Press Alt + R to read the document text or Alt + P to download or print.
This document contains no pages.
HomeMy WebLinkAboutFEDRAC PKT 06-27-2000 ' City CounCil ...?'
.. Finance/Economic Development/Regional Affairs Committee
Tuesday, June 27, 2000
5:30 p.m...
City Hall
Mt. Baker Conference Room
(formerly Administration Conference Room)
AGENDA
1. CALL TO ORDER
2. PUBLIC COMMENT
3. COMMISSION COMMENT
4. COMMITTEE BUSINESS
a. Approval of May 10, 2000 Meeting Summary
b. Legislative and Regional Affairs Update (Derek Matheson)
c. EMS Task Force Update (Jim Hamilton and Derek Matheson)
d. Electric Utility Status Update (Cary Roe)
e. AT&T Cable Rate Review (Mehdi Sadri)
f. Monthly Financial Report (Marie Mosley)
g. Vouchers (Marie Mosley)
Action
Information
Action
Information
Information
Action
Action
5. COMMITTEE REPORT
6. FUTURE AGENDA ITEMS
Ao
7. NEXT MEETING: July 25, 2000 2:00 p.m.
Committee Members:
Mary Gates, Chair
Jeanne Burbidge
Michael Hellickson
City Staff:
lwen Wang, Management Services Director
Sun So, Administrative Assistant
(253) 661-4080
. City of Federal Way.
City Council
Finance/Economic Development/Regional Affairs Committee .
Wednesday, May 10, 2000
2:00 p.m.
MINUTES
Committee Members in Attendance: Chair Mary Gates, Members Jeanne Burbidge and Michael Hellickson.
City Council Members in Attendance: Linda Kochmar and Dean McColgan.
Lodging Tax Advisory Committee Members in Attendance: Scott Brown, David Degroot and Thomas Inman
Staff Members in Attendance: Iwen Wang, Management Services Director; Brian Pearson, Information Systems
Telecommunications Supervisor; David Moseley, City Manager; Derek Matheson, Assistant to the City Manager;
Jennifer Schroder, Parks, Recreation and Cultural Services Director; Mary Faber, Recreation Manager; and
Commander Dan Coulombe, Public Safety.
Others in Attendance: Barbara Clements, The News Tribune; Debra Coates, Economic Development Executive;
Geoff Graham, Hunter Interests Inc.; John Larson, Business Examiner; Tammy Smith, Federal Way Chamber of
Commerce; and Ron Weinstein, Ice Arena/Recreation Facility.
I. CALL TO ORDER
Chair Mary Gates called the meeting to order at 2:03 p.m.
2. PUBLIC COMMENT
None.
3. COMMISSION COMMENT
None.
COMMITTEE BUSINESS
a) Approval of April 25~ 2000 meeting minutes
Motion to approve by Michael Hellickson, seconded by Jeanne Burbidge. Motion carried.
b) Legislative and Regional Affairs Update
Derek Matheson informed the Committee that a written copy of the Legislative and Regional
Affairs Update will be forwarded to them.
c) Purchase of Laptops for Police Vehicles
Iwen Wang presented information collected from a survey of King County Police Departments
regarding police vehicle laptops as requested from the previous Committee meeting. She stated
from the survey of five King County police departments only the City of Kirkland Police
Depat'tment uses semi-ruggedized laptops for their police vehicles. Staff discovered that there
'4.
Ci Hall
Mt. Baker Conference Room
was limited information on the history of laptop usage in police vehicles pertaining to durability,
repair and maintenance costs, and longevity of laptops. Staff reviewed the RFQ (Request for
Quotes) responses for police laptops with the Committee. Also, two laptops (ruggedized and
semi-ruggedized) were presented to the Committee for viewing. Some discussion ensued
regarding cost, types, and certain options of laptops. Commander Dan Coulombe provided his
own experience with ruggedized laptops. He stated that his previous police department in
Colorado in which Chief Wood also came from used ruggedized laptops and conducted a
thorough study on them. He recommends using fully ruggedized laptops for their durability and
overall function. Committee Member Hellickson requested a copy of that study for his own
information.
Motion made by Jeanne Burbidge to forward the Bid Award to Purchase 10 laptop
computers and two CD-ROM drives from the most responsive/responsible bidder(s),
authorize the use of replacement reserves to fund the purchase of this equipment, and
consider testing semi-ruggedized laPtops as opportunities arise to the June 6th Council
meeting for approval, seconded by Chair Gates. Motion carried.
Public Facility and Tourism Study
Geoff Graham from Hunter Interests Inc. presented to the Committee Members of FEDRAC
(Finance, Economic Development, Regional Affairs Committee) and LTAC (Lodging Tax
Advisory Committee) the draft report of Federal Way Public Assembly Facility/Situation Analysis
and Development Alternatives. He explained that the report is a summary of comments from
participants from the open house (April 19, 2000) along with information provided from the City
and Federal Way Chamber. Mr. Graham requested input from the Committee Members in the
direction to take on the study and identify one or two types of facilities to conduct a full analysis.
He presented a slide show of facility projects from other cities comparable to the City in
population, location, and other similar qualities to show the dramatic changes from past to the
present. Other aspect to consider was the 50% of the cost of the projects came from private
funding. The comments from the Committee Members and guests were positive. They mentioned
attractions of Federal Way and the lack of a town center or a focal point. Discussion ensued about
enhancing Dumas Bay Centre, developing a transit system, comparing other neighboring cities
facilities for competition and etc. The consensus from the majority is a multi-purpose facility for
sporting events, trade shows, and ceremonies (graduations) and or a performing arts center.
5. COMMITTEE REPORT
None.
NEXT SCHEDULED MEETING
June 27, 2000 at 5:30 p.m. in the Mt. Baker Conference Room.
ADJOURN
Chair Mary Gates adjourned the meeting at 3:24 p.m.
Recorded by Sun So
FEDERAL WAY CITY COUNCIL
FINANCE / ECONOMIC DEVELOPMENT / REGIONAL AFFAIRS COMMITTEE
Date:
Via:
From:
Subject:
June 27, 2000
David Mc~4~ Manager
Jim Hamilton, Fire Department Administrator
Derek Matheson, Assistant to the City Manage~.f
EMS Task Force Update
Backllrom/d
On September 27, 1999, the King County Council passed Motion #10779 forming the EMS 2002
Task Force. The motion adopted the Final Report of the EMS Financial Planning Task Force
and created a new EMS 2002 Task Force charged with the goal of developing interjurisdictional
agreement on an updated EMS strategic plan and financing package for the next funding period
starting in 2002. In addition, the motion directed the task force to:
· Review progress in implementing the current strategic plan initiatives and original task force
recommendations and report findings to the county and cities;
· Provide oversight and. direction on development of the strategic plan update with support
from the county EMS division, the EMS Advisory Committee and the EMS Financial Staff
Team; and
· Recommend an updated EMS strategic plan and financing proposal to the county and cities
with populations greater than 50,000 no later than March 31, 2001.
Task Force Membership
The EMS 2002 Task Force's membership is as follows:
· King County - Ron Sims, King County Executive
· King County Council - Maggie Fimia, Council member, and Louise Miller, Council member
· City of Bellevue - Ron Smith, Council member
· City of Federal Way - Jim Hamilton, Administrator, Federal Way Fire Department
· City of Kent - Connie Epperly, Council member
· City of Seattle - Jim Compton, Council member
· City of Shoreline - B. Smith, Executive Director, KCFPD g4
· King County Fire Districts - Dave Lawson, Commissioner, North Highline Fire District, and
Fred Maxwell, Commissioner, Maple Valley Fire District
Two subcommittees support the task force. The subcommittees are providing data on ALS/BLS
issues and regional services (i.e., overhead, training, etc.) issues. KCEMS and local fire
department personnel serve on the subcommittees.
The Suburban Cities Association has elected not to participate in the EMS 2002 Task Force.
Key Issues
The task force has met twice and discussed and/or reviewed the following issues:
Source of Funding. The previous Finance Task Force was not able to come to consensus
regarding the county's role in funding part of the EMS system from Current Expense ("CX")
funds. With the subsequent passage ofi-695, the 2002 Task Force felt that CX funding was
no longer a realistic source and it was subsequently dropped. Tobacco funds were also not
seen as realistic. This basically leaves the current property tax levy as the primary funding
source. Patient transport fees are still being evaluated as a method to reduce the levy amount.
Growth Projections. KCEMS gave a presentation on projected growth in Advanced Life
Support call volumes. These projections are for King County only and do not include
Seattle.
High estimate I Medium Estimate I Low Estimate
1999 Actual 28,992
2007 - No 36,560 (which would 39,280 (which would 41,980 (which would
Strategic require 4.8 additional medic require 3.6 additional medic require 2.4 additional medic
Initiatives units at ~$1 million per units) units)
year for each unit)
2007 - Using 39,680 (which would 36,980 (which would 34,260 (which would
Strategic require 3.8 additional medic require 2.6 additional medic require 1.4 additional medic
Initiatives units at-S1 million per units) units)
year for each uni0
Assessed Valuation. Due to increases in assessed valuation in King County, the levy rate has
dropped from 29 cents to 27 cents.
BLS Cost Accounting. Since there are 34 different agencies that range from small volunteer
fire departments to Seattle Fire, establishing a system that would be consistent and provide
accurate numbers was seen as a significant task (and costly with estimates in the $100,000 to
150,000 range). The value of such a process was questioned since BLS is not reimbursed
based upon costs. The group decided not to pursue this 'project.
Levy Term. There has been brief discussion on the term of the levy (six years, ten years, or a
permanent levy). It was suggested that this be discussed with local electeds (particularly the
City Councils of the five cities that have authority to approve or reject the levy question)
prior to the next task force meeting.
Executive Sims has even suggested a poll of the voters to see if they would prefer a
permanent levy. Staff are hesitant on a poll as it can produce very misleading information
depending upon how the questions are asked.
The city's fallback position on the permanent levy could be that we would require an
agreement with King County that we can opt to be funded similar to Seattle at our discretion.
Advantages and disadvantages of each term are listed below:
Advantages Disadvantages
6-Year Levy - Familiarity - successful for many Status quo approach
years. Must return to the polls every six
- Some level of accuracy in predicting years
costs over the life of the levy.
10-Year Levy - Less frequent need to return to polls Reduces city checks and balances
- Funding stability Time frame too long to develop
accurate cost projections over life of
levy
Could result in excessive taxes or
inadequate taxes to fund the system
Permanent - Less frequent need to return to polls Removes city checks and balances
Levy - Funding stability Leaves all decisions to future King
County Councils
Would probably require future votes
for a lid lift anyway
As discussed in the above table, six years is stretching the ability to predict costs, making ten
years even more unrealistic. Even further, a permanent levy fundamentally eliminates local
influence over future decisions regarding the EMS system. Therefore, staff's
recommendation is to support a six-year levy term with a fallback position of a permanent
levy with the agreement.
Transport Fees. Transport fees would reduce the levy by 5% - 10%. It was suggested that
this be discussed with local elected officials (particularly the City Councils of the five cities)
prior to the next meeting.
The financial data are not known yet, but this discussion is based more on philosophical
grounds than on fiscal grounds. There will likely be strong opposition from Seattle and
others based upon a view that transport fees will negatively impact the system. There is also
a fear that low-income/uninsured people would be hesitant to call 911.
Patient transport fees are charged by public agencies many places throughout the country.
While there would be some confusion at first here in King County, it would appear that the
fees have a successful track record for the most part. There certainly remains an issue of
whether the voters will endorse the combination of an EMS levy and a fee for service.
City Council Guidance
Patient Transport Fees. Does the City'Council wish to provide guidance to staff on a
negotiating position with respect to the merits of charging patient transport fees in addition to
a voter-approved levy?
· Levy Term. Does the City Council wish to provide guidance to staffon a negotiating
position with respect to a six-year, ten-year or permanent levy?
APPROVAL OF COMMITTEE REPORT: , .'~. ~,~'.
Committee Chair
Comntitt~'~"M'embe~r' , ..... ' Committee Member
City of Federal Way
· Memorandum
Date:
To:
From:
June 21, 2000
Finance, Economic Development & Regional Affairs
Committee
Mehdi Sadri, Information Systems Manager ~-~'~"
Lon Hurd, 3H Cable Communications Consultants
Cable Rate Changes under Review
On April 1, 2000 TCI submitted their AT&T forms to the City in regards to their annual filing of
their justification for Rate Increase.
Staff with the help of 3-H cable consultants group has reviewed the filling for adjustments to
basic services, equipment and installation prices. In conclusion the calculated maximum
permitted rate, for basic cable services on form 1240 appears accurate and the equipment and
installation charges calculated on form 1205, equal those proposed for a sampling of other local
franchises.
More specifically AT&T has selected a rate lower than the calculated permitted amount
($13.00/Month). For those residents living north of 288th, the rates for basic cable service are
scheduled to increase by 30 cents per month, taking the rate from $12.20 to $12.50 and for those
residents living south of 288th, AT&T has selected to increase their rate by 22 cents per month
taking the rate from $12.28 to $12.50.
AT&T has stated that by raising rates as selected they will have consistent rates and services
throughout the entire region with some exceptions where the rebuild is not completed or
historically the rate has been lower.
Local franchising authorities have ninety (90) days in which to review and either accept or deny
these rates, which would then trigger an appeal to the FCC for a final ruling.
Attachments:
1. AT&T Federal Way/Tacoma rebuild Rate Analysis
2. AT&T Federal Way/Seattle rebuild Rate Analysis
fL- I
CITY'
OF
FEDERAL WAY
200.0
3~H'.Cable' Communications consUltant~S
CITY OF FEDERAL WAY [H2352C] 2000 CABLE TV RATE FILING REVIEW
Background
On April 1, 2000, AT&T submitted its required Federal Communications Commission (FCC) rate
filing forms to the City of Federal Way. Typically, the annual forms are due to franchises On
March 1 with rate adjustments taking effect June 1. However, AT&T has chosen to delay its
filing to April; therefore, rate adjustments proposed will not effect customer bills until July 1,
2000. Please note that this delay permanently changes the schedule for future rate filings;
AT&T should impose these new rates for twelve months until the next filing in April 2001 justifies
future rate adjustments.
As of April 1, regulatory cable television franchises, have 90 days to review, comment on, and, if
necessary, appeal the rate adjustments proposed by AT&T in the FCC forms. The annual filing
of regulatory forms describes the cable television operator's calculation, and likewise
justification, of any rate and fee changes proposed for the upcoming year scheduled as July 1,
2000 through June 30, 2001. AT&T reports its rate and fee changes in the two official FCC
forms described below:
FORM 1240 This form calculates the maximum permitted rate for Tier 1 services,
commonly known as "Basic Cable." The maximum permitted rate is based on the prior
year's base rate plus adjustments. for inflation, retroactive charges for operator
deficiencies in expected revenues, retroactive credits for over-collection of expected
revenue during the pdor year, and changes in costs related to programming fees and
channel additions. It is important to note that the maximum permitted rate could either
increase as a result of this calculation or be adjusted downward if the prior year's rate is
too high to meet the expected costs of the new year. Also notable is the cable
operator's prerogative to select a rate lower than the maximum allowed under this
methodology.
E!
FORM 1205 This form exhibits the calculation of equipment and installation charges.
which are based on a sampling of AT&T's company-wide costs. These costs are'
associated with customer equipment maintenance; installation costs, and the related
labor costs supporting capital activities.
,.~'_ ..~ PAGE I
CITY OF FEDERAL WAY [H2352C] 2000 CABLE TV RATE FILING REVIEW
Based on this background information, the scope of this year's review of AT&T's rate filing
includes the general tasks 'outlined below.
Verify the accuracy of calculations applied by AT&T in Form 1240.
Reference the source of key statistics used in the calculation of the maximum permitted
rate proposed.
Identify the cost components that drive the proposed rate adjustment. Please note that
this review does not judge the basis of the costs used to ddve the rate, rather, the
consistency of how those costs are applied' in the calculation.
The topics of both Forms 1205 and 1240 will be evaluated individually in the sections to follow.
The Maximum Permitted Basic Cable Rate
Form 1240 illustrates the calculation of the maximum permitted rate for Basic Cable television,
or Tier 1, service. (It is important to recognize that, while rates for expanded cable service are
noted in AT&T's form, a similar calculation process is not included in the rate filing as those
discretionary, premium service levels are not regulated in the same manner as Tier 1 .)
The maximum permitted rate is based on the following general cost components:
THE BASE RATE The base rate is the rate in effect from the pdor year calculated
using the same methodology described in this section.
INFLATION ADJUSTMENTS This adjustment, typically an increase, accounts for the
impacts of simple cost inflation expected for the projected year.
TRUE-UP ADJUSTMENTS This adjustment evaluates the difference between actual
revenue generated by the prior year's rate and th~ actual costs reported during that
pedod. That comparison results in either an addition to the new rate to recover revenue
deficiencies or a credit toward it to reimburse customers for revenue over-collection..
The true-up adjustment recognizes that rates are based on projected costs and that the
PAGE 2
CITY OF FEDERAL WAY [H2352C] 2000 CABLE TV RATE FILING REVIEW
cable operator must still recover its actual full costs of providing service; however, it
ensures that cable ratepayers do not pay rates based on potentially inflated cost
projections.
EXTERNAL COSTS This component accounts for the changes in programming costs,
copyright fees, and regulatory fees, incurred by the cable operator as well as the
operator's allowable markup.
FINDINGS Upon review of AT&T's Form 1240 submittal.to the City of Federal Way, it appears
the calculation of the maximum permitted rate proposed for Tier 1 service is justifiable. Unless
challenged by the City through its regulatory authority, the operator-selected rate of $12.54 for
Basic Cable will become effective July' 1, 2000. Exhibit A illustrates the calcUlation of the
proposed rate and compares each cost component to the prior year's rate calculation.
EXHIBIT A. THE MAXIMUM PERMI'I-i'ED BASIC CABLE RATE
Monthly Basic Cable Cost Component Prior Rate Proposed Rate
(per subscriber) (1999 - 2000) (2000-2001)
Base Rate $11.6236 $11.6236
Inflation for True-Up [included in base]: $0.1450
Inflation for Projection Period $0.1172 $0.1237
Current Markup Method (Channel Additions) $0.1000 $0.1300
Channel Movement (Basic to Expanded) $0.0000 $0.0000
True-Up Adjustment ($0.0377) $0.1210
External Costs $0.9251 $0.8538
A. Maximum Permitted Base Rate $12.73 $13.00
plus: Form 1235 Network Upgrade Capital Costs $0.00 $0.00
B. Total Maximum Rate Allowed $12.73 $13.00
C. Operator-Selected Basic Cable Rate $12.50 I $12.54
I
As calculated on Form 1240, the maximum permitted Basic Cable rate for the City of Federal
Way increases 2.1% for the 2000-2001 service Year to a rate of $13.00. As in years past, the
cable operator has elected not to implement the maximum rate allowed; rather, the Basic Cable
rate of $12.54 proposed is an effective increase of 0.3% over the current rate paid by
subscribers.
PAGE 3
CITY OF FEDERAL WAY [H2352C] 2000 CABLE TV RATE FILING REVIEW
This rate increase is a result of the cost elements described in the following outline:
INFLATION The base rate is adjusted for cost inflation both in the true-up period (i.e.,
last year) and in the projection period (i.e., the upcoming year), AT&T applied an
inflation factor of 1.0124% during the true-up period, while the FCC's current allowable
inflation factor of 1.0104% was used to project new cost changes. These inflation
factors appear consistent with other cost indices used nationwide.
The inflation adjustment for the true-up period, $0.14, plus the $0.12 adjustment for the
projection period add a total of $0.26 to the' base rate.
TRUE-UP As described, this adjustment is an annual evaluation, of the cost recovery
generated by the prior year's rate. The calculation accounts for any revenue deficiency
or over-collection when total rate revenue is compared to actual costs over the period. If
revenue was insufficient to cover Basic Cable costs, subscribers will pay through their
new rates to compensate for that deficiency. If revenue received surpassed total costs
incurred, subscribers receive a credit in their new rate as compensation for an effective
over-charge during the prior year.
AT&T's evaluation of costs and revenue found a rate insufficiency totaling $25,835,
including allowable interest compensation. When allocated over the estimated average
number of subscribers, the true-up adjustment adds $0.12 to the base rate. This
adjustment significantly impacts the rate calculation for Federal Way in this filing due to
the same adjustment actually being a small credit to subscribers in the pdor year.
EXTERNAL COSTS This cost component includes expense items such as
programming costs, copyright fees, regulatory commission fees, and the operator's
allowed markup which are passed through to the subscriber. (It is important to
recognize that external costs do not include any Utility taxes also passed through to
ratepayers.) These costs are expected to' decrease $0.07 over the prior year's costs.
.,~--'"~ ~:~ PAGE 4
CITY OF FEDERAL WAY [H2352C] 2000 CABLE TV RATE FILING REVIEW
Equipment and' Installation Charges
Equipment and installation charges are calculated using company-wide costs on Form 1205.
As employed by AT&T in previous filings and allowed under Section 76.924 of FCC rules, the
cable operator is permitted to utilize an independent sampling of franchise cost structures as the
basis for company-wide equipment and installation charges. As a result of this estimation of
aggregate costs, all AT&T subscribers pay equal charges for equipment and installation
activities; there are no franchise-specific fees.
This method of averaging company-wide costs provides the cable operator with the ability to
phase in technological changes without, causing spikes in subscriber fees. It is. important to
understand that as with any fee based on statistical sampling and cost aggregation, franchises
with lower-than-average costs effectively subsidize franchises with higher-than-average costs.
The method implicitly creates local inequities in that franchise-specific costs may not directly
relate to the charges imposed in that area; however, the practice is allowed by the FCC in its
oversight of this process. To challenge the proposed equipment and installation charges based
solely on this practice, a franchise must make a formal appeal directly to the FCC, not the cable
operator.
Because of the cost aggregation method of devising charges, it is difficult to sufficiently audit the
underlying calculation of the proposed fees on Form 1205. Effective verification of the cost
basis may be more expensive to the franchise than it is beneficial. However, to provide some
review of the charges proposed for subscribers in the City of Federal Way, those fees have
been cross-checked with fees proposed in the rate filings of several other local franchises to
ensure that Federal Way's charges are indeed equal to those proposed elsewhere.
The new equipment and installation charges are displayed in Exhibit B. It has been historical
practice for AT&T to not charge the maximum permitted fees for these types of activities for
promotional purposes. The operator-selected charges are generally based on marketing
decisions and other factors; rarely dO they match the maximum fee allowable under the cost-
based calculation.
~ _ ~ PAGE 5
CITY OF FEDERAL WAY [H2352C] 2000 CABLE TV RATE FILING REVIEW
EXHIBIT B. EQUIPMENT AND INSTALLATION CHARGE SCHEDULE
Type of Service Maximum Operator-
Permitted Rates Selected Rates
Hourly Service Charge $28.14 $27.00
Install - Unwired Home (Aerial within 125 feet) $44.99 $40.95
Install - Prewired Home (Aerial within 125 feet) $25.62 $22.50
Install Additional Outlet - Connect Initial $15.17 $13.95
Install Additional Outlet - Connect Separate $22.85 $18.95
Other Install - Relocate Outlet $20.15 $18.95
Other Install - Upgrade (non~addressable) $26.23 $14.95
Other Install- Downgrade (non-addressable) $10.55 $8.95
Other Install Upgrade/Downgrade (addressable) $1.99 $1.99
Connect VCR - Connect Initial $6.84 $5.95
Connect VCR - Connect Separate $13.56 $12.95
Remote Control (All Units) $0.40 $0.35
Converter Box (Basic Service Only) $3.80 $1.80
Converter Box (All Others) $5.68 $3.90
Conclusions
Two conclusions can be drawn from this evaluation of the 2000 cable television rate filings.
First, the calculation of the maximum permitted rate for Basic Cable services on Form 1240
appears accurate and conforming with the required methodology. Second, the operator-
selected equipment and installation charges, calculated on Form 1205, equal those proposed
for a sampling of other local franchises.
BASIC CABLE RATE When the City evaluates changes in the'prior rate and the proposed
rate, it may be difficult to place both on a level field simply because the operator has not
implemented its maximum permitted rate in years past. Operator-selected rates do not follow
guidelines for implementation; therefore, desPite effectivelY' being a cost break for subscribers,
annual rate adjustments may actually, follow an e~atic pattern that cobld cause the perception of
possible discrepancies in the calculation. For example, last year the operator enacted a rate of
$12.50, $0.23 lower than the maximum allowed. This year, the operator is proposing a rate that
is $0.46 lower than the maximum. When comparing to the prior year's rate, it is important to
~ -' ~ PAGE 6
CITY OF FEDERAL WAY [H2352C] 2000 CABLE TV RATE F'~.JNG REVIEW
evaluate rates at the same point in the calculation; in other words, in Exhibit A, compare rates
on the same line (e.g., A to A rather than A to C).
Despite these interpretive obstacles in evaluating the rate proposal, technically, it appears the
calculation is sound and justifiable based on AT&T's documented and projected ccsts. Unless
challenged by the City, AT&T will impose a new rate of $12.54 beginning July 1, 2000.. This rate
represents a 0.3% increase over the current monthly subscriber rate of $12.50. The increase is
primarily driven by inflationary adjustments and a small increase in external costs.
EQUIPMENT AND INSTALLATION CHARGES As stated, the proposed eqL~pment anc
installation charges fulfill the expectation of a 'cost aggregation approach, that is,'they are
consistent with those filed to other local franchises. As in years past, AT&T has ge_nerally nO~
implemented the maximum fee allowed; rather, rates have been selected that adhere more tc
promotional and marketing objectives established by the company yet still remain w~in the cos;
parameters defined by this process.
,,~ - ~' PAGE 7
AT&T
Northwest Division
Via Federal Express
AT&T Broacband & Internet Servi
22025 3~~ -' ,'e. SE
t3otheli. W'-
April 1, 2000
Ken Nyberg
City Manager
33530 1 Way S
Federal Way, WA 98003-6210
RE: WA0554
On behalf of your local AT&T Broadband-affiliated operator, enclosed are FCC
Forms 1240 and 1205. These forms represent AT&T Broadband's annual filing for
adjustments to basic service, equipment and installation prices. Specific
assumptions and details regarding the filing are in the enclosed Documentatic~
Memos.
The selected basic service price to be implemented is in Attachment 2 of the Form
1240 entitled "Proposed Rate Structure".
Equipment and installation prices can be found in a separate attachment entitL~l
"2000 Installation & Equipment Rates". As in the past several years, we
implement equipment and installation prices that are lower than the maximum
permitted rates calculated on FCC Form 1205.
AT&T Broadband has chosen April 1, 2000 as its filing date and will be implementir:g
the attached service, equipment and installation price adjustments approximately ~
days after this filing. Customer bills will reflect these changes for the service period
commencing on July 1, 2000.
Please call me at, (425) 398-6223 or your local AT&T Broadband-affiliated cab~
system manager, Tony Speller at (206) 694-7010 if you have questions about th.=
filing.
Sincerely,
Marie Fulghum
Director of Regulatory Affairs
C: Tony Speller
Enc. H2352C FCC Form 1240, FCC Form 1205
~(~ Recycled Paper
Attachment 2
FCC FORM 1240 - 2000
Proposed Rate Structure
Rates as of '//1/2000
Helidend: H2352C
Headend Name: TACOMA IR] [FEDERAL WAY
Service Ra,es I Basic } iz'Oas [ Tier3
Operator Selected Rate $ 12.54 $ 18.00 $ -
Less FCC Regulatory Fee 0.04 -
Net Service Rate $ 12:50 $ 18.00 $ -
Equipment Rates are shown on the 2000 Installation and
Equipment Rates sheet in the Operator Selected Rate
Column.
NOTE: Rates are exclusive of applicable franchise fees.
Attachment I
FCC FORM 1240 - 2000
Summary of Maximum Permitted Rate
Headend: H2352C
Headend Name: TACOMA IR] [FEDERAL WAY]
A. Maximum Permitted Rate From Form 1240, Line 19.
B. Network Upgrade Add-on, Form 1235, Part 1II, Line 4
C. Adjusted Maximum Permitted Rate
Basic
13.00
13.00
CITY
OF
~.FEDERAL WAY
2000:~
.~TE ANALYSIS,.
· (~ITY OF FEDERAL WAY IH1751T]. 2000 CABLE 'rv RATE FILING REVIEW
Background
On April 1, 2000, AT&T submitted its required Federal Communications Commission (FCC) rate
filing forms to the City of Federal Way. Typically, the annual forms are due to franchises on
March 1 with rate adjustments taking effect June 1. However, AT&T has chosen to delay its filing
to Apdl; therefore, rate adjustments proposed will not effect customer bills until July 1, 2000.
Please note that this delay permanently changes the schedule for future rate filings; AT&T should
impose these new rates for twelve months until the next filing in Apdl 2001 justifies future rate
adjustments.
As of April 1, regulatory cable television franchises have 90 days to review, comment on, and, if
· necessary, appeal the rate adjustments proposed by AT&T in the FCC forms. The annual filing
of regulatory forms describes the cable television operator's calculation, and likewise justification,
of any rate and fee changes proposed for the upcoming year scheduled as July 1, 2000 through
June 30, 2001. AT&T reports its rate and fee changes in the two official FCC forms described
below:
FORM 1240 This form calculates the maximum permitted rate for Tier 1 services,
commonly known as "Basic Cable." The maximum permitted rate is based on the prior
year's base rate plus adjustments for inflation, retroactive charges for operator
deficiencies in expected revenues, retroactive credits for over-collection of expected
revenue during the pdor year, and changes in costs related to programming fees and
channel additions. It is important to note that the maximum permitted rate could either
increase as a result of this calculation or be adjusted downward if the pdor year's rate is
too high to meet the expected costs of the new year. Also notable is the cable
operator's prerogative to select a rate lower than the maximum allowed under this
methodology.
FORM 1205 This form exhibits the calculation of equipment and installation charges
which are based on a sampling of AT&'r's company-wide costs. These costs are
associated with customer equipment maintenance, installation costs, and the related labor
costs supporting capital activities.
CITY OF FEDERAL WAY I'H1751T1 2000 CABLE TV RATE FILING REVII_~A~
Based on this background information, the scope of this year's review of AT&T's rate filing
includes the general tasks outlined below.
[3 Vedfy the accuracy of calculations applied by AT&T in Form 1240.
[3 Reference the source of key statistics used in the calculation of the maximum permitted
rate proposed.
Identify the cost components that drive the proposed rate adjustment. Please note that
this review does not judge the basis of the costs used to drive the rate, rather, the
consistency of how those costs are applied in the calculation.
The topics of both Forms 1205 and 1240 will be evaluated individually in the sections to follow.
The Maximum Permitted Basic Cable Rate
Form 1240 illustrates the calculation of the maximum permitted rate for Basic Cable television, or
Tier 1, service. (It is important.to recognize that, while rates for expanded cable service are noted
in AT&T's form, a similar calculation process is not included in the rate filing as those discretionary,
premium service levels are not regulated in the same manner as Tier 1.)
The maximum permitted rate is based on the following general cost components:
[3 THE BASE RATE The base rate is the rate in effect from the prior year calculated
using the same methodology described in this section.
INFLATION ADJUSTMENTS This adjustment, typically an increase, accounts for the
impacts of simple cost inflation expected for the projected year.
TRUE-UP ADJUSTMENTS This adjustment evaluates the difference between actual
revenue generated by the prior yea['s rate and the actual costs reported during that
period. That comparison results in either an addition to the new rate to recover revenue
deficiencies or a credit toward Jt to reimburse customers for revenue over-collection. The
true-up adjustment recognizes that rates'are based on projected costs and that the cable
PAGE 2
CITY OF FEDERAL WAY [H1751T] 2000 CABLE TV RATE FILING REVIEW
operator must still recover its actual full costs of providing service; however, it ensures
that cable ratepayers do not pay rates based on potentially inflated cost projections.
E7 EXTERNAL COSTS This component accounts for the changes in programming costs,
copyright fees, and regulatory fees, incurred by the cable operator as well as the
operator's allowable markup..
FINDINGS Upon review of AT&T's Form 1240 submittal to the City of Federal Way, it
appears the calculation of the maximum permitted rate proposed for Tier I service is justifiable.
Unless challenged by the City through its regulatory authority, the operator-selected rate of
'$12.54 for Basic Cable will become effective July 1, 2000. Exhibit A illustrates the calculation of
the proposed rate and compares each .cost component to the pdor year's rate calculation. It
should be noted that this filing represents the first time that all subs to AT&T will be charged the
same rate for Basic Service.
EXHIBIT A. THE MAXIMUM PERMI'i-FED BASIC CABLE RATE
Monthly Basic Cable Cost Component Prior Rate Proposed Rate
(per subscriber) (1999 - 2000) (2000 - 2001 )
Base Rate $11.2582 $11.2582
Inflation for True-Up [included in base] $0.1405
Inflation for Projection Pedod $0.1144 $0.1205
Current Markup Method (Channel Additions) $0.1800 $0.1900
Channel Movement (Basic to Expanded) $0.0000 $0.0000
True-Up Adjustment ($0.0183) $0.1054
External Costs $0.7583 $0.8592
A. Maximum Permitted Base Rate $12.29 $12.67.
I plus: Form 1235 Network Upgrade Capital Costs $0.00 $1.16
B. Total Maximum Rate Allowed $12.29 $13.83
C. Operator-Selected Basic Cable Rate $12.24 $12.54
As calculated on Form 1240, the maximum permitted Basic Cable rate for the City of Federal Way
increases 3.1% for the 2000-2001 service year to a rate of $12.67. As in years past, the cable
operator has elected not to implement the maximum rate allowed; rather, the Basic Cable rate of
$12.54 proposed is an effective increase of 2.5% over the current rate paid by subscribers.
o~--/~ PAGE3
CITY OF FEDERAL WAY [H1751T] 2000 CABLE TV RATE FILING REVIEW
This rate increase is a result of the cost elements described in the following outline:
INFLATION The base rate is adjusted for cost inflation both in the true-up pedod (i.e.,
last year) and in the projection period (i.e., the upcoming year). AT&T applied an
inflation factor of 1.0124% during the true-up period, while the FCC's current allowable
inflation factor of 1.0104% was used to project new cost changes. These inflation factors
appear consistent with other cost indices used nationwide.
The inflation adjustment for the true-up period, $0.14, plus the $0.12 adjustment for the projection
period add a total of $0.26 to the base rate.
TRUE-UP As described, this adjustment is an annual evaluation of the cost recovery
generated by the prior year's rate. The calculation accounts for any revenue deficiency
or over-collection when total rate revenue is compared to actual costs over the period. If
revenue was insufficient to cover Basic Cable costs, subscribers will pay through their
new rates to compensate for that deficiency. If revenue received surpassed total costs
incurred, subscribers receive a credit in their new rate as compensation for an effective
over-charge during the prior year.
AT&T's evaluation of costs and revenue found a rate insufficiency totaling $1,753.66,
including allowable interest compensation. When allocated over the estimated average
number of subscribers, the true-up adjustment adds $0.10 to the base rate. This
adjustment significantly impacts the rate calculation for Federal Way in this filing due to
the same adjustment actually being a small credit to subscribers in the pdor year.
EXTERNAL COSTS This cost component includes expense items such as
programming costs, copyright fees, regulatory commission fees, and the operator's
allowed markup which are passed through to the subscriber. (It is important to recognize
that external costs do not include any utility taxes also passed through to ratepayers.)
These costs are expected to increase $0.10 over the pdor year's costs.
CITY OF FEDERAL WAY I'H1751TI
2000 CABLE TV RATE FILING REVIEW
Equipment and Installation Charges
Equipment and installation charges are calculated using company-wide costs on Form 1205. As
employed by AT&T in previous filings and allowed under Section 76.924 of FCC rules, the cable
operator is permitted to utilize an independent sampling of franchise cost structures as the basis
for company-wide equipment and installation charges. As a result of this estimation of aggregate
costs, all AT&T subscribers pay equal charges for equipment and installation activities; there are
no franchise-specific fees.
This method of averaging company-wide costs provides the cable operator with the ability to
phase in technological changes without causing spikes in subscriber fees. it is important to
understand that as with any fee based on statistical sampling and cost aggregation, franchises
with lower-than-average costs effectively subsidize franchises with higher-than-average costs.
The method implicitly creates local inequities in that franchise-specific costs may not directly relate
to the charges imposed in that area; however, the practice is allowed by the FCC in its oversight
of this process. To challenge the proposed equipment and installation charges based solely on
this practice, a franchise must make a formal appeal directly to the FCC, not the cable operator.
Because of the cost aggregation method of devising charges, it is difficult to sufficiently audit the
underlying calculation of the proposed fees on Form 1205. Effective verification of the cost basis
may. be more expensive to the franchise than it is beneficial. However, to provide some review
of the charges proposed for subscribers in the City of Federal Way, those fees have been
cross-checked with fees proposed in the rate filings of several other local franchises to ensure
that Federal Way's charges are indeed equal to those proposed elsewhere.
The new equipment and installation charges are displayed in Exhibit B. It has been historical
practice for AT&T to not charge the ma,,dmum permitted fees for these types of activities for
promotional purposes. The operator-selected charges are generally based on marketing
decisions and other factors; rarely do they match the maximum fee allowable under the cost-
based calculation.
PAGE 5
CITY OF FEDERAL WAY I'H1751'1-]_ 2000 CABLE TV RATE FLUNG REVIEW
EXHIBIT B. EQUIPMENT AND INSTALLATION CHARGE SCHEDULE
Type of Service Maximum Operator-
Permitted Rates Selected Rates
Hourly Service Charge $28.14 $27.00
Install- Unwired Home (Aedal within 125 feet) $44.99 $40.95
Install - Prewired Home (Aedal within 125 feet) $25.62 $2_2.50
Install Additional Outlet - Connect Initial $15.17 $13.95
Install Additional Outlet - Connect Seperate $22.85 $18.95
Other Install - Relocate Outlet $20.15 $18.95
Other Install- Upgrade (non-addressable) $26.23 $14.95
Other Install - Downgrade (non-addressable) $10.55 $8.95
Other Install Upgrade/Downgrade (addressable) $1.99 $1.99
Connect VCR - Connect Initial $6.84 $5.95
Connect VCR - Connect Separate $13.56 $12.95
Remote Control (All Units) $8.40 $.035
Converter Box (Basic Service Only) $3.80 $1.80
Converter Box (All Others) - $5.68 $3.90
Conclusions
Two conclusions can be drawn from this evaluation of the 2000 cable television rate filings. First,
the calculation of the maximum permitted rate for Basic Cable services on Form 1240 appears
accurate and conforming with the required methodology. Second, the operator-selected
equipment and installation charges, calculated on Form 1205, equal those proposed for a sampling
of other local franchises.
BASIC CABLE RATE When the City evaluates changes in the prior rate and the proposed
rate, it may be difficult to place both on a level field simply because the operator has not
implemented its maximum permitted rate in years past. Operator-selected rates do not follow
guidelines for implementation; therefore, despite effectively being a cost break for subscribers,
annual rate adjustments may actually follow an erratic pattem that could cause the perception of.
possible discrepancies in the calculation. For example, last year the operator enacted a rate of
$12.24, $0.05 lower than the maximum allowed. This year, the operator is proposing a rate that is
$1.29 lower than the maximum. When comparing to the prior year's rate, it is important to
PAGE
CITY OF FEDERAL WAY [H17.51T] 2000 CABLE TV RATE FILING REVIEW
evaluate rates at the same point in the calculation; in other words, in Exhibit A, compare rates on
the same line (e.g., A to A rather than A to C).
Despite these interpretive obstacles in evaluating the rate proposal, technically, it appears the
calculation is sound and justifiable based on AT&T's documented and projected costs. Unless
challenged by the City, AT&T will impose a new rate of $12:54 beginning July 1,2000. This rate
represents a 2.5% increase over the current monthly subscriber rate of $12.24. The increase is
primarilY driven by inflationary adjustments and a substantial true-up addition to collect for the
prior year's revenue deficiency.
EQUIPMENT AND INSTALLATION CHARGES As stated, the proposed equipment and
· installation charges fulfill the expectation of a cost aggregation approach, that is, they are
consistent with those filed to other local franchises. As in years past, AT&T has generally not
implemented the maximum fee allowed; rather, rates have been selected that adhere more to
promotional and marketing objectives established by the company yet still remain within the 'cost
parameters defined by this process
~-'~ ~_.~ PAGE 7
AT&T
Northwest Division
Via Federal Express
AT&T Broadband & Internet Serv
22025 30th Ave. SE
Bothell. WA 98021-4444
April 1, 2000
Ken Nyberg
City Manager
33530 1 Way S
Federal Way, WA 98003-6210
RE: WA0544
On behalf of your local AT&T Broadband-affiliated operator, enclosed are FCC
Forms 1240 and 1205. These forms represent AT&T Broadband's annual filing for
adjustments to basic service, equipment and installation prices. Specific
assumptions and details regarding the filing are in the enclosed Documentation
Memos.
The selected basic service price to be implemented is in Attachment 2 of the Form
1240 entitled "Proposed Rate Structure".
Equipment and installation pdces can be found in a separate attachment entitled
"2000 Installation & Equipment .Rates". As in the past several years, we will
implement equipment and installation pdces that are lower than the maximum
permitted rates calculated on FCC Form 1205.
AT&T Broadband has chosen Apdl 1, 2000 as its filing date and will be implementing
the attached service, equipment and installation pdce adjustments approximately 90
days after this filing. Customer bills will reflect these changes for the service period
commencing on July 1, 2000.
Please call me at, (425) 398-6223 or your local AT&T Broadband-affiliated cable
system manager, Tony Speller at (206) 694-7010 if you have questions about the
filing.
Sincerely,
Made Fulghum
Director of Regulatory Affairs
C: Tony Speller
Enc. H1751T FCC Form 1240, FCC Form 1205
~)[?~ Recycled Paper
Attachment 1
FCC FORM 1240 - 2000
Summary of Maximum Permitted Rate
Headend: HI751T
Headend Name: SEATTLE [R] [FEDERAL WAY]
A. Maximum Permitted Rate From Form 1240, Line I9.
B. Network Upgrade Add-on, Form 1235, Part III, Line 4
C. Adjusted Maximum Permitted Rate
Basic
$ 12.67
1.16
13.83
Attachment 2
FCC FORM 1240 - 2000
Proposed Rate Structure
Rates as of 7/1/2000
Headend: H 1751T
Headend Name: SEATTLE IR] [FEDERAL WAY
Service Rates Basic ] Ebas Tier 3
Operator Selected Rate $ 12.54 $ 18.00 $
Less FCC Regulatory Fee 0.04
Net Service Rate $ 12.50 $ 18.00 $
Equipment Rates are shown on the 2000 Installation and
Equipment Rates sheet in the Operator Selected Rate
column.
NOTE: Rates are exclusive of applicable franchise fees.
MEMORANDUM
Date:
To:
From:
Subject:
June 27, 2000
Finance, Economic Development & Regional Affairs Committee
Marie Mosley, Deputy Management Services Director
May Monthly Financial Report
Action Requested:
Accept the May Monthly Financial Report and forward to the July Council meeting for approval.
APPROVAL OF COMMITTEE REPORT
Committee Chair: Mary Gates Committee Member: Jeanne Burbidge
Committee Member: Michael Hellickson
CiTY eF ~
N'laric Mosl,.::) 6bi -.dOC,3
l'ho KL'aLJ~ t',61 -,1170
N'lari I:)orin~ 661-4096
"A City for All of Us"
40.00
35;00
30:00
2000 Projected Revenues & Expenditures
Overview 1
Significant Events 1-2
General Government
Revenues 2-9
Expenditures 9-10
Attachment A 11
May 2000 Monthly Financial Report
The Monthly Financial Report is
intended to provide an overview of
financial activity that has taken place in
the reporting period. This report
focuses mainly on activity incurred in
the following operating funds: General,
Street, Arterial Street, Utility Tax
Projects, Solid Waste & Removal,
Paths & Trail, Surface Water
Management, Strategic Reserve,
Airport Strategic Reserve, Debt
Service, and Dumas Bay Centre. The
Summary of Sources and Uses
(Attachment A) captures financial
activity through May for the years 1995
through 2000.
Upgrade of Bond Rating
Fitch IBCA, an internationally
renowned credit rating agency has
upgraded the City's general obligation
bond rating from an A+ to an AA-. The
boost resulted from a review of
financial management practices in
western states. Although 23 local
governments received upgrades,
governments in Washington were
largely precluded due to the passage of
1-695, with the exception of Federal
Way. The higher bond rating will
allow the City to borrow money at a
lower interest rate, which reduces the
cost of City projects. Congratulations
to the Council and the Management
Services department.
Utility tax on pagers
On May 11, the State Supreme Court
decided in Western Telepage v. City of
Tacoma that the city's utility tax on
paging services is consistent with the
statutory definition of a taxable
telephone business under RCW
82.04.065(4). The court rejected the
plaintiff's argument that the legislature
intended to include only "two way"
communications in the definition of
telephone services that are subject to a
local utility tax.
2000 City Services Survey Results
As part of the 2001/2002 budget
preparation process, the City prepared a
survey asking citizens to rate the City's
services. The survey was sent to
approximately 36,000 homes and was
made available on the website and r
various public buildings. As of Ma.
31, we received 750 responses, of
CiN o.f Federal Wap May 2000 Monthi}~ Financial Report
REVENUE SUMMARY BY MAJOR REVENUE SOURCES
Period Ending May 31, 2000
I:. Cun~nt~,~ ~
5:~+:~:;~'~"::~:"~Y' ~,~'~'.~F., '~==~'J~B~r,:;~:~. ~ ~ ;~"~'"'~'"'~'~<'~< ....... ~';~,".,~:~&:' '..~ ~"~' ,,~,"'~,~'~~alS~~:;'~:Ac~l~ ~
P~ T~ 6,833,380 3,5~,038 52.5% 3,586,038 0.0% 2,176,696
Sales Tax 8,837,773 4,~3,121 49.4% 3,648,816 714,305 19.6% 859,218
Hotel~otel L~ging T~ 87,035 37,563 43.2% 38,608 (1,~5) -2.7% 10,383
Criminal Jus~ Sales Tax 1,409,626 ~9,~9 46.1% 559,230 90,319 16.2% 137,042
Gambling Tax 1,209,600 592,677 49.0% 505,6~ 86,981 17.2% 129,478
Ufili~ T~ 4,703,276 2,507,878 53.3% 1,990,193 517,685 26.0% 498,976
Real Estate ~d~ Tax 1,200,000 722,712 60.2% ~1,023 281,689 63.9% 183,110
Fran~ise F~s 515,508 237,612 46.1% 251,279 (13,667) -5.4% 124,864
Li~nses & Pe~its 118,253 48,049 40.6% 84,357 (36,308) ~3.0% 7,553
Intergovernmental 3,152,273 1,747,708 55.4% 1,453,672 294,036 20.2% 437,272
CD Building Permits & F~s 1,006,182 427,497 42.5% 407,382 20,115 4.9% 86,275
CD Pass ~m Fees 29,728 na 29,728 na 4,813
PW Pe~its & Fees 226,567 130,040 57.4% 90,105 39,935 44.3% 45,771
PW Pass ~m F~s 11,788 na 11,788 na
S~ F~s 3,142,~5 1,~5,075 49.2% 1,545,075 0.0% 378,329
Refuse F~s 150,752 59,942 39.8% 62,813 (2,871 ) ~.6% 24,052
Admin Fees 171,006 71,255 41.7% 71,255 0 0.0% 14,251
Fines & Fodeits 949,700 384,768 40.5% 390,376 (5,608) -1.4% 75,935
Recreation Fees ~9,852 214,007 389% 237,684 (23,677) -10.0% ~,678
Knu~en ~eatm O~mfions 62,230 31,233 50.2% 25,929 5,304 20.5% 4,998
Dumas Bay CenEe O~rations 447,655, 222,813 49.8% 148,219 74,594 50.3% 48,077
Public Safe~ 343,148 259,148 75.5% 140,536 118,612 ~.4% 106,6~
Interest Earnings 911,054 398,094 43.7% 335,768 62,326 18.6% 89,727
Mis~llan~us Revenue 146,782 30,352 20.7% 33,219 (2,867) -8.6% (7,297)
Subtotal O~mtions 36,174,297 18,308,647 50.6% 16,047,272 2,261,375 14.1%' 5,470,805
Inte~nd Tmnsfem 5,716,593 1,363,796 23.9% 1,363,796 0.0%
Other Finandng Sou~s 932,229 636,043 68.2% 636,~3 0.0% 138,025
Total Revenues 42,823,119 20,308,486 47.4% 18,~7~111 2,261~375 12.5% 5~608,~30
* Shows a~uals as % of year-t~ate budget. For example, 50% means a~ual revenues were half of what was budget~
for ~at ~riod.
which an estimated 93% are City
residents and 7% from people who use
City services but do not live in the City.
In general, it appears that the City is
providing the appropriate mix of
services at levels that are balanced with
the resources that are available. Other
than the consistent and urgent need of
traffic fixes to relieve congestion,
higher service levels in certain areas,
while desirable, do not appear to be
widely supported if they require higher
taxes.
General governmental revenue
collectiOns through May total
$18,308,647, which is $2,261,375 or
14.1% above the year-to-date budget
($16,047,272). Of this amount,
$799,372 is related to Utility taxes and
REET that are reserved for the payment
of debt service. Attachment A
provides a comparison of year-to-date
revenues by major sources for 2000
with comparative figures for the past 5
years.
Property tax
Property tax revenues collected through
May total $3,586,038. Actual taxes
received in the current month total
$2,176,696 or 52.5% of the estimated
budget. The next large distribution is
expected in November.
Sales Tax
Sales tax received through May of
$4,363,121 is $714,305 or 19.6% above
the year-to-date budget ($3,648,815).
Compared to 1999 year-to-date, sales
tax increased $504,748 or 13.1%. Sales
tax received in the month of May totals
$859,218 that is $135,857 or 18.8%
above the adopted budget estimate.
Compared to May 1999, sales tax
increased $76,167 or 9.7%.
Retail sales continue to remain the
largest source, accounting for 64.0% of
all sales tax collections. Year-to-date
retail sales tax collections are up
$299,330 or 12.0% over 1999,
attributable to the addition of several
new retail stores that have facilitated
the overall increase in retail activity.
Year-to-date construction and
contracting activity, which accounts for
11.5% of sales tax collections, is up
$173,842 or 52.9% compared to 1999
activity. One construction company is
responsible for over 40% of this
increase. They are one of the top 10
sales tax revenue contributors over the
last 12 months. This increase is further
reflected in the City's building permit
trends.
Wholesaling activity revenues total
$286,959 which is $59,587 or 26.2%
over the prior year. Revenues
collected for the month of May total
Ci~ qf Federal Way May 2000 Monthly Financial Report
COMPARISON OF2000 OPERATINGREVENUES- BUDGETTOACTUAL
$40,000,000
$35,000,000
$30,000,000
$25,000,000
$20,000,000
$15,000,000
$10,000,000
$5,000,000
Jul Aug Sep Oct Nov Dec
2000 Budgeted
Revenues
Jan Feb Mar Apr May Jun
$58,208, which is $11,835 or 25.5%
over the same month in 1999. This
increase in activity is due ta several
new wholesaling entities within our
area, as well as an increase in activity
for a few of the existing large
wholesalers.
Manufacturing activity through the end
of May has generated $67,433 in
revenues. This is down $95,617 when
compared to 1999. This is due to a
major manufacturing company recently
moving out of the state. However since
they continue to have sales in Federal
Way, we will still be receiving sales tax
from them, but in much smaller
monthly remittances. Since their
move in April Of 1999 we have been
receiving only a few hundred dollars
each month. We expect this to continue
throughout the year.
Government activity through May
totals $66,113 which is an increase of
$16,838 or 34.2% over 1999. This is
due to additional distributions to the
Department of Licensing account that
relate to the prior period, as well as an
overall increase in the monthly activity.
When compared to May 1999 activity,
there has been an increase of only $576
or 4.6%.
Finance/Insurance/Real Estate is down
when compared to last year by $6,151
or 12.0%. This is due to a recent
decrease in activity for all but a few
entities in this category. When
compared to May 1999, revenue is
down by $4,609 or 35.1%.
Sales Tax Activity by Area
The City's largest retail center, South
348t~ retail center, which generates
about 15% of the City's sales tax has
experienced a growth of $34,434 or
5.6% when compared to 1999. This is
due to an increase in activity by the
major retail establishments in the
center.
SeaTac Mall is showing a decrease of
$3,309 when compared to 1999
activity. A major retailer located in
the mall, is number 3 on the list of the
top 25 sales tax revenue generated over
the last 12 months. Unfortunately that
is not enough to offset the decline of
retail activity at SeaTac Mall. Also a
major retail establishment in the mall is
in the process of going out of business,
which is reflected in their declining
activity.
Major Auto Sales through May have
collected $197,748, which is an
increase of $44,678 or 29.2% over
1999. This is due to increased auto
sales facilitated by the passing of 1-695,
which reduced the price of car tabs to
$30.
:1997 1998 1999 , 2000 ,, 2~OO BudgetI
Month Actuel :Actual actual Budget,:: I Actual S Varience ' A V'~);~ce
January $ 623,386 t $ 638,862 $ 711,432 $ 678,339 I $- 764,071 $ 85,733 [ 12.6~,
- I
February 902,478 949,276 1,013,425 958,461 I 1,201,953 243,492 25.4%
March 640,967 714,640 717,005 678,784 [ 759,673 80,888 11.9%
582,547~ [ 27.6~
April 575,5~ 633,460 609,871 778,2~ 168,335
May 660,733_. I 655,3~ 783,051 723,361 ~59,218 135,857 18.8~
June 669,058 [ 769,461 772,812 705,005 0.0~
July 678,567~ 645,475 727,701 ~ 676,502 0.0~
August 694,702 ~ 682,263 855,198 734,739 0.0~
September ~ 850,295 8~,291 811,411 0.0~
October 657,100 ~ 761,561 817,021 7~,316 0.0~
November 687,585 [ 739,326 880,787 747,958 0.0~
December 793,528 ~ 8~,018 856,762 777,027 0.0%
TotM;: 8;326,289 ~ $ 8,782,170 $ 9,664;948 $ 8,837,773 $ 4,363,121 $ 714,30S 19.6%
Taxable Sales $ 979~661~7 S 1,033,19e,412 $ 1,t37,052,338 S 1,039,73S~000 S 513,30S,298 S 84,035,90S t96%
3
City o. f Federal Way May 2000 Monthly Financial Report
COMPARISON OF SALES TA~ COLLECTIONS BY SIC CODE GROUP
For the Month of May
Component 1995 1996 1997 1998 1999 2000 I Change from 1999
Group Actual Actual Actual Actual Actual Actual I $ Change 1% Change
Retail Trade [ $ 385,462 $ 409,695 $ 413,625 $ 420,280 ! $ 486,174 $ 517,161 $ 30,987 6.4%
~ervicesI 56,661 65,815 61,116 68,596[ ~5,278 101,423 26,145 34.7%
Construction/Contract 61,869 35,968 51,341 43.776I 77,336 105,446 28,110 36.3%
Wholesaling 44,416 -- 171,769 40,721 49,614 I 46,373 58,208 11,835 25.5%
Transp/Comm/Utility 21,897 23.101 26,609 26.859 I 36,820 37,494 674 1.8%
Manufacturing 33,442--- 38,564 38,431 15,804 ! 26,671 9,668 ! (17,003) -63.8%
Government 7,501 8,029 11,638 10,621 ! 12,576 13,152 576 4.6%
Fin/Ins/Real Estate 5,808 8,603 11,245 10,952; 13,125 8,516 (4,609) -35.1%
Other 7,611 7,435 6,007 8,893 ~ 8,697 8,148 (549) -6.3%
Total $ 624,667 $ 768,980 $ 660,733 iS 655,396 I$ 783,051 $ 859,218 $ 76,167
Taxable Sales $ 73,490,205 ! $ 90,468,206 $ 77,733,258 i $ 77,105,438 I $ 92,123,647 $ 101,084,460 $ 8,960,813 9.7~
. ~ ~'.~:~,:.'~!, :~,,,:,, ~ ~ ..:'.~, ~: ....
Total Sales Tax $3,337,674 i $3,461,687 i $3,410,111 i S3,533,771 ! $3,858,373 ! $4,363,121 I $504,748 I 13.1"/.
S 348th Retail Block i $459.326 ' $476,568 $521,096 $555,051. $619,893 I $654,327 ~ $34,434 ! 5.6"/.
% change from previous yr 26.0% 3.8% 9.3% 6 5%. 11.7% 5.6% na na
Percentage of total 13.8% 13.7%1 15.3%I 15.7%t 16.1%1 15.0% -1.1% -6.7%
SeaTac..Mall': 500,682 457~825i 458,985 i · 456,118I 453,618 ! 450,309 ' (3,309) '....
% change from previous yr ....... 1.8% I -6. 6% ! -1.9% -0. 6%: -0.5%' -0. 7% I na na
-12.2%'
-1.4%
-- 11.8% I
Percentage of total 15.0%I 13.4%i 13.5% 12.9%I 10.3%t
MajOr Auto Sales 137,675! ..... 160,284i ' 145,338i 161,628 [ 153,070 i 197,748! 44i678
% change from previous yr -3.7%I 16.4% -9.3%i _ 11.2%i -5.3%: 29.2%! na na
14.2%
~.o% 4.5% 0.6%
Percentage of total 4.1% 4. 6% 4.3% I 4.6% [
S 312th to S 316th Block '~ '42,515. 39,952 i 35,130 i 36,180 I 38,627 41,291 2i664 6
% change from previous yr 4.8%, -6.0% i -12.1%; 3.0%: 6.8%' 6.9% ! na: na
Percentage oftotal 1.3%1 1.1%, 1.0%1-- 1.0%I 1~0%I 0.9%1 -0.1% -5.5%
Pavilion Center na i 56,765: 58,171 , 58,259, 57,934 i 72~122 14~188 24~$%
% change from previous yr na na na 0 2% -0.6% 24.5% na na
Percentage of total na 1.7%I 1.7% 1.6%I 1.5% 1.7% 0.2% 10.1%
HOtels&MOtels 15.950 13~1~4I 16~5~0:I 15,4~I 19,:113 1 35;052 15,939 83~4%
% change from previous yr 27.3% -17.8% 26 3% I -6.5% 23.4% 83.4% na na
Percentage of total 0.5% 0.4% 0.5%! 0.4% 0.5% 0.8% 0.3% 62.2%
4
City o. f Federal Way May 2000 Monthly Financial Report
Gambling Tax
Gambling tax collections are up
$86,981 or 17.2% over the budgetary
estimate ($505,696). The increase is
$18,412 when compared to 1999
largely due to increased activity at one
major cardroom establishment.
Pulltabs/Punchboards are below 1999
activity by $15,364 or 9.7% due to a
few establishments not reporting Ist
quarter 2000 activity. Notification
letters will be sent in order to try and
collect these outstanding revenues.
1997 t998 t999 Budget Actual $ Variance Y. Va'lance
January $31,616 $28,182 $90,611 $96,849 $119,319 $22,470 23.2%
Fel~uary 34,40~ 21,30~ 98,117 96,195 116,227 20,032 20.8%
Ma-ch 30,34~ 23,182 104,183 95,432 106,912 11,480 12.0%
Apdl 36,041 29,49E 130,53( 111,387 141,769 30,381 27.3%
May 31,10~ 19,02~ 150,81~ 105,833 106,450 2,618 2.5%
June 29,421 20,121 145,17~ 104,525
July 26,096~ 34,691 137,22~ 99,793
~ 17,016 06,~ .0.0~1 91,0~ r
Octot~er 23,907 50,005: 115,324 106,694 .......
November 20,591 51,54z 118,7621 105,85~
Decen-b~ 19,766- ----~, 1~4:7 1--~8,390 103,56~ ..............
GAMBLING TAX BY ACTIVITY
YTD ThroUgh May
1997 Actua 1998 ACiual 1999 Actual 2000 Actual Change from 1999
Activity % $ % $ % I $O %6% $ $ Variance ~,~ Variance
Games/Bingo 0.9%:$ 1,447 1.9% $ 2,333 0.5%' $ 2,729 $3,455 $ 726 I 26.6%
Pulltabs/Punchboard 80.8% 132,111 90.4% 109,542 27.5% 157,963 24.1%I $142,599 $ (15,364) -9.7%
Cardrooms 18.3% 29,953 7.7% 9,317 72.0% 413,573 75.4% 446,623 $ 33,050 I 8.0%
~. TOtal 100;0%; $163,512 100,0% $121,192 100,0%i $ 574,265 100.0% $ 592,677 $ t8,412i 3.2%
Table reflects reporting activity through April.
Real Estate Excise Tax
For the year-to-date comparison, real
estate excise tax continues to exceed
prior year's collections. Through May,
revenues total $722,712, which is
$281,688 or 63.9% above budgetary
estimates ($441,023). For the current
month, we received $183,110 or 74.5%
above the monthly estimate ($104,960).
The current month included over 167
sales transactions with the largest
transaction being the sale of the Office
Max building located on Pacific
Highway South.
Hotel/Motel Lodging Tax .
Hotel/Motel lodging tax collected
through May totals $37,563, which
represents activity for November 1999
through March 2000. This is $1,045 or
2.7% below budget.
Utility Tax
Utility tax received through May total
$2,507,878, which is $517,684 or
26.0% above the monthly budget
estimate. · Compared to 1999, utility
tax receipts have increased $101,834 or
4.2%. Cellular taxes exceed the
budgetary estimates by $289,545 or
118.3%, which is consistent with prior
months. This is due to an increase in
the number of cellular communication
companies in our area, as well as an
overall increase in cellular activity.
State Shared Revenue
State shared revenues collected total
$2,397,257 and are exceeding
budgetary estimates by $384,356' or
19.1%. The majority of this variance
is due to the City receiving its first
distribution from the State of $228,709,
to offset the losses resulting from the
repeal of the Motor Vehicle Excise Tax
under 1-695. We are not scheduled to
receive another distribution until 2001
for $457,417.
Included in the State Shared Revenues
chart is criminal justice sales tax of
$649,549, which is exceeding budget
by $90,319 or 16.2%. Vehicle license
fees are well above estimates
($259,219) by $36,046 or 13.9%. This
increase coincides with the increase in
major auto sales taxes received by the
City.
Fines & Forfeitures
Year-to-date Fines and Forfeitures are
below budgetary projections by $5,608
or 1.4%. Revenues are exceeding prior
year's activity by $16,159 or 4.4%
through May. Criminal costs collected
year-to-date total $39,305, which is
$17,762 or 82.4% above budget
estimates.
Building Permits & Plan Check Fees
Building permit revenues collected tota.
$427,497, which is above budget
estimates by only $20,115. This does
not include pass through revenues of
$29,728 for expedited and
environmental review. Revenues
collected for expedited review are
currently not included in the budget.
Expenditures t:elated to the expedited
services also are not included in the
budget. Building permits, which
includes mechanical, plumbing and
clear/grade permits, total $196,678
through the end of May. This is a
decrease of $52,077 or 20.9% over the
adopted budget ($248,755). Electrical
permits total $47,740, which is above
budget by $7,189 or 17.7%. Plan check
fees collected through May total
$133,002, which is $42,825 or 47.5%
above the adopted budget ($90,177).
For the month of May, plan check fees
are above budget ($18,927) by $15,462
or 81.7%.
5
City of Federal Way May 2000 Monthly Financial Report
, $ 163.211 $ 289,269~ $ 93,147 1 $ 103,300 ~ $ 10,154 10.9°/
February 94,719 1 119,717 _~ ~i 1~3,3~ [
March 101,508 ~ 82,116 -_8~ ~74~ 3,
Apdl
32
66,262
May 186,187 '. 189,~0
June ~oa,060 ~ 270,s72 ~g~ ~;~ ~ ; ~ ..... 0.0~
July 120,432 ~ 295,736 278,~~ 127,767 ~ ~ 0.0o~
~ugust ~ .231,911 ~_ ~ 324,962 194,853 ' 113,198 ~ ~ 0.0~/
September , 181,490 ~ 137,~9 326,168 I 119,222 ] [ 0.0~
October ~ 151,333 2~,439 279,424 1 ~,~3. ~
, ~ 0.0~3
November ~ 216,381 143,877 209,096 89,950 ~
De.tuber ~
~ 188,99~ 132,448 177,~1 101,203 [ 0.0~
EsL RE Value { $ 372,004,~0 $ ~6,2~,716 $ 487,629,564 $ 2~,000,000 ~ $ 1~,~2,310 ~ $ ~,337,669 na
* Represents monthly histodcal pattema for the 2000 Adopted Budget.
REAL ESTATE EXCISE TAX ACTIVITY
Through May
$900,000
~$800
$721,186
$661,417
,~!~., ".~,~:,,~.~::','~" ::,~;~",'"..', "~'. '~" !:::-~ ,'~"~'~?',~'~'~'~, *~: ......... · :~":~:.'.~,' "::;; '...:'~':~"~. ~' "?';a'::,;~ ,~," ~ .~' ..""
Janua~ ~ 125,150 , 431.810 494,610 349,523 349,523 492.903 $ 143,380 41.0%
Febma~ [ 118,633 [ 460,440 479,716 3~,270 354,270 ~ 511,283 ~ 157,013~ 44.3%
Mar~ ~ 139,684 ~~ 429,076 ~ 469,241 ~8.652 348,652 493,529 [ 144,876 41.6%
April ~ 4~,907 415,919 485,151 4~,741 4~,741 511,352 ~ 46,611 10.0%
~ay 431,710 401,4~8 463,233 473,007 473,007 ~98,811 ~ 25,805 5.5~
June 320,663 373,909 415,001 404,912 - ~
July 294,086 ~8,201 _ 389,429 3~,239 - ~
August 314,176 318,905 ~ 370,720 358,692 - ~
September 310,675 322,551 392,963 355,176 - ~ - ~
OMo~r ~ 326,801 ~48,206 435,016 381,26~
6
City o.f Federal Way Ma), 2000 MontMF Financial Report
Electric 496,991 , 904,901 957,224 1,827,059 818,502 981,152 $ 162,651 19.9%
Gas L- 193,867 '338,783 i ..... 367,778 527,067 I 306,538 411,701 I 105,162 34.3%
G~-~b~a_ge ..... '~---~,,5~')'i ' ~10i ~ 129,768 320,005 ~ 116,590 137,784~ 21,194 18.2%
Cable ~ 103,353 ~ 183,596 ~ 231,246 472,864 ] 182,093 195,579 13,485 7.4~
............ ~ ......... .~ ~37~,~14 433,716 60,203 16.1%
.Pho~_~ ~?~,955 L 4~1j~6~' ~ 444,405 969,7~
Stor~D~?ag~ ~. 76,~09 ~. ~ ~6,~8_ 36,4~_ 181,948 55,978 55,982 4 0.0%
- 393,22~'~ ..... 1~',~4~ 156,896
Cellular [ 74,030 ] 156,061 ~ 2~'947 289,~5 118.3~A
Table reflects reporting activity through April.
~V~le~c;seT~ $ ~,~1 $ ~,~7 $ 315,1~ $ ~4,~1 $ ~,~ $ 2~.~ $ 187,~ $ ~,416 $ 14,~ 7.7~
C~ ~aseT~ ~ 3,757 ~ ~ 3,~ 3,7~ 3,~7~ 3,~1 3,~ 3,~7 1~ 3.7~
L~P~tsT~ ~ 1~,3~ ~ 1~,2~ j 97,~ 1~,1~ 116,124 ~ 1~,~ 112,~ 110,7~ (1,~9) -1.7~
Li~ Ex~seT~ 125,4~ i 119,415 ~ 112,~ 114,~6 119,070 124,~ 1~,~ 1~,1~ 4,~ 3.3~
~m J~tL~D ~ 115,4~ 167,7~ ~ 1~,~ 116,~ ~,~7 ~,~ ~,~ 5Z~ 0.~
61 ,~
~m J~t ~ ~ ~ ~,~ ~ ~,~ ~ ~,972 67,~ ~,4~
E~izati~ j ~,~9; 1~,~ J 1~,~ ~,2~ ~ ~,159 ~,4~ 24,~ 24,~ 0.~
L~ ~im J~t ~ 4~,~5 ~ ~,~ ~ ~1,~i ~,4~ ~ ~,~ ~,~ ~,~ ~9,~9 ~,319 16.~
F~ T~
670,~1 [ ~ ~,~ ~,5~ ~,~1 ~,~,. ~1,~ ~,1~ 6,~ 1.~
V~ ~cF~ ~ 2~,~7 ~ 2~,~ ~ ~,~1 2~,~ 251,417 ~,~ ~,219 _ 2~,~ ~,~ 13.~
~- ~t~ ~ . j ~ ~ - J ~ ~o,~ ~,~ s,~
....
By Month
Budget $.,q~6,871 $6~.4~8 : $813.228 $838J30 ! $E80,000
1~ : !~ 19~ ; lg~7 19~ . lggg 2~ ~C~nge f~mAd~
U~'~ ............ ~""A~i' :' %:;~1 ''~ "A~i.'i ..... ~t~i' '~ ~ci~l ''~
Jan~w ~,198 $~,8~ ~,~2 ~,7~ ~,6~ ~7~ ~9,293 ~t.931 ($7,~; -10.6%
Fe~ 49,~7 ~,~2 ~.197 ~,~ 67,~ ~.187 74,0~ ~,177 12,1~ t6.3~
Mamh ~.493 ~,2~ 47,2~ ~,673 ~,432 87,418 ~,2M 85,1~ __~,~5 6.~
ApHI ~,~1 ~,415 51,752 51,1~ 57.~I ~,~ 85~0~ __ 74,618 (10.~', -t2.2%
May __ 51~02 49,7~ ~,~,__ ~,978 73.670 61,~ 81,6~ 76.910 (4.789] -5.~
Ju~ __ 57,~ ~,22( ~,811 ~,~3 65.~ 75,375 ~, 187
July 41,~5 69.3~ ~.681 53,016 81,~ ~.411 83,123
Augus~ 65.7~ ~.31~ 65,748 ~,201 75,7~
~ptem~ ~ 48,268 53,23~ ~.218~ ~,801 ~
~ ~,4~ ~ 022~ 41 4~1 ~ 376, 74 815 59.~1
No~m~r ~.~ ~.281~ ~,~ 45~ 57,~1 ~,8~ 70,181
=====================
::3~ ~ .7~i ~:~: ~:4~ :,
7
Cit? of Federal Wa? Ma? 2000 Monthly Financial Report
' ~ ".. ,,, ..~.
. ~ ~'i'ir;L ~ ~'~ ,.:~ ~'~':;~ ,<,~. ~ ~,.:~ ~ ': : .'
January [$ ~,051 L$ 48,~1S ~,~ $ 59.9~$ ~,814 ~ ..... ~1 ~L 62~I $. .... ~,~ ~ 5,6~ 9.0~
~r~ --~- -- ~ .... ~O:;~T 48,297 95.79~ 45.8~ 1".~ 92,~ 1~.~l 1Z2~ 1~3%
~y ~ 53.6~ ] 65.0~ ~ ~.2~ 52.379 ~ ~.5~ 161.~: ~:~ ~ ~,275 (7.~] ~.5~
)une ~ 397~: 69,015 ~ .... ~2~ 57,0~I I~,~T-" ~ T' - ~'~:~i T I
July ~ ~,42~ ~,2~1 ~,6~ ~,~ 1~,~ 115,~ 92.024; r
~er I ~.~ ~,3~ ~ 42.4~ 7
D~ J 49.~ ~ 81,~7 ~ 49.613 47,978 ~ 52,975 ~ 69.1~: 79.497 i
i~x~ t__~ May" ~ 631 ,~ .... ~,~9 i 749,~3 , 931 '~L .... ~:5~ 9~.~9 1,025,1~ ~_.__ 9~,m4 , na na
~D R~v.~ ~tio ~ 41.6%~ 39.0%i ~.0%1 35.7%~ 37.8%! ~.9%! j nm na
-- Expe~dituresinc!ude Community Development AdministratK3n (001-5200-071), Planning (001-5200.-073)and Building (001-5200-074).
RO~V Permits and Fees
Overall Public Works permits and fees
collected through May total $130,040,
which is $39,935 above the adopted
budget. This does not include pass
through revenues of $11,788 for
expedited review. Year-to-date activity
is above the prior year by $26,730 or
25.9%. Plan review fees collected total
$85,260, which is $21,307 or 33.3%
above the budget estimate. The current
month's activity totals $45,771, which
is the largest month this year.
Recreation Fees are currently below
budgetary expectations by $23,676 or
10.0%. When compared to the prior
year's activity, fees collected through
May have decreased by $1,314 or 0.6%.
Police Services Revenue collected
through May total $259,148, which is
$118,612 or 84.4% above the estimated
budget ($140,536). This amount
includes Traffic School revenues of
$23,875, interest earnings of $8,123
and Police Security services of
$129,158, which includes a semi-
annual payment from the Federal Way
School District. Also included is
$81,584 of state seizure revenues,
which are designated for that specific
program. The remaining balance of
$16,408 is made up of miscellaneous
revenues such as weapons permits,
copies and fingerprinting. $295,455 in
grant revenues has been received this
year, but is included in other financing
sources. Total budgeted grant revenues
this year is $728,021. Traffic School,
Explorer program and state seizure are
curcently not budgeted revenues.
Other Financing $ources/lnterfund
Transfers of $2,007,058 consist mainly
of interfund transfers in the amount of
$1,363,796. Also included are Public
Safety grant revenues of $295,455 and
January $ 16,198 $ 22.397 $ 12,719 $ 7.041 $ 16,188 $ 19,293 i $ 16,848 $ 25,214 $ 8,366 49.7°3
February 10,580 6.797 23,627 8,583 8,437 16,802 ! 14,177 14,452 $ 275 1.9%
March __ 8,826 11,568 10,708 26,504 12,347 38,782 ! 19,833 22.290 $ 2,457 12.4%
April 25,439 11,224 14,751 9,079 19,977 16,286 'i 22,553 22,313 $ (240) -1.1%
May 6,955 18,991 21,158 9,551 26,621 12,147 16,694 45,771 $ 29,077 174.2%
June 39,839 7.131 i 8,283 9.977 26,339 17,944 20,605
July 8.374 9,7261 29,676 12,3--53 21,0021 10,64311 16.5~
August 19,584 9.339 18,645 27,438 26,631 23,777 ! 18,951
September 9,997 9.006 15,252 26,180 24,786 10,345 ! 17.751 I
November 11,036 27.799 13,524 I 18,019 28,331 18,508 i 20,520
Monthly Average 12,071 14.890 16,4351 15,7351 21,079 17,616i 18,881 26,008 7,987 t na
8
City o.f Federal Way
Solid Waste of $14,984, SWM grant
revenues of $49,347 for the North Fork
West Hylebos Fish Passage, $6,454 in
Sister City donations and Human
Services contributions totaling $765.
Also included is a King County
Cultural Services grant of $276,256 for
the purpose of reimbursing certain
capital expenditures incurred during the
construction of the Knutzen Family
Theatre.
GENERAL GOVERNMENTAL
EXPENDITURES
General governmental expenditures
through May total $11,846,745 or
31.1% of the annual operating budget
($38,106,687). Operating expenditures
are below the year-to-date budget
($12,370,400), by $523,655 or 4.2%.
When compared to 1999, expenditures
are up $513,965 or 4.5%.
Municipal Court Startup has expended
$54,480 through May, 50% of which is
remaining invoices from the property
manager for tenant improvements.
Municipal Court Operations
expenditures total $276,851, which is
below the estimated budget by
$103,666 or 27.2%. Over half of this
total consists of salaries & benefits
(excluding temporary help and
overtime). Temporary help has
expended $45,520 through May, which
is mainly security personnel that are not
needed on a full-time basis.
Community Development Operations
has expended $1,150,866 or 35.0% of
its annual appropriation ($3,290,641).
Through May, they are below their
budget by $123,963 or 9.7% of the
year-to-date budget ($ 1,274,829).
Other services and charges expended
total $202,985, or 28.6% of the total
budget ($709,444). Salaries & benefits
(which is over half of their operating
budget) are currently 41.0% expended,
totaling $766,096.
Parks and Recreation Operations
expenditures total $1,121,949, which is
$37,583 or 0.8% below the year-to-date
budget estimate ($1,159,532). This is
36.1% of its annual appropriation
May 2000 Monthly Financial Report
($3,106,062). Services and charges
total $206,486, which is 25.9% of the
annual budget ($796,286). Througf
May, temporary help totals $103,027 or
35. 1% of its annual budget ($293,708).
Dumas Bay Centre operating
expenditures total $212,588, which is
$23,085 or 12.2% above the year-to-
date estimate of $189,503. Operating
revenues through the current month
total $222,813, which is $74,594 above
the budget estimate ($148,219). The
Dumas Bay Centre has recovered
104.8% of all operating costs as of the
end of May.
The Knutzen Family Theatre has
operating expenditures through May of
$68,020 or 41.9% of the adopted
budget ($162,230). The current
expenditures exceed year-to-date
budget ($44,420) by $23,600 or 53.1%.
This year-to-date budget is a straight-
line allocation of the annual budget, due
to the fact that we do not have a history
with which to base future fluctuations
in spending. Operating revenues
collected total $31,233, which is 50.2%
EXPENDITURE SUMMARY BY DEPARTMENT ~
Period Ending May 31, 2000
City Council 197,385 102,5~ 7 fi1.9% 110,686 8,169 7.4*3 6,468
Oi~ Manager 605,720 172,677 28.5% 250,982 78,305 31.2% 27,583
Muni~pal CouP-Opera,ions 9~3,241 276,851 30.3% 380,517 103,666 27.2% ~,097
Muni~pal Coua-Staflup 91,~ 22 ~,480 na ~,480 na 9,320
Manaoament Se~i~a %8~,269 595,226 32.1% 7~,386 159,160 21.1% 97,699
~ivil/Ofiminal Leoal Se~i~a %215,275 490,M7 40.3% fi~,~0 14,193 2.8% 1 ~0,880
Oommuni~ ~wlopment 3,290,~1 1,1~,866 35.0% %274,829 123,~3 9.7~ 21%820
Public Safety 12,665,324 5,246,700 41.4% 5,161,013 (85,687) -1.7% 1,1~,~8
Jail $e~i~s 1,200,000 516,466 43.0% 368,275 (148,191) ~0.20/ 273,747
Pa~a and Recreation 3,~06,062 1,121,949 36.1% 1,159,532 37,583 3.2% 236,727
Dumas Bay Centre Operations 501,430 212,588 42.4% 189,S03 (23,085) -12.2% 51,372
Knu~en Theatre Operations 162,230 68,020 41.9% 44,420 (23,600)
Public Wo~a Operations 3,515,383 1,093,463 31.1% 1,209,~6 116,383 9.6% 252,777
PW AaphaR Overlay Program 1,898,410 46,536 2.5% 90,~8 44,312 48.8~ 12,280
Solid Waste & Re~in9 312,366 ~21,420 38.9% 93,900 {27,520) -29.3~ 53,826
Snow & I~ Removal 55,052 5,623 10.2% 5,623 0.05 359
HoteVMotel Lodging Tax 115,000 15,43fi ~3.4% 15,435 0 0.0~
Suda~ Water Mana0ement ~ ,795,621 565,480 30.9% 701,483 146,003 20.8M 89,194
~bt $e~i~ 4,612,156 102 0.0% 102 0.0%
Subtotal Operations 38,106,687 11,~6,745 31.1% 12,370,400 523,655 4.2~ 2,663,298
Inte~und Transfe~ 9,010,~5 3,274,722 36.3% 3,274,722 0.0M 35,506
Other Finan~n9 Uses 1,760,024 1,002,000 56.9% 1 ,~2,000 0.0~
Total ~penditurea 48,877,356 16,123,467 33.0% 16,~7,122 523,655 3.1'A 2,698,804
* Shows actuals as % of year-to-date budget. For example, 50% means actual expenditures were half of what was
budgeted for that pedod.
9
Ci.~ of Federal Wa}, Mag 2000 MonthlF Financial Report
COM PAR]SON OF 2000 OPERATING EXPENDITURE~ - EUJDGET TO ACTUAL
$40,000,000
$35,000,000
$30,000,000
$25,000,000
$20,000,000
$15,000,000
$10,ooo,ooo
$5,000,000
2000 Budgeted
Expenditures
$38,106,687
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov D~c
of the annual budget ($62,230). This
is above the year-to-date budget, which
is also a straight-line allocation, by
$5,304 or 20.5%.
Public Works Operations are below the
May budget estimate ($1,209,846) by
$116,383 or 9.6%, and has expended
$1,093,463 or 31.1% of its annual
appropriation ~ ($3,515,383).
Intergovernmental expenditures
through the current month total
$187,323, which is 41.2% of the total
budget ($455,036). Capital
expenditures total $31,798, which is
22.2% of the allocated budget
($143,240). The majority of this is
related to the remodeling of the old fire
station at Steel Lake, which is the
of f site location for the Streets
Maintenance Crew. The remodeling
should be completed by June 2000.
SWM Operations are below projections
by $146,003 or 20.8% of the May
estimate of $701,483. Salaries and
benefits total $330,757 which is 34.0%
of its annual budget ($972,919). This is
due to the vacancy of budgeted
positions within the division.
Solid Waste & Recycling Division is
above their budgeted expenditures
($93,900) by $27,520 or 29.3%.
Through May, salaries and benefits are
50.6% expended, with total
expenditures of $42,927.
Police Services have expended
$5,246,700 through May, which, is
$85,687 or 1.7% above the budgetary
estimate of $5,161,013. Salaries &
benefits, which are 68% of their total
budget (excluding temporary help,
overtime Police security, regular
overtime & termination pay), totaled
$3,807,467. This is 44.1% of the
annual budget ($8,642,765). Overtime
Police security totals $50,138 through
May, but is offset by revenues collected
for the services provided.
Jail Service is above May budget
estimates ($368,275) by $148,191 or
40.2%. The total expended does not
include invoices for April and May.
Other Financing Uses/Interfund
Transfers total $4,276,722 or 39.7% of
the annual budget ($10,770,669). The
total is made up of interfund operating
transfers and includes $1,327,101 in
budgeted transfers from Utility taxes.
The allocation consisted of $142,000
for Celebration Park ($91,000 one-time
funding and $51,000 ongoing
maintenance and operations), $117,200
for maintenance and operations on
Streets bond projects, $967,901 for the
Overlay project and $100,000 to
subsidize the Knutzen Family Theatre.
10
Sources/Uses
Beginning Fund Balance
3paraUng Revenues
~roperty Taxes
.~ales Tax
-totel/Motel Lodging Tax
3riminal Justice Sales Tax
Intergovernmental
:~eal Estate Excise Tax
~ambling Taxes
LJtility Taxes
;ines& Forfeitures
Building Permits/Fees-CD
Pass Through Fees-CD
ROW Permits/Fees-PVV
Pass Through Fees-PVV
Licenses
Franchise Fees
Recreation Fees
Dumas Bay Centre
Knutzen Family Theatre
Interest Earnings
ATTACHMENT A
CITY OF FEDERAL WAY
sUMMARY OF SOURCES AND USES
$11,403,627
2,888,348
3,337,874
440,085
2,339,291
365,793
161,175
234,415
215,255
70,977
38,310
186,359
153,053
93,601
164,234
1996
$10,331,641
3,563,580
3,481,686
441,869
2,157,356
509,879
133,005
230,894
260,334
220,766
82,963
36,613
191,738
167,344
94,662
193,074
1997
$10,396,188
3,147,880
3,410,111
503,422
2,026,309
661,417
163,512
1,220,085
226,207
382,528
60,758
36,178
222,980
171,134
113,469
193,978
OPERA~NG FUNDS
Through May
1996- 2000
1998
$16,128,342
3,545,735
3,533,771
535,334
2,026,791
721,186
121,192
2,138,673
343,879
256,914
83,570
26,344
121,176
186,570
130,559
299,124
2000 Ravls~diBUdOet::
; : ThrOugh
1999 Annual
$17,678,962 $18,136,869
3,071,349 6,833,380
3,858,373 8,837,773
87,035
583,528 1,409,626
2,235,476 3,152,273
8O9,2O2 1,200,000
574,265 1,209,600
2,406,044 4,703,276
368,609 .~ 949,7OO
587,658 1,006,182
33,402
103,310 226,567
20,498
76,984 118,253
220,578 515,508
215,321 549,852
193,076 447,655
17,055 62,230
469,482 911,054
$18,136,869
3,586,038
3,648,815
38,608
559,230
1,453,672
441,023
505,696
1,990,193
390,376
407,382
84,357
251,279
237,684
148,219
25,929
335,768
:~r0Ugh
IVEY:
$18,136,869
3,586,038
4,363,121
37,563
649,649
1,747,70~
722,712
592,677
2,507,878
364,768
427,497
29,728
130,040
· 11,768
237,612
214,007
222,813
31,233
398,094
FavOr, ab!e (I IM
$ 0.~
0.0%
714,~
(1,045) -2.7%
~,319 ~6.2%
294,037 202%
281,~
86,981
517,~
(5,~) -~4%
20,115
29,728: ~a
39,~ ~.3%
11,7~ Wa
(~,~)
(13,~) ~.4%
(23,676) -~0.0%
74,5~ 50.3%
5,~ 20.5%
62,326
Admin Fee-SWM & Solid Waste
SWM Fees
Refuse Collection Fees
Police Services
Other
Total Operating Revenues
Operating Expenditures
City Council
City Manager
Municipal Court-Operations
Municipal Court-Start up
Management Services
Civil/Criminal Legal Services
Comm. Developement Services
Police Services
;Jail Services
Parks and Recreation
~ublic Works
3ity Oveday Program
Snow & Ice Removal
Solid Waste
Hotel/Motel Lodging Tax
Surface Water Management
~ebt Service
~)umas Bay Centre
<nuLzen Family Theatre
(1)
62,660
768,187
62,070
168,930 I
11,760,4171
97,504
148,462
545,876
340,539
1,534,440
3,447,807
169,272
1,149,659
841,962
3,067
52,274
445,860
2,006
107,425
64,540
1,029,681
60,648
216,132
13,136,766
97,156
158,284
625,031
456,666
1,114,739
3,531,610
206,922
1,265,777
1,052,087
127,067
38,551
80,727
603,928
3,123
128,546
67,806
1,412,747
60,407
75,654
213,337
14,369,918
105,252
208,600
584,779
517,519
1,112,553
3,975,496
269,481
1,025,713
1,083,968
43,373
50,537
163,441
618,337
(9,245)
162,344
69,162
1,264,248
61,159
56,234
685,548
16,206,970
109,489
205,560
559,577
639,077
1,091,518
4,574,307
274,120
1,050,335
1,225,840
93,522
28,825
92,152
550,677
2,184
160,425
70,200
1,452,882
62,441
157,844
45,406
17,612,983
116,237
214,282
691,198
677,436
1,150,664
4,864,519
401,384
1,113,023
1,123,992
23,226
5,777
75,132
644,929
102
190,578
40,311
171,006
3,142,645
150,752
343,148
146,782
36,174,297
197,385
605,720
913,241
91,122
1,854,269
1,215,275
3,290,641
12,655,324
1,200,000
3,106,062
3,515,383
1,898,410
55,052
312,366
115,000
1,795,621
4,612,158
501,430
162.230
71,255,
1,545,075;
62,813
140,636
33,219
16,047,272
110,686
250,982
380,517
54,480
754,386
504,540
1,274,829
5,161,013
368,275
1,159,532
1,209,846
90,848
5,623
15,435
701,483
102
189,503
44,420
71,255
1,645,075
59,942
259,148
30,352
18,308,647
102,517
172,677
276,851
64,480
595,226
490,347
1,150,866
5,246,700
516,468
1,121,949
1,093,463
46,536
5,623
121,420
15,435
212,588
68,020
(2,871)
118,612
(2,868)
2,261,376
8,168
78,305
103,666
159,160
14,193
123,963
(85,657)
(148,191)
37,583
116,383
44,312
(27,520)
146, OO3
(23, O85)
(23.600)
0.0%
0.0%
-4.6%
~4.4%
f4.1%
7.4%
31.2%
'~? 2%
,%
2.8%
9.7%
-1.7%
-~0.2%
-0.8%
9.6%
0.0%
-29. 3 %
0.0%
20.8%:
0.0%
-'t2.2%
~3 1%
Total Operating Expenditures 8,886,163 9,620,214 9,912,148 10,667,608 11,332,780 38,106,687 12,370,400 11,846,746 623,666 , 4.2%
Dperating Revenues ove#(under) ~ 3,676,872
Operating Expenditures 2,864,264 3,616,661 4,467,770 6,649,362 6,280,203 (1,932,390) 6,461,902 2,786,029, 76.7%
Dther Financing Sources 112,418 1,843,7OO 6,648,822 2,007,058 2,OO7,058 0.0%
Other Financing Uses 310,713 782,466 269,416 1,378,054 3,525,592 10,770,669 4,276,722 4,276,722 0.0%
188,505
191,274
971,893
1,702,890
39,284
2,104,645
1,938,991
157,897
1,031,439
213,050
103,239
362,100
1,077,666
50,210
2,050,477
1,618,909
115,131
296,991
73,358
470,902
1,566,522
6,153
2,622,389
2,986,805
83,742
1,082,207
10,000
294,316
103,530
477,375
2,120,030
2,276,459
12,555
2,025,496
5,283,482
13,286
786, 441
10,000
299,842
loo,000
349,431
2,830,148
1,643,113
22,353
2,028,204
5,748,5O8
47,775
748,150
10,000
291,487
loo,OOO
3,406,888
564,698
31,520
2,0OO,0OO
4,738,354
5,822,360 7.574,844 5 797,891 3,532.267 4,009,345 (29.651)
I $13'9671'178 $1311661626 $14,69e,960 i $17,235,237 i $18'1361869 i $121082T630
These expenditures occur pdmardy dudng the w~nter months
259,705
9~,63~
1,515,485
4,020,276
1,819,563
26,357
2,038,321
5,590,699
126,689
800,229
10,000
· 5,725,144
$19,644,078 I $22,329,107
nJa
n/a
Wa
n/a
n/a
n/a
n/a
n/a
rda
n/a
n/a
n/a
fda
! ~2,786,030
i~--~12:05 PM
Ending Fund Balance
Solid Waste
Snow & Ice
Artedal Street
Utility Tax
SWM
Path & Trails
Strategic Reserve
Debt Service
Dumas Bay Centre
Police
Interfund Loans
Unreserved
Total Endln~l Fund Balance
Note I
n/a
n/a
n/a
n/a
n/a
n/a
la
n/a
n/a
n/a
CITY OF FEDERAL WAY
City Council
AGENDA ITEM
SUBJECT: VOUCHER
CATEGORY:
BUDGET IMPACT:
X CONSENT
ORDINANCE
BUSINESS
HEARING
FYI
RESOLUTION
STAFF REPORT
PROCLAMATION
STUDY SESSION
OTHER
Amount Budgeted: $ 2,122,981.51
Expenditure Amt: $ 2,122,981.51
Contingency Reqd:
ATTACHMENTS: VOUCHER LIST
SUMMARY/BACKGROUND:
I, the undersigned, do hereby certify under penalty of perjury that the materials have been furnished, the services
rendered, or the labor performed as described herein and that the claims are just and due obligations against the City
of F~~n, and that I am authorized to authenticate and certify to said claims.
Ma~fi~t~. _cv~~/~~ Di~~
.... .........................................................................................................................
CITY MANAGER RECOMMENDATION: Motion to approve vouchers.
APPROVED FOR INCLUSION IN COUNCIL PACKET:
(BELOW TO BE COMPLETED BY CITY CLERK'S OFFICE)
COUNCIL ACTION:
APPROVED
DENIED ~
TABLED/DEFERRED/NO ACTION
COUNCIL BILL #
ORDINANCE #
FIRST READING
ENACTMENT READ
RESOLUTION #
o chklst Check List Page: 1
0[/31/2000 07:08:20 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153525 05/16/00 701155 WELLS FARGO BANK N.A. 0821049052 05/16/00 PW-PROPERTY ACQUISITIO 13,300.00 13 300 00
Voucher: Bank Code: key
153526 05/16/00 003380 WILSON, BRIAN APR27-MAY2 05/04/00 PS-REIMB BOOKS/PARKING 935.84 935 84
Voucher: Bank Code: key
153527 05/16/00 701156 ATLANTIC RICHFIELD COMPANY 0821049194 05/16/00 PW-PROPERTY ACQUISITIO 3,044.00 3 044 00
Voucher: Bank Code: key
153528 05/23/00 003551 CITY OF KENT PW-STAR LA 05/23/00 PWS-STAR LK ROW PERMIT 3,000.00 3 000 00
Voucher: Bank Code: key
153529 05/24/00 000065 U S POSTMASTER SWR-POSTAG 05/24/00 SWR-POSTAGE:PEST MGMT 1,922 77 1,922 77
Voucher: Bank Code: key
153530 05/26/00 005267 NLEEC-NATIONAL LAW ENFORCEM PS-TRAININ 05/25/00 PS-EXPLORERS TRAINING 2,100 00 2,100 00
Voucher: Bank Code: key
153531 05/26/00 005419 GEORGIA INSTITUTE-TECHNOLOG PS-CONF FE 05/25/00 PS-EXPLORER CONFERENCE 400 00 400 00
Voucher: Bank Code: key
153532 05/31/00 000004 ASSOC OF WASHINGTON CITIES 15539' 05/11/00 MSHR-LABOR RELATIONS C 120 00 120 00
Voucher: Bank Code: key
153533 05/31/00 000007 BOISE CASCADE OFFICE PRODUC 337095 04/30/00 PWA-OFFICE SUPPLIES 91 21
Voucher: Bank Code: key 648154 04/36/00 MC-OFFICE SUPPLIES 53 76 144.97
153534 05/31/00 000008 BOOK PUBLISHING COMPANY INC 74603 05/17/00 CDPL-KC ZONING CODE SU 4 76 4.76
Voucher: Bank Code: key
153535 05/31/00 000016 IKON OFFICE SOLUTIONS 1615236A 05/22/00 DP-FAX MACHINE MAINT 8 15 8.15
Voucher: Bank Code: key
153536 05/31/00 000027. ICBO-INT'L CONF BLDG OFFICI 99910827 02/01/00 CDB-ANNUAL DUES:HERMLE 35.00 35.00
Voucher: Bank Code: key
153537 05/31/00 000043 NEW LUMBER & HARDWARE COMPA 107377 05/10/00 PKM-LINED LTHR GLOVES 22.85
Voucher: Bank Code: key 107379 05/10/00 PKM-REPAIR KIT 3.41
107396 05/10/00 PKM-CASTROL 10W30 1.73
10'7756 05/17/00 PKM-MISC SCREWS/BOLTS 4.40
107807 05/18/00 PKM-THRDED FRNT NZL 24.58
107876 05/18/00 PKM-PLASTIC PAILS 8.76
107097 05/04/00 SWM-CEMENT (12 BAGS) 134.72
107456 05/11/00 SWM-CEMENT (6 BAGS) 41.00
107717 05/16/00 PWS-FIRESTATION REMODE 13.48
107824 05/18/00 PWS-FIRESTATION REMODE 151.20
108063 05/22/00 PWS-FIRESTATION REMODE 38.24
108012 05/22/00 PWS-FIRESTATION REMODE 54.59
........................................ Page 1
.......................................................... ~-~ ,
o chklst
0[/31/2000 07:08:20
Check List
CITY OF FEDEP~AL WAY
Page: 2
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153537 05/31/00 000043 NEW LUMBER & HARDWARE COMPA (continued)
108006 05/22./00 SWM-CEM~NT (12 BAGS) 81.98
108031 05/22/00 PKCP-COAT/H3~T HOOKS 17.89 598.83
153538 05/31/00 000051
**VOID** Voucher:
PUGET SOUND ENERGY INC
Bank Code: key
PUGET SOUND ENERGY INC
Bank Code: key
153539 05/31/00 000051
Voucher:
0.00
504-2~8-10 05/17/00 PKM-ELECTRICITY/GAS CH
098-236-10 05/16/00 PKM-ELECTRICITY/GAS CH
519-842-10 05/09/00 PKM-ELECTRICITY/GAS CH
8927601700 05/09/00 PKM-ELECTRICITY/GAS CH
888-389-10 05/09/00 MC-FACILITY ELECTRICIT
398-842-10 05/09/00 PKRLS-ELECTRICITY/GAS
8927666200 05/09/00 PKRLS-ELECTRICITY/GAS
170-120-20 05/23/00 PKM-ELECTRICITY/GAS CH
319-041-10 05/08/00 PKM-ELECTRICITY/GAS CH
7].8-041-10 05/08/00 PKM-ELECTRICITY/GAS CH
711-14...-10 05/'08/00 PKM-ELECTRICITY/GAS CH
91b-041-I0 05/08/00 PKM-ELECTRICITY/GAS CH
89~59610(~0 ~5/08/00 PW~-ELECTRICITY/GAS CH
722-28~-10 05/09/u0 PKM-ELECTRICITY/GAS CH
002-]41.-10 05/08/00 PKM-ELECTRICITY/GAS CH
102-141-i0 05/98,/00 PKM-ELECTRICITY/GAS CH
109-922-10 05/08/00 PKM-ELECTRICITY/GAS CH
439-922-10 05/09/00 PKM-ELECTRICITY/GAS CH
345-200-20 05/09/00 PKCP-ELECTRICITY CHGS
727-469-10 05/22/00 PKDBC/KFT-ELECTRICITY
8926456900 05/23/00 PKDBC/KFT-NATL GAS
062-691-10 05/02/00 PWT-STREET LIGHTING
112-722-10 05/08/00 PWT-STREET LIGHTING
12!.-220-20 05/II/00 PWT-STREET LIGHTING
141-467-10 05/05/00 PWT-STREET LIGHTING
177-43'7-10 05/05/00 PWT-STREET LIGHTING
183-469-10 05,/17/'00 PWT-STREET LIGHTING
221-220-20 05/11/00 PWT-STREET LIGHTING
225-650-20 05/09/00 PWT-STREET LIGHTING
233-930-20 05/08,/00 PWT-STREET LIGHTING
241-985-10 05/08/00 PWT-STREET LIGHTING
252-150-20 05/17/00 PWT-STREET LIGHTING
352-691-10 05/02,/00 PWT-STREET LIGHTING
359-540-20 05/12/00 PWT-STREET LIGHTING
373-087-10 05/05/00 PWT-STREET LIGHTING
420-530-20 05/12/00 PWT-STREET LIGHTING
442-691-10 05/02/00 PWT-STREET LIGHTING
458-148-10 05/05/00 PWT-STREET LIGHTING
472-400-10 05/17/00 PWT-STREET LIGHTING
477-842-10 05/09/00 PWT-STREET LIGHTING
487.-650-20 05/12/00 PWT-STREET LIGHTING
497-1~6--10 05/09/00 PMT-STREET LIGHTING
2,762.75
202 84
3,407 78
223 95
315 70
812 54
584 12
57 17
57 17
264 57
6 10
97 37
85 29
163 75
44 50
6 10
1,433 98
1,507 33
2,869 71
1,527 25
805 93
13 57
171 21
5 47
169 49
94 17
115 88
5 47
132 72
120 98
145 24
90 35
25 80
22 18
113 96
92 55
25 80
217 35
70 56
140 44
181 11
102 47
O chklst
0~/31/2000 07:08:21
Chedk List
CITY OF FEDERAL WAY
Page: 4
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153545 05/31/00 000096
Voucher:
153546 05/31/00 000101
Voucher:
153547 05/31/00 000104
Voucher:
153548 05/31/00 000106
Voucher:
153549 05/31/00 000109
Voucher:
153550 05/31/00 000117
Voucher:
153551 05/31/00 000125
Voucher:
153552 05/31/00 000142
Voucher:
LAKEHAVEN UTILITY DISTRICT
Bank Code: key
PETTY CASH
Bank Code: key
LOGREYRA, EDELINE M
Bank Code: key
SELECT TRAVEL INC
Bank Code: key
0000099902 05/12/00 PKM-WATER/SEWER SVCS
0000101103 05/12/00 PKM-WATER/SEWER SVCS
0001539]03 05/12/00 P~,~-WATER/SEWER SVCS
0002798301 05/17/00 PKM-WATER/SEWER SVCS
0002830801 05/17/'00 PKM-WATER/SEWER SVCS
0002926402 05/12/00 P~4-WATER/SEWER SVCS
0002926602 05/12/00 PKM-WATER/SEWER SVCS
0003075201 u5/12/00 PKCP-WATER/SEWER SVCS
0003075301 05/12/'00 PKCP-WATER/SEWER SVCS
0003050801 05/12/00 PKCP-WATER/SEWER SVCS
0003075401 05/12/00 PKCP~WATER/SEWER SVCS
0002957001 05/12/00 PKCP-WATER/SEWER SVCS
0000080406 05/12/00 PKRLS-WATER/SEWER SVCS
0002890801 05/12/00 PKRLS-WATER/SEWER SVCS
0002883701 05/12/00 PKRLS-WATER/SEWER SVCS
0001768602 05/12/00 PKDBC-SEWER SERVICE
0002961407 05/12/00 PWS-WATER SERVICE
00027RJ.401 05,/19/00 PKM-WATER/SEWER SVCS
0002961501 05/19/00 PKM-WATER/SEWER SVCS
0003042401 05/19/00 PKM-WATER/SEWER SVCS
007645
007665
05/23/00 CDA-REIM PETTY CASH
05/24/00 CDA-INCR CASH DRAWER 1
MAY4-MAY17 05/17/00 LAW-DIST CT INTERP 5/5
5111029 05/11/00 MSGIS-AIRFARE:M STRONG
ACTIVE SECURITY CONTROL (DB 12061
Bank Code: key 12062
12085
12086
GFOA-GOV'T FINANCE OFFICERS 0007876S
Bank Code: key
KING COUNTY FINANCE DIVISIO 0024622
05/01/00 PKDBC-LOCKSMITH SERVIC
05/02/00 PKKFT-LOCKSMITH SERVIC
05/'16/00 PS-LOCKSMITH SERVICES
05/16/00 PKKFT-LOCKSMITH SERVIC
05/09/00 MSF~PUBLIB INVESTOR Sb
Bank Code: key
03/21/00 PS-KING CO JAIL SVCS
0028470 04/18/00 PWT-KC SiGNS/SIGNAL MA
0015829-JA 05/25/00 PS-KING CO JAIL SVCS
0033608 04/21/00 PS-KING CO JAIL SVCS
CITY OF FED WAY-ADVANCE TRA LAW-RiCRRD 05/09/00 LAW-LABOR RELATIONS CO
Bank Code: key pS-.Wj~MIxA 05/]6/00 PS-LEIU CONFERENCE/KAM
MSHR-STkNL 05/09/00 MSHR-LABOR RELATIONS C
PS-MOCHIZQ 05/12/00 PS-PNLTFA CONF:MOCHIZU
SWR-VANURS 05/16/00 SWR-NW HAZWASTE CONF
14 48
14 48
233 34
51 91
14 48
110 16
127 98
180 20
98 28
2,374 94
114 24
14 .48
257 . 80
19.78
14 .48
1,046.62
14 .48
31.85
14 .48
14 .48
307.46
100.00
240.00
270.00
452 31
6 54
13 10
16 55
55 O0
128,138 75
43,390 99
3,748.20
141,860.19
228.00
218.00
305.01
224.80
345.18
4,762.94
407.46
240.00
270.00
488.50
55.00
317,138.13
o chklst Check List Page: 5
0~/31/2000 07:08:21 CITY OF FEDERAL WAY
check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153552 05/31/00 000142 CITY OF FED WAY-ADVANCE TRA (continued)
153553 05/31/00 000168
Voucher:
153554 05/31/00 000173
voucher:
153555 05/31/00 000201
Voucher:
153556 05/31/00 000202
voucher:
153557 05/31/00 000205
Voucher:
153558 05/31/00 000217
Voucher:
153559 05/31/00 000229
Voucher:
153560 05/31/00 000328
Voucher:
153561 05/31/00 000341
Voucher:
153562 05/31/00 000343
Voucher:
153563 05/31/00 000414
Voucher:
PS~SCHENKE 05/12/00 PS-BOMB TECH COURSE
DAILY JOURNAL OF COMMERCE I 118191 05/13/00 PKA-AD:SACAJAWEA SOCCE
Bank Code: key
WEST PUBLISHING CORPORATION 33690 04/30/00 LAW-WESTLAW CHARGES AP
Bank Code: key
KINKO'S INC 5151000504 05/12/00 PS-PRINTING SERVICES
Bank Code: key 5151000498 04/18/00 PS-PRINTING SERVICES
5151000503 05/09/00 PKRCS-PRINTING SVCS
5151000503 05/09/00 PKRLS-PRINTING SERVICE
5151000503 05/11/00 PKP-PRINT:COMP PLAN
5151000504 05/15/00 PS-PRINTING SERVICES
5151000505 05/18/00 PKRCS-PRINTING SVCS
5151000504 05/16/00 CDPL-COMP PLAN MAP TRA
5151000502 05/05/00 PWT-PRINT:SR99/S 330TH
5151000504 05/15/00 PWS-LAMINATE SWEEP SCH
5151000505 05/19/00 PWS-PRINT:ORDINANCE CO
5151000505 05/19/00 PS-PRINTING SERVICES
5151000505 05/19/00 PS-PRINTING SERVICES
5151000505 05/19/00 PS-PRINTING SERVICES
253-661-98 05/16/00 MSTEL-PHONE/DATA SVC
U S WEST COMMUNICATIONS
Bank Code: key
GOODYEAR TIRE CENTER
Bank Code: key
061966 05/11/00 MSFLT-ENGINE ANALYSIS:
FEDERAL EXPRESS CORPORATION 4-944-8922 05/08/00 SWM-MAILING:SEATAC MAL
Bank Code: key
FEDERAL WAY CHAMBER COMMERC 6:AG97-201 05/24/00 cM-CHAMBER EXEC SALARY
Bank Code: key
ERNIE'S FUEL STOPS (DBA)
Bank Code: key
SUNRISE SELF STORAGE
Bank Code: key
ELEPHANT CAR WASH
Bank Code: key
CAFE PACIFIC CATERING INC
Bank Code: key
1:AG00-102 04/30/00 CM~TOURISM PROGRAM MGT
2:AG00-102 05/25/00 CM-TOURISM PROGRAM MGT
0050187 05/15/00 MSFLT-FUEL FOR VEHICLE
UNIT #A08 05/10/00 PS-STORAGE RENTAL FEE/
200-APR 20 04/30/00 PS-CAR WASH SERVICE
3769 05/01/00 PKDBC-CHAMBER OF COMME
3782 05/09/00 PS-CATERING SVCS 5/9
3825 05/24/00 PKDBC-WRPA 5/12/00
516.00 1,836.99
216.00 216.00
562.84 562.84
217.20
27 69
879 66
111 55
54 01
81 45
39 64
125 51
379 72
72 49
32 04
141 40
146 61
13 30
50.04
59.73
40.00
2,322.27
5O. O4
59.73
40.00
6,250.00
833.33
833.33
1, 835. 86
155.00
413.56
7,916.66
1,835.86
155.00
413.56
323.00
450.03
253.80
Page: 5
o chklst Check List Page: 6
0~/31/2000 07:08:21 CITY 'OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153563 05/31/00 000414 CAFE PACIFIC CATERING INC (continued)
3827 05/24/00 PKDBC-REI 5/18/00 170.88
3829 05/24/00 PKDBC-UNITED CHURCH OF 916.58
3830 05/24/00 PKDBC-ABLE NETWORK (AD 94.89
3831 05/24/00 PKDBC-EVA AVEDISIAN (A 139.02
3832 05/24/00 PKDBC-DEPT OF CORRECTI 640.75 2,988.95
153564 05/31/00 000428 WRPA-WA REC & PARK ASSOC 90.00 90.00
Voucher: Bank Code: key
153565 05/31/00 000437 ASSOCIATED COURIERS INC 25.00 25.00
Voucher: Bank Code: key
153566 05/31/00 000438 DELI SMITH & CHOCOLATE JONE 5342 62.19 62.19
Voucher: Bank Code: key
153567 05/31/00 000475
Voucher:
153568 05/31/00 000504
Voucher:
PK-MCCORMI 05/16/00 PKRLS-DUES:D MCCORMICK
135125 05/08/00 SWMCIP-DELIVER TO KCM/
05/09/00 CM-FOOD:DIVERSITY COMM
123420 04/20/00 PKCHBrALARM MONITORING
066475 05/11/00 PKM-STIHL ENGINE OIL/L
066439 05/11/00 SWM-STIHL ENGINE OIL
066466 05/11/00 PWS-SHARPEN STIHL BLAD
CUSTOM SECURITY SYSTEMS
Bank Code: key
ORIENTAL GARDEN CENTER
Bank Code: key
103.00 103.00
13 .56
13.29
27 16
54.01
153569 05/31/00 000533
Voucher:
153570 05/31/00 000541
Voucher:
153571 05/31/00 000560
Voucher:
153572 05/31/00 000570
**VOID** Voucher:
153573 05/31/00 000570
Voucher:
PUGET SOUND SPECIALTIES INC 15214
Bank Code: key
WESTERN EQUIPMENT DISTRIBUT 200407.2
Bank Code:' key
FEDERAL WAY PTSA COUNCIL
Bank Code: key
EAGLE TIRE & AUTOMOTIVE (DB
Bank Code: key
05/10/00 PKM-BALLFIELD SUPPLIES
05/22/00 MSFLT-MOWER SCARIFIER
200409 04/28/00 MSFLT-MOWER RAKE PRONG
Qi:AG00-05 05/05/'00 CDHS-CLOTHING RESOURCE
EAGLE TIRE & AUTOMOTIVE (DB 1003092
Bank Code: key 1003098
1003115
1003118
1003119
1003151
1003152
1003153
1003166
1003172
1003218
1003167
1003170
1003236
05/09/00 PS-TIRES:M63754 #48601
05/09/00 PS-TIRE REPAIR:MS1880
05/10/00 PS-TiRES:M84826 #48616
05/10/00 PS-LOF/ELEC CHECK/DIAG
05/10/00 PS-BATTERY/TRANS SVC:M
05/11/00 PS-BATTERY/BRAKES/LOF:
05/11/00 PS-LOF:M84941 #48616
05/11/00 PS-LOF:M82451 #48614
05/12/00 PS-ADJUST HEADLAMPS:M5
05/.12/00 PS-WIPER ASSEMBLY:M577
05/13/00 PS-REPAIR LF DOOR PANE
05/12/00 PS-TIRES:M83935 #48603
05/12/00 PS-BULBS:M79535 #48603
05/15/00 PS-LOF:M85565 #48607
451 70
152 17
571 47
1, 125 00
0 00
176. 54
13 .29
88 .27
95. 02
164 05
303 52
24 86
31 79
21 60
249 79
14 40
88 27
105 64
110 53
451.70
723.64
1,125.00
o chklst Check List Page: 7
0~/31/2000 07:08:21 CITY OF FEDERAL WAY
====================================================================================================================================
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153573 05/31/00 000570 EAGLE TIRE & AUTOMOTIVE (DB (continued)
153574 05/31/00 000588
Voucher:
153575 05/31/00 000618
Voucher:
153576 05/31/00 000630
Voucher:
153577 05/31/00 000667
Voucher:
153578 05/31/00 000671
Voucher:
153579 05/31/00 000714
Voucher:
153580 05/31/00 000721
Voucher:
153581 05/31/00 000723
Voucher:
153582 05/31/00 000730
Voucher:
153583 05/31/00 000732
Voucher:
153584 05/31/00 000757
Voucher:
153585 05/31/00 000759
Voucher:
153586 05/31/00 000874
Voucher:
153587 05/31/00 000877
Voucher:
TACOMA PUBLIC UTILITIES
Bank Code: key
UNITED HORTICULTURAL SUPPLY 7908330
Bank Code: key
LLOYD ENTERPRISES INC 48077
Bank Code: key
PJtDIO SHACK 042126
Bank Code: key
H D FOWLER COMPANY 860648
Bank Code: key
SKYHAWKS SPORTS ACADEMY
Bank Code: key
AMERICAN CONCRETE INC 0065639
Bank Code: key
SOUND RESOURCE MGMT GROUP I FWS-001
Bank Code: key
ENTRANCO INC
Bank code: key
WASPC-WA ASSOC SHERIFFS &
Bank Code: key
NORTHWEST STEEL & PIPE INC 457245
Bank Code: key
S & S WORLDWIDE, INC 3176215
Bank Code: key
MACHINERY COMPONENTS INC
Bank Code: key
NIEMEN GLASS COMPANY
Bank Code: key
1003248 05/16/00 PS-ELEC CHECK/LOF:M633
1003269 05/17/00 PS-BRAKES/LOF:M64416 #
1002274 04/04/00 PS-BATTERY
1002348 04/07/00 PS-TRANSMISSION/EXHAUS
1002803 04/26/00 PS-HEATER/ANTIFREEZE
007-307-50 05/09/00 PKM-FACILITY WATER
05/08/00 PKCP-SURFAN/ROUNDUP
04/28/00 PWS-DUMP CONCRETE W/ R
04/13/00 PKDBC-PAGING SYSTEM
05/18/00 PKM-REPAIR/MAINT SUPPL
PKRLS-WINT 02/29/00 PKRLS-WINTER BASKETBAL
PKRLS-SPRI 05/04/00 PKRLS-WINTER BASKETBAL
05/09/00 SWM-WEIGH VEHICLE
04/30/00 SWR-CONSULTING SERVICE
27571 04/25/00 PWS-PAVING INSPECTION
DUES000509 05/01/00 PS-ASSOC DUES:B WILSON
05/01/00 MSFLT-METAL GRATING
05/05/00 PKRCS-CHALK IT UP PKG
81045 04/18/00 MSFLT-MOWER BLADE/FILT
81223 05/10/00 MSFLT-MOWER BLADES
81240 05/10/00 MSFLT-OIL-TUFT PROTECT
1837 05/11/00 PWS-WIRE GLASS: DOOR
57.54
94.47
81.40
246 . 71
267.98
165.29
2,235.67
165.29
621.62 621.62
149.16 149.16
97.72 97.72
133 44
1 216 00
1 056 00
8 15
691.72
1 344.00
75.00
140.26
57.99
104.98
99.56
97.73
173.76
133.44
2,272.00
8.15
691.72
1,344.00
75.00
140.26
57.99
302.27
173.'76
Page: 7
o chklst Check List Page: 8
0~/31/2000 07:08:22 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153588 05/31/00 000891
Voucher:
153589 05/31/00 000920
Voucher:
153590 05/31/00 000939
Voucher:
153591 05/31/00 000947
Voucher:
153592 05/31/00 000955
Voucher:
153593 05/31/00 000972
Voucher:
153594 05/31/00 001018
Voucher:
153595 05/31/00 001033
Voucher:
153596 05/31/00 001046
Voucher:
153597 05/31/00 001050
Voucher:
153598 05/31/00 001052
Voucher:
153599 05/31/00 001055
Voucher:
153600 05/31/00 001100
Voucher:
153601 05/31/00 001124
Voucher:
153602 05/31/00 001131
Voucher:
OFFICE DEPOT CREDIT PLAN
Bank Code: key
8430190390 04/27,/00 PWS-FOAM COR BOARD
8431030860 04/12/00 MC-PRINTING SVCS
9602357000 04/12/00 MC-EXEC/TASK CHAIRS
9788657900 05/04/00 MC-DESK/CHAIRS/CART/ST
3282156900 05/17/00 PKDBC-BROCHURE PAPER
PAPER DIRECT INC
Bank Code: key
CRYSTAL SPRINGS WATER CO IN 446237
Bank Code: key
SQUEEGEE CLEAN WINDOW CLEAN 2500
Bank Code: key
MUTUAL MATERIALS COMPANY
Bank Code: key
ATHLETIC SUPPLY COMPANY 843883
Bank Code: key
NELSON TRUCK EQUIPMENT CO I 226692
Bank Code: key
AB003930S
AB004141S
04/30/00 PKCP-COOLER RENTAL
05/20/00 PS-JANITORIAL SERVICES
05/04/00 SWMCIP-BRUSH KALS/SAND
05/10/00 SWM-LADUR STD WT ND 4"
05/10/00 PKRLS-LINE MARKER-200
05/11/00 MSFLT-STROBE BULBS #48
WA STATE-LICENSING/ENGINEER 23201-TANG 05/22/00 SWM-ENG LICENSE RENL:T
Bank Code: key
EQUIFAX CREDIT INFORMATION 2394338
Bank Code: key
REUTER, KURT APR4-MAY5
Bank Code: key
GENUINE PARTS COMPANY
Bank Code: key
FEDERAL WAY SYMPHONY
Bank Code: key
TRANSPO GROUP INC
Bank Code: key
VERIZON WIRELESS
Bank Code: key
04/25/00 PS-CREDIT REPORTS
05/15/00 PKRLS-REIMBURSE MILEAG
502894 05/01/00 MSFLT-GAS CAP #48030
492728 03/23/00 PKCP-SPARK PLUGS/BULBS
508148 05/22/00 PKCP-GAUGE
PKRCS-FEB1 02/14/00 PKRCS-CULTURAL ARTS PR
PKRCS-MAR 03/30/00 PKRCS-CULTURAL ARTS PR
0001570 04/27/00 PWTCIP-SR99/S 330TH ST
1004-65261 05/05/00 MSTEL-CELL AIR TIME
1004-57603 05/13/00 PKDBC-CELL AIRTIME
EVERGREEN AUTO ELECTRIC INC 1447
Bank Code: key
05/19/00 MSFLT-INSTL LIGHTBAR/W
41.24
32.57
781.88
2,953.75
260.85
11.95
1,275.00
99.84
57.34
72.71
3,809.44
260.85
11.95
1 275.00
157.18
72.71
20.96 20.96
100.00 100.00
22.25 22.25
32.50 32.50
7.27
41. 04
8.68
2,200 00
2,050 00
3,994 10
9O 04
23 13
763. 14
56.99
4 250.00
3 994.10
113.17
763.14
O chklst Check List Page: 9
0~/31/2000 07:08:22 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153603 05/31/00 001146 USSSA/SLO-PITCH SOFTBALL AS 3365 05/18/00 PKRLS-MENS SOFTBALL FE 2,575.00 2,575.00
Voucher:
153604 05/31/00 001183
Voucher:
153605 05/31/00 001189
Voucher:
153606 05/31/00 001215
Voucher:
153607 05/31/00 001233
Voucher:
153608 05/31/00 001263
Voucher:
153609 05/31/00 001267
Voucher:
153610 05/31/00 001297
Voucher:
153611 05/31/00 001336
Voucher:
153612 05/31/00 001407
Voucher:
153613 05/31/00 001411
Voucher:
153614 05/31/00 001431
Voucher:
153615 05/31/00 001498
Voucher:
153616 05/31/00 001523
voucher:
Bank Code: key
FEDERAL WAY PUBLIC SCHOOLS AR00827
Bank Code: key
PETTY CASH 007690
Bank Code: key
NATIONAL SEMINARS GROUP
Bank Code: key
A T & T BUSINESS SERVICE
Bank Code: key
MICHAELS STORES #8900
Bank Code: key
TOP FOODS HAGGEN INC
Bank Code: key
05/17/00 PKM-50% UTILITY REIMB
05/24/00 CM-REIM PETTY CASH
6113603210 05/15/00 PS-SEMINAR FEE:D MORSE
0510657509 04/28/00 MSTEL-LONG DISTAiqCE SV
0510661494 04/28/00 MSTEL-LONG DIST~dqCE SV
0510660202 05/07/00 MSTEL-LONG DISTANCE SV
0510678441 04/30/00 MSTEL-LONG DISTANCE SV
0510645149 05/15/00 MSTEL-LONG DISTANCE SV
0470
68234
68273
68265
05/12/00 PS-CUSTOM FRAME/TAPE
FACILITY MAINTENANCE CONTRA 029939
Bank Code: key 030070
029848
05/10/00 PKRLS/SP-FOOD:COOKING
05/18/00 PKRLS-FOOD SUPPLIES
05/24/00 PKRLS-KOREAN FOOD SUPP
05/15/00 PKM-LANDSCAPE MAINT SV
05/15/00 PKM-LANDSCAPE MAINT SV
04/30/00 SWM-BELMOR PARK QUARRY
LUCENT TECHNOLOGIES INC 1203184865 05/12/00 MSTEL-SYS MAINT
Bank Code: key
ADVANCED'DRAINAGE SYSTEMS I 11321914 05/08/00 SWM-FUEL SURCHARGE
Bank Code: key 11321945 05/08/00 SW~-FUEL SURCHARGE
11321993 05/08/00 SWM-FUEL SURCHARGE
11321514 05/05/00 SW74CIP-PIPE/LUBRICANT
POSTAL EXPRESS INC POSTAGE/AP 04/30/00 MSM&D~POSTAGE:CITY MAI
Bank Code: key BM204011 04/30/00 MSM&D-CITY COURIER SVC
5008886 04/27/00 PWS-CLASS B ASPHALT
M A SEGALE INC
Bank Code: key
7.24 7.24
217.36 217.36
139.00 139.00
44.49
17.24
16.00
16.00
37.29
9.44
46.84
20.68
65.14
986.71
787.36
1,298.42
1,279.40
54.30
54.30
54.30
2,050.30
3,085.28
1,806.62
264.17
R W RHINE INC C9686 05/05/00 PWS-ASPHALT DUMPING FE 135.42
Bank Code: key C9687 05/05/00 PWS-ASPHALT DISPOSAL 106.35
OCE-BRUNING INC
Bank Code: key
690423 05/08/00 MSM&D-PLANS COPIER PAP 323.44
692470 05/09/00 MSM&D-TONER/PLANS COPI 876.45
693000 05/10/00 MSM&D-PLANS COPIER MAI 2,941.98
13 1.02
9.44
132.66
3,072.49
1,279.40
2,213.20
4,891.90
264.17
241.77
4,141.87
Page: 9
o chklst Check List Page: 10
0~/31/2000 07:08:22 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153617 05/31/00 001596
Voucher:
STONEWAY CONCRETE INC
Bank Code: key
403570 05,/02/00 SWM-SAND/GRAVEL MIX 66.61
153618 05/31/00 001601 TAK INC 4889
Voucher: Bank Code: key
153619 05/31/00 001630
Voucher:
153620 05/31/00 001646
Voucher:
153621 05/31/00 001647
Voucher:
153622 05/31/00 001715
Voucher:
153623 05/31/00 001805
Voucher:
'153624 05/31/00 001811
Voucher:
153625 05/31/00 001843
Voucher:
BLUMENTHAL UNIFORM CO INC
Bank Code: key
BASIN OIL.CO INC
Bank Code: key
KELLER SUPPLY COMPANY
Bank Code: key
TRUGREEN-CHEMLAWN
Bank Code: key
VADIS NORTHWEST
Bank Code: key
05/23/00 MSF-AP WINDOW ENVELOPE
153626 05/31/00 001936
Voucher:
430.89
135304 05/08/00 PS-UNIFORM CLOTHING 183.64
135494 05/15/00 PS-UNIFORM CLOTHING 166.05
135730 05/15/00 PS-UNIFORM CLOTHING 180.71
135740 05/15/00 PS-UNIFORM CLOTHING 97.69
136756 05/11/00 PS-UNIFORM CLOTHING 238.87
137128 05/15/00 PS-UNIFORM CLOTHING 207.91
68133 05/13/00 SWR-RECYCLE USED OIL 1,632.75
6654738 05/09/00 PKM-ZURN PART #A-1300 35.49
6664119 05/12/00 PKM-ZURN PART #Z-1310 24.63
6657764 05/10/00 PWS-HI PRESSURE WATER 699.83
6649068 05/05/00 PWS-TOILETS:FIREHOUSE 330.52
849916 05/05/00 PKRLS-PESTICIDE SVCS 54.30
00011362
05/02/00 PWSWR-LITTER CONTROL S
05/10/00 PKRCS-FILL HELIUM TANK
BALLOON SPECIALTIES/NW GASE PKRCS-MAY
Bank Code: key
MORRIS PIHA REAL ESTATE SVC #734/PS-JU 05/23/00 PS-gTH AVE BLDG LEASE
Bank Code: key #734/MC-JU 05/23/00 MC-gTH AVE BLDG LEASE
#730KLCC-J 05/23/00 PKRLS-#730 KLCC RENTAL
000517354 05/03/00 MSTEL-PAGER LEASE
3,942.00
80.97
19,408 79
5,629 00
462 47
1,324 11
66 61
430 89
PAGENET
Bank Code: key
SERVICE LINEN SUPPLY
Bank Code: key
WESTERN LINEN/WELCOME MAT
Bank Code: key
GOSNEY MOTOR PARTS
Bank Code: key
1,074 87
1,632 75
1,090.47
54.30
3 942.00
80.97
25 500.26
1 324.11
153627 05/31/00 001988 511/7655 05/11/00 PKRLS-LINEN SERVICES 25.78
Voucher: 518/3875 05/18/00 PKRLS-LINEN SERVICES 23.43 49.21
113/0500
113/0500
63.03
63 03
314 52
535 O0
153628 05/31/00 001990
Voucher:
05./22/00 PKRLS-CARPET RENTAL
04/24/00 PKRLS-CARPET RENTAL
05/04/00 MSFLT-WRENCH SET
05/18/00 PKM-PASTE WASTE BAGS
153629 05/31/00 001992
Voucher:
235510
153630 05/31/00 002007 PETPRO PRODUCTS INC 13531
Voucher: Bank Code: key
126.06
314.52
535 .00
O chklst Check List Page: 11
0~/31/2000 07:08:22 CITY OF FEDERAL WAY
Check Date Vendor
153631 05/31/00 002010
Voucher:
153632 05/31/00 002044
Voucher:
153633 05/31/00 002087
Voucher:
153634 05/31/00 002093
Voucher:
153635 05/31/00 002128
Voucher:
153636 05/31/00 002137
Voucher:
153637 05/31/00 002204
Voucher:
153638 05/31/00 002386
Voucher:
153639 05/31/00 002392
Voucher:
153640 05/31/00 002426
Voucher:
153641 05/31/00 002432
Voucher:
153642 05/31/00 002464
Voucher:
153643 05/31/00 002501
Voucher:
153644 05/31/00 002517
Voucher:
153645 05/31/00 002521
Voucher:
153646 05/31/00 002528
Voucher:
KCM INC
Bank Code: key
PACIFIC SAFETY SUPPLY INC 96613
Bank Code:' key
WHITMAN & ASSOCIATES INC
Bank Code: key
RALEIGH, SCHWARZ & POWELL I 77155
Bank Code: key
KLEINS COMMERCIAL DOOR SERV 1292
Bank Code: key
INLAND FOUNDRY COMPANY INC K24827
Bank Code: key
WILBUR-ELLIS COMPANY
Bank Code: key
PAWLAK, SUSAN
Bank Code: key
Invoice Inv. Date Description
128837. 05/11/00 PWSWM-STAR LK BASIN DR
128764 05/10/00 SWM-MALL DETENTION PH
05/18/00 SWM-SAFETY VESTS/GLOVE
00-5028 05/11/00 PKCHB-CARPET CLEANING
05/01/00 MSRM-INSURANCE BROKER
05/18/00 PKDBC-REPAIR FRONT DOO
05/08/00 SWM-18x24 VANED GRATE/
24-85957 05/04/00 PWS-ROUNDUP WEED KILLE
CA15712FW 05/05/00 LAW-DIST CT INTERP 5/5
REGIONAL TELEPHONE DIRECTOR 2335293872 05/01/00 PKDBC-YELLOW PAGES AD
Bank Code: key
UNITED GROCERS CASH & CARRY 350 05/16/00 PKDBC-PACKAGING SUPPLI
Bank Code: key 352 05/16/00 PKDBC-SALES TAX INV350
7981 03/07/00 PKRLS-MISC SUPPLIES
BRAVO PUBLICATIONS INC PKDBC-GUID 05/16/00 PKDBC-AD:BRIDAL/EVENT
Bank Code: key PKKFT-GUID 05/16/00 PKKFT-AD:EVENT GUIDE
LAKE KILLARNEY IMPROVEMENTS LK KILLARN 05/22/00 SWM-AQUATIC PLANT MGT
Bank Code: key
SHOPE CONCRETE PRODUCTS CO
Bank Code: key
VAN ORSOW, ROB
Bank Code: key
SUPERLON PLASTICS COMPANY
Bank Code: key
EASY GOING OUTINGS INC
Bank Code: key
96299 05/09/00 SWM-T26 CURB INLET
SWR-MAY 22 05/22/00 PWSWR-REIM CONF REG FE
2613B
1355
05/02/00 PWS-PVC PIPE/CEMENT/CO
05/15/00 PKRLS-GUIDED TOUR PROG
Amount Paid Check Total
6,145.22
49,586.31
397.25
757 90
5,000 00
104.26
1,710.55
5O6.4O
70.00
1,011.52
22 14
1 90
12 O0
1,541 25
513 75
500 O0
609 75
125 00
160 31
413 00
55,731.53
397.25
757.90
5 000 00
104 26
1 710 55
506 40
70 00
1 011 52
36.04
2,055.00
500.00
609.75
125.00
160.31
413 .'00
Page: 11
O chklst Check List Page: 12
0~/31/2000 07:08:23 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153647 05/31/00 002534 ARBORSCAN INC 265
Voucher: Bank Code: key 293
268
244-1
05/02/00 PKM-TREE PRUNING SVCS
05/11/00 PKM-TREE PRUNING SVCS
05/02/00 PWS-TREE REMOVAL SVCS
04/20/00 PKCP-CONSULTING SVCS
488 70
401 82
488 70
300 O0
1,679.22
153648 05/31/00 002545
Voucher:
153649 05/31/00 002548
Voucher:
PACIFIC AIR CONTROL INC
Bank Code: key
SPRAGUE PEST CONTROL
Bank Code: key
56615
1-71841
1-71915
1-71869
04/13/00 PKCHB-HVAC 9LAINTENA~NCE
05/01/00 PKDBC-PEST CONTROL SVC
05/01/00 PKM-PEST CONTROL SVCS
05/01/00 PKRLS-PEST CONTROL SVC
1,037 40
86 88
86 88
48 87
1, 037.40
222.63
153650 05/31/00 002557
Voucher:
153651 05/31/00 002567
Voucher:
153652 05/31/00 002574
Voucher:
153653 05/31/00 002616
Voucher:
153654 05/31/00 002640
Voucher:
153655 05/31/00 002679
Voucher:
153656 05/31/00 002682
Voucher:
153657 05/31/00 002781
Voucher:
153658 05/31/00 002797
Voucher:
153659 05/31/00 002807
Voucher:
153660 05/31/00 002819
Voucher:
153661 05/31/00 002822
Voucher:
PETTY CASH FUND-PARKS MAINT 007649
Bank Code: key
WEARGUARD
Bank Code: key
GRAFLAM & DUNN, P.C. 155033
Bank Code: key
GREASE MONKEY 150853
Bank Code: key
ESCOM SOFTWARE SERVICES LTD M8044
Bank Code: key
KANG, SAI C CA15676FW
Bank Code: key
INTERNATIONAL ASSOCIATION O 00425900
Bank Code: key
CARLSON, AURORA
Bank Code: key
LOMBARDO, MYRIAM
Bank Code: key
SADRI, MEHDI
Bank Code: key
THE FINISHING TOUCH 6352
Bank Code: key
PETTY CASH-DUM3%S BAY CENTRE 007642
Bank Code: key
05/23/00 PKM-REIM PETTY CASH
42263297-2 05/04/00 PKM-E'EE UNIFORM VEST
02/29/00 LAW-LEGAL SERVICES (G)
05/10/00 MSFLT-LOF:M26590#48200
05/09/00 MSDP-ESCOM SOFTWARE MA
05/03/00 LAW-DIST CT INTERP 5/3
05/24/00 CDB-IAEI DUES:MCCONNEL
PS-MAY 19T 05/25/00 PS-REIM FILM:PHOTO CLA
LAW-MAY 2N 05/02/00 LAW-DIST CT INTERP CA3
MAY8-MAY12 05/15/00 MSDP-REIM TRAVEL EXPEN
05/02/00 PKDBC-INSTALL BLINDS
05/23/00 PKDBC-REIM PETTY CASH
142 78
48 47
12 846 63
38 54
3 835 00
35 O0
6O 00
89 79
6O 00
409 76
3 171 12
66 70
142.78
48.47
12,846.63
38.54
3,835.00
35.00
60.00
89.79
60.00
409.76
3,171.12
66.70
Page: 12
O chklst Check List Page: 13
0~/31/2000 07:08:23 CITY OF FEDERAL WAY
Check Date Vendor Invoice InvoDate Description Amount Paid Check Total
153662 05/31/00 002887 EN POINTE TECHNOLOGIES 90130252 05/05/00 MSDP-VIDEO PRINT KITS 240.90
Voucher:
153663 05/31/00 002893
Voucher:
153664 05/31/00 002957
Voucher:
153665 05/31/00 003048
Voucher:
153666 05/31/00 003090
Voucher:
153667 05/31/00 003093
Voucher:
153668 05/31/00 003129
Voucher:
153669 05/31/00 003138
Voucher:
153670 05/31/00 003346
Voucher:
153671 05/31/00 003376
Voucher:
153672 05/31/00 003402
Voucher:
153673 05/31/00 003560
Voucher:
153674 05/31/00 003563
Voucher:
153675 05/31/00 003622
Voucher:
153676 05/31/00 003623
Voucher:
153677 05/31/00 003697
Voucher:
Bank Code: key 90130253 05/05/00 MSDP-EXTENDER CABLES
INDUSTRIAL BOLT & SUPPLY IN 139452-1 05/11/00 MSFLT-PRIMER/PAINTS/CL
Bank Code: key
HARVEY, WARD & ASSOCIATES PS-HARREUS 05/12/00 PS-BKGRD INVEST SEMINA
Bank Code: key
PETTY CASH-PUBLIC SAFETY DE 007697
Bank Code: key
ARTCO CRAFTS 1674
Bank Code: key
CASCADE COMPUTER MAINTENANC 9020271
.Bank Code: key 9020587
AMS LASER SUPPLY
Bank Code: key
NORMED
Bank Code: key
IMSA
Bank Code: key
KIRICHENKO, ALEX
Bank Code: key
VALLEY PONTIAC BUICK GMC IN GCCS68405
Bank code: key
HUNTERS TREE SERVICE 922
Bank Code: key
VALLEY COMMUNICATIONS CENTE 0408
Bank Code: key
PHILLIPS MORRIS SCALE COMPA 134545
Bank Code: key
THE SOLUTIONS GROUP INC
Bank Code: key
SOUND.SAFETY PRODUCTS INC
Bank Code: key
05/25/00 PS-REIM PETTY CASH
04/26/00 PKRCS-PROGRAM SUPPLIES
05/08/00 MSDP-PRINTER MAINT
05/15/00 MSDP-PRINTER MAINT
257848 05/19/00 MSDP-PRINTER TONER
257982 05/23/00 MSDP-PRINTER TONER
257849 05/19/00 MSDP-PRINTER TONER
12378-3242 05/15/00 PS-1ST AID KIT/BLA/qKET
12378-3179 03/09/00 PS-1ST AID KIT
3616 05/10/00 PWT-STUDY GUIDE:JEPSON
CA06766FW 05/05/00 LAW-DIST CT INTERP 5/5
05/16/00 MSFLT-ENGINE DIAGNOSIS
05/08/00 PWS-TREE/DEBRIS REMOVA
05/12/00 PS-EMER DISPATCH SVCS
9800322
9800322-1
05/13/00 PS-TRIPLE BEAM SCALE
03/28/00 PKCHB-CONSULTING SVCS
03/28/00 PKCHB-PERMIT FILE CONV
34.10 275.00
430.96 430.96
245.00 245.00
266.84 266.84
44.98 44.98
129.02
469.15 598.17
429.62
232.40
183.43
369.83
7.14
107 00
9O 00
170 01
2 009 10
233 865 50
143 59
1,680 00
5,342.06
204083 04/25/00 PWS-SAFETY JACKET 349.53
204095 05/04/00 PWS-ORANGE T-SHIRT 9.02
204088 04/29/00 PWS-UNIFORM CLOTHING/C 642.77
845.45
376.97
107.00
90.00
170.01
2,009.10
233,865.50
143.59
7,022.06
...................................................~,. Page: 13
o chklst Check List Page: 14
0~/31/2000 07:08:23 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153677 05/31/00 003697 SOUND SAFETY PRODUCTS INC (continued)
153678 05/31/00 003702
Voucher:
153679 05/31/00 003718
Voucher:
153680 05/31/00 003841
Voucher:
153681 05/31/00 003854
Voucher:
153682 05/31/00 003869
Voucher:
153683 05/31/00 003873
Voucher:
153684 05/31/00 003896
Voucher:
153685 05/31/00 003940
Voucher:
153686 05/31/00 003948
Voucher:
153687 05/31/00 003992
Voucher:
153688 05/31/00 004004
Voucher:
153689 05/31/00 004052
Voucher:
204893
204089
190390
190391
190392
190400
190403
190423
190395
190417
WA STATE WEIGHTS & MEASURES 10
Bank Code: key
05/'09/00 PWS-CLOTHING EXCHANGE
04/29/00 PWS-UNIFORM CLOTHING
04/13/99 PWS-UNIFORM CLOTHING
04/13/99 PWS-UNIFORM CLOTHING
04/13/99 PWS-UNIFORM CLOTHING
04/21/99 PWS-CR:INV 190390/92
04/17/99 PWS-CR:INV 190391
04/30/99 PWS-UNIFORM CLOTHING
04/13/99 PWS-CR:INV 190390
04/24/99 PWS~CR:INV 190395
05/08/00 PS-SCALE INSPECTION SV
JENKINS, HARDY & ASSOC, PLL LAW-POST D 05/12/00 LAW-PUB DEF/POST SENTE
Bank Code: key LAW-QTR1 R 05/12/00 LAW-PUB DEF/QTRLY RECO
MAY1-MAY31 05/23/00 LAW-PUBLIC DEFENDER SV
CAl1297FW 05/16/00 LAW-PUBLIC DEFENDER SV
TEMPORARY STORAGE OF WA INC 1313
Bank Code: key
WESTERN STATES INFO NETWORK PS-JONES
Bank Code: key
TOTAL RECLAIM INC 9374
Bank Code: key
SIGN-A-P, AM3~ 04306
Bank Code: key
SUMMIT LAW GROUP 7610
Bank Code: key
KING COUNTY EMERGENCY MGMT PS-SCHUBER 05/18/00 PS-HAZMAT OPERATIONS
Bank Code: key
EDGEWOOD FIREPLACE SHOP INC 9953
Bank Code: key 15562
ACN COMPUTER
Bank Code: key
PACIFIC COAST FORD INC
Bank Code: key
05/16/00 PWS-PORTABLE TOILET SV
05,/25/00 PS-WSIN CONF REG FEE
05/18/00 SWR-APPLIANCE DISPOSAL
05/11/00 CDPL-PUBLIC NOTICE SIG
05/17/00 LAW-PROF LEGAL SERVICE
014597
014680
05/01/00 PWS-TRIMMER/BLOWER
05/02/00 SWM-BRUSHCUTTER REPAIR
05/09/00 MSDP-HARD DRIVE/MODEM
05/22/00 MSDP-MEMORY MODULES/MO
PS-MAY 12T 05/12/00 PS-LEASE CONTRACT
05/02/00 MSFLT-STREAMLIGHT SL20
LAW ENFORCEMENT EQUIPMENT D 05020011
BAnk Code: key
2.55
365 71
546 86
459 10
356 48
-169 63
-63 04
85 74
-31 55
-17 32
15.00
1 665.00
4 140.00
16 102.00
644 00
60 00
200 O0
1 620 00
1 357 50
64 50
60 O0
1 012 49
41 73
736 31
243 26
1 532 97
963 57
2,536.22
15.00
22,551.00
60.00
200.00
1,620.00
1,357.50
64.50
60.0O
1,054.22
979.57
1,532.97
963.57
O chklst Check List Page: 15
0~/31/2000 07:08:23 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153690 05/31/00 004093 U S WEST INTERPRISE D08-6046-0 05/19/00 MSTEL-DATA COMM LINES 429.75 429.75
Voucher: Bank Code: key
153691 05/31/00 004184 PMW ASSOCIATES 104 04/24/00 PS-PROF ASSESSMENT SVC 6,921.01 6,921.01
Voucher: Bank Code: key
153692 05/31/00 004224 LUTTIO, STEPHEN P 99-16722 05/08/00 PS-INTERPRETER SVCS 50.00 50.00
Voucher: Bank Code: key
153693 05/31/00 004234 ABT TOWING OF FEDERAL WAY I 27505 04/15/00 PS-VEHICLE TOW CHARGES 101.00 101.00
Voucher:
153694 05/31/00
Voucher:
004270
153695 05/31/00 004273
Voucher:
153696 05/31/00 004288
Voucher:
153697 05/31/00 004289
Voucher:
153698 05/31/00 004302
Voucher:
153699 05/31/00 004311
Voucher:
153700 05/31/00 004317
Voucher:
153701 05/31/00 004359
Voucher:
153702 05/31/00 004364
Voucher:
Bank Code: key
FEDERAL WAY MIRROR
Bank Code: key
DAY, JEFFREY K
Bank Code: key
LAKE TAPPS PRESSURE WASH
Bank Code: key
WA STATE-APPEALS COURT DIV
Bank code: key
FEDERAL WAY NEWS
Bank Code: key
PACIFIC RIM RESOURCES INC
Bank Code: key
RITZ CAMERA ONE HOUR PHOTO
Bank Code: key
002027 04/29/00 MSHR-AD:COURT CLERK II 110.80
002056 05/10/00 MSHR-JOB AD:SWM WORKER 110.80
002046 05/06/00 MSHR-JOB AD:CRT CLERK 110.80
002045 05/06/00 MSHR-JOB AD:PROSECUTOR 110.80
002033 04/29/00 CDPL-NOTICE:SO 320TH W 132.83
002042 05/03/00 CDPL-NOTICE:SUMPTER SH 107.53
002053 05/06/00 CDPL-NOTICE:WEYERHAEUS 240.35
002071 05/13/00 CDPL-NOTICE:NEXTEL WIR 227.70
002072 05/13/00 PKA-AD:SACAJAWEA SOCCE 189.75
002063 05/13/00 PKRLS-AD:YOUTH COMM VA 138.50
041900 04/18/00 PS-AD:STUDENT OF DISTI 1,200.00
APR25-MAY1 05/19/00 LAW-PUBLIC DEFENSE SVC 600.00
99-1485 05/03/00 MSFLT-VEH CLEANING SVC 366.53
44528-6-I
05/23/00 LAW-PRINT:APP BRIEF GR
2,679.86
600.00
366.53
8.30 8.30
PKRCS-SUBS 05/19/00 PKRCS-1YR SUBSCRIPTION 24.00
24 03/17/00 SWR-GRASSCYCLING EVENT 19,000.00
33 03/17/00 SWR-MEDIA/AD:GRASSCYCL 5,500.00
1026084040 05/02/00 PS-PHOTO SUPPLIES/SVC 62.64
1026089220 05/11/00 PS-VIDEO BATTERY 43.39
1026089270 05/11/00 PS-VIDEO BATTERY 27.10
05/16 00 PWSWR-STORAGE FEE E020
CENTURY SQUARE SELF-STORAGE 2241
Bank Code: key
CENTRE' AT NORPOINT 4534
Bank Code: key 4535
544.50
35.00
50.00
05/17 00 PKRLS-SWIMMING PROGRAM
05/17 00 PKRLS-SWIMMING CLASS 2
24. O0
24,500.00
133.13
544.50
Page: 15
o chklst
03/31/2000 07:08:23
Check List
CITY OF FEDERAL WAY
Page: 16
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153702 05/31/00 004364
153703 05/31/00 004366
Voucher:
153704 05/31/00 004394
Voucher:
153705 05/31/00 004395
Voucher:
153706 05/31/00 004396
Voucher:
153707 05/31/00 004409
Voucher:
153708 05/31/00 004420
Voucher:
153709 05/31/00 004431
Voucher:
153710 05/31/00 004440
Voucher:
153711 05/31/00 004518
Voucher:
153712 05/31/00 004529
Voucher:
153713 05/31/00 004537
Voucher:
153714 05/31/00 004613
Voucher:
153715 05/31/00 004645
Voucher:
153716 05/31/00 004656
Voucher:
153717 05/31/00 004676
Voucher:
CENTRE AT NORPOINT
(continued)
4537 05/17/00 PKRLS-SWIMMING PROGRAM 175.00
4536 05/17/00 PKRLS-SWIMMING CLASS 1 40.00 300.00
05/11/00 MSFLT-TRAILER EQUIPMEN 59.31 59.31
FLOYD EQUIPMENT COMPANY INC A7179
Bank Code: key
NORTHWEST COMPUTER SUPPLIES 00083504
Bank Code: key
05/17/00 MSDP-HITACHI VIDEO KIT
CONSOLIDATED ELECTRICAL, DI 8073-69178 04/03/00 PKKFT-LAMPS/LIGHT FIXT
Bank Code: key
HOFFMAN, DEBORAH
Bank Code: key
INGHAM, BARB
Bank Code: key
EVENT DYNAMICS INC SG00-63
Bank Code: key
MADRONA PLANNING DVLPMT SVC 00001972
Bank Code: key
WSLEFIA-WA STATE LAW ENFORC PS-SUMPTER 05/15/00 PS-TACTICAL 2000:SUMPT
Bank Code: key PS-ERBAR 05/15/00 PS-TACTICAL 2000:ERBAR
RIVER OAKS COMMUNICATIONS C MAR6-APR4
Bank Code: key
CENTER FOR CRIMINAL JUSTICE PS-WILSON
Bank Code: key PS-LANDON
SATARAKA, NEDDY K CA13135FW
Bank Code: key
PURKISS-ROSE, RSI 2036
Bank'Code: key
ITR INC, WASTE TIRE ENERGY 11445
Bank Code: key
KING COUNTY PHYS DIRECTORY 4937
Bank Code: key
CENTERSTAGE THEATRE ARTS, C APR16-MAR1 05/14/00 PKRCS-CULTURAL ARTS PR
Bank Code: key
NOV19-MAY3 05/09/00 PKRLS-REIM CLASS SUPPL
MAR22-APR2 05/22/00 PKRCS-REIM CLASS SUPPL
04/25/00 CDPL-CTED SMART GROWTH
01/27/00 CDPL-TELECOMMUNICATION
04/20/00 LAW-TELECOMMUNICATIONS
05/17/00 PS-FIELD EVIDENCE COUR
05/17/00 PS-FIELD EVIDENCE COUR
05/04/00 LAW-DIST CT INTERPR 5/
04/30/00 PKC-FACILITY DESIGN/SK
05/13/00 SWR-TIRE RECYCLING EVE
05/15/00 PS-KCPD 2000 EDITION
216 02
861 55
122 70
49 59
30 00
460 20
55 00
55 00
3,151 97
581 00
581.00
52.50
216.02
861.55
122.70
49.59
30.00
460.20
110.00
3,151.97
1,162.00
52.50
941.27 941.27
935. 00 935.00
67.28 67.28
2,100.00 2,100.00
O chklst Check List Page: 17
0~/31/2000 07:08:23 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153718 05/31/00 004702 MARRA, HERBERT A PS-MAY 5TH 05/05/00 PS-SWAT PSYCH EVALS 3,175.00 3,175.00
Voucher:
153719 05/31/00 004710
Voucher:
153720 05/31/00 004766
Voucher:
153721 05/31/00 004785
Voucher:
153722 05/31/00 004816
Voucher:
153723 05/31/00 004840
Voucher:
153724 05/31/00 004849
Voucher:
153725 05/31/00 004865
Voucher:
153726 05/31/00 004866
Voucher:
153727 05/31/00 004909
Voucher:
153728 05/31/00 004955
Voucher:
153729 05/31/00 004963
Voucher:
153730 05/31/00 004977
Voucher:
153731 05/31/00 005004
Voucher:
153732 05/31/00 005024
Voucher:
153733 05/31/00 005025
Voucher:
Bank Code: key
VISIONS PHOTO LAB & STUDIO
Bank Code: key
WOLF, JIM
Bank Code: key
DANIEL SMITH INC
Bank Code: key
FWCCN/FW JOB CENTER
Bank Code: key
EVAC-EMERGENCY VEHICLE 99344
Bank Code: key 99354
SAM'S JANITORIAL SERVICE &, 41125
Bank Code: key 41072
FLAGS A'FLYING 4359
Bank Code: key
BRIM TRACTOR COMPANY INC
Bank Code: key
DIVINA, MARC
Bank Code: key
ASKANDER, LOLA
Bank Code: key
SOUND PUBLISHING INC 3396
Bank Code: key
BLIMPIE SUBS & SALADS 4593
Bank Code: key
MORRIS-HANSEN ENTERPRISES I 8505
Bank Code: key
STONEWAY CONSTRUCTION SUPPL 19454
Bank Code: key
PCCI 5100/3
Bank Code: key
00-1690 05/11/00 SWM-FILM DEVELOPING SV
PS-MAY 2ND 05/10/00 PS-REIM: WORK BOOTS
P003412000 05/06/00 PKRCS-DRAWING PAD:ART
Q2:AG00-02 05/10/00 CDHS-JOB CENTER
05/04/00 MSFLT-REPL MICROPHONE
05/15/00 PS-POLYTUFF CLEAR LENS
05/16/00 PKM-MULTI-FOLD TOWELS/
05/09/00 PKDBC-COLD CUPS/GLOVES
05/09/00 PKM-51 US/STATE FLAGS
WO30463 05/15/00 MSFLT-REPAIR/MAINT SVC
PWS-MAY 2N 05/02/00 PWS-REIM WORK BOOTS
CAll319FW 05/05/00 LAW-DIST CT INTERP 5/5
05/25/00 PKRCS-SUMMER BROCHURE
05/16/00 CC-FOOD:COUNCIL MTG 5/
04/20/00 PKRLS-WINDOW CLEANING
05/02/00 SWM-JOINT/CURB GUTTER
05/01/00 PKCHB-JANITORIAL SVCS
11.32 11.32
100.00 100.00
183.39 183.39
'85.00 85.00
81.30
893.22
335.57
430.57
1, 547.55
540.39
59 5O
67 50
5,852 46
64 97
100 00
70 59
1,796 00
974.52
766.14
1,547.55
540.39
59.50
67.50
5,852.46
64.97
100.00
70.59
1,796.00
O chklst Check List Page: 18
0~/31/2000 07:08:23 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description
153734 05/31/00 005031
Voucher:
153735 05/31/00 005036
Voucher:
153736 05/31/00 005062
Voucher:
153737 05/31/00 005098
Voucher:
153738 05/31/00 005100
Voucher:
153739 05/31/00 005102
Voucher:
153740 05/31/00 005133
Voucher:
153741 05/31/00 005145
Voucher:
153742 05/31/00 005165
Voucher:
153743 05/31/00 005213
Voucher:
153744 05/31/00 005231
Voucher:
153745 05/31/00 005256
Voucher:
153746 05/31/00 005292
Voucher:
153747 05/31/00 005300
Voucher:
PAL DO WORLD INC 1270
Bank Code: key
CAFE DE PARIS
Bank Code: key
EDGEWOOD FLOWER FARM 2226
Bank Code: key
PYRAMID TIRES 4 LESS & AUTO 5893
Bank Code: key 226537
5902
5903
226746
5924
WARTER, SANDRA
Bank Code: key
COLE-PARMER INSTRUMENT COMP 4008431
Bank Code: key 4055278
NAM, HWASOOK B
Bank Code: key
MOBY'S WATER TRUCK SERVICE
Bank Code: key
CLYDE/WEST INC
Bank Code: key
FIFE PRINTING 12257
Bank Code: key
IOS CAPITAL
Bank Code: key
MCGEE, BOBBIE
Bank Code: key
KIM, SUE Y
Bank Code: key
COMPAQ CORPORATION
Bank Code: key
05/24/00 PKRLS-FOOD:KORE~/q PROG
SWR-APR 26 04/26/00 SWR-LUNCH:RECY SEMINAR
05/23/00 PKDBC-FLOWER BASKETS
05/12/00 MSFLT-UPHOLSTERY SVCS
05/13/00 MSFLT-LOF:M25104#48034
05/15/00 MSFLT-UPHOLSTERY SVCS
05/15/00 MSFLT-UPHOLSTERY SVCS
05/22/00 MSFLT-LOF:M19044#48044
05/23/00 MSFLT-UPHOLSTERY SVCS
FEB23-MAR2 05/15/00 MC-REIM COURT SUPPLIES
CA12905FW
03/23/00 SWM-PH 7.0 BUFFER,4LTR
05/09/00 SWM:STANDARD MONITOR E
05/18/00 LAW-DIST CT INTERP 5/1
2005037 05/16/00 PWS-VACUUM TRUCK SVC
00205872 05/19/00 PWS-MOTOR GRADER
04/28/00 MC-PRINTING SERVICES
47601318 05/05/00 MSM&D-COPIER RENTAL
CA10771FW 05/08 00 LAW-DIST CT INTERP 5/8
CA12383FW 05/08 00 LAW-DIST CT INTERP 5/8
4100845240 02/25 00 MSDP-COMPAQ DESKPRO/MO
4100848659 02/26 00 MSDP-INTELL 10/100 PCI
4100863066 03/06 00 MSDP-INTEL 10/100 PCI
4101126623 05/24 00 MSDP-COMPAQ MONTIOR
4101106226 05/18 00 MSDP-COMPAQ PIII EPS50
4101071452 05/05/00 MSDP-COMPAQ MONITOR
Amount Paid Check Total
52.52 52.52
159.00 159.00
380.48 380.48
217.20
28.78
54.30
217.20
28.78
217.20
91.68
39.33
27.09
60.00
763 .46
91 .68
66 .42
60 00
140.00
1,466.10
1,117.06
347 53
40 O0
35 O0
140 00
1,466 10
1, 117 06
347 53
40 O0
35 00
18,703 90
643 02
321 50
319.28
1,162.02
2,704.14
Page: 18
o chklst
0~/31/2000 07:08:24
Check List
CITY OF FEDERAL WAY
Page: 19
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153747 05/31/00 005300
153748 05/31/00 005321
Voucher:
153749 05/31/00 005322
Voucher:
153750 05/31/00 005335
Voucher:
153751 05/31/00 005353
Voucher:
153752 05/31/00 005355
Voucher:
153753 05/31/00 005366
Voucher:
153754 05/31/00 005373
Voucher:
153755 05/31/00 005388
Voucher:
153756 05/31/00 005397
Voucher:
153757 05/31/00 005399
Voucher:
153758 05/31/00 005400
Voucher:
153759 05/31/00 005405
Voucher:
153760 05/31/00 005409
Voucher:
153761 05/31/00 005411
Voucher~
COMPAQ CORPORATION
TOSCO/FLEET SERVICES
Bank Code: key
HOLIDAY INN HOTEL & SUITES 1432
Bank Code: key 1433
ECO NORTHWEST 2770
Bank Code: key
WORD POWER 2010
Bank Code: key
4101070897 05/05/00 MSDP-COMPAQ DESKPRO/IN
6528163 05/06/00 PS-FUEL FOR VEHICLES
04/20/00 PS-LODGING EXP:ASSESSO
04/20/00 PS-LODGING EXP:ASSESSO
04/30/00 CDPL-MARKET ANALYSIS
05/12/00 MSA-FW BROCHURE SVCS
SEATTLE CHILDREN'S THEATRE MAR27-MAY2 05/22/00 PKKFT-YOUTH DRAMA CLAS
Bank Code: key
LORE PEACHEY LANDSCAPE DESI PKDBC-APR3 04/03/00 PKDBC-LANDSCAPE DESIGN
Bank Code: key
l:AG00-076 05/15/00 MSA-FEASIBILITY STUDY
HUNTER INTERESTS INC
Bank Code: key
PURE WATER CORPORATION
Bank Code: key
NORCON COMMUNICATIONS INC
Bank Code: key
DYNA SYSTEMS
Bank Code: key
PIONEER RESEARCH
Bank Code: key
140505
139680
139700
140558
140539
139694
16466
04/30/00 PS-BOTTLED WATER
04/30/00 PKKFT-BOTTLED WATER
04/30/00 PKDBC-BOTTLED WATER
04/30/00 MC-BOTTLED WATER
04/30/00 PKRLS-WATER/COOLER REN
04/30/00 PKCP-WATER/COOLER RENT
04/26/00 MC-MICROPHONES:FRONT C
10202512
05/05/00 MSFLT-FUSES/PLUG TOOLS
120940 05/16/00 PS-BINOCULARS:SWAT TEA
ESPARZA, JOSE APR18-APR2 04/28/00 PKRCS-MEXICAN COOKING
Bank Code: key MAY2-MAY9 05/10/00 PKRCS-COOKING CLASSES
APR18-MAY9 05/23/00 PKRCS-REIM COOKING CLA
HIGRADE CONSTRUCTION ASPHAL 9394 05/16/00 PWS-ASPHALT SURFACING
Bank Code: key
WATTERS, CLARK CDB-MAY 10 05/10/00 CDB-REIM WORK BOOTS
Bank Code: key
16,498.51
181.65
(continued)
40,352.37
181.65
222.56
260.93
17,604 37
110.00
1,240 00
400 O0
13 180 85
303 09
2.17
86.65
50.23
70.91
2.18
1, 514 . 25
483.49
17,604.37
110.00
1,240.00
4O0.00
13,180.85
515.23
1,514.25
175.62 175.62
1 722 00
1,722.00
183 60
172 80
70 37
234 58
426.77
234.58
102'99
102 99
........................................ Page: 19
o chklst Check List Page: 20
0~/31/2000 07:08:24 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153762 05/31/00 005413
Voucher:
153763 05/31/00 005414
Voucher:
153764 05/31/00 005417
Voucher:
153765 05/31/00 005420
Voucher:
153766 05/31/00 005421
Voucher:
153767 05/31/00 005425
Voucher:
153768 05/31/00 700498
Voucher:
153769 05/31/00 700925
Voucher:
153770 05/31/00 701158
Voucher:
153771 05/31/00 701159
Voucher:
153772 05/31/00 701160
Voucher:
153773 05/31/00 701161
Voucher:
153774 05/31/00 701162
Voucher:
153775 05/31/00 701163
Voucher:
153776 05/31/00 701164
Voucher:
153777 05/31/00 701165
Voucher:
JORAN, WINTHA MC-MAY 3RD 05/03/00 MC-INTERPRETER SERVICE
Bank Code: key
OREGON STATE-DEPT OF TRANSP PWT-PEREZ 05/09/00 PWT-REGISTRATION:PEREZ
Bank Code: key
SCARFF FORD
Bank Code: key
NAGLE, IZABELLA
Bank Code: key
BARGER, KENNETH
Bank Code: key
TRACY, DAVID
Bank Code: key
REGION 1 ELCA
Bank Code: key
EAGLE ONE DEVELOPMENT CORP
Bank Code: key
BARBIERI, PHILIP M
Bank Code: key
BARNETT, JOHN JAMES
Bank Code: key
CONNER, TAMI R
Bank Code: key
DAVIS, PAUL BRYAN
Bank Code: key
FONDEN, RUTH R
Bank Code: key
HARRIS, MILES ALEXANDER
Bank Code: key
HEIMANN, WILLIAM J
Bank Code: key
HENDRICKS, LINDA L
Bank Code: key
CA13618FW
CA06905FW
MAY 8-MAY
STOCK Y196 05/19/00 MSFLT-FORD FOCUS CAR
05/05/00 LAW-DIST CT INTERP 5/5
05/16/00 LAW-DIST CT INTERP 5/1
05/17/00 MC-REIM CONFERENCE EXP
Cl109R5289 05/22/00 PKDBC-REFUND RENTAL DP
BLD97-0694 05/19/00 PWD-RELEASE BOND 98-10
701158
701159
701160
701161
701162
701163
701164
701165
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15--19
05/19/00 LAW-JUROR FEE:5/15-19
100.00
295.00
12,664.00
50.OO
40 00
136 25
150 00
6,143 00
49 50
13 25
37 80
16 50
39 75
80.70
35.85
11.00
100.00
295.00
12,664.00
50.00
40.00
136.25
150.00
6,143.00
49.50
13.25
37.80
16.50
39.75
80.70
35.85
11.00
O chklst Check List Page: 21
0~/31/2000 07:08:24 CITY OF FEDERAL WAY
====================================================================================================================================
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153778 05/31/00 701166 HOBSON, ROBERT L 701166 05/19/00 LAW-JUROR FEE:5/15-19 47.55 47.55
Voucher:
153779 05/31/00 701167
Voucher:
153780 05/31/00 701168
Voucher:
153781 05/31/00 701169
Voucher:
153782 05/31/00 701170
Voucher:
153783 05/31/00 701171
Voucher:
153784 05/31/00 701172
Voucher:
153785 05/31/00 701173
Voucher:
153786 05/31/00 701174
Voucher:
153787 05/31/00 701175
Voucher:
153788 05/31/00 701176
Voucher:
153789 05/31/00 701177
Voucher:
153790 05/31/00 701178
Voucher:
153791 05/31/00 701179
Voucher:
153792 05/31/00 701180
Voucher:
153793 05/31/00 701181
Voucher:
Bank Code: key
KRALMAN, VICTOR L
Bank Code: key
LABRADO, ALETHA J
Bank Code: key
LANSCIARDI, SUZANNE E
Bank Code: key
LEE, RACHEL
Bank Code: key
LINDENAUER, CONSTANCE E
Bank Code: key
LUDEMAN, NEIL NORMAN
Bank Code: key
MADDEN, DANIELLE FAY
Bank Code: key
MASSE, THOMAS R
Bank Code: key
MCDANIEL, JOANNE P
Bank Code: key
MIHOK, ERNEST F
Bank Code: key
MURRAY, R~BERT A
Bank Code: key
MYGRANT, ANGELA D
Bank Code: key
NELSON, GORDON A
Bank Code: key
NESSLER, JUNE E
Bank Code: key
NOBLE, RAYMOND A
Bank Code: key
701167
701168
701169
701170
701171
701172
701173
701174
701175
701176
701177
701178
701179
701180
701181
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15~19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW~JUROR FEE:5/15~19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
46.90 46.90
12.60 12.60
39.75 39.75
52.43 52.43
21.30 21.30
37.80
39.75
11.95
38.75
43.65
32 . 93
33.90
37.80
39 75
11 95
38 75
43 65
32 93
33 90
41.70 41.70
12.60 12.60
31.95 31.95
Page: 21
o chklst Check List Page: 22
07/31/2000 07:08:24 CITY OF FEDERAL WAY
Check Date Vendor Invoice inv. Date Description Amount Paid Check Total
153794 05/31/00 701182 CRUZ, GARY L 701182 05/19/00 LAW-JUROR FEE:5/15-19 16.50 16 50
Voucher:
153795 05/31/00 701183
Voucher:
153796 05/31/00 701184
Voucher:
153797 05/31/00 701185
Voucher:
153798 05/31/00 701186
Voucher:
153799 05/31/00 701187
Voucher:
153800 05/31/00 701188
Voucher:
153801 05/31/00 701189
Voucher:
153802 05/31/00 701190
Voucher:
153803 05/31/00 701191
Voucher:
153804 05/31/00 701192
Voucher:
153805 05/31/00 701193
Voucher:
153806 05/31/00 701194
Voucher:
153807 05/31/00 701195
Voucher:
153808 05/31/00 701196
Voucher:
153809 05/31/00 701197
Voucher:
Bank Code: key
ECKERT, DALE
Bank Code: key
HOPPER, GARY
Bank Code: key
701183
701184
05/19/00 LAW-JUROR FEE:5/15-19
05/19/00 LAW-JUROR FEE:5/15-19
THE UNITED METHODIST CHURCH C1010R4827 05/16/00 PKDBC-REFUND RENTAL DP
Bank Code: key
SEATTLE CENTRAL COMM COLLEG Cl129R5411 05/23/00 PKDBC-REFUND RENTAL DP
Bank Code: key
ALASKA AIRLINES
Bank Code: key
UNITED CHURCH OF GOD
Bank Code: key
SECOMA AUCTION
Bank Code: key
HOMESIGHT
Bank Code: key
CELEBRATION PARK APT HOMES 00-100627
Bank Code: key
ST THERESA'S CATHOLIC CHURC 99-0249
Bank Code: key
POWELL, LIZ
Bank Code: key
REAGAN, CAMMIE
Bank Code: key
FOSTER, MICHAELA
Bank Code: key
LECKBAND, BETTY L
Bank Code: key
GROVE, MARJORY
Bank Code: key
C1221R5955 05/22/00 PKDBC-REFUND RENTAL DP
C853R37691 05/22/00 PKDBC-REFUND RENTAL DP
00-102199- 04/05/00 CDB-REFUND SIGN PERMIT
99-101340- 05/04/00 CDB-REFUND ADMN DEPOSI
05/18/00 CD-SIGN INCENTIVE PROG
05/16/00 CD-SIGN INCENTIVE PROG
22801 05/22/00 PKRLS-REFUND REC CLASS
60113 05/22/00 PKRLS-REFUND REC CLASS
63451 05/22/00 PKRLS-REFUND REC CLASS
61885 05/22 00 PKRLS-REFUND REC CLASS
63690 05/22 00 PKRLS-REFUND REC CLASS
62361 05/22 00 PKRLS-REFUND REC CLASS
37.80
37.80
150.00
106.56
63.50
117.42
168.25
500.00
2,000.00
779.41
10 00
12 50
5 O0
65 O0
20.00
37 80
37 80
150 00
106 56
63 50
117 42
168 25
500 00
2,000 00
779.41
10.00
12.50
70.00
20.00
10 . 00 10.00
....................................................................................... Page: 22
O chklst
0~/31/2000 07:08:24
Check Date Vendor Invoice Inv. Date Description
153810 05/31/00 701198 THIERER, KARI 62430 05/22/00 PKRLS-REFUND REC CLASS
Voucher:
153811 05/31/00 701199
Voucher:
153812 05/31/00 701200
Voucher:
153813 05/31/00 701201
Voucher:
153814 05/31/00 701202
Voucher:
153815 05/31/00 701203
Voucher:
153816 05/31/00 701204
Voucher:
153817 05/31/00 701205
Voucher:
153818 05/31/00 701206
Voucher:
153819 05/31/00 701207
Voucher:
153820 05/31/00 701208
Voucher:
153821 05/31/00 701209
Voucher:
153822 05/31/00 701210
Voucher:
Check List Page: 23
CITY OF FEDERAL WAY
=========================================================================================
Amount Paid Check Total
63655 05/22/00 PKRLS-REFUND REC CLASS
64078 05/22/00 PKRLS-REFUND PICNIC FE
C946R42923 05/24/00 PKDBC-REFUND DAPSkGE DP
Bank Code: key
UTILZ CORPORATION
Bank Code: key
CCC HOME SCHOOL CO-OP
Bank Code: key
AAPPN
Bank Code: key
WASHINGTON FINANCIAL AID AS Cl141R5752 05/24/00 PKDBC-REFUND DAMAGE DP
Bank Code: key
FRANCISCAN HEALTH SYSTEM
Bank Code: key
GIGIOVANNI, MARSILIO
Bank Code: key
CHUNG, PETER
Bank Code: key
NACCARATO, STEVE
Bank Code: key
ROSENDAHL, PAM
Bank Code~ key
SHIELDS, DONNA
Bank Code: key
WETZEL, ANTHONY
Bank Code: key
BACLET, ROBIN
Bank Code: key
298 Checks in this report
Cl147R5566 05/25/00 PKDBC-REFUND DA}4AGE DP
99-104835- 05/25/00 CD-SIGN INCENTIVE PROG
63858 05/26/00 PKRLS-REFUND CAMP FEE
60922 05/26/00 PKRLS-REFUND REC CLASS
62529 05/26/00 PKRLS-REFUND REC CLASS
62093 05/26/00 PKRLS-REFUND REC CLASS
63931 05/26/00 PKRLS-REFUND TOURNAMEN
CASE 00-53 05/30/00 PS-REFUND CASE 00-5317
12.00 12.00
50.00 50.00
30.00
30 O0
150.00 150.00
150.00
98.60
2,000.00
78.00
5.00
8.80
55.00
100.00
433.00
Total Checks:
150 00
98 6O
2,000.00
78.00
5.00
8.8O
55.00
100.00
433.00
1,039,652.15
......................................................~. .................... Page: 23
o chklst Check List Page: 1
0[/15/2000 07:19:34 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153823 701212 HARSCH INVESTMENT PROPERTIE 1500500110 06/05/00 PW-PROPERTY ACQUISITIO
Bank Code: key
153824 701212 HARSCH INVESTMENT PROPERTIE PW-EASEMEN 0~/05/00 PW-PROPERTY EASEMENT
06/05/00
Voucher:
o6/o5/oo
Voucher.
153825 06/05/00 003130
Voucher-
06/05/00 PS-FBINAA CONF REG FEE
105,692.00 105,692.00
23,203.00 23,203.00
80.00 80.00
153826 06/08/00 000785 06/07/00 CDPL-APPEAL:E99E0002 125.00 125.00
Voucher.
153827 06/08/00 000125 06/08/00 CDPL-APPEAL:E99E0002 125.00 125.00
153828 000001
Bank Code: key
FBINAA WASHINGTON CHAPTER I PS-WILSON
Bank Code: key
KING COUNTY DDES-LAND USE S E99E0002
Bank Code: key
KING COUNTY FINANCE DIVISIO E99E0002
Bank Code: key
ALL NIGHT PRINTERY INC
Bank Code: key
ASSOC OF WASHINGTON CITIES
Bank Code: key
7564
05/30/00 CDB-PRINT:CONST ALERT
Voucher.
06/15/00
Voucher'
06/15/00
Voucher'
139.13 139.13
153829 000004
16145 06/02/00 CM-AWC CONF REGISTRATI 200.00
16147 06/02/00 CM-AWC CONF REGISTRATI 200.00
16153 06/02/00 CM-AWC CONF REGISTRATI 200.00
16155 06/02/00 CM-AWC CONF REGISTRATI 200.00
153830 06/15/00 000007 BOISE CASCADE OFFICE PRODUC 0.00
**VOID** Voucher: Bank Code: key
153831 06/15/00 000007 BOISE CASCADE OFFICE PRODUC 0.00
**VOID** Voucher: Bank Code: key
153832 06/15/00 000007 BOISE CASCADE OFFICE PRODUC 0.00
**VOID** Voucher: Bank Code: key
153833 06/15/00 000007 BOISE CASCADE OFFICE PRODUC 0o00
**VOID** Voucher: Bank Code: key
153834 06/15/00 000007 BOISE CASCADE OFFICE PRODUC 645415 05/31/00 MSDP-OFFICE SUPPLIES 32.79
Voucher: Bank Code: key 629986 05/31/00 CDBG-OFFICE SUPPLIES 11.34
427331 05/31/00 MC-CUSTOM NAMEPLATE/SI 19.22
427489 05/31/00 MC-CUSTOM NAMEPLATE/SI 19.22
, 663011 05/31/00 LAW-OFFICE SUPPLIES 32.77
582353 05/31/00 CDPL-OFFICE SUPPLIES 16.82
637565 05/31/00 CDPL-OFFICE SUPPLIES 100.56
712696 05/31/00 CDPL-OFFICE SUPPLIES 45.84
785660 05/31/00 CDPL-OFFICE SUPPLIES 67.48
862130 05/31/00 CDPL-OFFICE SUPPLIES 42.75
870397 05/31/00 CDPL-OFFICE SUPPLIES 5.44
574025 05/31/00 MSM&D-COPIER PAPER 252.05
776951 05/31/00 MSM&D-COPIER PAPER 473.02
800.00
o chklst Check List Page: 2
07/15/2000 07:19:35 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153834 06/15/00 00~007 BOISE CASCADE OFFICE PRODUC (continued)
816594
601168
646164
666679
716731
716766
697870
835540
611366
886184
502818
777240
531996
801371
801595
505273
569096
569877
579872
632741
689811
717478
780058
795600
796919
832337
503384
553641
672977
719733
759404
780659
814537
845559
574.109
777014
501424
509399
599219
599808
617370
657194
659521
709326
787888
788148
802621
797543
05/31/00 LAW-OFFICE SUPPLIES
05/31/00 PWA-OFFICE SUPPLIES
05/31/00 PWA-OFFICE SUPPLIES
05/31/00 PWA-OFFICE SUPPLIES
05/31/00 PWS-CR:INV 71247595
05/31/00 PWS-OFFICE SUPPLIES
05/31/00 PKA-OFFICE SUPPLIES
05/31/00 PKA-OFFICE SUPPLIES
05/31/00 PKRCS-OFFICE SUPPLIES
05/31/00 PKRLS-OFFICE SUPPLIES
05/31/00 MSM&D-COPIER PAPER
05/31/00 MSM&D-COPIER PAPER
05/31/00 PKM-OFFICE SUPPLIES
05/31/00 PKDBC-OFFICE SUPPLIES
05/31/00 PKKFT-STORAGE CABINET
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-FOOT REST/VIDEO CAS
05/31/00 PS-CR:INV 717478
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-VHS TAPES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-WRISTREST
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-CR:INV 672977
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-MULTI TASK CHAIR/EN
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-KYBD DRWR W/MSE TRY
05/31/00 MSM&D-COPIER PAPER
05/31/00 MSM&D-COPIER PAPER
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-OFFICE SUPPLIES
05/31/00 PS-CR:I~ 788148
05/31/00 PS-OFFICE SUPPLIES
81.09
113.61
130.32
51.81
-21.15
32.55
33.02
48.25
117.14
97.93
63.01
63.01
93.48
230.20
184.49
35.48
342.61
175 61
73 47
8 87
49 10
92 84
-63 69
18 94
28 80
5 12
15 97
180 10
17 11
-6 64
5 08
185 14
33 70
101 04
346 55
252 05
34 90
44 16
4 31
45.29
23.58
12.71
33.72
41.37
96,14
36.44
-18.56
65.40
o chklst Check List Page: 3
0~/15/2000 07:19:35 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153834 06/15/00 000007
153835 06/15/00 000043
Voucher:
153836 06/15/00 000049
Voucher:
153837 06/15/00 000051
**VOID** Voucher:
153838 06/15/00 000051
Voucher:
BOISE CASCADE OFFICE PRODUC
807473 05/31/00 PS-OFFICE SUPPLIES 11.91
807722 05/31/00 PS-OFFICE SUPPLIES 8.42
861866 05/31/00 PS-OFFICE SUPPLIES 62.85
868807 05/31/00 PS-OFFICE SUPPLIES 30.96
892298 05/31/00 PS-OFFICE SUPPLIES 7.03
894512 05/31/00 PS-OFFICE SUPPLIES 2.55
897248 05/31/00 PS-OFFICE SUPPLIES 14.99
898228 05/31/00 PS-OFFICE SUPPLIES 5.31
847072 05/31/00 PS-OFFICE SUPPLIES 91.75
618480 05/31/00 MC-OFFICE SUPPLIES 95.85
711486 05/31/00 MC-WALL CLOCK/ENVELOPE 71.66
751755 05/31/00 MC-WALL CLOCK/MARKERS 61.67
777156 05/31/00 MSM&D-COPIER PAPER 157.53
493139 05/31/00 LAW-OFFICE SUPPLIES 25.89
577571 05/31/00 LAW-CUSTOM NAMEPLATE/S 17.05
NEW LUMBER & HARDWARE COMPA 108647
Bank Code: key 108653
108435
108473
108445
108513
108538
108578
108563
108760
108811
108833
108164
108796
108815
108880
109067
108944
PRESTON GATES & ELLIS LLP
Bank Code: key
496982-3
500613-2
PUGET SOUND ENERGY INC
Bank Code: key ,
PUGET SOUND ENERGY INC
Bank Code: key
06/02/00 PKM-PINE FRESHNER
06/02/00 PKM-POWERLOCK TAPE/SCR
05/30/00 PWS-FIRESTATION REMODE
05/30/00 PWS-FIRESTATION REMODE
05/30/00 PWS-FIRESTATION REMODE
05/31/00 PWS-FIRESTATION REMODE
05/31/00 PWS-FIRESTATION REMODE
06/01/00 PWS-FIRESTATION REMODE
06/01/00 PWS-GLOVES:SPRAYING PE
06/05/00 PWS-FIRESTATION REMODE
06/06/00 PWS-FIRESTATION REMODE
06/07/00 PWS-FIRESTATION REMODE
05/24/00 SWM-SHIELD W/RATCHET H
06/06/00 SWM-PRE-MIX CONCRETE
06/06/00 PKM-IRRIGATION REPAIR
06/07/00 PKM-SHOP BLADES
06/11/00 PKCP-TREATED WOOD
06/08/00 SWM-JIG BLADE/SUPPLIES
04/24/00 LAW-LEGAL SERVICES(SIG
05/31/00 LAW-LEGAL SERVICES(SIG
980-132-10 05/16/00 PKM-ELECTRICITY/GAS CH
062-691-10 06/01/00 PWT-STREET LIGHTING
112-722-10 06/07/00 PWT-STREET LIGHTING
131-066-10 06/01/00 PWT-STREET LIGHTING
141-467-10 06/06/00 PWT-STREET ~IGHTING
177-437-10 06/06/00 PWT-STREET LIGHTING
190-977-00 05/30/00 PWT-STREET LIGHTING
2 63
27 36
82 95
10 21
156 26
166 70
3 21
66 43
23 41
23 65
18 23
14 54
19.34
4.32
11. 99
2.92
40 81
5 91
1 438 75
6 816 07
0.00
1 104.43
13.57
171.99
10,246.55
170.12
101.20
125.52
(continued)
5,420.19
680.87
8,254.82
~--~7 page: 3
o chklst Check List Page: 4
07/15/2000 07:19:35 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153838 06/15/00 00~051 PUGET SOUND ENERGY INC (continued)
153839 06/15/00 000055
Voucher:
233-930-20 06/07/00 PWT-STREET LIGHTING
241-985-10 06/07/00 PWT-STREET LIGHTING
342-691-.i0 06/01/'00 PWT-STREET LIGHTING
352-691-10 06/01/00 PWT-STREET LIGHTING
373-087-10 06/06/00 PWT-STREET LIGHTING
442-691-10 06/01/00 PWT-STREET LIGHTING
458-148-10 06/06/00 PWT-STREET LIGHTING
504-368-10 06/06/00 PWT-STREET LIGHTING
525-940-20 06/07/00 PWT-STREET LIGHTING
536-673-10 06/01/00 PWT-STREET LIGHTING
638-448-10 06/01/00 PWT-STREET LIGHTING
657-289-00 06/02/00 PWT-STREET LIGHTING
720-429-10 06/05/00 PWT-STREET LIGHTING
733-829-10 06/05/00 PWT-STREET LIGHTING
733-930-20 06/07/00 PWT-STREET LIGHTING
736-169-10 05/31/00 PWT-STREET LIGMTING
738-448-10 06/01/00 PWT-STREET LIGHTING
753-129-10 05/22/00 PWT-STREET LIGHTING
755-430-20 06/05/00 PWT-STREET LIGHTING
904-388-10 06/01/00 PWT-STREET LIGHTING
917-259-10 06/05/00 PWT-STREET LIGHTING
925-940-20 06/07/00 PWT-STREET LIGHTING
993-440-20 05/25/00 PWT-STREET LIGHTING
996-289-00 06/01/00 PWT-STREET LIGHTING
040-699-00 06/07/00 PS-ELECTRICITY CHARGES
8927666200 06/08/00 PKRLS-ELECTRICITY/GAS
153-835-10 06/08/00 PS-ELECTRICITY CHARGES
454-132-10 06/08/00 PS-ELECTRICITY CHARGES
534-132-10 06/08/00 PS-ELECTRICITY CHARGES
544-132-10 06/08/00 PS-ELECTRICITY CHARGES
644-132-10 06/08/00 PS-ELECTRICITY CHARGES
654-132-10 06/08/00 PS-ELECTRICITY CHARGES
744-132-10 06/08/00 PS-ELECTRICITY CHARGES
934-132-10 06/08/00 PS-ELECTRICITY CHARGES
004-919-10 05/09/00 SWM-ELECTRICITY CHARGE
129.97
151.97
93.93
25.80
115.24
25.80
225.01
5.20
174.55
232.20
78.19
6.04
106.30
95;20
141.74
123.42
58.64
93 54
74 60
100 93
55 25
175 27
137 51
108 62
25 58
328 03
13 52
69 18
337 85
62 22
79 18
271 93
170 06
99 68
29 27
153840 06/15/00 000056
Voucher:
SEATTLE TIMES 354125001 05/07/00 MSHR-AD:COURT CLERK II 414.86
Bank Code: key 341968001 05/01/00 MSHR-RATEHOLDER AD:MAY 16.54
354125002 05/07/00 MSHR-AD:SWM MAINT WORK 258.06
354125003 0~/07/00 MSHR-AD:CITY PROSECUTO 248.26
SIR SPEEDY PRINTING CENTER 21060
Bank Code: key
153841 06/15/00 000063 CORPORATE EXPRESS OFFICE 97157891 05/02/00 CDPL-OFFICE SUPPLIES 28.63
Voucher: Bank Code: key 97525110 05/19/00 MC-OFFICE SUPPLIES 36.55
97556700 05/22/00 CDPL-OFFICE SUPPLIES 24.04
97790870 06/06/00 CDPL-OFFICE SUPPLIES 41.96
15,954.80
937.72
06/01/00 MSC-PRINTING SERVICES
138.52 138.52
o chklst Check List Page: 5
07/15/2000 07:19:35 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153841 06/15/00 000063 CORPORATE EXPRESS OFFICE (continued)
97750970 06/05/00 CDPL-OFFICE SUPPLIES 76.12 207.30
153842 06/15/00 000073
Voucher:
153843 06/15/00 000075
Voucher:
153844 06/15/00 000082
Voucher:
153845 06/15/00 000089
Voucher:
QUADRANT S~STEMS INC 000515-29
Bank Code: key
A T & T WIRELESS SERVICES I 20405718
Bank Code: key
ZUMAR INDUSTRIES INC
Bank Code: key
NEWS TRIBUNE
Bank Code: key
06/01/00 MSDP-QUADRANT SUPPORT
06/03/00 MSTEL-CELL AIR TIME
0038654 05/30/00 PS-ORANGE TRAFFIC CONE
462586 05/07/00 PWA-1 YR SUBSCRIPTION
S468766000 05/07/00 MSHR-AD:COURT CLERK II
S469869000 05/07/00 MSHR-AD:SWM MAINT WORK
S471250000 05/07/00 MSHR-AD:CITY PROSECUTO
703.30 703.30
1,412.23 1,412.23
373.98 373.98
96.00
86.84
80.16
83.50
346.50
153846 06/15/00 000096
Voucher:
LAKEHAVEN UTILITY DISTRICT
Bank Code: key
0003059601 05/25/00 PKM-WATER/SEWER SVCS
0001014202 05/31/00 PKM-WATER/SEWER SVCS
0002592802 05/31/00 PKM-WATER/SEWER SVCS
0002781501 05/31/00 PKM-WATER/SEWER SVCS
0002906301 05/31/00 PKM-WATER/SEWER SVCS
14.48
81.87
14.48
14.48
129.98
255.29
153847 06/15/00 000101
Voucher:
153848 06/15/00 000104
Voucher:
153849 06/15/00 000106
Voucher:
PETTY CASH
Bank Code: key
LOGREYRA, EDELINE M
Bank Code: key
SELECT TRAVEL INC
Bank Code: key
007836 06/08/00 CDA-REIM PETTY CASH
MAY12-JUN5 06/05/00 LAW-DIST CT INTERP 5/1
5171030
5171031
5171032
5171034
05/17/00 PS-AIRFARE:P MOCHIZUKi
05/17/00 PS-AIRFARE:S H~2qSON
05/17/00 PS-AIRFARE:J WILSON
05/17/00 PS-AIRFARE:J LANDON
236.32
460 00
.444 50
231 00
312 00
312 00
236.32
460 00
1,299 50
153850 06/15/00 000109 ACTIVE SECURITY CONTROL (DB 12081 05/11/00 PKM-LOCKSMITH SERVICES 2.73
Voucher: Bank Code: key 12096 05/26/00 PKM-LOCKSMITH SERVICES 55.64
12089 05/19/00 PKDBC-DUPLICATE KEYS 18.59
12097 05/31/00 PKM-LOCKSMITH SERVICES 263.44
12113 06/08/00 PS-LOCKSMITH SERVICES 77.21
417 61
153851 06/15/00 000112
Voucher:
PACIFIC COAST FO~D INC
Bank Code: key
FOCS47600
FOCS48000
FOW232059
05/18/00 PS-BRAKE/ENGINE LIGHT
05/31/00 PS-HEATER/THERMOSTAT:M
05/25/00 MSFLT-SPARE KEYS 48301
500 28
1,086 53
48 00
1,634 81
153852 06/15/00 000117
Voucher:
153853 06/15/00 000125
Voucher:
GFOA-GOV'T FINANCE OFFICERS MSF-CAFR
Bank Code: key
KING COUNTY FINANCE DIVISIO 0028471
Bank Code: key
06/13/00 MSF-CAFR REVIEW
04/18/00 PWT-KC SIGNS/SIGNAL MA
415 00
7, 710 48
415 00
7,710 48
Page: 5
o chklst Check List Page: 6
0~/15/2000 07:19:35 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153854 06/15/00 000140 J L DARLING CORPORATION 25089 05/12/00 PWS-DURA-RITE NOTEBOOK 61.16 61.16
Voucher: Bank Code: key
153855 06/15/00 000142 CITY OF FED WAY-ADVANCE TRA PS-PARKER 05/16/00 PS-FINANCIAL INVESTIGA 630.40
Voucher: Bank Code: key PWT-JEPSEN 06/05/00 PWT-IMSA CONF/JEPSEN 150.00
PS-WILSON 06/13/00 PS-FIELD EVID COURSE/J 377.00
PS-HANSON 06/13/00 PS-LETC 2000/S HANSON 114.00
PS-CANAAN 06/05/00 PS-MARINE PATROL COURS 492.96
PWT-EL-ASS 06/14/00 PWT-MEALS:ITE DIST CON 92.00 1,856.36
153856 06/15/00 000168 DAILY JOURNAL OF COMMERCE I 118572 05/31/00 SWM-AD:RFB00-007:STAR 603.90 603.90
Voucher: Bank Code: key
153857 06/15/00 000173 WEST PUBLISHING CORPORATION 67563-2 02/09/00 MC-COURT RULES ANNOTAT 276.94 276.94
Voucher: Bank Code: key
153858 06/15/00 000201 KINKO'S INC 5151000506 05/24/00 PWS-PRINTING SERVICES 162.90
Voucher: Bank Code: key 5151000507 05/26/00 PS-PRINTING SERVICES 78 74
5151000507 05/26/00 PS-PRINTING SERVICES 217 20
5151000506 05/24/00 PWA-PRINT:EOC CHECKLIS 13 91
5151000506 05/23/00 PWA-PRINT:EOC CHECKLIS 37 86
5151000507 05/30/00 PS-PRINTING SERVICES 65 16
5151000506 05/23/00 CDPL-COLOR TRANSPARENC 134 69
5151000506 05/24/00 CDPL- COLOR TRA/qSPAREN -21 72
5151000488 03/06/00 PKRLS-PRINTING SERVICE 59 08
5151000492 03/22/00 PKRLS-PRINTING'SERVICE 4 89
5151000496 04/05/00 PKRLS-PRINTING SERVICE 19 23
5151000496 04/07/00 PS-PRINTING SERVICES 228 61 1,000.55
153859 06/15/00 000202 U S WEST COMMUNICATIONS 253-839-98 05/26/00 MSTEL-PHONE/DATA SVC 56.28
Voucher: Bank Code: key 206-Z04-06 06/04/00 MSTEL-PHONE/DATA SVC 5,667.08
253-815-99 06/04 00 MSTEL-PHONE/DATA SVC 52.83 5,776.19
153860 06/15/00 000205 GOODYEAR TIRE CENTER 062191 05/2'6 00 MSFLT-TRANS/INJECTOR/L 677.29
Voucher: Bank Code: key 062327 06/03 00 MSFLT-LOF/GLOVE BOX PI 55.49 732.78
153861 06/15/00 000215 ZEP MANUFACTURING COMPANY-D 63532822 05/23/00 PKM-RESTROOM POTPOURRI 59.33 59.33
Voucher: Bank Code: key
153862 06/15/00 000217 FEDERAL EXPRESS CORPORATION 4-948-6660 05/22/00 MSDP-DELIVERY SERVICES 91.70
Voucher: Bank Code: key ' 4-948-6660 05/22/00 PWS-DELIVERY SERVICES 23.60
4-950-5932 05/29/00 MSA-DELIVERY SERVICES 25.05
4-952-4262 06/05/00 PWS-DELIVERY SERVICES 7.40
4-93681472 04/10/00 PWS-DELIVERY SERVICES 26.00 173.75
153863 06/15/00 000253 WA STATE-TRANSPORTATION DEP ATB0041109 04/11/00 PWS-WSDOT MAINTENANCE/ 9,050.19
Voucher: Bank Code: key ATB0031413 03/14/00 PWS-PAC HWY S HOV LANE 126.05
ATB0041110 04/11/00 PWS-S23RD ST IMPROVEME 725.77
~ )~0 Page: 6
o chklst Check List Page: 7
0~/15/2000 07:19:36 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153863 06/15/00 006253 WA STATE-TRANSPORTATION DEP (continued)
ATB004ill5 04/11/00 PWS-PAC HWY S HOV LANE 252.28 10,154.29
KING COUNTY SHERIFF'S OFFIC 00-093 05/22/00 PS-PHOTOGRAPHIC SVCS
153864 06/15/00 000267
Voucher:
Bank Code: key
LANIER WORLDWIDE INC
Bank Code: key
153865 06/15/00 000276
Voucher:
153867 06/15/00 000328
Voucher:
62648870 05/26/00 PS-WALL MNT POWER CORD
1,554.00
33.40
153866 06/15/00 000286 METROCALL 8226218 05/27/00 MSTEL-PAGER SERVICE 11.92
Voucher: Bank Code: key
ERNIE'S FUEL STOPS (DBA)
Bank Code: key
153868 06/15/00 000340
Voucher'
153869 06/15/00 000343
Voucher.
153870 06/15/00 000351
Voucher.
153871 06/15/00 000368
Voucher'
153872 06/15/00 000375
Voucher'
0050188 05/15/00 PS-FUEL FOR VEHICLES 3,987.01
0051246 05/31/00 MSFLT-FUEL FOR VEHICLE 2,122.79
0051247 05/31/00 PS-FUEL FOR VEHICLES 4,379.35
WA STATE-INFORMATION SERVIC 2000050215 06/05/00 MSTEL-SCAN SERVICE
Bank Code: key 2000050217 06/05/00 MSDP-WINDOWS ADV SVR
ELEPHi~NT CAR WASH 200-MAY
Bank Code: key
SEATTLE TIMES-SUBSCRIPTIONS 40680431
Bank Code: key
PERKINS COIE LLP 1928236
Bank Code: key
WSBA-WA STATE BAR ASSOCIATI 19514
Bank Code: key
CAFE PACIFIC CATERING INC
Bank Code: key
16419
05/31/00 PS-CAR WASH SERVICE
06/01/00 PS-3 MO SUBSCRIPTION
05/22/00 LAW-LEGAL SERVICES
06/13/00 LAW-WSBA DUES:STERBANK
06/13/00 LAW-WSBA DUES:RICHARSO
1,104.41
1,462.85
153873 06/15/00 000414
Voucher.
383.41
1,554.00
33 40
11 92
10,489 15
2,567 26
383.41
26.65 26.65
191.25 191.25
20.00
20.00 40.00
3803 06/01/00 PKDBC-KENNEDY/JENKS CO 59.22
3804 06/01/00 PKDBC-CITY OF SEATTLE 1,202.60
3806 06/01/00 PKDBC-THE ASHLEY HOUSE 101.52
3807 06/01/00 PKDBC-WA LIBRARY ASSOC 1,291.16
3808 06/01/00 PKDBC-WA STATE ARTS CO 253.80
3809 06/01/00 PKDBC-WEYERHAEUSER INF 350.88
3810 06/01/00 PKDBC-DEPT OF REVENUE- 406.40
3824 05/24/00 PKDBC-HIGHLINE CC C/O 236.34
3826 05/24/00 PKDBC-CITY OF DES MOIN 323.20
3828 05/24/00 PKDBC-FW ARTS COMMISSI 33.60
3833 05/24/00 PKDBC-SO SEATTLE COMM 552.41
153874 06/15/00 000428 WRPA-WA REC & PARK ASSOC PK-ETTINGE 06/09/00 PKDBC-DUES:R ETTINGER 70.00
Voucher: Bank Code: key
4,811.13
70.00
153875 06/15/00 000437 ASSOCIATED COURIERS INC 135534 05/30/00 SWM-COURIER SVC TO KCM 25.00 25.00
Voucher: Bank Code: key
o chklst Check List Page: 8
07/15/2000 07:19:36 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153876 06/15/00 000438 DELI SMITH & CHOCOLATE JONE 5364 05/26/00 CM-LUNCH:AGENDA SETTIN 25.09 25.09
Voucher:
153877 06/15/00 000475
Voucher:'
Bank Code: key
CUSTOM SECURITY SYSTEMS
Bank Code: key
128040 05/19/00 PKRLS-ALARM MONITORING 59.74 59.74
153878 06/15/00 000504 ORIENTAL GARDEN CENTER 068071 05/31/00 PKCP-EDGER BLADE/TRIMM 148.83
Voucher: Bank Code: key 068070 05/31/00 PKCP-PRUNER/LEATHER SC 57.97
153879 06/15/00 000514
Voucher:
153880 06/15/00 000533
Voucher:
WA STATE-STATE REVENUES
Bank Code: key
PUGET SOUND SPECIALTIES INC 15257
Bank Code: key 15246
15285
MAY 2000 06/05/00 MSF-REMIT STATE FEES 63,335.23
05/30/00 PKM-DIG-OUT TOOL
05/29/00 PKM-MARKING CHALK/PAIN
06/05/00 PKM-MARKING CHALK
114.47
989.48
604.87
206.80
63,335.23
1,708.82
153881 06/15/00 000541
Voucher:
WESTERN EQUIPMENT DISTRIBUT 204593
Bank Code: key
05/31/00 MSFLT-GEARBOX ~48204A
866.94 866.94
153882 06/15/00 000564
Voucher:
KING COUNTY PET LICENSE
Bank Code: key
MAY 2000 06/05/00 MSF-REMIT KC PET FEES 573.00
573.00
153883 06/15/00 000570
**VOID** Voucher:
153884 06/15/00 000570
Voucher:
EAGLE TIRE & AUTOMOTIVE (DB
Bank Code: key
EAGLE TIRE & AUTOMOTIVE (DB 1003324
Bank Code: key 1003349
1003377
1003385
1003392
1003404
1003408
1003420
1003441
1003493
1003315
1003527
1003528
1003599
1003595
1003600
' 1003624
1003647
1003708
1003654
1003704
1003703
1003705
1003648
05/19/06 PS-COVER ASSEMBLY 0626
05/20/00 PS-ELEC REPAIR/LATCH:M
05/20/00 PS-BULBS:M28005 #48623
05/22/00 PS-INSTALL NEW CHARGER
05/22/00 PS-LOF/FLUID:M58426 #4
05/22/00 PS-LOF/FRONT END INSPE
05/22/00 PS-LOF:MS0113 #48618
05/23/00 PS-INSTALL TURN SIGNAL
05/24/00 PS-LOF:M64926 #48601
05/26/00 PS-WIPER BLADES:M83861
05/18/00 PS-THERMOSTAT/HEATER H
05/27/00 PS-CK CHARGING SYSTEM:
05/27/00 PS-DIAGNOSTIC/OIL/FLUI
05/31/00 PS-LOF:M85387 #48603
05/31/00 PS-GENL MISC LABOR~603
05/31/00 PS-LOF:M68113 #620
06/01/00 PS-LOF:M78250 #605
06/02/00 PS-ALIGNMENT/LOF:M7487
06/05/00 PS-BRAKE LIGHT BULB:M3
06/02/00 PS-BRAKES/LOF:M69636 #
06/05/00 PS-TIRE REPAIR:M83567
06/05/00 PS-LOF:M47660 #48902
06/05/00 PS-TIRE REPAIR:M86382
06/02/00 PS-BATTERY:M83255 #486
0 O0
119 58
356 53
9 4O
36 01
114 33
45 60
24 43
10 52
26 06
28 77
139 89
21 60
200 97
24 43
36 01
24 43
24 43
186 51
29 57
152 85
13 29
26 06
20 49
145 62
Page: 8
o chklst
0[/15/2000 07:19:36
Check List
CITY OF FEDERAL WAY
Page: 9
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153884 06/15/00 00~570 EAGLE TIRE & AUTOMOTIVE (DB .................................................
( continued)
1003169 05/12/00 PS-CREDIT:1001946 3/23 -175.45 1,641.93
153885 06/15/00 000575 ATTORNEYS INFORMATION BUREA 1538 05/31/00 LAW-MISC SERV INV#2688 64.54 64.54
Voucher: Bank Code: key
153886 06/15/00 000630 LLOYD ENTERPRISES INC 48111
Voucher: Bank Code: key 48432
48493
48454
48431
H D FOWLER COMPANY
Bank Code: key
862181
866291
153887 06/15/00 000671
Voucher:
153888 06/15/00 000713 CASCADE PRINTING COMPANY 7744
Voucher: Bank Code: key
153889 06/15/00 000721
Voucher:
153890 06/15/00 000724
Voucher:
153891 06/15/00 000730
Voucher:
A~4ERICAN CONCRETE INC
Bank Code: key
0065924
0066004
0066033
HOMEGUARD SECURITY SERVICES FJlll8
Bank Code: key
ENTRANCO INC
Bank Code: key
153892 06/15/00 000771
Voucher:
05/02/00 PWS-MEDIUM BARK
05/23/00 PWS-TOPSOIL
05/26/00 PWS-MEDIUM BARK
05/24/00 PKM-INFIELD MIX
05/23/00 SWM-CLASS A ASPHALT
05/23/00 PKCP-MACHINERY SUPPLIE
06/02/00 PKM-REPAIR/MAINT SUPPL
05/31/00 CDPL-GRAY LETTERHEAD:H
05/22/00 PWS-CONCRETE SUPPLIES
05/24/00 PWS-CONCRETE SUPPLIES
05/25/00 PWS-CONCRETE SUPPLIES
06/02/00 PKM-ALARM MONITORING
27934
27881
27641
26982
27287
27286
26981
05/26/00 PWS-PAVING INSPECTION
05/23/00 PWS-23RD AVE S 317TH/S
04/28/00 PWS-23RD AVE S 317TH/S
03/24/00 PW-FW CORPORATE CENTER
04/11/00 PW-BELLE MEADOWS SUBDI
04/11/00 PW-FW CORPORATE CENTER
03/24/00 PW-BELLE MEADOWS SUBDI
38.87
29.28
12.96
293.22
169 70
388 98
336 22
232 52
COSTCO/HRS USA 0061160028 04/28/00 PKRCS-FOOD:ARBOR DAY
Bank Code: key 0061090004 05/04/00 MSHR-WELLNESS STORE SU
0061090096 05/04/00 PS-FOLDING TABLES
0061070012 05/09/00 PS-JANITORIAL SUPPLIES
0061090088 05/11/00 PS-JANITORIAL SUPPLIES
0061110111 05/23/00 MSDP-COMPUTER PRINTERS
0061090103 05/13/00 LAW-PRINTER/PAPER
IAAP-INTERNATIONA% ASSOCIAT 331190 06/08/00 CDA-IAAP RENL:T PIETY
Bank Code: key
FEDERAL WAY DISPOSAL CO INC 5 007226 05/31/00 PWSWR-LITTER DISPOSAL
Bank Code: key
PROGRESSIVE TECHNOLOGIES IN Sl19965-00 06/05/00 MSTEL-SPEAKER B PHONES
Bank Code: key
343 45
278.97
369.24
23.95
7,098.00
30,383 64
4,299 74
1,425 50
1,258 69
346 90
900 00
30 94
276.74
168.30
291.28
195.38
304.06
733.01
153893 06/15/00 000774 73.00
Voucher:
153894 06/15/00 000783
Voucher:
153895 06/15/00 000784
Voucher:
544.03
725.20
232.52
991.66
23.95
45,712.47
1,'999.71
73.00
151.74 151,74
765.00 765.00
Page: 9
o chklst Check List Page: 10
0~/15/2000 07:19:36 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153896 06/15/00 000790 35.10
Voucher:
153897 06/15/00 000792
Voucher:
153898 06/15/00 000808
Voucher:
153899 06/15/00 000829
Voucher:
153900 06/15/00 000923
Voucher:
153901 06/15/00 000938
Voucher:
153902 06/15/00 000947
Voucher:
153903 06/15/00 000954
Voucher:
153904 06/15/00 000964
Voucher:
153905 06/15/00 000991
Voucher:
153906 06/15/00 001004.
VoQcher:
153907 06/15/00 001046
Voucher:
153908 06/15/00 001052
Voucher:
153909 06/15/00 001055
Voucher:
153910 06/15/00 001064
Voucher:
SEATTLE POST-INTELLIGENCER 50680432
Bank Code: key
BARRY'S TRUCKING & LANDSCAP 0831
Bank Code: key
PLATT ELECTRIC SUPPLY 8497988
Bank Code: key
PACIFIC PLAYGROUND INC 009719
Bank Code: key
FURNEY'S NURSERY INC 2946
Bank Code: key 32945
PRYOR RESOURCES INC 3376367
Bank Code: key 3354936
SQUEEGEE CLEAN WINDOW CLEAN 2502
Bank Code: key 2504
DNB MAILING SERVICES 1877
Bank Code: key
06/03/00 PS-3 MO SUBSCRIPTION
05/03/00 PKDBC-REPAIR IRRIG SYS
05/25/00 PKCHB-LIGHTING SUPPLIE
05/24/00 PKCP-SITE FURNISHINGS
04/28/00 PWS-TREES:REPL S 312TH
05/04/00 PWS-MAPLE TREE:RENOVAT
05/16/00 PS-CAREERTRACK SEMINAR
05/31/00 PS-CAREERTRACK SEMINAR
05/20/00 PKM-JANITORIAL SERVICE
05/20/00 MC-JANITORIAL SERVICES
05/26/00 SWR-WHAT'S WRONG BROCH
GASB-GOVT ACCTNG STANDARDS GASB STMT 06/08/00 MSF-Q&A GUIDE/GASB STM
Bank Code: key
CASCADE COFFEE INC
Bank Code: key
MAILMEDIA INC 001219
Bank Code: key
EQUIFAX CREDIT INFORMATION 2524711
Bank Code: key
GENUINE PARTS COMPANY
Bank Code: key
FEDERAL WAY SYMPHONY
Bank Code: key
METROPOLITAN PARK DISTRICT
Bank Code: key
05/30/00 MSM&D-MTG COFFEE SUPPL
05/26/00 PKRCS-SET-UP/BULK MAIL
05/24/00 PS-CREDIT REPORT SVCS
20164941
738 48
397 56
4,005 39
234 58
157 47
35.10
738.48
397:56
4,005.39
392.05
129.00
129.00 258.00
630.00
660.00 1,290.00
562.68 562.68
26.00 26.00
144.63 144.63
706.70 706.70
21.72 21.72
508606 05/24/00 MSFLT-GAUGE'#48027 6.51
509408 05/27/00 MSFLT-HALOGEN LAMP #48 10.52
510365 06/01/00 PKCP-AIR FILTER 12.70
510338 06/01/00 PKCP-GASKET/SPARK PLUG 5.83
PKRCS-MAY 05/21/00 PKRCS-CULTURAL ARTS PR 2,050.00
IG02464 05/16/00 PKRLS-TOURNAMENT REG F 90.00 90.00
35.56
2,050.00
o chklst Check List Page: 11
0[/15/2000 07:19:36 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153911 06/15/00 001110 AMAYA ELECTRIC 6079-16B 04/11/00 PKM-ELECTRICAL REPAIR 2,837.87
Voucher:
153912 06/15/00 001131
Voucher:
153913 06/15/00 001133
Voucher:
153914 06/15/00 001166
Voucher:
153915 06/15/00 001171
Voucher:
153916 06/15/00 001189
Voucher:
153917 06/15/00 001233
Voucher:
153918 06/15/00 001234
Voucher:
Bank Code: key
EVERGREEN AUTO ELECTRIC INC 51148
Bank Code: key
IPMA-INT'L PERSONNEL MGT AS 96168341
Bank Code: key
PETTY CASH
Bank Code: key
MALLORY COMPANY
Bank Code: key
PETTY CASH
Bank Code: key
A T & T BUSINESS SERVICE
Bank Code: key
6275 04/30/00 PWS-EXPOSED K.O.S. ON
6253-2 05/02/00 PWS-ELEC SVC:FIRESTATI
06/02/00 MSFLT-BATTERY #48014
05/10/00 PS-ORGANIZATION/ADM BO
PKRCS-RWB 06/12/00 PKRCS-RWB CHANGE FUND
1252973-01 05/23/00 PKM-HARDHAT:VADIS CREW
007857 06/09/00 CM-REIM PETTY CASH
0192199314 05/24/00 MSTEL-LONG DISTANCE SV
0510691538 05/15/00 MSTEL-LONG DISTANCE SV
0510657509 05/28/00 MSTEL-LONG DISTANCE SV
0510661494 05/28/00 MSTEL-LONG DISTANCE SV
MCCARTHY CAUSSEAUX ROURKE I 9025-00M
Bank Code: key
153919 06/15/00 001241 WEST COAST AWARDS 36000
Voucher: Bank Code: key 35999
36095
36102
KING COUNTY CRIME VICTIMS F MAY 2000
Bank Code: key
153920 06/15/00 001259
Voucher:
153921 06/15/00 001263 MICHAELS STORES #8900 0477
Voucher: Bank Code: key 0465
0473
153922 06/15/00 001267
Voucher:
153923 06/15/00 001297
Voucher:
TOP FOODS HAGGEN INC
Bank Code: key ,
05/31/00 MSC-HEARING EXAMINER S
05/19/00 SWM-CREW UNIFORM CLOTH
05/19/00 PWS-CREW UNIFORM CLOTH
06/08 00 PKRLS-PROGRAM SHIRTS
06/08 00 PKRLS-PROGRAM SHIRTS
06/05 00 MSF-REMIT CRIME VICTIM
06/05/00 PS-PROGRAM SUPPLIES
05/02/00 PS-CUSTOM FRAMING
05/25/00 PS-CUSTOM FRAMING
153924 06/15/00 001378
Voucher:
182.29
5,487.56
48.51
12.00
1 425.00
52.49
198.52
85.87
30.08
76 54
20 16
413 35
239 25
344 26
167 24
573 84
1 245 29
204.88
147.80
331.66
68299 05/31/00 PKRLS-KOREAN FOOD SUPP 20.47
68287 05/23/00 PKRCS-PROGP3LM SUPPLIES 52.91
206467 06/07/00 PKRLS-KOREAN FOOD SUPP 43.45
05/15/00 PKDBC-LANDSCAPE MAINTE
FACILITY MAINTENANCE CONTRA 029938
Bank Code: key
APPLIED INDUSTRIAL TECHNOLO 40252101
Bank Code: key
05/19/00 PS-HAND CLEANER
1 263.60
8,507.72
48.51
12.00
1,425.00
52.49
198.52
212.65
413.35
1,324.59
1,245.29
684.34
116.83
1,263.60
123.92 123.92
o chklst Check List Page: 12
0~/15/2000 07:19:37 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153925 06/15/00 00f391
Voucher:
153926 06/15/00 001411
Voucher:
153927 06/15/00 001424
Voucher:
153928 06/15/00 001427
Voucher:
153929 06/15/00 001431
Voucher:
153930 06/15/00 001456
Voucher:
153931 06/15/00 001481
Voucher:
153932 06/15/00 001548
Voucher:
153933 06/15/00 001552
Voucher:
153934 06/15/00 001593
Voucher:
153935 06/15/00 001596
Voucher:
153936 06/15/00 001604
Voucher:
153937 06/15/00 001612
Voucher:
153938 06/15/00 001618
Voucher:
153939 06/15/00 001630
Voucher:
NORTH COAST ELECTRIC COMPAN 89186001
Bank Code: key
POSTAL EXPRESS INC
Bank Code: key
THYSSEN DOVER ELEVATOR 101758
Bank Code: key 272334
WESTERN POWER & EQUIPMENT
Bank Code: key
M A SEGALE INC
Bank Code: key
05/23/00 PKM-LIGHT FIXTURE
BM204014 04/30/00 MSA-BUDGET MAILING
05/22/00 PKCHB-ELEVATOR REPAIR
06/01/00 PKCHB-ELEVATOR MAINT S
F19880 05/24/00 MSFLT-REPL COOLER/GASK
i:AG00-101 05/30/00 PWS-2000 ASPHALT OVERL
1166 05/19/00 SWM-CLASS B ASPHALT
1176 05/23/00 SWM-5/8" CRUSHED ROCK
KUST©M SIGNALS INC 34033
Bank Code: key
CH2M HILL NORTHWEST INC
Bank Code: key
IMAGE MASTERS INC 75276
Bank Code: key
PETTY CASH-KLCC REC DEPT 007839
Bank Code: key
FEDERAL WAY TOWING INC 6748
Bank Code: key 6928
STONEWAY CONCRETE INC 405233
Bank Code: key
BALL, GIGI Y
Bank Code: key
POLLARD GROUP INC 46520
Bank Code: key
SPEEDY AUTO & WINDOW GLASS
Bank Code: key '
BLUMENTHAL UNIFORM CO INC
Bank Code: key
01/14/00 PS-LASER/RADAR EQUIP
3221446
05/31/00 PWS-S 312TH TO S 324TH
05/26/00 CM-PLAQUES:LEGISLATIVE
06/08/00 PKRCS-REIM PETTY CASH
05/02/00 MSFLT-TOWING SERVICES
05/02/00 MSFLT-TOWING SERVICES
05/22/00 SWM-RECLAIM SAND/GR MI
CA13598FW 05/25/00 LAW-DIST CT INTERP 5/2
05/16/00 MSF-CITY BUSINESS CARD
I046750 05/26/00 PS-WINDSHIELD REPAIR
145.96 145.96
2,073.90 2,073.90
99.78
110.10 209.88
830.57 830.57
108,995.97
120.11
1,396.95 110,513.03
3,820.14 3,820.14
17,801.88 17,801.88
139.28 139.28
130.06 130.06
149.60
99.10
121.87
248.70
121.87
35.00 35.00
191.33 191.33
43.39 43.39
135893 05/22/00 PS-UNIFORM CLOTHING 217.15
137171 05/22/00 PS-UNIFORM CLOTHING 3.26
136686 05/22/00 PS-UNIFORM CLOTHING 49.90
136688 05/22/00 PS-UNIFORM CLOTHING 91.82
136824 05/22/00 PS-UNIFORM CLOTHING 5.43
137565 05/23/00 PS-UNIFORM CLOTHING 31.44
o chklst Check List Page: 13
07/15/2000 07:19:37 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153939 06/15/00 001630
BLUMENTHAL UNIFORM CO INC
137620 05/22/00 PS-SLEEVE ASSEMBLY 9.76
136724-01 05/30/0~ PS-UNIFORM CLOTHING 20.63
133396-01 05/15/00 PS-UNIFORM CLOTHING 280.03
137082 05/22/00 PS-UNIFORM CLOTHING 271.12
136724 05/26/00 PS-UNIFORM CLOTHING 1,330.24
138150 05/31/00 PS-UNIFORM CLOTHING 16.29
111060-80 11/23/99 PS-CR:lll060 DTD 11/23 -100.00
(continued)
2,227.07
153940 06/15/00 001647
voucher:
KELLER SUPPLY COMPANY
Bank Code: key
6676043 05/18/00 PKM-ZURN#23/Z1300 SEAL 122.37
6688113 05/24/00 PKM-REPAIR KITS 124.91
6685549 05/23/00 PWS-LAVATORY FAUCET:FI 206.03
6691988 05/24/00 PWS-BATHROOM SUPPLIES: 286.63
739.94
153941 06/15/00 001686
Voucher:
153942 06/15/00 001715
Voucher:
FIRST CHOICE BUSINESS MACHI 00050740
Bank Code: key
TRUGREEN-CHEMLAWN
Bank Code: key
857353
857350
857351
857352
05/30/00 MSMD-QTR COPIER PLAINT
05/20/00 PKM-PESTICIDE SVCS
05/20/00 PKM-PESTICIDE SVCS
05/20/00 PKM-PESTICIDE SVCS
05/20/00 PKM-PESTICIDE SVCS
529.22
118.37
238.92
114.03
352.95
529.22
824.27
153943 06/15/00 001716
Voucher:
153944 06/15/00 001748
Voucher:
B J & SONS
Bank Code: key
EVERSON'S ECONO-VAC INC
Bank Code: key
T~ 30/S00
PI 27/500
012013
012080
012077
012078
012147
012149
05/30/00 PWS-PLUMBING SVC:FIRES
05/30/00 PWS-INSTALL WATER MAIN
04/19/00 SWM-VACUUM/JET RODDING
04/28/00 SWM-VACUUM/JET RODDING
04/28/00 SWM-VACUUM/JET RODDING
04/28/00 SWM-VACUUM/JET RODDING
05/16/00 SWM-VACUUM/JET RODDING
05/16/00 SWM-VACUUM/JET RODDING
1,465.20
553.86
3,765.66
1,399.84
5,554.69
6,146.17
3,544.80
4,657.24
2,019.06
25 068.40
153945 06/15/00 001793
Voucher:
153946 06/15/00 001805
Voucher:
153947 06/15/00 001843
Voucher:
153948 06/15/00 001856
Voucher:
153949 06/15/00 001879
Voucher:
153950 06/15/00 001893
Voucher:
MICROFLEX INC 00012443 05/01/00 MSA-TAX AUDIT PROGRAM
Bank Code: key
VADIS NORTHWEST 00011434 05/31/00 PKM-LITTER CONTROL PRO
Bank Code: key
MORRIS PIHA REAL ESTATE SVC TENANT IMP 05/26/00 MC-TENANT IMPROVEMENTS
Bank Code: key
ACTION SERVICES CORPORATION 29902 04/30/00 SWM-STREET SWEEPING SV
Bank Code: key 30110 05/31/00 SWM-STREET SWEEPING SV
EARTH TECH INC 3552409122 05/05/00 PKC-GENL SURVEYING ~VC
Bank Code: key
FEDERAL WAY SCHOOL DISTRICT SIF-MAY 20 06/05/00 MSF-REMIT IMPACT FEES
Bank Code: key
34.45
4,225.00
9,090.90
2,961.20
2,961.20
472.50
16,681.00
34.45
4 225.00
9 090.90
5,922.40
472.50
16,681.00
o chklst Check List Page: 14
0[/15/2000 07:19:37 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153951 06/15/00 001902 MYERS MASTER LAWN CARE 001695 06/01/00 PKM-LANDSCAPE MAINT SV 1,748.55
Voucher: Bank Code: key 001694 06/01/00 PKM-LANDSCAPE MAINT SV 1,357.27
153952 06/15/00 001936
Voucher:
PAGENET 000078050 06/03/00 MSTEL-PAGER LEASE 1,590.91
Bank Code: key 000945610 04/03/00 MSTEL-PAGER LEASE 416.79
153953 06/15/00 001939 LANDAU ASSOCIATES INC 9686
Voucher: Bank Code: key
05/31/00 CDPL-ENV REV:EHLKE
1,316.57
153954 06/15/00 001988 SERVICE LINEN SUPPLY 601/4119 06/01/00 PKRLS-LINEN SERVICES 23.43
Voucher: Bank Code: key 525/8154 05/25/00 PKRLS-LINEN SERVICES 24.44
608/8945 06/08/00 PKRLS-LINEN SERVICES 24.44
JENSEN TOOLS INC
Bank Code: key
GOSNEY MOTOR PARTS
Bank Code: key
2641360-00 06/02/00 MSDP-TOOL CASE/PROBE K
191.71
153955 06/15/00 001989
Voucher:
153956 06/15/00 001992
Voucher:
153957 06/15/00 001998
Voucher:
153958 06/15/00 001999
Voucher:
153959 06/15/00 002128
Voucher:
153960 06/15/00 002204
Voucher:
153961 06/15/00 002231
Voucher:
240956 06/02/00 MSFLT-WELD SET #48212 62.98
05/11/00 PWSCIP-S 336TH 13TH/18
R W SCOTT CONSTRUCTION CO I 6:AG99-93
Bank Code: key
SEAFIRST BANK
Bank Code: key
KLEINS COMMERCIAL DOOR SERV 1289
Bank Code: key
WILBUR-ELLIS COMPANY
Bank Code: key
6 RW SCOTT 05/11/00 PWSCIP-RETAINAGE:RW SC
05/11/00 MC-DOOR PEEP:JUDGE CHA
24-86401
24-86605
05/22/00 PKM-FERTILIZER
05/18/00 PKM-FERTILIZER/ROUNDUP
3,105.82
2,007.70
1,316.57
72.31
191.71
153962 06/15/00 002275
Voucher:
SHELDON & ASSOCIATES INC
Bank Code: key
62.98
40,137.92 40,137.92
2,112.52 2,112.52
96.38 96.38
352.57
406.35 758.92
96193 05/02/00 CDPL-ENV REV:ST LUKE'S 442.57
96194 05/02/00 CDPL-ENV REV:STARKOVIC 320.04
96192 05/26/00 CDPL-ENV REV:POWELLS S 520.00
96221 05/26/00 CDPL-ENV REV:ST LUKE'S 175.80
96240 05/26/00 CDPL-ENV REV:CALVARY C 263.70
96241 05/26/00 CDPL-ENV REV:ORCHID LA 787.10
243.75
05/16/00 PKM-FACILITY TESTING
2,509.21
243.75
WA STATE-LABOR & INDUSTRIES 097724
Bank Code: key
153963 06/15/00 002386 PAWLAK, SUSAN LAW-MAY 25 05/25/00 LAW-DIST CT INTERP 5/2 52.50 52.50
PKDBC-AD 05/30/00 PKDBC-DIRECTORY AD
153964 06/15/00 002472
Voucher:
Voucher: Bank Code: key
CHURCH COUNCIL OF SEATTLE
Bank Code: key
141.03 141.03
.................... 7 .................................... jr .........................................................................
~ _ ~ ~ Page: 14
o chklst Check List Page: 15
07/15/2000 07:19:37 CITY OF FEDERAL WAY
Check Date ~endor Invoice Inv. Date Description Amount Paid Check Total
153965 06/15/00 002477 HOME DEPOT 8061229 05/04/00 PS-HDWD/BLADE/TAPE/KNI 76.19
Voucher:
Bank Code: key
7052477 05/05/00 PS-PUTTY/STAIN/CORDMAT 42.78
4111011 05/08/00 PS-LIQ NAILS/JOINT/CLK 15.04
1200568 05/11/00 CDCI-FOOT BRIDGE SUPPL 140.29
153966 06/15/00 002534 ARBORSCAN INC 318
Voucher: Bank Code: key
153967 06/15/00 002545
Voucher:
153968 06/15/00 002562
Voucher:
05/23/00 PKM-TREE PRUNING SVCS
PACIFIC AIR CONTROL INC 57177
Bank Code: key 57178
05/11/00 PKRLS-HVAC MAINT SVC
05/11/00 PKCHB-HVAC MAINTENANCE
INTERSTATE BATTERIES SEATTL 914846
Bank Code: key 959770
913708
915613
05/18/00 MSDP-NOKIA BATTERIES/E
05/15/00 SWR-BATTERY COLLECTION
04/25/00 MSDP-NEXTEL CELL BATTE
06/05/00 MSTEL-PAGER BATTERIES
298.65
274.30
298.65
146.70
1,037.40 1,184.10
79.84
88.50
379.57
27.71
153969 06/15/00 002566 U S WEST COMMUNICATIONS TAC-3644-6 05/25/00 PKDBC-DIRECTORY AD 98.50
Voucher: Bank Code: key SEA-3644-6 05/19/00 PKDBC-DIRECTORY AD 37.11
FEDERAL WAY CHORALE
Bank Code: key
JUN3-JUN4 06/04/00 PKRCS-CULTURAL ARTS PR
1,750.00
153970 06/15/00 002571
Voucher:
153971 06/15/00 002616 GREASE MONKEY 151676 05/26/00 MSFLT-LOF:M17336 #4825 66.77
Voucher: Bank Code: key
05/30/00 MSHR-FLEX PLAN ADM SVC
153972 06/15/00 002664 FLEX-PLAN SERVICES INC 25496
Voucher: Bank Code: key
153973 06/15/00 002690
Voucher:
PUGET SOUND ENERGY-KENT COM 101001814 04/22/00 PWS-ROW99-0295,S 320TH
Bank Code: key
153974 06/15/00 002692 TRAFFIC INSTITUTE 10173
Voucher: Bank Code: key
NGUYEN, HANNA
Bank Code: key
153975 06/15/00 002798
Voucher:
153976 06/15/00 002822
Voucher:
06/02/00 PS-DUI CONF FEE:ANDERS
CA12029FW 05/25/00 LAW-DIST CT INTERP 5/2
06/13/00 PKDBC-REIM PETTY CASH
PETTY CASH-DUMAS BAY CENTRE 007866
Bank Code: key
153977 06/15/00 002898 IACP 1578958
Voucher: Bank Code: key
ADOLFSON ASSOCIATES INC
Bank Code: key
236 10
153978 06/15/00 002899
Voucher:
153979 06/15/00 002935
Voucher:
151,500 00
500 00
35 00
88 55
100 O0
05/08/00 PS-MEMBER DUES:MURPHY
0007824 05/15/00 CDPL-ENV REV:NEW HIGH 8,940.47
0007708 04/10/00 CDPL-ENV REV:HERITAGE 849.34
COMMISSION ON ACCREDITATION 6504
Bank Code: key
t, 040.00
06/02/00 PS-CALEA CONF REG FEE
575.62
135.61
1,750.00
66.77
236.10
151,500.00
500.00
35.00
88.55
100.00
9,789.81
1,040.00
o chklst Check List Page: 16
0~/15/2000 07:19:37 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153980 06/15/00 003033 DESIGN PLUS 35 06/05/00 PWS-CABINETS:FIRESTATI 3,619.48 3,619.48
Voucher: Bank Code: key
153981 06/15/00 003039 WOOD, RONALD T MAY22-MAY2 06/02/00 PS-REIM CONF EXPENSES 372.72 372.72
Voucher: Bank Code: key
153982 06/15/00 003048 PETTY CASH-PUBLIC SAFETY DE 007852 06/09/00 PS-REIM PETTY CASH 282.42 282.42
Voucher: Bank Code: key
153983 06/15/00 003052 SIGN-TECH ELECTRIC 39324 06/01/00 PS-INSTALL W/P OUTLET 163.23 163.23
Voucher: Bank Code: key
153984 06/15/00 003118 GALL'S INC 5403867800 05/16/00 PS-BARRIER TAPE 1000 F 98.89 98.89
Voucher: Bank Code: key
153985 06/15/00 003129 AMS LASER SUPPLY 1065 05/30/00 MSDP-PRINTER TONER 35.81
Voucher: Bank Code: key 258121 05/26/00 MSDP-PRINTER TONER 95.46 131.27
KING COUNTY-TREASURY DIVISI PKM-ASSESS 05/30/00 PKM-IMPROVEMENT ASSESS 396.64 396.64
153986 06/15/00 003137
Voucher:
153987 06/15/00 003157
Voucher:
153988 06/15/00 003170
voucher:
153989 06/15/00 003210
Voucher:
153990 06/15/00 003211
Voucher:
153991 06/15/00 003233
Voucher:
Bank Code: key
LES SCHWAB TIRE CTRS OF WA 174612
Bank Code: key 174843
174871
175020
175368
175402
175724
43901
MODERN SECURITY SYSTEMS INC 25945
Bank Code: key
HOUGH BECK & BAIRD INC 3509
Bank Code: key
IRON MOUNTAIN/SAFESITE INC 445013802
Bank Code: key
SPORTS SERVICE 98927
Bank Code: key 99169
' 100138
100961
05/03/00 MSFLT-TIRES #48204A
05/08/00 MSFLT-TIRE REPAIR #482
05/08/00 MSFLT-TIRE REPAIR #483
05/10/00 MSFLT-FLOOR MATS ~4835
05/17/00 MSFLT-TIRE REPAIR/TUBE
05/17/00 MSFLT-TIRE REPAIR #484
05/23/00 MSFLT-TIRE REPAIR #480
05/24/00 MSFLT-SERVICE CALL
05/28/00 PKM-ALARM MONITORING S
06/01/00 PKC-GENL SURVEYING SVC
05/31/00 MSC-RECORDS STORAGE SV
04/13/00 PS-PATCHES/GUN OIL/SOL
04/19/00 PS-TETRA GUN OIL
05/05/00 PS-UTILITY BRUSH
05/22/00 PS-KLEEN-BORE SOLVENT
169.42
16.78
10.86
97.63
28.24
87.49
31.44
59.73
30.00
7, 867.21
477 14
268 51
252 68
133 55
187 32
127 98
501.59
30.00
7,867.21
477.14
842 . 06
127.98
153992 06/15/00 003307 BFI MEDICAL WASTE SYSTEMS 0035006050 05/31/00 PS-REG WASTE DISPOSAL
Voucher: Bank Code: key
153993 06/15/00 003310 U S BANK OF WASHINGTON i:MA SEGAL 05/30/00 PWS-5% RETAINAGE:OVERL 5,736 63 5,736.63
Voucher: Bank Code: key
.~ /-~ Page: 16
o chklst Check List Page: 17
0~/15/2000 07:19:37 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
153994 06/15/00 003339
Voucher:
153995 06/15/00 003341
Voucher:
153996 06/15/00 003347
Voucher:
153997 06/15/00 003380
Voucher:
153998 06/15/00 003399
Voucher:
153999 06/15/00 003426
Voucher:
154000 06/15/00 003444
Voucher:
154001 06/15/00 003472
Voucher:
154002 06/15/00 003563
Voucher:
154003 06/15/00 003565
Voucher:
154004 06/15/00 003645
Voucher:
154005 06/15/00 003707
Voucher:
154006 06/15/00 003713
Voucher:
154007 06/15/00 003736
Voucher:
MARKSMAN INC, THE
Bank Code: key
KING COUNTY FINANCE DEPT
Bank Code: key
WSDOT/T2 CENTER
Bank Code: key
WILSON, BRIAN
Bank Code: key
KVASNYUK, NIKOLAY
Bank Code: key
SCHENKEL, KEITH
Bank Code: key
WEST CAMPUS CLEANERS
Bank Code: key
DAY WIRELESS SYSTEMS INC
Bank Code: key
2000531-1 05/31/00 PS-FIRING RANGE USE
MAR/APR/MA 05/31/00 PS-COURTHOUSE PKG FEES
PWSWM-TANG 05/18/00 PSW~rM-CLASS FEE:F TANG
PW-ROBINSO 05/18/00 PWSWM-CLASS FEE:ROBINS
PS-MAY 23R 05/25/00 PS-REIM:LODGING EXPENS
PS-BANQUET 05/22/00 PS-REIM:BANQUET TICKET
CA14508FW 05/17/00 LAW-DIST CT INTERP 5/1
PS-APR 21S 05/27/00 PS-REIMB:SCHOOL EXAM
DEC99-MAY0 06/12/00 PS-UNIFORM CLEANING
107311 05/23/00 PS-WIRE ASSEMBLY #806
05/26/00 PS-MDT MO MAINTENANCE
06/01/00 PS-UNIFORM DRY CLEANIN
06/06/00 PKDBC-JANITORIAL MAINT
06/06/00 PKDBC-JANITORIAL MAINT
06/06/00 PKDBC-JANITORIAL MAINT
VALLEY COMMUNICATIONS CENTE 0498
Bank Code: key
BEL CUSTOM CLEANERS (DBA) 1226
Bank Code: key
AMERICAN JANITORIAL SERVICE 1039-1047
Bank Code: key 1049
1048
LANDON, JASON D
Bank Code: key
JUN18-JUN3 06/01/00 PS-FIELD EVID COURSE
KING COUNTY PUBLIC HEALTH D 7000191
Bank Code: key
05/31/00 CDHS-LIQUOR PROFITS/EX
NORTHWEST TOWING %NC
Bank Code: key
32 52
17 00
35 00
35 00
100 75
180 00
40 O0
168 75
4,151 21
252.25
450.00
2,521.96
4,688.10
950.00
1,776.50
1, 936.40
32 .52
17.00
70.00
280 75
40 00
168 75
4,151 21
252 25
450 00
2,521 96
7,414 60
1,936 40
4,008.32 4,008.32
4100 04/03/00 PS-TOWING SERVICES 70.05
4180 03/23/00 PS-TOWING SERVICES 335.85
4426 05/10/00 PS-TOWING SERVICES 1,065.91
4312 05/12/00 PS-TOWING SERVICES 75.48
4306 05/17/00 PS-TOWING SERVICES 110.77
4159 05/02/00 PS-TOW SERVICES 126.25
4162 05/08/00 PS-TOWING SERVICES 165.07
4443 05/08/00 PS-TOWING SERVICES 165.07
2,114.45
o chklst Check List Page: 18
0~/15/2000 07:19:38 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154008 06/15/00 003754 KENT OXYGEN CO INC 1163361-01 05/22/00 PS-20LB CO2 38.84 38.84
Voucher: Bank Code: key
154009 06/15/00 003800 AVA (ASSN FOR VOLUNTEER ADM PS-OWEN 05/25/00 PS-MEMBER DUES:B OWEN 40.00 40.00
Voucher: Bank Code: key
154010 06/15/00 003831
Voucher:
GSR POLYGRAPH SERVICES
Bank Code: key
00-013 05/30/00 PS-POLYGRAPH EXAMS 375.00 375.00
154011 06/15/00 003837 UNITED PARCEL SERVICE 0000FSOF48 06/03/00 PS-DELIVERY SERVICES 15.00 15.00
Voucher: Bank Code: key
154012 06/15/00 003898
Voucher:
RADIO COMMUNICATION SERVICE 202758
Bank Code: key 200398
05/31/00 MSTEL-RADIO SERVICES
05/30/00 MSTEL-RADIO SERVICES
2,337.00
205.00
154013 06/15/00 003926 WA STATE-ACCESS USERS FUND PS-SCHROCK 05/11/00 PS-ACCESS TRAINING 20.00
Voucher: Bank Code: key
2,542.00
20]00
154014 06/15/00 003948 EDGEWOOD FIREPLACE SHOP INC 15630 05/01/00 PWS-CHAINS 20.60 20.60
Voucher: Bank Code: key
154015 06/15/00 004052 LAW ENFORCEMENT EQUIPMENT D 05190003 05/19/00 PS-SL20X SWITCH 72.14 72.14
Voucher: Bank Code: key
154016 06/15/00 004060
Voucher:
154017 06/15/00 004096
Voucher:
154018 06/15/00 004099
Voucher:
DRILLCO NATIONAL GROUP INC 204798 05/17/00 SWM:SUPREMEM WET BLADE
Bank Code: key
JOHNSON CHRISTIE ANDREWS, & 1089900301 04/24/00 PS-LEGAL SERVICES
Bank Code: key 1089700302 04/24/00 PS-LEGAL SERVICES
HARREUS, MARK DEC16-JAN1 05/01/00 PS-REIM CLOTHING ALLOW
Bank Code: key
319.00 319.00
636.00
170.00
275.00
806.00
275.00
154019 06/15/00 004128
Voucher:
MINUTEMAN PRESS INTERNATION 3384
Bank Code: key 3385
3421
3400
05/22/00 CM-PRINT:MAY NEWSLTRS
05/22/00 CM-PRINT:CORRECTION
05/31/00 PKRCS-PRINT:SUMMER SOU
05/30/00 PKRCS-PRINT:RWB FLYERS
4,063.04
1,274.16
915.56
375.91
6,628.67
154O2O 06/15/00 004258
Voucher:
154021 06/15/00 004270
Voucher:
WA STATE-DEPT OF LICENSING MAY4-JUN1
Bank Code: key
FEDERAL WAY MIRROR 002054
Bank Code: key 002070
002080
002090
002091
002093
06/05/00 PS-REMIT CPL FEES
05/06/00 PWT-AD:RFB00-002 SR99/
05/13/00 PWT-AD:RFB00-002 SR99/
05/20/00 LAW-AD:ETHICS BOARD VA
05/20/00 CDPL-NOTICE:TRESDEN PL
05/20/00 CDPL-NOTICE:STAR LK VI
05/24/00 PKRCS-AD:PLAYGRND PALS
198 00
316 25
265 65
138.50
126.50
151.80
120.00
198.00
1,118.70
o chklst
0[/15/2000 07:19:38
Check List
CITY OF FEDERAL WAY
Page: 19
Check Date Vendor Invoice Inv. Date Description Amount Paid CheCk Total
154022 06/15/00 004288 LAKE TAPPS PRESSURE WASH 99-1492 05/22/00 MSFLT-VEH CLEANING SVC 505.32
Voucher: Bank Code: key 99-1496 06/06/00 MSFLT-VEH CLEANING SVC 312.77 818.09
09609 05/12/00 MSFLT-TOWING SVC 48355 60.82 60.82
154023 06/15/00 004316
Voucher:
A & A TOWING SERVICES LLC
Bank Code: key
RITZ CAMERA ONE HOUR PHOTO
Bank Code: key
154024 06/15/00 004317
Voucher:
1026084570 05/03/00 PS-PHOTO SUPPLIES/SVC
1026085580 05/05/00 PS-PHOTO SUPPLIES/SVC
1026085640 05/05/00 PS-PHOTO SUPPLIES/SVC
1026089930 05/12/00 PS-PHOTO SUPPLIES/SVC
1026099860 05/27/00 PS-PHOTO SUPPLIES/SVC
1026093280 05/18/00 PS-PHOTO SUPPLIES/SVC
1026095780 05/22/00 PS-PHOTO SUPPLIES/SVC
1026099020 05/27/00 PS-PHOTO SUPPLIES/SVC
1026094460 05/19/00 PS-PHOTO SUPPLIES/SVC
1026094440 05/19/00 PS-PHOTO SUPPLIES/SVC
13.14
38 65
22 59
101 89
102 89
3 69
5 09
69 24
135 71
47 83
540.72
154025 06/15/00 004351
Voucher:
154026 06/15/00 004363
Voucher:
154027 06/15/00 004372
Voucher
154028 06/15/00 004382
Voucher-
154029 06/15/00 004389
Voucher.
154030 06/15/00 004397
Voucher-
154031 06/15/00 004409
Voucher.
154032 06/15/00 004419
Voucher'
154033 06/15/00 004431
Voucher:
KENADAR CORPORATION
Bank Code: key
SOREN NORTHWEST INC
Bank Code: key
ICS SUPPORT 0021416
Bank Code: key
PETTY CASH: WELLNESS COMMIT 007760
Bank Code: key
PNTA-PACIFIC NORTHWEST THEA 28421
Bank Code: k~y 28569
KDD & ASSOCIATES PLLC FW001-2
Bank Code: key
INGHAM, BARB
Bank Code: key
MUSCO LIGHTING INC 66156
Bank Code: key 67559
MADRONA PLANNING bVLPMT SVC 00002065
Bank Code: key 00002067
00002059
00002060
00002061
00002064
00002066
00002063
00099593 05/15/00 PKKFT-ENGRAVE:BLOCKS/P
LAW-QTR1 E 04/04/00 LAW-LOBBYING SERVICES
MAY 9 - JUN 2
05/30/00 MSDP-SOFTWARE MAINT SU
06/01/00 MSHR-REIM PETTY CASH
05/30/00 PKKFT-THEATRE EQUIPMEN
06/03/00 PKKFT-THEATRE EQUIPMEN
06/02/00 PWT-PROJECT ENGNR SVCS
06/05/00 PKRCS-REIM CLASS SUPPL
04/06/00 PKCP-LIGHTING SUPPLIES
05/24/00 PKCP-LIGHTING SUPPLIES
05/30/00 CDPL-PHASE 1 ANNEXATIO
05/30/00 CDPL-PLN REV:RESIDENTI
05/30/00 CDPL-PLN REV:BELLE MEA
05/30/00 CDPL-PLN REV:FW CORP C
05/30/00 CDPL-PLN REV:FEDWAY SO
05/30/00 CDPL-PLN REV:KELLER SU
05/30/00 CDPL-PLAN EXP REV:DEVR
05/30/00 CDPL-PLN EXP REV:FRITO
528.61
54.06
3,286.24
146.80
368 05
84 71
634 12
38 75
497 51
482 18
600 00
219 60
540 00
360 60
489 60
510 00
520 20
1,020 00
528.61
54.06
3,286.24
146 . 80
452.76
634.12
38.75
979.69
4,260.00
o chklst Check List Page: 20
07/15/2000 07:19:38 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154034 06/15/00 004481 INTERSCAPES INC 15853 135.75 135.75
Voucher: Bank Code: key
154035 06/15/00 004520 G.O.S. PRINTING CORPORATION 0-52361 50.16 50.16
Voucher: Bank Code: key
154036 06/15/00 004579 FALSE ALARM REDUCTION ASSOC 00-01-033 50.00 50.00
Voucher: Bank Code: key
154037 06/15/00 004628 WA STATE PATROL IDENTIFICAT MAY4-JUN1 288.00 288.00
Voucher: Bank Code: key
154038 06/15/00 004657 BOULTER, CHAREE 150.00 150.00
Voucher: Bank Code: key
154039 06/15/00 004669 AT&T CABLE SERVICES 65.00 65.00
Voucher: Bank Code: key
FEDERAL WAY NUTRITION SERVI 060100TJFW 06/01/00 PS-LUNCH:HS OFFICERS 187.45 187.45
154040 06/15/00 004690
Voucher:
154041 06/15/00 004701
Voucher:
154042 06/15/00 004710
Voucher:
154043 06/15/00 004837
Voucher:
154044 06/15/00 004840
Voucher:
154045 06/15/00 004849
Voucher:
Bank Code: key
NEXTEL COMMUNICATIONS
Bank Code: key
06/01/00 PKCHB-PLANT MAINTENANC
04/25/00 PS-PRINT:WINDOW ENVELO
06/01/00 PS-FARA DUES:L CRUM
06/05/00 PS-REMIT CPL FEES
PS-MAY 15T 05/25/00 PS-VICTIM ASSIST TRNG
8498340160 05/27/00 MSGAC-DMX MUSIC SVC
0002682579 05/25/00 MSTEL-CELLULAR AIRTIME
VISIONS PHOTO LAB & STUDIO 00-1756
Bank Code: key
05/25/00 SWM-FILM DEVELOPING SV
PACIFIC UTILITY EQUIPMENT I 64583201
Bank Code: key 64583101
05/26/00 PKM-SAW RENTAL
05/26/00 PKM-BUCKET TRK RENTAL
1,438.96 1,438.96
12.36 12.36
EVAC-EMERGENCY VEHICLE
Bank Code: key
76.02
1,080.58 1,156.60
99355 05/16/00 MSFLT-EQP ADD-ON #629 5,500.05
99357 05/19/00 MSFLT-EQP ADD-ON #630 5,500.05
99365 05/22/00 MSFLT-EQP ADD-ON #631 5,500.05
99372 05/24/00 MSFLT-EQP ADD-ON ~637 5,500.05
99370 05/24/00 MSFLT-EQP ADD-ON #632 5,500.05
99371 05/24/00 MSFLT-EQP ADD-ON #634 5,500.05
99383 05/26/00 MSFLT-EQP ADD-ON #635 5,500.05
99358 05/20/00 MSFLT-OUTBOARD LENS 79.57
99374 05/25/00 MSFLT-EQP ADD-ON #633 5,500.05
99375 05/25/00 MSFLT-EQP ADD-ON #636 5,500.05
99413 06/08/00 MSFLT-REPAIR SIREN SPE 201.08
99392 06/01/00 MSFLT-INSTL LIGHT BAR 151.76
99393 06/01/00 MSFLT-REPL MICROPHONE 81.30
99347 05/08/00 MSFLT-REPLACE DR PANEL 13.55
05/17/00 PKCHB-MULTI-FOLD TOWEL
05/23/00 PKCHB-WASTEBASKETS
SAM'S JANITORIAL SERVICE &, 41151
Bank Code: key 41190
50,027.71
119.46
135.21 254.67
o chklst Check List Page: 21
07/15/2000 07:19:38 CITY OF FEDERAL WAY
Check Date V~ndor Invoice Inv. Date Description Amount Paid Check Total
154046 06/15/00 00~865 FLAGS A'FLYING 4378 05/16/00 PKRCP/4x6 WA FLAG, NYL 139.03
Voucher: Bank Code: key 4379 05/1'6/00 PKM-FLAGS 139.03 278.06
154047 06/15/00 004896
Voucher:
154048 06/15/00 004910
Voucher:
154049 06/i~5/00 004963
Voucher:
154050 06/15/00 004977
Voucher:
154051 06/15/00 005002
Voucher:
154052 06/15/00 005014
Voucher:
154053 06/15/00 005017
Voucher:
154054 06/15/00 005019
Voucher:
154O55 06/15/00 0O5O25
Voucher:
154056 06/15/00 005031
Voucher:
154057 06/15/00 005043
Voucher:
154O58 06/15/00 005078
Voucher:
154059 06/15/00 005098
Voucher:
154060 06/15/00 005160
Voucher:
CADRE INC
Bank Code: key
FILETEX LLC 00-191
Bank Code: key 00-180
SOUND PUBLISHING INC 3400
Bank Code: key
BLIMPIE SUBS & SALADS 7740
Bank Code: key 8929
CITY OF FEDERAL WAY 007880
Bank Code: key
JACKSON GRAPHIC DESIGN INC 2118
Bank Code: key
WATER ENVIRONMENT FEDERATIO 1692508
Bank Code: key
PS-TRAININ 06/14/00 PS-BASIC METH LAB COUR
05/23/00 CDA-LASER LABELS
05/16/00 CDA-FILE FOLDERS/POCKE
05/25/00 CM-INSERT NEWSLETTER
06/01/00 PKA-FOOD:6/1/00 MTG
06/06/00 CC-REFRESHMENTS:6/6 MT
06/14/00 PS-ACCT REIMBURSEMENT
06/02/00 MSA-DESIGN SERVICES
05/23/00 SWM-MEMBERSHIP:D WISE
UNITED RENTALS NORTHWEST IN 10237272-0 05/26/00 SWM-EQUIPMENT RENTAL
Bank Code: key 10335306-0 05/31/00 SWM-EQUIPMENT RENTAL
PCCI
Bank Code: key
PAL DO WORLD INC
Bank Code: key
6100-11 06/11/00 PKRLS-JANITORIAL SVCS
5398
9189
1160
MACHINERY POWER & EQUIPMENT T04889011
Bank Code: key
BLACKHAWK INDUSTRIES INC 079063
Bank Code: key
PYRAMID TIRES 4 L~SS & AUTO 226972
Bank Code: key 5940
227045
225955
MOSELEY, DAVID
Bank Code: key
05/17/00 PKRLS~FOOD:KOREAN PROG
05/31/00 PKRLS-FOOD:KOREAN PROG
06/07/00 PKRLS~FOOD:KOREAN PROG
06/01/00 SWM-CATERPILLAR EQUIP
05/18/00 PS-OMEGA TAC VEST/BELT
05/31/00 MSFLT-BATTERY:M99739 #
05/31/00 MSFLT-UPHOLSTERY SVCS
06/03/00 MSFLT-LOF:M61573 #4801
04/22/00 MSFLT-LOF:M79875 #4802
MAY2-MAY25 06/14/00 CM-REIMBURSE MILEAGE
750.00 750.00
52.13
294.85
614 .46
346.98
614.46
82.04
72.06 154.10
15,000.00 15,000.00
1,1-10.00 1,110.00
95.00 95.00
51.05
81.46
915.00
306.67
94.61
83.33
39.81
132.51
915.00
484.61
39.81
2, 135.04 2,135.04
73.24
380.10
28.78
28.78
57.20
510.90
57.20
o chklst Check List Page: 22
0~/15/2000 07:19:38 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154061 06/15/00 005177 LEIBOWITZ, CAROL LAW-MAY 25 05/25/00 LAW-DIST CT INTERP 5/2 70.00 70.00
Voucher: Bank Code: key
154062 06/15/00 005180
Voucher:
154063 06/15/00 005185
Voucher:
154064 06/15/00 005208
Voucher:
154065 06/15/00 005212
Voucher:
154066 06/15/00 005225
Voucher:
154067 06/15/00 005231
Voucher:
154068 06/15/00 005253
Voucher:
154069 06/15/00 005254
Voucher:
154070 06/15/00 005278
Voucher:
CRISIS MANAGEMENT CONSULTIN 00-14
Bank Code: key
TACOMA RUBBER STAMP & MARKI 46478-1
Bank Code: key
03/14/00 PWA-EMER MGMT CONSULTI
04/09/92 PWS:LASERMARK STAMP 2"
FIRST USA FINANCIAL SERVICE CDA-LYLE 05/31/00 CDA-MAY VISA CHARGES
Bank Code: key SWM-KENNIS 05/31/00 SWM-MAY VISA CHARGES
'PKM-NORRIS 05/31/00 PKM-MAY VISA CHARGES
MACGILLIVR 05/31/00 SWM-MAY VISA CHARGES
PKRLS-REUT 05/31/00 PKRLS-MAY VISA CHARGES
PIZZA TIME
Bank Code: key
AIRGAS - NOR PAC INC
Bank Code: key
154071 06/15/00 005281
Voucher:
IOS CAPITAL
Bank Code: key
BANKCARD CENTER
Bank Code: key
BANKCARD CENTER
Bank Code: key
BURNS, TERRENCE L
Bank Code: key
HUPP, LIN-MARIE
Bank Code: key
05/26/00 PS-FOOD:APT MGR MTG
101293982 05/25/00 PKM-ELECTRODES
47786228
47745526
47745527
47811751
47897401
05/25/00 MSM&D-COPIER RENTAL
05/19/00 MSM&D-COPIER RENTAL
05/19/00 MDM&D-COPIER RENTAL
05/26/00 MSM&D-gOPIER RENTAL
06/05/00 MSM&D-COPIER RENTAL
PWSWR-RECY 05/13/00 PWSWR-SPRING RECY EVEN
MSDP-LAPTO 05/16/00 MSDP-LAPTOP POWER ADAP
PKDBC-SUPP 05/16/00 PKDBC-TRAVEL KIT SUPPL
MC-MAIL UN 05/18/00 MC-MAIL COLLECTION UNI
PKM-IKERD 05/20/00 PKM-LODGING:COMM TREES
PK-COMPOST 05/25/00 PKDBC-COMPOST BINS
PK-SPEC PO 05/25/00 PKRLS-SPEC POPS TRIPS
MSDP-DOMAI 05/26/00 MSDP-DOMAIN NAME REGIS
PKM-SHEARS 06/02/00 PKM-LOPPING SHEARS
PWT-AIRFAR 05/15/00 PWT-AIRFARE:ITE CONFER
PWT-LODGIN 05/26/00 PWT-LODGING:ITE CONFER
PWT-CONF F 05/31/00 PWT-CONF FEE:R PEREZ
PS-KAMIYA 05/26/00 PS-LODGING:LEIU CONFER
MC-MAY 10T 05/10/00 MC-PRO TEM JUDGE 5/10
MAY 8-MAY1 05/11/00 MC-PROTEM JUDGE 5/8-11
2,500.00 2,500.00
54.66 54.66
231.96
234.38
171.47
191.31
832.03
69.55
115.93
589.70
436.57
436.57
207.43
347.53
113 55
111 95
26 13
152 06
300 12
42 00
300 00
70 00
556 50
247 00
176 88
485.00
767.43
225.00
825.00
1,661.15
69.55
115.93
2,017.80
2,581.19
767.43
225.00
825.00
Page: ~2
o chkls~ Check List Page: 23
0~/15/2000 07:19:38 CITY OF FEDERAL WAY
Check Da~e Vendor Invoice Inv. Date Description Amount Paid Check Total
154072 06/15/00 00~287 AMERICALL COMMUNICATIONS & D6416 06/01/00 SWM-AFTER HR CALL-OUT 76.50
Voucher: Bank Code: key D6417 06/01/00 PKM-AFTER HR CALL-OUT 82.00 158.50
RAMSEY LANDSCAPE MAINTENANC 2950
Bank Code: key
154073 06/15/00 005302
Voucher:
06/07/00 PWS-2000 ROW LANDSCAPE
11,317.16 11,317.16
154074 06/15/00 005310 CANYON AUTO BODY 009 05/25/00 MSFLT-FENDER REPAIR #5 298.65
Voucher: Bank Code: key 010 05/30/00 MSRM-REPAIR BUMPER 613 152.04
011 06/10/00 MSFLT-REPAIR/PNT DOOR 482.18
154075 06/15/00 005321 TOSCO/FLEET SERVICES 6616917 06/06/00 PS-FUEL FOR VEHICLES 71.63
Voucher: Bank Code: key
BORNSTEIN, GLORIA A
Bank Code: key
154076 06/15/00 005331
Voucher:
5:AG00-064 06/06/00 PKCP-COMMISSIONED ART
154077 06/15/00 005335 ECO NORTHWEST 2852
Voucher: Bank Code: key
EAGLE HARDWARE & GARDEN
Bank Code: key
EAGLE HARDWARE & GARDEN
Bank Code: key
SENIOR SERVICES OF SEATTLE
Bank Code: key
CASCADE FLOOR COVERING
Bank Code: key
154078 06/15/00 005339
**VOID** Voucher:
154079 06/15/00 005339
Voucher:
154080 06/15/00 005340
Voucher:
932.87
71.63
154081 06/15/00 005354
Voucher:
44,500.00
44 500.00
05/31/00 CDPL-MARKET ANALYSIS
2,952.00 2,952.00
0.00
0024119732 04/28/00 SWM-PAINT RESPIRATOR/F
0024122733 05/01/00 PWS-WEEDBLOCK/LAUREL O
0024122733 05/01/00 PKM-PEAT MOSS/SCOTTS S
0024122733 05/01/00 PWS-WEEDBLOCK
0024124734 05/03/00 PS-DUCT TAPE
0024124734 05/03/00 PS-COVER SAVER SHELFS/
0024124734 05/03/00 PS-WRAP'N CRAFT BOX-SL
0024124734 05/03/00 PKDBC-PAINT SUPPLIES
0024124734 05/03/00 PWS-WEED KILLER
0024125734 05/04/00 PS-4 TIER METAL SHELD
0024126734 05/05/00 PKDBC-POWER CORDS/DRIL
0024130736 05/09/00 PWS-FIRESTATION REMODE
0024130736 05/09/00 PWS-CR:002413073608
0024130736 05/09/00 PWS-FIRESTATION REMODE
0024137738 05/16/00 PKM-PRUNER/LOPPER/NOZZ
0024138739 05/17/00 PKCHB-PRECISION DRAWER
0024139739 05/18/00 PWS-FIRESTATION REMODE
0024140739 05/19/00 PKM-STEP LADDER
0024143740 05/22/00 PWS-FIRESTATION REMODE
0024146742 05/25/00 PKDBC-BOLT CUTTER
PKRLS-MAY 06/06/00 PKRLS-SR MEAL PROGRAM:
50.31
86.45
55.95
107 89
5 42
211 30
57 24
25 68
10 82
193 13
80 53
577 69
-50 76
25 97
116 64
14 09
29 50
195 73
50 16
23 88
402 05
1 867.62
402.05
165950 05/31/00 PWS-FLOOR COVERINGS:FI
10,797 12
10 797.12
o chklst Check List Page: 24
07/15/2000 07:19:39 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154082 06/15/00 00~388 PURE WATER CORPORATION 139734 03/31/00 PKRCS-WATER/COOLER REN 10.70
Voucher:
154083 06/15/00 005399
Voucher:
154084 06/15/00 005402
Voucher:
154085 06/15/00 005416
Voucher:
154086 06/15/00 005418
Voucher:
154087 06/15/00 005422
Voucher:
154088 06/15/00 005424
Voucher:
154089 06/15/00' 005427
Voucher:
154090 06/15/00 005428
Voucher:
154091 06/15/00 005429
Voucher:
154092 06/15/00 005430
Voucher:
154093 06/15/00 005432
Voucher:
154094 06/15/00 005441
Voucher:
Bank Code: key
DYNA SYSTEMS
Bank Code: key
PUYALLUP HVAC INC
Bank Code: key
139734 04/30/00 PKRCS-WATER/COOLER REN 31.00
140524 04/30/00 PKM-WATER/COOLER RENTA 58.32
139720 05/31/00 PKCHB-BOTTLED WATER 230.77
139680 05/31/00 PKKFT-WATER/COOLER REN 14.99
139700 05/31/00 PKDBC-WATER/COOLER REN 91.98
140539 05/31/00 PKRLS-WATER/COOLER REN 18.19
140505 05/31/00 PS-BOTTLED WATER/COOLE 234.41
10202513-1 05/05/00 PKM-SHOP SUPPLIES
10202513-2 05/05/00 PWS-MISC SHOP SUPPLIES
200126 05/30/00 PWS-INSTALL HVAC:FIRES
HARBRO ROBES 1249
Bank Code: key
MOCHIZUKI, PRINCESS
Bank Code: key
CITY OF DES MOINES
Bank Code: key
QATRANI, MUHAMED ALI
Bank Code: key
05/12/00 MC-JUDGES ROBES
MAY15-MAY1 05/30/00 PS-REIM TRAVEL EXPENSE
00t
05/15/00 PKM-TREES
PS-MAY liT 05/12/00 PS-INTERPRETER SERVICE
TRAzNSMISSION REPLACEMENT CO 0067809 05/23/00 MSFLT-TRANSMISSION 615
Bank Code: key 67809A 05/23/00 MSFLT-INSTL TRANSMISSI
ENGINEERING MANAGEMENT SERV PWS-APR 27 04/27/00 PWS-ENGINEERING STUDY
690.36
54.21
180.26 234.47
12,006.82 12,006.82
255.00 255.00
127.75 127.75
540.00 540.00
140.00 140.00
1,406.37
217.20
9,656.00
Bank Code: key
JKM COMMUNICATIONS INC 00-081 05/26/00 MSA-PROOF FW BROCHURE
Bank Code: key
AABL/THE NORTHWEST NETWORK 5.2000.2 05/23/00 PS-VICTIM ASSIST TRNG
Bank Code: key
NEIFFER, GARY SWM-MAY 31 06/06/00 SWM-REIM SAFETY GLASSE
Bank Code: key
MINZEL & ASSOCIATES MAY22~MAY2 06/02/00 LAW-TEMP PROSECUTOR AT
Bank Code: key MAY29-JUN4 06/09/00 LAW-TEMP PROSECUTOR AT
154095 06/15/00 005442 VIALOG CORPORATION 50009909 04/29/00 LAW-MISC SERV CONF CAL 38.63
Voucher: Bank Code: key
1,623 . 57
9,656.00
140.00 140.00
100.00 100.00
178.06 178.06
375.00
370.00
745.00
38.63
o chklst Check List Page: 25
0[/15/2000 07:19:39 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154096 06/15/00 700039
Voucher:
154097 06/15/00 700563
Voucher:
154098 06/15/00 700888
Voucher:
154099 06/15/00 700999
Voucher:
154100 06/15/00 701157
Voucher:
154101 06/15/00 701200
Voucher:
154102 06/15/00 701211
Voucher:
154103 06/15/00 701213
Voucher:
154104 06/15/00 701214
Voucher:
154105 06/15/00 701215
Voucher:
154106 06/15/00 701216
Voucher:
154107 06/15/00 701217
Voucher:
154108 06/15/00 701218
Voucher:
154109 06/15/00 701219
Voucher:
154110 06/15/00 701220
Voucher:
154111 06/15/00 701221
Voucher:
NORRIS HOMES INC
Bank Code: key
QUADRANT
Bank Code: key
BURLOT, KIM
Bank Code: key
LIOS/BASTRY UNIVERSITY
Bank Code: key
F G & T CONSTRUCTION
Bank Code: key
CCC HOME SCHOOL CO-OP
Bank Code: key
ELECTRONICS BOUTIQUE OF
Bank Code: key
STEVENS, DENENE
Bank Code: key
GILLETT, BARBARA
Bank Code: key
WEBBER, THERESA
Bank Code: key
CARLSON, LARRY L
Bank Code: key
BLEVENS, BETTY
Bank Code: key
HOWE, WENDY M
Bank Code: key
CHESTER, RHONDA
Bank Code: key ,
KIRWAN, A JEAN
Bank Code: key
CAIN, NANCY
Bank Code: key
ROW99-0250 05/02/00 PWS-REFUND ROW99-0250
PARCEL 1 05/24/00 CDPL-REFUND PLAN REVIE
CAPITAL ON 05/24/00 CDPL-REFUND PLAN REVIE
65051 06/12/00 PKRLS-REFUND REC CLASS
C691R51248 06/07/00 PKDBC-REFUND DAMAGE DP
02-39562 05/03/00 PWD-BOND REL 02-39562
66279 06/12/00 PKRLS-REFUND PICNIC F
00-103079- 05/26/00 CDB-REFUND EXP REV
45129 05/31/00 PKRLS-REFUND REC CLASS
48577 05/31/00 PKRLS-REFUND REC' CLASS
63231 05/31/00 PKRLS-REFUND REC CLASS
64776 05/31/00 PKRLS-REFUND REC CLASS
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID.1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR'ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
793.80 793.80
525.30
3,098.60
130 00
49 57
26,361 00
30 00
700 O0
22 50
66 75
40 O0
48 00
11 95
11 30
23 90
3,623.90
130.00
49.57
26,361.00
30.00
700.00
89.25
40 .00
48.00
11.95
11.30
23.90
11.95 11.95
11.95 11.95
11.30 11.30
o chklst Check List Page: 26
0~/15/2000 07:19:39 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154112 06/15/00 70r222
Voucher:
154113 06/15/00 701223
Voucher:
154114 06/15/00 701224
Voucher:
154115 06/15/00 701225
Voucher:
154116 06/15/00 701226
Voucher:
154117 06/15/00 701227
Voucher:
154118 06/15/00 701228
Voucher:
154119 06/15/00 701229
voucher:
154120 06/15/00 701230
Voucher:
154121 06/15/00 701231
Voucher:
154122 06/15/00 701232
voucher:
154123 06/15/00 701233
Voucher:
154124 06/15/00 701234
Voucher:
154125 06/15/00 701235
Voucher:
154126 06/15/00 701236
Voucher:
154127 06/15/00 701237-
Voucher:
HAMILTON, LAURREN D
Bank Code: key
ALEXANDER, CLAUDE
Bank Code: key
HAWORTH, HEIDI
Bank Code: key
BORTH, JOANNE
Bank Code: key
BURKE, MICHAEL W
Bank Code: key
OVERLIN, RONALD D
Bank Code: key
CARLSON, MARY ANN
Bank Code: key
FITZGERALD, PATRICIA A
Bank Code: key
GODING, CARY
Bank Code: key
PARKS, ELLEN
Bank Code: key
CARVER, THERESA
Bank Code: key
CLARK, JOANNE
Bank Code: key
GARITONE, LYNDA
Bank Code: key
BEIDLEMAN, CATHY
Bank Code: key
BUCKNER, DAMON
Bank Code:.key
HOLMAN, RICHARD
Bank Code: key
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/23/00 MC-JUROR FEE:5/23/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
11 30
11 95
12 60
10 65
22 60
21 30
11 95
11 30
11.30
11.95
12.60
10.65
22.60
21.30
11.95
11.30
12~60 12.60
11 95
11 95
11 95
11 30
12.60
11.95
11.95
11.95
11.30
12.60
11.95 11.95
11 95
11.95
o chklst Check List Page: 27
07/15/2000 07:19:39 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154128 06/15/00 70f238 HANSEN, JARIS B JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00 11.95 11 95
voucher:
154129 06/15/00 701239
Voucher:
154130 06/15/00 701240
Voucher:
154131 06/15/00 701241
Voucher:
154132 06/15/00 701242
Voucher:
154133 06/15/00 701243
Voucher:
154134 06/15/00 701244
Voucher:
154135 06/15/00 701245
Voucher:
154136 06/15/00 701246
Voucher:
154137 06/15/00 701247
Voucher.
154138 06/15/00 701248
Voucher.
154139 06/15/00 701249
Voucher.
154140 06/15/00 701250
Voucher-
154141 06/15/00 701251
Voucher.
154142 06/15/00 701252
Voucher.
154143 06/15/00 701253
Voucher.
Bank Code: key
REAVEY, TAMMY
Bank Code: key
CLAPP, DAVID W
Bank Code: key
STEFFENSON, TRACY
Bank Code: key
THOMPSON, LARRY
Bank Code: key
CROSSEN, DAVID
Bank Code: key
SMITH, MICHAEL OB/GYN
Bank Code: key
IMPERIAL PALACE
Bank Code: key
INDEPENDENT ELECTRICAL
Bank Code: key
DOLLAR PLUS
Bank Code: key
KLAPPENBACH, STEPHANIE
Bank Code: key
ENCHANTED PARKS INC
Bank Code: key
LAKEHAVEN UTILITY DISTRICT
Bank Code: key
TIMMONS, CHERYL
Bank Code: key
ZEIGLER, ARLIENE
Bank Code: key
MCFAUL, MARY
Bank Code: key
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
JUROR ID 1 05/24/00 MC-JUROR FEE:5/24/00
LIC 1355 06/05/00 MSF-DUPL PYMT LIC 1355
LIC 8204 06/05/00 MSF-DUPL PYMT LIC 8204
LIC 4817 06/05/00 MSF-DUPL PYMT LIC 4817
LIC 6887 06/05/00 MSF-DUPL PYMT LIC 6887
GOLDENSTON 05/24/00 CDPL-REFUND PLAN REVIE
WATER SLID 05/24/00 CDPL-REFUND PLAN REVIE
LAKEHN SEW 05/24/00 CDPL-REFUND PLAN REVIE
61088
35030
60295
06/06/00 PKRLS-REFUND REC CLASS
06/06/00 PKRLS-REFUND REC CLASS
06/06/00 PKRLS-REFUND REC CLASS
12.60
11.95
12.60
12.60
12 60
25 00
25 O0
25 00
25 00
55 80
2,123 16
1,790.20
20.00
6.00
80.00
12 60
11 95
12 60
12 60
12 60
25 00
25 00
25 00
25 00
55.80
2,123.16
1,790.20
26.00
80.00
63797 06/12/00 PKRLS-REFUND RENTAL DE 50.00 50.00
o chklst Check List Page: 28
07/15/2000 07:19:39 CITY OF FEDERAL WAY
Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total
154144 06/15/00 70f254
Voucher:
154145 06/15/00 701255
Voucher:
154146 06/15/00 701256
Voucher:
154147 06/15/00 701257
Voucher:
154148 06/15/00 701258
Voucher:
154149 06/15/00 701259
Voucher:
327 Checks in this report
ESTEBAN, JULIE
Bank Code: key
RUPPERT, CORY
Bank Code: key
BILLY MCHALE'S RESTAURANT
Bank Code: key
RIDGE CREST MOTEL
Bank Code: key
DAVIS, DESIREE
Bank Code: key
59230 06/12/00 PKRLS-REFUND RENTAL FE
64893 06/12/00 PKRLS-REFUND RENTAL FE
62188 06/06/00 PKRLS-REFUND REC CLASS
0010031200 06/09/00 CD-SIGN INCENTIVE PROG
00-100602 06/09/00 CD-SIGN INCENTIVE PROG
63817 06/12/00 PKRLS-REFUND PICNIC RE
KENNEDY/JENKS CONSULTANTS I C1227R5963 06/07/00 PKDBC-REFUND DAMAGE DP
Bank Code: key
305.00
195.00 500.00
25.00 25.00
1,571.99 1,571.99
738.54 738.54
180.00 180.00
150.00 150~00
Total Checks: 1,083,329.36