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HomeMy WebLinkAbout24208 RESOLUTION NO. 24208 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF PALM SPRINGS, CALIFORNIA, APPROVING PAYMENT OF CLAIMS AND DEMANDS BY WARRANTS NUMBERED 1090837 THROUGH 1090993 IN THE AGGREGATE AMOUNT OF $1 ,162,563.05 DRAWN ON BANK OF AMERICA. WHEREAS, the Director of Finance has, in accordance with Chapter 3.16 of the Palm Springs Municipal Code, audited the claims and demands shown on the attached list; and WHEREAS, the Director of Finance hereby certifies to the accuracy of said records and to the availability of funds for payment. Geoffrey S."Kiehl Director of Finance and Treasurer NOW, THEREFORE BE IT RESOLVED that claims and demands numbered 1090837 through 1090993 have been audited as required by law and that said warrants are hereby approved for payment. ADOPTED THIS 19T" DAY OF APRIL, 2017. David H. Ready, Esq., P City Manager ATTEST: �6"Cx, T& Kathleen D. Hart, MMC Interim City Clerk CERTIFICATION STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss. CITY OF PALM SPRINGS ) I, KATHLEEN D. HART, Interim City Clerk of the City of Palm Springs, hereby certify that Resolution No. 24208 is a full, true and correct copy, and was duly adopted at a regular meeting of the City Council of the City of Palm Springs on April 19, 2017, by the following vote: AYES: Councilmembers Kors, Roberts, and Mayor Moon NOES: None ABSENT: Councilmember Mills, and Mayor Pro Tern Foat ABSTAIN: None RECUSED: None Kathleen D. Hart, MMC Interim City Clerk SUNGARD PENTAMATION - FUND ACCOUNTING MANAGER PAGE NUMBER: 1 DATE: 03/09/17 CITY OF PALM.SPRINGS ACCTPA22 -TIME: 15:29:34 CHECK REGISTER INCLUDING SYSTEM VOIDS ACCOUNTING PERIOD: 9/17 SELECTION CRITERIA: chkatat.r date='03/09/2017' DISTRIBUTION FUND: 001 CHECK NUMBER ISSUE DATE VENDOR STATUS TOTAL DESCRIPTION 1090837 03/09/2017 ACBL 553 R 558.00 ACCOUNTS PAYABLE CHECK 1090838 03/09/2017 ACE PARKING MANAGEMENT IN R 11439.24 ACCOUNTS PAYABLE CHECK 1090839 03/09/2017 ACE PRINTING R 3038.00 ACCOUNTS PAYABLE CHECK 1090840 03/09/2017 AFSS CONFERENCE R 50.00 ACCOUNTS PAYABLE CHECK 1090841 03/09/2017 AIRGAS USA LLC R 285.66 ACCOUNTS PAYABLE CHECK 1090B42 03/09/2017 AIRWAVE COMMUNICATIONS EN R 8362.37 ACCOUNTS PAYABLE CHECK 109D843 03/09/2017 ALL AMERICAN ASPHALT R 17960.22 ACCOUNTS PAYABLE CHECK 1090844 03/09/2017 ASPEN MILLS R 453.53 ACCOUNTS PAYABLE CHECK 1090845 03/09/2017 AT & T R 374.44 ACCOUNTS PAYABLE CHECK 1090846 03/09/2017 AT&T MOBILITY R 107.46 ACCOUNTS PAYABLE CHECK 1090847 03/09/2017 AUDIO ASSOCIATES R 10003.70 ACCOUNTS PAYABLE CHECK 1090848 03/09/2017 ROBERT BERENS R 580.00 ACCOUNTS PAYABLE CHECK 1090849 03/09/2017 BONTERRA PSOMAS R 337.14 ACCOUNTS PAYABLE CHECK 1090850 03/09/2017 BOOTS & SQUARES R 55B.00 ACCOUNTS PAYABLE CHECK 1090851 03/09/2017 BOYS AND GIRLS CLUB OF PA R 700.00 ACCOUNTS PAYABLE CHECK 1090852 03/09/2017 BURRTEC ENVIRONMENTAL R 1070.DO ACCOUNTS PAYABLE CHECK 1090853 03/09/2017 CAREEN A TOSTADO R 100.00 ACCOUNTS PAYABLE CHECK 1090854 03/09/2017 CARRIER CORPORATION R 3925.OD ACCOUNTS PAYABLE CHECK 1090855 03/09/2017 CCAC R 185.00 ACCOUNTS PAYABLE CHECK 1090856 03/09/2017 CDW GOVERNMENT INC R 383.17 ACCOUNTS PAYABLE CHECK 1090857 - 03/09/2017 COMSERCO R 1963.13 ACCOUNTS PAYABLE CHECK '3090B5B 03/09/2017 COUNTY OF RIVERSIDE AUDIT R 5205.00 ACCOUNTS PAYABLE CHECK 1090859 03/09/2017 MIGUEL CRIADO R 50.00 ACCOUNTS PAYABLE CHECK 1090860 03/09/2017 CSG CONSULTANTS, INC. R 1955.00 ACCOUNTS PAYABLE CHECK 1090861 03/09/2017 DATA TICKET INC R 2381.85 ACCOUNTS PAYABLE CHECK 1090862 03/09/2017 DELL MARKETING LP R 2770.65 ACCOUNTS PAYABLE CHECK 1090863 03/09/2017 DELS FLOORING CONTRACTORS R 1452.00 ACCOUNTS PAYABLE CHECK 1090864 03/09/2017 DENNIS JOHNSON R 50.00 ACCOUNTS PAYABLE CHECK 1090865 03/09/2017 DESERT FIRE EXTINGUISHER R 409.26 ACCOUNTS PAYABLE CHECK 1090866 03/09/2017 DESERT REPROGRAPHICS LLC R 2171.89 ACCOUNTS PAYABLE CHECK 1090867 03/09/2027 DIVERSIFIED RISK INSURANC R 382.06 ACCOUNTS PAYABLE CHECK 1090868 03/09/2017 DOKKSN ENGINEERING R 2619.32 ACCOUNTS PAYABLE CHECK 1090869 03/09/2017 ECOLAB R 500.00 ACCOUNTS PAYABLE CHECK 1090870 03/09/2017 SUSAN SMITH EVANS R 50.00 ACCOUNTS PAYABLE CHECK 1090871 03/09/2017 EXPERIAN R 77.00 ACCOUNTS PAYABLE CHECK 1090872 03/09/2017 FEDEX R 9.00 ACCOUNTS PAYABLE CHECK 109OB73 03/09/2017 FOUNDATIONS RECOVERY NETW R 571.87 ACCOUNTS PAYABLE CHECK 1090874 03/09/2017 FRONTIER COMMUNICATIONS C R 10946.39 ACCOUNTS PAYABLE CHECK 1090875 03/09/2017 FULL GALLOP MARKETING R 5190.00 ACCOUNTS PAYABLE CHECK 1090876 03/09/2017 HAFNER COMPANY INC R 880.00 ACCOUNTS PAYABLE CHECK 1090877 03/09/2017 CORY HAMILTON R 30D.00 ACCOUNTS PAYABLE CHECK 1090878 03/09/2017 HARRELL COMPANY ADVISORS R 1211.00 ACCOUNTS PAYABLE CHECK 1090879 03/09/2017 HARRIS & ASSOCIATES R 4718.00 ACCOUNTS PAYABLE CHECK 1090880 03/09/2017 TERRY HASTINGS R 50.00 ACCOUNTS PAYABLE CHECK 1090881 03/09/2017 CAROLE HICKS R 50.00 ACCOUNTS PAYABLE CHECK 1090882 03/09/2017 HIGH LINE CUSTOMER ASSOCI R 150.00 ACCOUNTS PAYABLE CHECK 1090883 03/09/2017 JEFF MOCKER R 1061.45 ACCOUNTS PAYABLE CHECK 1090884 03/09/2017 INFOTOX INC R 3120.00 ACCOUNTS PAYABLE CHECK 1090885 03/09/2017 INLAND LIBRARY SYSTEM R 35.00 ACCOUNTS PAYABLE CHECK 1090BB6 03/09/2017 INTERNATIONAL CODE COUNCI R 93.53 ACCOUNTS PAYABLE CHECK 1090887 03/09/2017 INTERWEST CONSULTING GROU R 17640.00 ACCOUNTS PAYABLE CHECK 1090888 03/09/2017 JOHNSON CONTROLS I R 977.60 ACCOUNTS PAYABLE CHECK 1090889 03/09/2017 KNOWLEDGE KAY ASSOCIATES R 5355.00 ACCOUNTS PAYABLE CHECK 1090890 03/09/2017 LEAGUE OF CALIFORNIA CITI R 35.00 ACCOUNTS PAYABLE CHECK SUNGARD PENTAMATION - FUND ACCOUNTING MANAGER PAGE NUMBER: 2 DATE: 03/09/17 CITY OF PALM SPRINGS ACCTPA21 TIME: 15:29:34 CHECK REGISTER INCLUDING SYSTEM VOIDS ACCOUNTING PERIOD: 9/17 SELECTION CRITERIA: chkstat.r date='03/09/2017' 1090891 03/09/2017 LEXIPOL LLC R 4255.00 ACCOUNTS PAYABLE CHECK 1090892 03/09/2017 LIEBERT CASSIDY WHITMORE R 6627.97 ACCOUNTS PAYABLE CHECK 1090893 03/09/2017 MARIPOSA LANDSCAPES, INC. R 4D72.41 ACCOUNTS PAYABLE CHECK 1090894 03/09/2017 MAXIMUM SECURITY ALARM BY R 2023.60 ACCOUNTS PAYABLE CHECK 1090895 03/09/2017 KATE MCCABE R 200.00 ACCOUNTS PAYABLE CHECK 1090896 03/09/2017 MERCURY ASSOCIATES R 24094.00 ACCOUNTS PAYABLE CHECK 1090897 03/09/2017 NATIONAL COMMUNITY DEVELO R 550.00 ACCOUNTS PAYABLECHECK 1090898 03/09/2017 OFFICE DEPOT V 0.00 VOID: MULTI STUB CHECK 1090899 03/09/2017 OFFICE DEPOT V 0.00 VOID: MULTI STUB CHECK 1D90900 03/09/2017 OFFICE DEPOT R 7208.71 ACCOUNTS PAYABLE CHECK 1090901 03/09/2017 ORACLE AMERICA, INC R 637.16 ACCOUNTS PAYABLE CHECK 1090902 03/09/2017 PACIFIC PRODUCTS AND SERV R 2073.47 ACCOUNTS PAYABLE CHECK 1090903 03/09/2017 PALM SPRINGS MOTORS R 5998.86 ACCOUNTS PAYABLE CHECK 1090904 03/09/2017 PARKHOUSE TIRE INC R 5517.96 ACCOUNTS PAYABLE CHECK 1090905 03/09/2017 THOMAS BECKERT R 75.00 ACCOUNTS PAYABLE CHECK 1090906 03/09/2017 BOHDAN T OLESNICKY R 75.00 ACCOUNTS PAYABLE CHECK 1090907 03/09/2017 DAVID H TANG MD INC R 75.00 ACCOUNTS PAYABLE CHECK 1090908 03/09/2017 DOUG STEVENS R 75.00 ACCOUNTS PAYABLE CHECK 1D90909 03/09/2017 LAWRENCE HEISKELL R 75.00 ACCOUNTS PAYABLE CHECK 1090910 03/09/2017 PORAC R 510.00 ACCOUNTS PAYABLE CHECK 1D9D911 03/09/2017 PRAXAIR R 1416.09 ACCOUNTS PAYABLE CHECK 1090912 03/09/2017 PRINCIPLES CONTRACTING IN R 17020.26 ACCOUNTS PAYABLE CHECK 1090913 03/09/2017 PROFORCE LAW ENFORCEMENT R 4182.53 ACCOUNTS PAYABLE CHECK 1090914 03/09/2017 PROPER SOLUTIONS INC R 21954.24 ACCOUNTS PAYABLE CHECK 1090915 03/09/2017 PRUDENTIAL OVERALL SUPPLY R 899.23 ACCOUNTS PAYABLE CHECK 1090916 03/09/2017 PURE PLANET WATER INC R 191.84 ACCOUNTS PAYABLECHECK 1090917 03/09/2017 RHF INC, R 127.99 ACCOUNTS PAYABLE CHECK 1090918 03/09/2017 RISELO ENGINEERING SOLUTI R 6890.59 ACCOUNTS PAYABLE CHECK 1090919 03/09/2017 ROYAL GYM SERVICES R 208.13 ACCOUNTS PAYABLE CHECK 1090920 03/09/2017 VALENTINO RUIZ R 300.00 ACCOUNTS PAYABLE CHECK 1090921 03/09/2017 PATRICK SHEEHAN R 50.00 ACCOUNTS PAYABLE CHECK IG90922 03/09/2017 THE SHREDDERS R 495.00 ACCOUNTS PAYABLE CHECK 109D923 03/09/2017 SMG R 5833.00 ACCOUNTS PAYABLE CHECK 1090924 03/09/2017 SOUTH COAST EMERGENCY VEH R 4187.10 ACCOUNTS PAYABLE CHECK 1090925 03/09/2017 SOUTH WEST TOWING INC R 895.00 ACCOUNTS PAYABLE CHECK 1090926 03/09/2017 SOUTHERN CALIFORNIA EDISO V 0.00 VOID: MULTI STUB CHECK 1090927 03/09/2017 SOUTHERN CALIFORNIA EDISO R 136614.58 ACCOUNTS PAYABLE CHECK 1090928 03/09/2017 SOUTHERN CALIFORNIA GAS C R 3163.71 ACCOUNTS PAYABLE CHECK 1090929 03/09/2017 ERIN STANLEY R 580.00 ACCOUNTS PAYABLE CHECK 1090930 03/09/2017 SUPERIOR READY MIX CONCRE R 715.89 ACCOUNTS PAYABLE CHECK 1090931 03/09/2017 SUPERMEDIA LLC R 35.44 ACCOUNTS PAYABLE CHECK 1090932 03/09/2017 TELOS IDENTITY MGMT SOLUT R 1451.00 ACCOUNTS PAYABLE CHECK - 1090933 03/09/2017 THE LLOYD PEST CONTROL V 0.00 VOID: MULTI STUB CHECK 1090934 03/09/2017 THE LLOYD PEST CONTROL V 0.00 VOID: MULTI STUB CHECK 1090935 03/09/2017 THE LLOYD PEST CONTROL R 1149.00 ACCOUNTS PAYABLE CHECK 1090936 03/09/2017 TIME WARNER CABLE R 119.95 ACCOUNTS PAYABLE CHECK 1090937 03/09/2017 TIME WARNER CABLE R 124.99 ACCOUNTS PAYABLE CHECK 1090938 03/09/2017 TIME WARNER CABLE R 159.99 ACCOUNTS PAYABLE CHECK 1090939 03/09/2017 TIME WARNER CABLE R 254.99 ACCOUNTS PAYABLE CHECK 1090940 03/09/2017 TIME WARNER CABLE R 114.99 ACCOUNTS PAYABLE CHECK 1090941 03/D9/2017 TIME WARNER CABLE R 189.94 ACCOUNTS PAYABLE CHECK 1090942 03/09/2017 TIME WARNER CABLE R 219.99 ACCOUNTS PAYABLE CHECK 1090943 03/09/2017 TRUTH BE TOLD POLYGRAPH L R 3000.00 ACCOUNTS PAYABLE CHECK 1090944 03/09/2017 U S CUSTOMS SERVICE R 1323.48 ACCOUNTS PAYABLE CHECK 1090945 03/09/2017 UNION PACIFIC RAILROAD CO R 959.37 ACCOUNTS PAYABLE CHECK 1090946 03/09/2017 UNIVAR R 4178.46 ACCOUNTS PAYABLE CHECK 1 1090947 03/09/2017 US BANK CORPORATE PAYMENT V 0.00 VOID: MULTI STUB CHECK 1090948 03/09/2017 US BANK CORPORATE PAYMENT R 41511.65 ACCOUNTS PAYABLE CHECK SUNGARD PENTAMATION - FUND ACCOUNTING MANAGER PAGE NUMBER: 3 DATE: 03/09/17 CITY OF PALM SPRINGS ACCTPA21 TIME: 15:29:34 CHECK REGISTER INCLUDING SYSTEM VOIDS ACCOUNTING PERIOD: 9/17 SELECTION CRITERIA: chkstat.=date='03/09/2017' 1090949 03/09/2017 V AND V MANUFACTURING R 740.48 ACCOUNTS PAYABLE CHECK 1090950 03/09/2017 VACATION RENTAL COMPLIANC R 7920.00 ACCOUNTS PAYABLE CHECK 1090951 03/09/2017 VALLEY LOCK AND SAFE R 622.99 ACCOUNTS PAYABLE CHECK 1090952 _ 03/09/2017 VERIZON WIRELESS R 1176.22 ACCOUNTS PAYABLE CHECK 1090953 03/09/2017 VERIZON WIRELESS R 2722.01 ACCOUNTS PAYABLE CHECK 1090954 03/09/2017 WALK IN GRACE INC R 6175.00 ACCOUNTS PAYABLE CHECK 1090955 03/09/2017 ALBERT A. WEBB ASSOCIATES R 24896.41 ACCOUNTS PAYABLE CHECK 1090956 03/09/2017 WELL IN THE ➢ESERT R 3000.00 ACCOUNTS PAYABLE CHECK 1090957 03/09/2017 GARY WEXLER DESIGN R 1215.00 ACCOUNTS PAYABLE CHECK X090958 03/09/2017 DAVID WHITLOCK R 500.00 ACCOUNTS PAYABLE CHECK 1090959 03/09/2017 WILLDAN ENGINEERING R 39290.25 ACCOUNTS PAYABLE CHECK 1090960 03/09/2017 TAMI WOOD R - 50.00 ACCOUNTS PAYABLE CHECK 1090961 03/09/2017 YOSHI LAWNMOWER SHOP LLC R 48.65 ACCOUNTS PAYABLE CHECK 1090962 03/09/2017 SERGE DOROSHIN R 12260.25 ACCOUNTS PAYABLE CHECK 1090963 03/09/2017 CA PUBLIC EMPLOYEES RETIR R 198182.30 ACCOUNTS PAYABLE CHECK 1090964 03/09/2017 CA PUBLIC EMPLOYEES RETIR R 288318.12 ACCOUNTS PAYABLE CHECK 1090965 03/09/2017 CA PUBLIC EMPLOYEES RETIR R 19544.46 ACCOUNTS PAYABLE CHECK 1090966 03/09/2017 CA PUBLIC EMPLOYEES RETIR R 26211.56 ACCOUNTS PAYABLE CHECK 1090967 03/09/2017 CA PUBLIC EMPLOYEES RETIR R 61476.02 ACCOUNTS PAYABLE CHECK 109096B 03/09/2017 ST. THERESA SCHOOL R 200.00 ACCOUNTS PAYABLE CHECK 1090969 03/09/2017 YOUR FAMILY NAME R 54.50 ACCOUNTS PAYABLE CHECK 1090970 03/09/2017 ALI HARANDI R 50.00 ACCOUNTS PAYABLE CHECK 1090971 03/09/2017 LYNN HAMMOND R 937.50 ACCOUNTS PAYABLE CHECK 1090972 03/09/2017 RON BEVERLY R 250.00 ACCOUNTS PAYABLE CHECK 1090973 03/09/2017 CHAD BLASECK R 50.00 ACCOUNTS PAYABLE CHECK 1090974 03/09/2017 JUDY BLOMBERG PETTY CASH R 115.69 ACCOUNTS PAYABLE CHECK 1090975 03/09/2017 RANDE FERGUSON R 250.00 ACCOUNTS PAYABLE CHECK 1090976 03/09/2017 GREG LYLE R 50.00 ACCOUNTS PAYABLE CHECK 1090977 03/09/2017 DAVID REES R 50.00 ACCOUNTS PAYABLE CHECK 1090978 03/09/2017 DREAM SHAPERS R 275.00 ACCOUNTS PAYABLE CHECK 1090979 03/09/2017 PAUL A ABSHIRE R 15.00 ACCOUNTS PAYABLE CHECK 1090980 03/09/2017 GUSTAVO ARAIZA R 79.05 ACCOUNTS PAYABLE CHECK 1090981 03/09/2017 MATTHEW .BEARD R 186.98 ACCOUNTS PAYABLE CHECK 1090982 03/09/2017 CAPE ACCOUNTING R 275.00 ACCOUNTS PAYABLE CHECK 1090983 03/09/2017 ALEXANDER DOHERTY R 15.00 ACCOUNTS PAYABLE CHECK 1090984 03/09/2017 ALEXANDER DOHERTY R 45.00 ACCOUNTS PAYABLE CHECK 1090985 03/09/2017 STEPHANIE GREEN R 44.07 ACCOUNTS PAYABLE CHECK 1090986 03/09/2017 ANDREW TRUONG R 44.76 ACCOUNTS PAYABLE CHECK 1090987 - 03/09/2017 WILLIAM JOHNSON R 151.25 ACCOUNTS PAYABLE CHECK 1090988 03/09/2017 JARVIS CRAWFORD R 913.08 ACCOUNTS PAYABLE CHECK 1090989 03/09/2017 MARIANA DUSPIVA R 1639.20 ACCOUNTS PAYABLE CHECK 1090990 03/09/2017 JESSICA GALLAGHER R 43.00 ACCOUNTS PAYABLE CHECK 1090991 03/09/2017 WILLIAM S HANSMEYER R 846.60 ACCOUNTS PAYABLE CHECK 1090992 03/09/2017 WILLIAM PELLUM R 507.16 ACCOUNTS PAYABLE CHECK 1090993 03/09/2017 STEVE BECK R 1561.00 ACCOUNTS PAYABLE CHECK TOTAL FUND 1162563.05 TOTAL REPORT 1162563.05 1 I