CC - Item 4A - Approval of City Claims and Demands - Resolution No. 2021-21ROSEMEAD CITY COUNCIL
STAFF REPORT
TO: THE HONORABLE MAYOR AND CITY COUNCIL
FROM: GLORIA MOLLEDA, CITY MANAGER j . N \
DATE: JUNE 14, 2021
SUBJECT: APPROVAL OF CITY CLAIMS AND DEMANDS
SUMMARY
The City has established the policy of issuing accounts payable checks on a bi-weekly basis with
City Council ratification at the next scheduled City Council Meeting as allowed under §37208 of
the California Government Code.
The payments presented in the following Expense Approval Report have been reviewed and
approved by the appropriate departmental staff.
Expense Report of.
May 13, 2021 through
May 26, 2021
Check Numbers
109001-109066
$ 960,351.98
Draft Numbers
5071-5103
281,557.63
EFT Numbers
50564-50590
105,108.50
Total Register
$ 1,347,018.11
STAFF RECOMMENDATION
Approve the Claims and Demands as presented.
Prepared by::%/
L��1,r�,4,4r,iL,
Paula Chamberlain, Interim Finance Director
Attachments: Resolution No. 2021-21
Expense Approval Report
AGENDA ITEM 4.A
City of Rosemead, CA
Vendor Number
Vendor Name
Payment Date
Bank Code: APCITY-City Cash in Treasury -Pool
0.00
2341
BATEMAN COMMUNITY LIVING, LLC
05/26/2021
2955
BEST BEST & KRIEGER LLP
05/26/2021
3583
BIOMETRICS4ALL, INC
05/26/2021
3166
EVERGREEN LANDSCAPING, LLC.
05/26/2021
3166
EVERGREEN LANDSCAPING, LLC.
05/26/2021
3166
EVERGREEN LANDSCAPING, LLC.
05/26/2021
4048
INTERWEST CONSULTING GROUP INC.
05/26/2021
784
KSI
05/26/2021
370
MARGARET CLARK
05/26/2021
2952
BUILDER'S HUB RENOVATIONS, INC.
05/26/2021
283
BURKE, WILLIAMS & SORENSEN, LLP
05/26/2021
283
BURKE, WILLIAMS & SORENSEN, LLP
05/26/2021
2591
CATERING BY HERACH & ARA
05/26/2021
2944
CH SUPPLY INC.
05/26/2021
2919
CHARTER OAK GYMNASTICS
05/26/2021
R12732
CHRISTIANA MILLER
05/26/2021
3255
COMPANY C. TIRE
05/26/2021
2842
DAVID TURCH & ASSOCIATES
05/26/2021
2757
DEPT OF JUSTICE BUREAU OF CRIMINE 05/26/2021
2892
DIVISION OF THE STATE ARCHITECT
05/26/2021
2986
ET WATER SYSTEMS INC.
05/26/2021
3576
EVERGREEN BAPTIST CHURCH OF LOS
05/26/2021
3576
EVERGREEN BAPTIST CHURCH OF LOS
05/26/2021
495
EWING IRRIGATION PRODUCTS INC.
05/26/2021
508
FEDERAL EXPRESS CORPORATION
05/26/2021
3342
FERGUSON HVAC I AIR COLD
05/26/2021
4023
IRRI-CARE PLUMBING AND BACKFLOUI
05/26/2021
4033
JBIPIPE & SUPPLY INC.
05/26/2021
720
JHM SUPPLY LANDSCAPE AND IRRIGAI
05/26/2021
570
JOE A. GONSALVES & SON
05/26/2021
857
LA COUNTY DEPT PUBLIC WORKS
05/26/2021
900
LA COUNTY SHERIFF'S DEPT
05/26/2021
2878
LEGACY CONSTRUCTION & REMOLEDII
05/26/2021
4897
METROPOLITAN TRANSPORTATION Al,
05/26/2021
959
MISSION SUPER HARDWARE
05/26/2021
5550
OFFICE DEPOT INC.
05/26/2021
R13847
PATTERSON CONSTRUCTION GROUP
05/26/2021
1120
PETTY CASH
05/26/2021
6046
RICOH USA, INC.
05/26/2021
6073
RRM DESIGN GROUP, A CALIFORNIA C
05/26/2021
6073
RRM DESIGN GROUP, A CALIFORNIA C
05/26/2021
7586
SCOTT WATANABE
05/26/2021
7586
SCOTT WATANABE
05/26/2021
6468
SKY BLUEPRINT & SUPPLIES INC.
05/26/2021
6773
TELEPACIFIC COMMUNICATION
05/26/2021
6914
THE SAUCE CREATIVE SERVICES CORP.
05/26/2021
2954
THE WORKSHOP
05/26/2021
7294
VISION SERVICE PLAN
05/26/2021
7367
VOLUNTEREERSIN DEFENSE OFANIM,
05/26/2021
7571
WEST COAST ARBORIST, INC.
05/26/2021
1523
WHITTIER FERTILIZER
05/26/2021
Check Register
Packet: APPKT06054 - 05-26-2021 CITY
By Check Number
Payment Type
Discount Amount
Payment Amount Number
EFT
0.00
10,896.60 50582
EFT
0.00
810.00 50583
EFT
0.00
1.50 50584
EFT
0.00
5,739.00 50585
EFT
0.00
5,000.00 50586
EFT
0.00
1,050.00 50587
EFT
0.00
62,644.98 50588
EFT
0.00
5,555.11 50589
EFT
0.00
150.00 50590
Regular
0.00
7,525.00 109024
Regular
0.00
299.20 109025
Regular
0.00
34,388.32 109026
Regular
0.00
1,187.63 109027
Regular
0.00
5,225.06 109028
Regular
0.00
500.50 109029
Regular
0.00
92.00 109030
Regular
0.00
812.70 109031
Regular
0.00
4,500.00 109032
Regular
0.00
318.00 109033
Regular
0.00
188.40 109034
Regular
0.00
1,434.00 109035
Regular
0.00
75.50 109036
Regular
0.00
1,608.78 109037
Regular
0.00
501.55 109038
Regular
0.00
67.12 109039
Regular
0.00
309.78 109040
Regular
0.00
350.00 109041
Regular
0.00
908.61 109042
Regular
0.00
4,078.01 109043
Regular
0.00
2,500.00 109044
Regular
0.00
471.34 109045
Regular
0.00
757,112.32 109046
Regular
0.00
4,875.00 109047
Regular
0.00
20.00 109048
Regular
0.00
70.10 109049
Regular
0.00
910.67 109050
Regular
0.00
5,000.00 109051
Regular
0.00
453.71 109052
Regular
0.00
74.08 109053
Regular
0.00
8,259.50 109054
Regular
0.00
14,754.25 109055
Regular
0.00
5,017.50 109056
Regular
0.00
4,627.50 109057
Regular
0.00
169.78 109058
Regular
0.00
10,417.27 109059
Regular
0.00
10,334.56 109060
Regular
0.00
424.46 109061
Regular
0.00
1,283.82 109062
Regular
0.00
855.00 109063
Regular
0.00
12,982.00 109064
Regular
0.00
614.65 109065
5/26/2021.10:52::39 AM�,Jc a ,
F J of 3
Check Register
Vendor Number Vendor Name Payment Date Payment Type
R13846 YVETTE ACEVEDO 05/26/2021 Regular
Packet:APPKT06054-05-26-2021 CITY
Discount Amount Payment Amount Number
0.00 105.00 109066
5/26/202.1. 10:52:39 Aha Page 2 of 3
Bank Code APCITY Summary
Payable Payment
Payment Type
Count Count
Discount
Payment
Regular Checks
92 43
0.00
905,702.67
Manual Checks
0 0
0.00
0.00
Voided Checks
0 0
0.00
0.00
Bank Drafts
0 0
0.00
0.00
EFT's
12 9
0.00
91,847.19
104 52
0.00
997,549.86
5/26/202.1. 10:52:39 Aha Page 2 of 3
Check Register
Fund Summary
Fund Name Period Amount
901 City Treasury Fund 5/2021 997,549.86
997 549.86
Packet: APPKT06054-05-26-2021 CITY
5/26/202.1. 10:52:39 AM Page 3 of 3
RESOLUTION NO. 2021-21
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ROSEMEAD,
CALIFORNIA, ALLOWING CERTAIN CLAIMS AND DEMANDS IN THE
SUM OF $1,347,018.11 CHECKS NUMBERED 109001 THROUGH NUMBER
109066, DRAFTS NUMBERED 5071 THROUGH NUMBER 5103, AND EFT
NUMBERED 50564 THROUGH NUMBER 50590 INCLUSIVELY, WHICH IS
ATTACHED HERETO AND MADE A PART HEREOF
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF ROSEMEAD, DOES
HEREBY RESOLVE, DECLARE, DETERMINE, AND ORDER AS FOLLOWS:
SECTION 1. The Interim Finance Director has certified as to the accuracy of the attached
listing of demands and as to the availability of funds.
SECTION 2. The attached listed claims and demands have been audited as required by law.
SECTION 3. The City Clerk shall certify to the adoption of this resolution and hereafter the
same shall be in full force and effect.
The same are hereby allowed in the amount set forth above.
In accordance with Section 37202 of the Government Code, the Interim Finance Director does
hereby certify as to the accuracy of the above checks and as to the availability of funds for payment
thereof.
Gloria Molleda, City Manager
Paula L. Chamberlain, Interim Finance Director
PASSED, APPROVED, AND ADOPTED this 14th day of June, 2021.
APPROVED AS TO FORM:
Rachel Richman, City Attorney
Polly Low, Mayor
ATTEST:
Ericka Hernandez, City Clerk
STATE OF CALIFORNIA )
COUNTY OF LOS ANGELES)
CITY OF ROSEMEAD )
I, Ericka Hernandez, City Clerk of the City Council of the City of Rosemead, California, do hereby
certify that the foregoing City Council Resolution No. 2021-21 was duly adopted by the City
Council of the City of Rosemead, California, at a regular meeting thereof held on the 14'h day
of June, 2021, by the following vote, to wit:
AYES:
NOES:
ABSENT:
ABSTAIN:
Ericka Hernandez, City Clerk
City of Rosemead, CA
Bank: APCITY -City Cash in Treasury -Pool
Vendor Number Vendor Name
2341 BATEMAN COMMUNITY LIVING, LLC
Payment Type Payment Number
EFT
Payable Number Description Payable Date Due Date
INV465000531.0 SR LUNCH PROG/APR 2021 05/05/2021 05/26/2021
Payment Register
APPKT06054 -05-26-2021 CITY
01 - City of Rosemead
Vendor Number Vendor Name
Total Vendor Amount
Payment Date
10,896.60
Payment Date
Payment Amount
05/26/2021
10,896.60
Discount Amount
Payable Amount
0.00
10,896.60
Vendor Number Vendor Name
Payment Date
Payment Amount
Total Vendor Amount
19M5 BEST BEST & KRIEGER LLP
05/26/2021
299.20
Payable Date
810.00
Payment Type Payment Number
Payable Amount
05/01/2021
Payment Date
Payment Amount
EFT
05/26/2021
810.00
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
904608 LEGAL SVC/APR 2021
05/11/2021
05/26/2021
0.00
810.00
Vendor Number Vendor Name
Total Vendor Amount
Total Vendor Amount
3.583 BIOMETRICS4ALL, INC
Payment Date
1.50
Payment Type Payment Number
05/26/2021
Payment Date
Payment Amount
EFT
Discount Amount
Payable Amount
05/26/2021
1.50
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
CROSE0002 LIVE SCAN
05/01/2021
05/26/2021
0.00
1.50
Vendor Number Vendor Name
5,225.06
Total Vendor Amount
2952 BUILDER'S HUB RENOVATIONS, INC.
Payment Date
Payment Amount
7,525.00
Payment Type Payment Number
5,225.06
Payable Date
Payment Date
Payment Amount
Check
03/31/2021
05/26/2021
05/26/2021
7,525.00
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
04-21-2.0.21J.2416 CHARLO-T I;E HANDYMAN GRANT/2416 CHARLOTTE AVE/FENCE REPLACEI 04/21/2021
04/28/2021
0.00
7,525.00
Vendor Number Vendor Name
283 BURKE, WILLIAMS & SORENSEN, LLP
Payment Type Payment Number
Check
Payable Number Description
268172 LEGAL SVC/MAR 2021
Check
Payable Number Description
268432 LEGAL SVC/MAR 2021
Vendor Number Vendor Name
259.1 CATERING BY HERACH & ARA
Payment Type Payment Number
Check
Payable Number Description
5-10-21-01 COVID-19/SENIOR LUNCH PROG/ADDITIONAL MEALS
5-12-21.01 COVID-19/SENIOR LUNCH PROG/ADDITIONAL MEALS
Vendor Number Vendor Name
2944 CH SUPPLY INC.
Payment Type Payment Number
Check
Payable Number
CI 15245824
CH.S247272
Description
BLDG MAINT/COUNCIL CHAMBER LIGHTING
GROUNDS MAINT/LED LIGHT/GARVEY PARK
Total Vendor Amount
34,687.52
5,/26/202.1. 10:0:3:0.1. AM Page 1 of 9
Payment Date
Payment Amount
05/26/2021
299.20
Payable Date
Due Date
Discount Amount
Payable Amount
05/01/2021
05/26/2021
0.00
299.20
05/26/2021
34,388.32
Payable Date
Due Date
Discount Amount
Payable Amount
05/01/2021
05/26/2021
0.00
34,388.32
Total Vendor Amount
1,187.63
Payment Date
Payment Amount
05/26/2021
1,187.63
Payable Date
Due Date
Discount Amount
Payable Amount
05/10/2021
05/26/2021
0.00
478.05
05/12/2021
05/26/2021
0.00
709.58
Total Vendor Amount
5,225.06
Payment Date
Payment Amount
05/26/2021
5,225.06
Payable Date
Due Date
Discount Amount
Payable Amount
03/31/2021
05/26/2021
0.00
349.79
04/29/2021
05/26/2021
0.00
4,875.27
5,/26/202.1. 10:0:3:0.1. AM Page 1 of 9
Payment Register
Vendor Number Vendor Name
2919 CHARTER OAK GYMNASTICS
Payment Type Payment Number
Check
Payable Number Description
04129-05/20/2021 CLASS INSTRUCTOR
Vendor Number Vendor Name
R12732 CHRISTIANA MILLER
Payment Type Payment Number
Check
Payable Number Description
2001068.07,3 EXCURSION REFUND
Vendor Number
Vendor Name
3255
COMPANY C. TIRE
Payment Type
Payment Number
Check
4,500.00
Payable Number Description
S.112..4
VEHICLE MAINT/UNIT#55/TIRES
5114D..
VEHICLE MAINT/UNIT#56/TIRES
Vendor Number
Vendor Name
2842
DAVID TURCH & ASSOCIATES
Payment Type
Payment Number
Check
05/26/2021
Payable Number Description
04/15-05/14/2027. STATE LEGISLATIVE LOBBYING/04/15-05/14/2021
Payable Date Due Date
05/11/2021 05/26/2021
Payable Date Due Date
10/11/2017 11/01/2017
Payable Date Due Date
04/26/2021 05/26/2021
04/28/2021 05/26/2021
Payable Date Due Date
05/17/2021 05/26/2021
Vendor Number Vendor Name
Total Vendor Amount
2757 DEPT OF JUSTICE BUREAU OF CRIMINAL
Payment Date
Payment Amount
Payment Type Payment Number
4,500.00
Discount Amount
Check
0.00
4,500.00
Payable Number Description
Payable Date
Due Date
503014 RECRUITING EXP/BUSINESS LICENSE LIVE SCAN
04/05/2021
05/26/2021
5 084 94 FINGERPRINT
05/06/2021
05/26/2021
Vendor Number Vendor Name
0.00
170.00
2fiIJ2 DIVISION OF THE STATE ARCHITECT
148.00
Payment Type Payment Number
Check
Payable Number Description
Payable Date
Due Date
JAN MAR 2021 CASP FEES/JAN-MAR 2021
05/18/2021
05/26/2021
Vendor Number Vendor Name
2966 ET WATER SYSTEMS INC.
Payment Type Payment Number
Check
Payable Number Description
Payable Date
Due Date
.38126 IRRIGATION CONTROLLER/RSMD PARK/JUNE 2021-JUNE202
03/26/2021
05/26/2021
Vendor Number Vendor Name
3576 EVERGREEN BAPTIST CHURCH OF LOS ANGELES
Payment Type Payment Number
Check
Payable Number Description
Payable Date
Due Date
COVID-19/CARE ACT/CDBG/MEALS/MAR 2021
04/28/2021
05/26/2021
Check
Payable Number Description
Payable Date
Due Date
9 F..BCLA-01.2021 COVID-19/CARE ACT/CDBG/MEALS/JAN 2021 ADDENDUM
05/05/2021
05/26/2021
APPKT06054 - 05-26-2021 CITY
Total Vendor Amount
500.50
Payment Date Payment Amount
05/26/2021 500.50
Discount Amount Payable Amount
0.00 500.50
Total Vendor Amount
92.00
Payment Date Payment Amount
05/26/2021 92.00
Discount Amount Payable Amount
0.00 92.00
Total Vendor Amount
812.70
Payment Date Payment Amount
05/26/2021 812.70
Discount Amount Payable Amount
0.00 50.00
0.00 762.70
Total Vendor Amount
188.40
Payment Date Payment Amount
05/26/2021 188.40
Discount Amount Payable Amount
0.00 188.40
Total Vendor Amount
1,434.00
Payment Date Payment Amount
05/26/2021 1,434.00
Discount Amount Payable Amount
0.00 1,434.00
Total Vendor Amount
4,500.00
Payment Date
Payment Amount
05/26/2021
4,500.00
Discount Amount
Payable Amount
0.00
4,500.00
05/26/2021
Total Vendor Amount
Discount Amount
318.00
Payment Date
Payment Amount
05/26/2021
318.00
Discount Amount
Payable Amount
0.00
170.00
0.00
148.00
Total Vendor Amount
188.40
Payment Date Payment Amount
05/26/2021 188.40
Discount Amount Payable Amount
0.00 188.40
Total Vendor Amount
1,434.00
Payment Date Payment Amount
05/26/2021 1,434.00
Discount Amount Payable Amount
0.00 1,434.00
5/2.6%2021. 10:0'1:0.1. AM Page 2 of 9
Total Vendor Amount
1,684.28
Payment Date
Payment Amount
05/26/2021
1,608.78
Discount Amount
Payable Amount
0.00
1,608.78
05/26/2021
75.50
Discount Amount
Payable Amount
0.00
75.50
5/2.6%2021. 10:0'1:0.1. AM Page 2 of 9
Payment Register
APPKT06054
- 05-26-2021 CITY
Vendor Number
Vendor Name
3:1,66
EVERGREEN LANDSCAPING, LLC.
Total Vendor Amount
Payment Type
Payment Number
11,mount
789.00
EFT
Payment Date Payment Amount
Payable Number
Description
Payable Date
Due Date
05/26/2021
Discount Amount
5,739.00
Payable Amount
1306
LANDSCAPE MAINT/ADDITIONAL MAINT PRORATE FEB 2021 02/01/2021
05/26/2021
0.00
5,739.00
EFT
Payable Number Description
Payable Date
Due Date
05/26/2021
Discount Amount
5,000.00
Payable Amount
1302
LANDSCAPE MAINT/GARVEY PARK IRRIGATION REPAIRS
02/01/2021
05/26/2021
0.00
5,000.00
EFT
Payable Number Description
Payable Date
Due Date
05/26/2021
Discount Amount
1,050.00
Payable Amount
1308
IRRIGATION PROPOSAL/SAN GAVRIEL & WALNUT GROVE
02/01/2021
05/26/2021
0.00
1,050.00
Vendor Number
Vendor Name
495
EWING IRRIGATION PRODUCTS INC.
Total Vendor Amount
Payment Type
Payment Number
501.55
Check
Payment Date Payment Amount
05/26/2021
501.55
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
DEPT SUPPLIES/POWER SPRAYER
04/07/2021
05/26/2021
0.00
227.73
13943499
IRRIGATION SUPPLIES/GARVEY PARK
04/15/2021
05/26/2021
0.00
273.82
Vendor Number
Vendor Name
508
FEDERAL EXPRESS CORPORATION
Total Vendor Amount
Payment Type
Payment Number
67.12
Check
Payment Date
Payment Amount
05/26/2021
67.12
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
7-:3,,,�2W30;)Li.
POSTAGE/PLANING
05/14/2021
05/26/2021
0.00
67.12
Vendor Number
Vendor Name
3342
FERGUSON HVAC I AIR COLD
Total Vendor Amount
Payment Type
Payment Number
309.78
Check
Payment Date
Payment Amount
Payable Number Description
Payable Date
Due Date
05/26/2021
Discount Amount
309.78
Payable Amount
33955.12
BLDG MAINT/HVAC FILTERS
04/26/2021
05/26/2021
0.00
110.64
1125; 12-1
BLDG MAINT/HVAC FILTERS
04/27/2021
05/26/2021
0.00
199.14
Vendor Number
Vendor Name
4048
INTERWEST CONSULTING GROUP INC.
Total Vendor Amount
Payment Type
Payment Number
62,644.98
EFT
Payment Date
Payment Amount
Payable Number
Description
Payable Date
Due Date
05/26/2021
Discount Amount
62,644.98
Payable Amount
68821
PLAN CHECKS & INSPECTION/APR 2021
05/17/2021
05/26/2021
0.00
62,644.98
Vendor Number
Vendor Name
ar323
IRRI-CARE PLUMBING AND BACKFLOWTotal
TESTING INC.
Vendor Amount
Payment Type
Payment Number
350.00
Check
Payment Date
Payment Amount
Payable Number Description
Payable Date
Due Date
05/26/2021
Discount Amount
350.00
Payable Amount
12141
BACKFLOW TEST
04/19/2021
05/26/2021
0.00
350.00
Vendor Number
Vendor Name
4033
JBJ PIPE &SUPPLY INC.
Total Vendor Amount
Payment Type
Payment Number
908.61
Check
Payment Date
Payment Amount
Payable Number Description
Payable Date
Due Date
05/26/2021
Discount Amount
908.61
Payable Amount
A4
HAREWARESUPPLIES/WATER HEATER/RCRC
03/17/2021
05/26/2021
0.00
32.83
64785
HAREWARE SUPPLIES/WATER HEATER/RCRC
03/17/2021
05/26/2021
0.00
40.29
64855
IRRIGATION SUPPLIES
03/24/2021
05/26/2021
0.00
103.96
64863
IRRIGATION SUPPLIES
03/25/2021
05/26/2021
0.00
170.25
64965
IRRIGATION SUPPLIES
04/05/2021
05/26/2021
0.00
60.40
649)/'__.
IRRIGATION SUPPLIES
04/06/2021
05/26/2021
0.00
39.91
5/26/2029. 10:03:01. AM
--
Paye :3 of 9
Payment Register
Vendor Name
64976
IRRIGATION SUPPLIES
6501:3
HARDWARE SUPPLIES/RESTROOM/GARVEY PARK
65135
....................
IRRIGATION SUPPLIES
Vendor Number
Vendor Name
720
JHM SUPPLY LANDSCAPE AND IRRIGATION INC.
Payment Type
Payment Number
Check
4,078.01
Payable Number Description
2494()811
IRRIGATION/VALVE BOX
24977711
IRRGATION CONTROLLER/GARVEY PARK
250439/1
IRRIGATION SUPPLIES/TOOLS
ai l'd1
IRRGATION CONTROLLER/GARVEY PARK
25088111
IRRGATION CONTROLLER/GARVEY PARK
250W)7/1.
IRRIGATION SUPPLIES/BATTERY CONTROLLER
2S1U1511
IRRIGATION/BATTERY CONTROLLER
251022/1.
IRRIGATION SUPPLIES/ITEM RETURN
251712.jl
IRRIGATION SUPPLIES/VALVES
2524U3J1.
IRRIGATION SUPPLIES/VALVE BOXES
Vendor Number Vendor Name
S70 JOE A. GONSALVES & SON
Payment Type Payment Number
Check
Payable Number Description
CONTRACT SVC/JUNE 2021
Vendor Number Vendor Name
784 KSI
Payment Type Payment Number
EFT
Payable Number
S1228653
5.12.2.94.'.7-8-
S1229600
5.2301.16
Description
POOL MAINT SUPPLIES/RAC
POOL MAINT SUPPLIES/RAC
POOL MAINT SUPPLIES/RAC
POOL MAINT SUPPLIES/RAC
Vendor Number Vendor Name
151 LA COUNTY DEPT PUBLIC WORKS
Payment Type Payment Number
Check
Payable Number Description
REPW21051006092. PROF SVC/RSMD PUMPHOUSE MAINT
Vendor Number Vendor Name
9010 LA COUNTY SHERIFF'S DEPT
Payment Type Payment Number
Check
Payable Number Description
21'2269AL CONTRACT SVC/APR 2021
................................
Vendor Number Vendor Name
2878 LEGACY CONSTRUCTION & REMOLEDING
Payment Type Payment Number
Check
Payable Number Description
10..11 PROF SVC/PAINT/BUS SHELTHERS/GARVEY
APPKT06054 - 05-26-2021 CITY
04/06/2021 05/26/2021 0.00 32.67
04/12/2021 05/26/2021 0.00 158.44
04/28/2021 05/26/2021 0.00 269.86
Total Vendor Amount
4,078.01
Total Vendor Amount
2,500.00
Payment Date Payment Amount
05/26/2021 2,500.00
Payable Date Due Date Discount Amount Payable Amount
05/15/2021 05/26/2021 0.00 2,500.00
Total Vendor Amount
5,555.11
Payment Date
Payment Amount
05/26/2021
4,078.01
Payable Date
Due Date
Discount Amount
Payable Amount
04/08/2021
05/26/2021
0.00
76.46
04/12/2021
05/26/2021
0.00
66.92
04/16/2021
05/26/2021
0.00
436.09
04/19/2021
05/26/2021
0.00
1,335.70
04/20/2021
05/26/2021
0.00
1,094.03
04/20/2021
05/26/2021
0.00
186.96
04/21/2021
05/26/2021
0.00
368.57
04/21/2021
05/26/2021
0.00
-145.63
04/26/2021
05/26/2021
0.00
450.64
05/03/2021
05/26/2021
0.00
208.27
Total Vendor Amount
2,500.00
Payment Date Payment Amount
05/26/2021 2,500.00
Payable Date Due Date Discount Amount Payable Amount
05/15/2021 05/26/2021 0.00 2,500.00
Total Vendor Amount
5,555.11
Total Vendor Amount
757,112.32
Payment Date Payment Amount
05/26/2021 757,112.32
Payable Date Due Date Discount Amount Payable Amount
05/10/2021 05/26/2021 0.00 757,112.32
Total Vendor Amount
4,875.00
Payment Date Payment Amount
05/26/2021 4,875.00
Payable Date Due Date Discount Amount Payable Amount
04/20/2021 05/26/2021 0.00 4,875.00
5/261202.1. 10:03:0:1. AM Paye 4 of 9
Payment Date
Payment Amount
05/26/2021
5,555.11
Payable Date
Due Date
Discount Amount
Payable Amount
03/11/2021
05/26/2021
0.00
1,511.02
04/13/2021
05/26/2021
0.00
1,757.61
04/22/2021
05/26/2021
0.00
1,068.67
05/05/2021
05/26/2021
0.00
1,217.81
Total Vendor Amount
471.34
Payment Date
Payment Amount
05/26/2021
471.34
Payable Date
Due Date
Discount Amount
Payable Amount
05/10/2021
05/26/2021
0.00
471.34
Total Vendor Amount
757,112.32
Payment Date Payment Amount
05/26/2021 757,112.32
Payable Date Due Date Discount Amount Payable Amount
05/10/2021 05/26/2021 0.00 757,112.32
Total Vendor Amount
4,875.00
Payment Date Payment Amount
05/26/2021 4,875.00
Payable Date Due Date Discount Amount Payable Amount
04/20/2021 05/26/2021 0.00 4,875.00
5/261202.1. 10:03:0:1. AM Paye 4 of 9
Payment Register
Vendor Number Vendor Name
370 MARGARET CLARK
Payment Type Payment Number
EFT
Payable Number Description
APR 2021./PHONE SVC CELLPHONE SVC REIMB/APR 2021
Vendor Number Vendor Name
4897 METROPOLITAN TRANSPORTATION AUTHORITY
Payment Type Payment Number
Check
Payable Number Description
6014229. BUS PASSES/TAB/APRIL 2021/GCC
Vendor Number Vendor Name
959 MISSION SUPER HARDWARE
Payment Type Payment Number
Check
Payable Number Description
408219/1, PAINT SUPPLIES
Vendor Number Vendor Name
55Q OFFICE DEPOT INC.
Payment Type Payment Number
Check
Payable Number
167030.130001
1.6708:3440001,
167187155001
167793800007.
1 X114;}53!,�10Q1.
171612162001
24846SS649
Description
DEPT SUPPLIES/PRINTER TONERS
DEPT SUPPLIES/WEBCAM/PC SPEAKERS
DEPT SUPPLIES/CALCULATOR PAPER
DEPT SUPPLIES/FOLDERS
DEPT SUPPLIES/KEY BOARD/RESPIRATOR
BLACK PRINTER INK CARTRIDGE
DEPT SUPPLIES/CALENDAR
Payable Date Due Date
05/26/2021 05/26/2021
Payable Date Due Date
04/30/2021 05/26/2021
Payable Date Due Date
04/30/2021 05/26/2021
Payable Date
04/15/2021
04/15/2021
04/07/2021
05/03/2021
05/04/2021
05/06/2021
04/07/2021
Due Date
05/26/2021
05/26/2021
05/26/2021
05/26/2021
05/26/2021
05/26/2021
05/26/2021
APPKT06054 - 05-26-2021 CITY
Total Vendor Amount
150.00
Payment Date Payment Amount
05/26/2021 150.00
Discount Amount Payable Amount
0.00 150.00
Total Vendor Amount
20.00
Payment Date Payment Amount
05/26/2021 20.00
Discount Amount Payable Amount
0.00 20.00
Total Vendor Amount
70.10
Payment Date Payment Amount
05/26/2021 70.10
Discount Amount Payable Amount
0.00 70.10
Vendor Number Vendor Name Total Vendor Amount
R1.3847 PATTERSON CONSTRUCTION GROUP 5,000.00
Payment Type Payment Number Payment Date Payment Amount
Check 05/26/2021 5,000.00
Payable Number Description Payable Date Due Date Discount Amount Payable Amount
BP -806/3640 ROSE.MEAD BL.VI RELEASE BOND DEPOSIT/B9-806/3640 ROSEMEAD AVE 05/26/2021 05/26/2021 0.00 5,000.00
Vendor Number Vendor Name
Total Vendor Amount
910.67
Payment Date
Payment Amount
05/26/2021
910.67
Discount Amount
Payable Amount
0.00
415.39
0.00
115.29
0.00
6.04
0.00
55.09
0.00
229.12
0.00
61.30
0.00
28.44
Vendor Number Vendor Name Total Vendor Amount
R1.3847 PATTERSON CONSTRUCTION GROUP 5,000.00
Payment Type Payment Number Payment Date Payment Amount
Check 05/26/2021 5,000.00
Payable Number Description Payable Date Due Date Discount Amount Payable Amount
BP -806/3640 ROSE.MEAD BL.VI RELEASE BOND DEPOSIT/B9-806/3640 ROSEMEAD AVE 05/26/2021 05/26/2021 0.00 5,000.00
Vendor Number Vendor Name
Total Vendor Amount
1.120 PETTY CASH
453.71
Payment Type Payment Number
Payment Date
Payment Amount
Check
05/26/2021
453.71
Payable Number
Description
Payable Date
Due Date
Discount Amount
Payable Amount
7C I' 2(2() ARR.2()21/(, H•/A,
PETTY CASH/CH/DEPT SUPPLIES/LABELLING TAPE
05/26/2021
05/26/2021
0.00
24.08
OCT 2020 -APR 2021/CH/B
PETTY CASH/CH/DEPT SUPPLIES/UPRIGHT ROLE FILE
05/26/2021
05/26/2021
0.00
39.37
OCT 2020 -APR 2021/CH/C
PETTY CASH/CH/EXECUTIVE STAFF MEETING EXP/03-16-21
05/26/2021
05/26/2021
0.00
8.75
OCT 2020-AP12021 til l[D
PETTY CASH/CH/DEPT SUPPLIES/IPHONE CASE
05/26/2021
05/26/2021
0.00
19.54
OCT 2020•APR2021/CH/E
PETTY CASH/CH/DEPT SUPPLIES/LABELS
05/26/2021
05/26/2021
0.00
16.74
(Xe.'MZL. P[i 2(,)11/(:HIE
PETTY CASH/CH/DEPT SUPPLIES/BINDERS
05/26/2021
05/26/2021
0.00
49.43
OCT 2020.APR 2021/0I'G
PETTY CASH/CH/POSTAGE
05/26/2021
05/26/2021
0.00
82.30
OCT 2020 -APR 2021/CH/H
PETTY CASH/CH/TABLE CLOTH DRY CLEAN
05/26/2021
05/26/2021
0.00
30.00
OCT 2020 -APR 2021 C11[I.
BEAUTIFICATION/HOLIDAY DECORATION AWARDS
05/26/2021
05/26/2021
0.00
22.02
OCT 2020 APP, 20211CH[I
HOLIDAY SCAVENGER HUNT/DECORATIONS
05/26/2021
05/26/2021
0.00
23.10
HOLIDAY SCAVENGER HUNT/GIFT CARDS
05/26/2021
05/26/2021
0.00
50.00
OCT 2020;APR 2021 CI I/L
HAUNTED HOUSE/DECORATION
05/26/2021
05/26/2021
0.00
62.03
OCT 2.020 -APR 20:.1/CH/M
POSTAGE/NOTICE DETERMINATION/3133-3141 WILLARD A�
05/26/2021
05/26/2021
0.00
26.35
5/26/2021 10:03:01. AM
Page 5 of 9
Payment Register APPKT06054 - 05-26-2021 CITY
Vendor Number Vendor Name Total Vendor Amount
6046 RICOH USA, INC. 74.08
Payment Type Payment Number Payment Date Payment Amount
Check 05/26/2021 74.08
Payable Number Description Payable Date Due Date Discount Amount Payable Amount
5061992475 COPIER MACHINE/USAGE/GCC 05/09/2021 05/26/2021 0.00 74.08
Vendor Number Vendor Name
Total Vendor Amount
6073 RRM DESIGN GROUP, A CALIFORNIA CORP
23,013.75
Payment Type Payment Number
Payment Date
Payment Amount
Check
05/26/2021
8,259.50
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
RSMD 2021-2029 HOUSING ELEMENT UPDATE/MAR 2021
04/06/2021
05/26/2021
0.00
8,259.50
Check
05/26/2021
14,754.25
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
MO LQ1..Q421 RSMD 2021-2029 HOUSING ELEMENT UPDATE/APR 2021
05/19/2021
05/26/2021
0.00
14,754.25
Vendor Number Vendor Name
Total Vendor Amount
7586 SCOTT WATANABE
9,645.00
Payment Type Payment Number
Payment Date
Payment Amount
Check
05/26/2021
4,627.50
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
03/01-31./2021. CLASS INSTRUCTOR
05/10/2021
05/26/2021
0.00
4,627.50
Check
05/26/2021
5,017.50
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
04/01.-30/202.1 CLASS INSTRUCTOR
05/10/2021
05/26/2021
0.00
5,017.50
Vendor Number Vendor Name
Total Vendor Amount
6468 SKY BLUEPRINT & SUPPLIES INC.
169.78
Payment Type Payment Number
Payment Date
Payment Amount
Check
05/26/2021
169.78
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
098601 NAME PLATES/COUNCIL CHAMBER
05/17/2021
05/26/2021
0.00
169.78
Vendor Number Vendor Name
Total Vendor Amount
6773 TELEPACIFIC COMMUNICATION
10,417.27
Payment Type Payment Number
Payment Date
Payment Amount
Check
05/26/2021
10,417.27
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
14;1 4:'D _) UTILITY SERVICE/COMMUNICATION
05/16/2021
05/26/2021
0.00
10,417.27
Vendor Number Vendor Name
Total Vendor Amount
6914 THE SAUCE CREATIVE SERVICES CORP.
10,334.56
Payment Type Payment Number
Payment Date
Payment Amount
Check
05/26/2021
10,334.56
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
A= POSTAGE/BROCHURE WINTER & SPRING 2019-20
05/14/2021
05/26/2021
0.00
7,350.00
AZ%). PRINT SVC/BROCHURE WINTER & SPRING 2019-20
05/14/2021
05/26/2021
0.00
2,984.56
Vendor Number Vendor Name
Total Vendor Amount
29541. THE WORKSHOP
424.46
Payment Type Payment Number
Payment Date
Payment Amount
Check
05/26/2021
424.46
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
68322 DEPT SUPPLIES/BUDGET BOOK TABS
05/11/2021
05/26/2021
0.00
424.46
5/26/2021. 10:03:01. AM Page 6 of 9
Payment Register
APPKT06054
- 05-26-2021 CITY
Vendor Number
Vendor Name
72114
VISION SERVICE PLAN
Total Vendor Amount
Payment Type
Payment Number
1,283.82
Check
Payment Date
Payment Amount
05/26/2021
1,283.82
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
JUNE 2021/A
VISION PREMIUMS/JUNE 2021
05/19/2021
05/26/2021
0.00
478.21
JUNE 202.1/B
VISION PREMIUMS/JUNE 2021
05/19/2021
05/26/2021
0.00
486.93
JUNE 1021 C
VSION PREMIUMS/JUNE 2021
05/19/2021
05/26/2021
0.00
318.68
Vendor Number
Vendor Name
7367
VOLUNTEREERS IN DEFENSE OF ANIMALS INC
Total Vendor Amount
Payment Type
Payment Number
855.00
Payment Date
Payment Amount
Check
05/26/2021
855.00
Payable Number
Description
Payable Date
Due Date
Discount Amount
Payable Amount
APRIL. 2021
ANIMAIL CARE SVC/APR 2021
04/30/2021
05/26/2021
0.00
855.00
Vendor Number
Vendor Name
7571.
WEST COAST ARBORIST, INC.
Total Vendor Amount
Payment Type
Payment Number
12,mount
982.00
Payment Date
Payment Amount
Check
05/26/2021
12,982.00
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
J.71084
TREE MAINT/03/16-31/2021
03/31/2021
05/26/2021
0.00
12,982.00
Vendor Number
Vendor Name
1513
WHITTIER FERTILIZER
Total Vendor Amount
Payment Type
Payment Number
614.65
Check
Payment Date
Payment Amount
05/26/2021
614.65
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
369156
GROUNDS MAINT/GARVEY PARK SOCCER GRASS SEED
04/12/2021
05/26/2021
0.00
298.23
369640
GROUNDS MAINT/SOIL
04/19/2021
05/26/2021
0.00
52.92
(19:111.
GROUNDS MAINT/GRAVEL/GARVEY PARK
04/22/2021
05/26/2021
0.00
54.02
369784
GROUNDS MAINT/SOIL/GARVEY PARK
04/26/2021
05/26/2021
0.00
79.38
369906
GROUNDS MAINT/SOIL/GARVEY PARK
04/26/2021
05/26/2021
0.00
79.38
370207
GROUNDS MAINT/GRASS SEED/GARVEY PARK
04/29/2021
05/26/2021
0.00
50.72
Vendor Number
Vendor Name
R13846
YVETTE ACEVEDO
Total Vendor Amount
Payment Type
Payment Number
105.00
Check
Payment Date
Payment Amount
05/26/2021
105.00
Payable Number Description
Payable Date
Due Date
Discount Amount
Payable Amount
2002733.002
YOUTH SPORTS REFUND
05/10/2021
05/26/2021
0.00
105.00
5,26%102.1. 10:03:01. AM
Page 7 of 9
5/:>.612077. '10:03:0.1. AM page 8 of 9
APPKT06054 - 05-26-2021 CITY
Payment Register
Payment Summary
Payable
Payment
Bank Code
Type Count
Count
Discount
Payment
APCITY
Check 92
43
0.00
905,702.67
APCITY
EFT 12
9
0.00
91,847.19
Packet Totals: 104
52
0 00
997,549.86
5/:>.612077. '10:03:0.1. AM page 8 of 9
Payment Register
Fund Name Amount
901 City Treasury Fund -997,549.86
Packet Totals: -997,549.86
5,/2617011 10:03:0.1. AM
APPKT06054 - 05-26-2021 CITY
Cash Fund Summary
Page 9 of 9