Invoice Date Description Amount 063022 LTP8 06/30/2022 Payment 8 6/18-6/30/22 FY 21-22 $31,551.50 Paying Fund Cash Account Amount 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $31,551.50 34700 07/08/2022 Open Accounts Payable MESITI-MILLER ENGINEERING, INC. $2,574.00 Invoice Date Description Amount 0622026 06/30/2022 FY21-22-CE for Wilson Park Basketball Court through 062522 $2,574.00 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $2,574.00 34701 07/08/2022 Open Accounts Payable NI GOVERNMENT SERVICES INC.$79.04 Invoice Date Description Amount 22062907051 07/01/2022 FY 21-22 - Traffic Period 6/1/22-6/30/22 $79.04 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $79.04 34702 07/08/2022 Open Accounts Payable OLM RECYCLING SERVICES LLC $379.40 Invoice Date Description Amount 4139 06/08/2022 FY 21-22 Streets - Ewaste Pickup $379.40 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $379.40 34703 07/08/2022 Open Accounts Payable PROFESSIONAL TURF MANAGEMENT, INC. $17,067.50 Invoice Date Description Amount 1224 06/24/2022 FY 21-22 monthly gate service - June 2022 $67.50 1222 06/20/2022 FY 21-22 Golf course monthly maintenance fee - June $17,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $67.50 Monday, July 11, 2022Pages: 15 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 145 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $17,000.00 34704 07/08/2022 Open Accounts Payable QUARTIC SOLUTIONS LLC $15,975.00 Invoice Date Description Amount 3196 07/01/2022 FY21-22 June 2022 Sr. GIS Analyst services $15,975.00 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $15,975.00 34705 07/08/2022 Open Accounts Payable RECOLOGY SOUTH BAY $79,756.83 Invoice Date Description Amount Jun-22 RY2 06/30/2022 FY21-22 City Payment per FA Rate Year 2/1/22- 1/31/23- June 2022 $79,756.83 Paying Fund Cash Account Amount 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $79,756.83 34706 07/08/2022 Open Accounts Payable Redgwick Construction Company $189,082.39 Invoice Date Description Amount 1, 4602 06/30/2022 FY21-22-Orange Avenue Sidewalk Improvements $189,082.39 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $189,082.39 34707 07/08/2022 Open Accounts Payable RICHARD YAU $6,450.00 Invoice Date Description Amount 2205 06/28/2022 FY21-22-I-280, Regnart Rd, RCT, Bubb Rd, SCB Class 4 $6,450.00 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $1,800.00 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $4,650.00 34708 07/08/2022 Open Accounts Payable Ross Recreation Equipment, Inc.$24,464.99 Invoice Date Description Amount I21278 06/30/2022 FY 21-22 Grounds Supply & Install of PIP Rubber at Franco Park $2,369.00 I21277 06/30/2022 FY 21-22 Rubber Playground Surfacing $22,095.99 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $24,464.99 34709 07/08/2022 Open Accounts Payable SERVICE STATION SYSTEMS, INC.$600.00 Invoice Date Description Amount 2141291 06/30/2022 FY 21-22 Streets Ran ST38 Test $600.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $600.00 34710 07/08/2022 Open Accounts Payable Staples $144.02 Invoice Date Description Amount 3510179997 06/11/2022 FY 21-22 - Copy Paper for CMO - acct 1026769 $192.02 3509971603 06/09/2022 FY 21-22 - Copy Paper for CMO - acct 1026769 ($48.00) Monday, July 11, 2022Pages: 16 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 146 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $144.02 34711 07/08/2022 Open Accounts Payable STATEWIDE TRAFFIC SAFETY AND SIGNS $5,250.00 Invoice Date Description Amount 05037897 06/30/2022 FY21-22 Message board rental for July 4th festival $5,250.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,250.00 34712 07/08/2022 Open Accounts Payable SUNNYVALE FORD $314.91 Invoice Date Description Amount 206752 06/28/2022 FY 21-22 Fleet Wire AS 1 HV $290.03 206862 06/29/2022 FY 21-22 Fleet Gasket 6 HV $24.88 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $314.91 34713 07/08/2022 Open Accounts Payable TERRYBERRY COMPANY LLC $717.98 Invoice Date Description Amount 143069-27124 06/30/2022 FY 21-22 Employee Recognition-J.Koverman, M.James, A.Alejandre $717.98 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $717.98 34714 07/08/2022 Open Accounts Payable The Home Depot Pro $742.53 Invoice Date Description Amount 693007528 06/27/2022 FY 21-22 Facilities Park Bathroom Supplies $742.53 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $742.53 34715 07/08/2022 Open Accounts Payable VMI, INC.$373.75 Invoice Date Description Amount 304640 06/24/2022 FY21-22 (Decimator)$373.75 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $373.75 34717 07/08/2022 Open Accounts Payable Colonial Life & Accident Insurance $29.16 Invoice Date Description Amount 07012022 07/01/2022 Colonial Products pp 6/18/22-7/1/22 $29.16 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $29.16 34718 07/08/2022 Open Accounts Payable Employment Development $9,752.56 Invoice Date Description Amount 07012022 07/01/2022 State Disability Insurance pp 6/18/22-7/1/22 $9,752.56 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $9,752.56 Monday, July 11, 2022Pages: 17 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 147 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34719 07/08/2022 Open Accounts Payable National Deferred (ROTH)$3,963.93 Invoice Date Description Amount 07012022 07/01/2022 Nationwide Roth pp 6/18/22-7/1/22 $3,963.93 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,963.93 34720 07/08/2022 Open Accounts Payable National Deferred Compensatin $25,282.57 Invoice Date Description Amount 07012022 07/01/2022 Nationwide Deferred Compensation pp 6/18/22-7/1/22 $25,282.57 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $25,282.57 34721 07/08/2022 Open Accounts Payable PERS-457K $13,579.96 Invoice Date Description Amount 07012022 07/01/2022 PERS Deferred Comp pp 6/18/22-7/1/22 $13,579.96 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $13,579.96 34722 07/08/2022 Open Accounts Payable State Disbursement Unit $231.23 Invoice Date Description Amount 07012022 07/01/2022 Child Support pp 6/18/22-7/1/22 $231.23 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $231.23 34723 07/05/2022 Open Accounts Payable SQUARE, INC.$105.00 Invoice Date Description Amount SQUARE070222 07/02/2022 SQUARE Svcs - Team Plus 07/01/2022-08/01/2022 $105.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $105.00 34724 07/07/2022 Open Accounts Payable California Public Employees' Retirement System $388,473.55 Invoice Date Description Amount 7158-061422 06/14/2022 Health Premiums PERS $388,473.55 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $277,249.11 642 - Retiree Medical 642 100-100 (Cash & Investments Assets Operating Cash) $111,224.44 34725 07/07/2022 Open Accounts Payable ABAG POWER- ASSOCIATION OF BAY AREA GOVERNMENTS $6,170.00 Invoice Date Description Amount AR029068 07/01/2022 FY 23 AMD Level Charge-Nat Gas $6,170.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,553.97 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $616.03 Monday, July 11, 2022Pages: 18 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 148 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34726 07/07/2022 Open Accounts Payable Eflex Group, Inc $3,415.16 Invoice Date Description Amount 07012022 07/01/2022 FSA Employee Health pp 6/18/22-7/1/22 $3,415.16 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,415.16 34727 07/07/2022 Open Accounts Payable ICMA Retirement Trust-457 $18,082.07 Invoice Date Description Amount 07012022 07/01/2022 ICMA Deferred Comp pp 6/18/22-7/1/22 $18,082.07 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,082.07 34728 07/07/2022 Open Accounts Payable IFPTE LOCAL 21 $1,909.25 Invoice Date Description Amount 07012022 07/01/2022 Association Dues - CEA pp 6/18/22-7/1/22 $1,909.25 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,909.25 34729 07/07/2022 Open Accounts Payable PARS/City of Cupertino $6,032.02 Invoice Date Description Amount 07012022 07/01/2022 PARS Employee pp 6/18/22-7/1/22 $6,032.02 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,032.02 34730 07/07/2022 Open Accounts Payable PLAN JPA $1,263,191.00 Invoice Date Description Amount PLAN-2023-0007 07/01/2022 Liability and Property Member Contributions 2022- 2023 Program $1,263,191.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,263,191.00 34731 07/07/2022 Open Accounts Payable SONITROL/PACIFIC WEST SECURITY, INC. $11,064.00 Invoice Date Description Amount 62074 07/01/2022 Facilities - City Hall July - Sept 2022 $36.00 62395 07/01/2022 Facilities - Rec Area July - Sept 2022 $36.00 62396 07/01/2022 Facilities - City Hall July - Sept 2022 $57.00 62394 07/01/2022 Facilities - Senior Center July - Sept 2022 $75.00 62876 07/01/2022 Facilities - Senior Center July - Sept 2022 $90.00 62874 07/01/2022 Facilities - City Hall Elevator July - Sept 2022 $105.00 62875 07/01/2022 Facilities - Wilson Park Snack Shack July - Sept 2022 $132.00 62374 07/01/2022 Facilities - BBF Retreat July - Sept 2022 $240.00 62038 07/01/2022 Facilities - BBF Kiosk July - Sept 2022 $240.00 62879 07/01/2022 Facilities - Wilson Park July - Sept 2022 $249.00 62037 07/01/2022 Facilities - BBF Golf July - Sept 2022 $261.00 62878 07/01/2022 Facilities - Creekside July - Sept 2022 $270.00 62391 07/01/2022 Facilities - Library July - Sept 2022 $318.00 62872 07/01/2022 Facilities - Community Hall and Library July - Sept 2022 $327.00 Monday, July 11, 2022Pages: 19 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 149 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 62822 07/01/2022 Facilities - Traffic July - Sept 2022 $348.00 62073 07/01/2022 Facilities - BBF Cafe July - Sept 2022 $384.00 62880 07/01/2022 Faciliites - City Hall July - Sept 2022 $540.00 62390 07/01/2022 Facilities - Community Hall and McClellan July - Sept 2022 $549.00 62398 07/01/2022 Facilities - Sports Center July - Sept 2022 $702.00 62877 07/01/2022 Facilities - Rec Area July - Sept 2022 $735.00 62397 07/01/2022 Facilities - Service Center July - Sept 2022 $894.00 62871 07/01/2022 Facilities - McClellan Ranch July - Sept 2022 $924.00 62389 07/01/2022 Facilities - Library July - Sept 2022 $930.00 62873 07/01/2022 Facilities - QCC July - Sept 2022 $990.00 62821 07/01/2022 Facilities - City Hall July - Sept 2022 $1,632.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $10,101.00 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $261.00 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $702.00 Type EFT Totals:52 Transactions $2,246,885.40 Main Account - Main Checking Account Totals Checks Status Count Transaction Amount Reconciled Amount Open 35 $425,555.60 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 35 $425,555.60 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 52 $2,246,885.40 $0.00 Reconciled 0 $0.00 $0.00 Monday, July 11, 2022Pages: 20 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 150 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Voided 0 $0.00 $0.00 Total 52 $2,246,885.40 $0.00 All Status Count Transaction Amount Reconciled Amount Open 87 $2,672,441.00 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 87 $2,672,441.00 $0.00 Grand Totals: Checks Status Count Transaction Amount Reconciled Amount Open 35 $425,555.60 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 35 $425,555.60 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 52 $2,246,885.40 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 52 $2,246,885.40 $0.00 All Status Count Transaction Amount Reconciled Amount Open 87 $2,672,441.00 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 87 $2,672,441.00 $0.00 Monday, July 11, 2022Pages: 21 of 21user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/2/2022 - To Payment Date: 7/8/2022 151 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Main Account - Main Checking Account Check 730650 07/15/2022 Open Accounts Payable American Assured Security, Inc.$500.50 Invoice Date Description Amount 48932 07/01/2022 FY21-22 Facility Rental Security June 22 $500.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $500.50 730651 07/15/2022 Open Accounts Payable AT & T $124.44 Invoice Date Description Amount 5558-062822 06/28/2022 FY21-22 960 731-7142 555 8 $124.44 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $124.44 730652 07/15/2022 Open Accounts Payable AT&T $1,303.29 Invoice Date Description Amount 000018452463 07/10/2022 FY21-22 9391051384 6/10/22-7/9/22 $1,303.29 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,253.56 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $49.73 730653 07/15/2022 Open Accounts Payable AVOCETTE TECHNOLOGIES INC.$4,498.00 Invoice Date Description Amount 2206CU1 06/30/2022 FY21-22 Accela Configuration services & Business License June 22 $4,498.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,498.00 730654 07/15/2022 Open Accounts Payable Capitol Barricade, Inc.$21,085.91 Invoice Date Description Amount 145620 07/06/2022 FY 21-22 Streets - Sign Poles and Anchors $21,085.91 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $10,542.96 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $10,542.95 730655 07/15/2022 Open Accounts Payable Child Safety Solutions, Inc.$4,699.50 Invoice Date Description Amount INV-02515 06/30/2022 FY21-22-PW SR2S Bicycle Accessories $4,699.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,699.50 730656 07/15/2022 Open Accounts Payable CINTAS $1,127.61 Invoice Date Description Amount 4120310332 05/24/2022 FY 21-22 Uniforms Safety Apparel $1,127.61 Paying Fund Cash Account Amount Monday, July 18, 2022Pages: 1 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 152 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,127.61 730657 07/15/2022 Open Accounts Payable COUNTY OF SANTA CLARA $230.00 Invoice Date Description Amount 1800082081 07/08/2022 FY21-22 Livescan Services - JUNE 22 $230.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $230.00 730658 07/15/2022 Open Accounts Payable Degree HVAC, Inc $490.00 Invoice Date Description Amount 28851 06/30/2022 FY 21-22 Facilities QCC Rooftop Unit Lock Outs $490.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $490.00 730659 07/15/2022 Open Accounts Payable Department of Conservation $13,767.94 Invoice Date Description Amount QTR4-2022 07/15/2022 FY 21-22 Dep of Conservation Fee Report APR- JUN2022 $13,767.94 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $13,767.94 730660 07/15/2022 Open Accounts Payable Division of the State Architect $296.80 Invoice Date Description Amount 2023-00000025 07/15/2022 FY21-22 DISABILITY ACCESS & EDUCATION FEE QUARTERLY REPORT ($4) $296.80 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $296.80 730661 07/15/2022 Open Accounts Payable GRIFFIN PAINTING INC $12,960.00 Invoice Date Description Amount 1763 05/12/2022 FY 21-22 Grounds Clean & Pressure Wash Trellis & Fences $12,960.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $12,960.00 730662 07/15/2022 Open Accounts Payable HOME DEPOT CREDIT SERVICES $3,450.47 Invoice Date Description Amount 8514498 06/28/2022 FY 21-22 Grounds - Ralph A Reducing Washer $3.93 8400753 06/28/2022 FY 21-22 Grounds - Sean Filbeck Washer, Hex $9.84 7363688 06/29/2022 FY 21-22 Grounds Brandon Morales Battery Pack $1,315.69 7363689 06/29/2022 FY 21-22 Ground Brandon Morales Pole, Brush, Mitt $362.10 6010490 06/30/2022 FY 21-22 Trees/ROW John Ramos Starter Kit, Hamdrill $217.66 7015773 06/29/2022 FY 21-22 Trees/ROW Ricardo A Powered Batt Backpack $610.31 6031148 06/30/2022 FY 21-22 Trees/ROW Adam P DRV Kit, Bucket, BiMetal Set $707.57 6390518 06/30/2022 FY 21-22 Grounds Aaron Saiz Ladder, Bucket $168.42 Monday, July 18, 2022Pages: 2 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 153 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 6602760 06/30/2022 FY 21-22 Facilities Domingo S Screw, Key Ring, Socket $54.95 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,450.47 730663 07/15/2022 Open Accounts Payable KNORR SYSTEMS $2,464.44 Invoice Date Description Amount SI239944 06/30/2022 FY 21-22 Facilities BBF Chlorine, Sodium Bicarbonate $2,464.44 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,464.44 730664 07/15/2022 Open Accounts Payable Little Medical School $2,555.00 Invoice Date Description Amount LitMedSch2022-2 07/12/2022 FY21-22 Little Medical School Summer 2022 - Payment $2,555.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $2,555.00 730665 07/15/2022 Open Accounts Payable MUSSON THEATRICAL $451.21 Invoice Date Description Amount 00457457 05/26/2022 FY21-22 (CREST Awards 2022 Rentals)$451.21 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $451.21 730666 07/15/2022 Open Accounts Payable NOR CAL SIGNAL SUPPLY LLC $903.56 Invoice Date Description Amount 1177-1 07/13/2022 FY 21-22 PW Transportation Dept. - Cupertino Relay $903.56 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $903.56 730667 07/15/2022 Open Accounts Payable PLAY-WELL TEKNOLOGIES $3,750.00 Invoice Date Description Amount PlayWell2022-3 07/11/2022 FY21-22 Play-Well Summer 2022 - Payment 2 $3,750.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $3,750.00 730668 07/15/2022 Open Accounts Payable SAN JOSE WATER COMPANY $102,971.53 Invoice Date Description Amount Import - 896978 06/23/2022 FY21-22 0573900000-7 - 22120 Stevens Creek Blvd $86.40 Import - 896979 06/23/2022 FY21-22 3688120000-4 - Mary Ave Footbridge $174.72 Import - 896980 06/23/2022 FY21-22 3872100000-8 - Park Canyon Oak Wy $515.72 Import - 896981 06/23/2022 FY21-22 5022148584-5 - 10301 Byrne Ave $569.45 Import - 896982 06/23/2022 FY21-22 6287875324-3 - 22241 McClellan Rd (Simms)$442.84 Import - 896983 06/23/2022 FY21-22 6875120000-4 - 21979 San Fernando Av $213.66 Import - 896984 06/23/2022 FY21-22 7112900000-7 - Oak Valley Rd $289.25 Import - 896985 06/23/2022 FY21-22 7523510000-7 - Oak Valley Road LS $332.88 Import - 896986 06/23/2022 FY21-22 9118810000-1 - 21121 Stevens Ck Bl Ls $444.81 Import - 896987 06/23/2022 FY21-22 4299057897-5 Alhambra Ave $33.19 Monday, July 18, 2022Pages: 3 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 154 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Import - 896988 06/27/2022 FY21-22 6296810000-8 - 8322 Stev.Crk Bl median $49.18 Import - 896989 06/27/2022 FY21-22 8287220000-9 - 8322 Stevens Cr/San Antonio Ls $87.36 Import - 896990 06/24/2022 FY21-22 0068410000-1 - 22221 McClellan 8302 $2,105.72 Import - 896991 06/24/2022 FY21-22 0134100000-6 - 8303 Memorial Park $3,774.70 Import - 896992 06/24/2022 FY21-22 0345710000-0 - Alderbrook Ln.FS $117.79 Import - 896993 06/24/2022 FY21-22 0645365732-9 - City of Cupertino Portable Meter $446.97 Import - 896994 06/24/2022 FY21-22 0677310000-0 - 10300 Torre Ave LS (Comm.Hall) $846.85 Import - 896995 06/24/2022 FY21-22 1198300000-8 - 21979 San Fernando Ave. 6620 $436.76 Import - 896996 06/24/2022 FY21-22 1250520000-1 - 6620 Blackberry/Snack $431.31 Import - 896997 06/24/2022 FY21-22 1332100000-5 - Hyde Avenue $4,901.89 Import - 896998 06/24/2022 FY21-22 1393820000-6 - Irrig SC/Stelling LS (Stev Crk Blvd) $114.63 Import - 896999 06/24/2022 FY21-22 1444810000-9 - Hyannisport Dr. LS $8,095.97 Import - 897000 06/24/2022 FY21-22 1735700000-3 - 8303 Memorial Park Restroom $256.78 Import - 897001 06/24/2022 FY21-22 1787904559-3 - 22221 McClellan 8302 $309.67 Import - 897002 06/24/2022 FY21-22 1832500000-0 - Ruppell PL LS $3,070.69 Import - 897003 06/24/2022 FY21-22 1836700000-9 - 8322 Mary Mini Park $256.78 Import - 897004 06/24/2022 FY21-22 1987700000-0 - Alderbrook Ln LS $9,945.75 Import - 897005 06/24/2022 FY21-22 2228610000-7 - 21111 Stevens Crk LS $229.50 Import - 897006 06/24/2022 FY21-22 2243500000-9 - 10300 Ainsworth Dr.LS $2,839.89 Import - 897007 06/24/2022 FY21-22 2286120000-8 - 21251 Stevens Creek Blvd $73.90 Import - 897008 06/24/2022 FY21-22 2288800000-1 - Stokes Ave/8306 Somerset Park $1,053.08 Import - 897009 06/24/2022 FY21-22 2649300000-9 - 10300 Torre Ave. FS (Comm.Hall) $117.79 Import - 897010 06/24/2022 FY21-22 2787197813-9 - 8322 Stevens Creek Bl $81.90 Import - 897011 06/24/2022 FY21-22 2892070144-9 - 22221 McClellan 8320 $147.80 Import - 897012 06/24/2022 FY21-22 2958510000-0 - 10555 Mary Ave.$261.88 Import - 897013 06/24/2022 FY21-22 2974010000-2 - 21251 Stevens Creek Blvd $425.85 Import - 897014 06/24/2022 FY21-22 2984810000-3 - 8504 Alves and Stelling $294.95 Import - 897015 06/24/2022 FY21-22 3207400000-4 - 21710 McClellan 8312 $2,672.95 Import - 897016 06/24/2022 FY21-22 3296700000-4 - Irrig SC/Stelling LS (Stev Crk Blvd) $81.90 Import - 897017 06/24/2022 FY21-22 3322910000-4 - 8306 Somerset Park(Stokes Ave) $224.06 Import - 897018 06/24/2022 FY21-22 3530520000-4 - 21111 Stev.Crk Blvd 8510 $333.13 Import - 897019 06/24/2022 FY21-22 3612707315-7 - Stocklmeir Ct $1,223.29 Import - 897020 06/24/2022 FY21-22 3673220000-5 - Stev.Crk/Cupertino Rd.$71.00 Import - 897021 06/24/2022 FY21-22 3746710000-6 - 21111 Stev.Crk BL FS $116.13 Import - 897022 06/24/2022 FY21-22 3841010000-2 - 8507 Monta Vista Park $256.78 Import - 897023 06/24/2022 FY21-22 3856110000-9 - 8322 Stella Estates $71.00 Import - 897024 06/24/2022 FY21-22 3857710000-1 - 8322 Foothill/Cupertino Rd $326.04 Import - 897025 06/24/2022 FY21-22 3900520000-9 - 10300 Torre Ave $535.47 Import - 897026 06/24/2022 FY21-22 3953083125-2 - Tuscany Pl $446.08 Import - 897027 06/24/2022 FY21-22 4012210000-7 - 22601 Voss Av 8304 $3,069.56 Import - 897028 06/24/2022 FY21-22 4103020000-4 - 6620 Blackberry/Snack $594.94 Monday, July 18, 2022Pages: 4 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 155 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Import - 897029 06/24/2022 FY21-22 4227520000-6 - 8303 Memorial Park $753.10 Import - 897030 06/24/2022 FY21-22 4444250747-9 - Tuscany Pl $446.08 Import - 897031 06/24/2022 FY21-22 5122900000-8 - Portable Meter $443.86 Import - 897032 06/24/2022 FY21-22 5237400000-9 - Dumas Dr, LS $7,844.67 Import - 897033 06/24/2022 FY21-22 5356310000-6 - 8322 Stev.Crk/Median $224.06 Import - 897034 06/24/2022 FY21-22 5778910000-5 - 8504 Quinlan Ln.FS $73.90 Import - 897035 06/24/2022 FY21-22 5835000000-4 - 8322 Stelling/Alves $140.60 Import - 897036 06/24/2022 FY21-22 5929210000-1 - 8322 Ann Arbor Ct $146.04 Import - 897037 06/24/2022 FY21-22 5948100000-4 - Emerg Irrig/Golf/ 6640 BBF $11,610.79 Import - 897038 06/24/2022 FY21-22 5986710000-6 - 10300 Torre Ave. FS (Comm.Hall) $469.10 Import - 897039 06/24/2022 FY21-22 5997110000-9 - 7555 Barnhart Pl $3,318.15 Import - 897040 06/24/2022 FY21-22 6292600000-1 - 10800 Torre Ave LS $5,521.73 Import - 897041 06/24/2022 FY21-22 6405210000-1 - 8506 McClellan Ranch $436.42 Import - 897042 06/24/2022 FY21-22 6578520000-0 - 8322 Foothill/Alpine LS $178.77 Import - 897043 06/24/2022 FY21-22 6788620000-4 - 10555 Mary Ave. 8503 $311.32 Import - 897044 06/24/2022 FY21-22 6907100000-9 - Alderbrook Ln $197.92 Import - 897045 06/24/2022 FY21-22 6935200000-9 - 8303 Memorial Park $5,072.78 Import - 897046 06/24/2022 FY21-22 6973320000-5 - 8301 Linda Vista PK1 $840.36 Import - 897047 06/24/2022 FY21-22 7036000000-7 - 85 Stev.Crk/Mary LS $189.67 Import - 897048 06/24/2022 FY21-22 7054200000-8 - 8322 Phar Lap LS $86.83 Import - 897049 06/24/2022 FY21-22 7495200000-3 - 10300 Torre Ave FS $117.79 Import - 897050 06/24/2022 FY21-22 7630410000-1 - Salem Av.LS $151.50 Import - 897051 06/24/2022 FY21-22 7930000000-1 - 8322 Stelling/Christensen Dr.$156.95 Import - 897052 06/24/2022 FY21-22 8006810000-9 - 10450 Mann Dr $48.64 Import - 897053 06/24/2022 FY21-22 8065700000-8 - Peninsula and Fitzgerald Is $70.46 Import - 897054 06/24/2022 FY21-22 8270010000-9 - Janice Ave.LS $240.41 Import - 897055 06/24/2022 FY21-22 8427420000-9 - 8322 Foothill/Vista Knoll $244.22 Import - 897056 06/24/2022 FY21-22 8549600000-2 - Bubb Rd.LS $5,607.41 Import - 897057 06/24/2022 FY21-22 8647520000-1 - 10555 Mary Ave/Corp Yard FS $190.02 Import - 897058 06/24/2022 FY21-22 8755010000-9 - 10455 Miller Ave/Creekside $424.84 Import - 897059 06/24/2022 FY21-22 8879620000-9 - 8504 Christensen Dr $267.69 Import - 897060 06/24/2022 FY21-22 8886800000-6 - 8301 Linda Vista PK2 $976.72 Import - 897061 06/24/2022 FY21-22 9377600000-7 - 8307 Varian Park $1,723.94 Import - 897062 06/24/2022 FY21-22 9824500000-9 - 8322 Irrig SC/Stelling $544.20 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $90,237.17 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $11,610.79 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $1,123.57 730669 07/15/2022 Open Accounts Payable SUE AND KATHY LINE DANCE $2,016.00 Invoice Date Description Amount 07122022 07/12/2022 FY21-22 Line Dance Classes ending May, 2022 $2,016.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,016.00 Monday, July 18, 2022Pages: 5 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 156 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730670 07/15/2022 Open Accounts Payable SWANK MOTION PICTURES, INC.$445.00 Invoice Date Description Amount 1913861 06/23/2022 FY21-22 Movie License Rental $445.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $445.00 730671 07/15/2022 Open Accounts Payable SYSCO - SAN FRANCISCO $3,692.68 Invoice Date Description Amount 550062397 06/22/2022 FY 21-22 BBF Cafe order for late June/July 4 $3,692.68 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,692.68 730672 07/15/2022 Open Accounts Payable The Pin Center $432.50 Invoice Date Description Amount 0322022 03/07/2022 FY 21-22 City Logo Pins $432.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $432.50 730673 07/15/2022 Open Accounts Payable TransUnion Risk and Alternative $160.00 Invoice Date Description Amount 6110432-202206-1 07/01/2022 FY21-22 Tlo 06/01/2022 - 06/30/2022 $160.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $160.00 730674 07/15/2022 Open Accounts Payable TUCKER CONSTRUCTION INC $8,714.62 Invoice Date Description Amount 30994 06/30/2022 FY 21-22 Clean-up/Abatement at Lawrence Expressway & Mitty Way $8,714.62 Paying Fund Cash Account Amount 280 - Park Dedication 280 100-100 (Cash & Investments Assets Operating Cash) $8,714.62 730675 07/15/2022 Open Accounts Payable Wayne Prescott and Associates $2,500.00 Invoice Date Description Amount 07062022 07/06/2022 Appraisal review and report for 22690 Steven Creek Blvd FY21-22 $2,500.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,500.00 730676 07/15/2022 Open Accounts Payable ANDREW MARTIN $272.60 Invoice Date Description Amount 308604 06/29/2022 REFUND 10501 N TANTAU AVE BLD-2022-0618 WITHDRAWN FY21-22 $272.60 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $272.60 Monday, July 18, 2022Pages: 6 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 157 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730677 07/15/2022 Open Accounts Payable BURR PLUMBING AND PUMPING INC $7,455.00 Invoice Date Description Amount 110509 07/01/2022 Install back water valve at BBF Golf Course $7,455.00 Paying Fund Cash Account Amount 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $7,455.00 730678 07/15/2022 Open Accounts Payable CINTAS $1,142.85 Invoice Date Description Amount 4124506187 07/06/2022 UNIFORMS SAFETY APPAREL $1,142.85 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,142.85 730679 07/15/2022 Open Accounts Payable Citizen Communications LLC dba Recyclist $17,100.00 Invoice Date Description Amount INV-2572 06/30/2022 Recyclist Program Tracker: Subscription Fee: 8/1/22 - 7/31/23 $17,100.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $17,100.00 730680 07/15/2022 Open Accounts Payable Comcast $983.36 Invoice Date Description Amount 149039595 07/01/2022 Business Class Internet - Mary, Stevens Creek - June 2022 $983.36 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $983.36 730681 07/15/2022 Open Accounts Payable LIEBERT CASSIDY WHITMORE $4,230.00 Invoice Date Description Amount 218896 06/06/2022 ERC LCW Membership 07/01/22-6/30/23 $4,230.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,230.00 730682 07/15/2022 Open Accounts Payable MAHAN AND SONS INC $1,400.00 Invoice Date Description Amount 1892 07/05/2022 Grounds - Varian Park June 2022 Maint.$1,400.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,400.00 730683 07/15/2022 Open Accounts Payable Rodney Weathers $230.00 Invoice Date Description Amount RODNEYW07112022 07/11/2022 Reimbursement for ICC Residential Mechanical Inspector Exam $230.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $230.00 Monday, July 18, 2022Pages: 7 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 158 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730684 07/15/2022 Open Accounts Payable SYSCO - SAN FRANCISCO $1,003.49 Invoice Date Description Amount 550086002 07/01/2022 BBF Cafe - Food order early July $1,003.49 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,003.49 730685 07/15/2022 Open Accounts Payable TURF & INDUSTRIAL EQUIPMENT CO. $791.45 Invoice Date Description Amount IV43386 07/07/2022 Fleet - Gasket $32.63 IV43069 07/07/2022 Fleet - Radiator, Radiator Hose, Thermostat, Gasket $728.87 IV43249 07/07/2022 Fleet - Filler Cap $29.95 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $791.45 730686 07/15/2022 Open Accounts Payable AMIT JAIN $6,100.00 Invoice Date Description Amount 306276 07/06/2022 REFUND 20320 MICHAEL CT BLD-2020-1635 TCO BOND $6,100.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,100.00 730687 07/15/2022 Open Accounts Payable Cupertino Kung-Fu Club $100.00 Invoice Date Description Amount 2006183.030 07/06/2022 MVRC- 7.07.22- Multi-Purpose Room Security Deposit Refund $100.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $100.00 730688 07/15/2022 Open Accounts Payable SWINERTON BUILDERS $10,000.00 Invoice Date Description Amount 309593 07/06/2022 REFUND 10201 BUBB RD BLD-2021-0856 TCO BOND $10,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $10,000.00 Type Check Totals:39 Transactions $246,399.75 EFT 34732 07/11/2022 Open Accounts Payable EMPLOYMENT DEVEL DEPT $46,068.04 Invoice Date Description Amount 07012022 07/01/2022 CA State Tax pp 6/18/22-7/1/22 $46,068.04 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $46,068.04 34733 07/11/2022 Open Accounts Payable IRS $150,466.29 Invoice Date Description Amount 07012022 07/01/2022 Federal Tax pp 6/18/22-7/1/22 $150,466.29 Paying Fund Cash Account Amount Monday, July 18, 2022Pages: 8 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 159 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $150,466.29 34735 07/12/2022 Open Accounts Payable TASC $235.35 Invoice Date Description Amount IN2439556 07/11/2022 FSA - Administration Fees 7/1/22-7/31/22 $235.35 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $235.35 34736 07/12/2022 Open Accounts Payable TASC $616.28 Invoice Date Description Amount IN2439652 07/11/2022 HRA - Administration Fees 7/1/22-7/31/22 $616.28 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $616.28 34737 07/15/2022 Open Accounts Payable 4LEAF, INC.$31,201.17 Invoice Date Description Amount J3872-01B 07/07/2022 FY 21-22 Orange Ave. Sidewalk Improvements through 060122-063022 $31,201.17 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $31,201.17 34738 07/15/2022 Open Accounts Payable A-1 FENCE INC.$11,600.00 Invoice Date Description Amount 13151 01/19/2022 FY 21-22 Grounds Service Center Fence $4,500.00 13550 06/17/2022 FY 21-22 Grounds Fence Repair at Voss Ave & Barbara Lane $2,800.00 13116 01/05/2022 FY 21-22 Grounds BBF Golf Course & Byrne Fence $1,500.00 13436 05/06/2022 FY 21-22 SCB & Mitty/I280 $2,250.00 13435 05/06/2022 FY 21-22 Grounds Service Center Fence $550.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $11,600.00 34739 07/15/2022 Open Accounts Payable ALESHIRE & WYNDER, LLP $6,207.50 Invoice Date Description Amount 69156 07/12/2022 FY21-22 Vallco Legal Review 2022/06 $6,207.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,207.50 34740 07/15/2022 Open Accounts Payable Amazon Capital Services $6,289.86 Invoice Date Description Amount 1KRR-QXQR-WQMX 06/27/2022 FY21-22 Snagless Short Shielded Cat6A Ethernet Cable 3 ft & 5 ft $37.00 1979-VR79-6RCR 07/04/2022 FY21-22 1x HP JL322A HPE Aruba 2930M 48G POE+ 1-Slot SW $5,123.42 1YH6-FYGP-463P 07/04/2022 FY21-22 3x HP JL325A Aruba 2930 2-Port Stacking Module (Renewed $1,129.44 Paying Fund Cash Account Amount Monday, July 18, 2022Pages: 9 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 160 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $6,289.86 34741 07/15/2022 Open Accounts Payable Amazon Web Services, Inc.$1,406.63 Invoice Date Description Amount 1074071581 07/02/2022 FY21-22 AWS - June 2022 Applications $1,406.63 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,406.63 34742 07/15/2022 Open Accounts Payable AUDIO NETWORK US, INC.$6,000.00 Invoice Date Description Amount 101414257 06/22/2022 FY21-22 (Music License Renewal l (July 8, 2022 - July 7, 2023) $6,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,000.00 34743 07/15/2022 Open Accounts Payable B&H PHOTO VIDEO $30.70 Invoice Date Description Amount 203818081 07/07/2022 FY21-22 (Snoot for Bowens Mount)$30.70 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $30.70 34744 07/15/2022 Open Accounts Payable Carahsoft Technology Corporation $247,863.04 Invoice Date Description Amount IN1189958 07/01/2022 FY21-22 8ACCELA Civic Platform & Reporting Database Licenses $247,863.04 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $247,863.04 34745 07/15/2022 Open Accounts Payable CITY OF SAN JOSE $20,858.45 Invoice Date Description Amount 1216807 06/30/2022 Animal Services 2022/06 FY21-22 $20,858.45 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $20,858.45 34746 07/15/2022 Open Accounts Payable COTTON, SHIRES & ASSOCIATES, INC. $2,382.54 Invoice Date Description Amount 622267 06/30/2022 FY21-22 C6022 Professional Services, 22332 Regnart Road $2,382.54 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,382.54 34747 07/15/2022 Open Accounts Payable CSG CONSULTANTS, INC.$15,690.00 Invoice Date Description Amount 44696 07/06/2022 FY 21-22 Regnart Creek Fencing Phase 2 through 06302022 $12,230.00 44697 07/06/2022 FY21-22 Memorial Park Ponds Repurposing Project 06302022 $3,270.00 Monday, July 18, 2022Pages: 10 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 161 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 44690 07/06/2022 FY 21-22 Homestead Rd/N. De Anza Blvd Proj through 06302022 $190.00 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $190.00 280 - Park Dedication 280 100-100 (Cash & Investments Assets Operating Cash) $3,270.00 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $12,230.00 34748 07/15/2022 Open Accounts Payable GARDENLAND POWER EQUIPMENT $437.48 Invoice Date Description Amount 942556 06/30/2022 FY 21-22 Fleet Battery $437.48 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $437.48 34749 07/15/2022 Open Accounts Payable GOLDFARB & LIPMAN LLP $2,848.00 Invoice Date Description Amount 145776 06/30/2022 Housing Legal Review 2022/05 FY21-22 $288.00 145777 06/30/2022 BMR Housing Legal Review 2022/05 FY21-22 $2,560.00 Paying Fund Cash Account Amount 265 - BMR Housing 265 100-100 (Cash & Investments Assets Operating Cash) $2,848.00 34750 07/15/2022 Open Accounts Payable HMH ENGINEERS INC $6,033.00 Invoice Date Description Amount 43050 06/29/2022 FY21-22-Regnart Creek Privacy Fencing through 06252022 $294.00 43061 06/29/2022 FY21-22-Orange Avenue Improvements through 062522 $5,739.00 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $5,739.00 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $294.00 34751 07/15/2022 Open Accounts Payable Homebase $2,348.12 Invoice Date Description Amount 01982 07/05/2022 CWP Homelessness Administrator 2022/06 FY21-22 $2,348.12 Paying Fund Cash Account Amount 265 - BMR Housing 265 100-100 (Cash & Investments Assets Operating Cash) $2,348.12 34752 07/15/2022 Open Accounts Payable IMPEC GROUP INC,.$92,439.47 Invoice Date Description Amount 2206128 06/30/2022 FY 21-22 Facilities June 2022 Janitorial Services $91,679.06 2206136 06/30/2022 FY 21-22 Facilities June 2022 Gate Lock Down Services $760.41 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $84,071.02 Monday, July 18, 2022Pages: 11 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 162 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $8,368.45 34753 07/15/2022 Open Accounts Payable INCREDIFLIX INC.$5,260.20 Invoice Date Description Amount IncrediFlix 22-2 07/08/2022 FY21-22 IncrediFlix Summer 2022 - Payment 1 $5,260.20 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $5,260.20 34754 07/15/2022 Open Accounts Payable INDEPENDENT CODE CONSULTANTS, INC. $4,375.00 Invoice Date Description Amount 1612 06/30/2022 Westport Plan Review Services FY21-22 $4,375.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,375.00 34755 07/15/2022 Open Accounts Payable MOSS ADAMS LLP $5,275.00 Invoice Date Description Amount 102306736 05/20/2022 FY 21-22 Internal Audit Program Mgmt Services APR 2022 $350.00 102306735 05/20/2022 FY21-22 Capital Program Effectiveness Study APR 2022 $2,300.00 102306734 05/20/2022 FY21-22 Policy Inventory and Plan Services APR 2022 $2,625.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,275.00 34756 07/15/2022 Open Accounts Payable Natasha Austin $9,048.00 Invoice Date Description Amount Natasha2022-5 07/08/2022 FY21-22 Natasha Summer 2022 - Payment 1 $9,048.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $9,048.00 34757 07/15/2022 Open Accounts Payable PAVEMENT ENGINEERING INC $720.00 Invoice Date Description Amount 2206-047 07/07/2022 FConstruction Management & Inspection 2020 through 060122-063022 $720.00 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $720.00 34758 07/15/2022 Open Accounts Payable Pay Pal Inc VPS $19.95 Invoice Date Description Amount 122260758 06/30/2022 FY21-22 VSV0003096477 - Cupertinoweb4 June 2022 $19.95 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $19.95 34759 07/15/2022 Open Accounts Payable PlaceWorks $9,955.15 Invoice Date Description Amount 78890 06/30/2022 FY21-22 10625 S Foothill Blvd Environmental Review 2022/06 $43.30 Monday, July 18, 2022Pages: 12 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 163 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 78914 06/30/2022 FY21-22 19191 Vallco Parkway Environmental Review 2022/06 $9,911.85 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $9,955.15 34760 07/15/2022 Open Accounts Payable RANEY PLANNING & MANAGEMENT, INC. $262.50 Invoice Date Description Amount 2198E-6 05/16/2022 FY21-22 20860 McClellan Road Environmental Review 2022/04 $262.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $262.50 34761 07/15/2022 Open Accounts Payable Robert Half $3,835.06 Invoice Date Description Amount 60320097 07/07/2022 FY21-22 Osman, Luam for Week-Ended 07/01/2022 $1,970.66 60241208 06/27/2022 FY21-22 Tiago BL Support Assistance - week of 06/24/22 $932.20 60160802 06/13/2022 FY21-22 Tiago BL Support Assistance - week of 06/10/22 $932.20 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,835.06 34762 07/15/2022 Open Accounts Payable SCA of CA, LLC $17,381.62 Invoice Date Description Amount 103417CS 06/30/2022 FY21-22 Street Sweeping June 2022 $17,381.62 Paying Fund Cash Account Amount 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $8,690.81 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $8,690.81 34763 07/15/2022 Open Accounts Payable SHI INTERNATIONAL CORP $1,425.00 Invoice Date Description Amount B15254391 06/29/2022 FY21-22 5x The Zendesk Suite - Subscriptions 5/13 - 7/22, 2022 $1,425.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,425.00 34764 07/15/2022 Open Accounts Payable Silicon Valley Bicycle Coalition $1,350.00 Invoice Date Description Amount 1566 05/11/2022 FY21-22-Kennedy Middle School Bike Safety Presentation $1,350.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,350.00 34765 07/15/2022 Open Accounts Payable TJKM $5,827.50 Invoice Date Description Amount 0052936 06/30/2022 FY21-22-Cupertino Local Road Safety Plan through 060122-063022 $5,827.50 Monday, July 18, 2022Pages: 13 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 164 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,827.50 34766 07/15/2022 Open Accounts Payable Tripepi, Smith and Associates, Inc $1,897.50 Invoice Date Description Amount 8209 06/30/2022 FY21-22 Tripepi Smith Invoice $1,897.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,897.50 34767 07/15/2022 Open Accounts Payable West Valley Community Services $5,805.57 Invoice Date Description Amount 1900 06/30/2022 CWP Homeless Jobs Program 2022/06 FY21-22 $5,805.57 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,805.57 34768 07/15/2022 Open Accounts Payable BATTERIES PLUS BULBS #475 $409.76 Invoice Date Description Amount P46481073 07/03/2022 Facilities - AA, AAA, C, 6V Batteries $409.76 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $358.54 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $51.22 34769 07/15/2022 Open Accounts Payable Cupertino Supply, Inc $89.33 Invoice Date Description Amount 294720 07/07/2022 Facilities 3/4 Screw $89.33 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $89.33 34770 07/15/2022 Open Accounts Payable GRAINGER INC $393.30 Invoice Date Description Amount 9367507879 07/06/2022 Facilities - Credit for Invoice# 9360884077 ($362.51) 9367999340 07/06/2022 Facilities - Motor 1/4 HP 460V 1100 RPM $755.81 Paying Fund Cash Account Amount 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $393.30 34771 07/15/2022 Open Accounts Payable Health Care Employees Dental Trust $29,375.10 Invoice Date Description Amount 316288-316290 07/08/2022 July 2022 Dental Benefit $29,375.10 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $29,375.10 34772 07/15/2022 Open Accounts Payable KIMBALL-MIDWEST $267.85 Invoice Date Description Amount 100081939 07/05/2022 Fleet BL/GRY Maxi-Range Con, Instant Tire Detailer $267.85 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $267.85 Monday, July 18, 2022Pages: 14 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 165 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34773 07/15/2022 Open Accounts Payable LIFE INSURANCE COMPANY OF NORTH AMERICA $8,033.65 Invoice Date Description Amount 15487_070122 07/11/2022 July 2022 CIGNA $8,033.65 Paying Fund Cash Account Amount 641 - Compensated Absence/LTD 641 100-100 (Cash & Investments Assets Operating Cash) $8,033.65 34774 07/15/2022 Open Accounts Payable Managed Health Network Inc $805.86 Invoice Date Description Amount PRM-072919 06/16/2022 July 2022 EAP BENEFIT $805.86 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $805.86 34775 07/15/2022 Open Accounts Payable THE HARTFORD $11,754.15 Invoice Date Description Amount 656343108667 07/11/2022 July 2022 Life and AD&D Benefit $11,515.20 756343118389 07/11/2022 July 2022 $238.95 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $11,754.15 34776 07/15/2022 Open Accounts Payable Vision Service Plan (CA)$4,148.70 Invoice Date Description Amount 815429266 06/19/2022 July 2022 Vision Benefit $3,055.58 815429262 06/19/2022 July 2022 Vision Benefit $210.76 815441027 06/21/2022 July 2022 Vision Benefit $882.36 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,148.70 34777 07/15/2022 Open Accounts Payable WOWzy Creation Corp. dba First Place $98.71 Invoice Date Description Amount 95542 07/12/2022 Nameplates - Building Division $98.71 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $98.71 34778 07/15/2022 Open Accounts Payable ZAYO GROUP, LLC $2,701.01 Invoice Date Description Amount 2022070030583 07/01/2022 FY23 Disaster Recovery Telecom services July 2022 $2,701.01 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $2,701.01 Type EFT Totals:46 Transactions $781,537.39 Main Account - Main Checking Account Totals Checks Status Count Transaction Amount Reconciled Amount Open 39 $246,399.75 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Monday, July 18, 2022Pages: 15 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 166 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Total 39 $246,399.75 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 46 $781,537.39 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 46 $781,537.39 $0.00 All Status Count Transaction Amount Reconciled Amount Open 85 $1,027,937.14 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 85 $1,027,937.14 $0.00 Grand Totals: Checks Status Count Transaction Amount Reconciled Amount Open 39 $246,399.75 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 39 $246,399.75 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 46 $781,537.39 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 46 $781,537.39 $0.00 All Status Count Transaction Amount Reconciled Amount Open 85 $1,027,937.14 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 85 $1,027,937.14 $0.00 Monday, July 18, 2022Pages: 16 of 16user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/9/2022 - To Payment Date: 7/15/2022 167 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Main Account - Main Checking Account Check 730689 07/22/2022 Open Accounts Payable 4IMPRINT INC.$327.24 Invoice Date Description Amount 23184212 06/30/2022 FY 21-22 Table Cover for Safe Routes 2 School $327.24 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $327.24 730690 07/22/2022 Open Accounts Payable ADVANTAGE GRAFIX $1,383.79 Invoice Date Description Amount 46726 06/20/2022 FY21-22 Rabeya A. full color 250 Business Cards $106.94 46659 05/26/2022 FY 21-22 Trees/ROW Door Hangers $1,062.97 46727 06/20/2022 Business Cards for Rodney Weathers- Building Division FY21-22 $106.94 46717 06/18/2022 Business Cards for Tony Barakat - Building Division FY21-22 $106.94 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,276.85 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $106.94 730691 07/22/2022 Open Accounts Payable AT&T $1,114.24 Invoice Date Description Amount 000018465176 07/12/2022 FY21-22 9391023221 (408-253-9200) 6/12-7/11/22 $53.20 000018465178 07/12/2022 FY21-22 9391023223 6/12-7/11/22 $73.60 000018465180 07/12/2022 FY 21-22 9391023225 (408-777-8204) 6/12-7/11/22 ($15.30) 000018465272 07/12/2022 FY21-22 9391023218 (238-371-7141) 6/12-7/11/22 $68.96 000018465273 07/12/2022 FY21-22 9391023217 (237-361-8095)$87.54 000018465274 07/12/2022 FY21-22 9391023216 (233-281-5494) 6/12-7/11/22 $55.99 000018465275 07/12/2022 FY21-22 9391023215 (233-281-4421) 6/12-7/11/22 $89.55 000018466143-0 07/12/2022 4087771305 | | 10185 N STELLING RD - Secure FAX $15.72 000018466143-1 07/12/2022 4087771306 | | 10185 N STELLING RD - Sheriff $15.81 000018466143-2 07/12/2022 4087771307 | | 10185 N STELLING RD - Sheriff $15.81 000018466143-3 07/12/2022 4087771311 | | 22221 MC CLELLAN RD - Environmental Education Cen $20.88 000018466143-4 07/12/2022 4087771318 | | 10555 MARY AV - Traffic Operating Center on Franc $31.81 000018466143-5 07/12/2022 4087771331 | | 21975 SAN FERNANDO AV - BBF- Kiosk Alarm $16.31 000018466143-6 07/12/2022 4087771340 | | 10555 MARY AV - Alarm- Service Center $15.95 000018466143-7 07/12/2022 4087771344 | | 21251 STEVENS CREEK BL - SEN - FAX $15.81 000018466143-8 07/12/2022 4087771345 - CH- PG&E Meter $15.96 000018466143-9 07/12/2022 4087771346 | | 21111 STEVENS CREEK BL - SPORTS Center - HVAC Lin $15.96 000018466143-10 07/12/2022 4087771348 | | 10555 MARY AV - Alarm- Service Center $17.17 000018466143-11 07/12/2022 4087771355 | | 10555 MARY AV - Mechanic Shop FAX $15.81 Monday, July 25, 2022Pages: 1 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 168 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 000018466143-12 07/12/2022 4087773102 | | 10185 N STELLING RD - Museum/Spare $15.81 000018466143-13 07/12/2022 4087773103 | | 10185 N STELLING RD - Museum/Spare $15.81 000018466143-14 07/12/2022 4087773109 - FAX $15.81 000018466143-15 07/12/2022 4087773112 | | 21111 STEVENS CREEK BL - SPORTS- Fire Alarm $18.41 000018466143-16 07/12/2022 4087773113 | | 21111 STEVENS CREEK BL - SPORTS- Fire Alarm $16.08 000018466143-17 07/12/2022 4087773137 | | 10185 N STELLING RD - FAX QCC $15.81 000018466143-18 07/12/2022 4087773143 | | 21975 SAN FERNANDO AV - BBF - Retreat Alarm $16.61 000018466143-19 07/12/2022 4087773145 | | 21975 SAN FERNANDO AV - BBF- Alarm Golf Shed $15.96 000018466143-20 07/12/2022 4087773156 | | 21251 STEVENS CREEK BL - SEN- FAX Work Room $15.81 000018466143-21 07/12/2022 4087773164 | | 21111 STEVENS CREEK BL - Sports Fax $15.96 000018466143-22 07/12/2022 4087773168 | | 21111 STEVENS CREEK BL - Sports Center Elevator $15.96 000018466143-23 07/12/2022 4087773254 | | 21975 SAN FERNANDO AV - BBF - Golf Shed $20.89 000018466143-24 07/12/2022 4087773258 | | 21975 SAN FERNANDO AV - BBF- $ODUP&DIp $15.81 000018466143-25 07/12/2022 4087773287 - Comm Hall - Alarm $17.46 000018466143-26 07/12/2022 4087773288 - Comm Hall - Fire Alarm $16.35 000018466143-27 07/12/2022 4087773293 - Comm Hall - Fire Alarm $15.81 000018466143-28 07/12/2022 4087773302 | | 21251 STEVENS CREEK BL - SEN- Credit Card Front D $15.81 000018466143-29 07/12/2022 4087773305 | | 21251 STEVENS CREEK BL - SEN- Credit Card Front D $15.81 000018466143-30 07/12/2022 4087773317 - CH- Finance CC VISA $15.96 000018466143-31 07/12/2022 4087773333 - CH- FAX downstairs $15.98 000018466143-32 07/12/2022 4087773365 | | 21251 STEVENS CREEK BL - RNA FAX $15.81 000018466143-33 07/12/2022 4087773369 | | 21251 STEVENS CREEK BL - SEN- Alarm Line $17.05 000018466143-34 07/12/2022 4087773370 | | 21251 STEVENS CREEK BL - SEN- Alarm Line $16.03 000018466143-35 07/12/2022 4087773372 | | 21251 STEVENS CREEK BL - Trane Modem (HVAC) $15.81 000018466143-36 07/12/2022 4087773387 | | 10555 MARY AV - FAX or Alarm $15.81 000018466143-37 07/12/2022 4087773388 | | 10555 MARY AV - FAX or Alarm $15.81 000018466143-38 07/12/2022 4087773399 | | 10555 MARY AV - FAX $16.04 000018466143-39 07/12/2022 4087773401 | | 20410 TOWN CENTER LN - FAX number at City Attorne $15.81 000018466143-40 07/12/2022 4087773416 | | 21251 STEVENS CREEK BL - SEN- Cr Card $15.81 000018466143-41 07/12/2022 4087773419 | | 21251 STEVENS CREEK BL - SEN- Cr Card $15.81 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 2 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 169 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $910.19 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $53.20 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $82.37 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $52.67 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $15.81 730692 07/22/2022 Open Accounts Payable BAY AREA NEWS GROUP $3,215.01 Invoice Date Description Amount 0001341869 06/30/2022 FY 21-22 Legal Advertising - 6/1/22-6/30/22 $3,215.01 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,215.01 730693 07/22/2022 Open Accounts Payable California Building Standards Commission $2,558.70 Invoice Date Description Amount QTR2-2022 07/22/2022 FY21-22 BSA 4/1/22-6/30/22 $2,558.70 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,558.70 730694 07/22/2022 Open Accounts Payable CITY OF CUPERTINO $2,200.00 Invoice Date Description Amount 2022-00000002 06/30/2022 FY21-22 2021 Santa Clara County Leadership Academy $2,200.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,200.00 730695 07/22/2022 Open Accounts Payable CivicWell $2,636.36 Invoice Date Description Amount 106578 06/30/2022 FY21-22 Civic Park Services - June 2022 $2,636.36 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,636.36 730696 07/22/2022 Open Accounts Payable CLAY PLANET $330.00 Invoice Date Description Amount 225286 07/11/2022 Clay Planet; Replacement Motor for Envirovent II $330.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $330.00 730697 07/22/2022 Open Accounts Payable COLANTUONO, HIGHSMITH & WHATLEY, PC $89.64 Invoice Date Description Amount 52612 07/11/2022 FY21-22, Legal Services, June 1 - June 30 $89.64 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 3 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 170 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $89.64 730698 07/22/2022 Open Accounts Payable Community Health Charities of California $50.00 Invoice Date Description Amount 07152022 07/15/2022 Community Health Charities pp 7/2/22-7/15/22 $50.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $50.00 730699 07/22/2022 Open Accounts Payable COUNTY OF SANTA CLARA $882.75 Invoice Date Description Amount 1800082063 07/05/2022 FY21-22 Other Sup. Law Enforce Svcs - Homestead HS grad ceremony $882.75 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $882.75 730700 07/22/2022 Open Accounts Payable DEPARTMENT OF JUSTICE $881.00 Invoice Date Description Amount 589947 06/30/2022 FY21-22 Finger Print Apps JUNE 2022 $881.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $881.00 730701 07/22/2022 Open Accounts Payable Freyer & Laureta, Inc.$4,496.25 Invoice Date Description Amount 22-379 07/18/2022 FY21-22-328001 Memorial Park Pond Removal through 041622-063022 $542.50 22-401 07/18/2022 FY 21-22 Professional Services June 1 through June 30, 2022 $3,953.75 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,953.75 280 - Park Dedication 280 100-100 (Cash & Investments Assets Operating Cash) $542.50 730702 07/22/2022 Open Accounts Payable Intermountain Slurry Seal, Inc.$92,415.24 Invoice Date Description Amount 2253721 06/14/2022 FY21-22-Cupertino 21 PMP Various Locations through 061422 $17,784.76 2253879 06/14/2022 FY21-22-Cupertino 21 PMP Various Locations through 061422 $74,630.48 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $17,784.76 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $74,630.48 730703 07/22/2022 Open Accounts Payable KITCHELL CEM, INC.$20,525.00 Invoice Date Description Amount 106784 07/15/2022 FY21-22-Citywide FCA Ph. 2 KCEM Project 7008A3 6122-63022 $20,525.00 Monday, July 25, 2022Pages: 4 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 171 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $20,525.00 730704 07/22/2022 Open Accounts Payable La Oferta $4,480.00 Invoice Date Description Amount 052873 06/30/2022 these are FY23 Election expenses $4,480.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,480.00 730705 07/22/2022 Open Accounts Payable LAWSON PRODUCTS INC $278.34 Invoice Date Description Amount 9309696154 06/27/2022 FY 21-22 Fleet Autofuse, Maxifuse, Ear Plugs, Sling Tuflex $245.67 9309696155 06/27/2022 FY 21-22 Fleet Brush Truck Wash $32.67 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $278.34 730706 07/22/2022 Open Accounts Payable LIVE OAK ADULT DAY SERVICES $5,829.34 Invoice Date Description Amount LvOkCDBGQ4FY2122 07/18/2022 FY21-22 Live Oak Q4 Public Service FY21-22 $5,829.34 Paying Fund Cash Account Amount 260 - CDBG 260 100-100 (Cash & Investments Assets Operating Cash) $5,829.34 730707 07/22/2022 Open Accounts Payable MISSION VALLEY FORD TRUCK SALES, INC. $429.23 Invoice Date Description Amount 767615 06/16/2022 FY 21-22 Fleet Wheel $429.23 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $429.23 730708 07/22/2022 Open Accounts Payable Operating Engineer #3 $1,484.16 Invoice Date Description Amount 07152022 07/15/2022 Union Dues pp 7/2/22-7/15/22 $1,484.16 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,484.16 730709 07/22/2022 Open Accounts Payable PG&E $85.56 Invoice Date Description Amount 0322-071422 07/14/2022 FY21-22 5849279032-2 6/18-7/7/22 $41.54 7100-071522 07/15/2022 FY21-22 7166121710-0 6/18-7/7/22 $44.02 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $85.56 730710 07/22/2022 Open Accounts Payable PINE PRESS $3,895.76 Invoice Date Description Amount 00054839 06/20/2022 FY 21-22 July/Aug 2022 50+ Scene Newsletter $3,895.76 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 5 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 172 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,895.76 730711 07/22/2022 Open Accounts Payable PLAY-WELL TEKNOLOGIES $150.00 Invoice Date Description Amount PLAYWELL_SUM22-1 07/20/2022 FY21-22 PLAYWELL_SUMMER2022_PAYMENT1 $150.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $150.00 730712 07/22/2022 Open Accounts Payable PROMO SHOP, INC $2,770.24 Invoice Date Description Amount 233166 06/30/2022 FY21-22-Giveaways: spinner w/bike & text, highlighter pens $2,770.24 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,770.24 730713 07/22/2022 Open Accounts Payable PROMO WORLD LLC $644.22 Invoice Date Description Amount 12439 06/29/2022 FY21-22-PW SR2S Bicycle Accessories & Swag $644.22 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $644.22 730714 07/22/2022 Open Accounts Payable PYRO SPECTACULARS NORTH, INC $19,143.00 Invoice Date Description Amount Fireworks 2022-2 06/30/2022 4th of July Fireworks 2022 - Pmt 2 $18,543.00 N201 07/11/2022 FY21-22 Fireworks - Fire Permit Fee $600.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $19,143.00 730715 07/22/2022 Open Accounts Payable Ralph Andersen & Associates $2,900.00 Invoice Date Description Amount INV-03889 07/14/2022 FY21-22 Compensation survey $2,900.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,900.00 730716 07/22/2022 Open Accounts Payable REED & GRAHAM INC $226.08 Invoice Date Description Amount 032188 06/22/2022 FY 21-22 Grounds Asphalt 1/2 Fine $226.08 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $226.08 730717 07/22/2022 Open Accounts Payable SAN JOSE WATER COMPANY $3,655.37 Invoice Date Description Amount Import - 897363 06/30/2022 FY21-22 0067500000-4 - Oro Grande PL LS $332.12 Import - 897364 06/30/2022 FY21-22 0879200000-5 - Stelling Rd. LS $1,120.89 Import - 897365 06/30/2022 FY21-22 1731610000-1 - De Anza Blvd.S.$471.11 Import - 897366 06/30/2022 FY21-22 4242600000-8 - Irrigation-Median (Bollinger Rd) $144.03 Monday, July 25, 2022Pages: 6 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 173 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Import - 897367 06/30/2022 FY21-22 5280181221-6 - S De Anza Bl (median irrigation) $144.03 Import - 897368 06/30/2022 FY21-22 5461910000-8 - De Anza Blvd.S.$565.15 Import - 897369 06/30/2022 FY21-22 5949902723-9 - Creekline Dr $285.22 Import - 897370 06/30/2022 FY21-22 9705420000-7 - 10300 Torre Avenue Ls $592.82 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,655.37 730718 07/22/2022 Open Accounts Payable SAN JOSE WATER COMPANY $655,668.24 Invoice Date Description Amount 032022 04/20/2022 FY 21-22 Water System Upgrades through April 2022 $291,194.66 042022 05/20/2022 FY 21-22 Water System Upgrades through May 2022 $364,473.58 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $655,668.24 730719 07/22/2022 Open Accounts Payable SHERRILL, INC $7,257.64 Invoice Date Description Amount INV-767391 07/05/2022 FY 21-22 Trees/ROW Climbing Line, Chainsaw, Snap Hook, Polesaw $4,126.15 INV-767424 07/05/2022 FY 21-22 Trees/ROW Leg Straps, Saw, Rope Bag, Handsaw, $2,988.55 INV-767443 07/05/2022 FY 21-22 Trees/ROW Ultra Ring Sling $142.94 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $7,257.64 730720 07/22/2022 Open Accounts Payable Statcomm Inc.$8,343.75 Invoice Date Description Amount C009112 06/01/2022 FY 21-22 City Hall Test & Inspections June 2022 $1,143.75 C009113 06/01/2022 FY 21-22 Community Hall Test & Inspection June 2022 $1,143.75 C009114 06/01/2022 FY 21-22 Library Test & Inspection June 2022 $1,143.75 C009115 06/01/2022 FY 21-22 Senior Center Test & Inspection June 2022 $1,143.75 C009116 06/01/2022 FY 21-22 Service Yard Test & Inspection June 2022 $626.25 C009117 06/01/2022 FY 21-22 Sports Center Test & Inspection June 2022 $626.25 C009118 06/01/2022 FY 21-22 Environmental Ed Center Test & Inspection June 2022 $1,143.75 C009119 06/01/2022 FY 21-22 Monta Vista Rec Center Test & Inspection June 2022 $281.25 C009120 06/01/2022 FY 21-22 Quinlan Community Center Test & Inspection June 2022 $281.25 C009111 06/01/2022 Prev Wage Admin Fee Facilities Fire Alarm Test & Inspection $810.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $7,717.50 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $626.25 Monday, July 25, 2022Pages: 7 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 174 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730721 07/22/2022 Open Accounts Payable SUMMERWINDS GARDEN CNTR INC. $259.72 Invoice Date Description Amount 1614/59 06/29/2022 Grounds; 2 Rose STD H.T. Rio Samba $259.72 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $259.72 730722 07/22/2022 Open Accounts Payable SVA Architects, Inc.$3,394.00 Invoice Date Description Amount 59543 06/30/2022 FY 21-22 Library Landscape Design through 6/30/2022 $3,394.00 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $3,394.00 730723 07/22/2022 Open Accounts Payable SYSCO - SAN FRANCISCO $440.70 Invoice Date Description Amount 550062396 06/22/2022 SYSCO - for July Birthday Bash $440.70 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $440.70 730724 07/22/2022 Open Accounts Payable Utility Cost Management LLC $389.42 Invoice Date Description Amount 25309 07/19/2022 FY21-22 Utility savings analysis done by UCM $389.42 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $389.42 730725 07/22/2022 Open Accounts Payable VERIZON WIRELESS $5,956.18 Invoice Date Description Amount 9910352420-120 07/04/2022 FY21-22 408-655-8685 / Alex Wykoff $30.93 9910352420-121 07/04/2022 FY21-22 408-687-5821 / Jonathan Williams $38.01 9910352420-122 07/04/2022 FY21-22 408-687-9445 / Frankie De Leon $38.01 9910352420-123 07/04/2022 FY21-22 408-687-9854 / John Ramos $38.01 9910352420-124 07/04/2022 FY21-22 408-688-1613 / Ricardo Alvarez $38.01 9910352420-125 07/04/2022 FY21-22 408-688-6252 / Benjamin Fu $28.55 9910352420-126 07/04/2022 FY21-22 408-691-2466 / Kane Wolfe $51.66 9910352420-127 07/04/2022 FY21-22 408-694-8703 / Domingo Santos $33.43 9910352420-128 07/04/2022 FY21-22 408-707-0987 / Richard Banda $38.01 9910352420-129 07/04/2022 FY21-22 408-728-5105 / Jim Throop $41.66 9910352420-130 07/04/2022 FY21-22 408-748-6390 / Tree Crew Ipad 3 $38.01 9910352420-131 07/04/2022 FY21-22 408-761-3636 / Zach Korach $44.97 9910352420-132 07/04/2022 FY21-22 408-781-0290 / Daniel Barone $38.01 9910352420-133 07/04/2022 FY21-22 408-781-0663 / Bill Bridge $38.01 9910352420-134 07/04/2022 FY21-22 408-781-0799 / Brad Alexander $38.01 9910352420-135 07/04/2022 FY21-22 408-781-1340 / John Stiehr $38.01 9910352420-136 07/04/2022 FY21-22 408-781-4139 / Julia Kinst $40.01 9910352420-137 07/04/2022 FY21-22 408-781-4360 / Paul Tognetti $38.01 9910352420-138 07/04/2022 FY21-22 408-786-8664 / Jessica Javier $36.48 9910352420-139 07/04/2022 FY21-22 408-790-7036 / Pete Coglianese $30.88 9910352420-140 07/04/2022 FY21-22 408-790-7039 / Torin Scott $36.48 9910352420-141 07/04/2022 FY21-22 408-790-7045 / Rei Delgado $23.88 Monday, July 25, 2022Pages: 8 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 175 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 9910352420-142 07/04/2022 FY21-22 408-828-9819 / Kerri Heusler $40.33 9910352420-143 07/04/2022 FY21-22 408-841-6612 / T. Internet Emergncyvan $38.01 9910352420-144 07/04/2022 FY21-22 408-857-2355 / Alex Corbalis Travel Agent $25.84 9910352420-145 07/04/2022 FY21-22 408-891-9008 / Park Ranger Corridor $29.04 9910352420-146 07/04/2022 FY21-22 408-891-9503 / Rachelle Sander $26.15 9910352420-147 07/04/2022 FY21-22 408-892-1486 / Iqraam Nabi $59.33 9910352420-148 07/04/2022 FY21-22 408-892-5553 / Albert Salvador $38.01 9910352420-149 07/04/2022 FY21-22 415-425-6339 / Kirsten Squarcia $36.47 9910352420-0 07/04/2022 FY21-22 408-202-5384 / Travis Warner $38.01 9910352420-1 07/04/2022 FY21-22 408-204-3449 / Rei Delgado $38.01 9910352420-2 07/04/2022 FY21-22 408-204-5990 / Diego Rodriguez $43.27 9910352420-3 07/04/2022 FY21-22 408-204-9056 / Joseph Herrera $38.01 9910352420-4 07/04/2022 FY21-22 408-205-3349 / Rafael (Senior Center)$33.85 9910352420-5 07/04/2022 FY21-22 408-205-4541 / Iqraam Nabi $38.01 9910352420-6 07/04/2022 FY21-22 408-205-4849 / Brandon Martinez $38.01 9910352420-7 07/04/2022 FY21-22 408-205-5866 / Ricardo Acevedo $38.01 9910352420-8 07/04/2022 FY21-22 408-205-6589 / Street Lights $40.01 9910352420-9 07/04/2022 FY21-22 408-206-0538 / Quinton Adams $51.83 9910352420-10 07/04/2022 FY21-22 408-206-7434 / Albert Salvador $60.48 9910352420-11 07/04/2022 FY21-22 408-206-7512 / Fleet/Mechanic Shop $38.01 9910352420-12 07/04/2022 FY21-22 408-209-3255 / Quinton Adams $38.01 9910352420-13 07/04/2022 FY21-22 408-234-0189 / It Dept Mi-Fi $38.01 9910352420-14 07/04/2022 FY21-22 408-234-0978 / Infrastructure Department $38.01 9910352420-15 07/04/2022 FY21-22 408-234-1270 / J. Medians Crew 1 $38.01 9910352420-16 07/04/2022 FY21-22 408-234-4724 / Building Attendants Quinlan $27.12 9910352420-17 07/04/2022 FY21-22 408-309-0340 / Piu Ghosh $32.57 9910352420-18 07/04/2022 FY21-22 408-309-2536 / Ursula Syrova $28.77 9910352420-19 07/04/2022 FY21-22 408-309-2693 / Paul Tognetti $38.01 9910352420-20 07/04/2022 FY21-22 408-309-6398 / Lisa Cameli $62.38 9910352420-21 07/04/2022 FY21-22 408-309-7042 / Kristina Alfaro $25.47 9910352420-22 07/04/2022 FY21-22 408-309-7640 / Bob Sabich $38.79 9910352420-23 07/04/2022 FY21-22 408-309-8401 / Paul Sapudar $38.01 9910352420-24 07/04/2022 FY21-22 408-309-9252 / Antonio Torrez $34.13 9910352420-25 07/04/2022 FY21-22 408-313-0045 / Roberto Montez $38.01 9910352420-26 07/04/2022 FY21-22 408-313-1148 / Toan Quach $51.66 9910352420-27 07/04/2022 FY21-22 408-313-3558 / Street Tree Maintenance #3 $38.01 9910352420-28 07/04/2022 FY21-22 408-313-4364 / Street Tree Maintenance #4 $38.01 9910352420-29 07/04/2022 FY21-22 408-313-5321 / Aaron Saiz $38.01 9910352420-30 07/04/2022 FY21-22 408-313-6943 / Victor Espinoza $38.01 9910352420-31 07/04/2022 FY21-22 408-314-4452 / Shawn Tognetti $32.13 9910352420-32 07/04/2022 FY21-22 408-314-6637 / Phuong Devries $30.19 9910352420-33 07/04/2022 FY21-22 408-314-9200 / Victoria Morin $38.01 9910352420-34 07/04/2022 FY21-22 408-315-3044 / Jonathan Ferrante $50.02 9910352420-35 07/04/2022 FY21-22 408-315-6764 / Rachelle Sander Mifi $38.01 9910352420-36 07/04/2022 FY21-22 408-315-8165 / Brian Gathers $38.01 9910352420-37 07/04/2022 FY21-22 408-316-1283 / Bill Mitchell $38.01 9910352420-38 07/04/2022 FY21-22 408-316-2067 / Paul O Sullivan $32.14 9910352420-39 07/04/2022 FY21-22 408-316-6770 / Ayano Hattori $41.66 9910352420-40 07/04/2022 FY21-22 408-316-7320 / Marvin Aguilar $38.01 9910352420-41 07/04/2022 FY21-22 408-318-0344 / Michael Woo $37.02 Monday, July 25, 2022Pages: 9 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 176 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 9910352420-42 07/04/2022 FY21-22 408-318-1652 / Esther Kwon $51.66 9910352420-43 07/04/2022 FY21-22 408-318-2012 / Kane Wolfe $38.01 9910352420-44 07/04/2022 FY21-22 408-318-7365 / Bob Sabich $38.01 9910352420-45 07/04/2022 FY21-22 408-318-8726 / Diego Rodriguez $38.01 9910352420-46 07/04/2022 FY21-22 408-334-4885 / Michael Kimball $38.01 9910352420-47 07/04/2022 FY21-22 408-334-9082 / Sean Hatch $39.23 9910352420-48 07/04/2022 FY21-22 408-340-3184 / Peter Coglianese $38.01 9910352420-49 07/04/2022 FY21-22 408-340-8060 / Nidhi Mathur $38.01 9910352420-50 07/04/2022 FY21-22 408-340-8128 / Lori Baumgartner $38.01 9910352420-51 07/04/2022 FY21-22 408-340-8564 / Portal Park $38.01 9910352420-52 07/04/2022 FY21-22 408-340-8648 / Chad Mosley $38.01 9910352420-53 07/04/2022 FY21-22 408-345-1639 / Sonya Lee $42.98 9910352420-54 07/04/2022 FY21-22 408-440-7136 / Andy Badal $38.01 9910352420-55 07/04/2022 FY21-22 408-460-1821 / Ty Bloomquist $82.08 9910352420-56 07/04/2022 FY21-22 408-466-4450 / Toc Oncall $38.01 9910352420-57 07/04/2022 FY21-22 408-466-4906 / K. Housing Planner $38.01 9910352420-58 07/04/2022 FY21-22 408-472-1568 / David Stillman $51.83 9910352420-59 07/04/2022 FY21-22 408-472-6522 / Rodney Weathers $38.01 9910352420-60 07/04/2022 FY21-22 408-472-6541 / John Raaymakers $38.01 9910352420-61 07/04/2022 FY21-22 408-472-7011 / Ty Bloomquist $38.01 9910352420-62 07/04/2022 FY21-22 408-472-7295 / Antonio Torrez $38.01 9910352420-63 07/04/2022 FY21-22 408-472-7857 / Paul O'sullivan $38.01 9910352420-64 07/04/2022 FY21-22 408-472-7927 / Bill Mitchell $38.01 9910352420-65 07/04/2022 FY21-22 408-472-9907 / Manuel Barragan $51.83 9910352420-66 07/04/2022 FY21-22 408-478-1999 / James Lee $30.28 9910352420-67 07/04/2022 FY21-22 408-482-5991 / Benjamin Fu $38.01 9910352420-68 07/04/2022 FY21-22 408-482-6096 / Monica Diaz $38.01 9910352420-69 07/04/2022 FY21-22 408-482-7747 / Matt Morley $137.47 9910352420-70 07/04/2022 FY21-22 408-483-3215 / Teri Gerhardt $38.01 9910352420-71 07/04/2022 FY21-22 408-483-5672 / M. Jonathan Ferrante $38.01 9910352420-72 07/04/2022 FY21-22 408-483-7859 / Shawn Tognetti $38.01 9910352420-73 07/04/2022 FY21-22 408-483-7997 / James Lee Ipad $38.01 9910352420-74 07/04/2022 FY21-22 408-483-9976 / On-Call Service Center $41.01 9910352420-75 07/04/2022 FY21-22 408-489-2932 / Ross Slaney $38.01 9910352420-76 07/04/2022 FY21-22 408-489-3224 / Dianne Thompson $42.26 9910352420-77 07/04/2022 FY21-22 408-489-4395 / Beth Viajar $26.78 9910352420-78 07/04/2022 FY21-22 408-489-8336 / Cyrah Caburian $38.01 9910352420-79 07/04/2022 FY21-22 408-489-9309 / Jonathan Ferrante $38.01 9910352420-80 07/04/2022 FY21-22 408-489-9310 / Kevin Rieden $38.01 9910352420-81 07/04/2022 FY21-22 408-493-3534 / J. Median Crew 2 $38.01 9910352420-82 07/04/2022 FY21-22 408-493-3543 / Frank Villa $51.83 9910352420-83 07/04/2022 FY21-22 408-495-9234 / Thomas Chin $38.06 9910352420-84 07/04/2022 FY21-22 408-495-9873 / Marvin Aguilar $40.15 9910352420-85 07/04/2022 FY21-22 408-497-3691 / Sean Filbeck $38.01 9910352420-86 07/04/2022 FY21-22 408-497-4686 / Miles D'salmon $38.01 9910352420-87 07/04/2022 FY21-22 408-497-4862 / Jeff Trybus $38.01 9910352420-88 07/04/2022 FY21-22 408-497-8714 / Joanne Magrini $38.06 9910352420-89 07/04/2022 FY21-22 408-510-0622 / Susan Michael $41.74 9910352420-90 07/04/2022 FY21-22 408-510-9158 / Winnie Pagan $38.01 9910352420-91 07/04/2022 FY21-22 408-515-2301 / Vanessa Guerra $34.47 Monday, July 25, 2022Pages: 10 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 177 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 9910352420-92 07/04/2022 FY21-22 408-515-9208 / Debra Nascimento $48.27 9910352420-93 07/04/2022 FY21-22 408-515-9374 / Jimmy Tan $36.63 9910352420-94 07/04/2022 FY21-22 408-529-8879 / Michael Miranda $51.66 9910352420-95 07/04/2022 FY21-22 408-540-8405 / Rodney Weathers $29.37 9910352420-96 07/04/2022 FY21-22 408-540-9778 / Toan Quach $10.15 9910352420-97 07/04/2022 FY21-22 408-568-3911 / Jonathan Ferrante Wwp $38.01 9910352420-98 07/04/2022 FY21-22 408-568-6465 / Cyrah Caburian $38.01 9910352420-99 07/04/2022 FY21-22 408-599-4937 / Steven Hirsch $38.01 9910352420-100 07/04/2022 FY21-22 408-599-8584 / Janet Liang $51.66 9910352420-101 07/04/2022 FY21-22 408-605-2546 / Jerry Anderson $38.01 9910352420-102 07/04/2022 FY21-22 408-605-3078 / Quinton Mifi 1 $38.01 9910352420-103 07/04/2022 FY21-22 408-605-3905 / Andrew Schmitt Mifi 2 $38.01 9910352420-104 07/04/2022 FY21-22 408-609-2453 / Amanda Hui $26.52 9910352420-105 07/04/2022 FY21-22 408-609-2803 / Kevin Simons $38.01 9910352420-106 07/04/2022 FY21-22 408-609-2948 / Brian Policriti $38.01 9910352420-107 07/04/2022 FY21-22 408-609-4188 / Alfredo Alegria $38.01 9910352420-108 07/04/2022 FY21-22 408-609-4367 / Brandon Morales $38.01 9910352420-109 07/04/2022 FY21-22 408-609-8711 / Ralph Aquinaga $38.01 9910352420-110 07/04/2022 FY21-22 408-609-8796 / Frank Villa $38.01 9910352420-111 07/04/2022 FY21-22 408-609-8826 / Domingo Santos $38.01 9910352420-112 07/04/2022 FY21-22 408-610-0601 / Paul Tognetti $51.66 9910352420-113 07/04/2022 FY21-22 408-628-8745 / Fernando Jimenez $38.01 9910352420-114 07/04/2022 FY21-22 408-630-0674 / Christopher Jensen $66.78 9910352420-115 07/04/2022 FY21-22 408-630-0900 / Adrian Melendez $38.01 9910352420-116 07/04/2022 FY21-22 408-630-1388 / Monica Diaz $51.66 9910352420-117 07/04/2022 FY21-22 408-642-4263 / Alex Wykoff $38.01 9910352420-118 07/04/2022 FY21-22 408-642-4504 / Kevin Green $38.01 9910352420-119 07/04/2022 FY21-22 408-655-8680 / Jeff Trybus $51.66 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,511.67 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $89.84 265 - BMR Housing 265 100-100 (Cash & Investments Assets Operating Cash) $38.01 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $393.75 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $211.74 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $120.09 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $515.06 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $76.02 730726 07/22/2022 Open Accounts Payable WEST-LITE SUPPLY CO INC $206.25 Invoice Date Description Amount 85753H 06/30/2022 FY 21-22 Facilities 32W 41K T8 4Ft Lamp $206.25 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 11 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 178 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $206.25 730727 07/22/2022 Open Accounts Payable Cupertino Rotary Club $620.00 Invoice Date Description Amount 2006186.030 07/07/2022 QCC- 6.29.22- Cupertino Room Security Deposit & Security Guard R $620.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $620.00 730728 07/22/2022 Open Accounts Payable MEHROTRA, VANDANA $94.25 Invoice Date Description Amount v.mehrotra5.5.22 07/20/2022 FY21-22 Mothers Tea-Fruits,tea bag,cups,8table covers,64cutouts $94.25 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $94.25 730729 07/22/2022 Open Accounts Payable NAKHODA, SHAZIA $139.86 Invoice Date Description Amount S.NAKHODA6.1.22 07/20/2022 FY21-22 graduation craft supplies $139.86 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $139.86 730730 07/22/2022 Open Accounts Payable NAKHODA, SHAZIA $274.62 Invoice Date Description Amount S.NAKHODA5.5.22 07/20/2022 FY21-22 $274.62 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $274.62 730731 07/22/2022 Open Accounts Payable Yiqi Ren $163.00 Invoice Date Description Amount 310624 07/18/2022 The applicant cancelled the application $163.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $163.00 730732 07/22/2022 Open Accounts Payable 143 Photo Booths $319.00 Invoice Date Description Amount 7272022-1130-130 06/16/2022 2022 Employee Service Awards - remaining balance $319.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $319.00 730733 07/22/2022 Open Accounts Payable ADVANTAGE GRAFIX $786.35 Invoice Date Description Amount 46761 07/13/2022 AB1276 Postcards $261.46 46769 07/13/2022 Business Cards - Jacinta, Randolph, Nataly, Kris $427.77 46764 07/13/2022 Business cards for Manny B.$97.12 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $427.77 Monday, July 25, 2022Pages: 12 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 179 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $97.12 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $261.46 730734 07/22/2022 Open Accounts Payable ALHAMBRA $236.71 Invoice Date Description Amount 21589707 070722 07/07/2022 Service Center - Water $236.71 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $236.71 730735 07/22/2022 Open Accounts Payable Andre Duurvoort $280.00 Invoice Date Description Amount AndreD071822 07/18/2022 ASHRAE Annual Membership Dues $280.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $280.00 730736 07/22/2022 Open Accounts Payable Barth Roofing Company, Inc $1,830.40 Invoice Date Description Amount 11223 07/08/2022 Facilities - Recoat Service Center Shop Building Retention Bill $1,830.40 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,830.40 730737 07/22/2022 Open Accounts Payable Better Impact USA Inc.$1,405.00 Invoice Date Description Amount INV-107144 07/15/2022 FY23 Volunteer Impact Enterprise Edition 9/1/22- 8/30/23 $1,405.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,405.00 730738 07/22/2022 Open Accounts Payable COMCAST $2,201.43 Invoice Date Description Amount 3310-070722 07/07/2022 8155 40 065 0183310 - 070722 $2,201.43 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $249.47 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $737.46 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $1,214.50 730739 07/22/2022 Open Accounts Payable KELLY-MOORE PAINT CO INC $222.32 Invoice Date Description Amount 808-00000850551 07/13/2022 Grounds - Trim Green Paper, Pntr Tape, Low Pressure Tip, Guard $222.32 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $222.32 Monday, July 25, 2022Pages: 13 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 180 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730740 07/22/2022 Open Accounts Payable Mountain View Garden Center $170.60 Invoice Date Description Amount 110624 07/11/2022 Trees/ROW: topsoil $46.87 110590 07/07/2022 Trees/ROW - 1.5Yds Topsoil $70.31 110627 07/12/2022 Streets - 3/4 Base Rock Alicia Ct Repairs $53.42 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $170.60 730741 07/22/2022 Open Accounts Payable Napa Auto Parts $119.51 Invoice Date Description Amount 674549 07/13/2022 Fleet - Fleet Pads $119.51 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $119.51 730742 07/22/2022 Open Accounts Payable NAPA AUTO PARTS $254.81 Invoice Date Description Amount 5983-772435 07/13/2022 Fleet - Oil Filter $254.81 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $254.81 730743 07/22/2022 Open Accounts Payable Newman Signs, Inc.$2,011.67 Invoice Date Description Amount TRFINV040664 07/06/2022 Street Sign Supplies $2,011.67 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $2,011.67 730744 07/22/2022 Open Accounts Payable REUSER INC.$3,196.37 Invoice Date Description Amount 7636 07/15/2022 Trees/ROW - 1/4"-3/4" Woodchips $3,196.37 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,196.37 730745 07/22/2022 Open Accounts Payable SAN FRANCISCO SHAKESPEARE FESTIVAL $30,000.00 Invoice Date Description Amount 07142022 07/14/2022 Free Shakespeare in the Park 2022 $30,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $30,000.00 730746 07/22/2022 Open Accounts Payable SHERRILL, INC $423.36 Invoice Date Description Amount INV-768862 07/11/2022 Trees/ROW - Notch Marvin 1.25" Pruner Head w/Adapter $423.36 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $423.36 Monday, July 25, 2022Pages: 14 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 181 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730747 07/22/2022 Open Accounts Payable Site5 $14.00 Invoice Date Description Amount 3864055 07/13/2022 Domain Renewal - inbusinesscupertino.com - 8/27/22 - 8/26/23 $14.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $14.00 730748 07/22/2022 Open Accounts Payable Smoking Pig BBQ Company $2,071.16 Invoice Date Description Amount SPG072722 06/16/2022 2022 Employee Service Awards $2,071.16 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,071.16 730749 07/22/2022 Open Accounts Payable Society of Municipal Arborists $2,299.00 Invoice Date Description Amount 0713 07/13/2022 Trees/ROW - Jonathan Ferrante Muni. Forestry Institute Registry $2,299.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,299.00 730750 07/22/2022 Open Accounts Payable TPX COMMUNICATIONS $2,124.34 Invoice Date Description Amount 158491088-0 06/30/2022 Telephone Service for new VoIP System June 2022 $2,124.34 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $2,124.34 730751 07/22/2022 Open Accounts Payable United Site Services $773.83 Invoice Date Description Amount 114-13154859 06/08/2022 FY21-22 Portable toilet at compost site- June services $281.05 114-13227879 07/11/2022 Service Center - SWP July 4 to July 31 2022 $492.78 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $492.78 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $281.05 730752 07/22/2022 Open Accounts Payable JEN HONG $794.00 Invoice Date Description Amount 310783 07/13/2022 REFUND 10393 LANSDALE AVE RM-2022-014 WITHDRAWN $794.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $794.00 730753 07/22/2022 Open Accounts Payable JIM RANDO $220.00 Invoice Date Description Amount 312174 07/14/2022 REFUND 20596 KIRWIN LN BLD-2022-1235 SCOPE OF WORK CHANGE $220.00 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 15 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 182 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $220.00 730754 07/22/2022 Open Accounts Payable JOHN AKHOIAN $9.15 Invoice Date Description Amount 312536 07/20/2022 REFUND 22687 VOSS AVE BLD-2022-1287 SCOPE OF WORK CHANGE $9.15 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $9.15 730755 07/22/2022 Open Accounts Payable LIU, ALLEN $6,000.00 Invoice Date Description Amount 308512 07/18/2022 20311 Stevens Creek Blvd, Encroachment, 308512 $6,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,000.00 Type Check Totals:67 Transactions $920,047.16 EFT 34779 07/18/2022 Open Accounts Payable USPS - EFT ONLY $4,318.61 Invoice Date Description Amount 197506512 07/13/2022 USPS Postage $4,318.61 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,318.61 34780 07/18/2022 Open Accounts Payable USPS - EFT ONLY $3,928.51 Invoice Date Description Amount 491587981 06/30/2022 FY21-22 Cupertino Scene Inc $3,928.51 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,928.51 34781 07/22/2022 Open Accounts Payable Colonial Life & Accident Insurance $29.16 Invoice Date Description Amount 07152022 07/15/2022 Colonial Products pp 7/2/22-7/15/22 $29.16 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $29.16 34782 07/22/2022 Open Accounts Payable Employment Development $9,506.65 Invoice Date Description Amount 07152022 07/15/2022 State Disability Insurance pp 7/2/22-7/15/22 $9,506.65 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $9,506.65 34783 07/22/2022 Open Accounts Payable National Deferred (ROTH)$3,963.93 Invoice Date Description Amount 07152022 07/15/2022 Nationwide Roth pp 7/2/22-7/15/22 $3,963.93 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,963.93 Monday, July 25, 2022Pages: 16 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 183 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34784 07/22/2022 Open Accounts Payable National Deferred Compensatin $26,082.57 Invoice Date Description Amount 07152022 07/15/2022 Nationwide Deferred Compensation pp 7/2/22-7/15/22 $26,082.57 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $26,082.57 34785 07/22/2022 Open Accounts Payable PERS-457K $13,717.29 Invoice Date Description Amount 07152022 07/15/2022 PERS Deferred Comp pp 7/2/22-7/15/22 $13,717.29 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $13,717.29 34786 07/22/2022 Open Accounts Payable State Disbursement Unit $231.23 Invoice Date Description Amount 07152022 07/15/2022 Child Support pp 7/2/22-7/15/22 $231.23 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $231.23 34787 07/22/2022 Open Accounts Payable JOYFUL MELODIES $4,567.10 Invoice Date Description Amount JOYMEL_SUM22-1 07/20/2022 FY21-22 JOYFULMELODIES_SUMMER2022- PAYMENT 1 $1,312.50 JOYMEL_SPR22-1 07/20/2022 FY21-22 JOYFULMELODIES_SPRING 2022_PAYMENT1 $3,254.60 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $4,567.10 34788 07/22/2022 Open Accounts Payable Active Network, LLC $3,600.00 Invoice Date Description Amount 4100174828 07/15/2022 FY21-22 ACTIVENet Connect: 03/04/2022 -- 03/03/2023: $3,000.00 11125806 02/27/2022 FY21-22 Max ACTIVENet - Certification Registration - System Admi $600.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,600.00 34789 07/22/2022 Open Accounts Payable BKF ENGINEERS $32,457.05 Invoice Date Description Amount 22070941 07/18/2022 FY21-22-I-280 Trail (Formally JST) through 052322- 062622 $32,457.05 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $32,457.05 34790 07/22/2022 Open Accounts Payable Boucher Law, PC $28,605.70 Invoice Date Description Amount 1108 07/17/2022 FY21-22 Labor & Employment Law Matters MAY 22 $20,792.00 1109 07/17/2022 FY21-22 Labor Negotiations 2022 $7,813.70 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 17 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 184 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $28,605.70 34791 07/22/2022 Open Accounts Payable Callander Associates Landscape Architecture $3,739.67 Invoice Date Description Amount 22015-2 06/28/2022 FY 21-22 Memorial Park Ballfield Landscape Arch Services $2,757.67 21049-6 07/19/2022 FY21-22-Creekside Park ADA Improvements through 063022 $982.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,757.67 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $982.00 34792 07/22/2022 Open Accounts Payable CASCADIA CONSULTING GROUP, INC. $6,335.00 Invoice Date Description Amount 8997 07/15/2022 FY21-22-Cupertino Parks Engagement 2022 through 042622-062522 $6,335.00 Paying Fund Cash Account Amount 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $6,335.00 34793 07/22/2022 Open Accounts Payable City Data Services, LLC $1,050.00 Invoice Date Description Amount 2231 03/28/2022 FY21-22 CDS Monthly Maintenance 2022 April-June $1,050.00 Paying Fund Cash Account Amount 265 - BMR Housing 265 100-100 (Cash & Investments Assets Operating Cash) $1,050.00 34794 07/22/2022 Open Accounts Payable CSG CONSULTANTS, INC.$2,437.50 Invoice Date Description Amount B221143 07/01/2022 Building Plan Review Services 06/01/2022 - 06/30/2022 FY21-22 $2,437.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,437.50 34795 07/22/2022 Open Accounts Payable Eflex Group, Inc $3,415.16 Invoice Date Description Amount 07152022 07/15/2022 FSA Employee Health pp 7/2/22-7/15/22 $3,415.16 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,415.16 34796 07/22/2022 Open Accounts Payable ESHERICK HOMSEY DODGE AND DAVIS, ARCHITECTS $5,464.80 Invoice Date Description Amount 22060025 06/30/2022 FY21-22-Library Expansion Project through 060122- 063022 $5,464.80 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 18 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 185 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $5,464.80 34797 07/22/2022 Open Accounts Payable HORTSCIENCE | BARTLETT CONSULTING $4,180.00 Invoice Date Description Amount 15818 06/30/2022 Arborist Review 2022/06 - 10236 Creston Drive FY21- 22 $2,090.00 15817 06/30/2022 Arborist Review 2022/06 - 7752 Orion Lane FY21-22 $2,090.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,180.00 34798 07/22/2022 Open Accounts Payable ICMA Retirement Trust-457 $18,082.07 Invoice Date Description Amount 07152022 07/15/2022 ICMA Deferred Comp pp 7/2/22-7/15/22 $18,082.07 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,082.07 34799 07/22/2022 Open Accounts Payable IFPTE LOCAL 21 $1,878.15 Invoice Date Description Amount 07152022 07/15/2022 Association Dues - CEA pp 7/2/22-7/15/22 $1,878.15 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,878.15 34800 07/22/2022 Open Accounts Payable IMPEC GROUP INC,.$200.00 Invoice Date Description Amount 2206257 06/30/2022 FY 21-22 Grounds Linda Vista Clean-up Storage $200.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $200.00 34801 07/22/2022 Open Accounts Payable IMPERIAL SPRINKLER SUPPLY, INC $2,340.49 Invoice Date Description Amount 5184451-00 06/30/2022 FY 21-22 Grounds PVC, Coupling, Primer, Sppol, Valve $2,340.49 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,340.49 34802 07/22/2022 Open Accounts Payable JAM Services, Inc $2,646.28 Invoice Date Description Amount 159149 07/12/2022 FY21-22-WP Transportation Solor Engine Parts $2,646.28 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,646.28 34803 07/22/2022 Open Accounts Payable Junior Chef Stars $6,960.00 Invoice Date Description Amount JRCHEF_SUM22-1 07/14/2022 FY21-22 JRCHEFSTARS_SUMMER2022-PAYMENT 1 $6,960.00 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 19 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 186 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $6,960.00 34804 07/22/2022 Open Accounts Payable KIMLEY-HORN AND ASSOCIATES, INC. $6,360.00 Invoice Date Description Amount 21877558 07/14/2022 FY21-22-De Anza McClellan Upgrade through 06302022 $6,360.00 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $6,360.00 34805 07/22/2022 Open Accounts Payable KMVT Community Television $5,817.94 Invoice Date Description Amount 7776 05/31/2022 FY21-22 KMVT Community TV May 2022 $5,817.94 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,817.94 34806 07/22/2022 Open Accounts Payable MOORE IACOFANO GOLTSMAN, INC. $22,901.48 Invoice Date Description Amount 0076166 07/15/2022 FY21-22-Jollyman Park All-Inclusive through 060122- 063022 $15,787.50 0076164 07/15/2022 FY21-22-Lawrence-Mitty Park & Trail Master Plan 060122-063022 $3,655.23 0076173 07/18/2022 FY21-22-I-280 Trail CEQA through 06012022- 06302022 $3,458.75 Paying Fund Cash Account Amount 280 - Park Dedication 280 100-100 (Cash & Investments Assets Operating Cash) $3,655.23 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $19,246.25 34807 07/22/2022 Open Accounts Payable Nexinite, LLC $1,620.00 Invoice Date Description Amount 1661 07/12/2022 FY21-22 Form Digitization Service for FY22 June 2022 $1,620.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,620.00 34808 07/22/2022 Open Accounts Payable Nomad Transit LLC $72,652.11 Invoice Date Description Amount INV001-5540 06/30/2022 FY21-22-Via Cupertino Shuttle for June 2022 $72,652.11 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $72,652.11 34809 07/22/2022 Open Accounts Payable ODP Business Solutions, LLC $302.02 Invoice Date Description Amount 235460758001 04/08/2022 FY21-22 Office Supplies - Admin Svcs $29.89 248944000001 06/23/2022 FY 21-22 Service Center Coffee Supplies $46.11 252082943001 06/27/2022 FY 21-22 Service Center Tray, Wall Clips, Writing Pads $56.97 Monday, July 25, 2022Pages: 20 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 187 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 252082943002 06/29/2022 FY 21-22 Service Center 5x8 Writing Pads $34.35 247271584001 06/17/2022 FY 21-22 Service Center Coffee Supplies $2.13 247271596001 06/16/2022 FY 21-22 Service Center Pencils, Coffee Supplies $41.95 238004434001 04/11/2022 FY 21-22 Office Supplies $90.62 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $302.02 34810 07/22/2022 Open Accounts Payable Pakpour Consulting Group, Inc.$11,500.00 Invoice Date Description Amount 3852 07/11/2022 FY21-22-SCB Class IV Bikeway Ph 2 through 060122- 063022 $11,500.00 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $11,500.00 34811 07/22/2022 Open Accounts Payable PARS/City of Cupertino $6,472.21 Invoice Date Description Amount 07152022 07/15/2022 PARS Employee pp 7/2/22-7/15/22 $6,472.21 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,472.21 34812 07/22/2022 Open Accounts Payable PlaceWorks $708.90 Invoice Date Description Amount 79057 06/30/2022 FY21-22 22690 Stevens Creek Blvd Environmental Review 2022/06 $708.90 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $708.90 34813 07/22/2022 Open Accounts Payable PLAN JPA $18,436.40 Invoice Date Description Amount PLAN-2021-935 07/12/2022 FY 21-22, Gen Liability Claims - May 2022 $13,536.70 PLAN-2021-953 07/12/2022 FY 21-22, Gen Liability Claims - June 2022 $4,899.70 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,436.40 34814 07/22/2022 Open Accounts Payable RANEY PLANNING & MANAGEMENT, INC. $1,981.46 Invoice Date Description Amount 2198E-8 07/14/2022 FY21-22 20860 McClellan Road Environmental Review 2022/06 $1,981.46 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,981.46 34815 07/22/2022 Open Accounts Payable REBUILDING TOGETHER SILICON VALLEY $52,294.92 Invoice Date Description Amount RTSVCDBGQ4FY2122 07/18/2022 FY21-22 CBDG Capital Housing Projects Q4 $52,294.92 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 21 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 188 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 260 - CDBG 260 100-100 (Cash & Investments Assets Operating Cash) $52,294.92 34816 07/22/2022 Open Accounts Payable San Jose Conservation Corps & Charter School $3,082.80 Invoice Date Description Amount 7752 06/30/2022 FY21-22 Compost Site Attendants- June 2022 $3,082.80 Paying Fund Cash Account Amount 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $3,082.80 34817 07/22/2022 Open Accounts Payable SMART & FINAL $224.65 Invoice Date Description Amount 4331400017505 06/28/2022 FY 21-22 MCRP Summer Camp Supplies for Daily Activities $198.49 9903 07/07/2022 FY 21-22 MCRP Summer Camp Supplies for Daily Activities $26.16 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $224.65 34818 07/22/2022 Open Accounts Payable Snapology of Los Gatos $22,287.00 Invoice Date Description Amount Snapology2022-6 07/12/2022 FY 21-22 Snapology Spring 2022 - Payment $6,708.00 Snapology2022-7 07/19/2022 FY 21-22 Snapology Summer 2022 - Payment 1 $15,579.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $22,287.00 34819 07/22/2022 Open Accounts Payable Staples $49.64 Invoice Date Description Amount 3510820803 06/22/2022 FY 21-22 Service Center Paper $49.64 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $49.64 34820 07/22/2022 Open Accounts Payable STARBIRD CONSULTING LLC $2,936.56 Invoice Date Description Amount 0187 07/19/2022 FY21-22-Env. Con. Svcs McClellan Ranch W Parking through 063322 $2,936.56 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $2,936.56 34821 07/22/2022 Open Accounts Payable SUNSTATE EQUIPMENT CO., LLC $2,754.00 Invoice Date Description Amount 10857468-001 06/14/2022 FY 21-22 Grounds Roller 36" Rie on Double Drum Rental $2,754.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,754.00 Monday, July 25, 2022Pages: 22 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 189 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34822 07/22/2022 Open Accounts Payable TJKM $188.08 Invoice Date Description Amount 0052976 06/30/2022 FY21-22 Homestead De Anza Signal Mod through 060122-063022 $188.08 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $188.08 34823 07/22/2022 Open Accounts Payable West Valley Community Services $73,634.97 Invoice Date Description Amount WVCS 071822 07/18/2022 FY21-22 Vista Village Renovation Project Pay Period May-June 202 $64,361.36 WVCSCARECBDGQ4FY 07/18/2022 FY21-22 CDBG Public Services - Q4 (CARE)$9,273.61 Paying Fund Cash Account Amount 260 - CDBG 260 100-100 (Cash & Investments Assets Operating Cash) $73,634.97 34824 07/22/2022 Open Accounts Payable WORLD JOURNAL SF LLC $225.00 Invoice Date Description Amount 2708659 07/01/2022 FY21-22 Legal Advertising - 05/13/22-05/13/22 $225.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $225.00 34825 07/22/2022 Open Accounts Payable 4 PAWS GOOSE CONTROL $1,850.00 Invoice Date Description Amount 1725 07/03/2022 Grounds - June 2022 Goose Control Services Memorial Park $1,850.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,850.00 34826 07/22/2022 Open Accounts Payable Amazon Capital Services $81.70 Invoice Date Description Amount 1TMV-WT3F-W6XG 07/11/2022 FY21-22 1x HPE | R0M67A | Aruba 2930M 40G 8 HPE Smart Rate Poe C $3,804.80 174J-XJ7F-XNXV 07/18/2022 2x Goalake 6 Port Gigabit Ethernet Unmanaged PoE+ Switch, 4 Giga $63.28 1WWX-X1GG-79X1 07/12/2022 FY21-22 refund Refund related to invoice 1TMV- WT3F-W6XG ($3,804.80) 1TWV-LPY9-YR4R 07/18/2022 Sharpie Metallic Markers $18.42 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18.42 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $63.28 34827 07/22/2022 Open Accounts Payable Bolton Insurance Services LLC $35,776.13 Invoice Date Description Amount 147935 07/14/2022 FY 22-23 SAM Insurance Payment $35,776.13 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $35,776.13 Monday, July 25, 2022Pages: 23 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 190 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34828 07/22/2022 Open Accounts Payable BOSCO OIL INC DBA VALLEY OIL $20,819.33 Invoice Date Description Amount 121241 07/05/2022 Fleet - Fuel $20,819.33 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $20,819.33 34829 07/22/2022 Open Accounts Payable BRIAN GATHERS $55.00 Invoice Date Description Amount BrianG070422 07/04/2022 CELL PHONE REIMBURSEMENT - Brian G Jun 5- Jul 4 2022 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $55.00 34830 07/22/2022 Open Accounts Payable CDW GOVERNMENT $20,800.00 Invoice Date Description Amount BL47507 07/15/2022 320x Duo access licenses $20,800.00 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $20,800.00 34831 07/22/2022 Open Accounts Payable Cupertino Supply, Inc $922.96 Invoice Date Description Amount 294968 07/11/2022 Trees/ROW - Two Bolt Repair Coupling $70.17 294984 07/11/2022 Grounds - Pipe, 1/2 PVC Male, 1/2 PVC SCH40, Pint Red Hot PVC $187.89 295064 07/12/2022 Grounds - 2CXM Lead Free, Copper Elbow, Copper Coupling $664.90 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $922.96 34832 07/22/2022 Open Accounts Payable EDGES ELECTRICAL GROUP $798.04 Invoice Date Description Amount S5608749.001 07/05/2022 Streets - Wire Thhn8-Blk and Wire Thhn-Wht $798.04 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $798.04 34833 07/22/2022 Open Accounts Payable EPAC TECHNOLOGIES, INC.$403.75 Invoice Date Description Amount E349138 07/07/2022 Envelopes with logo for Code Enforcement $403.75 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $403.75 34834 07/22/2022 Open Accounts Payable GRAINGER INC $189.90 Invoice Date Description Amount 9369400446 07/07/2022 Facilities - 2 Pole 30A, 24V $118.09 9369698916 07/07/2022 Facilities - Aspen Pad $71.81 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $71.81 Monday, July 25, 2022Pages: 24 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 191 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $118.09 34835 07/22/2022 Open Accounts Payable IMPERIAL SPRINKLER SUPPLY, INC $1,377.55 Invoice Date Description Amount 5189925-00 07/06/2022 Trees/ROW - Leemco Stabilizer, Grn Bolt Cover $150.33 5189847-00 07/06/2022 Trees/ROW - Coupling, Bush, Teflon Tape, 80TBE Nipple, Remote $331.49 5186846-00 07/07/2022 Trees/ROW - Rainbird 1" Brass Tee Sensor, Griswold 11/2" Valve $895.73 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,377.55 34836 07/22/2022 Open Accounts Payable INSERVH20 INC.$810.80 Invoice Date Description Amount 2143 07/05/2022 Facilities - July 2022 Water Treatment $810.80 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $810.80 34837 07/22/2022 Open Accounts Payable KIMBALL-MIDWEST $840.67 Invoice Date Description Amount 100095867 07/08/2022 Streets - 1/4x2-1/4 Screw Bolt $223.70 100105009 07/12/2022 Streets - Ult Promax Black, Galvco II Shiny Galv $616.97 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $840.67 34838 07/22/2022 Open Accounts Payable LIFETIME TENNIS, INC.$165,169.00 Invoice Date Description Amount 072022LTP1 07/20/2022 payment 1 June 6 to July 17 $165,169.00 Paying Fund Cash Account Amount 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $165,169.00 34839 07/22/2022 Open Accounts Payable ODP Business Solutions, LLC $54.66 Invoice Date Description Amount 254335887001 07/06/2022 Office and Kitchen Supplies $37.32 254335887002 07/11/2022 Kitchen Supplies $17.34 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $54.66 34840 07/22/2022 Open Accounts Payable R.THOMAS HECK & ASSOCIATES $18,963.00 Invoice Date Description Amount 102 07/15/2022 Fall 2022 Recreation Schedule $18,963.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $18,963.00 34841 07/22/2022 Open Accounts Payable Safety Compliance Management, Inc.$2,190.00 Invoice Date Description Amount 5503 07/12/2022 Service Center -First Responder/Forklift Training $2,190.00 Monday, July 25, 2022Pages: 25 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 192 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,190.00 34842 07/22/2022 Open Accounts Payable SCA of CA, LLC $17,381.62 Invoice Date Description Amount 103177CS 05/31/2022 FY21-22 Street Sweeping May 2022 $17,381.62 Paying Fund Cash Account Amount 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $8,690.81 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $8,690.81 34843 07/22/2022 Open Accounts Payable STATEWIDE TRAFFIC SAFETY AND SIGNS $1,092.77 Invoice Date Description Amount 05037996 07/11/2022 Streets - Aquaphalt 4.5 Bucket 4MM Aggregate Smooth Finish $1,092.77 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $1,092.77 34844 07/22/2022 Open Accounts Payable SUNNYVALE FORD $903.24 Invoice Date Description Amount 207385 07/14/2022 Fleet - Trk# 474 Unit -1PR $903.24 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $903.24 34845 07/22/2022 Open Accounts Payable TERI GERHARDT $3,459.59 Invoice Date Description Amount TeriG07072022 07/20/2022 Teri - ESRI User Conference July 10-15,2022 $3,459.59 Paying Fund Cash Account Amount Monday, July 25, 2022Pages: 26 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 193 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $3,459.59 Type EFT Totals:67 Transactions $790,106.77 Main Account - Main Checking Account Totals Checks Status Count Transaction Amount Reconciled Amount Open 67 $920,047.16 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 67 $920,047.16 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 67 $790,106.77 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 67 $790,106.77 $0.00 All Status Count Transaction Amount Reconciled Amount Open 134 $1,710,153.93 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 134 $1,710,153.93 $0.00 Grand Totals: Checks Status Count Transaction Amount Reconciled Amount Open 67 $920,047.16 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 67 $920,047.16 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 67 $790,106.77 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 67 $790,106.77 $0.00 All Status Count Transaction Amount Reconciled Amount Open 134 $1,710,153.93 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 134 $1,710,153.93 $0.00 Monday, July 25, 2022Pages: 27 of 27user: Vi Tran Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/16/2022 - To Payment Date: 7/22/2022 194 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Main Account - Main Checking Account Check 730756 07/29/2022 Open Accounts Payable 4imprint, Inc.$2,642.11 Invoice Date Description Amount 23115971 06/17/2022 FY 21-22 Canopies $2,642.11 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,642.11 730757 07/29/2022 Open Accounts Payable ADVANTAGE GRAFIX $106.94 Invoice Date Description Amount 46722 06/18/2022 FY 21-22 Business Cards for Esther Kwon $106.94 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $106.94 730758 07/29/2022 Open Accounts Payable ASCAP $803.00 Invoice Date Description Amount 500602635-2022 07/11/2022 FY21-22 Music License ASCAP $803.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $803.00 730759 07/29/2022 Open Accounts Payable Astrid Robles $258.06 Invoice Date Description Amount AstridR030722 03/07/2022 FY21-22 HotWire Hotel Stay $258.06 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $258.06 730760 07/29/2022 Open Accounts Payable AT&T $6,919.50 Invoice Date Description Amount 000018465175-0 07/12/2022 FY21-22 City Clerk $25.08 000018465175-1 07/12/2022 FY21-22 BBF Golf - 0720858146 $459.44 000018465175-2 07/12/2022 FY21-22 BBF Park $459.44 000018465175-3 07/12/2022 FY21-22 City Hall $1,150.83 000018465175-4 07/12/2022 FY21-22 Service Center $101.99 000018465175-5 07/12/2022 FY21-22 720858352 $563.59 000018465175-6 07/12/2022 FY21-22 Teleconnect: BTN0720858350 $459.44 000018465175-7 07/12/2022 FY21-22 4082558166 - Service Center Admin $25.04 000018465175-8 07/12/2022 FY21-22 Teleconnect: BTN0722762181 $563.59 000018465175-9 07/12/2022 FY21-22 2343448559 $1,887.96 000018465175-10 07/12/2022 FY21-22 Monte Vista - 0720858144 $563.59 000018465175-11 07/12/2022 FY21-22 Wilson Park $25.04 000018465175-12 07/12/2022 FY21-22 Street Maintenance $25.32 000018465175-13 07/12/2022 FY21-22 0720858349 - 10229 North Portal Avenue $609.15 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,891.85 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $5,027.65 Monday, August 01, 2022Pages: 1 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 195 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730761 07/29/2022 Open Accounts Payable California Public Employees' Retirement System $2,250.00 Invoice Date Description Amount 100000016879496 07/27/2022 FY21-22 GASB 68 Reporting Services Fee, ID 5045997158 $2,250.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,250.00 730762 07/29/2022 Open Accounts Payable CINTAS CORP $2,599.79 Invoice Date Description Amount 4121027228 06/01/2022 FY 21-22 Uniforms Safety Apparel $1,304.16 4123080514 06/21/2022 FY 21-22 Uniforms Safety Apparel $1,295.63 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,599.79 730763 07/29/2022 Open Accounts Payable DIALOG Design LP $1,416.80 Invoice Date Description Amount LP.100499 07/15/2022 FY21-22-Cupertino Renovation of City Hall Annex through 063022 $1,416.80 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $1,416.80 730764 07/29/2022 Open Accounts Payable DOLPHIN CHARTERS LLC $2,351.00 Invoice Date Description Amount 07222022 07/22/2022 FY 21-22 Charter and Lunch for Napa River Cruise 06/15/2022 $2,351.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,351.00 730765 07/29/2022 Open Accounts Payable Griffin Structures Inc.$7,560.80 Invoice Date Description Amount CSI-CLEP-21 06/30/2022 Library Expansion CM/PM Services through June 30, 2022 $7,560.80 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $7,560.80 730766 07/29/2022 Open Accounts Payable HARRY L. MURPHY, INC.$5,762.00 Invoice Date Description Amount 26234 06/30/2022 FY 21-22 Library Carpet Replacement $5,762.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $5,762.00 730767 07/29/2022 Open Accounts Payable Insight Consulting Services LLC $173,562.90 Invoice Date Description Amount 2022Q1 07/26/2022 FY21-22 2022 Q1 Insight Tax Sharing $173,562.90 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $173,562.90 Monday, August 01, 2022Pages: 2 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 196 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730768 07/29/2022 Open Accounts Payable LAUREN SAPUDAR $165.00 Invoice Date Description Amount LaurenS071422 04/15/2022 FY 21-22 - Cell Phone Reimbursement for May, June, July 2022 $165.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $165.00 730769 07/29/2022 Open Accounts Payable LESTER GILES MARKARIAN $1,665.00 Invoice Date Description Amount LesterSpring2022 07/26/2022 FY 21-22 Lester Markarian Spring 2022 Payment $1,665.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,048.95 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $616.05 730770 07/29/2022 Open Accounts Payable MAITRI INC $7,485.53 Invoice Date Description Amount MTHQ4FY21-22 07/27/2022 FY21-22 Q4 Maitri HSG $7,485.53 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $7,485.53 730771 07/29/2022 Open Accounts Payable MAMI WEBER $1,547.00 Invoice Date Description Amount MAMIWEB_SPR22-1 07/27/2022 FY21-22 MAMI WEBBER_SPRING2022_PAYMENT1 $1,547.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $1,547.00 730772 07/29/2022 Open Accounts Payable Napa Auto Parts $3,399.53 Invoice Date Description Amount 671908 06/09/2022 FY 21-22 Fleet Parts Brake Wash SW4 $2,196.40 671909 06/09/2022 FY 21-22 Fleet Truck Ramps $1,203.13 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $3,399.53 730773 07/29/2022 Open Accounts Payable PAUL SAPUDAR $110.00 Invoice Date Description Amount PaulS051422 05/14/2022 FY 21-22 Cell Phone Reimbursement - Paul S 4-15 to 5-14-22 $55.00 PaulS061422 06/14/2022 FY 21-22 Cell Phone Reimbursement - Paul S 5-15 to 6-14-22 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $110.00 730774 07/29/2022 Open Accounts Payable PG&E $19,781.97 Invoice Date Description Amount 1715-072022 07/20/2022 FY21-22 4993063171-5 3/1/22-3/16/22 $12.07 1715-052522 05/25/2022 FY21-22 4993063171-5 4/16/22-5/16/22 $19,769.90 Paying Fund Cash Account Amount Monday, August 01, 2022Pages: 3 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 197 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $19,781.97 730775 07/29/2022 Open Accounts Payable SSB EDUCATION LLC $12,591.00 Invoice Date Description Amount ENG4KIDS_SUM22-1 07/22/2022 FY21-22 ENGINEER4KID_SUMMER2022_PAYMENT1 $12,591.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $12,591.00 730776 07/29/2022 Open Accounts Payable The Inten'iational Institute of Municipal Clerks $240.00 Invoice Date Description Amount 26155-070622 07/06/2022 IIMC Membership / Continuing Prof. Development for Kirsten Squar $240.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $240.00 730777 07/29/2022 Open Accounts Payable Dr. Lo DMD INC $163.00 Invoice Date Description Amount 311488 06/15/2022 The applicant paid for the amount twice $163.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $163.00 730778 07/29/2022 Open Accounts Payable Greene, Mariah $70.00 Invoice Date Description Amount MGreene 7.4.22 07/04/2022 Event Supplies - July 4th Coffee for Staff $70.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $70.00 730779 07/29/2022 Open Accounts Payable Greene, Mariah $221.95 Invoice Date Description Amount 04192022 04/19/2022 FY 21-22 Pizza Reimbursement $221.95 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $221.95 730780 07/29/2022 Open Accounts Payable Accela Inc.$1,600.00 Invoice Date Description Amount ORD-731 07/13/2022 Ross -Accela Cert Prof. Civic Platform System Admin 9/6/22 $1,600.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,600.00 730781 07/29/2022 Open Accounts Payable ALHAMBRA $93.53 Invoice Date Description Amount 4984729 070922 07/09/2022 Employee Drinking Water for QCC and Senior Center $93.53 Paying Fund Cash Account Amount Monday, August 01, 2022Pages: 4 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 198 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $93.53 730782 07/29/2022 Open Accounts Payable AT&T $165.26 Invoice Date Description Amount 000018466181 07/12/2022 911 Emergency Phone Lines - 06/12/2022 - 07/11/2022 $165.26 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $165.26 730783 07/29/2022 Open Accounts Payable BAY AREA SELF STORAGE - CUPERTINO $678.00 Invoice Date Description Amount 1576559 07/17/2022 Facilities - Aug 1-31 2022 Storage Fees $678.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $678.00 730784 07/29/2022 Open Accounts Payable CINTAS CORP $1,249.60 Invoice Date Description Amount 4125048974 07/12/2022 UNIFORMS SAFETY APPAREL $1,249.60 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,249.60 730785 07/29/2022 Open Accounts Payable CITY OF FOSTER CITY $3,786.00 Invoice Date Description Amount 14781 07/06/2022 CALOPPS ANNUAL FEE 7/1/22-6/30/23 $3,786.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,786.00 730786 07/29/2022 Open Accounts Payable County of Santa Clara $2,698.00 Invoice Date Description Amount EXC-2019-003 07/26/2022 NOD Filing 21750 Rainbow Drive $2,598.00 EA-2020-001 07/26/2022 NOD Addendum 1 22690 Stevens Creek Blvd $50.00 EA-2018-06 07/26/2022 NOD Addendum 1 10625 South Foothill Blvd $50.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,698.00 730787 07/29/2022 Open Accounts Payable DAHL'S EQUIPMENT RENTALS INC $4,607.11 Invoice Date Description Amount 137553 07/05/2022 4th of July Light Tower Rental_Sedgwick $1,380.59 137559 07/05/2022 4th of July Light Tower Rental_Miller Ave $927.72 137561 07/05/2022 4th of July Light Tower Rental_Hyde $1,082.22 137551 07/05/2022 4th of July Light Tower Rental_Creekside $1,216.58 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,607.11 Monday, August 01, 2022Pages: 5 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 199 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730788 07/29/2022 Open Accounts Payable Joint Venture Silicon Valley $6,144.00 Invoice Date Description Amount 960COScupertino 07/08/2022 Joint Venture Silicon Valley 2022-23 Co-Star Real Estate Service $6,144.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,144.00 730789 07/29/2022 Open Accounts Payable KELLY-MOORE PAINT CO INC $684.44 Invoice Date Description Amount 808-00000851333 07/21/2022 Facilities - Bucket, Durango Dust Paint, Semi Solid Oil Neutrl $684.44 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $684.44 730790 07/29/2022 Open Accounts Payable M T Tire Service $740.90 Invoice Date Description Amount 19816 07/15/2022 Fleet - Woodchipper Mount/Dismount Tires $740.90 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $740.90 730791 07/29/2022 Open Accounts Payable MISAC $675.00 Invoice Date Description Amount 200004582 07/13/2022 Benny - MISAC 2022 Conference & Leadership Forum $675.00 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $675.00 730792 07/29/2022 Open Accounts Payable NAPA AUTO PARTS $154.70 Invoice Date Description Amount 5983-774714 07/22/2022 Fleet - Fuel Filter, Cabin Air Filter $154.70 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $154.70 730793 07/29/2022 Open Accounts Payable Ojo Technology, Inc.$8,157.96 Invoice Date Description Amount 9307 07/06/2022 31x Genetec GEN-GSC-Om-P-1C 1 camera connection & ADV-CAM-P-1Y $8,157.96 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $8,157.96 730794 07/29/2022 Open Accounts Payable PAUL SAPUDAR $55.00 Invoice Date Description Amount PaulS071422 07/14/2022 Cell Phone Reimbursement - Paul S 6-15-22 to 7-14- 22 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $55.00 Monday, August 01, 2022Pages: 6 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 200 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730795 07/29/2022 Open Accounts Payable PG&E $24.20 Invoice Date Description Amount 5875-072122 07/21/2022 2012160587-5 6/18-7/20/22 $24.20 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $24.20 730796 07/29/2022 Open Accounts Payable PIONEER LIQUID TRANSPORT INC $1,000.00 Invoice Date Description Amount 053009 07/14/2022 Facilities - Senior Center Grease Trap Main Cleaning $300.00 053010 07/14/2022 Facilities - QCC Grease Trap Main Cleaning $300.00 053011 07/14/2022 Facilities - BBF Grease Trap Main Cleaning $300.00 053012 07/14/2022 Facilities - Quinlan Community Center Grease Trap Main Cleaning $100.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,000.00 730797 07/29/2022 Open Accounts Payable SYSCO - SAN FRANCISCO $3,456.13 Invoice Date Description Amount 550127270 07/21/2022 BBF Cafe order for late July $3,456.13 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,456.13 730798 07/29/2022 Open Accounts Payable The Home Depot Pro $542.66 Invoice Date Description Amount 696440015 07/15/2022 Facilities - Rebuild Kit, Sloam Master Kit URNL $542.66 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $542.66 730799 07/29/2022 Open Accounts Payable TOWN TALK $483.70 Invoice Date Description Amount 519118 07/15/2022 logo hats to sell in pro shop $483.70 Paying Fund Cash Account Amount 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $483.70 730800 07/29/2022 Open Accounts Payable WEST-LITE SUPPLY CO INC $258.41 Invoice Date Description Amount 85759H 07/05/2022 Facilities - 8" LED Retro 400K $258.41 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $258.41 730801 07/29/2022 Open Accounts Payable HENGYE LLC $70,000.00 Invoice Date Description Amount 215319 07/25/2022 10036 Crescent Rd, L&M 100% Bond, 215319 $70,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $70,000.00 Monday, August 01, 2022Pages: 7 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 201 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 730802 07/29/2022 Open Accounts Payable HSU, TRACY $8,000.00 Invoice Date Description Amount 269823 07/25/2022 21841 Alcazar Ave, Encroachment, 269823 $8,000.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $8,000.00 730803 07/29/2022 Open Accounts Payable WEI JOHN HUAFANG TRUSTEE $8.88 Invoice Date Description Amount 369 24 034 10/21/2021 Water Cost Share - 858 BRENT DR $8.88 Paying Fund Cash Account Amount 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $8.88 Type Check Totals:48 Transactions $368,936.36 EFT 34847 07/26/2022 Open Accounts Payable California Department of Tax & Fee Administration $683.00 Invoice Date Description Amount QTR2-2022 07/20/2022 SR GH 026-818149 Sales/Use Tax APR22-JUN22 $683.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $131.36 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $58.04 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $442.97 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $50.63 34848 07/25/2022 Open Accounts Payable EMPLOYMENT DEVEL DEPT $47,787.01 Invoice Date Description Amount 07152022 07/15/2022 CA State Tax pp 7/2/22-7/15/22 $47,787.01 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $47,787.01 34849 07/25/2022 Open Accounts Payable IRS $157,789.68 Invoice Date Description Amount 07152022 07/15/2022 Federal Tax pp 7/2/22-7/15/22 $157,789.68 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $157,789.68 34850 07/28/2022 Open Accounts Payable P E R S $526.36 Invoice Date Description Amount 07012022 Council 07/15/2022 PERS Council pp 7/1/22-7/31/22 $526.36 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $526.36 34851 07/28/2022 Open Accounts Payable P E R S $146,995.61 Invoice Date Description Amount 07152022 07/15/2022 PERS pp 7/2/22-7/15/22 $146,995.61 Monday, August 01, 2022Pages: 8 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 202 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $146,995.61 34852 07/29/2022 Open Accounts Payable 4LEAF, Inc.$72,145.00 Invoice Date Description Amount J4054A 07/19/2022 FY21-22 Invoice period May 3 - June 30, 2022 $72,145.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $72,145.00 34853 07/29/2022 Open Accounts Payable AIRGAS USA LLC $82.60 Invoice Date Description Amount 9989822498 06/30/2022 FY 21-22 Fleet Large Cylinder Rental $82.60 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $82.60 34854 07/29/2022 Open Accounts Payable Balance Studios, Inc $5,000.00 Invoice Date Description Amount 3898 07/11/2022 FY21-22 Public ARt App Documentation - ARTour App Tutorial $5,000.00 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $5,000.00 34855 07/29/2022 Open Accounts Payable BAZ INDUSTRIES, INC $1,978,472.34 Invoice Date Description Amount QTR2-2022 07/26/2022 FY21-22 Apple, Inc Sales Tax Remittances APR22- JUN22 $1,978,472.34 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,978,472.34 34856 07/29/2022 Open Accounts Payable CDW Government $22,932.63 Invoice Date Description Amount Z400186 06/09/2022 FY21-22 20x HANWHA 2M OUTDR DOME CAM. 2x HANWHA 2MP WISENET Q $22,932.63 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $22,932.63 34857 07/29/2022 Open Accounts Payable CODELINKD, LLC $2,511.00 Invoice Date Description Amount CODELINK_WIN22-2 07/25/2022 FY21-22 CODELINKD_WIN2022_PAYMENT2 $525.00 CODEL_SUM2022-1 07/25/2022 FY21-22 CODELINKD_SUMMER2022_PAYMENT1 $1,986.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $2,511.00 34858 07/29/2022 Open Accounts Payable David Stillman $38.18 Invoice Date Description Amount DavidS07222022 07/22/2022 Screen protector for city-issued iPhone $38.18 Paying Fund Cash Account Amount Monday, August 01, 2022Pages: 9 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 203 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $38.18 34859 07/29/2022 Open Accounts Payable Ecology Action of Santa Cruz $40,336.45 Invoice Date Description Amount 67801 06/30/2022 FY21-22 Cupertino Climate Victory Gardens Program $19,254.93 67815 06/30/2022 FY21-22-Ped Safety Training for Elementary Schools 082021-062022 $21,081.52 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $40,336.45 34860 07/29/2022 Open Accounts Payable GARDENLAND POWER EQUIPMENT $37,796.86 Invoice Date Description Amount 947779 07/26/2022 FY 21-22 Fleet Leaf Loader $37,796.86 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $37,796.86 34861 07/29/2022 Open Accounts Payable GOLDFARB & LIPMAN LLP $3,744.00 Invoice Date Description Amount 144707 04/14/2022 FY21-22 Housing Legal Review 2022/04 $1,984.00 146110 07/25/2022 FY21-22 Housing Legal Review 2022/06 $1,760.00 Paying Fund Cash Account Amount 265 - BMR Housing 265 100-100 (Cash & Investments Assets Operating Cash) $3,744.00 34862 07/29/2022 Open Accounts Payable HdL Coren & Cone $4,799.68 Invoice Date Description Amount SIN019894 07/18/2022 Contract Services Property Tax: July - September 2022 $4,799.68 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,799.68 34863 07/29/2022 Open Accounts Payable IMPERIAL SPRINKLER SUPPLY, INC $163.37 Invoice Date Description Amount 5157690-01 06/17/2022 FY 21-22 Grounds - Romac 3.50 x 3.50 $163.37 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $163.37 34864 07/29/2022 Open Accounts Payable Interstate Traffic Control Products, Inc. $1,614.38 Invoice Date Description Amount 251301 06/30/2022 FY 21-22 Grounds Plasticade Sign-A-Cades White $1,614.38 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,614.38 34865 07/29/2022 Open Accounts Payable KIMBALL-MIDWEST $1,165.86 Invoice Date Description Amount 9924970 05/24/2022 FY 21-22 Streets FLM 30 AMP Fuse $194.25 Monday, August 01, 2022Pages: 10 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 204 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100045695 06/21/2022 FY 21-22 Streets 3/4 to 1/2 IMP Adaptor $43.59 100123064 07/19/2022 Street Sign Markings Supplies $113.47 100123091 07/19/2022 Street Lighting Supplies $814.55 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,052.39 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $113.47 34866 07/29/2022 Open Accounts Payable MELODY ACADEMY OF MUSIC $2,392.00 Invoice Date Description Amount MAM_SPR22-1 07/27/2022 FY21-22 MAM_SPRING2022_PAYMENT1 $1,348.00 MAM_FALL21-2 07/28/2022 FY21-22 MAM_FALL21_PAYMENT2 $580.00 MAM_WIN22-2 07/28/2022 FY21-22 MAM_WIN21_PAYMENT2 $464.00 Paying Fund Cash Account Amount 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $2,392.00 34867 07/29/2022 Open Accounts Payable ODP Business Solutions, LLC $591.21 Invoice Date Description Amount 253840345001 06/30/2022 FY 21-22 Service Center Letter Tray $19.29 253839486001 06/30/2022 FY 21-22 Service Center Stapler $20.49 253840346001 06/30/2022 FY 21-22 Service Center Storage Bins $29.34 238027587001 04/13/2022 FY 21-22 Service Center Binder, Markers $61.81 252904983001 07/01/2022 FY 21-22 QCC Office Supplies $360.47 252976045001 07/01/2022 FY 21-22 QCC Office Supplies $56.72 252976047001 07/01/2022 FY 21-22 QCC Office Supplies $43.09 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $591.21 34868 07/29/2022 Open Accounts Payable PlaceWorks $8,517.50 Invoice Date Description Amount 78924 06/30/2022 FY21-22 Marina Plaza Environmental Review 2022/6 $8,517.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $8,517.50 34869 07/29/2022 Open Accounts Payable Richard Yau $6,300.00 Invoice Date Description Amount 2206 07/25/2022 FY21-22-I-280, Regnart, SCB Class, Privacy Fence thru 6122-63022 $6,300.00 Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $1,350.00 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $4,950.00 34870 07/29/2022 Open Accounts Payable Rincon Consultants, Inc $2,885.35 Invoice Date Description Amount 41179 07/21/2022 FY21-22 Climate Action & Adaptation Plan Updates $2,885.35 Paying Fund Cash Account Amount Monday, August 01, 2022Pages: 11 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 205 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $2,885.35 34871 07/29/2022 Open Accounts Payable RRM DESIGN GROUP $1,811.25 Invoice Date Description Amount 1832-00-0622 07/22/2022 FY21-22 Design Review Consultant 2022/6 $273.75 2132-01-0622 07/22/2022 FY21-22 CWP Mixed Use Design Standards 2022/06 $1,537.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,811.25 34872 07/29/2022 Open Accounts Payable SELBY MIRILAVASSANI $19.14 Invoice Date Description Amount FY2122SM63022 06/30/2022 FY 21-22 Postage Reimbursement $19.14 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $19.14 34873 07/29/2022 Open Accounts Payable SharePointXperts, LLC.$2,681.25 Invoice Date Description Amount 4119756 06/30/2022 FY21-22 SharePoint based services billing period of June 30, 22 $2,681.25 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $2,681.25 34874 07/29/2022 Open Accounts Payable SHUTE, MIHALY & WEINBERGER LLP $4,855.15 Invoice Date Description Amount 277696 07/21/2022 FY21-22, Legal Services, June 1 - June 30 $116.70 277695 07/21/2022 FY21-22, Legal Services, June 1 - June 30 $906.50 277618 07/21/2022 FY21-22, Legal Services, June 1 - June 30 $3,604.25 277828 07/21/2022 FY21-22, Legal Services, June 1 - June 30 $227.70 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $4,855.15 34875 07/29/2022 Open Accounts Payable Staples $192.02 Invoice Date Description Amount 3510179999 06/11/2022 FY 21-22 Copy Paper $192.02 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $192.02 34876 07/29/2022 Open Accounts Payable STARBIRD CONSULTING LLC $1,496.98 Invoice Date Description Amount 0189 07/25/2022 FY21-22-Environmental Consulting Services through 06302022 $1,496.98 Paying Fund Cash Account Amount 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $1,496.98 34877 07/29/2022 Open Accounts Payable Superco Specialty Products $463.26 Invoice Date Description Amount PSI454368 06/30/2022 FY 21-22 Streets Superco Cover Up Inverted Tip $463.26 Monday, August 01, 2022Pages: 12 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 206 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Paying Fund Cash Account Amount 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $463.26 34878 07/29/2022 Open Accounts Payable US BANK $40,448.72 Invoice Date Description Amount KimL07152022 07/15/2022 FY21-22-5169 CC Charges $5,765.20 MarilynM071522 07/15/2022 FY21-22 6763 CC Charges $1,000.00 Branton071522 07/15/2022 FY 21-22 5320 CC Charges $1,121.27 MollyJ071522 07/15/2022 FY 21-22 4137 CC Charges $444.79 KarenL071522 07/15/2022 FY21-22 9612 CCCharges $684.86 JANETL071522 07/15/2022 FY21-22 9949 CC Charges $838.00 SelbyM071522A 07/15/2022 1711 CC Charges for FY 21-22 ($62.20) DiegoR071522 07/20/2022 FY 21-22 8628 CC Charges $1,409.88 ReiD071522A 07/15/2022 FY21-22 1409CC Charges $2,010.58 FY2122AS71522 07/15/2022 FY 21-22 9993 charges $592.76 FY21-22 TB 71522 07/15/2022 FY 21-22 7739 cc charges $149.85 FY 21-22 IP71522 07/15/2022 FY 21-22 8108 cc charges $74.79 FY 21-22 CG71522 07/15/2022 FY 21-22 9076 cc charges $26.17 BrianG71522A 07/15/2022 FY 21-22 6202 cc charges $572.91 CherieW7152022 07/15/2022 FY21-22-6916 CC Charges $1,042.19 BennyH071522 07/15/2022 FY21-22 1015 CC Charges $3,535.83 MelissaR071522 07/15/2022 FY 21-22 0572 Charges $998.05 SonyaL071522 07/15/2022 FY 21-22 8808 CC Charges $1,182.62 SundariP071522 07/15/2022 9702 CC Charges FY 21-22 $2,567.83 JasonB071522 07/15/2022 FY 21-22 2565 CC Charges $1,421.20 SundariP07152022 07/15/2022 9702 CC Charges $966.97 AmandaH071522 07/15/2022 FY21-22 9326 CC Charges $172.63 RobertK071522 07/15/2022 FY21-22 7858 CC Charges $393.47 KennethE071522 07/15/2022 FY21-22 5954 CC Charges $142.89 KennethE71522A 07/15/2022 5954 CC Charges ($339.92) TinaK071522 07/15/2022 FY21-22 5630 CC Charges $60.00 RubenR071522 07/15/2022 7866 CC Charges $215.24 RobG071522 07/15/2022 FY 21-22 6980 CC Charges $238.50 mariahg071522 07/15/2022 FY21-22 7882 CC CHARGES $2,305.27 ChristL071522 07/15/2022 FY21-22 7456 CC Charge $1,092.12 ChristL71522A 07/15/2022 7456 CC Charges $153.22 DanielM071522 07/15/2022 FY 21-22 9167 CC Charges $599.57 AlexC07152022 07/15/2022 FY 21-22 5300 CC Charges $1,474.63 DebraN071522 07/15/2022 FY21-22 1090 CC Charge $2,226.71 ColleenF071522 07/15/2022 FY21-22 0798CC Charges $2,161.27 UrsulaS071522A 07/15/2022 FY21-22 2512 CC Charges $2,755.55 KaneW71522 07/15/2022 FY 21-22 2813 cc charges $17.44 BradA71522 07/15/2022 6013 cc charges $29.71 JohnF71522 07/15/2022 FY 21-22 3969 cc charges $198.97 LaurenS071522 07/15/2022 FY 21-22 0578 CC Charges ($350.00) KavithaA071522 07/15/2022 FY21-22 7567 CC Charges $16.36 KavithaA71522 07/15/2022 5HWXUQXQXVHG&5(67GpFRU ($5.46) RicardoA71522 07/15/2022 FY 21-22 9906 cc charges $350.00 JindyG71522 07/15/2022 FY 21-22 0175 cc charges $197.00 Paying Fund Cash Account Amount Monday, August 01, 2022Pages: 13 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 207 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $28,104.23 230 - Env Mgmt Cln Crk Strm Drain 230 100-100 (Cash & Investments Assets Operating Cash) $2,188.53 265 - BMR Housing 265 100-100 (Cash & Investments Assets Operating Cash) $9.95 270 - Transportation Fund 270 100-100 (Cash & Investments Assets Operating Cash) $47.15 280 - Park Dedication 280 100-100 (Cash & Investments Assets Operating Cash) $7.38 420 - Capital Improvement Fund 420 100-100 (Cash & Investments Assets Operating Cash) $7.50 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $567.02 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $684.86 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $2,584.11 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $1,416.51 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $4,137.76 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $693.72 34879 07/29/2022 Open Accounts Payable Amazon Capital Services $348.06 Invoice Date Description Amount 1RJG-MLRK-VY94 07/11/2022 2x Ubiquiti ETH-SP-G2 Surge Suppressor/Protector $43.62 1QD4-9PT6-9Q7F 07/25/2022 3x Pack 12V 10Ah Lithium Ion Battery for UPS System $304.44 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $348.06 34880 07/29/2022 Open Accounts Payable BIKEEP INC.$49.00 Invoice Date Description Amount 17779CM 07/31/2022 Monthly Bikeep Fee $49.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $49.00 34881 07/29/2022 Open Accounts Payable BOSCO OIL INC DBA VALLEY OIL $3,143.78 Invoice Date Description Amount 586161 07/15/2022 Fleet - Oil $3,143.78 Paying Fund Cash Account Amount 630 - Vehicle/Equip Replacement 630 100-100 (Cash & Investments Assets Operating Cash) $3,143.78 34882 07/29/2022 Open Accounts Payable CDW Government $221.14 Invoice Date Description Amount BN18461 07/19/2022 FY21-22 2x HANWHA WALL/POLE MOUNT MATERIAL WHT $221.14 Paying Fund Cash Account Amount Monday, August 01, 2022Pages: 14 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 208 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $221.14 34883 07/29/2022 Open Accounts Payable Cupertino Supply, Inc $77.27 Invoice Date Description Amount 295951 07/21/2022 Grounds - Tubing, Connector Male & Union, Elbow $77.27 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $77.27 34884 07/29/2022 Open Accounts Payable CYXTERA COMMUNICATIONS LLC $1,098.68 Invoice Date Description Amount B1-2281453 07/01/2022 FY23 Colocation svcs August 2022 $1,098.68 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $1,098.68 34885 07/29/2022 Open Accounts Payable EDGES ELECTRICAL GROUP $230.42 Invoice Date Description Amount S5608767.002 07/22/2022 Streets - Voluta XLP $230.42 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $230.42 34886 07/29/2022 Open Accounts Payable GARDENLAND POWER EQUIPMENT $80.83 Invoice Date Description Amount 943941 07/08/2022 Grounds - Micro-Lite Bar $80.83 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $80.83 34887 07/29/2022 Open Accounts Payable GRAINGER INC $25.41 Invoice Date Description Amount 9382412444 07/19/2022 Service Center - COVID Mask $25.41 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $25.41 34888 07/29/2022 Open Accounts Payable IMPERIAL SPRINKLER SUPPLY, INC $211.23 Invoice Date Description Amount 5203478-00 07/15/2022 Trees/ROW - Flood Bubbler, Male Adapter, 90 STR Marlex $211.23 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $211.23 34889 07/29/2022 Open Accounts Payable Iqraam Nabi $47.98 Invoice Date Description Amount Nabi072322 07/23/2022 2022 Employee Service Award - Halal food $47.98 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $47.98 Monday, August 01, 2022Pages: 15 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 209 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34890 07/29/2022 Open Accounts Payable JINDY GARFIAS $55.00 Invoice Date Description Amount JindyG071122 07/11/2022 Cell Phone Reimbursement - Jindy G 6-12-22 to 7-11- 22 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $55.00 34891 07/29/2022 Open Accounts Payable JULIA KINST $55.00 Invoice Date Description Amount JuliaK07192022 07/19/2022 Cell Phone Reimbursement though 062022-071922 $55.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $55.00 34892 07/29/2022 Open Accounts Payable KIMBERLY LUNT $39.42 Invoice Date Description Amount KimL07122022 07/12/2022 Cell Phone Reimbursement through 061322-071222 $39.42 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $39.42 34893 07/29/2022 Open Accounts Payable ODP Business Solutions, LLC $561.26 Invoice Date Description Amount 248944000002 07/06/2022 Service Center - Kitchen Supplies $43.16 256611326001 07/18/2022 Service Center - Kitchen Supplies $6.39 254317793001 07/08/2022 Service Center - Kitchen Supplies $15.58 251671995001 07/11/2022 Service Center - Pens $19.15 252082943003 07/15/2022 Service Center - Paper Pads $38.17 254312352001 07/08/2022 Service Center - Kitchen Supplies $50.34 253850068001 07/15/2022 Service Center - Thumbdrive, Mouse $70.53 243072133001 07/19/2022 Service Center - Kitchen Supplies Coffee Pot $89.44 256615599001 07/18/2022 Service Center - Kitchen Supplies $228.50 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $561.26 34894 07/29/2022 Open Accounts Payable Quench USA, Inc.$251.78 Invoice Date Description Amount INV04220976 08/01/2022 Franco Ct.: Employee Drinking Water Franco Ct. thu 080122-093022 $82.61 INV04228600 08/01/2022 10300 Torre Avenue through 080122-093022 $169.17 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $251.78 34895 07/29/2022 Open Accounts Payable R.THOMAS HECK & ASSOCIATES $1,648.00 Invoice Date Description Amount 102-2 07/15/2022 Fall 2022 Recreation Schedule - Price Adjustment for Invoice 102 $1,648.00 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $1,648.00 Monday, August 01, 2022Pages: 16 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 210 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 34896 07/29/2022 Open Accounts Payable Robert Half $3,542.19 Invoice Date Description Amount 60355930 07/14/2022 Osman, Luam for Week-Ended 07/08/2022 $1,596.48 60386540 07/19/2022 Osman, Luam for Week-Ended 07/15/2022 $1,995.60 60394788 07/20/2022 FY21-22 Osman, Luam for Week-Ended 06/24/2022 - Refund ($49.89) Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $3,542.19 34897 07/29/2022 Open Accounts Payable The Home Depot Pro $181.43 Invoice Date Description Amount 696281674 07/15/2022 Facilities - Park Bathroom Supplies $181.43 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $181.43 34898 07/29/2022 Open Accounts Payable US BANK $9,886.93 Invoice Date Description Amount KimL7152022 07/15/2022 5169 CC Charges $70.89 Branton71522A 07/15/2022 5320 CC Charges $10.90 KevinK071522 07/15/2022 8746 CC Charges $149.00 RSander071522 07/15/2022 4371 CC Charges $12.99 KarenL071522A 07/15/2022 9612CCCharges $186.63 JanetL071522-1 07/15/2022 9949 CC Charges $1,258.11 SelbyM071522B 07/15/2022 1711 CC Charges for FY 22-23 $225.00 RudyL071522 07/20/2022 8736 CC Charges $481.37 ReiD071522B 07/15/2022 1409CC Charges $171.42 CyrahC071522 07/15/2022 0363 CC Charges $49.88 BrianG071522 07/15/2022 6202 cc charges $49.05 CherieW07152022 07/15/2022 6916 CC Charges $623.86 BennyH71522A 07/15/2022 1015 CC Charges $806.24 AmandaH71522 07/15/2022 9326 CC Charges $24.55 RobertK71522A 07/15/2022 7858 CC Charges $790.99 JasonB071522A 07/15/2022 2565 CC Charges $907.26 mariahg71522 A 07/15/2022 7882 CC CHARGES $690.34 DanielM71522A 07/15/2022 9167 CC Charges for 7.15.2022 $944.01 DebraN71522A 07/15/2022 1090 CC Charge $1,183.85 ColleenF71522A 07/15/2022 0798 cc charges $433.93 UrsulaS071522 07/15/2022 2512 CC Charges $280.23 JerryA71522 07/15/2022 8636 cc charges $90.00 JindyG71522A 07/15/2022 0175 cc charges $64.59 MelissaR71522A 07/15/2022 0572 CC Charges $381.84 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $6,962.91 520 - Resource Recovery 520 100-100 (Cash & Investments Assets Operating Cash) $280.23 560 - Blackberry Farm 560 100-100 (Cash & Investments Assets Operating Cash) $186.63 570 - Sports Center 570 100-100 (Cash & Investments Assets Operating Cash) $433.93 Monday, August 01, 2022Pages: 17 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 211 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference 580 - Recreation Program 580 100-100 (Cash & Investments Assets Operating Cash) $1,125.56 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $897.67 34899 07/29/2022 Open Accounts Payable Zoom Video Communications, Inc.$1,780.64 Invoice Date Description Amount INV158613494 07/22/2022 Zoom webinar 1000 - Jul 22, 2022-Aug 21, 2022 $286.72 INV156335840 07/06/2022 Zoom Room License Dten Unit 7/6/22 - 03/21/23 $1,493.92 Paying Fund Cash Account Amount 610 - Innovation & Technology 610 100-100 (Cash & Investments Assets Operating Cash) $1,780.64 Type EFT Totals:53 Transactions $2,620,773.29 Main Account - Main Checking Account Totals Checks Status Count Transaction Amount Reconciled Amount Open 48 $368,936.36 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 48 $368,936.36 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 53 $2,620,773.29 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 53 $2,620,773.29 $0.00 All Status Count Transaction Amount Reconciled Amount Open 101 $2,989,709.65 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Monday, August 01, 2022Pages: 18 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 Note: EFT issued is in a separate report $558,019.23 212 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Total 101 $2,989,709.65 $0.00 Grand Totals: Checks Status Count Transaction Amount Reconciled Amount Open 48 $368,936.36 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 48 $368,936.36 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 53 $2,620,773.29 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 53 $2,620,773.29 $0.00 All Status Count Transaction Amount Reconciled Amount Open 101 $2,989,709.65 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 101 $2,989,709.65 $0.00 Monday, August 01, 2022Pages: 19 of 19user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/23/2022 - To Payment Date: 7/29/2022 Note: EFT issued is in a separate report $558,019.23 213 Number Date Status Void Reason Reconciled/ Voided Date Source Payee Name Transaction Amount Reconciled Amount Difference Main Account - Main Checking Account EFT 34846 07/22/2022 Open Accounts Payable P E R S $558,019.23 Invoice Date Description Amount 07012022 07/01/2022 PERS pp 6/18/22-7/1/22 $558,019.23 Paying Fund Cash Account Amount 100 - General Fund 100 100-100 (Cash & Investments Assets Operating Cash) $558,019.23 Type EFT Totals:1 Transactions $558,019.23 Main Account - Main Checking Account Totals Checks Status Count Transaction Amount Reconciled Amount Open 0 $0.00 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 0 $0.00 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 1 $558,019.23 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 1 $558,019.23 $0.00 All Status Count Transaction Amount Reconciled Amount Open 1 $558,019.23 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 1 $558,019.23 $0.00 Grand Totals: Checks Status Count Transaction Amount Reconciled Amount Open 0 $0.00 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 0 $0.00 $0.00 EFTs Status Count Transaction Amount Reconciled Amount Open 1 $558,019.23 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Total 1 $558,019.23 $0.00 All Status Count Transaction Amount Reconciled Amount Open 1 $558,019.23 $0.00 Reconciled 0 $0.00 $0.00 Voided 0 $0.00 $0.00 Stopped 0 $0.00 $0.00 Total 1 $558,019.23 $0.00 Monday, August 01, 2022Pages: 1 of 1user: Richard Wong Payment Register **LIVE** Cupertino **LIVE** From Payment Date: 7/22/2022 - To Payment Date: 7/22/2022 214 CITY OF CUPERTINO Agenda Item 22-11375 Agenda Date: 8/22/2022 Agenda #: 6. Subject: INFORMATION ITEM Consider the Internal Audit Status Report Receive Internal Audit Status Report and provide direction Presenter: Moss Adams 5:00(5) CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™215 City of Cupertino Internal Audit Status Report – Moss Adams 08-22-22 | 1 Date: August 18, 2022 To: City of Cupertino Audit Subcommittee From: Moss Adams Subject: Internal Audit Status Report May 17 through August 18, 2022 Fraud, Waste, and Abuse Program (FY22 carryover) •Objective: Develop a FWA program, including program design, hotline implementation, ongoing hotline administration, and training. •Schedule: April 2022 to through September 2023 •Activities for This Period: Initiated policy and procedure development, reviewed draft policy with City, and developed training plan. •Activities for Next Period: Finalize policy and procedure; provide draft training materials for City review; and conduct trainings of staff, supervisors, and elected officials. •Issues: none Policy Review Ongoing Support •Objective: As the City updates and develops draft financial policies based on the prioritized inventory, review drafts and provide recommendations to align policies with best practice. •Schedule: July 2022 through June 2023 •Activities for This Period: Reviewed 6 policies provided by the City. •Activities for Next Period: Continue to review policies and procedures at the request of the City •Issues: none Ongoing Internal Audit Services •Objective: Attend Audit Committee and Council meetings; prepare status reports, manage internal audit program, and prepare FY 23-24 internal audit plan. •Schedule: July 2022 through June 2023 •Activities for This Period: Attended Audit Committee and Council meetings, met biweekly with City staff, met as requested with Council. •Activities for Next Period: Continue to provide ongoing Internal Audit services. Remaining FY 22-23 Internal Audit program pending Council approval. •Issues: none 216 CITY OF CUPERTINO Agenda Item 22-11376 Agenda Date: 8/22/2022 Agenda #: 7. Subject: ACTION ITEM Consider appointing External Auditor Selection Subcommittee Members and Request for Proposal (RFP) Kickoff Appoint External Auditor Selection Subcommittee Members Presenter: Thomas Leung, Senior Management Analyst 5:05(10) CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™217 1 AUDIT COMMITTEE STAFF REPORT Meeting: August 22, 2022 Subject Consider appointing External Auditor Selection Subcommittee members and Request For Proposal (RFP) Kickoff Recommended Action Appoint External Auditor Selection Subcommittee members Discussion Background Local government agencies are required to have an independent firm audit their annual financial statements. The annual financial statements, known as the Annual Comprehensive Financial Report (ACFR), are prepared in accordance with generally accepted accounting principles (GAAP) set by the Governmental Accounting Standards Board (GASB). Based on their audit, the auditor expresses an opinion on the financial statements. Auditing standards require that the auditors plan and perform the audit to obtain reasonable assurance about whether the financial statements are free from material misstatement. The auditor plays a critical role in evaluating the City's internal controls and overall financial management and condition. On December 12, 2016, the City issued a request for proposal (RFP) for certified public accounting firms to audit the City's financial statements for the fiscal year ending June 30, 2017, and the two subsequent fiscal years thereafter, with an option to extend for two one - year periods, not to exceed a total of five fiscal years. The City received six proposals, which were reviewed and evaluated by the Auditor Procurement Subcommittee. The Auditor Procurement Subcommittee, which the Audit Committee established on November 9, 2016, consisted of the following members:  Audit Committee Chair  Audit Committee Member  Finance Manager/Deputy City Treasurer 218 2 After reviewing and evaluating the proposals, the subcommittee interviewed three firms. The subcommittee unanimously recommended that the Audit Committee approve the City Manager to engage Crowe Horwath LLP (now known as Crowe LLP) to perform independent auditor services beginning with the fiscal year ending June 30, 2017. On February 27, 2017, the Audit Committee passed a motion to accept the subcommittee's recommendation to select Crowe to perform independent auditor and related services beginning with the fiscal year ending June 20, 2017. In Fiscal Year (FY) 2016-17, the City entered into an agreement with Crowe for up to five years, covering the FY 2016-17 through FY 2020-21 audits. At the December 13, 2021, Audit Committee meeting, the Finance Manager informed the Audit Committee that the City intended to engage Crowe for one additional year. On July 7, 2022, the City Council authorized the City Manager to enter into an agreement with Crowe for the FY 2021-22 audit. Although professional services are exempt from bidding requirements in Municipal Code Chapter 3.22, staff nonetheless intends to complete a new competitive process to select a firm to provide independent auditor services beginning with the FY 2022-23 audit. In general, it has been the City's practice to issue RFPs for audit services approximately every five years. Auditor Rotation Requirements California Government Code 12410.6(b) states: Commencing with the 2013–14 fiscal year, a local agency shall not employ a public accounting firm to provide audit services to a local agency if the lead audit partner or coordinating audit partner having primary responsibility for the audit, or the audit partner responsible for reviewing the audit, has performed audit services for that local agency for six consecutive fiscal years. For purposes of calculating the six consecutive fiscal years, the local agency shall not take into account any time that a public accounting firm was employed by that local agency prior to the 2013– 14 fiscal year. Crowe will have performed the City's audits for six years: FY 2016-17 to FY 2021-22. For the FY 2022-23 audit, the City would need to rotate to a new audit partner from Crowe or select a new audit firm. Role of Audit Committee The City's Municipal Code Section 2.88.100 Duties–Powers–Responsibilities lists one of the powers and functions of the Audit Committee is "to recommend appointment of auditors." 219 3 The role of the Audit Committee is to:  Appoint an External Auditor Selection Subcommittee  Consider the External Auditor Selection Subcommittee's recommendation  Recommend the appointment of an auditor to the City Council Role of External Auditor Selection Subcommittee The role of the External Auditor Selection Subcommittee is to:  Review the RFP  Review and evaluate submitted proposals  Interview prospective auditors  Recommend the appointment of an auditor to the Audit Committee Role of Staff Staff will manage the RFP process, following the City's procurement policy and procedures, on behalf of the Audit Committee and External Auditor Selection Subcommittee. External Auditor Selection Process and Timeline The external auditor selection process and timeline are listed below:  Staff will draft the RFP for independent auditor services.  The subcommittee will review and approve the final RFP.  Staff will issue and distribute the final RFP.  Staff will review proposals to ensure they meet the requirements described in the RFP.  In conjunction with staff, the subcommittee will review and evaluate the proposals and select finalists for interviews.  In conjunction with staff, the subcommittee will interview the finalists.  After the interviews, the subcommittee will recommend the appointment of an auditor to the Audit Committee.  The Audit Committee will consider the subcommittee's recommendation and recommend the appointment of an auditor to the City Council.  The City Council will consider the Audit Committee's recommendation and authorize the City Manager to execute an agreement with the selected auditor. 220 4 Tentative Timeline Item Tentative Date RFP issued November 2022 Proposals due December 2022 Subcommittee reviews proposals December 2022 Subcommittee interviews finalists and recommends selection January 2023 Staff notifies selected auditor and begins contract negotiations January 2023 Audit Committee considers the subcommittee's recommendation January 2023 City Council considers the Audit Committee's recommendation and the contract with the selected auditor February 2023 Sustainability Impact No sustainability impact. Fiscal Impact No fiscal impact. _____________________________________ Prepared by: Thomas Leung, Senior Management Analyst Reviewed by: Kristina Alfaro, Director of Administrative Services Approved for Submission by: Dianne Thompson, Acting City Manager 221 CITY OF CUPERTINO Agenda Item 22-11366 Agenda Date: 8/22/2022 Agenda #: 8. Subject:INFORMATION ITEM Consider an overview of the Unassigned Fund Balance and Use of One Time Funds Policy Receive an overview of the Unassigned Fund Balance and Use of One Time Funds Policy Presenter: Thomas Leung, Senior Management Analyst 5:15(15) CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™222 1 AUDIT COMMITTEE STAFF REPORT Meeting: August 22, 2022 Subject Consider an overview of the Committed, Unassigned Fund Balance and Use of One Time Funds Policy Recommended Action Receive an overview of the Committed, Unassigned Fund Balance and Use of One Time Funds Policy Discussion Fund Balance In financial reporting, fund balance is the net position of governmental funds calculated in accordance with generally accepted accounting principles (GAAP). Fund balance is the difference between a governmental fund’s assets and liabilities. Fund balance serves as a measure of the financial resources available in a fund. Government Accounting Standards Board (GASB) Statement No. 54 established five fund balance classifications based on the type and source of constraints on how resources can be spent. The fund balance classifications are, in descending order from most constraining to least constraining:  Nonspendable fund balance  Restricted fund balance  Committed fund balance  Assigned fund balance  Unassigned fund balance Definitions of the classifications are in Attachment B, page 144 of the FY 2022-23 Adopted Budget, and pages 56-57 of the FY 2021-22 Annual Comprehensive Financial Report (ACFR). Unrestricted fund balance includes Committed, Assigned, and Unassigned fund balances as the City imposes the only constraint on spending, if any. 223 2 Importance of Fund Balance and Reserves Governments must maintain adequate levels of fund balance and reserves to:  Maintain fiscal stability  Ensure the continued operation of government and delivery of services to residents  Mitigate current and future risks (e.g., revenue shortfalls and unanticipated expenditures) A formal fund balance and reserve policy helps the City maintain service levels in the event of revenue shortfalls and unanticipated expenditures. GFOA Recommendation The Government Finance Officers Association (GFOA) recommends that governments establish a formal policy on the level of unrestricted fund balance in the general fund. Such a guideline should be set by the appropriate policy body and articulate a framework and process for how the government would increase or decrease the level of unrestricted fund balance over a specific time period. In particular, governments should provide broad guidance in the policy for how resources will be directed to replenish fund balance should the balance fall below the level prescribed. Appropriate Level of Fund Balance The adequacy of unrestricted fund balance in the general fund should take into account each government’s own unique circumstances. For example, governments that may be vulnerable to natural disasters, more dependent on a volatile revenue source, or potentially subject to cuts in state aid or federal grants may need to maintain a higher level of unrestricted fund balance. GFOA recommends, at a minimum, that general-purpose governments, regardless of size, maintain unrestricted budgetary fund balance in their general fund of no less than two months of regular general fund operating revenues or regular general fund operating expenditures. In establishing a policy governing the level of unrestricted fund balance in the general fund, a government should consider a variety of factors, including:  The predictability of its revenues and the volatility of its expenditures (i.e., higher levels of unrestricted fund balance may be needed if significant revenue sources are subject to unpredictable fluctuations or if operating expenditures are highly volatile).  Its perceived exposure to significant one-time outlays (e.g., disasters, immediate capital needs, state budget cuts).  The potential drain upon general fund resources from other funds, as well as the availability of resources in other funds. 224 3  The potential impact on the entity’s bond ratings and the corresponding increased cost of borrowed funds.  Commitments and assignments (i.e., governments may wish to maintain higher levels of unrestricted fund balance to compensate for any portion of unrestricted fund balance already committed or assigned by the government for a specific purpose). Use and Replenishment The fund balance and reserve policy should state when reserves should be used, how the reserves will be replenished, and what happens when fund balances or reserves drop below the government’s policy levels. Reserves are meant to address unexpected, nonrecurring costs. Reserves should not be used for recurring annual operating costs. An exception is poor economic conditions or events that disrupt a government’s revenues. In such cases, reserves may be used to provide short-term relief so that a government can restructure its operations. City Policy The City’s Committed, Unassigned Fund Balance and Use of One-Time Funds Policy includes:  Purpose of the policy  Scope of the policy  Fund balance levels  Use and replenishment of funds The City’s policy defines the following reserves:  Economic Uncertainty  PERS  Capital Projects  Sustainability  Unassigned The City’s policy ensures the City maintains adequate fund balance and reserves to mitigate current and future risks. GFOA Best Practices and Comparison with Neighboring Cities In Fund Balance Guidelines for the General Fund, GFOA describes best practices for formal policies on General Fund fund balance. The City’s policy meets the GFOA’s best practices. A comparison of the City’s fund balance and reserve policies with neighboring cities is attached. 225 4 Sustainability Impact No sustainability impact. Fiscal Impact No fiscal impact. _____________________________________ Prepared by: Thomas Leung, Senior Management Analyst Reviewed by: Kristina Alfaro, Director of Administrative Services Approved for Submission by: Dianne Thompson, Acting City Manager Attachments: A – Committed, Unassigned Fund Balance and Use of One Time Funds Policy B – Fund Balance Classifications C – Comparison of Fund Balance and Reserve Policies 226 Committed, Unassigned Fund Balance, and Use of One Time Funds Policy PURPOSE To establish assigned and unassigned fund balance and one-time use policies. SCOPE The General Fund and Capital Funds. POLICY To maintain sufficient commied and unassigned fund balance (General Fund only) in each fund for the ability to meet the following economic uncertainties: Economic Uncertainty – $24,000,000 and represents two months of General Fund (GF) expenditures excluding transfers out plus a two year drop in total general fund revenue of 13% or approximately 1.5 months, excluding the use of reserves. Transfers out are primarily used to fund Capital Projects and do not represent on-going expenditures. This assignment will change from year to year based on budgeted general fund expenditures and revenues. Mitigate short-term economic downturns and volatility in revenues (2 years or less) Sustain city services in the event of an emergency Meet requirements for debt reserves Meet operating cash flow requirements as a result of delay in the receipt of taxes, grant proceeds and other operating revenues PERS – $20,491,004 and represents the initial investment into the City’s Pension Rate Stabilization Program (PRSP). As a result of the significant increase in retirement costs based on the most recent actuarial forecast, the City elects to establish and fund a secondary pension trust to assist in stabilizing the potential impact of pension cost volatility on the City’s operating budget. Annual contributions subsequent to the initial funding are determined by calculating the difference between CalPERS’ current discount rate and a more conservative rate determined by the City. This difference is to be transferred to the pension trust and to be used solely for the benefit of members in the plan. Funds in this trust are technically “restricted” under Governmental Accounting Standards Board (GASB) Statement No. 54 in that the funds are legally restricted to be used for retirement costs; however, the timing for which these funds may be used is only at the discretion of City Council. Capital Projects – $10,000,000 and represents the amount of General Fund resources readily available to fund future capital projects in the City’s Capital Improvement Program (CIP). The City’s Capital Projects Funds has a $5,000,000 reserve threshold; however, establishing a secondary reserve in the City’s General Fund will enable more efficient and accurate short- and long-term capital budgeting and planning. Sustainability Reserve – Cupertino’s Sustainability Division oversees the City’s Climate Action Plan (CAP), which defines strategies to reduce greenhouse gas emissions, and provides residents, businesses and schools with programs and services focused on energy efficiency, renewable energy, water conservation, alternative transportation and other sustainable actions. The City receives rebates for projects that successfully meet the Commied, Unassigned Fund Balance, and Use of One Time Funds Policy 1 227 eligibility requirements such as energy or water efficiency. If the rebates were not initially budgeted, they are categorized as commied fund balance in the General Fund. The purpose of this reserve is to help support future sustainability projects/programs. Unassigned – $500,000 and represents 1% of the total general fund operating budget. This assignment may change from year to year based on budgeted general fund expenditures. Absorb unanticipated operating needs that arise during the fiscal year that were not anticipated during the budget process Absorb unexpected claims or litigation settlements Capital Improvement – $5,000,000 and represents average dollars spent for capital projects in the last three fiscal years. This assignment may change from year to year based on actuals dollars spent on capital projects and anticipated future capital project needs. Meet future capital project needs so as to minimize future debt obligations The City shall not use fund balances/reserves in lieu of revenues to pay for ongoing expenses except as specifically provided in the City’s reserve policy. The chart below summarizes reserve policy levels as described above: Funding Priority Reserve Reserve Level Escalator¹Description GENERAL FUND 1 Economic Uncertainty $24,000,000 GF Budgeted Operating Expenditures² GF Budget Revenue³ For economic downturns and major revenue changes. 2 PERS $20,491,004 Budgeted Citywide Retirement Costs For pension cost increases. 3 Capital Projects $10,000,000 None For future capital projects funding. 4 Sustainability Reserve $127,891 GF Budget Revenue³ For future sustainability projects/programs. 5 Unassigned $500,000 Budgeted GF Operating Expenditures² For mid-year budget adjustments and redeployment into the five year budget. CAPITAL PROJECTS FUNDS 6 Capital Improvement $5,000,000 None Reserves set aside for future capital projects. Commied, Unassigned Fund Balance, and Use of One Time Funds Policy 2 228 ¹ Rounded to the nearest hundred thousand ² Excludes Transfers Out ³ Excludes the use of reserves Changes to Commi)ed Fund Balance – All reserves listed in this policy, with the exception of the PERS restricted reserve, are classified as Commied Fund Balance under GASB Statement No. 54. Commied fund balance is comprised of amounts that can be used only for the specific purposes determined by a formal action of the government’s highest level of decision-making authority. Changes to commied fund balances must be approved by City Council. This policy will be reviewed annually as part of the budget process. Replenishment process – Should the City need to utilize any of the commied fund balances listed in this policy, a recommendation will be brought to City Council for approval and a plan to replenish the commied balance will be developed in conjunction with its use. E x c e s s – Funding of these reserves will come generally from one-time revenues, annual net income, and transfers from other reserves that exceed policy levels. They will be funded in the following priority order with any remaining funds to be placed in the Capital Reserve: 1) Economic Uncertainty 2) PERS 3) Capital Projects 4) Sustainability Reserve 5) Unassigned Commied, Unassigned Fund Balance, and Use of One Time Funds Policy 3 229 General Fund Fund Balance As prescribed by GASB Statement No. 54, governmental funds report fund balance in classifications based primarily on the extent to which the City is bound to honor constraints on the specific purposes for which amounts in the funds can be spent. Fund balances for governmental funds are made up of the following: Nonspendable Fund Balance – includes amounts that are (a) not in spendable form, or (b) legally or contractually required to be maintained intact. The “not in spendable form” criterion includes items that are not expected to be converted to cash, for example, prepaid items, property held for resale, and long-term notes receivable. Restricted Fund Balance – includes amounts that can be spent only for the specific purposes stipulated by external resource providers, constitutionally or through enabling legislation. Restrictions may effectively be changed or lifted only with the consent of resource providers. Commied Fund Balance – includes amounts that can only be used for the specific purposes determined by formal action of the City’s highest level of decision-making authority, the City Council. Commitments may be changed or li1ed only by the City taking the same formal action (resolution) that imposed the constraint originally. Assigned Fund Balance – comprises amounts intended to be used by the City for specific purposes that are neither restricted nor commi2ed. The intent is expressed by the City Council or official to which the City Council has delegated the authority to assign amounts to be used for specific purposes. Through the adopted budget, the City Council establishes assigned fund balance policy levels and also sets the means and priority for the City Manager to fund these levels. Unassigned Fund Balance – is the residual classification for the General Fund and includes all amounts not contained in the other classifications. Unassigned amounts are technically available for any purpose. Only the General Fund reports a positive unassigned fund balance. A governmental fund other than the General Fund may report a negative unassigned fund balance if expenditures incurred for a specific purpose exceed the amounts that are restricted, committed, or assigned to those purposes. In circumstances when an expenditure may be made for which amounts are available in multiple fund balance classifications, the fund balance in General Fund will generally be used in the order of restricted, unassigned, and then assigned reserves. In other governmental funds, the order will generally be restricted and then assigned. General Fund Fund Balance 1 230 Comparison of Fund Balance and Reserve Policies City Reserves Funding Level City of Campbell GF Emergency Reserve Maintained at a level of 10% of General Fund revenues GF Operating Reserve Maintained at a level of $1 million Economic Fluctuations Reserve Maintained with a target of two months (16.67%) of General  Fund operating expenditures, no less than $2 million Capital Improvement Program  Reserve Maintained at a level to cover unbudgeted capital improvement  costs Outstanding Compensated  Absences Maintained sufficient to cover 50% of outstanding compensated  absences Motor Pool and Information  Technology Pool Replacement of approximately 50% of the equipment based on  accumulated depreciation and estimated replacement costs Workers’ Compensation Self‐ Insurance Reserve Maintained at a level deemed adequate to meet projected  liabilities as determined by an actuarial evaluation General Liability Insurance  Reserve Maintained at a level deemed adequate to meet projected  liabilities City of Los Altos General Fund Maintain an unrestricted fund balance within the range of not  less than 17% of annual operating expenditures for the fiscal year  with a multi year goal of achieving a 20% unrestricted fund  balance level Emergency and Operating  Reserve Technology Reserve General Fund Other‐Post  Employment Benefits Balances Sewer Fund Balances 25% of annual expenditures, including estimated capital  improvements Workersʹ Compensation and  Liability Insurance Funding Equipment Replacement  Funding City of Milpitas Contingency Reserve At least 16.67% or two months of the annual operating  expenditures in the General Fund Budget Stabilization Reserve Target of 16.67%, or two months, of annual operating  expenditures Public Employees Retirement  (PERS) Rate Stabilization  Reserve Storm Drain Fund Annually, transfer $500,000 from the General Fund to the Storm  Drain Fund to replace and repair storm drain infrastructure Rate Stabilization Reserve (RSR)  in the Water and Sewer utility  enterprise funds At least 16.67% or two months of the respective annual operating  expenditures after the Capital Reserve requirements have been  met Infrastructure Replacement  Funds At least $2 million Debt Service Funds Maintained as prescribed by the bond covenants authorized at  the time of debt issuance Future Deficit Reserve Capital Reserve Approximately 30% of the annual operating and maintenance  expenses for the Water utility fund and 25% of the annual  operating and maintenance expenses for the Sewer utility fund 231 Comparison of Fund Balance and Reserve Policies City Reserves Funding Level Restricted for CIP Artificial Turf Target of $2 million and an annual set‐aside amount of at least  $230,000 until the target is reached Facilities Replacement Fund Target of $10 million Equipment Replacement Fund Minimum fund balance of at least 30% of the replacement costs  for equipment accounted for in this fund Workersʹ Compensation At least $2 million in the General Fund Technology Replacement  Reserve Transfer $300,000 from the General Fund to the Technology  Replacement Fund in a reserve with a target of $5 million City of Morgan Hill General Fund Reserves Long‐term goal of 25% of revenues. Minimum of 15% of  revenues. Water and Sewer Operating  Funds 25% of the appropriated operating budget Water and Sewer Rate  Stabilization Funds 20% of the annual estimated utility usage revenue accounted for  in the Sewer operating budget and 20% of the annual estimated  utility usage revenue accounted for in the Water operating  budget Water and Sewer System  Replacement Funds minimum of 3% of net depreciable capital assets Unemployment Fund 100% of the appropriation for unemployment claims Workers’ Compensation sum of twice the self insured amount for a single claim General Liability four times the self insured retention for general liability claims City of Mountain View General Fund Reserve 20% to 25% of budgeted General Fund operating expenditures General Fund Budget  Contingency Reserve General Fund Earned Lease  Revenue Reserve General Fund Transportation  Reserve General Fund Capital  Improvement Reserve minimum balance of $5,000,000 General Fund Open Space  Acquisition Reserve General Fund Strategic Property  Acquisition Reserve General Fund Property  Management Reserve Graham Site Maintenance  Reserve Compensated Absences Reserve Equipment Replacement  Reserve Workersʹ Compensation Self‐ Insurance Reserve Liability Self‐Insurance Reserve Unemployment Self‐Insurance  Reserve Employee Benefits Plan  (Prescription/Vision) Reserve 232 Comparison of Fund Balance and Reserve Policies City Reserves Funding Level Retireesʹ Health Insurance  Program Reserve Shoreline Regional Park  Community Reserves (General  Reserve, Sea Level Rise Reserve,  Landfill Reserve) Water Fund Reserve 1) Minimum 10 percent of operating budget for emergencies. 2)  Minimum 5 percent of operating budget for contingencies. 3)  Goal of 10 percent of operating budget for rate stabilization. 4)  Goal for capital improvements which averages the amount  budgeted for annual maintenance capital improvement projects  over the prior three to five fiscal years. Wastewater Fund Reserve 1) Minimum 10 percent of operating budget for emergencies. 2)  Minimum 5 percent of operating budget for contingencies. 3)  Goal of 10 percent of operating budget for rate stabilization. 4)  Goal for capital improvements which averages the amount  budgeted for annual maintenance capital improvement projects  over the prior three to five fiscal years. Solid Waste Fund Reserve 1) Minimum 10 percent of operating budget for emergencies. 2)  Minimum 5 percent of operating budget for contingencies. 3)  Goal of 10 percent of operating budget for rate stabilization. 4) Required Financial Assurance Mechanisms (FAMs) if  applicable. Child Care Commitment  Reserve City of Palo Alto Budget Stabilization Reserve 15% to 20% of General Fund operating expenditures with a target  of 18.5% Emergency Plant Replacement Hydro Stabilization Rate Stabilization CIP Reserves Geng Road Reserve Landfill Corrective Action  Reserve GASB 68 Pension Reserve GASB 75 OPEB Reserve Human Services Resource  Allocation Process (HSRAP)  Reserve Capital Fund Reserve  (Infrastructure Reserve) City of San Mateo General Fund Reserve 25% of General Fund operating expenditures Housing Reserve Rainy Day Reserve Maintain a balance of at least $30 million Sewer Enterprise Fund Maintain reserves equal to four months of operating expenses Construction Services Fund Maintain reserves equal to twelve months of budgeted operating  expenditures Comprehensive Liability and  Workers’ Compensation  Insurance Reserves 233 Comparison of Fund Balance and Reserve Policies City Reserves Funding Level Vehicle and Equipment  Replacement Fund Annually budget sufficient funds to provide for the orderly  replacement of the City’s fleet, vehicles, computers, radios,  equipment, technology infrastructure, and other major capital  outlay. Fleet and Building Maintenance  Fund Annually budget sufficient funds to provide for the orderly fleet  and building maintenance and repair Sinking Fund Annual baseline funding of $410,000 has been provided for  HVAC, roofing, floor covering, and remodel projects. City of Santa Clara Budget Stabilization Reserve 25% of budgeted General Fund operating expenditures. Given  the significant impacts of COVID‐19 on the City’s budget, the  City Council adopted the FY 2021/22 budget principles that allow  this reserve to drop to 15% of budgeted expenditures. Capital Projects Reserve minimum of $5 million Pension Reserve Targeted annual funding contribution is 1% of the City’s  unfunded pension liability Land Sale Reserve Utility Fund/Other Reserves Building Inspection Reserve Advanced Planning Fee Reserve Operations and Maintenance  Reserve Construction Reserve Rate Stabilization Reserve Technology Reserve Building Reserve Historical Preservation Reserve Santana West Reserve City of Saratoga Environmental Services Reserve Hillside Stability Reserve Upon use, refunding of the reserve shall be provided from year‐ end net operations, in full if funding is available, or at minimum  in the amount of $100,000 each fiscal year until the $1,000,000  reserve cap is reached. Facility Replacement Reserve Future Capital & Efficiency  Projects Reserve Carryforward Reserve Working Capital Reserves Fiscal Stabilization Reserve $3.15 million, approximately 15% of General Fund operating  budget Compensated Absences Reserve Other Unassigned Reserve Landscape & Lighting and  Storm Water Assessment Zone  Funds Library General Obligation  (GO) Bond Debt Fund 234 Comparison of Fund Balance and Reserve Policies City Reserves Funding Level Arrowhead Community Facility  District Bond Debt Fund Street Improvement Projects  Funds Park & Trail Improvement  Project Funds Facility Improvement Project  Funds Administrative & Technology  Improvement Funds Liability/Risk Management  Reserve Fund Workers Compensation Fund Office Services Fund Information Technology  Services Fund Vehicle & Equipment  Maintenance Fund Facility Maintenance Fund Vehicle & Equipment  Replacement Reserve Office Technology Equipment  Replacement Fund Facility Furniture, Fixtures &  Equipment (FFE) Replacement  Fund Trust & Agency Fund Reserves City of Sunnyvale General Fund Contingency  Reserve Maintained at 15% of operations costs in year one of the long‐ term plan, with annual increases based on projected increases in  the Consumer Price Index Capital Improvement Projects  Reserve Sale of surplus property owned by the General Fund and any  other one‐time revenues shall be placed into a Reserve for  Capital Improvement Projects to be used for capital  improvement or expansion. Budget Stabilization Fund Maintained at no less than 15% of total projected revenues for the  first two years of the 20‐year plan and that it never goes below $0  in any year Equipment & Project Carryover  (C/O) Reserve Equipment Replacement Reserve Reserve levels for each type of equipment will be established  based on the lifecycle of existing assets accounted for in the  appropriate Sub‐Fund of the General Services Fund. Workers’ Compensation Reserve Maintained at a level deemed adequate to meet projected  liabilities as determined by an actuarial evaluation. Liability and Property Reserves Maintained at a level which, together with purchased insurance  policies, will adequately indemnify the City’s property and  liability risk. Actuarial Retiree Medical  Reserve Maintained at a level that is deemed adequate to meet projected  liabilities as determined by an actuarial evaluation. 235 Comparison of Fund Balance and Reserve Policies City Reserves Funding Level Rate Uncertainty Reserves Funded for those employee benefits expenditures exhibiting high  volatility or significant increases. The reserves will ensure  adequate funding while minimizing the effect on the funding of  other City operations. 236 CITY OF CUPERTINO Agenda Item 22-11367 Agenda Date: 8/22/2022 Agenda #: 9. Subject:INFORMATION ITEM Consider an overview of data sources for the City's interactive financial transparency portal OpenGov Receive an overview of data sources for the City's interactive financial transparency portal OpenGov Presenter: Thomas Leung, Senior Management Analyst 5:30(15) CITY OF CUPERTINO Printed on 8/19/2022Page 1 of 1 powered by Legistar™237 1 AUDIT COMMITTEE STAFF REPORT Meeting: August 22, 2022 Subject Consider an overview of data sources for the City's interactive financial transparency portal OpenGov Recommended Action Receive an overview of data sources for the City's interactive financial transparency portal OpenGov Discussion OpenGov Overview OpenGov is an integrated cloud-based Software-as-a-Service ("SaaS") solution for budgeting, performance, communications, and reporting. Founded in 2012, OpenGov has over 1,100 customers in the nation across cities, counties, state agencies, special districts, and higher education. Based in Redwood City, OpenGov has over 230 customers in California alone, including Menlo Park, San Jose, Palo Alto, Milpitas, Portola Valley, Redwood City, and many others in the Bay Area. OpenGov and Cupertino History In 2014, the City wanted to provide financial transparency to the public and City Council. After evaluating multiple vendors, the City partnered with OpenGov to launch a transparency portal. Since then, the City has implemented additional OpenGov products. OpenGov offers the only integrated solution for reporting and transparency, budgeting and planning, and citizen engagement. The City's use of OpenGov products has helped the City achieve the following strategic goals:  Accuracy and collaboration  Timeliness and efficiency  Transparency  Community engagement 238 2 In November 2014, the City implemented an OpenGov transparency portal and in December 2016, the City added integrations to automatically synchronize OpenGov with the City's financial system, Tyler New World. OpenGov Reporting and Transparency The Reporting and Transparency module allows the City to create and share financial and non-financial data with staff, residents, and City Council. The public-facing transparency portal is available at cupertino.org/opengov. Since the launch of the transparency portal, the City has received positive feedback from staff, residents, and City Council regarding the platform's ease of use and transparency. In 2016, the City earned a First Place Best of OpenGov award for its use of OpenGov for reporting. OpenGov Data Sources The City's enterprise resource planning (ERP) system, Tyler New World, manages the City's accounting processes, including the General Ledger, Accounts Payable, Accounts Receivable, and Payroll processes. OpenGov integrates directly with the ERP to provide the staff and public with on-demand access to financial information. The integration increases reporting timeliness and efficiency while improving data quality and integrity. The following table shows where the data is sourced, how it is updated, and when it is updated. Report Data Source Update Type Update Schedule Annual Budget ERP Manual Annually Amended Budget ERP Automatic Daily Annual Actuals ERP Automatic Daily Monthly Actuals ERP Automatic Daily Budget vs. Actuals ERP Automatic Daily Staffing ERP Manual Annually Quarterly Reports ERP Manual Quarterly Sustainability Impact No sustainability impact. Fiscal Impact No fiscal impact. _____________________________________ Prepared by: Thomas Leung, Senior Management Analyst Reviewed by: Kristina Alfaro, Director of Administrative Services Approved for Submission by: Dianne Thompson, Acting City Manager 239 CITY OF CUPERTINO Agenda Item 22-11368 Agenda Date: 8/22/2022 Agenda #: 10. Subject:INFORMATION ITEM Consider the Audit Committee 2022 Schedule and Work Plan Receive Audit Committee 2022 Schedule and Work Plan and provide direction to staff Presenter: Thomas Leung, Senior Management Analyst 5:45(5) CITY OF CUPERTINO Printed on 8/18/2022Page 1 of 1 powered by Legistar™240 January 24, 2022 February 24, 2022 March 28, 2022 April 25, 2022 May 23, 2022 June 27, 2022 July 25, 2022 August 22, 2022 September 26, 2022 October 24, 2022 November 28, 2022 December  12, 2022 Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Approve Prior  Meeting Minutes Treasurerʹs Report  for Quarter Ending  December 31, 2021 Internal Audit  Update Monthly Treasurerʹs  Report for January  and February 2022  Monthly Treasurerʹs  Report for March  2022 Internal Audit  Update Monthly Treasurerʹs  Report for May 2022  Monthly Treasurerʹs  Report for June 2022 Internal Audit  Update Monthly Treasurerʹs  Report for August  2022  Monthly Treasurerʹs  Report for  September 2022 Internal Audit  Update Monthly Treasurerʹs  Report for  November 2022 OPEB & Pension  Section 115 Trust  Performance Report  for Quarter Ending  December 31, 2021 Budget Format  Review OPEB & Pension  Section 115 Trust  Performance Report  for Quarter Ending  March 31, 2022 Budget Format  Review Monthly Treasurerʹs  Investment Report  for May 2022 OPEB & Pension  Section 115 Trust  Performance Report  for Quarter Ending  June 30, 2022 External Audit  Subcommittee and  RFP Kickoff Monthly Treasurerʹs  Investment Report  for August 2022 OPEB & Pension  Section 115 Trust  Performance Report  for Quarter Ending  September 30, 2022 ACFR and AUP  Draft  Review/Update Monthly Treasurerʹs  Investment Report  for November 2022 Review of FY 2020‐ 21 ACFR and  Supplemental  Reports Annual Review of  City Investment  Policy Monthly Treasurerʹs  Report for April 2022 Proposed FY 2022‐23  Internal Audit Work  Plan Monthly Treasurerʹs  Investment Report  for June 2022 Monthly Treasurerʹs  Report for July 2022 Budget Format  Review Study  Session Annual Review of  Pension and OPEB  Trust Investment  Policy Monthly Treasurerʹs  Report for October  2022 Committee Input to  Independent  Auditor on Interim  Audit and AUP  Engagements Monthly Treasurerʹs  Investment Report  for April 2022 Budget Format  Review Budget Format  Review Monthly Treasurerʹs  Investment Report  for July 2022 Interim Audit and  AUP Engagements Monthly Treasurerʹs  Investment Report  for September 2022 Monthly Treasurerʹs  Investment Report  for October 2022 Follow‐up on  Previous Fiscal Year  Management Letter  Items and  Management  Responses Budget Format  Review (Fund  Balance Policy) Structure of Potential  Budget Review Budget Format  Review (OpenGov  Data Sources) Source: Cupertino, CA Municipal Code, Chapter 2.88.100: Audit Committee The powers and functions of the Audit Committee shall be as follows: A: To review the annual audit report and management letter; B: To recommend appointment of auditors; C. To review the monthly Treasurer’s report; D. To recommend a budget format; E. To review City investment policies and internal controls of such policies. F. To recommend appointment of internal auditors; G. To review internal audit reports. H. To review quarterly Fraud, Waste, and Abuse Program reports. (Ord. 22-2243 § 1, 2022; Ord. 20-2208, § 1, 2020; Ord. 1679, § 1 (part), 1995) CITY OF CUPERTINO ‐ AUDIT COMMITTEE 2022 SCHEDULE AND WORK PLAN Summary of Duties – Powers – Responsibilities of Cupertino Audit Committee 24 1