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FEDRAC PKT 06-22-2010� Federal Way City Council Finance AGENDA 1. CALL TO ORDER 2. PUBLIC COMMENT 3. COMMITTEE BUSINESS onal Affairs Committee Action Topic Title/Description Presenter Page or Discussion A. Approval of Minutes: May 25, 2010 K. Roe 2 Action B. Legislative Report: May 2010 C. Community Weatherization Program Continued from 4/27/10 & 5/25/10 Meetings D. Acceptance of Funds For Website Improvements _ _ __ . _.... E. Status Report on enterpriseSeattle work on Cascadia MedTech Association . _. _. F. Monthly Financial Report Incl�ding follow-up topics from 5/25/10 meeting: • Review of historical sales tax information • information regarding increases to jail service costs Farmer 7 Discussion* Enge 10 Action 07/Ob/10 Council Consent Farmer 18 Action 07/O6/10 Council ConsenT _ _ Doherty 21 Informational* _._ _ _ __ . Kraus 25 Action 07/06/10 Council Conseni G. . . Vouchers _ Kraus _ 40 _ Action _ . 07/06/10 Council ConsenT _ . _... _ _ _ *Handouts/additional information may be distributed at the meeting. 4. OTHER 5. FUTURE AGENDA ITEMS 6. NEXT MEETING: Tuesday, July 27, 2010 COMMIITEE MEMBERS: CITY STAFF: Mike Park, Chair Bryant Enge, Financial Services Administrator Jeanne Burbidge Krystal Roe, Deputy City Clerk Jack Dovey 253.835.2541 CITY Of Federal Way City Council Finance/Economic Develo SUMMARY ional Affairs Committee 1. CALL TO ORDER Chair Mike Park called the meeting to order at 5:30 p.m. Committee Members in Attendance: Committee Chair Park and Committee Member Burbidge; Committee Member povey excused. Councilmembers in Attendance: Mayor Kochmar and Deputy Mayor Duclos Staff Members in Attendance: Financial Services Administrator Bryant Enge, City Attorney Pat Richardson, Finance Director Tho Kraus, Acting Police Chief Andy Hwang, Police Commander Melanie McAllester, Police Commander Stan McCall, Police Support Services Supervisor Cathy Schrock, Economic Development Director Patrick Doherty, Community Development Director Greg Fewins, Senior Planner Margaret Clark, Communications & Governmental Affairs Manager Linda Farmer, Recreation Supervisor Doug Nelson, Acting IT Supervisor Thomas Fichtner, and Deputy City Clerk Krystal Roe. Chair Park changed the agenda to move item I- Gambling Tax Ordinance - to immediately follow the legislative update. 2. PUBLIC COMMENT: Chair Park noted comments could be made immediately, or later as part of specific agenda topics. David Kaplan noted he wished to speak to item G- TEG Applications. 3. COMMITTEE BUSINESS: Council Topic Title/Description Placement A. Approval of Minutes: April 27, 2010 N/A Motion second and carried to approve as presented. Carried 2- 0. B. Legislative Report: April 2010 Ms. Farmer presented the report from the City's federal lobbyist firm, Strategies 360 and stated not much has changed from her report last month. Since April 27, the City has sent thank you letters to the federal legislators for their support and budget funding requests for the Triangle Project. It appears SAFTEA-LU will not be extended after this year; it's likely a new SAFTEA-LU will be crafted for 201 1. The Committee inquired about HR5156 as quoted in the report and its relevancy to the City of Federal Way. Ms. Farmer responded she was unaware of the tie to Federal Way, will investigate the issue, and report back at the next FEDRAC meeting. _ The Committee inquired about the performance of Strategies 360. They directed Ms. Farmer to report back on the value of their services versus the expense. Ms. Farmer will provide a presentation in Aug�st, prior to a contract extension. ORDINANCE: Amending Gambling Tax Ordinance No. 90-15 and 98-329 Ms. Kraus presented the staff report clarifying the only difference between options 1 and 2 is the timing of the effective date. The first option provides first reading and enactment on June l, 2010 with an effective date of June 6. Option 2 follows the traditional ordinance process with first reading on June 1, second reading/enactment on June 15, publication on June 19 and an effective date of August 1. Ms. Kraus distributed data showing gambling tax rates & establishments in neighboring communities, maximum rates established by law, and gambling tax revenue history. N/A Intro Ord 8� Enact 06/O1/10 FEDRAC Summary May 25, 2010 - Paae 2 of S PUBLIC COMMENT: Steve Griffiths Co-Owner of PJ Pockets Casino asked the Committee to consider an expedited process which would allow their business to re-open in August. Presentiy 85 employees have just been laid-off in addition to 40 more in prior months. Kelly & John Folev, Owners of the Time Out Ale House urged the Committee to reduce the gross tax on puli tabs to 3% rather than the proposed reduction of 4%. They explained taxing their gross sales (as opposed to net profits) results in an actual tax in excess of 20% for most of their pay-out (i.e. prize) levels. Mrs. Foley distributed data spreadsheets with figures supporting their position. The couple further stated they've recently been forced to reduce staffing hours, change benefits coverage and are now faced with cutting some jobs all together. They believe a 3% gross tax rate wiil stimulate growth. Jason Schafer of the Firehouse Pub in Buckley, Washington stated the maximum gambling rate for pull tabs allowed by the state is 5% with an average of 3%. The Committee questioned whether lowering the tax rate would encourage more gambling and raised concerns about how to best encourage small businesses without encouraging additional gambling. The Committee asked clarifying questions of staff including the annual estimated financial impact of lowering the pull tab tax rate to 3% versus 4%. Ms. Kraus estimated a difference of $55,000 annually based on 2009 p�ll tab tax receipts of $280,000. Police Chief Andy Hwang summarized police activity/calls for the two establishments and stated overall they have been good community neighbors with cooperative owners/management. Chair Park expressed support for a 3% tax rate for pull tabs and 10% tax rate for card rooms. Chair Burbidge expressed support for higher tax rates. However, both agreed to a tax rate reduction with an amount to be set at the June 1 Council meeting using the expedited process. Motion second and carried to forward to the June 1, 2010 for first reading and enactment with an effective date of June 6, 2010 Council meeting without recommendation for gambling tax rate. Carried 2- 0. As an aside, Mayor Kochmar noted the door to the Hylebos Conference Room was closed (by a member of the public) and asked City Attorney Richardson if the meeting was in compliance with the state's Open Public Meetings Act. Ms. Richardson stated it was acceptable to close the door; the meeting was properly advertised and remains open to the public thro�ghout the duration of the meeting. C. Capital Replacement Reserves for Federal Way Community Center Automated Pool Consent Vacuum oeio�no Mr. Nelson stated three verbal quotes were received. The lowest bidder has been a good vendor for the City. Staff recommends awarding the contract to them. Motion second and carried to approve the purchase of an automated pool vacuum from Lincoln Equipment, Inc., using capital replacement in the amount of *$4,259.81 and forward to the June 1, 2010 City Councii Consent Agenda (option 1 �. Carried 2- 0. D. Surface Water Maintenance Management System - Authorization to Purchase Consent Ob/O1/10 Mr. Appleton presented his staff report. He noted the benefits of this new software package including nominal staff training of only 1- 1.5 days, lower maintenance costs moving forward versus the Hansen system, and an easy-to-use program. The Committee directed staff to include copies of the bids received, or a bid tabulation, when asking for purchase authorization in the future. Staff committed to do so. Motion second and carried to authorize staff to purchase a new Surface Water Maintenance Management System from VUEWorks at a cost of $32,028.18, utilizing _ _ . _ _ . FEDRAC Summary May 25, 2010 — Page 3 of 5 replacement reserves in the amount of $26,768.00 and Department of Ecology grants for the balance. Carried 2- 0. E. Application for a Communities Putting Prevention to Work (CPPW) Grant N/A Ms. Clark presented her staff report and stated staff seeks to gain consensus from the Committee on whether or not to apply for the grant; the item would not proceed to Council at this time. However, if the City is awarded grant funds, staff will return to the full City Council for authorization to accept. Motion second and carried to support submittal of the grant application. Carried 2- 0. Purchase of Document Scanner for Police/CIS Mr. Fichtner presented the staff report. Motion second and carried to authorize the purchase of a high-speed document scanner to be used by the Police Department with funding through the RSO grant for an amount not to exceed $5,000. Carried 2- 0. G. Spring Tourism Enhancement Grant (TEG) Applications PUBLIC COMMENT: H. David Kaplan stated the Lodging Tax Advisory Committee took a long time to weigh/evaluate the grant requests. He is supportive of the award recommendations as presented. Mr. Doherty presented the staff report and outlined the funding requests and recommended allocations. He noted the sand sculpting event was not awarded money because they have already been awarded $23,000 under another funding option. Motion second and carried to accept the LTAC-recommended TEG awards as indicated in the table contained in the staff report (total allocation $18,000). Carried 2- 0. Consent 06/O1/10 Consent 06/O1/10 H. Community Weatherization Program cco�x��edr�om4iz�nonneen�9> �J//� Mr. Enge reported his office is still researching this topic and working with Puget Sound Energy to better understand how/if to partner with them for this program. Representatives from Puget Sound Energy are not available to meet with Mr. Enge until June 1 1. Mr. Enge will return to the Committee on June 22, 2010 with more information. J. RESOLUTION: Amending the 2010 Fee Schedule and Repealing Resolution No. 09-567 Consent (Regarding Animal Licensing� obio�no Ms. Kraus presented the draft resolution and staff report. The Committee inquired about the higher expense of aitered dogs versus altered cats. Staff replied altered dogs typically require more animal control services. The Committee asked how the fee schedule was determined. Staff answered fees of surrounding communities were taken into consideration. Also, the rates are purposely lower than King County's to encourage licensing with a compliance rate at 20% or better. Deputy Mayor Duclos stated she wants to encourage licensing and suggested utilizing local veterinarians to help get licensing for their patients. Commander McAllester stated the City is developing pamphlets targeting cat owners which will be available city-wide (including at vet offices). Furthermore, the City is working to partner with veterinarians who ideally will become on-line licensing agents providing proof of vaccinations during a pet's regular office visit. Staff also noted penalties are not currently included in the fee schedule. The City is on target to provide animal control services on July 1, 2010. The Committee directed staff to provide an update on the status of animal control services at the regular City Council meeting on June 15, 2010. Motion second and carried to approve the addition of the proposed animal license fees and amend the fee schedule accordingly. Carried 2- 0. FEDRAC Summary May 25, 2010 - Page 4 of 5 K. Monthly Financiai Report Ms. Kraus presented her report and stated revenue is down in the following sectors: property tax, criminal justice sales tax, gambling tax, and building permits (Public Works and Community Development). She also stated the Council budget has a year-to-date variance of $9,000 mainly as a result in timing of travel/training expenditures and payment to King County in support of Mental Health/Chemical Abuse & Depending Services. Also, food/beverage expenses have increased for the now twice-monthly special Council meetings which have mainly been held to discuss/prepare for the change of government. Ms. Roe stated staff strives to provide a budget-conscious light dinner for Council and staff who are required to attend both the regular and special Council meetings at a cost typically between $65 -$100. Other factors include more Council receptions and lunches for agenda setting meetings. Recently, however, a decision was made to discontinue the purchase of lunches for the agenda setting meetings. PUBLIC COMMENT: Mr. Kaplan stated he would like to see a comprehensive accounting of the costs incurred as a result of the change of government rather than simply the expense of the mayor's compensation. Ms. Kraus reviewed department favorable variances and discussed the reasons for them including timing of expenditures, unused/unspent one-time funds, salary savings and utilizing fewer contract services. The Committee asked Ms. Kraus to return to the Committee in June with historical sales tax information. The Committee asked Ms. Kraus to investigate and provide information regarding increases to jail service costs at the June FEDRAC meeting. The Committee discussed a large utility invoice from Lakehaven Utility District covering services from September 2008 to January 2010 for miscellaneous sewer and stormwater charges at the Community Center. Staff will follow up with Lakehaven to check the accuracy of their meter, the validity of the invoice and the impacts moving forward. Also discussed was a recent letter to the Federal Way Mirror by a citizen regarding Proposition 1 funding and expenditures. The Committee directed Ms. Kraus to work with Ms. Farmer to provide accurate information to the Mirror as soon as possible in response. Motion second and carried to approve the Monthly Financial Report as presented. Carried 2 - 0. Consent 06/O1/10 _ _ _ L. Vouchers Consent O6/O1/10 Motion second and carried to approve the vouchers as presented. 4. OTHER: • Disc�ssion on red-light signal enforcement specifically regarding right-hand turn violations for drivers not coming to a full, complete stop. • Discussion of using e-verify to establish applicant eligibility for employment. 5. FUTURE AGENDA ITEMS: • Ms. Farmer to provide performance report/satisfaction rating for Strategies 360 in August prior to amending their contract. • Ms. Farmer to report back in June regarding HR5156 as referenced in Strategies 360's April report and the impact of this legislation upon the City. � • Mr. Enge to return to FEDRAC in June with partnering recommendations for PSE 8� Federal Way Mirror regarding the Community Weatherization Program. FEDRAC Summary May 25, 2010 - Page 5 of 5 Ms. Kraus to provide historical sales tax information at the June FEDRAC meeting per Committee discussion. Ms. Kraus directed to investigate and provide information regarding increases to jail service costs at the June FEDRAC meeting. 6. NEXT MEETING: Tuesday, June 22, 2010. Meeting adjourned at 7:31 p.m. COMMITTEE APPROVAL: Mike Park Committee Chair ABSENCE EXCUSED FROM 5-25-10 MEETING Attest: � Krystal Roe, Deputy City Clerk Jeanne Burbidge Committee Member Jack Dovey Committee Member COUNCIL MEETING DATE: NA CITY COUNCIL AGENDA BILL ITEM #: SUBJECT: MAY 2010 REPORT FROM STRATEGIES 360 ON FEDERAL LOBBYING ACTIVITIES POLICY QUESTION: NA Co1�v�TTEE: Finance, Economic Development and Regional Affairs CATEGORY: ❑ Consent , ❑ City Council Business STAFF REPORT BY: Linda Farmer, APR Attachments: MEETING DA'I`E 6.22.10 ❑ Public Hearing � Other DEPT: City Manager The City's Federal Lobbying Firm, Strategies 360, submits an activity report each month. The report for the month of May 2010 is attached for your review. No action is necessary. STAFF RECOMMENDATION: NA CITY MANAGER APPROVAL: CITY OF FEDERAL WAY Committee COMMITTEE RECOMMENDATION: ❑ Ordinance ❑ Resolution Council DIRECTOR APPRO VAL: co��t Committee Chair Committee Member Committee Member (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPRO VED COUNCIL BILL # ❑ DENIED 1 ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REUISED — 02/06/2006 RESOLUTION # MEMORANDUM _ _ T0: City of Federal Way FROM: Tylynn Gordon and Melanie Mihara RE: Activity Report for May 2010 DATE: June 1, 2010 CONGRESSIONAL ACTIVITIES - � .................................................�---------.........----------.....--�--------�-- fi:�v::�i:. :::.��;{•. ...._� D House Majority Leader Steny Hoyer announced his intention to move forward only with the appropriations bills pertaining to national security tlue to the shortened legislative period and amount of legislation yet to be passed. All other appropriations bills would most likely be taken up at the beginning of next year. } The Senate passed an Emergency Supplemental Appropriations bill to provide funding for the wars in Iraq and Afghanistan. The bill contains $44 million to repair the leaky reservoir wall at Howard Hanson Dam. The differences between the House and Senate bill are now being resolved by a Conference Committee and then the bifl will go back for a final vote. Y Senator Kerry introduced his climate change legislation entitled the American Power Act. The bill aims to grow the American clean energy economy and cut carbon pollution by 17 percent in 2020 and by over 80 percent in 2050. Senate Majority Leader Reid plans to meet with the chairmen of the relevant subcommittees following the Memorial Day recess to discuss action on the bill. � The House voted to approve its Defense Authorization Bill 229-186, including a measure to allow for gays to serve openly in the military by ending the "Don't Ask, Don't Tell" policy. The bill must next be voted on by the Senate. RECENT MEETINGS & HIGHLIGHTS � Provided information and offeretl assistance on the TIGER II grant. r Monitored the federal appropriations process. r Monitoretl federal storm water fees/taxes issue for the City of Federal Way. � Monitoretl surface transportation legislation. � Tracked and provided information on federal grant opportunities. NEXT STEPS . .--------�-��------------�--------------------------------�--�-�---� r Continue to help with the Tiger II grant application process for the City of Federal Way's $31 M application for a portion of the Triangle project. This will include significant work on the grant application and creating a one-page fact sheet for a SCATBoartl briefing on June 15. � Continue to answer questions on Triangle project for Members of Congress or Appropriations Committee. y Continue to track Triangle project request through the legislative process. } Continue to monitor and provide updates on SAFETEA-LU and the upcoming surface transportation reauthorization legislation. r Continue to monitor and provide information on federal grant opportunities. � Strategies 360 � 3300 M Street, NW � Suite 200 P Washington, DC 20007 P 202.333.2234 � NEWS > Article from May 20, 2010 from Congress Daily Hoyer Lays Out Goals for Passing Security-Related Bills By Humberto Sanchez House Majority Leader Hoyer said Thursday he plans to pass security-related appropriations bills before the November election, as House Democratic leaders continue to struggle with the decision over whether to pursue an FY11 budget resolution. Hoyer said that he has been discussing the FY11 appropriations process with House Appropriations Chairman David Obey and the possibility of passing the security-related bills before the midterms. "Mr. Obey and I have been talking about [appropriations] and, in fact, those that will be a priority,will be bills related to security," Hoyer said. Hoyer did not specify, but he is likely looking at the annual Defense, Homeland Security and Military Construction-VA spending bilis. His comments came as Republicans, lobbyists and budget experts have questioned whether House Democratic leaders would consider any of the 12 annual spending bilis before the election. "IYs been clear that this was going to be a'difficult year for appropriations in any case," said Jim Horney, who was deputy Democratic staff director on the Senate Budget Committee from 2001 to 2004 and now directs federal fiscal policy at the Center on Budget and Policy Priorities. The difficulty has already arisen, Horney said, as Democratic leaders have struggled to reach a comp�omise in the Caucus on discre6onary funding. The disagreement turns on a demand from the Blue Dog Coalition that non-security discretionary spending be cut 2 percent each year for three years and a freeze for an additionai two years. Liberal Democrats are opposed to that proposal because they are concerned that it would hurt federal programs on which their constituents depend. House Democrats are also considering passing a deeming resolution, instead of a five-year spending plan, that would set the discretionary funding levei for just FY11 and allow appropriators to move forward on the spending bills.lf the decision is made to pursue a deeming measure, it would be the first time since 1974 when the current budget rules were put in place that the House has failed to pass a budget resolution. Budget negotiations have been going on for weeks and some lawmakers, including House Budget Chairman John Spratt, have said House Democratic leaders have to decide soon. Republicans Thursday accused Democrats of shirking their responsibility to pass all 12 annual appropriations bills. "If the news that the Democrats are not planning on doing appropriations bills is true, it would be an absolute failure to fulfill their most basic duties as members of Congress," said Jennifer Hing, a spokeswoman for House Appropriations ranking member Jerry Lewis. Meanwhile, Hoyer, in his weekly colloquy with Minority Whip Cantor, said that while work continues on trying to get an agreement on a budget plan, it would not likely be reached before the Memorial Day recess. "But my expectation is that we wiii continue to work on that and hopefully do that shortly after our return," Hoyer said. He added that the House could take up a war supplemental spending bill next week. "Chairman Obey is working to get a bill ready for committee consideration and it is possible that we would consider that next week if in fact Mr. Obey and the committee are ready to report that out," Hoyer said. The Senate is expected to begin consideration of its version of the supplemental after it votes on financiai reform legislation. y Article from May 28, 2010 from Seattle Times Hanson Dam money approved in Senafe bill The Associated Press Money for a temporary fix at Howard Hanson Dam on the Green River is in a spending bill that has passed the Senate. Washington Sen. Patty Murray says the $44 million to repair a leaky reservoir wall at the dam southeast of Seattle is included in the $60 billion supplemental appropriations bill that passed Thursday. The reservoir wall was damaged by rain in January 2009, greatly increasing the chances of flooding in the heavily developed Green River Valley downstream. R Strategies 360 � 3300 M Street, NW � Suite 200 � Washington, DC 20007 � 202.333.2234 P COUNCIL MEETING DATE: July 6, 2010 CITY OF FEDERAL WAY ITEM #: CITY COUNCIL AGENDA BILL SUBJEC'r: CITY WEATHERIZATION PROGRAM POLICY QUESTION Should the City allocate 60% of the Community small business energy services and improvements and 40% far residential? administered by a Contract Service Provider? COMMITTEE FEDRAC CATEGORY: � Consent ❑ City Cou B us in ess STAFF REPORT BY: Brvant ❑ Ordinance ❑ Resolution Financial Services Administratar Weatherization Program grant funds to And should the residential program be MEETING DATE: 6/22/201 O ❑ Public Aearing ❑ Other DEPT City Manager's Office ATTACHMENTS: Draft Request for Qualifications (RFQ) for the City Weatherization Program SUMMARY: The City of Federal Way was recently awarded $160,476 from the American Recovery and Reinvestment Act of 2009 (ARRA) grant for its Community Weatherization Program. Previously, $20,000 was committed to marketing the program through a community event called Green Tech Expo. Currently, the marketing program is envisioned as collaboration between the City and the Federal Way Mirror, where a magazine will be published to bring contractors, consultants, and Federal Way citizens together around the latest in energy improvement topics. Based on previous guidance and estimates by the Federal Way Mirror, the City has earmarked $10,000, leaving a balance of $150,476 for community weatherization services and improvements. The grant balance shall be allocated with 40% to residential owners and 60% to small business owners excluding costs of administering the program through. Recently, staff sought to identify opportunities to add other resources, such as matching funds in an effort to increase the City's overall capacity to expend its American Recovery and Reinvestment Act (ARRA) funds to provide weatherization services and improvements. The following are recommendations that could achieve this goal by leveraging local matching dollars and resources from utilities, other agencies, and other sources. Residential Energy Services and Improvements The City could maximize its resources to provide weatherization services and improvements to residents in Federal Way, a total of $60,190, through leveraging with another agency that has additional funding, employs trained weatherization crews to install energy efficiency and conservation measures prescribed by energy audits and diagnostic testing, and reporting to meet the needs of the City and Federal Government. The City would seek the services of an organization to administer the program and to provide technical and financial assistance related to energy efficiency improvements for homeowners in Federal Way. Funding for the Contract Service Provider (CSP) will be provided through the existing grant funds. The CSP will be selected through a competitive Request for Qualifications (RFQ) process using the draft document, attached. Small Business Energy Services and Improvements The City could require matching funds for an energy services and improvements. These matching funds could be private dollars andlor incentives from utility providers. Requiring a minimum match of 20% would leverage an additional $18,057 ($90,286 to $108,343). Based on an average investment of $2,500 per business this would require a minimum match of $500. This represents approximately seven (7) additional projects. An alternative to requiring recipients to provide one-time upfront cash, recipients could finance their match. This financing flexibility would allow the City to request a greater grant match, and therefore leveraging additional resources. The City would use ARRA funds to establish a collateralize pool to secure energy related loans. Furthermore, this would result in greater leverage of the City's ARRA funds considering it is likely a lender will not require a one-to-one dollar match for loan to collateral, growing the funds available for projects. Staff needs to gather additional viability information to assess the nature of this opportunity. During this process staff will gather information on how the program will work with respect to program guidelines; developing interest in the program; lender's interest and their services and requirements; and participation of utilities and other agencies. OPTIONS CONSIDERED: 1. Approve of any and all of the following: a. For purposes of this program staff recommends allocating 60% of the remaining grant balance to small business and 40% to residential energy services and improvements. b. For the resources earmarked for residential energy services and improvements the program should be administered through a contract with a qualified applicant as identified through a competitive RFQ selection process. Furthermore, staff recommends authorizing the City Manager or his designee to enter into a contract with the most responsive, responsible candidate. 2. Deny approval of any and all of the following and provide staff with further information. a. Funding allocation split; b. Contracting for administrator of residential; and c. All STAFF RECOMMENDATION Approve allocating 60% of the remaining grant balance to small business energy services and improvements and 40% for residential to be administered by a Contract Service Provider. Furthermore, authorize the City Manager or his designee to enter into a contract with the most responsive, responsible candidate as identified through the RFQ selection process. CITY MANAGER APPROVAL: .(,,,�� �ji lYl�c� DIRECTOR APPROVAL: f � / � �/ Conunittee Co�ncil Comrruttee Council COMMITTEE RECOMMENDATION: Mike Park Jeanne Burbidge Jack Dovey Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: (BELOW TO BE COMPLETED BY C1TY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1sT reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (orrtinances only) ORDINANCE # REVISED — 02/06/2006 RESOLUTION # CITY OF FEDERAL WAY REQUEST FOR QUOTES CITY WEATHERIZATION PROGRAM I. II. III. PURPOSE OF REQUEST The City of Federal Way ("City") is requesting quotes for the purpose of administering the program and providing technical and financial assistance related to energy efficiency improvements for small businesses and homeowners in Federal Way. The City's needs are outlined in the following Request for Quotes ("RFQ"). TIME SCHEDULE The City will follow the following timetable, which should result in a selection of a contractor by August 6, 2010. Issue RFQ Deadline for Submittal of Quotes Notify Contractor Chosen INSTRUCTIONS TO PROPOSERS A. All quotes shall be submitted electronically via email to: Brtirant.En�e(,�z;cit�-of'fec�eralv�-av.com Subject Line: "RFQ - City Weatherization Program" July 7, 2010 July 26, 2010 July 30, 2010 1. The electronic response is considered binding by City of Federal Way; the City has the right to rely on the representations made by the respondent. 2. All responses will become property of the City of Federal Way and will be a matter of public record. 3. All questions concerning this RFQ must be submitted in writing via email at Bryant.enge@cityoffederalway.com. Responses to questions will be posted within 48 hours upon receipt. Only written questions through the email address provided will be accepted. No response other than written will be binding upon the City of Federal Way. B. All quotes must be received by Monday, July 26, 2010 at 4:00 p.m. at which time they will be opened. No mailed, faxed or telephone quotes will be accepted. C. Quotes should be prepared simply and economically, providing a straightforward, concise description of provider capabilities to satisfy the requirements of the request. Emphasis should be on completeness and clarity of content. D. The Financial Services Administrator or representative will notify the contractor selected by July 30, 2010. DRAFT: City Weatherization Program RFQ Page 1 of 6 E. All quotes must include the following information: 1. 2. 3. 4. 5. IV. SELECTION CRITERIA. All responses to this RFQ will be evaluated based on the Contract Service Provider ability to provide weatherization retrofits, construction improvements and/or capacity to collaborate with another approved Contract Service Provider to successfully administer the program. The City of Federal Way reserves the right to reject substantially incomplete responses without a detailed review. By its sole discretion the City reserves the right to contact the organization and request additional information, reject any and/or all responses or any part thereof, waive any minor irregularity in the responses, and to accept any response that is in the best interest of the City. The names of individuals from those firms who will be working on the project and their areas of responsibility. Specific experience of individuals relative to the proposed project. A proposed outline of tasks, products, and project schedule, including the number of hours required to complete each task or product. A proposed budget based on the above outline of tasks, products, and schedules. References. FACTOR Responsiveness of the written proposal to the purpose and scope of service. Price. V. Ability and history of successfully completing contracts of this type, meeting projected deadlines and experience in similar work. WEIGHT GIVEN 25% 50% 25% Total Criteria Weight 100% Each quote will be independently evaluated on factors 1 through 3. TERMS AND CONDITIONS. A. The City reserves the right to reject any and all quotes, and to waive minor irregularities in any quote. B. The City reserves the right to request clarification of information submitted, and to request additional information from the contractor. DRAFT: City Weatherization Program RFQ Page 2 of 6 C. The City reserves the right to award the contract to the next most qualified contractor, if the successful contractor does not execute a contract within thirty (30) days after the award of the quote. D. Any quote may be withdrawn up until the date and time set above for opening of the quotes. Any quote not so timely withdrawn shall constitute an irrevocable offer, for a period of ninety (90) days to sell to the City the services described in the attached specifications, or until one or more of the quotes have been approved by the City administration, whichever occurs first. E. The contract resulting from acceptance of a quote by the City shall be in a form supplied or approved by the City, and shall reflect the specifications in this RFQ. A copy of the contract is available for review, and shall include requirements to comply with ADA, Civil Rights Act, and EEO requirements. The City reserves the right to rej ect any proposed agreement or contract that does not conform to the specifications contained in this RFQ, and which is not approved by the City Attorney's office. F. The City shall not be responsible for any costs incurred by the contractor in preparing, submitting or presenting its response to the RFQ. VI. SCOPE OF SERVICES The City of Federal Way was recently awarded $160,476 from the American Recovery and Reinvestment Act of 2009 (ARRA) grant far its Community Weatherization Program. Previously, $20,000 was committed to the Green Tech Expo leaving a balance of $140,476 for community weatherization improvements. The grant balance shall be allocated with 65% to residential owners and 35% to small business owners excluding costs of administering the program through a Contract Service Provider (CSP). The purpose of the City's Weatherization Assistance Program (WAP) is to provide resources to fund energy conservation measures to improve the energy performance of buildings used by small businesses and individuals that he or she currently occupies as a primary residence. The City is seeking an organization to administer the program, providing technical and financial assistance related to energy efficiency improvements for small businesses and homeowners in Federal Way. The city wishes to encourage small business building owners/managers and homeowners to make energy-efficient home improvements by leveraging ARRA funds for energy efficiency improvements. The City is requesting information regarding your organization, services, and its approach to administer and provide energy conservation services/improvements to meet the City's program goals. Administration of this program will include client outreach and selection, energy audits, installation of weatherization measures on a building, interim and final inspections, and reporting to meet the needs of the City and Federal Government. The purpose of this program is to provide comprehensive energy conservation measures to as many Federal Way buildings as possible. The goals of this program are to lower DRAFT: City Weatherization Program RFQ Page 3 of 6 energy costs; reduce greenhouse gas emissions; and to create "green" jobs. Federal Way's WAP, funded through the US Department of Energy (DOE), will provide improvements that increase the energy efficiency of Federal Way buildings which meet or exceed the criteria identified in the following guidelines: 1. A Small Business — a for-profit corporation, limited liability company, partnership, proprietorship or other legal business entity located within the City of Federal Way and having 25 or fewer full-time employees at the time of submission of the application. 2. An Individual — any person engaged in a dwelling that he or she currently occupies or will occupy as a primary residence. The Contract Service Provider will oversee the implementation of energy conservation retrofits to help save energy and money while increasing the comfort and safety of buildings. A. The Contract Service Provider will be charged with providing services that requires them to: • Create an appropriate program crew or set of contractors, including any subcontract arrangements, for the installation of program measures in beneficiary buildings; • Establish procedures, information systems, inventory control, work schedules and other necessary means for organizing the program; • Adequately publicize the program availability so that potential beneficiaries are reasonably informed of the program; • Place priority on providing services for the elderly, the disabled or children and to high-energy consuming buildings; • Receive applications, determine recipient priority, and conduct unit assessments using a qualified audit system that is DOE approved and diagnostic equipment to determine the program resources necessary to complete weatherization work; • Arrange for agency crew or contractors to perform weatherization work; • Inspect the completed work on each building; • Perform required record keeping as required by DOE, and by the City of Federal Way and participate in audits as may be required by the City of Federal Way or federal government agency under this program; • Submit timely, programmatic reports to the City of Federal Way in a frequency and manner as determined by the law, regulation or the City of Federal Way's instruction; and B. The Contract Service Provider will complete health and safety measures in order to ensure the health, safety, and security of the occupants and of the weatherization personnel. DRAFT: City Weatherization Program RFQ Page 4 of 6 C. DOE requires service providers to follow the specified US Environmental Protection Agency (EPA) requirements. All weatherization work performed must be conducted using "Lead Safe Work Practices" to protect workers and the occupants of the buildings they weatherize from lead exposure. D. DOE requires service providers to follow the specified EPA and Occupational Safety and Health Administration (OSHA) standards for Worker Safety as well as any state or local requirements. Some of these requirements include, but are not limited to: respirator protection; techniques for safely lifting heaving objects; electrical equipment safety; ladder safety; and general worker protection. OSHA standards should be consulted for further details. Other useful information includes Material Safety Data Sheets that identify potential health risks and describe the proper use, handling, and storage of a wide variety of materials, including some common weatherization materials. They also suggest personal protective equipment and address first aid measures. E. The Contract Service Provider will conduct general heat waste reduction activities in order to increase energy efficiency of the building and to reduce the energy burden. F. The Contract Service Provider will conduct energy education to provide the occupants with the information and tools they need in order to protect the weatherization materials installed. Education will offer clients the ability to actively participate in saving energy in their buildings. G. The Contract Service Provider will implement an approved outreach process. H. Management Requirement • The Contract Service Provider will be required to submit claims for reimbursement monthly. In order to receive reimbursements, Contract Service Providers must provide appropriate backup documentation for all expenses. • The Contract Service Provider will be required to track jobs created and/or retained, hours trained, and equipment units purchased. VII. PROVIDER ELIGIBILITY The Contract Service Provider must be not-for-profit entity with a 501(c) (3) designation and have experience in providing energy conservation improvements and/or the capacity to collaborate with entities having such experience to successfully carry out the administration of the program. VIII. COMPENSATION A. Please present detailed information on the contractor's proposed quote for the specifications proposed and for any variation for non-routine services, inclusive of Washington state sales tax and any other applicable governmental charges. Please provide specifics as to definitions of routine versus non-routine tasks, what is fixed as opposed to variable, and how costs are adjusted according to that classification. DRAFT: City Weatherization Program RFQ Page 5 of 6 B. Payment by the City for the services will only be made after the services have been performed, an itemized billing statement is submitted in the form specified by the City and approved by the appropriate City representative, which shall specifically set forth the services performed, the name of the person performing such services, and the hourly labor charge rate for such person. Payment shall be made on a monthly basis, thirty (30) days after receipt of such billing statement. IX. X. PUBLICATION NAME OF PUBLICATION: Federal Way Mirror City of Federal Way Website (www.cityoffederalway.com) GENERAL INFORMATION Thank you for your review of this RFQ. We look forward to receiving your response. Questions about this RFQ may be directed to Br�ant.En�e a;citvofFederalway.com. DATES: July 10 & 17, 2010 July 7 — 26, 2010 G:Uawforms�Request for Quotes rev. 02/08 DRAFT: City Weatherization Program RFQ Page 6 of 6 COUNCIL MEETING DATE: July 6, 2010 CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL ITEM #: SUBJECT: ACCEPTANCE OF FUNDS FOR WEBSITE IMPROVEMENTS POLICY QUESTION Should the City of Federal Way accept and use Grand Prize funding in the amount of $32,320 toward a redesign of the City's website? COMMITTEE Finance, Economic Development and Regional Affairs CATEGORY: ❑ Consent � City Council Business STAFF REPORT BY: Linda Farmer, APR Attachments: See attached memo. Options considered: ❑ Ordinance ❑ Resolution 1.Accept the Grand Prize contest award of $32,320 from CivicPlus. 2.Reject the Grand Prize contest award of $32,320 from CivicPlus. STAFF RECOMMENDATION: Staffrecommends Option l. MEETING DATE June 22, 2010 ❑ Public Hearing ❑ Other DEPT: City Manager CITY MANAGER APPROVAL: Committee COMMITTEE RECOMII�NDATION: Council DIRECTOR APPROVAL: co��i Committee Chair Cominittee Member Committee Member PROPOSED COUNC7L MOTION: I MOVE APPROVAL OF OPTION 1 TO ACCEPT THE GRAND PRTZE AWARD OF $32,320 FROM CNICPLUS, �IVD AT_JTHORIZE CTTY MANAGER/POLICE CHIEF BRIAN WII.SON TO MOVE FORWARD WITH THE REDESIGN OF THE CTTY'S WEBSTTE. (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUPiCIL ACTION: ❑ APPROVED COUNCILBILL# ❑ DENIED 1 ❑ TABLED/DEFERRED/NO ACTION � Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REUISED - 03/15/2010 RESOLUTION # CITY OF FEDERAL WAY CITY COUNCIL COMMITTEE STAFF REPORT DATE: June 16, 2010 TO: Finance, Economic Development, Regional Affairs Committee VIA: Brian Wilson, City Manager/Police Chief FROM: Linda Farmer, APR, Communications and Government Affairs Manager SUBJECT: Acceptance of Funds for Website Improvements Background The City's website hasn't had a major technical or design upgrade since 2003. Earlier this year, the Communications and IT fiznctions started exploring options for upgrading the City's site. Options included everything from a complete rebuild to just changing the look of the home page. The City interviewed the company that did the City's 2003 redesign and met with vendors from the two largest government-only website builders in the country. In April, one of those national vendors (CivicPlus) announced its annual Extreme Web Makeover contest to give away one full web redesign. The Communications Manager entered the City into the contest. The City survived a regional elimination round and then beat out the number two candidate (Santa Barbara) on June 14, 2010, to win the Grand Prize of a full web redesign and two years of free hosting and maintenance. It is a$32,320 value. On the open market a complete redesign for the City's site is expected to come in between $30K and $SOK. Pronosal Communications and IT staff are conducting additional analysis of the features included in the free redesign. Though the package is quite comprehensive, there may be deficiencies that need to be addressed. If it is determined that additional funds may be necessary, staff will make a recommendation. Staff anticipates having a recommendation for the June 22, 2010, FEDRAC meeting OR the July 6, 2010 City Council meeting. CivicPlus requires that a contract be executed by July 23, 2010. About CivicPlus CivicPlus has more than a decade of research in e-gov services and custom government website best practices, allowing them to implement sites for more than 500 cities, counties, associations, k-12 school districts and colleges around the country. CivicPlus builds its sites around a Content Management System (CMS) created for non-technical users. The CMS allows users to update multiple pages within one window, and to schedule content to be posted and taken down automatically. This dramatically saves time and effort. In addition to time savings, CivicPlus clients report that within days of launching their new sites, call volumes decrease, resulting in more staff efficiencies. CivicPlus has eight city and county clients in Washington state. • Arlington: ht�,�� ������,��i-.�,i.;��f���,t�?�:.�h��,.��:� • Blaine: }�f,�:; ,`��� �� ,�.�; :.�� -------<-----..._ .. . . . • Burien: �:�i� ------• ------------------�--��---------------........� . :, , . , : • E ens urg: .����:!. s:v��'�:�..�._,c:� �:i�� �zrk.�,�w.�.3�- -----------------------�..----------------- • Montesano: ht���:;;����������.��c,nt��r���c�.��; • Columbia County (under development) • Pasco (under development) • Richland (under development) Previous CivicPlus web redesign contest winners include: • 2009: .����:.����rl �;�3ui�t�c-. ����i��t��� • 2008: ?'�ec�� �c;� ���'1��I���� '�c;r� . ------------------- =�-------------------------- • 2007: ���:��i��,�:�_,.'��i��:i�;�37:� • 2006: ��ti� �l;in�t. _3_,_��h:{3 -------------- • 2005: I�i�;��.r:1�r��:. �:`�l�f���n�� About the CivicPlus Extreme Web Makeover Redesign Package The redesign package includes research on the City's current site, interviews with staff, web content writing, web design, site architecture, user testing, programming, training, and two years of hosting, software maintenance, upgrades and 24/7/365 technical support. CivicPlus features more than 100 innovative tools to make government more accessible to citizens including a Citizen Request Tracking module that allows people to report problems (potholes, broken streetlights, graffiti, etc.) via the web or mobile phone. Not only can citizens send in their issues, they can track the City's progress on those issues through a program built into a password-protected portion of the website. For more information on CivicPlus or its clients, please visit �tt��:i_`��3__ci;.:cpl�.��� ��ii�r:�:�,e{:3�,! � CITY OF Federal Way CITY OF FEDERAL WAY MEMORANDUM Date: To: Via: From: Subject June 22, 2010 Finance, Economic Developm nt and Regional Affairs Committee Brian Wilson, ' Manager Patrick Doher� mic D velopment Director Status Repor' on enterpriseSeattle work on Cascadia MedTech Association Pursuant to the City Council-approved Professional Services Agreement with enterpriseSeattle to establish a medical device innovation and commercialization incubator (now called "Cascadia MedTech Association"), enterpriseSeattle has submitted the attached summary of work completed to date related to the deliverables itemized in the Agreement. It should be noted that in addition to the services being performed and paid for with City funds, enterpriseSeattle has also established a for-profit entity, to be known as the "Cascadia MedTech Accelerator" that will directly help fund, establish and grow private medical device companies that may result from the initial services provided by the Association to subscribing inventors with medical device innovations. Depending upon its future success, the Accelerator may contribute support funds to the nonprofit Cascadia MedTech Association. Bruce Jackson of enterpriseSeattle will attend the June 22, 2010 FEDRAC meeting to provide more information and answer questions about their work to date. Status Report June2010 Federal Way Healthcare Innovation and Commercialization Project Phase II Elements of the work: Business Plan A six to eight page document prepared for the purpose of fundraising that explains to potential investors and partners the businesses purpose, markets, professional staff, value proposition and investment offering. Complete. The business plan was required to complete the IRS form 1024 as the critical elements of the non-profit, Cascadia MedTech Association, required for the IRS and for filing the letters of incorporation and completing the by-laws. Pro forma Financials Complete financial analysis, projecting revenues and expenses for a period of 3-5 years. The analysis provides critical information related to fundraising requirements and operating capital. Complete: The financials for the non-profit were required for the 1024 filing. Please note that the pro forma is a document that is used in the day to day business of the Association rather than a document that is completed once and then put on a shelf. Branding and Public Relations Develop marketing materials and plan, schedule, and execute presentations. On-going: We anticipate this activity running in perpetuity but for purposes of the project we expect to continue funding the development of materials and the execution of presentations through December 31, 2010. Investor Presentations Schedule and execute presentations to investors, utilizing prepared materials. On-going: Post Federal Way project funding we anticipate applying for grants, to seek sponsors and donations for the Association. Activity is in its early stages still. We anticipate this activity continuing through December 31, 2010. Legal document preparation Complete: Legal documents establishing the 501 (c) 4, Cascadia MedTech Association have been completed. Approval of the nonprofit status is pending approval from the IRS. Website Development The business will depend heavily on the use of a Web site. The Web site will become the portal through which the business networks with and initiates transactions with customers. On-going: We anticipate the completion of the Website by August 1, 2010. Information Technology and Systems This cost represents developing an IT and systems plan that will become operational the day the business opens. Cancelled: Originally we believed we would be establishing an IT system. Information accumulated during the project suggests that it would be more cost effective to outsource this service should it be required. Intellectual Property Protocol Plan This cost represents developing the protocol the business will utilize to collect, analyize and select innovations for commercialization. On-going: Beginning June 2, 2010 we will initiate development of the intellectual property protocol plan. The plan is to approach medical professionals in cycles; the first cycle will test the efficacy of the approach to innovation capture with a small sample size. The model will be adjusted according to customer demands. A second and third cycle will be initiated with a similar goal of perfecting the model for Phase III roll-out. We anticipate this activity will be on-going through December 31, 2010. Operations Preparation for fundraising, legal documents, business plan, and investor presentations will be completed in 8-10 weeks. At the conclusion of the document, completion phase operations will commence in real-time as represented by fundraising activities, marketing, market analysis, prospecting for fundable deals, and technologies that will be suitable for the portfolio inclusion. Summary: Fundraising Marketing Prospecting Travel & Entertainment The Cascadia MedTech Association is officially launched. Garry Welch represented the Association at the June 17, 2010 Medical Device Summit in Bothell. We have interviewed four potential clients for the Association to work with. We have launched the second marketing study designed to validate our IP (intellectual property) engine with hospitals, clinics and doctors. On-going efforts include: In order to continue the project/operation in Phase II moving in the direction of Phase III consultants will continue to be required for market research, business services, intellectual property management planning and public relations. We expect this to continue through December 31, 2010. In addition, we have identified three additional tasks under "Operations" that will be completed: Virtual MedTech Incubator Work with City staff to identify suitable commercial space in Federal Way in anticipation of MedTech activities, i.e., research, development and manufacturing. We anticipate this activity to be on-going through December 31, 2010. Roll-Out of Cascadia MedTech Association Work with City staff to plan and execute the official roll-out of the Association in Fa112010. Including but not limited to an invitation-only reception featuring individuals from the City and the medical technology community. Outreach Prior to the roll-out event in Fa112010, the project manager/President of the Association will begin communicating with other relevant associations regarding the existence of the Cascadia Medtech Assocation. To include but not be limited to the Washington Biotechnical and Biomedical Association, the Federal Way Chamber and so on. We expect this activity to be on-going through December 31, 2010. Project Management-enterpriseSeattle enterpriseSeattle will manage a consortium of consultants on an as needed basis in order to complete the plan and to cause the business to be fully operational in 11 months. enterpriseSeattle estimates the contribution of at 1000 hours of staff time. On-going: enterpriseSeattle will continue to manage this project though December 31, 2010 including the utilization of enterpriseSeattle staff in corporate officer roles in the non-profit Association. Submitted by: Bruce Jackson COUNCIL MEETING DATE: Jt�ly 6, 2010 ITEM #: CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUSJECT: MAY 2010 MONTHLY FINANCIAL REPORT POLICY QUESTION Should the Council approve the May 2010 Monthly Financial Report? COMMITTEE: Finance, Economic Development and Regional Affairs Committee CATEGORY: � Consent ❑ City Council Business STAFF REPORT BY: Tho Attachments: ❑ Ordinance ❑ Resolution Finance Director ■ May 2010 Monthly Financial Report Options Considered: MEETING DATE: 7une 22, 2010 ❑ Public Hearing ❑ Other DEPT: Finance 1. Approve the May 2010 Monthly Financial Report as presented. 2. Deny approval of the May 2010 Monthly Financial Report and provide direction to staff. STAFF RECOMMENDATION: Staff recommends approval of Option 1. CITY MANAGER APPROVAL: ��� �qIlS7✓r� DIRECTOR APPROVAL: �L '`'�! C__ Committee Council Committee Council COMMITTEE RECOMMENDATION: Fonvard approval of the May 2010 Monthly Financial Report to the July 6, 2010 City Council Consent Agenda. Mike Park, Chair Jeanne Burbidge, Member Jack Dovey, Member PROPOSED COUNCIL MOTION "I move approval of the May 2010 Monthly Financial Report. " (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED I reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordrnances only) ORDINANCE # REVISED — 02/06/2006 RESOLUTION # ��r � � � Federa Way May Z010 Monthly Financial Report GENERAL & STREET FUND OPERATIONS The overall operations of the combined General and Street Fund showed a positive result of $508K. Overall revenue total $18.OM and is $286K or less than 1% above year-to-date budget of $17.7M. 2009 2070 BUDGET VS ACTUAL GENERAL 8 STREET FUND Annual YTD YTD YTD Favorable (Unfavorable) Summary of Sources & Uses Budget Actual Actual Budget Budget Actual $ % Beginning Fund Balance $ 5,642,307 i$ 5,642,307 $ 5,642,307 $ 8,345,195 $ 8,345,198 $ 8,345,198 n!a n! OPERATING REVENUES I Property Taxes 9,287,000 9,443,649 4,867,242 9,329,370 � 4,816,005 4,960,837 144,832 � 3.0% SalesTax 10,578,000 10,583,3�2 4,554,023 10,578,000 � 4,419,594 4,507,334 87,741 i 2.0% Criminat Justice Sales Tax 1,740,000 1,743,893 745,578 1,740,000 743,914 709,946 (33,968) -4.6% Intergovernmentai 2,424,000 � 2,450,957 931,969 2,386,000 907,270 1,016,401 109,131 12.0% Streamline Sales Tax - � 3,362 - - - - - n/a Leasehold Tax 4,000 � 4,999 1,346 4,000 1,077 1,555 478 i 44.4°/ GamblingTaxes 1,110,000 1,127,203 468,178 1,110,000 474,682 348,651 (126,031)� -26.6% Court Revenue 1,502,101 1,555,111 695,426 1,477,469 634,830 688,181 53,350 ; 8.4% Building Permits/Fees-CD 1,245,000 1,248,470 446,110 1,251,000 540,110 532,195 (7,914)I -1.5% ROW Permits & Develop Svcs Fees-PW 341,000 355,328 168,157 349,000 142,706 128,745 (13,961) -9.8% Licenses 240,000 250,919 76,889 240,000 73,543 73,553 10 0.0% Franchise Fees 965,000 950,213 � 484,808 995,000 507,658 489,147 (18,512) -3.6% PassportAgencyFees 73,000 68,865 33,700 73,000 35,724 30,325 (5,399) -15.1% Park & Generai Recreation Fees 7T9,000 806,278 249,122 775,�00 239,457 299,483 60,026 25.1% Police Services 761,000 789,543 333,871 761,000 321,801 369,408 47,607 14.8% dmin/Cash Management Fees 628,424 628,887 262,870 639,755 267,413 267,033 (379) -0.1% Interest Eamings 72,250 84,437 53,953 72,250 � 46,166 19,318 (26,847) -58.2% MisGOther 247,789 269,168 99,734 247,000 91,520 106,926 15,406 16.8% On oin Utili Tax Transfers in: CelebrationPark/PKM&O 344,400 � 344,400 344,400 361,620 361,620 361,620 - n/a Arts Comm/RW&B Festival 113,400 113,400 113,400 119,070 119,070 119,070 - n/a Police Positions 952,168 952,168 952,168 1,002,862 1,002,862 1,002,862 - n/a Street Bond/Lights 459,486 459,486 459,486 482,461 482,462 482,462 - n/a Generai Fund Operations 4,632,152 4,632,152 115,500 4,126,652 - - n/a Prop 1 Voter Package 3,399,168 3,318,163 1,592,961 3,396,049 1,502,985 1,502,985 n/a n in Tr ffi f Tr f r: Court/Police/Tra�c 830,000 830,000 - 830,000 - - - n/a otal Operating Revenues 42,728,338 43,014,352 78,0511,889 42,346,558 � 17,732,467 18,018,038' 285,571 0.7% OPERATING EXPENDITURES City Council 436,493 436,859 247,671 433,331 250,487 259,186 (8,699) -3.5% City Manager 1,844,694 1,762,952 844,528 1,706,229 732,405 547,484 184,921 25.2% Municipal Court 1,505,133 1,660,809 612,100 1,513,661 612,630 589,153 23,477 3.8% Economic Development 488,961 354,993 107,834 409,299 124,330 98,202 26,128 21.0% Human Resources 1,027,476 951,290 413,683 1,162,364 439,824 388,947 50,878 11.6% Finance 970,847 898,863 410,306 993,081 424,542 415,933 8,609 2.0% ivil/Criminal Legal Services 1,550,762 1,433,805 622,729 1,571,921 660,873 585,746 75,127 11.4°/a Comm. DevelopmentSvcs 4,067,399 3,770,864 I 1,524,674 3,847,322 1,586,946 1,479,397 107,549 6.8% Jail Services 2,092,463 2,043,125 533,861 2,368,041 618,760 792,810 (174,050) -28.1% Police Services 23,249,152 22,408,255 9,506,619 22,446,337 9,398,397 9,456,222 (57,825) -0.6% ParksandRecreation 3,875,775 3,842,171 1,398,056 3,931,106 1,537,558 1,397,960 139,598 9.1% Public Works 4,889,570 4,307,345 1,780,532 4,691,158 1,939,189 1,498,681 440,508 22.7% 2009 1-time Savings/Unalloc IS Charges (818,106) (188,106) - - - - - n/a otal Operating Expenditures 45,180,619 43,683,224 18,002,594 45,073,850 18,325,942 17,509,722 876,221 1.9% Operating Revenues over/(under) Operating Expenditures (2,452,281) (668,872) 48,295 (2,727,292) (593,475) 508,316 1,101,792 -164.7% OTHER FINANCING SOURCES One-Time Transfers In\Grant\Other 3,697,556 3,307,192 431,784 741,735 293,232 293,232 - 0.0% Interfund Loan Proceeds 65,000 65,000 65,000 - - - 0.0% Total Other Financing Sources 3,762,556 3,372,193 496,784 741,735 293,232 293,232 (1) 0.0°/, THER FINANCING USES City Manager Contingency - - 1,641,314 - - n/a One-Time Transfers\Other 10,319 429 429 462,714 - - - n/a Totaf Other Financing Uses 10,319 429 429 2,104,028 � - 0.0% Total Endin Fund Balance $ 6,942,263 $ 8,345,198 I$ 6,786,956 $ 4,255,609 $ 8,044,956 $ 9,146,746 n/a n/a DESIGNATED OPERATING FUNDS Designated operating funds revenue total $109M and is $572K below year-to-date budget of $11.4M. Expenditures of $6.9M is $13M below year-to-date budget of $8.2M. 2009 � 2070 � BUDGET VS ACTUAL DESIGNATED OPERATING FUNDS Annual YTD YTD YTD Favoreble (Unfavoreble) Summary of Sources 8 Uses Budget AGuai Actual Budget Budget Achial E ; k Begin Balance-Designated Funds $ 9,219,725 $ 9,279,725 I$ 9,219,726 $ 10,004,673 �$ 10,004,667 I$ 10,004,667 Na � n/ � � OPERATING REVENUES � Intergovemmental 527,215 513,077 198,522 537,315 207,900 � 202,090 (5,811) -2.8% UtililyTax 10,636,098 I 10,489,908 5,428,450 10,811,614 5,274,836 � 4,608,712 (666,124) -12.6% UtilityTax-ProplVoterPackage 3,102,196 3,059,558 1,192,795 3,155,239 1,540,345 7,350,173 (190,172) -12.3°� Hotel/MotelLodgingTax 180,000 154,148 61,330 165,000 60,886 52,647 (8,239)� -13.5% Real Estate Excise Tax 1,175,000 1,428,985 650,614 900,000 425,332 560,802 135,470 31.9% FW Community Center-Operations 1,502,093 1,494,430 651,143 1,552,093 I 675,304 696,172 20,868 3.1% Red Light Photo Enforcement Program 830,000 851,044 371,758 830,000 362,566 496,373 133,807 36.9°r6 Property Tax - KC E�ansion Levy 149,205 156,167 16,427 151,443 15,930 ' 80,537 64,607 405.6°k Dumas Bay Centre 589,132 497,811 194,752 603,786 236,212 199,478 (36,733) -15.6% Knutzen Family Theatre 54,755 54,867 33,439 - - 155 155 n! SWM Fees 3,314,114 3,397,265 1,747,605 3,338,969 1,717,617 1,776,479 58,863 3.4% Refuse Collection Fees 270,732 272,641 136,320 278,854 139,427 139,894 467 0.3% Interest Eamings 149,719 55,082 36,727 150,526 100,365 9,160 (91,204) -9p.9�h Miscellaneais/Other 4,250 4,287 655 25,896I 3,957 15,922 11,965 302.4h On oin Utili Tau Transfers In: Knutzen Family Theatre 359,863 � 359,863 ; 135,723 132,232 132,232 132,232 - O.Oh FWCC Ops/Reserves/Debt 1,781,025 1,781,025 244,684 1,817,264 87,642 I 87.642 - 0.0% ArterialStreets 1,126,316 1,126,316 1,400,000 455,000 455,000 � 455,000 - 0.0% Total Operating Revenues 25,751,713 25,696,474 7T,500,945 24,905,231 11,435,551 70,863,469 (572,082) -2.2% OPERAi1NG EXPENDITURES City Overlay Program 2,050,407 1,940,266 940,110 2,133,379 1,033,679 406,403 627,275 60.7°� Utility Tax-Admin/Cash Mgmt Fees 62,137 62,136 25,890 64,622 26,926 26,925 1 O.Oh Solid Waste 489,233 448,872 188,469 447,016 187,690 198,704 (11,014) -5.9% Hotel/MotelLodgingTau 380,895 151,062 91,857 370,707 225,419 63,374 162,046 71.9% FW Community Center 2,056,859 2,057,096 884,157 2,110,626 919,595 779,265 140,330 15.3% Traffic Safety (Red Light Photo) 50,000 2,258 � - 50,000 I - 2,938 (2,938) n/ DebtService 1,203,385 1,133,287' 22,780 1,203,805 24,197 23,120 1,077 4.5% Surface Water Management 3,372,083 2,880,616 I 1,072,794 3,554,563 1,323,785 1,030,577 293,208 22.1% Dumas Bay Centre 646,225 588,509 232,791 641,056 253,577 I 221,134 32,442 12.8% Knu�enFamilyTheatre 192,789 190,932 95,611 162,849 81,548 29,577 51,971 63.7k n oin tili Tax Transfers ut � FWCC Ops/Reserves/Debt 1,781,025 1,781,025 244,684 1,817,264 87,642 87,642 - 0.0% Knutzen Family Theatre 359,863 359,863 135,723 132,232 132,232 132,232 - 0.0% Arterial Streets Overlay 1,126,316 1,126,316 1,400,000 455,000 455,000 455,000 - 0.0% Transportation CIP 3,700,000 3,700,000 - - - - - n! General/Street Fund Operffiions 6,501,606 6,501,606 1,863,139 6,092,666 1,966,014 1,966,014 - 0.0% Prop 1 Voter Package 3,399,168 3,318,163 1,555,461 3,396,049 1,502,985 1,502,985 - 0.0% On oin Traffic Safe Transfer Out: CouNPolicelfraffic 830,000 830,000 830,000 - n!a Total Operating Expenditures 28,201,992 27,072,008 8,753,467 23,461,834 8,220,289 6,925,891 1,294,397 4.8k Operating Revenues over/(under) Opereting Expenditures (2,450,279) (1,375,534) 3,747,478 1,443,397 3,215,262 3,937,578 722,316 -52.5% OTHER FINANCING SOURCES Grants/Mitigation/Other/Transfer 3,879,064 4,051,159 3,785,130 1,416,972 1,211,370 1,211,370 - 0.0% ToWlOtherFinancingSources 3,879,064 4,051,159 2,282,093 1,416,972 7,277,370 7,211,370 - O.Oh OTHER FINANCING USES One-Time Transfers OuVOther 1,847,743 1,825,684 370,000 2,&41,000 1,930,000 1,930,000 - 0.0% Interfund Loan RepaymenUFWCC 65,000 65,000 65,000 - - - - n/a Total Other Financing Uses 1,912,743 1,890,684 I 435,000 2,841,000 1,930,000 1,930,000 0.0% ENDING FUND BALANCE AAerial Street 400,000 633,380 1,194,932 (2) - 1,407,513 n/a n/a UtiliryTax 1,992,461 2,131,040 7,330,427 3,457,015 - 4,074,858 n/a n/ UtilityTax-Prop1VoterPackage 1,158,186 899,580 795,520 899,580 - 746,769 n/a n/a Solid Waste & Recycling 92,817 151,639 121,401 103,805 - 93,939 n/a n/a Hotel/MotelLodgingTax - 20t,347 164,971 (1) - 193,813 n/a n/a FW Community Center 247,911 240,011 (52,348) 669,356 - 330,208 n/a n! Traffic Safety Fund 85,819 155,288 155,288 105,287 - � 649,103 n/a n/a Paths & Trails 127,115 133,511 212,823 132,769 - 217,215 n/a n/a Debt Service Fund 3,8&4,320 4,164,480 3,130,266 2,905,708 - 2,775,642 n/a n/a SurfaceWaterManagement 535,815 1,114,705 1,177,943 1,638,720 - 2,473,933 n!a n/a Dumas Bay Centre Operations 182,676 149,071 (205,816) 111,805 - 127,418 n/a n/a Knutzen Family Theatre 28,648 30,616 112,054 (t) - 133,425 n/a n/a Total Endin Fund Balance $ 8,735,767 $ 10,004,667 $ 14,137,463 $ 70,024,041 $ - $ 73,223,837 n/a Na Sales Tax Compared to year-to-date 2009 actual, sales tax revenues are down $47K or 1.0%. May sales tax collection of $887K is $12K or 1.4% above 2009's May sales tax of $875K. Compared to 2010 year-to-date budget, sales tax revenues are up $88K or 2.0%. There is an overall decrease in all areas of Sales tax with the exception of Construction, Other, Information, and Government. LOCAL RETAfL SALES TAX REVENUES Year-to-date through May I 2009 2010 Change from 2009 2010 Actua/ vs Budget Month Actual Budget Actual $ I % $ % Jan $ 854,156 $ 829,190' $ 824,040 $ (30,116) -3.5% $ (5,1 50) -0.6% Feb 1,207,836 1,155,376 1,171,625 (36,211) -3.0% 16,249 1.3% Mar 816,547 � 77 0,110 786,688 � (29,859) -3.7% 16,578 ' 2.0% Apr 800,5651 761,718 837,813 37,249 4.7% 76,095 9.5% M8y 874,919 903,200 887,167 12,248 1.4% (16,033) -1.8% Jun 800,518 802,507 - - - - - Jul 829,441 819,688 - - - - - Aug 930,454 969,754 - - - - - Sep 916,206 919,103 - - � - - - Oct 879,431 890,242 - - - - - Nov 886,309 929,316 - - - - - Dec 786,921 827,796 - - - - - YTD Total $ 4,554,023 $ 4,419,594 $ 4,507,334 $ (46,689) -1.0% $ 87,741 2.0% nnua ota $ 10,583,302 $ 10,578,000 � n/a n/a n/a n/a n/a Sales Tax bv SIC Grou� Overall, there is a decrease of $62K in Retail Trade and $52K in Manufacturing offset by $41K increase in Information, $35K in Construction, and $29K in Government. In government, the increase of $29K is due to Nonclassifiable establishments, which includes the Washington State Liquor Stores and establishments that did not identify their component group (i.e. Retail/Services/Construction/wholesaling etc) when filing sales tax with the State. The unfavorable variance in retail trade is due to a decrease of $33K in misc. store retailers, $ZOK in ciothing/accessories and the unfavorabie variance in manufacturing is due to a decrease of $47K in wood product manufacturing. COMPARISON OF SALES TAX COLLECTIONS BYSIC GROUP Year-fo-date May Component Component comprised of the 2009 2010 Change from 2009 Group following major categories Actua! Actual $ % General merchandise stores, motor vehicle & parks dealer, building materiaUgarden, and misc. Retail Trade store retailers $ 2,529,640 $ 2,467,694 $ (61,947) -2.4% Food services/drinking places, professional, Services scientific, tech, and repair/maintenance 987,270 963,542 (23,728) -2.4% Construction of buildings and specialty trade Construct contractors 350,291 385,176 34,885 10.0% Wholesale of durable goods and non durable Wholesaling goods. 193,952 187,275 (6,677) -3.4% Transp/Utility Utilities 2,468 1,378 (1,089) -44.1% Telecommunications, publishing and motion Information picture/sound record 216,996 258,267 41,271 19.0% Wood product manufacturing, printing/related Manufacturing support, and furniture related products 108,617 56,779 (51,838) -47.7% Economic Programs, Executive/Legislative, Justice/Public Order, Human Resources Administration, Nonclassificable Establishments w hich includes Liquor Stores and sales tax for establishments that did not class'rfy their Government Componentgroup. 49,089 77,591 28,502 58.1% RentaUleasing services, real estate, and credit Fn/InslReal Estate intermediation. 107,594 100,420 (7,174) -6.7% Nining, support activities of rruning, and Other transportation services. 8,106 9,212 1,106 13.6% Annual Total $ 4,554,023 $ 4,507,334 $ (46,689) -1.0% Sales Tax bv Area Comparing year-to-date 2010 to year-to-date 2009: � 2010 SALES TAX BY AREA i % Of TOt21 The � Commons °€ �<:_<;,' 10.0% S 348th ;'< � :, j � 10.2% �� , Other � ��"' � a.. 60.6% S � 312th/S316th / 87% , � \ �� Pavilion � Center FW \\ 5.7% Crossings � Hotel/Motel � 3.7 1 .1 % � S 348�': Shows a decrease of $27K or 5.5% due to a decrease of $26K in Retail Apparel/Accessories and $14K in Retail Electronics & Appliances offset by increase of $6K in Retail Building Materials and $7K in Retail General Merchandise. ■ The Commons: Shows a decrease of $23K ar 4.9% mainly due to a decrease of $18K in General Retail Merchandise. SALES TAX COM PARISON by AREA Year-to-date May Chg from 2009 Group 2009 2010 $ % Total Sales Tax $4,554,023 $4,507,334 ($46,689) -1.0°� S 348th Retell BIOCk �485�462 5458�587 ($26�876) •5.5% % chg from prev yr -24.1 % -5.5% na na The Commons 474,489 451,365 ($23,124) -4.9% % chg from prev yr -6.6% -4.9% na na S 312th to S 316th 395,597 390,811 ($4,781) -1.2% % chg from prev yr 1.3% -1.2% na na Pavilion Center 242,970 256,770 $13,800 5.7% % chg from prev yr -3.1% 5.7% na na Fbtels 8 Motels 57,694 51,008 (6,686) -11.6% % chg from prev yr -19J°6 -11.6% na na FWCrossings 182,459 166,337 (16,121) -8.8°k % chg from prev yr 66.7% -8.8% na na ■ S312 to 5.16�': Tax collections are down $SK or 1.2% mainly due to decrease of $4K in Retail Food Stores. ■ Pavilion Center: Tax collections show an increase of $14K or 5.7% mainly due to an increase of $15K in Electronics & Appliances of offset by a decrease of $3K in Misc Retail Trade. ■ Hotel & Motels: Tax coilections show a decrease of $7K or 11.6%. ■ Federal Way Crossings: Tax collection is down by $16K or 8.8% due to a decrease of $17K Retail Misc Store of $17K. Utiliry Tax (Tota17.75%) Total utility taxes received year-to-date 2010 is $6.OM and is below year-to-date 2009's collections by $654K or 9.9%. Of the $654K decrease, $413K is due to a decrease in overall revenues for a major gas vendor. Compared to budget, utilities tax revenues are below 2010 year-to-date projections by $856K or 12.6%. The utility tax rebate is a reimbursement from the City to any residents of Federal Way who is 65 years of age or older, disabled/unable to work, and had an income during the calendar year. Any payments that these qualified individuals made towards the utility tax that is passed from the utility company to the consumer is reimbursed by the City. 154 rebates totaling $20K have been processed year-to-date. UTILITY TAXES Year-to-date through May 2009 2010 Change from 2009 2010 Actual vs Budget Month Actual Budget Actual $ Var � % Var $ Var i % Var Jan $ 1,239,336 $ 1,276,825 $ 1,259,004 $ 19,667 � 1.6% $ (17,821) -1.4°/ Feb 1,444,481 1,488,174 1,227,306 (217,175) -15.0% (260,868) -17.5°/a Mar 1,382,427 1,424,244 1,162,917 (219,511) -15.9% (261,327) -18.3°/ Apr 1,364,444 1,261,215 1,210,765 (153,679) -11.3% (50,449) -4.0°/ May 1,190,557 1,371,072 1,119,347 (71,210) -6.0% (251,725) -18.4°/ Jun 1,024,160 1,055,139 - - - - Jui 1,010,788 1,041,363 - - - - Aug 939,252 967,663 - - - - Sep 914,835 942,508 - - - - Oct 1,028,231 1,059,334 - - - - Nov 987,442 1,017,311 - - - - Dec 1,036,986 1,068,353 � - - - - YTD Tot21 $ 6,621,246 $ 6,821,530 $ 5,979,339 I $ (641,907) -9.7% $ (842,191) -12.3% YTD Rebate (8,686) (6,348) (20,453) (11,768) 135.5% (14,105) 222.2°/ Annual Totai $ 13,554,254 S 13,966,853 $ 5,958,885 $ (653,675) -9.9% (856,296) -12.6°/ Compared to 2009 - ■ Electricity is down by $151K or 6.4%. • Gas is down by $423K or 29.5% mainly due to decrease in natural gas rates effective October 2009 and decrease in consumption due to warmer weather when compared to 1 S ` Quarter 2009. ■ Solid Waste is up by $7K or 2.3%. Starting March l there was an average of a 17% increase in solid waste service rates. Comparing March 2009 to March 2010, there was a 14% increase in solid waste utility tax offset by decrease of 2% in the beginning of 2010 compared to 2009. ■ Cable is up $12K or 2.0%. ■ Phone is down $18K or 3.5%. ■ Cellular phone is down by $72K or 5.5%. UTILITY lAXES Year•to•datethrough May 2009 2010 Change from 2009 Actuaf Actual $ Var %Var Aeclric $ 2,352,839 $ 2,201,828 $ (151,011) -6.4% Gas 1,432,850 1,009,947 (422,902) -29.5% SoGd Wasie 308,002 315,238 7,236 2.3% Cable 578,263 589,892 11,629 2.0% Phone 511,572 493,863 (17,710) -3.5% CeUular 1,301,922 1,229,932 (71,990) -5.5% Pager 210 396 186 88.9% SWM 135,588 138,242 2,654 2.0% Taz Rebafe (8,686) (20,453) (11,768) 135.5% YTDTotal S 6,611,560 $ 5,958,885 S(6�3,675� -9.9% Update on Proposition I Year-to-date 2010 prop 1 expenditures total $1.2M or 38.9% of the $3.1M budget. An additional $300K was transferred for Police Overtime. Current life-to-date Prop 1 Utility tax collections total $99M and expenditures total $9.1M resulting in ending fund balance of $747K. PROP 1 200g 20�0 Annual Annual Annual YTD LIFE Budget Actual Budget Actual TO DATE Be innin Balance: $ 1,158,186 $ 1,158,186 $ 899,580 $ 899,580 $ - OPERATING REVENUES January $ 277,578 $ 279,745 $ 288,315 $ 284,291 $ 836,176 February 291,008 299,981 336,039 277,134 862,421 March 339,134 337,484 321,603 262,594 1,161,007 April 265,287 275,585 284,790 273,399 1,085,520 May 307,326 300,363 309,597 252,756 1,093,355 June � 237,543 230,272 238,257 677,801 Jul 229,141 I 228,153 235,146 665,175 August 223,587 212,089 218,505 637,792 September 208,501 206,576 212,824 635,453 October 233,005 232,181 239,204 682,747 November 233,850 222,971 229,715 679,588 December 256,237 234,158 241,241 837,967 Total Utili Tax for Prop 1 3,102,196 3,059,558 3,155,239 1,350,173 9,855,002 OPERATiNG EXPENDITURES Public Safety Improvement Positions & Costs: Police Services (includes sworn postions, records clerk, and indirect Information Technology support costs) 2,384,409 2,319,335 2,340,772 908,182 6,227,792 Court Services (includes Judge, Court Clerk, Prosecutor, public defender contract, and indirect Information Technology support) 366,119 349,074 383,866 143,495 1,087,547 Total Public Safety Improvement Positions & Costs 2,750,528 2,668,410 2,724,638 � 1,051,677 7,315,340 Community Safety Program Costs Code Enforcement Officer 93,155 87,683 100,218 36,805 271,132 Code Enforcement Civil Attorney 69,962 64,141 72,589 22,176 196,879 Park Maintenance 107,562 100,806 112,046 37,942 306,526 Totat Communi ` Safe ImprovementPro ram Costs 270,679 ( 252,631 284;853 � 96,923 774,538 Indirect Support - HR Analyst 40,467 ' 38,696 46,780 16,884 133,362 SafeCit M&O 59,553 58,428 39,784 37,500 95,928 SubtotalOn oin Expenditures 3,121,227 3,018,165 3,096,049 1,202,985 8;319,167 SafeCity Startup - - - - 189,066 Other Transfer - Prop 1 OT for Police - 300,000 300,000 300,000 600,000 Subtotal Other Expenditures `- 300,000' 300,000 300,000 789,066 Total Pro 1 Ex enditures 3,121,227 3,318,165' ' 3,396,049 1,502,985 9,108,233 Total Endin Furtd Balances: $ 1,139,f55 $ 899,580 '� , 658,770 $ 746,768 $ 746,769 Real Estate Excise Tuz Compared to year-to-date 2004 actuals, collections are down $90K or 13.8%. May's receipt of $79K is $313K below May 2009's actuals and $17K below May 2010's projections. Compared to year-to-date 2010 budget, collections are up $135K or 13.9%. There were no major sales in May. May 2010 activities include 35 real estate transactions, of which 10 were tax exempt. HoteUMotel Lodging Tax Hotel/Motel lodging tax collections through May total $53K. Compared to year-to-date 2009, lodging tax is $9K or 14.2% below the same period. Compared to year-to-date 2010 budget, lodging tax is $8K or 13.5% below projections. HOTEL/MOTEL LODGING TAX REVENUES Year-to-date through May 2009 2010 Changefrom 2009 2010Actual vs8udget Month Actual Budgef Actual $1/ar % 1/ar $ Var % Var Jan $ 11,565 $ 11,593 $ 8,787 $ (2,778) -24.0% $ (2,806) -24.2% Feb 13,822 12,664 11,823 (1,999) -14.5% (841) -6.6% Mar 9,320 10,330 8,134 (1,186) -12.7% (2,196) -21.3% Apr 12,025 9,602 10,617 (1,408) -11.7% 1,016 10.6% W�y 14,597 16,697 13,285 (1,312) -9.0% (3,412) -20.4% Jun 9,910 11,443 - - - - Jul 11,394 12,256 - - - - Aug 13,054 16,674 - - - Sep 17,093 14,088 - - - Oct 19,466 22,194 - - - - Nov 13,285 15,346 - - - Dec 8,616 12,113 - - - - YTDTotal 5 61,330 $ 60,886 $ 52,647 �(8,683) -14.2% b (8,239) -13.5% Gambling Tax Annual Total $ 154,148 $ 165,000 n/a n!a n/a n/a n/a Year-to-date 2010 Gambling tax collection total $349K. In comparison to year-to-date 2009 collection, 2010's tax collection is $120K or 25.5% below. Compared to year-to-date 2010 budget, gambling revenues are down $126K or 26.6%. The negative variance is due to two gambling venues closing, one of which is a major payor. GAM BLING TAX REVENUE Year-to-date thru May 2009 2010 Change from 2009 2010 Actual vs Budget Month Actual Budget Actual $Var %Var $Var %Var Jan $ 78,383 $ 97,849 $ 68,015 $ (10,368) -13.2% $ (29,834) -30.5% Feb 80,408 98,819 84,876 4,468 5.6% (13,942) -14.1% Mar 103,463 63,713 87,142 (16,321) -15.8% 23,429 36.8% Apr 102,780 132,023 96,850 (5,930) -5.8% (35,174) -26.6% May 103,143 82,277 11,768 (91,375) -88.6% (70,510) -85.7% Jun 99,118 92,326 - - - - Jul 107,752 93,556 - - - - Aug 91,449 110,930 - - - - Sep 92,060 78,609 - - - - Oct 87,880 83,131 - - - - Nov 72,346 111,299 - - - - Dec 108,420 65,468 - - - - YTDTotal $ 468,178 $ 474,682 $ 348,651 $ (119,528) -25.5% $ (126,031) -26.6% Annual Total $ 1,127,203 $ 1,110,000 n/a nla n/a nla nla REAL ESTATE EXCISE TAX REVENUES Year•to-date through May 2009 2010 Change from 2009 2010Actual vsBudget Month Actuat Budget Actual $Var %Var SVar %bar Jan $ 60,134 $ 78,746 $ 79,389 $ 19,255 32.0% $ 643 0.8% Feb 44,975 71,576 47,571 2,596 5.8% (24,005) -33.5% Mar 93,877 87,215 230,191 136,314 1452% 142,976 163.9% Apr 60,007 92,279 125,035 65,029 108.4% 32,756 35.5% M2y 391,622 95,516 78,616 (313,005) -79.9% (16,900) -17.7% Jun 105,997 74,658 - - - Jul 132,852 71,843 - Aug 83,173 64,004 - Sep 122,996 88,549 - - Oct 92,273 60,914 - - Nov 113,843 66,651 - Dec 127,237 48,049 - - YTDTotal a 650,614 $ 425,332 ; 560,802 (89,812) •13.8°k 135,470 31.9° Annual Total 51,428,985 a 900,000 nla nla nIa nla nla State Shared Revenire Year-to-date 2010 distribution of $2.iM is above year- to-date 2009's activity by $55K or 2.8%. The favarable variance is due to increase all in areas with the exception of Local Criminal Justice Sales Tax. Permit Activity Building, planning, and zoning permit activities are above year-to- date 2009's activity by $86K ar 193%. Compared to year-to-date budget, permit activity is down $8K or 1.5%. The increase in permit activity compared to 2009 is due to increase in activity for construction of houses and commercial real estate in the City. Community Development's positive expenditure variance of $108K due to savings found in one-time programs that was carried forward from 2009. STATE SHARED REVEMUES Year-to-date thru May 2009 2010 Change from 2009 Revenue Actua! Actual $ % Liquor Rofits Tax $ 145,979 $ 205,536 $ 59,557 40.8°/ Liquor Excise Tax 217,654 224,254 6,600 3.0% CrimJust- Pbpulation 44,515 46,435 1,920 4.3% Giminal Just High Gime 97,965 106,389 8,425 8.6% Local GimJust Sales Tax 745,578 709,946 (35,633) -4.8°/ Fuel Tax* 741,229 754,550 13,321 1.8% DUI- Cities 7,836 8,965 1,129 14.4% YTD Total $ 2,000,757 § 2,056,076 $ 55,319 2.8 % • Fuel tax is included in bo th general/streel, des ignated o perating funds, and transpo rtatio n C IP . BINLDING & LAND USE P92NIITS AND F�S Year-to-date thru May 2009 2070 Change from 2009 2010 Actual vs Budget Actuai Budget Actual S % S % Jan 74,914 70,729 70,617 (4,297) -5.7% (112) -0.2% Feb 102,637 102,763 65,393 (37,244) -36.3% (37,370) -36.4% M2r 65,496 97,084 150,033 84,537 129.1% 52,949 54.5% Apr 118,447 144,274 112,032 (6,414) -5.4% (32,242) -22.3% May 84,616 125,259 134,120 49,504 58.5% 8,861 7.1% Jun 184,937 126,796 - - - - - Jul 163,050 107,883 - - - - - Aug 113,306 125,212 - - - - Sep 80,231 76,173 - - - - - Oct 95,358 103,133 - - - - Nov 53,465 84,960 - - - Dec 112,013 86,733 - - - - - YTDTotal 446,110 540,110 532,195 86,086 79.3% (7,914) -1.5% Annual Total 1,248,470 1,251,000 n/a n/a n/a n/a n/a Right-of-way permits and development services permit fees are down $14K or 9.8% when compared to year-to-date 2010 budget. Right-of-way permit activity and issuance is normal and the other permits such as residential, commercial and plats are down due to economic conditions in the market place. Owners/developers are not proceeding with new plats since there is a surplus of new homes, new lots, and other fmancial issues. This is the same for the commercial market, there is an excess of existing office space and banks are more stringent on lending practices. The Federal Way School District is approved and the preconstruction meeting held for the new Support Services Center, construction will start shortly. This project includes the extension of 13th Avenue South, construction of S 332nd/333rd Street from 9th Avenue s to 13th Avenue South and widening S 336th Street and installing a new traffic signal. Public Works Operations year-to-date expenditures total $1.SM and is $441K or 22.7% below year-to-date budget of $19M mainly due timing of payments of $141K in repairs/maintenance, $54K in intergovernmental, $33K in professional/consulting contracts, savings of $62K in salary/benefits, and under-spending of $99K in one-time programs. ROW PERMITS 8 DEVELOPMENT SERVICES F EES Year-to-date thru May 2009 2010 Change from 2009 2010 Actual vs Budget Actual Budget Actual $ % $ % Jan 21,536 25,042 11,036 (10,499) -48.8% (14,005) -55.9°/a Feb 20,293 28,143 30,655 10,363 51.1% 2,513 8.9% Mar 19,578 20,079 26,054 5,976 30.5% 5,976 29.8% Apr 54,982 39,211 35,290 (3,921) -7.1% (3,921) -10.0% May 51,768 30,232 25,709 (4,523) -8.7% (4,523) -15.0% Jun 28,828 27,162 - - - - - Jul 36,809 30,925 - - - - - Aug 16,211 35,783 - - - - Sep 7,866 18,025 - - - - - Oct 26,622 32,086 - - - - - Nov 32,461 28,018 - - - - - Dec 38,375 34,295 - - - - - YTD Total 168,157 142,706 128,745 (39,412) -23.4°/a (13,961) -9.8% Annual Total 355,328 349,000 n/a n/a n/a n/a n!a Police Department Expenditures year-to-date May total $9.SM and is $58K or ]ess than 1% above the budget of $9.4M, due to purchases made related to Animal Services which will be absorbed at year-end by excess reserves and fuel savings. Through May, City overtime is $12K or 4.7% above last year. There is a 262% increase in overtime for contracted services and traffic school. When the increase from the billable overtime is included, the total overtime increased $24K or 7.9%. The Overtime budget consists of $686K for City overtime, $87K for billable time, and $86K for grant overtime reimbursement. The increase in billable time compared to 2009 is due to the addition of the Registered Sex Offender Grant and Valley Narcotics contribution for 2010 which is reimburse to the City for overtime worked for related cases. PDOvertime �Month 2009 2010 Changefrom 2009 2010 Actualvs Budget Actual Budget Actual S °� 3 % Jan $ 46,441 $ 53,077 $ 57,368 $ 10,927 23.5°k $ 4,291 8.1°/a F2b 39,356 44,980 40,952 1,596 4.1°k (4,028) -9.0% Mer 57,836 66,100 65,076 7,239 12.5% (1,025) -1.6% Apr 59,767 68,307 57,612 (2,155) -3.6°,6 (10,695) -15.7% M2y 58,365 66,704 53,154 (5,211) -8.9% (13,550) -20.3% Jun 53,747 61,426 - - - - Jui 64,707 73,953 - - - - Aug 55,534 63,469 - - Sep 49,665 56,762 - - - Oct 43,615 49,847 - - Nov 35,227 40,260 - - Dec 35,648 40,742 - - - City Portion $ 261,765 $ 299,168 $ 274,162 12,396 4.7% (25,007) -8.4°� Billable 45,368 51,419 57,265 11,897 26.2°� 5,846 3.1°k YTDTotal 307,734 350,587 331,427 24,293 7.9°k (19,160) -5.5°h Annual Totai $ 752,118 $ 858,137 nla nla nla nla nla Jail Services Jail Services year-to-date thru May is $793K and is above year-to-date budget of $619K by $174K or 28.1%. Compared to year- to-date actuals, Jail services are up $259K or 48.5% compared to 2009. Of the $259K increase from 2009, $67K is due to refund from Yakima in 2009 for prepaid medical services and the remainder is due to increase in Jail services for all jurisdiction with the exception of Fife and increased Medical Costs compared to 2009. Through May of each year, the City has paid far services rendered through the month of April with the exception of King County & Enumclaw jail payments. There is a one-month lag in jail payment. The City currently uses City of Fife, City of Enumclaw, King County, and Yakima County for Jail Services. Jail Services Year-to-date thru May " 2009 2010 2009 vs 2010 Act 2010 Bud vs Act Month Actual Budget Actual °$ j % $ % Jan - - - - - - - Feb 119,209 138,167 128,846 (9,637) -8.1% 9,321 6.7% Mar 172,722 200,189 88,727 83,995 48.6% 111,463 55.7% Apr 4,033 4,674 226,430 (222,397) -5514.9% (221,756) -4744.5% May 237,898 275,730 348,808 (110,910) -46.6% (73,077) -26.5% Jun 203,530 235,897 - - - - - Jul 159,542 184,913 - - - - - Aug 195,561 226,660 - - - - - Sep 167,310 193,917 - - - - - Oct 164,706 190,899 - - - - � - Nov 74,635 86,504 - - - - - Dec 543,980 630,489 - - - - - YTD Total 533,861 618,760 792,810 258,949 -48.5% (174,050 -28.1% nnual Total 2,043,125 2,368,041 n/a n!a ! n/a n/a n/a Traffrc Safety/Re�t Light Photo Enforcement Traffic Safety Fund accounts for Red Light Photo Enforcement. 2010 year-to-date net Red Light Photo receipts are $496K, which is received for January thru May. Payments to ATS total $198K, which is for the month of January thru April. 8 additional cameras were added in December of 2009 - 4 of which are Red Light Cameras and 4 are School Zone Cameras. 50% of February's, 60% of March's, 64% of April's, and 70% of May's gross revenues were from the 8 new cameras. Court Municipal Court expenditures of $589K is $23K or 3.8% below estimates. The positive variance is mainly due to the Court Administrator vacancy, which was filled in early March 2010. Excluding probation, year-to-date 2010 revenue is down by $9K or 13% compared to year-to-date 2009. When probation is included, the decrease is adjusted to $7K or 1.0%. COURT REV ENUE Year-to-date thru May 2009 2010 Change from 2009 2010 Actual vs Budget Month Actual Budget Actual $ Var % Var $ Var % Var January $ 101,503 $ 101,885 $ 111,414 $ 9,912 9.8% $ 9,529 9.4% February 155,225 111,713 156,784 1,559 1.0% 45,071 40.3% March 152,207 120,402 159,493 7,286 4.8% 39,091 32.5% April 135,453 110,132 126,513 (8,940) -6.6% 16,382 14.9% M2y 122,986 119,678 104,487 (18,499) -15.0% (15,191) -12.7% June 125,491 118,829 - - - - July 113,665 108,986 - - - - August 110,319 112,506 - - - - September 109,082 112,744 - - - - October 121,057 125,009 - - - - November 109,250 113,339 - - - - December 132,323 121,246 - - - - Subtotal $ 667,374 $ 563,810 $ 658,692 $ (8,682) -1.3% $ 94,882 16.8% Probation Svcs 28,051 71,021 29,489 1,438 5.1% (41,532) -58.5% YTD Total $ 695,426 $ 634,830 $ 688,787 $ (7,245) -1.0% S 53,350 8.4% Annual Total 1,555,170 7,477,469 n/a n/a n/a n/a n/a COURT REVBdUE Year-to-date thru May 2009 2010 Change from 2009 Actual Actual $ Var %Var Civil F�nafties $ 9,517 $ 10,260 $ 743 7.8% Traffic & Non-Parking 470,230 443,930 (26,300) -5.6% Parking Infractions 42,825 18,956 (23,869) -55.7% DUI & Other NSsd 25,143 29,314 4,171 16.6°/a CriminalTraffic NGsd 840 2,017 1,177 140.0% Criminal Costs 38,040 48,457 10,418 27.4% Interest / Other / Misc 18,549 23,652 5,103 27.5% Giminal Conv Fees 8,582 12,037 3,455 40.3% Shared Court Costs 23,574 34,458 10,884 46.2% Services & Charges 30,075 35,612 5,537 18.4% Subtotal $ 667,374 $ 658,692 $ (8,682) -1.3% Probation Services 28,051 29,489 1,438 5.1% YTDTotal $ 695,426 $ 688,181 $ (7,245) -1.0% Compared to year-to-date 2009 actual: ■ Traffic and non-parking fines total $444K and is $26K or 5.6% below. ■ Parking infractions total $19K and is $24K or 55.7% below. ■ DUI and other misdemeanors total $29K and is $4K or 16.6% above. ■ Criminal costs total $48K and is $ l OK or 27.4% above. ■ Criminal Conviction Fees total $12K and is above by $3K. Parks & Recreation Overal) parks operations expenditures, including administration, parks maintenance and general recreation, through May 2010 total $1.4M and is $140K or 9.1% below the year-to-date budget of $I.SM mainly due to savings of $74K in their one-time programs compared to 2009's spending patterns, savings of $9K in salary/benefits offset by overage of $33K in temporary help/seasonal help/instructars, timing of $24K in professional/consulting services, and $44K in repairs/maintenance. General Recreation and Cultural Services Direct program expenditures total $280K or 37.2% of the total annual budget of $752K not including indirect costs. Including indirect administration costs, recreation expenditures total $397K and are 39.6% of the total annual budget of $1,003K. Recreation fees total $298K and are 38.8% of the total annual budget of $769K. Recreation fees have recovered 106.5% of direct program costs and is 42% above the annual budgeted recovery ratio of 1023%. Considering indirect administration costs, the recovery ratio is reduced to 75.0% or 1.6% below the annual budgeted recovery ratio of '76.6%. General Recreation revenues projections were increased in 2010 by $175K without a corresponding increase in expenditures. Disregarding this change, the budgeted recovery ratio would be 59.2%, when this is taken into consideration; their recovery ratio is above budgeted. It is expected the department will exceed their budget but will be offset by expenditure savings within the General Fund Budget. General Recreation revenues of $299K* is $60K or 25.1% above year-to-date budget of $239K. Compazed to actual, general recreation is above year-to-date 2009's activity of $249K by $SOK. Positive variance compared to 2009 year-to-date actual is due to: ■ Adult Athletics - Revenues are up $25K and expenses are up $23K from 2009 due to an increase in participation. Volleyball has 40 teams participating in 2010 compared to 13 in 2009; Soccer now has 51 teams compared to 22 in 2009. ■ Youth Athletics - Revenues are down $8K from 2009, expenses are down $8K by changing spending patterns for supplies and only using temporary help when needed. ■ Senior Services - Revenue is up by $11K compared to 2009 and expenses are down $3K. Staff is working hard to make this a successful program. Trips and Tours are doing very weli and daily drop-in programs have had an increase in attendance each month. Compared to last year Trips and Tours YTD have increased from 58 programs with 432 participants in 2009 to 66 programs with 624 participants in 2010. ■ Community Recreation - Compared to 2009, revenues are up $20K and expenses are up $17K. Revenues in this area continue to grow with no-school day programs, spring break camp and a huge increase in pre-school. Increase in expenses is due to gearing up for Summer Camp, which starts on June 21 ■ Recreation Inc. - Revenues are up $6K from 2009 and expenses are up $9K. The recovery ratio is above budgeted due to high attendance in classes and an increased effort to reduce expenditures, such as obtaining discount admissions as much as possible. ■ Arts & Special Events - Revenues are down $2K and expenses are down $3K from 2009. The program as a whole is under the budgeted subsidy due to utilizing volunteers for both preparation and assisting at events. The table below is a comparison of budgeted versus actual subsidy and recovery ratio by program. GENERAL RECREATION PERFORMANCE Year-to-date thru May Annual Budgei Year-to-date Actual Recovery Recovery Variance Piogram Revenue* Expend Su6sidy Ratio Revenue Expend Subsidy Ratio Subsidy GENERAL RECREATION Steel Lake Aquatics 2,000 20,360 18,360 9.8% - - - n/a n/a Arts & Special Events 93,000 122,174 29,174 76.1% 56,765 47,243 (9,522) 1202% 38,696 Youth Athletics 42,450 99,100 56,650 42.8% 7,551 25,181 17,630 30.0°/a 39,021 AdultAthletics 202,960 141,598 (61,362) 143.3% 109,563 58,470 (51,093) 187.4% (10,269) Community Recreation 299,000 149,172 (149,828) 200.4% 58,853 63,102 4,249 93.3% (154,077) Recreation Inc 48,850 64,407 15,557 75.8°/a 29,447 38,057 8,610 77.4% 6,947 Youth Commission - 1,800 1,800 n/a - 85 85 n/a 1,715 Red, White & Blue 21,500 41,550 20,050 51.7°/ 5,125 800 (4,325) n/a 24,375 SeniorServices 58,740 111,413 52,673 52.7% 30,615 46,739 16,124 65.5% 36,549 Subtotal Direct Cost 3 768,500 $ 751,575 $ (16,925) 102.3% S 297,919 S 279,675 3 (18,244) 106.5% $ 1,319 Administration - 251,664 251,664 n/a - 117,805 117,805 n/a 133,860 o a enera ecrea ion including Indirect Cost § 768,500 $ 1,003,240 $ 234,740 76.6% S 297,919 S 397,479 S 99,561 I 75.0% 5135,179 *Annual budgeted revenues of $768,500 does not include $6,500 budgeted for Celebration Parks. When inc[uded, tota[ budget revenues Jor t'arks and General Recreation total $775K, which equals the General/Street Summary page for Parks and Genera! Recreation budgeted revenues. 2010 year-to-date revenue of $297,919 does not rnclude $1,564 for Arts Commission and Celebration Parks. When included, the total year-to-date revenues for Parks and General Recreatron total $299,482, which equals the General/Street Summary page for Parks and General Recreation year-to-date actual revenues. Federal Wav Communitv Center The Federal Way Community Center Fund was established as a special revenue fund supported by user fees and designated utility tax transfer. 2009 2010 Budget vs AcWal Federal Way Annuai YTD YTD' YTD Favorable!(Unfavorable) Community Center Budget Actual Actual Budget Budget Actuai °/a Beginning Fund Balance -- $ 984 $ 984' $ 984 $ 240,014 $ 240,014 $ 240,014 n/a n!a Revenues Daily Drop-ins $ 328,593 $ 322,697 $ 140,292 $ 353,593 $ 153,724 I$ 144,070 $ (9,654) -6.3% Passes 630,000 617,481 251,207 630,000 256,300 289,925 33,624 13.1% City Staff Membership - Employee 43,500 54,352 32,471 43,500 25,988 19,877 (6,111) -23.5% Ciry Staff Membership - Family - 5,323 2,474 - - 3,423 3,423 n/a Youth Athletic Programs 35,000 37,277 16,115 35,000 15,131 24,461 9,330 61.7% Open Gym/Indoor Playground 1,000 - - 1,000 - - - n/a Aqua Programs-Lessons/Classes 110,000 119,710 49,355 110,000 45,352 47,629 2,277 5.0% Childcare Fees 10,000 8,833 4,032 10,000 4,565 3,762 (802) -17.6°� Fitness Classes/Fitness Training 85,000 76,907 47,748 85,000 52,773 49,289 (3,484) -6.6% Towel/equipment Rentals 8,000 6,146 3,049 8,000 3,969 2,827 (1,142) -28.8°/a Pool Rentals/Competitive-Lap Lanes 21,000 17,758 8,212 21,000 9,711 7,844 (1,867) -19.2% Rentals 185,000 199,160 80,126 185,000 74,429 83,831 9,402 12.6% Merchandise Sales 21,000 8,409 3,577 21,000 8,933 3,403 (5,530) -61.9% ConcessionsNending 24,000 19,541 11,410 24,000 14,013 3 (14,010) -100.0% Interest Earnings/Other Misc Revenues - 836 1,073 - - 863 863 n/a General Parks/Recreation - Facility use charge - - - 25,000 10,416 10,416 - 0.0°� Total Revenue 1,502,093 1,494,430 651,143 1,552,093 675,304 691,622 16,318 2.4% Expenditures Personnel Costs 1,244,283 1,257,557 539,798 1,312,215 563,259 499,448 63,812 11.3% Suppli 159,250 147,099 57,251 151,468 58,951 48,711 10,240 17.4% Other Services & Charges 133,232 174,165 64,160 124,716 45,944 55,849 (9,905) -21.6% Utility Cost 381,000 371,786 162,497 381,000 166,524 109,271 57,253 34.4°� Intergovernmental 15,500 18,435 7,326 15,500 6,160 13,598 (7,438) -120.7% Capital - 3,246 - - - - - n/a Internal Service Charges 123,594 84,809 53,125 125,727 78,757 52,388 26,369 33.5% Total Expenditures 2,056,859 2,057,096 884,157 2,110,626 919,595 779,264 140,331 15.3% Operating Rev Over / (Under Exp) (554,766) (562,666) (233,014) (558,533) (244,291) (87,642) 156,649 -64.1°/a Transfer in from: Utility Tax- Reserves 311,927 311,927 - 319,727 - - - n!a Utility Tax- Operations 554,766 554,766 244,684 582,504 92,191 92,191 - 0.0% CIP - Marketing Study 50,000 50,000 - - - - - n/a ContributionlDonation/Transfer in - Reserves - - - 85,645 90,195 90,195 - 0.0% Total Other Sources 916,693 916,693 244,684 987,876 182,386 182,386 0.0% Other Services/Charges 50,000 50,000 - - - - - 0.0% Total Other Uses 50,000 50,000 - - - 0.0% Net Income 311,927 304,027 11,669 429,343 (61,905) 94,744 156,649 -253.0% Temporary Interfund Loan - Paid 65,000 65,000 65,000 - - - - n/a Endin Fund Balance $ 247,911 $ 240,014 $(52,348) $ 669,356 $ 178,109 $ 334,757 $ 156,648 88.0% Operating Recovery Ratio . o . a . a . o .� .� n a n/a *2010 Year-to-date Budget is based on 2009 trends. The operating revenue budget includes $1.6M in user fees/program revenues, $583K contribution from utility tax for operations, $320K contribution from utility tax for reserves, and $25K use charge from General Fund Recreation for use of the facility. Through May, operating revenues total $692K and is $16K ar 2.4% above year-to-date 2010 budget. In comparison to 2010's year-to-date budget: ■ Daily Drop-in revenues went from being $12K below last month to $lOK below this month due to the assumption that people are staying closer to home for their recreation needs. Also, rainy weather has forced people to stay indoors and play, making the pools a great recreation option. Overall, revenues are still lagging behind annual projection due to conversions to Membership passes. ■ Pass revenues are $34K or 13.1% above due to marketing effort and pass sale promotions focused on New Year's Resolutions and first quarter activity trends. ■ City Staff Membership revenues and enrollment numbers are down slightly with the adoption of new Employee Pass guidelines that included an Employee Fee of $10/$25 per quarter. Federal Wa,� Community Center (continued� ■ Youth Athletic revenues are strong due to increased attendance and a greater variety of youth athletic programs such as basketball, climbing, soccer, FIT Camp, and Youth PE. ■ Aquatic Programs are on target with year-to-date budget. ■ Childcare fees were less than $1 K or 17.6% below. ■ Fitness Class revenue were $3K or 6.6% below as compared to high numbers from Biggest Loser '09 due to programs being spread out a little bit more consistently throughout the year, but have moved closer to projections due to the recent success of Spring Biggest Loser and Making the Cut programs. The steady revenues should meet projections by year-end. ■ Towel /equipment rentals are $1K below year-to-date budget due to elimination of climbing gear rental fees for Annual Pass hoiders. The fee charged on the gear rentals were decreased to boost membership benefits for annual pass holders. ■ Competitive pool rental revenues are on target with year-to-date projections. Club use is very high right now and 2010 projected actual is on pace to exceed annual projections. ■ Rental revenues are $9K or 12.6% above projections due to increased marketing and customer service efforts. Birthday party rentals are performing very well due to increased customer service support, increased awareness from web site, and bad weather outdoors encourage people to celebrate indoors. ■ Merchandise sales are not reaching revenue expectations due to delays in the design and purchasing of logo wear and other promotional items. Also, most sales are for goggles and other aquatic supplies, which sell strongly in the summer quarter. ■ Concession sales have shifted to the Splash Cafe and are now included in the rental revenue category. Sales for I quarter of 2010 were the strongest since opening of the Cafe. Through May, operating expenditures total $779K and is $140K or 153% below year-to-date 2010's budget. Federal Way Community Center has recovered 88.8% of operating expenditures compared to the year-to-date budgeted recovery ratio of 73.4%. In comparison to year-to-date 2010's budget: ■ Personnel costs were $64K or 113% below due to savings in FTE wages, and cost effective service level changes. ■ Supply costs were $ l OK or 17.4% below budget due to better inventory controls and supplier price breaks. ■ Other services and charges were $ l OK or 21.6% above due to increased cost of Personal Training and other Fitness Professional contract fees. Service charges for marketing and advertising were also slightly higher because they are not covered under one-time funding in 2010. ■ Utility costs were $57K or 34.4% below the YTD budget, $22K of the savings is due to the timing of payments, the remaining is due to staff working hard to adjust lighting, heating, and cooling schedules to improve energy efficiencies. Savings may be reduced by $llK for a bill received from Lakehaven Utility far an unread water meter, staff is meeting with the utility company to determine if these charges are valid. ■ Intergovernmental costs were up $7K or 120.7% due mostly to paying sales tax for the biggest loser program from 2009 thru March 2010. City's contribution of $902K for the Community Center was scheduled to annually provide $583K for maintenance/operations and $320K for capital reserves. Through May 2010, $88K is needed to cover maintenance and operations. Dumas Bav Centre Dumas Bay Centre operating revenue of $199K below by $37K or 15.6% compared to year-to-date budget of $236K. The facility has been abie to secure a large amount of overnight retreats in the Summer and Fall to offset the shortfall for day-use meetings. Dumas Bay Centre has also implemented a number of cost saving measures to reduce operating expenditures. Adjustments include, but are not limited to securing lower contracted services for room linens and cleaning, using in-house services for maintenance and landscaping, reorganizing the menu selections and recommending the "chefs choice" option which will reduce food costs. Dumas Bav Centre (continued� Operating expenditures through May total $221K, which is $32K or 12.8% below year-to-date budget of $254K. Ending fund balance for DBC is a positive $127K, of which $70K is earmarked for marketing study and implementation. Staff continues to work with new rentals and increasing services with existing rental groups daily and are seeing a positive impact to the recovery ratio which increased from 84.7% from the prior month to 90.2% due to a combination of cutting back on expenses and revenues slowly growing. Dumas Bay Centre Year-tadate thru May Annual 8udget Year-to-date Actual Recovery Recovery Variance Program Revenue* Expend Subsidy Ratio Revenue Expend Subsidy Ratio Subsidy DUMAS BAY CENTRE -------- --- ------- --- -- -- — — Dumas Ba Centre 603,786 571,056 (32,730) 105.7% 199,478 221,134 21,656 90.2% (54,386) Total Dumas Ba Centre $ 603,786 S 571,056 � S (32,730)� 105.7% $ 199,478 E 221,134 5 21,656 90.2% (554,386) Other Departrnental Variances City Council expenditures total $259K and is over budget by $9K; of which $SK is due to timing of Sister City trip, $i 1K for intergovernmental due to timing of payment to King County in support of Mental Health/Chemical Abuse & Dependency Services (which is supported with 2% of Liquor Profits and 2% of Liquor Excise TaY), and minimal increase in food/beverage for additional meetings relating to the change of government which is offset by $4K savings in ongoing traveUtraining due to savings for the Washington DC Lobbying trip – in 2009 airfare was more expensive and there was one additional attendee compared to 2010. City Manager expenditures of $547K is under year-to-date budget by $185K mainly due City Manager vacancy and Video Production vacancy. Economic Development expenditures of $98K is below budget by $26K mainly due to savings found in consulting contracts when compared to 2009's spending patterns. Human Resources expenditures of $389K is below budget by $S1K mainly due to savings of $20K in salaries/benefits, $7K in temp help, and timing of $14K in professional services. Finance expenditures of $416K is below budget by $9K mainly due to savings in temporary help when compared to 2009's spending patterns. Law expenditures total $586K and is $75K below budget mainly due to savings in temporary help and under spending of outside counsel compared to 2009's spending patterns. CASH & INVESTMENTS Currently all excess balances are invested in the State Investment Pool. The average portfolio yield is 0.27%, which is above the average 6-month US Treasury Bill (0.22%). The total invested balance at the end of May is $57.SM. The state pool is composed of Treasury Securities (6.83%), interest bearing bank deposits (334%), agency floating rate notes (14.56%), agency variable rate notes (6.89%), discount notes (3839%), certificates of deposit (035%), repurchase agreements (2336%), Agency Coupons (0.13%), and N.O.W accounts (6.15%). SIP Average Invested Balance by Type May 2070 Agency IB Bank Floating Rate Deposits Notes Agency 3.34 % 14.56 % Coupons� I � �� 0.13% \:; \\ , Treasury Securities 6.83°k Repurchase NOW Agreements qccounts 23� 6.15k Agency Variable Rate � Notes 6.0% 6.89 % 5.0% 4.0% Discount Notes 3.0% 38.39 % 2.0% 1.0% Certificates of Deposit 0.0% 0.35% p 6 Month T-Bill ■ State Inrestment Pool ❑ In-house Investrnent ■ Portfolio Average Interest Rates Comparison For the Month of May 2010 2004 2005 2006 2007 2008 2009 2010 FUND ACTIVITY SUMMARY Beginning Fund Net Income Fund/Fund Name Ba►ance at 1/1l2010 Revenue Expenditure In/(Out) 5/31/2010 General/StreetFund: ;$ 8,345,198 �$ 18,765,544 $ 17,963,996 j$ 801,548 �$ 9,146,746 Debt Service Fund: 4,164,479 I, 564,284 ; 1,953,122 (1,388,838) 2,775,642 Special R evenue � I 102ArterialStreet 633,379 1,180,536 406,402 � 774,135 1,407,513 103 UtilityTax (*) 3,030,626 5,961,801 4,170,793 1,791,008 4,821,628 106 Solid Waste 8 Recycling 151,639 141,003 198,704 (57,701) 93,939 107 Special Contracts/Studies Fund 271,062 300,477 2,100 _ 298,377 569,439 1 HotellMotel Lodging Tax 201,347 55,838 63,374 _ (7,535 193,813 110 2% for the Arts 293 - - - 293 111 Federal Way Community Center 240,014 869,458 779,264 90,195 330,208 112 Tra�c Safety Fund 155,288 496,753 2,938 493,815 649,103 119 CDBG (*') - - 35,679 (35,679) (35,679) 120 Path & Trails 133,511 83,704 - 83,704 217,215 Subtota/Special Revenue Funds 4,817,159 � 9,089,571 5,659,253 � 3,430,318 8,247,477 Capital Project: 301 Downtown Redevelopment 3,051,348 26,762 417,418 (390,656) 2,660,692 302 Municipai Facilities 915,959 814 341,171 (340,357) 575,602 303 Parks 2,582,254 370,328 617,472 (2 47,144) 2,335,110 304 Surface Water Management 3,765,536 3,437 1,007,376 (1,003,939) 2,761,597 306 Transportation 16,384,794 3,325,999 1,727,973 1,598,025 17,982,819 Subtofal Capital Projects 26,699,891 3,727,340 4,111,410 (384,071) 26,315,820 Enterprise Funds 401 Surface Water Management 1,114,704 2,389,805 1,030,576 1,359,229 2,473,933 402 Dumas Bay 179,690 � 331,865 250,712 81,153 260,843 Subtota/ Enferprise Funds 1,294,394 � 2,721,670 1,287,289 1,440,382 2,734,776' Intemal Service Funds 501 Risk Management 5,337,573 347,445 682,409 (334,964) 5,002,609 502 Information Systems 3,015,537 937,305 838,340 98,965 3,114,502 503 Mail & Duplication 294,044 84,987 43,370 41,618 335,662 504 Fleet & Equipment 4,291,127 985,750 567,184 418,566 4,709,693 505 Buildings & Furnishings 1,204,763 377,165 129,456 247,709 1,452,472 Subtotailnternal Service Funds 14,143,044 2,732,652 ` 2,260,759 471,893 14 Fatal All Funds ' $ 59,464,165 � 37,607,060 $ 33,229,828 $ 4,371,232 $ 63,835,397 "UtilityTax ending fund balance of $4,821,628 includes $746,769 reserved forProp 1. *'CDBG Negative ending balance is due to timing of grant reimbursements. COUNCIL MEETING DATE: Juty 6, 2010 ITEM #: CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUB.TECT: VOUCAERS POLICY QUESTION: Should the City approve the vouchers in the total amount of $2, 619, 315.81 COMMITTEE: Finance, Economic Development, and Regional Affairs Committee CATEGORY: � Consent ❑ Ordinance ❑ City Council Business ❑ Resolut STAFF REPORT BY: Tho Kraus, Finance Director MEETING DATE: 7une 22, 2010 ❑ Public Hearing ❑ Other DEPT Finance 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 Federal Way, Washington, and that I am authorized to authenticate and certify said liens. ��.�'�� E� �: L� ��"''� Finance Director Attachments: Voucher List Options Considered: NA STAFF RECOMMENDATION: NA CITY MANAGER APPROVAL: , G�n� fo �JiJ DIRECTOR APPROVAL: t ` ��� ���� Committee Council Committee Council COMMITTEE RECOMMENDATION: "I move approval of the vouchers and fonvard to the July 6, 2010 Council Meeting for approval. " Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION `7 move approval of the vouchers pursuant to RCW 42.24. " (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1 reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED— 02/06/2006 RESOLUTION # City of Federal Way - Accounts Payable Check List Bank of America Check No. Date Vendor Inv Date Invoice 52810 5/19/2010 011291 JURY/WITNESS FUND, 4/20/2010 7036684 217372 5/17/2010 012113 AFICICUC, VLADIMIR & IRINA 5l12/2010 MARCH 15, 2005 217373 5/17/2010 012106 AHMAD, NAZIR 5l12/2010 MARCH 15, 2005 217374 5/17l2010 012141 ALCANTARA, SUSAN 5/14/2010 FEBRUARY 17, 2005 217375 5/17/2010 012117 ALDABAEV, PAVEL 5/12/2010 MARCH 15, 2005 217376 5/17/2010 012162 AN, MARTIN 1 5/14/2010 MARCH 15, 2005 217377 5l17/2010 012126 AREF, AMIR M 5/12/2010 MARCH 15, 2005 217378 5/17/2010 012165 BANK OF NEW YORK MEILON, THE 5/14/2010 MARCH 15, 2005 217379 5/17/2010 012167 BATEH, RAYMOND & HEATHER 5/14/2010 MARCH 15, 2005 217380 5/17/2010 012239 BEETS, NEAL & NANCY 5/14l2010 FEBRUARY 17, 2005 217381 5l17/2010 012164 BEHZAD, ELHAM 5l14/2010 MARCH 15, 2005 217382 5/17/2010 012250 BELTRAN, ERNESTO & ADELAIDA 5/14/2010 FEBRUARY 17, 2005 217383 5/17/2010 012210 BERCH, ARLAN & SHERRY 5l14/2010 FEBRUARY 17, 2005 217384 5/17/2010 012138 BIAN, WENQIANG 5/14l2010 FEBRUARY 17, 2005 217385 5/17/2010 012204 BOWMAN, JOSEPH & PAMELA LATRIC 5/14l2010 MARCH 15, 2005 217386 5/17/2010 012242 BOYKO, ROMAN & LYUDMILA 5/14/2010 MARCH 15, 2005 217387 5/17/2010 012160 CAMPOS, CHARITY C 5/14/2010 MARCH 15, 2005 217388 5/17/2010 012235 CARNELL, MATHEW & SUZANNE 5/14/2010 FEBRUARY 17, 2005 217389 5/17/2010 012125 CAUDILL, GREGORY T 5/12/2010 MARCH 15, 2005 217390 5/17/2010 012256 CHAPPELLE, PAUL & KELSEY 5/14/2010 FEBRUARY 17, 2005 217391 5/17/2010 012168 CHAWLA, SANJAY & RESHMI 5/14/2010 MARCH 15, 2005 217392 5l17/2010 011869 CHMIL, VIKTORIYA 1/14/2010 713618 217393 5/17/2010 012099 CHOE, JAMES S& SOON S 5/12l2010 MARCH 15, 2005 217394 5/17l2010 012225 CHOE, WON YONG 5/14/2010 FEBRUARY 17, 2005 217395 5/17/2010 012180 CHOI, HUI K 5/14/2010 MARCH 15, 2005 217396 5/17l2010 012214 CHOI, JUNG HEE 5/14/2010 FEBRUARY 17, 2005 217397 5/17/2010 012161 CLESS, DWAIN 5/14/2010 FEBRUARY 17, 2005 217398 5/17l2010 012166 COOPER, KRISTI M& ALGER C 5/14/2010 MARCH 15, 2005 217399 5/17/2010 012281 COPPERLEAF HOA, 5/12/2010 FEBRUARY 17, 2005 217400 5/17/2010 012280 CORNISH, CHAD & BRANDI 5/12/2010 FEBRIARU 17, 2005 MC-05/10 REPLENISH JURY FUNDS PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-N.LAKE ESTATES MITIGATION PRCS-COLELLA ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-DAMAGE DEPOSIT REFUND PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO Page 1 of 39 Amount Check Total 2,187.00 2,187.00 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 87.35 87.35 284.36 284.36 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 250.00 250.00 2&4.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 284.36 284.36 436.75 436.75 87.35 87.35 Bank of America Check No. Dat Vendor Inv Date Invoice 217401 5/17/2010 012174 CORPUZ, CONNIE & EUGENE 5/14/2010 MARCH 15, 2005 217402 5/17/2010 012170 CORRALES, ROMEO & ANABELLE 5l14/2010 MARCH 15, 2005 217403 5/17/2010 012190 COTTAGE COURT FW, 5/14/2010 FEBRUARY 17, 2005 217404 5l17/2010 012186 COURTNEY, WESLEY & ALISA 5/14/2010 MARCH 15, 2005 217405 5/17l2010 012264 CRAFF, MELODY N& GREGORY M 5/14/2010 FEBRUARY 17, 2005 217406 5/17/2010 012272 CURRAN, CONSTANTIN & MY YOUNG 5l12/2010 FEBRUARY 17, 2005 217407 5/17/2010 012263 DAVENPORT, ZACHARY W& PATRICIA 5/44/2010 FEBRUARY 17, 2005 217408 5/17l2010 012282 DECK, GARY 5/12/2010 FEBRUARY 17, 2005 217409 5/17l2010 012213 DELGADO, JOSE & MONICA 5/14l2010 MARCH 15, 2005 217410 5/17/2010 012254 DEOI, ANIL PAL 5/14/2010 FEBRUARY 17, 2005 217411 5l17/2010 012169 DIAZ, LILLIAN D 5/14/2010 MARCH 15, 2005 217412 5/17l2010 012183 DO, LAN-PHOUNG 5/14/2010 FEBRUARY 17, 2005 217413 5/17/2010 012178 DOHSE, TONY & BRIDGET 5/14/2010 MARCH 15, 2005 217414 5/17/2010 012124 DONG, YONG QUAN 5/12/2010 MARCH 15, 2005 217415 5/17/2010 012220 DRAKE, STEVEN & SUSAN 5/14/2010 FEBRUARY 17, 2005 217416 5/17l2010 012232 DSOUZA, BOSCO T& NGOC M 5/14/2010 MARCH 15, 2005 217417 5/17/2010 012122 EIM, SON OK 5l12/2010 MARCH 15, 2005 217418 5/17/2010 012274 EKLUND, JAMES P& JUNE B 5/12/2010 FEBRUARY 17, 2005 2174'19 5/17/2010 012265 E�AVIA, AARIZ H& SHIBANI A 5/14/2010 FEBRUARY 17, 2005 217420 5/17/2010 012205 ERHART, ALAN & KERSTIN 5/14/2010 FEBRUARY 17, 2005 217421 5/17/2010 012259 ERLICHMAN, DAVID & HEREDIA 5/14/2010 FEBRUARY 17, 2005 217422 5l17/2010 012158 EUGENIO, NEIL P& IRENE B 5/14/2010 MARCH 15, 2005 217423 5l17/2010 012207 EVANS, ROSEMARIE 8 MICHAEL 5/14/2010 FEBRUARY 17, 2005 217424 5/17/2010 012108 FAJARDO, RENATO & NATIVIDAD 5/12/2010 NIARCH 15, 2005 217425 5/17/2010 012218 FERKO, ARBEN & LULFETA 5/14/2010 FEBRUARY 17, 2005 217426 5/17/2010 012217 FISHER, PETER & STEPHENIE 5/14f2010 MARCH 15, 2005 217427 5/17/2010 012231 FRANCE, DARYL & YOON SHIN 5/14/2010 FEBRUARY 17, 2005 217428 5/17/2010 012134 FURGALA, MONIKA M 5/14/2010 MARCH 15, 2005 217429 5/17/2010 012112 GLAZKOV, VIKTOR & SVETLANA GLA 5/12I2010 MARCH 15, 2005 217430 5/17/2010 012200 GLEBOV, VLADIMIR & MARINA 5/14/2010 MARCH 15, 2005 217431 5/17I2010 012163 GUTIERREZ, ANTHONY M SR. Description PRCS-N.LAKE ESTATES MITIGATION PRCS-N.LAKE ESTATES MITIGATION PRCS-COLEILA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO Page 2 of 39 Amount Check Total 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 87.35 87.35 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 87.35 87.35 87.35 87.35 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 284.36 284.36 284.36 Bank of America Check No. Oate Vendor Inv Date Invoice 5l14/2010 MARCH 15, 2005 217432 5/17/2010 012241 HAAKE, RUSSELL & CRIST�NA 5/14/2010 FEBRUARY 17, 2005 217433 5/17l2010 012129 HAN, SANG N 5/12/2010 MARCH 15, 2005 217434 S117/2010 012278 HONG, TAEK PYO 8 EUN YOUNG 5/12/2010 FEBRUARY 17, 2005 217435 5/17/2010 012i16 HQNG, YOUNG 5/12/2010 MARCH 15, 2005 217436 5/17/2010 012230 HSBC BANK USA NA, 5/14/2010 MARCH 15, 2005 217437 5l17/2010 012195 HUH, BYUNG A 5l14/2010 FEBRUARY 17, 2005 217438 5/17/2010 012115 INGRAHAM, WILLIAM & FRANCINE 5/12/2010 MARCH t5, 2005 217439 5/17/2010 012136 IVANOV, EVGENY 5/14l2010 FEBRUARY 17, 2005 217440 5/17/2010 012199 JACKSON, BARNEY & LEOLA 5/14/2010 FEBRUARY 17, 2005 217441 5/17/2010 012159 JEONG, CHAN & GIHAE 5/14/2�10 FEBRUARY 17, 2005 217442 5/17/2010 012145 JUNOD, BETTY JO 5l14/2010 MARCH 15, 2005 217443 5/17/2010 012277 KAIME, BECKY & MARK 5/12/2010 FEBRUARY 17, 2005 217444 5/17/2010 012269 KANG, SUK & SUNG 5/12l2010 FEBRUARY 17, 2005 217445 5/17/2010 012152 KANNEGANTI, PRADEEP 5/14/2010 MARCH 15, 2005 217446 5/17l2010 012260 KARIS, MELISSA & MARTINEZ R 5/14/2010 FEBRUARY 17, 2005 217447 5/17/2010 012118 KAYAM, BHASKAR 5/12/2010 MARCH 15, 2005 217448 5/17/2010 012228 KAYASTHA, SURESH & LALITA 5/14/2010 MARCH 15, 2005 217449 5/17/2010 012271 KEENAN, LARRY & PAMELA 5/12/2010 fEBRUARY 17, 2005 217450 5/17/2010 012176 KIM, DENNIS & JANE 5/14/2010 MARCH 15, 2005 217451 5/17/2010 012227 KIM, HO & JI WON 5/14/2010 FEBRUARY 17, 2005 217452 5/17/2010 012234 KIM, JOHN & SUN YOUNG 5/14/2010 MARCH 15, 2005 217453 5/17/2010 012172 KIM, KY SUNG & HAN SUN CHOI 5/14/2010 MARCH 15, 2005 217454 5/17/2010 012150 KIM, MYUNG SOOK 5/14/2010 FEBRUARY 17, 2005 217455 5/17/2010 012130 KIM, NANCY 5/12/2010 MARCH 15, 2005 217456 5/17/2010 012193 KIM, SUE H 5l14/2010 FEBRUARY 17, 2005 217457 5/17/2010 012133 KIM, TO KYUN 5/12/2010 MARCH 15, 2005 217458 5/17/2010 012191 KIM, YOUNG HEE 5/14/2010 MARCH 15, 2005 217459 5/17l2010 012262 KIM, YUNCHONG 5/14/2010 FEBRUARY 17, 2005 217460 5/17/2a10 012198 KOSTENKO, YELENA A& DMITRY V 5/14l2010 MARCH 15, 2005 2t7461 5/17/2010 012268 KRAMAREVSKY, ANDREY & GALINA 5/12/2010 FEBRUARY 17, 2005 Description PRCS-N. IAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO Page 3 of 39 Amount Check Total 284.36 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 254.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 57.35 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 Bank of America Page 4 of 39 Check No. Date Vendor Inv Date Invoice Descnption Amount Check Total 217462 S117l2010 012223 KRAVCHENKO, ANDRE & ELINA 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217463 5l17/2010 012211 KRISHNA, SAMAKSHI & DEEPAK 284.36 5/14/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217464 5/17/2010 012173 KU, KIM SEUNG WOOK & KU HWI 284.36 5/14/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217465 5/17/2010 012153 KUCHMIY, VLADIMIR & NADEZHDA 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217466 5/17/2010 012100 LAGISETTI, PRASAD & ANITHA 284.36 5l12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217467 5/17/2010 012107 LAGISETTI, PRASAD K& ANITHA 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217468 5l17l2010 012257 LAUREL HILL PROPERTIES, 87.35 5/1412010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217469 5/17/2010 012146 LEE, CHANG DUK 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217470 5l17/2010 012101 LEE, CHONG YUN & SOO J 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217471 5/17/2010 012155 LEE, HO 8 CHERYL L 284.36 5/14/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217472 5/17/2010 012184 LEE, JEONG Y 284.36 5/14/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217473 5/17/2010 012149 LEE, KWAN 8 CHOON 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217474 5/17/2010 012120 LEE, KYUNG UK & MI YOUNG 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217475 5/17/2010 012188 LEE, REYNOLD & UNA 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217476 5/17/2010 012216 LEE, ROBERT & LYNN 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217477 5/17/2010 012127 LEE, SANG YEOL & MEE RYANG 284.36 5/12/2010 MARCH 'I5, 2005 PRCS-N. LAKE ESTATES MITIGATIO 254.36 217478 5/17/2010 012275 LEGG, RICHARD & CHRISTINA 87.35 5/12/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217479 5/17/2010 012132 LIPPMAN, MICHAEL R& TERESA L 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. IAKE ESTATES MITIGATIO 284.36 217480 5/17/2010 012157 LOBODZINSKIY, SERGEY & LYUDMIL 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217481 5/17/2010 012151 LY, KOONG & SAM 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217482 5/17/2010 012181 MACK, JOHN & CINDY 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217483 5/17/2010 012102 MAK, ALFONSO, AND 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217484 5/1�/2010 012105 MAN, ADAM & DENISE 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217485 5/17/2010 012255 MENDOZA, MARY JANE & LEO 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217486 5/17I2010 012224 MIYAHARA, ROBERT & THERESA 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 2a7487 5/17/2010 012270 MODARELLI, ROBERT & ANN 87.35 5/12/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217488 5/17/2010 012104 MOSTROM, HOWARD 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217489 5/17/2010 012103 MOTEWELLI, MEHDI 284.36 5/12/2010 MARCH 15, 2005 PRCS-N. LAKE ESTATES MITIGATIO 284.36 217490 5/17/2010 012266 NAKATA, RICHARD & SOOK YOUNG C 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217491 5/17l2010 012142 NGUYEN, CHUONG 87.35 5/14/2010 FEBRUARY 17, 2005 PRCS-COLELLA ESTATES MITIGATIO 87.35 217492 5/17l2010 012119 NGUYEN, RANLY T 284.36 Bank o f America Check No. Date Vendor Inv Date invoice 5/12l2010 MARCH 15, 2005 217493 5/17/2d10 012237 NGYUEN, HAN-HOLLY & BAO 5/14/2010 FEBRUARY 17, 2005 217494 5/17l2010 012245 NORTHLAKE HOMEOWNERS, 5/14/2010 MARCH 15, 2005 217495 5/17l2010 012273 OH, BYUNG JOO 5/12/2010 FEBRUARY 17, 2005 217496 5/17/2010 012201 ONEAL, KENNETH & KRISTINA 5l14/2010 FEBRUARY 17, 2005 217497 5/17/2010 012248 OSNISHCHENKO, PETR 8 OLGA 5/14/2010 FEBRUARY 17, 2005 217498 5/17/2010 012253 OTROKH, SERGEY A& NATALIA M 5/14/2010 FEBRUARY 17, 2005 217499 5/17/2010 012240 OTT, ANONG V 5/14I2010 MARCH 15, 2005 217500 5/17l2010 012171 PARK, CHAN & HEIDI HYO 5/14/2010 MARCH 15, 2005 217501 5/17/2010 012185 PARK, HYUN KYU & HYUN SEUNG 5/14/2010 FEBRUARY 17, 2005 217502 5/17/2010 012147 PATRICELLt, DANNY D 5/14/2010 MARCH 15, 2005 217503 5/17/2010 012187 PERRY, THOMAS EDWIN & EARLENE 5/14/2010 MARCH 15, 2005 217504 5/17l2010 012267 PHUONG, KHEAU 5/14/2010 FEBRUARY 17, 2005 217505 5/17/2010 012123 POIICARPlO, REVIE C& FAYE Y 5/12I2010 MARCH 15, 2005 217506 5/17/2010 012177 QUACH, QUYEN 5/14/2010 MARCH 15, 2005 217507 5/17/2010 012279 RAi, ANJUM & ANEELA 5/12/2010 FEBRUARY 17, 2005 217508 5/17/2010 012258 RAKOWSKI, MANOK P& DANIEL R 5/14/2010 FEBRUARY 17, 2005 217509 5/17/2010 012109 RASMUSSEN, COLLEEN A 5/12/2010 MARCH 15, 2005 217510 5/17/2010 012111 RAZAG, SAMINA & MAJAZ ABDUL 5/12/2010 MARCH 15, 2005 217511 5/17/2010 012110 RED CANOE CREDIT UNION, 5/12/2010 DECEMBER 20, 2004 217512 5/17I2010 012244 REID, ANNA & TRUMBLE MESA 5/14/2010 MARCH 15, 2005 217513 5l17/2010 012175 RIVERA, AURORA 5/14/2010 MARCH 15, 2005 217514 5/17/2010 012209 RIVERA, CHRISTOBAL & LIZA 5/14/2010 FEBRUARY 17, 2005 217515 5/17l2010 012252 ROBARE, CHUN & KWON 5/14/2010 FEBRUARY 17, 2005 217516 5/17/2010 012197 RYZHICHENKO, PAVEL & LARISA 5/'14/2010 FEBRUARY 17, 2005 217517 5/17/2010 012144 SAYENKO, JOANNA 5l14/2010 FEBRUARY 17, 2005 217518 5/17/2010 012206 SEO, MEE Y 5l14/2010 MARCH 15, 2005 217519 5/17/2010 012215 SET, SUOT 5/14/2010 MARCH 15, 2005 217520 5/17l2010 012179 SHAIKH, FAROOQ & GERALDINE 5/14/2010 MARCH 15, 2005 217521 5/17/2010 012208 SHIM, EUN KYU 5/14/2010 MARCH 15, 2005 217522 5/17/2010 012233 SHIN, JONG MOON & CHOON 5/14/2010 FEBRUARY 17, 2005 Description PRCS-N. IAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATlO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-RED CANOE MITIGATION REF PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N.LAKE ESTATES MITIGATION PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO Page 5 of 39 Amount Check Total 284.36 87.35 87.35 1,421.80 1,421.80 87.35 57.35 87.35 87.35 87.35 87.35 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 284.36 284.36 87.35 87.35 87.35 87.35 284.36 284.36 284.36 284.36 10,790.49 10,790.49 284.36 284.36 284.36 284.36 87.35 87.35 87.35 87.35 87.35 87.35 87.35 87.35 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 87.35 87.35 Bank of Amer Check No. Date Vendor Inv Date Invoice 217523 5/17/2010 012221 SIMKISS, CHOM 5l14/2010 FEBRUARY 17, 2005 217524 5/17/2010 012114 SIMPSON, WALTER J& TERESA D 5/12/2010 MARCH 15, 2005 217525 5/17/2010 012137 SINGH, SWARAN 5/14/2010 FEBRUARY 17, 2005 217526 5/17/2010 012236 SMITH, JEFFREY SCOTT 5/14/2010 MARCH 15, 2005 217527 5/17/2010 012192 SOUND BUILT RENTALS LLC, 5/14l2010 FEBRUARY 17, 2005 217528 5/17/2010 012247 STAROVEROV, DMITRIY & OLGA 5/14/2010 FEBRUARY 17, 2005 217529 5/17/2010 012156 STEBAKOV, VLADIMIR 5/12/2010 MARCH 15, 2005 217530 5/17/2010 012249 STEWART, TIMOTHY & KYOUNG 5/14/2010 FEBRUARY 17, 2005 217531 5/17l2010 012246 STROK, SERGEY & LYUDMILA 5/14l2010 FEBRUARY 17, 2005 217532 5/17/2010 012097 SUH, DAE HOON 5/12/2010 MARCH 15, 2005 217533 5/17/2010 012182 SUH, DONG JOO 5/14/2010 FEBRUARY 17, 2005 217534 5/17/2010 012276 SUTTERMAN, SCOTT & PINEDA 5/12/2010 FEBRUARY 17, 2005 217535 5/17/2010 012196 TAK, YOUNG I 5/14/2010 MARCH 15, 2005 217536 5/17/2010 012219 TANG, ANH & HUYNH MAI 5/14/2010 MARCH 15, 2005 217537 5/17/2010 012154 TRASK, ROBERT & TEN PATR�CIA A 5/14/2010 MARCH 15, 2005 217538 5/17/2010 012128 TSAI, JULIA 5/12/2010 MARCH 15, 2005 217539 5/17/2010 012121 US BANK NATIONAL ASSOC., 5l12/2010 MARCH 15, 20�5 217540 5/17/2010 012243 VALDEZ, HELEN C& ERENSTO D 5/14/2010 MARCH 15, 2005 217541 5/17/2010 012251 VELDEZ, FAVIOIA 8 AGULAR-BONIL 5/14/2010 FEBRUARY 17, 2005 217542 5/17/2010 012226 VOON, EHUA C 5/14/2010 MARCH 15, 2005 217543 5/17/2010 012229 WALKER, LYNNDA & CRAIG 5/14/2010 FEBRUARY 17, 2005 217544 5/17/2010 012202 WILCOX, GARY B& KIMBERLY J 5/14/2010 MARCH 15, 2005 217545 5/17/2010 012238 WIMBERLY, MARK & JENIFER C 5/14/2010 MARCH 15, 2005 217546 5/17/2010 012222 WIREN, KRIS & LINDA 5/1412010 FEBRUARY 17, 2005 217547 5/17/2010 012194 YANG, SEUNG HWAN & YONGJA 5/14/2010 MARCH 15, 2005 217548 5l17/2010 012203 YE, QIJAN & SHI AIYING 5/14/2010 FEBRUARY 17, 2005 217549 5/17/2010 012261 YELISETTY, RAMESH & DEEPALI 5/14/2010 FEBRUARY 17, 2005 217550 5/17/2010 012148 YI, HOWARD JONGUN 5/14/2010 MARCH 15, 2005 217551 5l17/2010 012098 YI, HWA-YON K 5/12/2010 MARCH 15, 2005 217552 5/17/2010 012131 YU, BYONG & KYUNG IN 5/12/2010 MARCH 15, 2005 217553 5f17/2010 012212 ZHOU, HENG Description PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO PRCS-N. LAKE ESTATES MITIGATIO Page 6 of 39 Amount Check Total 87.35 87.35 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 87.35 57.35 284.36 284.36 284.36 284.36 87.35 87.35 284.36 284.36 87.35 87.35 87.35 87.35 284.36 284.36 284.36 284.36 284.36 284.36 87.35 Bank of America Check No. Date Vendor Inv Date Invoice 5/14/2010 FEBRUARY 17, 2005 217554 5117l2010 012189 ZHU, LICHUAN 5l14/20'10 FEBRUARY 17, Z005 217555 5/21/2010 003464 KING COUNTY SUPERIOR COURT, 5/21/2010 09-2-32443-3 KNT(#14 217556 5/28/2010 000083 AARO INC DBA THE LOCK SHOP, 5/4/2010 68718 217557 5/28/2010 004234 ABT TOWING OF FEDERAL WAY INC, 4/30l2010 50087 217555 5/28l2010 001856 ACTION SERVICES CORPORATION, 4/26/2010 65657 4/30/2010 65775 217559 5/28/2010 003443 ACTION TARGET, INC, 5/14/2010 43474-1 217560 SI28/2010 000109 ACTIVE SECURITY CONTROL, 5/10/2010 14345 217561 5/28/2010 000568 AGRI SHOP INC, 5/3/2010 9859/1 5/10/2010 10051 /1 5/10/2010 10052/1 217562 5/28/2010 005225 AIRGAS - NOR PAC INC, 4/27/2010 101464812 5/26/2010 101481001 217563 5/28l2010 009838 ALDRIDGE, DARIUS 5/12/2010 ALDRIDGE 2010 217564 5/28l2010 011855 ALEXANDER, STACI 4/23/2010 AIEXANDER 2010 4/23/2010 ALEXANDER 2010 A 217565 5/28/2010 001012 AL'S TOWING, 4/29/2010 73591 5/8/2010 74286 217566 5/28/2010 001522 AMERICAN RED CROSS, 4/28/2010 10025794 217567 5/28/2010 001378 APPLIED INDUSTRIAL, 5/10/2010 402433221 217568 5/28/2010 012023 AQUATIC SPECIALTY SERVICES INC, 2/25/2010 15638 217569 5/28/2010 010530 ARAMARK UNIFORM SERVICES, 5/4/2010 655-4892237 5/11/2010 655-4904407 5/18/2010 655-4916111 217570 5/28/2010 003649 ARBUTHNOT, STEVEN 5/12/2010 ARBUTHNOT 2010 217571 5/28/2010 002410 ASCAP, 12/20/2009 500587308 12/20/2009 500587308 217572 5/28/2010 001233 AT&T BUSINESS SERVICE, 5/20/2010 030 598 3151 001 5/20/2010 030 598 3151 001 5/20/2010 030 598 3151 001 277573 5/28/2010 012288 BEATTIE, KIRISTI 4/16/2010 752403 217574 5/28/2010 010185 BIRD, FERESIKA S 5/13/2010 05/13/10 217575 5/28/2010 002645 BIRTH TO THREE DEVELOPMENT CTR, 5118/2010 1 ST QTR 2010 217576 5/28/2010 001630 BLUMENTHAL UNIFORM CO INC, 5/14/2010 809089 5/10/2010 813337 217577 5/28/2010 012140 BOYLAND, WELDON C& DEADRIA T 5/12/2010 MARCH 15, 2005 217578 5/28/2010 012290 BRADSHAW, STEPHANIE Description PRCS-COLELLA ESTATES MITIGATIO PRCS-COLELLA ESTATES MITIGATIO PWST-255817-00 SAYER ROW DECRE PKM-CAM LOCKlINV#68718 PD-VEHICLE TOW CASE 10-5568 PWST-03/10 STREET SWEEPING SVC PWST-04/10 STREET SWEEPING SVC PD-POLICE TARGETS/RUNNER DEL P PKM-PADLOCK REKEYABLE, 1 1/2 S PWST-POLE SAW DRIVE SHAFT SWM-CHAIN SAW TUNE UP AND REPA PD-CHAIN SAW TUNE UP REPAIR PD-NITROGEN PD-NITROGEN PD-LAW ENFORCEMENT MEMORIAL SP HR-TUITION REIMB ALEXANDER CRO HR-TUITION REIMB ALEXANDER VIO PD-VEHICLE TOW SVC - PD-VEHICLE TOW SVC FWCC-FIRSTAID/CPR TRAINING FWCC-MASTERLOCKS FWCC-AFO CLASS C WELSH DBC-LINEN SERVICE DBC-LINEN SERVICE DBC-LINEN SERVICE PD-LAW ENFORCEMENT MEMORIAL SP PRCS-ASCAP LICENSE FEE 2010 PRCS-ASCAP LICENSE FEE 2010 IT-04/10 LONG DISTANCE SVC IT-04/10 LONG DISTANCE SVC IT-04/10 LONG DISTANCE SVC PRCS-REFUND CLASS FEE MC-INTERPRETER SVCS CDHS-Qt 2010 FAMILY SVCS PROG. PD-B WiLSON STARS PD-J GIGER BOOTS PRCS-BOYLAND, W. MITIGATION EX Page 7 of 39 Amount Check Total 87.35 87.35 87.35 4,670.00 4,670.00 7.12 7.12 262.80 262.80 4,307.55 75.00 4,232.55 352.59 352.59 250.98 250.98 223.47 84.76 83.34 55.37 279.36 273.14 6.22 75.00 75.00 1,900.00 950.00 950.00 350.40 17520 175.20 54.00 54.00 644.96 644.96 350.00 350.00 124.10 58.91 45.90 19.29 75.00 75.00 731.00 365.50 365.50 50.17 25.09 23.08 2.00 50.00 50.00 100.00 100.00 6,000.00 6,000.00 429.41 276.16 153.25 284.36 284.36 11.58 B of Ame rica Check No. Date Vendor Inv Date Invoice Description 5/10/2010 761103 PRCS-REFUND BAL OF EARLY W/D 217579 5/28/2010 004919 BRATWEAR, 5l13/2010 317449 PD-ALTER SHUPP JUMPSUIT 5/4l2010 317344 PD-WORTMAND JUMPSUITE REPAIR A 4/30/2010 317226 PD-IEFEBRVE, BIANCO, SANDERS 217580 5/28/2010 011359 C.A.T. DESIGN, 5/13/2010 CFW2010-002 CM-DESIGN & CREATION OF ADVERT 217581 5/28l2010 005672 CASTRO, HEATHER 5l18/2010 CASTRO 2010 PD-TUITION R�IMB H CASTRO 5/26/2001 CASTRO 2010 PD-CLOTHING ALLOW. CASTRO 217582 5/28/2010 004676 CENTERSTAGE THEATRE ARTS, 5/1/2010 MAY 1, 20t0 DBC- OS/10 KFT MANAGEMENT AG09 5/1/2010 MAY 1, 2010 DBC- OS/10 KFT MANAGEMENT AG09 217583 5/28/2010 011480 CHESAPEAKE REALTY ADVISORS LLC, 5l21/2010 MAY 2010 CM-OS/10 CITY CNTR CONSUITANCY 217584 5/28I2010 007368 CHIEF SUPPLY CORPORATION, 5/4/2010 333259 PD-ROAO FLARES 217585 5/28/2010 004838 CITY OF ENUMCLAW, 5/5/2010 02985 PD-04l10 PRISONER LODGING AG10 217586 5/28/2010 010360 CITY OF FEDERAL WAY, 5/18/2010 CK #1145 PD-GANG HOMICIDES TRNG HAGLAN 5/18/2010 CK #1145 PD-GANG HOMICIDES TRNG HAGLAN 5/11/2010 CK #1139 PD-WSPCA SMNR M NOVAK 5/11/2010 CK #1139 PD-WSPCA SMNR M NOVAK 5/20l2010 CK #1147 PD-FIRE INVESTIGATION CONF. DE 5/20/2010 CK #1147 PD-FIRE INVESTIGATION CONF. DE 217587 5/28/20t0 012088 CITY OF TEHACHAPI, 5/20/2010 MAY REGISTERATION PD-EXPLORER COMPETITION REGIST 217588 5/28/2010 003752 COASTWIDE SUPPLY DBA, 5l6/2010 T2188918 CHB-JANITORIAL SUPPLIES 5/6/2010 T2188918 CHB-JANITORIAL SUPPLIES 5/6/2010 W2188972 FWCC-JANITORIAL SUPPLIES 4/5/2010 T2178129 PKM-JANITORIAL SUPPLIES 4/20/2010 W2183232 FWCC-JANITORIAL SUPPLIES 4/19/2010 T2182713 PKCP-JANITORIAL SUPPLIES 4/19/2010 W2182606 FWCC-JANITORIAL SUPPLIES 4/19/2010 W2182606-1 FWCC-JANITORIAL SUPPLIES 4/27/2010 W2185510 FWCC-JANITORIAL SUPPLIES 217589 5/28/2010 009989 COLLEGIATE PACIFIC, Sl7/2010 93526210 PRCS-SLOW PITCH BATS 217590 5/28/2010 006523 COLUMBIA FORD, 5/19/2010 3-A1073 PD-VIN 2FABP7BVOAX136725 2010 217591 5/28/2010 008907 CONSEJO COUNSELING &, 5/18/2010 1ST QTR 2010 CDHS-Q1 2010 LATINA DV ADVOCAC 217592 5/28/2010 010303 COOL GUY GEAR LLC, 4/29/2010 97 PD-OC MK4 HOLDER 217593 5/28l2010 000721 CORLISS RESOURCES INC, 4/28/2010 242917 PKM-5/8 MINUS GRAVEL/INV#24291 4/28/2010 242918 PKM-5/8 M�NUS GRAVEL FOR ALDER 4/30/2010 243271 PWST-CONCRETE SUPPLIES 26TH AV 5/6/2010 243869 PKM-5/8 M�NUS GRAVEL FOR CELEB 5/5/2010 243788 SWM-PICK UP AT 344TH & LLOYD'S 217594 5/28/2010 009696 CRESTWOOD ANIMAL HOSPITAL, 5/14/2010 12852 PD-K9 FAX MEDICAL CARE 217595 5/28l2010 011315 CROP PRODUCTION SERVICES, INC, 5/6/2010 207722 DBC-LAWN FERTILIZER 217596 5/28/2010 009505 D 8 L SUPPLY AND MFG., INC, 4/28/2010 259373 PKM-HEAVY TOILET SEATlSILCOCK 217597 5/28/20'10 000854 D J TROPHY, 5l12/2010 229214 PRCS-CHAMPION T-SHIRTS 217598 5/28/2010 011297 DASH MEDICAL GLOVES, 4/23/2010 INV488706 PD-EXAM GLOVES Page 8 of 39 Amount Check Total 11.58 913.21 24.05 42.08 847.08 400.00 400.00 1,259.99 759.99 500.00 5,429.33 5,833.33 -404.00 559.50 559.50 2,713.41 2,713.41 2,475.00 2,475.00 1,363.75 100.00 101.58 190.00 22722 195.00 549.95 295.00 295.00 4,602.40 366.98 489.96 614.31 132.98 121.55 171.67 2,641.01 25.46 38.48 441.27 441.27 23,871.08 23, 871.08 1,192.01 1,192.01 307.34 307.34 2,962.59 177.69 2,259.19 299.27 112.95 113.49 100.13 100.13 256.23 256.23 62.32 62.32 259.30 289.30 389.40 389.40 B ank of America Check No. Date Vendor Inv Date Invoice 217599 5/28/2010 004461 DESTINATION HARLEY-DAVIDSON, 4/27/2010 96129151 4/30/2010 96129777 4/30/2010 96129778 217600 5l28/2070 005922 DEX MEDIA WEST, 4/27/2010 650474119 217601 5/28/2010 005341 DODD, ESCOLASTICA ROSA 4/27/2010 04/27l10 5/4/2010 O5l04/10 5l11/2010 OS/11/10 217602 5/28/2010 012143 DUFFY, ERIC G& LAURA L 5/12/2010 MARCH 15, 2005 217603 5/28/2010 000570 EAGLE TIRE & AUTOMOTIVE (DBA), 5/S/2010 1074547 5/8/201� 1074547 5/8/2010 1074549 5/8/2010 1074564 5/8I2010 1074565 5/6/2010 1074522 5/5/2010 1074500 5/14l2010 1074649 5/14/2010 1074651 5/15/2010 1074662 5/15/2010 1074662 5/15/2010 1074662 5/15/2010 1074663 5/15l2010 1074663 5115/2010 1074665 5/15/2010 1074674 5l15/2010 1074674 5/15/2010 1074674 5115/2010 1074674 5/15/2010 1074674 5/15/2010 1074675 5/15/2010 1074676 5/15/2010 1074677 217604 5/28I2010 008141 EAST JORDAN IRON WORKS INC, 4/20/2010 3243735 217605 5/28/2010 012294 EATCHEL, SCOTT 5/20/2010 EATCHEL 2010 217606 5/28/2010 010030 ECOLAB INC, 4/25/2010 2221456 217607 5/28/2010 007283 EMERALD AIRE INC, 5/7/2010 18313 217608 5/28/2010 012297 ENGE, BRYANT 5/24/2010 BRYANT 2010 217609 5/28/2010 000328 ERNIE'S FUEL STOPS (DBA), 5/15/2010 0333123 5/15/2010 0333123 4/30/2010 0332218 4/30/2010 0332218 217610 5/28/2010 002227 ETTINGER, ROBERT 5/4/2010 ETTINGER 2010 217611 5/28/2010 012295 EVANGELICAL COVENANT CHURCH, 5/11/2010 31696 217612 5/28/2010 001748 EVERSON'S ECONO-VAC INC, 4/30/2010 065189 217613 5/28/2010 007137 EVIDENT CRIME SCENE PRODUCTS, 4/26/2010 53366A 217614 5/28/2010 011726 EWING IRRIGATION PRODUCTS, INC, 4l28/2010 1705937 4/29/2010 1711793 Description PD-FLANGE NUTS, EXHAUST LEAK R PD-KAMIYA SUNGLASS REPLACEMENT PD-BENSEN REPLACEMENT OF SUNGL DBC-04/10 DIRECTORY ADS MC-INTERPRETER SVCS MC-INTERPRETER SVCS MC-INTERPRETER SVCS PRCS-DUFFY E. MITIGATION EXPIR PWFLT-LOF/WIPER BLADES REPAIRS PWFLT-LOF/WIPER BLADES REPAIRS PWFLT-LOF/DRAIN PLUG REPAIRS/S PWFLT-REPL EXTENSION HOUSING S PWFLT-LOF/ REPAIRS/SVC PWFLT-REPL EBCM MODULE E-REMAN PWFLT-BATTERY DIAGNOSTIC TIME PWFLT-RIGHT SIDE MIRROR REPAI PWFLT-LOF/ REPAIRS/SVC PWFLT-LOFIWIPER BLADE /BULBS R PWFLT-lOFlWIPER BLADE /BULBS R PWFLT-LOF/WIPER BLADE /BULBS R PWFLT-SENSOR-CRANK/SHOCK ABSOR PWFLT-SENSOR-CRANK/SHOCK ABSOR PWFLT-LOF/ REPAIRS/SVC PWFLT-AXEUPWRST PUMP/ LAMP RE PWFLT-AXEUPWRST PUMP/ LAMP RE PWFLT-AXEUPWRST PUMP/ LAMP RE PWFLT-AXEUPWRST PUMP/ LAMP RE PWFLT-AXEUPWRST PUMP/ LAMP RE PWFLT-BREAK CLEAN REPAIRS/SVC PWFLT-LOF / REPAIRS/SVC PWFLT-LOF REPAIRS/SVC SWM-344TH AVE VAULT LID PD-EMPLOYMENT BONUS EATCHEL 1S DBC-OS/10 DISHWASHER RENTAL CHB-4/10-7/10 MAINT SVC CM-GFOA ANNUAL CONF 6/4/10-6/9 PD-5/1-5/15l10 FUEL FOR POLICE PD-5/1-5/15/10 FUEL FOR POLICE PD-4/16-4/30/10 FUEL FOR POLIC PD-4/16-4/30/10 FUEL FOR POLIC DBC-03/9/10-04/29/10 ETTINGER DBC-DEPOSIT & OVERPAY REFUND SWM-04/10 MAINT/SERVICE AGOS-0 PD-BACKING CARDS PKM-TURFACE QUICK DRY FOR CELE PKM-TURFACE QUICK DRY FOR CELE Page 9 of 39 Amount Check Total 190.18 98.37 61.21 30.60 551.70 551.70 500.00 162.50 162.50 175.00 284.36 284.36 2,681.99 51.41 11.48 53.94 69.77 51.41 970.96 43.56 154.11 47.91 44.84 13.52 14.23 118.44 121.81 44.84 192.84 61.97 245.36 217.73 39.38 22.80 44.84 44.84 900.26 900.26 500.00 500.00 202.77 202.77 105.12 105.12 205.00 205.00 23,854.76 10,450.52 999.89 11,522.58 881.47 116.93 116.93 656.73 656.73 22.275.51 22,275.51 384.00 384.�0 1,120.26 560.64 559.62 Bank of America Check No. Date Vendor inv Date In voice 217615 5/28/2010 006645 EXPRESS TOWING LLC, 4/20/2010 10979 4/23/2010 10578 217616 5l28I2010 008647 FASTENAL, 5/7/2010 WAFED109901 217617 5/28/2010 Q00217 FEDERAL EXPRESS CORPORATION, 5/7/2010 7-082-20169 217618 5/28/2010 002644 FEDERAL WAY BOYS & GIRLS CLUB, 5/18/2010 1 ST QTR 2010 217619 5/28/2010 000229 FEDERAL WAY CHAMBER COMMERCE, 5/5/2010 8787 5/5/2010 8787 5/5/2010 8787 217620 5/28/2010 004690 FEDERAI WAY NUTRITION SERVICES, 4/30/2010 2954 217621 5/28/2010 001183 FEDERAL WAY PUBLIC SCHOOLS, 5/11/2010 AR07396 217622 5/28/2010 008860 FOOD SERVICES OF AMERICA, 5/14/2010 2166484 4/30/2010 2131060 4l30/2010 2132370 5!4/2010 2138914 217623 5/28/2010 007404 FULLER, MICHELLE M 5/4/2010 05/04/10 217624 5/28/2010 004566 G&M HONEST PERFORMANCE, 5/12/2010 134388 217625 5/28/2010 004578 GENE'S TOWING INC, 5/11/2010 364388 4/17/2010 358371 217626 5/28/2010 Ot 1681 GINA M. DUNCAN LAW OFFICE PLLC, 5/12I2010 1006 217627 5/28/2010 012135 GONZALES, JOSE A& ORALLA 5/12/2010 MARCH 15, 2005 217628 5l28/2010 010940 GOODYEAR WHOLESALE TIRE CNTR, 4/30l2010 t43214 217629 5/28/2010 004824 GOS PRINTING CORPORATION, 5/11/2010 74438 217630 5/28/2010 002574 GRAHAM & DUNN, P.C., 5/13/2010 300559 5/13/2010 300560 5/13/2010 300561 5/13/2010 300562 5/13/2010 300563 5/13/2010 300564 5/13/2010 300565 217631 5/28/2010 002547 GRAINGER INC, 4/28/2010 9239938237 4/28/2010 9239938237 4/23/2010 9236789492 4/22/2010 9235199149 4/22/2010 9235846707 4/22/2010 9235846707 5/4/2010 9243468361 217632 5/28/2010 010106 GRETTE ASSOCIATES, 3/1/2010 30184 3/1/2010 30184 3/1/2010 30184 217633 5/28/2010 012296 HABLUTZEL, MIKE 3/1/2010 7742 217634 5l28/2010 009867 HARBORVIEW MEDICAL CENTER, 4/21/2010 APRIL 21, 2010 217635 5/28/2010 005044 HATFIELD, BRETT Description PD-VEHICLE TOW CASE 10-5104 PD-VEHICLE TOW CASE 10-5202 PWST-HARDWARE FOR BANNERS FI-FEDEX PASSPORT DOCS CDHS-Q1 2010 SAFE ZONE FOR KID CGCHAMBER LUNCHEON FOR COUNCI CGCHAMBER LUNCHEON FOR COUNCI CM-CHAMBER LUNCHEON FOR CITY PD-04/10 OFFICER LUNCHES PKM-1/213/23/10 HALF UTILITIE DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES MC-INTERPRETER SVCS PWFLT-MOTOR TUNE-UP PD-VEHICLE TOW SVC CASE #10-60 PD-VEHICLE TOW SVC CASE 10-495 CM-OS/10 CONFLICT DEFENDER AGO PRCS-GONZALES MITIGATION REFUN PD-TIRES DELIVERED TO SPARKS PD-REPORT WRITING LABELS PWST-SR99 HOV LANES PHASE IV- PWST-SR99 HOV LANES PHASE IV- PWST-SR99 HOV LANES PHASE IV- PWST-SR99 HOV LANES PHASE IV- PWST-SR99 HOV LANES PHASE IV- PWST-SR99 HOV LANES PHASE IV- PWST-SR99 HOV LANES PHASE IV- FWCC-BATTERY, FACILITY MAINT FWCC-BALLAST FACILITY MAINT SU FWCC-THREADED ROD ZINC FACILIT FWCC-LIGHBULBS FACILITY MAINT FWCC-LAMP HALOGEN FACILITY MAI FWCC-FEMALE ROD END FACILITY M SWM-EYEWARE SAFETY GEAR CD-#02-79077 REZANKA BLA- CD-#02-79077 REZANKA BLA- CD-#02-79077 REZANKA BLA- DBC-WA. EVENTS PLANNING AD PD-04/10 PRISONER MED TREAT Page 10 of 39 Amount Check Total 480.92 262.32 218.60 101.08 101.08 8.43 8.43 3,250.00 3,250.00 130.00 80.00 25.00 25.00 167.30 167.30 107.88 107.88 3,463.19 1,259.97 759.95 106.03 1,33724 120.00 120.00 46.81 46.81 350.40 175.20 175.20 250.00 250.00 284.36 284.36 479.41 479.41 340.59 340.59 4,468.64 1,398.00 1,103.00 1,098.90 124.75 189.00 517.50 37.49 811.63 5.06 81.03 3.59 679.91 9.81 14.84 17.39 158.55 158.55 158.55 -158.55 735.00 735.00 121.70 121.70 75.00 Bank of America Check No. Date Vendor Inv Date Invoice 5/11/2010 HATFIELD 2010 217636 5/28/2010 003841 HEAD-QUARTERS PTS, 5/1/2010 22609 217637 5/2S/2010 001127 HEALTHPOINT, 5l18/2010 1ST QTR 2010 217638 5/28/2010 012043 HOOK JR., EDWARD LINDSTEN 5/9/2010 MAY 9, 2010 217639 5/28/2010 009785 HOWARD, TODD 5/10/2010 103 5/10/2010 104 217640 5/28l2010 008989 HOWELL, ADAM 5/17/2010 HOWELL 2010 217641 5/2S/2010 012291 HUGHES, JUDY A. 5/14/2�10 2009 HUGHES 217642 5/28/2010 003304 HWANG, ANDY 5/11/2010 HWANG 2010 217643 5/28/2010 012087 HWANG, JOHN 4/30/2010 HWANG 2010 217644 5/28l2010 010758 HYNDEN, LYNNETTE 5/17/2010 HYNDEN 2010 5/17/2010 HYNDEN 2010 5/17/2010 HYNDEN 2010 A 5/17/2010 HYNDEN 2010 A 5/17l2010 HYNDEN 2010 A 217645 5/28/2010 000919 IDDINGS INC, 5/6/2010 10007 5/6/2010 10009 217646 5l28/2010 000016 IKON OFFICE SOLUTIONS, 5/12/2010 5014122538 5/12/2010 5014122538 5/12/2010 5014122538 5l12l2010 5014122539 5/12l2010 5014122539 5/12l2010 5014122539 5/12/2010 5014122540 5/12/2010 5014122540 5/12/2010 5014122540 217647 5/28/2010 010737 INTERWEST DEVELOPMENT NW INC, 4/27(2010 66965 217648 5/28/2010 005656 JIM'S DETAIL SHOP, 5/7/2010 13389F 5/3/2010 13386F 5/10/2010 13391 F 217649 5/28/2010 001416 KENNEDY/JENKS CONSULTANTS INC, 5/12/2010 31713 217650 5/28/2010 004770 KENYON DISEND, PLLC, 4/30/2010 13030 217651 5/28/2010 011736 KIM, CHUL JOON 5/11l2010 O5/11/10 217652 5/28/2010 011737 KIMMEL ATHLETIC SUPPLY CO. INC, 4/8/2010 0288192-IN 217653 5/28/2010 000125 KING COUNTY FINANCE DIVISION, 5/7/2010 7030066 217654 5/28/2010 003898 KING COUNTY RADIO, 4/17/2010 3836 4/17/2010 00422592 217655 5l28/2010 000302 KING COUNTY RECORDS,ELECTIONS, 5/24/2010 MAY 24, 2010 5/24/2010 MAY 24, 2010 5/24/2010 MAY 24, 2010 217656 5/28/2010 005773 KOREAN WOMEN'S ASSOCIATION, 5/17/2010 1ST QTR 2010 Description PD-LAW ENFORCEMENT MEMORIAL SP PKM-04/10 PORTABLE TOILET SVC CDHS-Qt 2010 PRIMARY DENTAL PR SWM-BUDS & BLOOMS PRESENTATION CM-04/10-OS/10 CONFLICT DEFEND CM-05/10 CONFLICT DEFENDER AGO PD-CLOTHING ALLOW. HOWELL REIM CM-2009 UTILITY TAX REBATE PD-LAW ENFORCEMENT MEMORIAL SP CDHS-DIVERSITY COMMISSION FOOD CDHS-TRAVEL REIMB. 5/11/10 TO CDHS-TRAVEL REIMB. 5/14/10 FRO CDHS-PARKING REIMBURSEMENT CDB CDHS-HOTEL REIMBURSEMENTCEH/IA CDHS-PER DIEM LUNCH CEHlIAC CO PKCP-INFIELD MIX INV#10007 PKCP-INFIELD MIX INV#10009 IT-02/10 ALL FAX MAINT IT-02/10 ALL FAX MAINT IT-02/10 ALL FAX MAINT IT-04/10 ALL FAX MAINT IT-04/10 ALL FAX MAINT IT-04/10 ALL FAX MAINT IT-OS/10 ALL FAX MAINT IT-05/10 ALL FAX MAINT IT-OS/10 ALL FAX MAINT PKM-SAND FOR TURF MAINTENANCE/ PWFLT-DETAIL CLEANING PD-INTERIOR DETAIL, HAND WASH PD-INTERIOR DETAIL DBC-REFUND DEPOSIT LESS $ DUE LAW-04/10 PSA LEGAL SVC AG10-0 MC-INTERPRETER SVCS PRCS-SOFTBALLS CC-Q1 2010 MENTAL HEALTH SVC IT-PD-RADIO MAINT/REPAIR IT-PD-RADIO MAINT/REPAIR CD-KC RECORDING PREPAID ACCOUN CD-KC RECORDING PREPAID ACCOUN CD-KC RECORDING PREPAID ACCOUN CDHS-Q1 2010 WE ARE FAMILY PRO Page 11 of 39 Amount Check Total 75.00 662.25 662.25 3,975.00 3,975.00 100.00 100.00 500.00 250.00 250.00 110.98 110.98 49.76 49.76 50.00 50.00 107.87 107.87 758.30 140.00 140.00 25.00 288.30 165.00 401.82 200.91 200.91 364.38 -0.68 -6.78 -6.09 1022 102.24 92.02 8.67 86.73 78.05 65.05 65.05 240.91 136.88 71.18 32.85 13.32 13.32 157.10 157.t0 100.00 100.00 2,624.72 2,624.72 6,430.69 6,430.69 8,411.85 8,122.14 289.71 1,294.00 1,294.00 1,294.00 -1,294.00 1,092.63 1.092.63 Bank of America Check No. Date Vendor Inv Date Invoice 217657 5l28l2010 002334 KRAUS, TNO 5/24/2010 KRAUS 2010 217658 5/28/2010 003399 KVASNYUK, NIKOLAY 5/14/2010 OSl14/10 217659 5/28I2010 000096 LAKEHAVEN UTILITY DISTRICT, 5/7/2010 1768602 S!7/2010 1768602 5/7/2010 2913103 5/7/2010 2913103 5/7/2010 2922203 5/7/2�10 2922503 5/7/2010 3405101 5/7/2010 3405101 217660 5/28/2010 005076 LAW ENFORCEMENT TARGETS INC, 5/4/2010 0142435-IN 217661 5/28/2010 012287 LEFEVERS, BARBARA 4/16/2010 752401 217662 5/28/2010 003157 LES SCHWAB TIRE CTRS OF WA INC, 5/4/2010 441416 217663 5/28/2010 011018 LET'S ROLL INC. MOTOLIGHT, 5114l2010 484906 217664 5l28/2010 011909 LEXISNEXIS RISK, 3/31/2010 1470204-20100331 4/30/2010 1470204-20100430 217665 5/28/2010 000630 LLOYD ENTERPRISES INC, 4/29l2010 139629 4/22/2010 139679 4/13/2010 139254 4/13/2010 139254 5/6/2010 139874 5/12/2010 139841 5/12/2010 139841 217666 5/28/2010 005339 LOWE'S HIW INC, 5/12/2010 14960 5/4l2010 02453 4/2/2010 01607 3/26/2010 01970 3/26/2010 01971 217667 5/28/2010 012077 MANAGER PLUS, 5/17/2010 0000005051 217668 5/28/2010 009851 MARTIN, CHRIS 5/12/2010 MARTIN 2010 217669 5/28/2010 012289 MARTIN, CINDY 5/10/2010 761096 217670 5/28/2010 004182 MCDONOUGH & SONS INC, 5/10/2010 168708 217671 5/28/2010 011977 MCLENDON HARDWARE INC, 5l10/2010 401954/3 217672 5/28/2010 005176 MERINO STRAWE, BETTY 5/11/2010 O5/11/10 217673 5l28/2010 008029 MONTES DE OCA RICKS, MARIA 5/13/2010 OSl13/10 5/4/2010 O5/04/10 217674 5/28/2010 012292 MORIKAWA, GORDON 5/12/2010 MORIKAWA 2010 217675 5/28/2010 011515 MORIKAWA, MADELINE 5112/2010 MORIKAWA 2010 4/28/2010 MORIKAWA 2010 217676 5/28/2010 003352 MOTOROLA INC, 4/22/2010 13784138 4/22/2010 13784138 4/22/2010 13784138 Description CM-GFOA ANNUAL CONF 6/3/10-6/9 MC-INTERPRETER SVC DBC-01l10-03/10 SEWER DBC-CENTERSTAGE 01/10-03/10 SE CHB-MARCH 2O10 UTILITIES - CHB-MARCH 2O10 UTILITIES CHB-MARCH 2O10 UTILITIES CHB-MARCH 2O10 UTILITIES CHB-MARCH 2O10 UTILITIES CHB-MARCH 2O10 UTILITIES PD-POLICE TARGET (500) SUPPLIE PRCS-REFUND CLASS FEE PWFLT-TIRE REPAIR PD-BRUSHED LiGHT ASSEMBLY PD-03/10 LEXISNEXIS SVC PD-04/10 LEXISNEXIS SVC PKM-TN BRUSH PKM-SAG PLAYGRND GRAVEL PWST-CONCRETE MIX PWST-CONCRETE MIX PWST-CONCRETE MIX SWM-DRY FILL PWST-CONCRETE MIX DBC-ULTRGRN PLANT FOOD, WINDEX SWR-RECYCLE CONTAINER LATCH PKM-MOTION SENSOR FOR BARN PD-CHOICE STRUCT - SEE CREDIT PD-CHOICE STRUCT RETURNED IT-PD 2009 JAG RECOVERY GRANT PD-LAW ENFORCEMENT MEMORIAL SP PRCS-REFUND CHARGE MADE IN ERR PARKS-05/10 PARKING LOT CLEANI PKM-HARDWARE SIGN INSTALL MC-INTERPRETER SVCS MC-INTERPRETER SVCS MC-INTERPRETER SVCS PD-LAW ENFORCEMENT MEMORIAL SP PD-LAW ENFORCEMENT MEMORIAL SP PD-2010 CLOTH ALLOWANCE MORIKA IT-PD ANIMAL SERVICES PORTABLE IT-PD ANIMAL SERVICES RADIO SO IT-PD ANIMAL SERV�CES RADIO SE Page 12 of 39 Amount Check Total z�o.00 z�o. o0 137.50 137.50 1,033.56 172.97 85.20 290.78 348.04 10.56 65.76 36.16 24.09 607.40 607.40 29.00 29.00 13.69 13.69 175.00 175.00 941.70 470.85 470.85 3,117.98 826.53 1,630.94 262.90 100.63 121.22 63.70 112.06 203.16 133.63 30.39 39.14 19.64 -19.64 z,szs.00 z,szs.00 75.00 75.00 38.33 38.33 105.88 105.88 47.48 47.48 175.00 175.00 250.00 100.00 150.00 75.00 75.00 206.29 75.00 13129 7,384.98 1,854.91 1,289.37 7221 Bank of America Check No. Date Vendor Inv Date Invoice 4l22/2010 13784138 4/22l2010 13784138 4/22J2010 13784138 4/22/2010 13784138 4122/2010 13784138 4/22/2010 13784138 4/22/2010 13784138 4/22l2010 13784138 4/22/2010 13784138 4/22/2010 13784138 4/22/2010 13784138 4f22/2010 13784138 217677 5/28/2010 000228 MULTI-SERVICE CENTER, 5/17/2010 1ST QTR 2010 5l17l2010 1 ST QTR 2010 5l17/2010 1ST QTR 2010 217678 5/28/2010 011446 MY SERVICE MIND, 5/17/2010 1 ST QTR 2010 217679 5/28/2010 003868 NATIONAL BARRICADE COMPANY INC, 5/12/2010 229818 4/30/2010 229711 217680 5/28/2010 008500 NATIONAL CONSTRUCTION RENTALS, 4/14/2010 2922521 217681 5/28/2010 003566 NEAL, STEPHAN C 5/11/2010 NEAL 2010 5/11/2010 NEAL2010A 217682 5/28/2010 000043 NEW LUMBER & HARDWARE COMPANY, 5/11I2010 246192 5/10/2010 246168 5/13/2010 246263 5/12/2010 246237 4/29/2010 245911 5/4/2010 246042 5/4/2010 246053 5/3/2010 245998 5/5l2010 246068 5/6/2010 246097 217683 5/28/2010 012283 NGIRAINGAS, TEXI K. ' S/11l2010 05/11/10 217684 5/28/2010 003138 NORMED, 4/29/2010 12378-586565 217685 5/28/2010 003736 NORTHWEST TOWING INC, 4/19/2010 404374 4/13/2010 404358 4/5/2010 404347 217686 5/28/2010 011751 NOW ENVIRONMENTAL SERVICES INC, 5/6/2010 10-0147 217687 5/28/2010 003529 OCCUPATIONAL HEALTH SERVICES, 5/14/2010 1844-169 217688 5/28/2010 001509 OLD CASTLE PRECAST, 5/5/2010 010164192 217689 5/28/2010 004292 OLYMPIC SECURITY SERVICES INC, 4/30/2010 S1+0023607 217690 5/28/2010 009341 OMNI LANDSCAPE SERVICES, 5/1/201� 36527 217691 5/28/2010 007444 ORCA PACIFIC INC, 4/8/2010 043319 4/15/2010 043390 4/22/2010 043483 4/29/2010 043585 217692 5/28/2010 009920 OSAKA GARDEN SERVICE, INC, 5/1/2010 26429 Description IT-PD ANIMAL SERVICES RADIO BA IT-PD ANIMAL SERV{CES RADIO SP IT-PD ANIMAL SERVICES RADIO CH IT-PD AN4MAL SERVICE RADIO IT-PD ANIMAL SERVICE PALM MIC IT-PD ANIMAL SERVICES RADIO MO IT-PD ANIMAL SERVICES ANTENNA IT-PD ANIMAL SERVICES SOFTWARE IT-PD ANIMAL SERVICES REPAIR IT-PD ANIMAL SERVICES HEAD IT-PD ANIMAL SERVICES SOFTWARE IT-PD ANIMAL SERVICES SPEAKER CDHS-Q1 2010 LITERACY PROG AGO CDHS-Q1 2010 REACH OUT PROGRAM CDHS-Q1 2010 FOOD/CLOTHING BAN CDHS-Q1 2010 UKRAINIAN SR SVC SWM-REFLECTIVE, ROLL UP SIGNS PD-40 TRAFFIC CONES PKM-BASES FOR TEMPORARY FENCE HR-TUITION REIMB. S. NEAL HR-TUITION REIMB. S. NEAL PKM-FILE/BOLTS REPAIR SUPPLIES FWCC-HARDWARE FOR FWCC SWM-135" TWIST FLUO ORANGE REE FWCC-WALL ANCHOR REPAIR/MA�NTE PKM-PAINT/PARTS REPAIR SUPPLI PKM-BUNGEE STRAPS & BATTERIES PKM-BLU WING CONNECTOR REPAIR PKM-FIELD PAINTER REPAIR SUPP SWM-MORTAR MX 60LB BAG (6) SWM-CLAW REPAIRlMAINTENANCE SU MC-INTERPRETER SVC PD-EXAM GLOVES - EVIDENCE BLDG PD-VEHICLE TOW SVC PD-VEHICLE TOW SVC PD-VEHICLE TOW SVC CD-PRE DEMO ASBESTOS INSPECTIO PD-PRE EMPLOY PHYSICAL EATCHEL SWM-VAULT LID FOR 344TH MC-04/10 COURT SECURITY AG09-1 PKM-05/10 LANDSCAPE SVC- FWCC-POOL CHEMICALS MAINT AG09 FWCC-POOL CHEMICALS MAINT AG09 FWCC-POOL CHEMICALS MAINT AG09 FWCC-POOL CHEMICALS MAINT AG09 PWST-04/10 ROW LANDSCAPE MAINT Page 13 of 39 Amount Check Total 104.02 75.01 85.96 1,286.79 61.89 255.30 12.04 442.69 132.50 371.34 1,289.37 51.58 19,950.20 2,500.00 10,000.00 7,450.20 1,250.00 1,250.00 583.37 174.93 408.44 82.13 82.13 4,081.00 2,226.00 1,855.00 356.78 33.45 43.79 4.42 30.33 134.14 47.18 5.90 21.26 31.86 4.45 100.00 100.00 1,404.23 1,404.23 640.58 262.80 157.41 220.37 475.00 475.00 143.00 143.00 1,184.79 1,184.79 2,789.60 2,789.60 3,992.37 3,992.37 2,333.88 476.40 679.35 579.82 598.31 19,797.57 19.797.57 Bank of America Check No. Date 217693 5l28I2010 217694 5/28/2010 217695 5/28/2010 217696 5l28l2010 217697 5/28/2010 217698 5/28/2010 Vendor Inv Date Invoice 005741 OUTCOMES BY LEVY, 4/30/2010 APRIL 2010 006440 PAPE MACHWERY INC, 5/6/2010 6436918 5/7/2010 6436922 000885 PARKER PAINT MANUFACTURING CO, 5/17/2010 022002699 001166 PETTY CASH - FWCC, 5/24/2010 FWCGS/24/10 5/24l2010 FWCC-5/24/10 5/24/2010 FWCC-5/24l10 5/24l2010 FWCC-5/24/10 5/24/2010 FWCG5/24/10 5/24l2010 FWCC-5/24/10 5/24/2010 FWCC-5/24/10 5/24I2010 FWCC-5/24/10 5/24/2010 F1/VCC-5/24/10 5/24/2010 FWCC-5/24/10 5/24/2010 FWCG5/24/10 5/24/2010 FWCC-5l24/10 5/24l2010 FWCC-5/24/10 5/24l2010 FWCC-5/24l10 5/24/2010 FWCC-5/24/10 5/24/2010 FWCG5/24/10 5/24/2010 FWCGSl24(10 5/24/2010 FWCC-5/24/10 5/24/2010 FWCC-5/24/10 5124/2010 FWCC-5/24/10 5/24/2010 FWCC-5/24/10 006241 PETTY CASH-POLICE DEPT, 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5l20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 5/20/2010 PD-5/20/10 003537 PIERCE COUNTY SECURITY INC, 5/5/2010 209048 5/5/2010 209104 5/5/2010 209150 5/5/2010 209193 5/5/2010 209195 5/5/2010 209242 5/5/2010 209247 5/5/2010 209306 217699 5/28/2010 004680 PON. KEITH 5/20/2010 PON 2010 217700 5/28/2010 001411 POSTAL EXPRESS INC, Description CM-04/10 LEGISLATIVE LOBBY AG1 PWFLT-BLADE KIT, BOLT, NUT PWFLT-BLADE BOLT & NUT CD-PAINT AND VINYL GLOVES PRCS-PARKING FOR TACOMA RAINIE PRCS-SNACKS FOR F-DUB PRCS-FOOD FOR CULTURES & CRAFT PRCS-SUPPLIES FOR CULTURES & C PRCS-MILEAGE REIMBURSEMENT FOR PRCS-MAKING THE CUT BOOK PRCS-FISHING LINE FOR ACOUSTIC PRCS-SMALL DRAWER FOR TOP OF S PRCS-SNACKS FOR CULTURES & CRA PRCS-CRAFT SUPPLIES FOR CULTUR PRCS-CRAFT SUPPLIES FOR CULTUR PRCS-TOUR ENTRY FOR CHATEAU ST PRCS-COOKING CLASS SUPPLIES FO PRCS-SNACKS FOR F-DUB PRCS-PARKING FOR TWO VEHICLES PRCS-FOOD FOR F-DUB PRCS-MILEAGE REIMBURSEMENT FOR PRCS-GASOLINE FOR 116 VAN FOR PRCS-CULTURES 8 CRAFTS SUPPLIE PRCS-SNACKS FOR CULTURES & CRA PRCS-SNACKS FOR CULTURES & CRA PD-MEMORY STICK FOR COMPUTER J PD-REIMB ADDTL LODGING FEES FO PD-PARKING IN SEATTLE FOR STAN PD-PARKING FOR COURT IN SEATTL PD-PRINTING OF PICTURE FOR BRI PD-KEY TO FILE CABINET FOR BRI PD-PER DIEM FOR LE MEMORIAL IN PD-COFFEE FOR PIO CLASS HOSTED PD-AIRPORT SHUTTLE FOR LEIU CO PD-ADDTL LODGING EXPENSES FOR PD-COFFEE FOR VOLUNTEER RECOGN PD-COFFEE FOR VOLUNTEER RECOGN PD-TAXI FOR TRAVEL TO OKLAHOMA PD-REFRESHMENTS FOR PIO CLASS PD-WSPCA DUES FOR ANNUAL PD-HELMET FOR SOU BIKE TEAM OF PD-CIS CLOTHING ALLOWANCE PD-SUPPLIES FOR FIREARMS TRAIN PD-FUEL FOR VEHICLE #5161 HEAT PD-REPLACEMENT OF BROKEN WATCH PD-REFUND OF $22.98 FOR FRAME PKM-04/10 PARK CLOSING & SECUR PKM-04/10 PARK CLOSING & SECUR PKM-04/10 PARK CLOSING 8 SECUR PKM-04l10 PARK CLOSING & SECUR PKM-04/10 PARK CLOSING & SECUR PKM-04/10 PARK CLOSING 8 SECUR PKM-04/10 PARK CLOSING & SECUR PKM-04/10 PARK CLOSING & SECUR PD-BOOT ALLOW. PON Page 14 of 39 Amount Check Total 4,533.98 4,533.98 453.40 198.20 255.20 61.06 61.06 325.68 10.00 18.20 14.99 9.53 26.59 16.37 2.74 9.84 7.10 4.37 16.18 40.03 12.88 5.19 20.00 22.34 26.87 29.97 6.99 16.65 8.85 18.48 10.80 15.00 15.00 21.33 5.19 25.00 33.00 33.00 10.80 48.69 58.78 22.00 11.45 45.00 65.63 75.83 17.26 32.50 13.02 -22.98 554.81 150.00 250.00 150.00 250.00 150.00 175.00 150.00 150.00 200.00 1,425.00 200.00 6,136.98 Bank of Americ Check No. Date Vendor Inv Date Invoice 4/30/2010 BM10041004 4l30/2010 BM10641004 4/30/2010 BM1Q041004 4/30l2010 BMt0041004 4/30/2010 BM10041004 4/30l2010 BM10041004 217701 5/28/2010 005583 PRAXAIR DISTRIBUTION INC, 4l20f2010 36230275 277702 5/28l20�0 010845 PRIORITY PRINT MANAGEMENT INC, 4/30/2010 27792-2 4/30/2010 27792-3 4/30/2010 00027792 217703 5/28/2010 010492 PUBLIC HEALTH - SEATTLE AND, 5/20/2010 PR0076751 5/12/2010 PR0076660 S172/2010 PR0076749 5/12/2010 PR0076752 217704 5/28/2010 000051 PUGET SOUND ENERGY INC, 5/10/2010 131-066-1002 217705 5/28/2010 012304 PURCELLA, ADRIENNE 5l18/2010 PURCE�LA 2010 217706 5/28l2010 009881 PVP COMMUNICATIONS, INC, 4/23/2010 13309 217707 5l28l2010 000073 QUADRANT SYSTEMS INC, 6/7/2010 100501-12 217708 5/28/2010 008649 QUALITY WATER SERVICES, 4/30/2010 69038 217709 5/28/2010 000202 QWEST, 5/4/2010 206-Z04-0609 472B 5/4/2010 206-Z04-0609 4726 5/4/2010 206-Z04-0609 4726 217710 5/28/2010 012031 REALCOM ASSOCIATES, 4/19/2010 OS-02993 REFUND 4/19/2010 05-02993 REFUND 4/19/2010 OS-02993 REFUND 217711 5/28/2010 012284 REINHART ELECTRIC, 5/18/2010 10-102053 REFUND 5/18/2010 10-102053 REFUND 5/18/2010 10-102053 REFUND 217712 5/28/2010 005508 SAFAROVA-DOWNEY, ALMIRA 5/11/2010 05/11/10 217713 5/28/2010 012095 SALINAS, GEMMA 5/4/2010 OS/04/10 217714 5/28/2010 003174 SAN DIEGO POLICE EQUIPMENT CO, 5/4/2010 592791 217715 5/28/2010 011764 SBS LEASING PROG. OF DE LAGE, 5/S/2010 5872589 217716 5/28/2010 010523 SBS OF AMERICA, 5/1/2010 24663 5/1/2010 24664 217717 5/28/2010 000351 SEATTLE TIMES, 4/25/2010 001024224 217718 5/28/2010 008981 SEATTLE UNITY CHURCH, 5/17/2010 31724 217719 5/28/2010 005771 SETINA MANUFACTURING COMPANY, 5/11/2010 23381 5/11/2010 23382 5/11/2010 23383 5/11/2010 23384 5/11/2010 23385 5/11/2010 23386 5/19/2010 23597 Description CHB/PD/MC-04/10 COURIER SVC AG CHB/PD/MC-04/10 COURIER SVC AG CHB/PD/MC-04/10 COURIER SVC AG CHB/PD/MC-04/10 POSTAGE CHRS A CHB/PD/MC-04/10 POSTAGE CHRS A CHB/PD/MC-04/10 POSTAGE CHRS A PKM-OXYGEN FOR FIELD MACHINE / SWM-LAKE VIEW NEWSLETTER FOR S SWM-LAKE VIEW NEWSLETTER FOR N SWM-LAKE VIEW NEWSLETTER (1ST FWCC-2010 HEALTH PERMIT-POOL FWCC-2010 HEALTH PERMIT-POOL FWCC-2010 HEALTH PERMIT-POOL FWCC-2010 HEALTH PERMIT-POOL PVVTR-04/10 NON-METERED ELECT PD-STANDARIZED FIELD SOBRIETY PD-HELMET/COMM KIT IT-2010 SOFTWARE SUPPORT SERVI DBC-04/10 BOTTLE WATER IT-OS/10 PHONE/DATA SVC �T-O5/10 PHONE/DATA SVC IT-05/10 PHONE/DATA SVC CD-O5-02993 REFUND CANCELLED P CD-OS-02993 REFUND CANCELLED P CD-O5-02993 REFUND CANCELLED P CD-10-102053 PERMIT REFUND CD-10-102053 PERMIT REFUND CD-10-102053 PERMIT REFUND MC-INTERPRETER SVCS MC-INTERPRETER SVC PD-SHOTGUN AMMO IT-OS/10 CD COPIER RPR, MNT, S PRCS-04/10 JANITORIAL SVC AG10 DBC-04/10 JANITORIAL SVC AG10- FWCC-04/10 SEATTLE TIMES SUBC DBC-RETURN OF RENTAL DEPOSIT PD-BUMPER, FENDER WRAPS, PARTI PD-BUMPER, FENDER WRAPS, PARTI PD-BUMPER, FENDER WRAPS, PARTI PD-BUMPER, FENDER WRAPS, PARTI PD-BUMPER, FENDER WRAPS, PARTI PD-BUMPER, FENDER WRAPS, PLATE PD-PARTITION TRANSFER KIT Page 15 of 39 Amount Check Total 1,447.58 308.82 173.70 3,010.46 442.13 754.29 17.30 17.30 283.38 137.18 91.45 54.75 2,088.00 522.00 522.00 522.00 522.00 16,414.53 16,414.53 175.00 175.00 736.96 736.96 1,170.00 1,170.00 27.32 27.32 2,237.34 1,118.67 1,006.80 11'1.87 115.20 3.00 3.00 109.20 107.00 3.00 3.00 101.00 100.00 100.00 135.20 135.20 254.29 254.29 109.92 109.92 4,084.50 693.00 3,391.50 16.00 16.00 150.00 150.00 7,169.28 1,194.88 1,t94.88 1,194.88 1,194.88 1,194.88 1,081.76 113.12 Bank of America Check No. Date Vendor Inv Date Invoice 217720 5f28/2010 001014 SKCSRA-SOCCER REFEREES ASSOC, 4/30/2010 APRIL 30, 2010 4/30/2010 APRIL 30, 2010 A 4/30/2010 APRIL 30, 2010 B 217721 5/28/2010 012307 SKYWAY TOWING & RECOVERY, 3/21/2010 233855 217722 5/28/2010 012285 SLOTHOWER, ANN 5/9/2010 BUDS & BLOOMS 217723 5/28/2010 004963 SOUND PUBLISHING INC, 4/30/2010 284938 217724 5/28/2010 004963 SOUND PUBLISHING INC, 4/21/2010 350888 217725 5/28l2010 004963 SOUND PUBLISHING INC, 4l30/2010 284979 217726 5/28/2010 004963 SOUND PUBLISHING INC, 4/28/2010 353401 217727 5/28/2010 004963 SOUND PUBLISHING INC, 4/3/2010 348111 4/7/2010 349111 217728 5/28/2010 004963 SOUND PUBLISHING INC, 4/10/2010 350369 4/24/2010 354612 217729 5/28/2010 001885 SPARKS CAR CARE, 4/29/2010 25898 4/29/2010 25899 4/30l2010 25902 4/30/2010 25903 5/3/2010 25908 5/3/2010 25908 5/3/2010 25910 5/3/2010 25910 5/3/2010 25910 5/4/2010 25913 5/4/2010 25913 5/4/2010 25913 5/5/2010 25920 5/5/2010 25920 5/5/2010 25920 5/6/2010 25926 5/10/2010 25901 5/10/2010 25935 5/10/2010 25935 5/10/2010 25936 5/10/2010 25936 5/10/2010 25942 5/11/20'!0 25949 5/11/2010 25949 5/11l2010 25950 5/13/2010 25966 5/13l2010 25967 5/13/2010 25967 5/13/2010 25967 5/13/2010 25968 5/13/2010 25968 5/13/2010 25968 5/12l2010 25959 5/12/2010 25961 5/14/2010 25976 5/14/2010 25976 5/17/2010 25984 5/17/2010 25984 5117/2010 25984 217730 5/28/2010 007186 SPECIALINTERESTTOWING, PRCS-04/10 SOCCER REFEREE SVC PRCS-04/10 SOCCER REFEREE SVC PRCS-04/10 SOCCER REFEREE SVC PD-98 lIN NAVIGATOR TOWED TO I CM-2010 ONSITE PHOTOGRAPHIC SE CM-NEWSPAPER AD BUDS & BLOOMS PWST-RFB HOV PH. IV #10-103 SWR-04/10 BANNER WEB ADVERTISI PRCS-RFP Q ENERGY LEGAL NOTICE CD-PUBLIC HEARING LEGAL NOTICE CD-FWPS SERVICE CNTR LEGAL NOT HRCK-ORDINANCE'10-651 LEGALNO HRCK-ORDINANCE 10-654 LEGAL NO PD-TIRE REPAIR/SVC PD-LOF/ REPAIR/SVC PD-LOF/ REPAIR/SVC PD-(4) TIRE MOUNT REPAIR/SVC PD-LOF/ TRUNK LOCK CLYINDER RE PD-LOF/ TRUNK LOCK CLYINDER RE PD-LOF/ WIPER BLADE /MOUNT TIR PD-LOF/ WIPER BLADE /MOUNT TIR PD-LOF/ WIPER BLADE /MOUNT TIR PD-LOF/HEADLIGHT/ BRAKES/ ROTO PD-LOF/HEADLIGHT/ BRAKES/ ROTO PD-LOF/HEADLIGHT/ BRAKES/ ROTO PD-LOF/FLUSH KIT / BRAKES REPA PD-LOF/FLUSH KIT/ BRAKES REPA PD-LOF/FLUSH KIT/ BRAKES REPA PD-LOF/ REPAIR/SVC PD-FUEL FILTER/ PUMP RELAY/ PU PD-LOF/ WIPER BLADES /FUEL FIL PD-LOF/ WIPER BLADES /FUEL FIL PD-LOF/ COOLANT DYE REPAIR/SVC PD-LOF/ COOLANT DYE REPAIR/SVC PD-LOF! REPAIR/SVC PD-LOF/FLUSH KIT REPAIR/SVC PD-LOF/FLUSH KIT REPAIR/SVC PD-LOF REPAIR/SVC PD-BATTERY TEST REPAIR/SVC PD-LOF/BATTERY! MULTIFUNCTION PD-LOF/BATTERY/ MULTIFUNCTION PD-LOF/BATTERY/ MULTIFUNCTION PD-LOF/ WIPER BLADES / FUEL FI PD-LOF/ WIPER BLADES ! FUEL FI PD-LOF/ WIPER BLADES / FUEL FI PD-LOF REPAIR/SVC PD-LOF REPAIR/SVC PD-LOF/BRAKES REPAIRlSVC PD-LOF/BRAKES REPAIR/SVC PD-LOF/BULB/TIRE REPAIR ISVC PD-LOF/BULBlfIRE REPAIR /SVC PD-LOF/BULB/TIRE REPAIR /SVC Page 16 of 39 Amount Check Total 3,450.00 1,150.00 1, 800.00 500.00 350.40 350.40 500.00 500.00 2,746.00 2,746.00 529.50 529.50 275.00 275.00 �a�.as i s�.as 191.79 57.68 134.11 132.6E 74.98 57.68 3,343.2£ 21.90 36.08 34.99 56.94 35.00 144.13 160.91 56.94 8.76 34.99 29.08 300.64 40.65 82.67 178.24 34.98 669.03 75.17 10.31 34.99 104.40 34.98 34.98 79.94 56.89 65.70 368.43 23.50 34.99 73.31 8.76 19.71 34.99 34.99 34.99 186.96 21.68 42.71 34.98 175.20 Bank of America Check No. Date Vendor Inv Date Invoice 4/25l2010 133978 217731 5/28/2010 002548 SPRAGUE PEST CONTROL, 5/12l2010 1405935 217732 5/28/2010 003307 STERICYCLE INC, 4/30/2010 3000916425 217733 5/28/2010 012139 STRASBOURGER, HAIM 5/12/2010 MARCH 15, 2005 217734 5/28/2010 011356 STRATEGIES 360, INC, 5/6/2010 772-2770 5/6l2010 772-2770 5!6/2010 772-2770 217735 5/28/2010 005910 SUMNER TRACTOR & EQUIPMENT, 4/23/2010 56254 217736 5/28/2010 007710 SUPERIOR LINEN SERVICE, 5/3/2010 566920 5/3l2010 66696 5/10/2010 68704 217737 5/28/2010 009523 SYSTEMS FOR PUBLIC SAFETY, 5l17/2010 14125 5/19/2010 13884 5l19/2010 13885 5/19/2010 13886 5l19/2010 13887 5/19l2010 14077 5/19/2010 14095 5/19/2010 14097 5/19/2010 14098 5/19/2010 14113 5/19/2010 14122 5/19/2010 14126 5/19/2010 74137 5/19/2010 14149 5/7/2010 14096 4l30/2010 14067 4/29/2010 14055 4/13/2010 13949 217738 5/28/2010 007756 TAB PRODUCTS CO LLC, 5/3/2010 1907815 217739 5l28/2010 000588 TACOMA PUBLIC UTILITIES, 4/30/2010 100618112 217740 5/28/2010 009789 TERMINIX, 4/19/2010 294717102 217741 5/28/2010 006033 THE FAB SHOP LLC, 5/10/2010 15471 5/10/2010 15472 217742 5/28/2010 012084 THE VETERAN JOURNAL, INC., 4/27/2010 V-450165 217743 5/28/2010 011186 THE WIDE FORMAT COMPANY, 5/11/2010 43228 5/12/2010 43234 217744 5/28/2010 010895 THERMAL SUPPLY, INC, 4/27/2010 229422 217745 5/28/2010 001424 THYSSENKRUPP ELEVATOR INC, 5/1/2010 504151 217746 5/28l2010 004218 TIMCOINC, 4/26/20 t 0 198460 217747 5/28/2010 007381 TOM MATSON DODGE, 5/10/2010 DOCS332948 217748 5/28/2010 008902 TRI-CITY MEATS, 5/12/2010 234049 5!4/2010 233818 217749 5/28/2010 005549 TRINH, JAMES Description PD-VEHICLE TOWING SVC DBC-PEST CONTROL SVC PD-MEDICAL WASTE REMOVAL SERVI PRCS-STRASBOURGER MITIGATION E CM-05/10 FEDERAL LOBBYIST AG09 CM-05/10 FEDERAL LOBBYIST AG09 CM-OS/10 FEDERAL LOBBYIST AG09 PKM-BACKPACK BLOWER/INV#56254 DBGLINEN SERVICE DBC-LINEN SERVICE DBC-LINEN SERVICE PD-LOWER CONTROL ARM, WHEEL TI PD-NEW SETUP RADIONRM, TOW HI PD-NEW SETUP RADIONRM PD-INSTALL RADIO, VRM NEW SETU PD-INSTALL RADIO, VRM NEW SETU PD-DI ELECTRIC FOR ANTENNA PD-SECURE MIC, REPLC PLATE LIG PD-REPLC MAIN RELAY CONNECTOR PD-REPLC BLUE COMCABLE PD-VRM REPAIR PD-INSTALL NEW PIT BAR PD-PLUG IN MIC CABLE PD-SWAP OUT RADIO PD-FLASHLIGHT BATTERIES PD-INSTALL BATTERY BRAIN PD-BATTERY BRAIN PD-SPOTLIGHT BULB, REVERSE RIF PD-REMOVE EMERG. EQUIP PD-04/10 BOX STORAGE PKM-4/10 5039 SW DASH PT RD #1 PKM-CARETAKER PEST CONTROL 349 PWFLT-NEW SETUP INSTALL LIGHTS PKM-REPAIR FIELD TURF GROOMING HR-DIVERSITY AD IT-OS/10 KIP SCANNER MAINT IT-20# BOND 36"X500' PKM-BIRD DOG LK DETECTOR- HVAC FWCC-ELEVATOR MAINT SVCS PKM-DUCT TAPE /INV#198460 PD-ELECTRICAL WORK DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES Page 17 of 39 Amount Check Total 175.20 257.33 257.33 25.31 25.31 284.36 284.36 5,000.00 5,000.00 5,000.00 -5,000.00 437.16 437.16 67.19 32.30 16.72 18.17 16,943.41 805.78 3,494.03 3, 329.64 3,329.64 3,329.64 43.16 210.85 86.30 112.20 43.16 86.30 21.59 60.42 43.16 196.96 7,362.21 129.46 258.91 556.69 556.69 153.27 15327 112.79 112.79 3,491.03 2,769.65 721.38 297.00 297.00 296.01 220.19 75.82 18.01 18.01 681.55 681.55 21.83 21.83 65.08 65.08 508.65 239.65 269.00 200.00 Bank of America Page 18 of 39 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 5/4/2010 OS/04l10 MC-ItJTERPRETER SVCS 100.00 4/20/2010 04/20/10 MC-INTERPRETER SVCS 100.00 217750 5/28/2010 009185 TRIVAN TRUCK BODY LLC, 19,994.70 5l14/201� 4593 PD-TRUCK BODY:ANIMAL CONTROL V 19,994.70 217751 5/28/2010 006872 TRUSCO MFG CO, 256.10 4/20l2010 00008480 PKM-PARTS TO REBUILD PAINT SPR 256.10 217752 5/28/2010 010073 UKRAINIAN COMMUNITY, 1,250.00 5/18/2010 1ST QTR 2010 CDHS-Q1 2010 RUSSIAN REFUGEE P 1,250.00 2t7753 5/28/2010 002426 UNITED GROCERS CASH & CARRY, 1,436.77 5/15/2010 164237 DBC-CATERING SUPPLIES 79.64 5/14/2010 163862 PRCS-ICE CREAM SOCIAL 39.96 5/14/2010 163983 DBC-CATERING SUPPLIES 155.65 5/13/2010 163449 DBC-CATERING SUPPLIES 44.47 5l13/2010 163450 PRCS-COOKING CLASS SUPPLIES 26.89 5/10/2010 162659 DBC-CATERING SUPPLIES 48.95 5/9l2010 162465 DBC-CATERING SUPPLIES 78.61 4/22/2010 157550 PRCS-COOKING CLASS SUPPLIES 39.92 4129l2010 159358 PRCS-COOKING CLASS SUPPLIES 27.19 4/15I20t0 155400 PRCS-COOKING CLASS SUPPLIES 29.88 5/4/2010 160880 DBC-CATERING SUPPLIES 88.32 5/1/2010 159995 DBC-CATERING SUPPLIES 118.16 5/3/2010 160651 DBC-CATERING SUPPLIES 76.82 5/7/2010 161873 DBC-CATERING SUPPLIES 242.23 5/7/2010 161984 DBC-CATERING SUPPLIES 43.23 5/6/2010 161508 DBGCATERING SUPPLIES 40.90 5/6/2010 161644 PRCS-COOKING CLASS SUPPLIES 36.79 5/6/2010 161646 DBC-CATERING SUPPLIES 37.93 5/5/2010 161188 DBC-CATERING SUPPLIES 84.58 5/5/2010 161355 DBC-CATERING SUPPLIES 49.64 5/8/2010 162244 DBC-CATERING SUPPLIES 47.01 217754 5/28I2010 003837 UNiTED PARCEL SERVICE, 62.76 5/8/2010 OOOOF6588V190 PD-SHIPPING CHARGES 18.82 5/1/2010 OOOOF6588V180 PD-DOCUMENT DELIVERY SERVICE 14.61 4/24/2010 OOOOF6588V170 PD-UPS TO TASER INTL 11.15 4/24/2010 OOOOF6588V170 SWR-UPS FROM RR DONNELLEY 7.27 5/15/2010 OOOOF6588V200 PD-SHIPPING SERVICES 10.91 217755 5/28/2010 005019 UNITED RENTALS NORTHWEST INC, 195.67 5/6/2010 87449427-001 SWM-PROPANE 46.54 5/7/2010 87479443-001 PWST-HARNESS/LANYA 105.33 5/18/2010 87662055-001 SWM-EAR PLUGS 43.80 217756 5/28/2010 003563 VALLEY COMMUNICATIONS CENTER, 262,291.50 5/3/2010 0011043 PD-05-10-06/10 EMER DISPATCH S 262,291.50 217757 5/28/2010 008853 VASSEY NURSEY, 327.57 5/5l2010 350092 DBC-6 SUN CEDAR BASKETS 327.57 217758 5/28/2010 010463 VILLANUEVA, OSCAR 75.00 5/12/2010 VILLANUEVA 2010 PD-LAW ENFORCEMENT MEMORIAL SP 75.00 217759 5/28/2010 007607 WA CITIES INSURANCE AUTHORITY, 52,410.50 5/4/2010 MAY 4, 2010 RM-RABAGO REIMB TOWARDS DED-4/ 52,410.50 217760 5/28/2010 006062 WA ST TACTICAI OFFICERS ASSOC., WSTOA 425.00 4/29/2010 WSTOA 2010 PD-WSTOA CONF 5/24-5/26/10 JOH 425.00 217761 5/28/2010 000094 WA STATE AUDITOR'S OFFICE, 12,723.60 5/7/2010 L83373 FI-04/10 STATE AUDITOR SVCS 12,723.60 217762 5/28/2010 003528 WA STATE CRIMINAL JUSTICE, 2,350.00 5/13/2010 2011-0473 PD-PHOTOGRAPHY 0230-2 LEFEBVRE 100.00 5/13/2010 2011-0500 PD-HGN INST LVL 1 TRNG BUCHANA 2,250.00 217763 5/28/2010 003825 WA STATE DEPT OF TRANSPORTATN, 101,804.13 5/11/2010 RE-313-ATB00511051 PWST-S 320TH OFF RAMP AG10-046 7,519.13 5l11/2010 RE-31C-GCA6435ADV PWST-S 320TH OFF RAMP AG10-046 94,285.00 217764 5/28/2010 003825 WA STATE DEPT OF TRANSPORTATN, 322.75 5/11/2010 RE313AT800511095 STCIP-GEN PROJ MGMT SR99 PHASE 322.75 217765 5/28/2010 006007 WALKER ACE HARDWARE, 36.66 5/13/2010 005343 DBC-SPRING WND TIMER 36.66 B ank of America Check No. Date Vendor lnv Date Invoice 217766 5/28/2010 011181 WALTERS, MOIRA C. 5/4/2010 OS/04/10 217767 5/28/2010 000343 WASHDUP, LLC, 4/30/2010 74 3/31/201� 72 217768 5/28/2010 010637 WEAVER PUBLICATIONS, INC, 5/15/2010 SE19713 217769 5/28I2010 003500 WESCOM COMMUNICATIONS, 4/15/2010 20095 4/19/2010 20098 5/3/2010 20107 5!3/2010 20108 5/3/2010 20109 5/3/2010 20110 5!3/2010 20111 5/5/2010 20119 217770 5/28/2010 003444 WEST CAMPUS CLEANERS, 4/30/2010 APRIL 2010 217771 5/28l2010 000173 WEST PAYMENT CENTER, 4/30/2010 820494792 217772 5/28/2010 000547 WESTERN EQUIPMENT DISTRIBUTORS, 5/5/2010 632023 5/5/2010 632049 5/5/2010 632114 5/5/2010 632116 5/5/2010 632230 5/3/2010 631864 217773 5/28l2010 701444 WEYERHAEUSER COMPANY, 5/17/2010 MAY 17, 2010 217774 5/28/2010 000076 WFOA, 5/17/2010 HORTON DUES 217775 5/28/2010 010057 WHISTLE WORKWEAR, 5/16/2010 54522 217776 5/28/2010 012286 WHITEHEAD, MICHELLE 4/16/2010 752404 217777 5/28/2010 002087 WHITMAN GLOBAL CARPET CARE, 5/10/2010 42276 217778 5/28/2010 011523 WHOLESALE SPORTS, 5/4/2010 150-00038 217779 5/28/2010 002204 WILBUR-ELLIS COMPANY, 5/4/2010 4540497 4/28/2010 4516387 217780 5/28/2010 005680 WILD WEST INTERNATIONAL LLC, 4/30/2010 5935 217781 5/28/2010 010720 WILDER, SAMANTHA 5/7/2010 WECFW21 217782 5/28/2010 012293 WILSON, JUSTIN 5/12/2010 WILSON 2010 217783 5/28/2010 000660 WOODWORTH & COMPANY INC, 5/11/2010 202763 5/3/2010 AG10-054 #1 4/30/2010 202670 217784 5/28l2010 006647 WSASC, 5/3/2010 3 217785 5/28/2010 010161 WSSO ADVANCED TRAINING - 2007, 5/20/2010 STRAY REGISTER 5l18/2010 AUGUST 9-12,2010 5/20/2010 GREEN 2010 217786 5/28/2010 008036 YWCA SEATTLE- KING COUNTY, 5/17/2010 1 ST QTR 2010 217787 6/2/2010 000051 PUGET SOUND ENERGY INC, 5/20/2010 PARKS 2010 OS Description MGINTERPRETER SVC PD-04/10 CAR WASH SERVICE PD-03l10 CAR WASH SERVICE CM-ADV IN SEATTLE OFFICIAL VIS PD-CALIBRATE RADAR SYSTEM PD-CALIBRATE RADAR SYSTEM PD-CALIBRATE RADAR SYSTEM PD-CALIBRATE RADAR SYSTEM PD-CALIBRATE RADAR SYSTEM PD-CALIBRATE RADAR SYSTEM PD-CALIBRATE RADAR SYSTEM PD-CALIBRATE RADAR SYSTEM PD-04/10 DRY CLEANING SVCS AGO PD-04(70 AUTO TRACKXP SVCS PWFLT-LH BALL JOINT ASM PWFLT-RH BALL JOINT ASM PWFLT-WHEEL AND TIRE PWFLT-MOWER BLADE PWFLT-RETURN RIBBED TIRE PWFLT-RH BALL JOINT, KEY IGNIT CM-04/10-OS/10 BONSAI EVENT AG FI-HORTON MEMBERSHIP DUES PKM-(3) WORK PANTS/GEHRING PRCS-REFUND CLASS FEE PKM- SPO FOR CARPET CLEANING S PWST-CREW SAFETY CLOTHING PROT SWM-CHEMICALS PKM-TWO SPREADERS FOR PARKS/IN PD-04/10 FIRING RANGE SVC SWR-04/10 RECYCLING PROG AG10- PD-LAW ENFORCEMENT MEMORIAL SP PWST-ASPHALT MIX PWST-2010 ASPHALT OVERLAY AG10 PWST-ASPHALT MIX PRCS-SPRING 2010 SEASIDE TRIP PD-WSSO CONF. J STRAY PD-ECKERT- WSS O ADVANCED TRAI PD-WSSO CONF G GREEN CDHS-Q1 2010 EMERG. HOUSING SV PKF-OS/10 2645 S 312TH ANX-RR! Page 19 of 39 Amount Check Total 120.00 120.00 2,071.52 682.32 1,38920 2,650.00 2,650.00 700.80 87.60 87.60 87.60 87.60 87.60 87.60 87.60 87.60 1,153.10 1,153.10 92.74 92.74 566.03 65.84 -68.11 349.00 172.00 -47.71 95.01 2,083.33 2,083.33 50.00 50.00 118.01 115.01 50.00 50.00 1,489.00 1,489.00 167.40 167.40 425.63 379.42 46.21 102.20 10220 2,441.97 2,441.97 75.00 75.00 302,038.14 998.91 300,961.19 78.04 1,850.00 1,850.00 675.00 225.00 225.00 225.00 500.00 500.00 66, 996.42 1,609.69 Bank of America Page 20 of 39 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 5/20/2010 PARKS 2010 05 PKF-05/10 2645 S 312TH SEWER L 11.08 5l20/2010 PARKS 2010 OS PKF-OS/10 2700 SW 340TH ALDERD 10.11 5l20/2010 PARKS 2010 O5 PKF-O5/10 28156 1/2 24TH HERIT 10.11 5/20/2010 PARKS 2010 O5 PKF-O5/10 31104 28TH AVE S HAU 28.60 5/20/2010 PARKS 2010 OS PKF-O5/10 31104 28TH AVE S HAU 38.08 5/20l2010 PARKS 2010 OS PKM-OS/10 31132 28TH AVE STLK 339.27 5/20/2010 PARKS 2010 OS PKM-OS/10 31132 28TH AVE S STL 210.62 5/20/2010 PARKS 2010 OS PKM-OSl10 31207 28TH AVE SKATE 10.11 5/20l2010 PARKS 2010 OS DBC/KFT-OSl10 3200 SW DASH PT 1,070.16 5/20/2010 PARKS 2010 O5 DBC/KFT-OS/10 3200 SW DASH PT 527.10 5/20l2010 PARKS 2010 05 DBC/KFT-OSl10 3200 SW DASH PT 922.40 5/20/2010 PARKS 2010 OS DBC/KFT-05l10 3200 SW DASH PT 454.32 5/20/2010 PARKS 2010 OS PKF-OS/10 32730 17TH AVE SW AL 10.10 5/20/2�10 PARKS 2010 05 CHB-OS/10 33325 STH AVE Z00453 13,544.16 5l20/2010 PARKS 2010 05 PKF-OS/10 33914 19TH AVE SAG F 3,966.25 5/20/2010 PARKS 2010 OS PKF-O5/10 34915 4TH AVE MARKX 12.62 5/20/2010 PARKS 2010 O5 PKF-O5/10 34915 4TH AVE S PALI 10.11 5/20/2010 PARKS 2010 O5 PKF-05/10 600 S 333RD EVID. BL 579.55 5/20l2010 PARKS 2010 OS PKF-OS/10 600 S 333RD EVID BLD 260.60 5/20/2010 PARKS 2010 05 FWCC-05/10 876 S 333RD Z002806 15,248.16 5/20/2010 PARKS 2010 OS FWCC-05/10 876 S 333RD 0008456 18,727.47 5l20/2010 PARKS 2010 O5 FWCC-O5/10 876 S 333RD ST. LIG 89.94 5/20/2010 PARKS 2010 05 PKCP-OS/10 S 324TH BLDG A- 3,279.05 5/20/2010 PARKS 2010 OS PKCP-OS/10 S 324TH BLDG B- 1,911.93 5/20/2010 PARKS 2010 OS PKF-05/10 7TH AVE HISTORICAL S 30.89 5/20/2010 PARKS 2010 OS PKF-OSl10 7TH AVE HISTORICAL S 8.14 5/20/2010 PARKS 2010 05 PKF-OS/10 21ST AVE LAKOTA RR B 961.68 5/20l2010 PARKS 2010 05 PKF-OS/10 2410 S 312TH STLK ST 24.17 5/20/2010 PARKS 2010 OS PKF-05/10 SAC PARK RR FIELD LI 2,622.03 5/20/2010 PARKS 2010 OS PKF-05/10 1ST AVE & CAMPUS DR. 29.98 5/20/2010 PARKS 2010 O5 PKM-OS/10 2410 S 312TH BEACH R 276.56 5/20/2010 PARKS 2010 05 PKM-05/10 2410 S 312TH STORAGE 14.42 5/20/2010 PARKS 2010 OS PKM-OS/10 2410 S 312TH WOODSHO 146.96 217788 6/15/2010 000083 AARO INC DBA THE LOCK SHOP, 50.26 6/3/2010 69213 PKM-CAM LOCK FOR CITY HALUINV 50.26 217789 6/15/2010 000332 ABC LEGAL MESSENGERS INC, 125.00 5/28/2010 MMFWA000613000000007 LAW- MNTHLY SRV CHRG JUNE; 62.50 5/28/2010 MMFWA000613000000007 LAW- MNTHLY SRV CHRG JUNE; 62.50 217790 6/15/2010 000109 ACTIVE SECURITY CONTROL, 308.72 5!7/2010 14344 DBC-CENTERSTAGE LOCKSMITH SVC 308.72 217791 6/15/2010 000568 AGRI SHOP INC, 1,686.69 5/17/2010 10264/1 PWFLT-RADIATOR COOLING FAN 520.64 5/26/2010 10351/1 PWST-RETURN DRIVE SHAFT -84.76 5/26/2010 10352/1 PWST-POLE PRUNER 646.00 5/26/2010 10354/1 PWST-SPARK PLUGS, AIR FILTERS 142.28 5/26/2010 10500/1 PWST-REPAIR POLE PRUNER 96.96 5/25/2010 10320-1 PKM-CITY HALL BLOWER REPAIR/IN 196.86 5/20/2010 10234-1 PKM-CHAIN SAW OIL, BAR OIL 104.74 5/12/2010 10088/1 PWFLT-CP EXMARK REPAIRS 63.97 217792 6/15/2010 000475 ALARM CENTERS/CUSTOM SECURITY, 412.35 5/19/2010 700428 PKCP-Q3 2010 ALARM MONITOR 120.00 5/19/2010 700430 PKM-Q3 2010 ALARM MONITOR- 75.00 5/19/2010 700431 PKM-Q3 2010 ALARM MONITOR- 75.00 4/30/2010 696927 PKM-BURGLAR ALARM SVC/MAINT 142.35 217793 6/15/2010 011777 ALBERTSONS INC, 1,062.00 6/1/2010 02-44964 REFUND PW-02-44964 REFUND PROJ COMPLE 1,604.00 6/1/2010 02-44964 REFUND PW-02-44964 REFUND PROJ COMPLE -542.00 217794 6/15/2010 009764 ALL ACCESS PRINTING & MAILING, 137.65 4/27/2010 18981-150 HR-BUSINESS CARDS 137.65 217795 6/15/2010 001652 ALLWEST UNDERGROUND INC, ���Zg.2p 2/12/2010 14224 PKM-PLYWOOD SUBSTITUTE/INV#142 1,723.20 217796 6/15/2010 001285 ALPINE PRODUCTS INC, 53.38 5/18/2010 TM-107998 SWM-HARD HAT, VEST, GLASSES 53.38 B ank of America Check No. Date Vendor Inv Date Invoice Description 217797 6/15l2010 001012 AL'S TOWING, 6/2/2010 74337 PD-VEFfICLE TOW CASE 10-7145 5/29/2010 74336 PD-VEHICLE TOW CASE 10-6967 217798 6/15/2010 012310 ALSTON, SARAH 5/27/2010 770854 PRCS-PASS WITHDRAWAL REFUND 217799 6/15/2010 00'I110 AMAYA ELECTRIC, 5/25/2010 8283-10 PKM-STLK POLE LIGHT REPAIR AGO 5/19/2010 8283-5 PKM-STLK VANDALISM REPAIRS AGO 5/19/2010 8283-7 PKM-STLK ROLL-UP DOOR REPAIR A 5/20/2010 8283-8 PKM-STLK PARKING ELECT SVC AGO 5/19l2010 8283-6 PKM-REPAIR CITY HALL LIGHTS/IN 217800 6/15/2010 005614 AMB TOOLS & EQUIPMENT CO INC, 5/19/2010 283996 PKM-HOSE AND FITTINGS FOR PRES 217801 6/15/2010 005287 AMERICALL COMMUNICATIONS &, 5/21/2010 D6416-0510 SWM-O5/10 AFTER HR CALL-OUT SV 5/21/2010 D6416-0510 SWAA-05/10 AFTER HR CALL-OUT SV 5/21I2010 D6417-0510 PKM-OS/10 AFTER HR CALL-OUT SV 217802 6/15/2010 001522 AMERICAN RED CROSS, 5/18/2010 11000235 FWCC-LIFEGUARD MANUAL, MASKS, 217803 6l15/2010 012324 ANIMAL CARE EQUIPMENT & SVCS, 6/3/2010 113387 PD-ANIMAL SVCS START UP EQUIP. 217804 6/15/2010 001378 APPLIED INDUSTRIAL, 5/12/2010 40243801 FWCC-NORMAL DUTY PILLOW BLOCK 217805 6/15/2010 010530 ARAMARK UNIFORM SERVICES, 5/17/2010 655-4913568 FWCC-FLOOR MATS SVC 5/3/2010 655-4589667 FWCC-FLOOR MATS SVC 217806 6/15/2010 010530 ARAMARK UNIFORM SERVICES, 5/25/2010 655-4928093 DBC-LINEN SERVICE 217807 6/15/2010 012312 AUNA, ANDREW 6/1/2010 JUNE 1, 2010 SWM-STLK EAGLE SCOUT PROJECT 217808 6/15/2010 001604 BALL, GIGI Y 5/25/2010 OS/25/10 MC-INTERPRETER SVC 5/21/2010 05/21l10 MC-INTERPRETER SVC 6/1/2010 O6/01/10 MC-INTERPRETER SVC 217809 6/15/2010 001790 BARGREEN ELLINGSON WC, 5/6/2010 6078950 SWR-RECYCLING CONTAINERS 217810 6/15/2010 011882 BAXTER, NADINE 5/14/2010 APRIL 2010 PRCS-ART GALLERY EXHIBIT AG10- 217811 6/15/2010 005645 BERTUCCI, MICHAEL 5/24/2010 BERTUCCI 2010 PD-REPLC RIFLE CHEEK PIECE 217812 6/15/2010 011064 BIOGROUPUSA, INC, 4/27/2010 407001 SWR-BIODEGRADEABLE BAG SAMPLES 217813 6/15/2010 001630 BLUMENTHAL UNIFORM CO INC, 5/17/2010 790988-80 PD-ADAMS- RICHARD BOOT ALLOWAN 5/11/2010 810377 PD-SWAT/ SNIPER SHIRTS , PANTS 5/21/2010 807228-02 PD-HATS- NEW UNIFORM HATS WALS 5/27/2010 810719 PD-DUTY BELTS REPLACEMENT 5/25/2010 816341 PD-BASSETT, BOOT ALLOWANCE 217814 6/15l2010 011289 BOWMAN, JASON 6/5/2010 MAY 2010 FWCC-OS/10 PERSONAL TRAINER SV 217815 6/15/2010 004919 BRATWEAR, 5/26/2010 317519 PD-EMB COLLAR BRASS FOR SHUPP 5/25/2010 317426 PD-JUMPSUIT-JIMENEZ 5/24/2010 317553 PD-REPAIR PURCELLA UNIFORM 5/14/2010 317299 PD-NEW JUMPSUIT - WONG 217816 6/15/2010 007087 BROWNELLS INC, 5/19/2010 05969530.00 PD-REPLC SHOT TIMER - SANT 5/13/2010 05959912.00 PD-TRAINING TARGET TAPE FTU 217817 6/15/2010 012326 BUDU RACING, LLC, 6/19/2010 JUNE 19, 2010 FWCC-WINTER SPRINT TRIATHLON 217818 6115/2010 012074 C AND C INDUSTRIES, 6/1/2010 23 PKM-OS/10 LANDSCAPE. MAINT SVC Page 21 of 39 Amount Check Total 438.30 175.20 263.10 246.32 246.32 2,942.63 218.16 1,090.49 286.86 225.31 1,121.81 92.94 92.94 263.10 63.78 63.77 135.55 440.00 440.00 1,089.17 1,089.17 146.43 146.43 189.54 94.77 94.77 37.84 37.84 300.00 300.00 300.00 100.00 100.00 100.00 551.88 551.88 200.00 200.00 127.46 127.46 1,204.50 1,204.50 1,624.28 43.76 411.28 711.04 258.20 200.00 3,857.05 3,857.05 1,027.96 52.46 469.99 48.64 456.87 329.59 132.49 197.10 720.00 720.00 1,805.66 788.40 Bank of Americ Page 22 of 39 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 6/11/2000 22 PKM-05/10 LANDSCAPE. MAINT SVC 1,017.26 217819 6/15/2010 011282 CALKINS, NICHOLE 725.34 6l2/2010 MAY 2010 FWCC-OS/10 PERSONAL TRAINER SV 725.34 217820 6/15/2010 000991 CASCADE COFFEE �NC, 97.60 6/1/2010 20607017-A HR-COFFEE & COFFEE SUPPLIES -10.00 5l10/2010 20609184 HR-COFFEE & COFFEE SUPPLIES 107.60 217821 6/15/2010 005573 CDW GOVERNMENT fNC, 5,165.13 5/21/2010 SSH1921 IT-PD ANIMAL SERVICES LAPTOP- 3,828.67 5121l2010 SSH1921 IT-PD ANIMAL SERVICES ITRONIX 296.90 5/21/2010 SSH1921 IT-PD ANIMAL SERVICES ITRONIX 571.59 5/21/2010 SSH1921 IT-PD ANIMAL SERVICES ITRONIX 74.90 5/21/2010 SSH1921 IT-PD ANIMAL SERVICES ITRONIX 197.10 5l12/2010 SQL2165 IT - LINKSYS USB WIRELESS NETW 84.96 5/13I2010 SQS3185 IT - EXCHANGE ROLLER KIT FOR D 111.01 217822 6/15/2010 011328 CECCANTIINC, 21,141.12 6/11/201Q AG09-122 RETAINAGE SWM-RETAINAGE EASTERLAKE JOE' 21,141.12 217823 6/15/2010 012038 CERIUM NETWORKS INC, 988.22 6/1/2010 017409 IT-06/10 PHONENOICE MAIL SYST 49.41 6/1/2010 017409 IT-06/10 PHONENOICE MAIL SYST 494.11 6!1/2010 017409 IT-06/10 PHONENOICE MAII SYST 444.70 217824 6/15l2010 000951 CITY OF FEDERAL WAY, 5,537.53 4/28/2010 32208 PKM-ALDERDALE PLAYGROUND EQUIP 698.34 5/11/2010 12628 PKM-PLAYGRND EQUIP. REPLC AG09 1,721.59 5/11/2010 12628 PKM-PLAYGRND EQUIP. REPLC AG09 760.12 5/12/2010 32297 PKM-ALDERDALE PLAYGROUND EQUIP 2,357.48 217825 6/15/2010 010360 CITY OF FEDERAL WAY, 970.91 5/13/2010 CK #1142 PD-WSCPA CONF. L TIROUX 120.00 5/13/2010 CK #1142 PD-WSCPA CONF. L TIROUX 334.77 5/21I2010 CK #1148 PD-WASPC CONF. A HWANT 95.00 5/21/2010 CK #1148 PD-WASPC CONF. A HWANT 421.14 217826 6/15/2010 005817 CiTY OF FIFE, 5/10/2010 0005617 217827 6/15/2010 003564 CLARY, JOHN 6/1/2010 CLARY 2010 6/3/2010 CLARY 2010 6/2/2010 CLARY 2010 217828 6/15/2010 003752 COASTWIDE SUPPLY DBA, 5/21/2010 W2193845 5/14/2010 W2191490 217829 6/15/2010 012321 COLLIER, MARYANN 6/7/2010 776364 217830 6/15/2010 010303 COOL GUY GEAR LLC, 5/17/2010 MAY 17, 2010 217831 6/15/2010 008445 COPIERS NORTHWEST INC, 5/19/2010 I NV371635 5/18/2010 I N V371058 5/25/2010 I N V373331 217832 6/15/2010 000721 CORLISS RESOURCES INC, 5/13/2010 245090 217833 6/15/2010 00077� COSTCO/HSBC BUSINESS SOLUTIONS, 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26/2010 MAY 2010 5/26l2010 MAY 2010 5/26/2010 MAY 2010 5/26f2010 MAY 2010 PD-04/10 PRISONER LODGING AG06 PD-SNIPER EQUIP - BOOTS FOR CL PD-SNIPER EQUIP-LBV POUCHES PD-BOOT ALLOWANCE J CLARY FWCC-JANITORIAL SUPPLIES FWCC-JANITORIAL SUPPLIES PRCS-REFUND JUNE 4 EFT PMT PD-POINT BLANK BODY ARMOR BVP IT-OS/10 CANON IRC5030 IT-05/10 CANON IR1025N IT-05/10 CANON IR10251F PWST-CONCRETE SUPPLIES PRCS-PRESCHL SUPPLIES, OFFICE PRCS-PRESCHL SUPPLIES, OFFICE PRCS-PRESCHL SUPPLIES, OFFICE PRCS-PRESCHL SUPPLIES, OFFICE PD-BATTERIES, TRASH BAGS, TISS HR-MGMT ACADEMY SNACKS CC-CELSKI RECEPTION FWCC-PASSHOLDER APPRECIATION PRCS-ENVELOPES,PENS,GLOVES PRCS-ENVELOPES,PENS,GLOVES PRCS-ENVELOPES,PENS,GLOVES HR-CONFINE SPACE TRNG SNACKS FWCC-LAUNDRY SOAP 21,852.35 21,852.35 600.74 199.62 301.12 100.00 2,359.67 2,291.34 68.33 61.58 61.58 2,200.95 2,200.95 264.95 177.51 36.18 51.26 591.30 591.30 842.71 86.69 17.41 40.53 19.78 399.19 31.56 68.51 32.01 18.24 15.23 42.52 17.16 50.88 Bank of America Check No. Date Vendor Inv Date Invoice 217834 6/15/2010 009696 CRESTWOOD ANIMAL HOSPITAL, 5l28/2010 13079 217835 6/15/2010 011891 CROWE, BECCI 1/21/2010 APRIL 2010 217836 6/15/2010 010015 CUTHBERT, GAIL 6/3/2010 MAY 2010 217837 6/15/2010 009505 D& L SUPPLY AND MFG., INC, 5/25/2010 259988 217838 6/15/2010 011297 DASH MEDICAL GLOVES, 5/20l2010 I N V494551 217839 6/15/2010 012005 DASH POINT FINANCIAL, 5l28/2010 3093 217840 6l15/2010 003472 DAY WIRELESS SYSTEMS INC, 5l21/2010 156006 217841 6/15/2010 005922 DEX MEDIA WEST, 5/23/2010 650474119 217842 6/15l2010 012314 DICK'S TOWING INC, 6/10/2010 116318 217843 6/15/2010 008039 DMX MUSIC, 6/1/2010 A460312 217844 6/15/201� 005341 DODD, ESCOLASTICA ROSA 5/25/2010 05/25/10 5/21/2010 O5/21/10 5/18/2010 05/18/10 6/1/2010 06/01/10 217845 6/15/2010 007277 DOOLEY ENTERPRISES INC, 5l21/2010 45055 5/14/2010 45023 217846 6/15/2010 012323 DRAPERY BOUTIQUE & FLOORtNG, 5/4/2010 0002314 217847 6/15/2010 000939 DS WATERS OF AMERICA, LP, 5/24/2010 29241345236069 5/24/2010 29241345236069 217848 6/15/2010 000570 EAGLE TIRE & AUTOMOTIVE (DBA), 5/27/2010 1074859 5/27/2010 1074868 5/29/2010 1074901 5/29/2010 1074903 5/29/2010 1074904 5/29/2010 1074906 5/29/2010 174902 5/22/2010 1074776 5/22/2010 1074783 5/22/2010 1074784 5/22/2010 1074786 5/22/2010 1074786 5/22/2010 1074790 5/22/2010 1074790 5/8/2010 1074541 5/8/2010 1074541 5/8/2010 1074556 5/8/2010 1074556 5/8/2010 1074556 5l13/2010 1074629 5/21/2010 1074754 5l21/2010 1074756 5/21/2010 1074756 217849 6/15I2010 009021 EDWARDS, NOLAND A 5/25/2010 OS/25/10 217850 6/15/2010 011960 EGAL, SAFIA 5/21/2010 05/21/10 217851 6/15/2010 001294 ENTERPRISE SEATTLE, Description PD-K9 ROSCOE MEDICAL CARE PRCS-KFT ART GALLERY EXHIBIT A FWCC-05l10 PERSONAL TRAINER SV PKM-IRRIGATION SUPPLIES/INV#25 PD-EXAM GLOVES SWR-COMPOST BIN COUPON AND RUS PD-RADIO REPAIR/1NSTALL DBC-OS/10 DIRECTORY ADS PD-MOTORCYCLE TRAILER TOW IT-06/10 ALL DIGITAL MUSIC MC-INTERPRETER SVC MC-INTERPRETER SVC MC-INTERPRETER SVC MC-INTERPRETER SVC PD-AMMO 45 PRACTICE /QUALIFS PD-AMMO 45 PRACTICE QUALS FWCC-REPLC CHAIN OF FASTENERS FWCC-BOTTLE WATER FWCC-BOTTLE WATER PWFLT-BRAKE SERVICE PWFLT-ELECTRICAL WORK PWFLT-LOF PWFLT-LOF PWFLT-STEERING AND SUSPENSION PWFLT-LOF PWFLT-BRAKE SERVICE PWFLT-LOF PWLFT-LOF PWFLT-LOF PWFLT-HEATING/ COOLING SYSTEM PWFLT-BELTS PWFLT-LOF PWFLT-ELECTRICAL WORK PWFLT-LOF PWFLT-WIPER BLADES PWFLT-ENGINE WORK PWFLT-TRANSMISSION WORK PWFLT-HEATING/ COOLING SYSTEM PWFLT-MISC REPAIR PWFLT-BODY WORK PWFLT-ELECTRICAL WORK PWFLT-LOF MC-INTERPRETER SVC MC-INTERPRETER SVC Page 23 of 39 Amount Check Total 156.00 156.00 200.00 200.00 1,912.00 1,912.00 109.45 109.45 194.70 194.7� 226.12 226.12 1, 940.40 1,940.40 559.98 559.98 136.50 136.50 61.14 61.14 562.50 162.50 150.00 125.00 125.00 7,945.00 3,455.00 4,490.00 88.00 88.00 158.94 79.47 79.47 3,222.00 67.01 14.20 44.84 53.06 473.04 49.77 570.75 44.84 44.84 44.84 58.87 137.24 49.77 13.65 54.04 11.82 302.54 345.41 41.88 39.64 592.47 29.57 137.91 100.00 100.00 100.00 100.00 40,833.33 Bank of America Check No. Date Vendor Inv Date Invoice 5/24/2010 2942 217852 6/15/2010 001046 EQUIFAX CREDIT fNFORMATION SVC, 5/24/2010 5466884 217853 6/15/2010 000328 ERNIE'S FUEL STOPS (DBA), 5/15/2010 0333122 5/31/2010 0334088 5/31/2010 0334089 5/31/2010 0334089 5/31/2010 0334089 5/31/2010 0334089 5/31/2010 0334089 217854 6/15/2010 002899 ESA ADOLFSON, 2/10/2010 02-46824 REFUND 2/10/2010 02-46824 REFUND 2/10/2070 02-46824 REFUND 217855 6/15/2010 001748 EVERSON'S ECONO-VAC INC, 5/31l2010 065345 217856 6/15/2010 007t37 EVIDENT CRIME SCENE PRODUCTS, 5/24/2010 53710A 217857 6/15/2010 007854 EXCEL GLOVES & SAFETY SUPPLIES, 4/5/2010 47805 5/27/2010 48556 5/25/2010 48529 217858 6/15/2010 005820 FASTSIGNS, 5/17/2010 370-15809 217859 6/15/2010 000217 FEDERAL EXPRESS CORPORATION, 5/14/2010 7-090-15301 5/14/2010 7-090-15301 5/21/2010 7-098-27717 217860 6/15/2010 000229 FEDERAL WAY CHAMBER COMMERCE, 5/15/2010 7483 6/1/2010 7562 217861 6/15/2010 004690 FEDERAL WAY NUTRITION SERVICES, 5/31/2010 3001 217862 6/15/2010 001893 FEDERAL WAY SCHOOL DISTRICT, 6/4/2010 SIF-MAY 2010 6/4/2010 SIF-MAY 2010 217863 6/15l2010 001055 FEDERAL WAY SYMPHONY, 6/2/2010 APRIL 11, 2010 217864 6/15I2010 011667 FEDEX OFFICE, 4/14/2010 515100006220 217865 6/15/2010 012299 FIELDS, CATHY LYNN 5114/2010 APRIL 2010 217866 6/15/2010 002664 FLEX-PLAN SERVICES INC, 5/31/2010 157023 217867 6/15/2010 009861 FRANCISCAN INPATIENT SERVICE, 1/12/2010 116704-1 1/12/2010 116704-1 217868 6/15/2010 009242 FSH COMMUNICATIONS LLC, 6/1/2010 000367240 217869 6/15l2010 007404 FULLER, MICHELLE M S121/2010 OS121/10 217870 6l15/2010 011650 GEBREMICHAEL, MERIAM 6/1/2010 06/01/10 217871 6/15/2010 001478 GEOLINE POSITIONING SYSTEMS, 5/19/2010 305787 217872 6/15/2010 011681 GINA M. DUNCAN LAW OFFICE PLLC, 5l29/2010 1009 5/29/2010 1010 5/29/2010 1011 5/29/2010 1012 5/13/2010 1007 Description CM-04/10 HEALTHCARE INNOVATION PD-OS/10 CREDIT REPORTS PWFLT-4/30-5l15/10 FUEL CHARGE PWFLT-5/15-5131I10 VEHICLE FUE PD-FUEL FOR RENTAL CAR FOR EXP PD-SIU 5/15-5/31/10 FUEL VEHICLE FUEL VEHICLE FUEL VEHICLE FUEL CD-02-46824 WALLER ROAD IV- CD-02-46824 WALLER ROAD IV- CD-02-46824 WALLER ROAD IV- SWM-05/10 MAINTlSERVICE AG08-0 PD-CIS CRIME SCENE SUPPLIES PWST-LEATHER GLOVES PKM-SAFETY VESTS/INV#48556 PKM-SAFETY VESTS/INV#48529 PRCS-EVENT BANNER UPDATED HR-FEDEX TO IPMA FI-FEDEX PASSPORT DOCS FI-FEDEX PASSPORT DOCS CM-04/10 BUSINESS INCUBATOR AG CM-OS/10 BUSINESS INCUBATOR AG PD-OS/10 OFFICER LUNCHES FI-05/10 SCHL IMPACT FEE & INT FI-OS/10 SCHL IMPACT FEE & INT PRCS-SYMPHONY CONCERT SERIES A SWM-LAMINATIONS PRCS-ART GALLERY EXHIBIT AG10- HR-05/10 F�EX PLAN ADM SVCS PD-01l10 PRISONER MED TREAT PD-01/10 PRISONER MED TREAT IT-06/10 FSH PAYPHONE SVCS MC-INTERPRETER SVC MC-iNTERPRETER SVC PD-SCREEN PROTECTOR ACU CM-OS/10 CONFLICT DEFENDER AGO CM-05/10 CONFLICT DEFENDER AGO CM-05/10 CONFLICT DEFENDER AGO CM-OS/10 CONFLICT DEFENDER AGO CM-OS/10 CONFLICT DEFENDER AGO Page 24 of 39 Amount Check Total 40,833.33 26.Q0 26.00 22, 015.45 4,12723 5,387.76 129.67 976.98 11, 393.81 40.43 -40.43 44.35 44.35 44.35 -44.35 33,497.28 33,497.28 345.95 345.95 269.97 173.13 32.28 64.56 24.64 24.64 41.67 17.52 15.72 8.43 16,666.66 8,333.33 8,333.33 196.95 196.95 19,164.42 19,160.00 4.42 3,000.00 3,000.00 16.56 16.56 200.00 200.00 286.10 286.10 534.00 144.00 390.00 80.00 80.00 120.00 120.00 100.00 100.00 9.86 9.56 1,500.00 250.00 250.00 250.00 250.00 Z50.00 B o f America Check No. Date Vendor Inv Date lnvoice 5/13/2010 1008 217873 6/15/2010 010940 GOODYEAR WHOIESALE TIRE CNTR, 5/17/2010 143672 217874 6/15/2010 012318 GORDON, MEGAN 6/1I2010 773339 217875 6/15/2010 003390 GORDON, STAN 6/2/2010 GORDON 2010 217876 6l15/2010 004824 GOS PRINTING CORPORATION, 5/5/2010 74376 217877 6/15/2010 001992 GOSNEY MOTOR PARTS, 5/21/2010 466680 217878 6/15/2010 002547 GRAINGER INC, 5/10/2010 9248720733 5/10/2010 9248720733 5/10/2010 9249001612 217879 6/15/2010 010738 GREEN EFFECTS, INC, 6/1l2010 30644 217880 6/15/2010 010106 GRETTE ASSOCIATES, 2/1l2010 30088 2/1l2010 30088 2!1/2010 30088 217881 6l15/2010 003831 GSR POLYGRAPH SERVICES, 5/31 /2010 10-009 217882 6/15/2010 000671 H D FOWLER COMPANY, 5/27/2010 12722287 217883 6/15/2010 005087 HART HEALTH & SAFETY, 5/21/2010 00952-588006 217854 6/15/2010 003841 HEAD-QUARTERS PTS, 6/1/20t0 22724 217885 6/15/2010 001487 HEWLETT-PACKARD COMPANY, 5/21/2010 47667220 217886 6/15/2010 002477 HOME DEPOT-DEPT 32-2500780030, 5/28I2010 MAY 2010 5/28/2010 MAY 2010 5/28/2010 MAY 2010 5/28/2010 MAY 2010 5/28/2010 MAY 2010 217887 6/15/2010 008973 HOSPITALITY HOUSE, 5/24/2010 1 ST QTR 2010 217888 6/15/2010 009785 HOWARD, TODD 5/25/2010 106 5/26/2010 106 5/14/2010 105 217889 6/15/2010 012309 HRVATIN, GAIL 5/21/2010 765899 217890 6/15l2010 011863 INTELLIGENT PRODUCTS INC, 6/1/2010 112658A 217891 6/15/2010 012319 INTELLITRAVEL MEDIA INC, 6/1/2010 89012478 217892 6/15/2010 007109 INTERCOM LANGUAGE SVCS, 5/26/2010 10-171 6/2l2010 10-189 217893 6/15/2010 011936 INTERNATIONAL BUSINESS MACHINE, 4/8/2010 MCC0166 4/8/2010 MCC0166 4/8/2010 MCC0166 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 Description CM-05/10 CONFLICT DEFENDER AGO PD-NEW TIRES DELIVERED TO SPAR PRCS-REFUND CUSTOMER RELATIONS PD-CLOTHING ALLOW. S GORbON PD-VEHICLE PROWL BROCHURE PWFLT-WATER FILTER FWCC-PUNCH ROLL PIN, SCOUR PAD FWCC-PUNCH ROLL PIN, SCOUR PAD PKM-TRAFFIC/CONSTRUCTION FWCC-05/10 LANDSCAPING MAINT A CD-02-79077 REZANKA BLA- CD-02-79077 REZANKA BLA- CD-02-79077 REZANKA BLA- PD-POLYGRAPH EXAMS PWST-RAIN BIRD VALVE HR-MEDICAUFIRST AID SUPPLIES PKM-PORTABLE TOILET SVCS AG06- IT-PD ANIMAL SERVICES- DBC-STD WRAP DBC-STD WRAP IT-PROJECTOR LIGHT BULB PWTR-COUNTER REPAIRS PRCS-FOUNTIAN REPAIRS CDHS-Q1 2010 HOSPITALITY HOUSE CM-05/10 CONFLICT DEFENDER AGO CM-OS/10 CONFLICT DEFENDER AGO CM-OS/10 CONFLICT DEFENDER AGO PRCS-CLASS FEE REFUND PKM-DOG WASTE BAG DISPENSERS/l CM - ADVERTISING IN BUDGET TRA MC-INTERPRETER SVC MC-iNTERPRETER SVC IT-PD/RR - 5765-G62 AIX 6 FOR IT-PD/RR- 5773-SM3 SOFTWARE MA IT-PD/RR- 5692-A6P SYSTEM SOFT IT-PD-RR- 2-CORE 4.2 Ghz POWER IT-PD-RR ONE PROCESSOR ACTIVAT IT-PD-RR SAS RAID ENABLEMENT- IT-PD-RR 146 BG 15K RPM SAS DI IT-PD-RR 4096M6 (2X2048) RDIMM IT-PD-RR HALF HIGH SOOGB/1.6TB Page 25 of 39 Amount Check Total 250.00 1,298.80 1, 298.80 100.00 100.00 500.00 500.00 643.14 643.14 39.75 39.75 109.63 10.32 21.93 77.38 2,729.66 2,729.66 560.00 560.00 560.00 -560.00 150.00 150.00 28.33 28.33 144.23 144.23 662.25 662.25 185.06 185.06 486.37 215.93 167.95 6.54 20.43 75.52 2,500.00 2,500.00 6'12.5C 250.00 112.50 250.00 42.00 42.00 662.8C 662.80 723.00 723.00 1,787.SC 850.00 937.50 21,006.63 918.91 810.48 53.43 3,532.09 1,467.69 2,270.56 2,713.78 1,885.47 3,430.37 Bank of America Check No. Date Vendor Inv Date 3/19/2010 PC'16601 3/19/2010 PC16601 3l19/2010 PC16601 3l19l2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19l2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 3/19/2010 PC16601 217894 6/15l2010 010737 INTERWEST DEVELOPMENT NW INC, 5/6/2010 67290 217895 6/15/2010 009079 J AND Y INVESTMENT LLC, 6/1/2010 JUNE 2010 217896 6115/2010 009730 JACK, DRISKELL J 5/18l2010 05/18/10 217897 6/15/2010 012308 JEONG, INSUK 5l21/2010 765896 217898 6/15/2010 012300 JOHNSON, MARSHALL LYSENDER 3/17I2010 APRIL 2010 217899 6/15/2010 011593 K& D MECHANICAL INC, 5/20(2010 10245-FWCC 5/20/2010 10245-FWCC 217900 6/15/2010 011445 KENT YOUTH & FAMILY SVCS, 5/25/2010 1ST QTR 201( 217901 6/15/2010 011501 KIDZ LOVE SOCCER INC, 5/24/2010 2010SP-F159 217902 6/15/2010 011736 KIM, CHUL JOON 5/25/2010 OS/25/10 5/21/2010 OS/21l10 6/1/2010 06/01/10 A 6/1/2010 O6/01/10 217903 6/15/2010 001259 KING COUNTY CRIME VICTIMS FUND, 6/10I2010 MAY 2010 217904 6/15/2010 000125 KING COUNTY FINANCE DIVISION, 5/21/2010 1569755 5/21 /2010 1569755 5/21 /2010 1569755 5/21/2010 1569755 5/21/2010 1570190 5/18/2010 1569429 5/18/2010 1569430 5/18/2010 1569431 5/18/2010 1569431 5/18/2010 1569431 5/18/2010 1569431 5/18/2010 1569431 5/18/2010 1569431 217905 6/15/2010 005568 KING COUNTY FLEET ADM DIVISION, 5/12/2010 204863 217906 6/15/2010 000564 KING COUNTY PET LICENSE, 6/10/2010 MAY 2010 217907 6/15l2010 003898 KING COUNTY RADIO, 5/7/2010 00422759 smzoio ooazz�so 5/7/2010 00422781 5!7/2010 00422782 Invoice Description IT-PD-RR OP PANEL CABLE FOR RA IT-PD-RR RIGHT ANGLE SAS TAPE !T-PD-RR VGA TO DVI CONNECTION IT-PD-RR 4-PORT 1 GB INTEGRATE IT-PD-RR PWOER GXT145 PCI-EXPR IT-PD-RR SATA SLIMLINE DVD-RAM IT-PD-RR 4 PORT ASYNC EIA-232 IT-PD-RR FULL WIDTH QUIET TOUC IT-PD-RR POWER CABLE - DRAWER IT-PD-RR POWER CORD (9-foot) D IT-PD-RR IBMlOEM RACK-MOUNT DR IT-IBM RACK-MOUNT DRAWER BEZEL IT-PD-RR POWER SUPPLY 950 WATT IT-PD-RR DASD/MEDIA BACKPLANE IT-PD-RR USB MOUSE- IT-PD-RR WARRANTY SERVICE UPGR PKM-QUARRY SAND AND SOIUINV#6 IT-06/10 WIFI SITE LEASE AGOS- MC-INTERPRETER SVC PRCS-EVENT CANCEL REFUND PRCS-ART GALLERY EXHIBIT FWCC-REPLC REMOTE UNIT CONTROL FWCC-REPLC REMOTE UNIT CONTROL CDHS-Q1 2010 SUBSTANCE ABUSE T FWCC-SPRING 2010 YOUTH SOCCER MC-INTERPRETER SVC MC-INTERPRETER SVC MC-INTERPRETER SVC MC-INTERPRETER SVC FI-05l10 REMIT CRIME VICTIM FE IT-06/10 NET SVCS IT-06/10 NET SVCS IT-06/10 NET SVCS IT-06/10 NET SVCS PD-04/10 PRISONER LODGING AG02 PWTR-04/10 BSC SIGN/MRKNGS MTN PWTR-04/10 BSC SIGN/MRKNGS MTN PVVr-04/10 DISC INVSTGTN TRFFC- PWT-04/10 DISC INVST TRFFC-CAP PVVf-04/10 KC DISC PED IMPROVEM PWST-04/10 DISC INVST MAINTENA PWST-04/10 DISC INVST S 348TH SWM-04/10 DISC INVST SWM SIGNS PWFLT-PREVENTIVE MAINT/SERVICE FI-O5/10 KC PET FEES REMIT FEE PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR Page 26 of 39 Amount Check Total 5.45 19.07 7.27 479.54 343.31 271.56 634.85 75.38 12.72 12.72 272.46 271.56 488.63 574.90 27.03 427.40 521.80 521.80 275.00 275.00 100.00 100.00 40.00 40.00 200.00 200.00 861.77 763.22 98.55 3,500.00 3,500.00 5,062.50 5,062.50 400.00 100.00 100.00 100.00 100.00 1,670.31 t ,670.31 155,481.81 419.20 104.80 262.00 262.00 75,368.77 33,506.13 2,127.57 46.72 4,489.50 37,887.00 121.87 217.05 669.20 401.95 401.95 575.00 575.00 3,654.54 57.94 57.94 57.94 57.94 Bank of America Check No. Date 217908 6/15/2010 217909 6/15/2010 217910 6/15/2010 217911 6/15/2010 217912 6/15/2010 Vendor Inv Date Invoice 5/7/2010 00422784 5/7/2010 00422785 5!7l2010 00422803 5/7/2070 00422804 Sl7/2010 00422805 5/7/2010 00422866 5/7/2010 00422867 5l20/2010 00422818 5/20/2010 00422895 5/20l2010 00422921 5/20/2010 00422922 5/20l2010 00422933 4/15/2010 00422160 4/15/2010 00422653 4l17/2010 00422351 4/17/2010 00422440 4l17/2010 00422697 4/17/2010 00422760 4/17/2010 00422761 4/17/2010 00422762 4l17/2010 00422763 4/17/2010 00422764 003898 KING COUNTY RADIO, 5/20/2010 00423070 5/20l2010 00422705 5/7/2010 00422802 011283 KNIGHT, CHRISTOPHER 6/1/2010 MAY 2010 011584 KOMPAN INC, 5/13/2070 INV67270 005773 KOREAN WOMEN'SASSOCIATION, 5/24/2010 1 ST QTR 2010 010358 KOSANOVICH, MICHAEL E 5/18/2010 05/18/10 217913 6/15/2010 002334 KRAUS, THO 6/11/2010 KRAUS 2010 217914 6/15/2010 011888 KRUBALLY, SAUL 5/21/2010 05/21/10 217915 6/15/2010 000096 LAKEHAVEN UTILITY DISTRICT, 5/14/2010 2781401 5/14/2010 2798301 5/14/2010 2830801 5/14/2010 2961501 5/14/2010 3042401 5/14/2010 3341801 5/14/2010 3341901 5/14/2010 3519201 5/21/2010 2781501 5/21/2010 2906301 5/21/2010 3059601 5/21/2010 3131501 5/21/2010 1014202 5/21 /2010 10� 4202 5/21/2010 2592802 5R/2010 101103 5/7/2010 2573402 5/7/2010 2926402 5/7/2010 2926402 5/7/2010 2926501 5/7/2010 2926501 5/7/2010 2957001 5/7/2010 2961401 5!7/2010 3050801 Description PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTINGlMAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTINGlMAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTINGlMAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR PD-RADIO TESTING/MAINT. JAG GR IT/PD-RADIO MAINT/REPAIR IT/PD-RADIO MAINT/REPAIR IT/PD-RADIO MAINT/REPAIR FWCC-OS/10 PERSONAL TRAINER SV PKM-PLAYGROUND REPLACEMENT PAR CDHS-Q1 2010 WE ARE FAMILY PRO MC-INTERPRETER SVC FI-GFOA CONF. T KRAUS MC-INTERPRETER SVC PKM-02-03/10 2501 349TH PL SW PKM-02-03/10 32800 14TH PL SW PKM-02-03/10 2700 340TH PL SW P WST-02-03/10 1511 348TH#19615 PWST-02-03/10 2500 336TH ST#30 PWST-02-03/10 35826 16THAVE S# PWST-02-03/10 1559 S 356TH ST# PWST-02-03/10 35601 21ST AVE#3 PKM-03-04110 31200 DASH POINT PKM-03-04/10 312 DASH PT RD SW PKM-02-03/10 3200 349TH ST S I PKM-04-OS/10 30655 21ST AVE SW PKM-03-04/10 312 DASH POINT RD PKM-03-04/10 312 DASH POINT RD PKM-03-04/10 1210 333 ST SW IR PKM-02-03/10 630 356TH ST IRR# PKM-02-03/10 34800 14 PL SW IR PKM-02-03/10 33914 19TH AVE SW PKM-02-03/10 33914 19TH AVE SW PKM-02-03/10 33914 19TH AVE SW PKM-02-03/10 33914 19TH AVE SW PKM-02-03l10 1095 324TH ST S#2 PWST-02-03/1 34727 PAC HWY S I PKM-02-03l10 1095 324TH ST S#3 Amount 57.94 57.94 57.94 57.94 57.94 57.94 57.94 57.94 57.95 57.94 57.94 57.94 563.90 563.94 563.90 609.57 136.48 57.94 57.94 57.94 57.94 57.94 Page 27 of 39 Check Total 233.55 59.28 59.28 114.99 756.00 756.00 671.02 671.02 1,092.63 1,092.63 100.00 100.00 966.00 966.00 100.00 100.00 7,366.65 36.16 17.88 65.76 17.88 17.88 45.87 56.62 17.88 27.80 17.88 20.36 5.64 63.28 22.00 17.88 17.88 17.88 114.70 51.26 109.74 42.90 17.88 17.88 17.88 B ank of America Check No. Date Vendor Inv Date Invoice 5/7/2010 3075201 5/7/2010 3075201 5/7/2070 3075301 5/7/2010 3075301 5/7/2010 3075401 5/7/2010 3075401 5/7l2010 3238401 5/7/2010 3266301 5!7/2010 3336201 5/7/20t0 3336301 5/7/2010 3461301 5!7/2010 3461301 5/7/2010 3474201 Sl7/201Q 3474301 sm2o�o ssso2 5/4/2010 3499201 217916 6/15/2010 001939 LANDAU ASSOCIATES INC, �2ii��2oos zsoas t2/17/2009 26085 12/17/2009 26085 217917 6/15/2010 012301 LANHAM, KAY 5/24/2010 31768 217918 6/15/2010 011908 LARSEN SIGN CO., 6/2/2010 11772 217919 6/15/2010 005440 LARSON, DAVID A 5/28/2010 LARSON 2010 217920 6/15/2010 003157 LES SCHWAB TIRE CTRS OF WA INC, 6/7/2010 442646 5/10/2010 441777 5/12/2010 441960 217921 6/15l2010 011909 LEXISNEXIS RISK, 5/31/2010 1470204-20100531 217922 6/15/2010 004594 LIM, VANNARA S 5/21l2010 05l21/10 217923 6/15/2010 000630 LLOYD ENTERPRISES INC, 5/19/2010 140166 5/18/2010 140123 5/18/2010 140123 5/18/2010 140123 5/3/2010 139766 5/12/2010 140045 4/28/2010 139777 217924 6/15/2010 005339 LOWE'S HIW INC, 4/28/2010 14800 4/28/2010 14809 4/22/2010 23280 4/27/2010 14603 4/27/2010 15132 5/11/2010 02389 4l29/2010 14079 5/4/2010 23651 5/7/2010 02805 5/10/2010 02188 6/1l2010 14068 6!1/2010 14068 6/1I2010 14068 5/17/2010 02482 5/24l2010 14322 217925 6/15/2010 007805 MAC-DONALD-MILLER FACILITY, 6/2l2010 JC1545 217926 6/15l2010 005043 MACHINERY POWER & EQUIPMENT CO, 5/25I2010 FICS0826906 5l19/2010 FIW00826113 PKM-02-03/10 1095 324TH ST S#3 PKM-02-03/10 1095 324TH ST S#3 PKM-02-03/10 1095 324TH ST S#3 PKM-02-03/10 1095 324TH ST S#3 PKMO2-03/10 1095 324TH ST S#30 PKM-02-03l10 1095 324TH ST S#3 PWST-02-03/1 32001 PAC HWY S I PKM-02-03/10 1540 SW 356TH ST# PWST-02-03/1 32409 PAC HWY S I PWST-02-03/10 1559 S 356TH ST# FWCC-02-03/10 876 S 333RD ST # FWCC-02-03/10 876 S 333RD ST # FWCC-02-03-10 876 S 333RD ST # FWCC-02-03/10 876 S 333RD ST # PKM-02-03/10 411 348TH ST S#9 PKM-02-03/10 2220 S 333RD ST#3 CD-01-76476 REDKA DECK CD-01-76476 REDKA DECK CD-01-76476 REDKA DECK DBC-CONTRACT CANCEL REFUND PD-VINYL GRAPHICS MC-JUDICIAL CONF. D LARSON PWFLT-TIRE REPAIR PWFLT-TIRE REPAIR PWFLT-TIRE REPAIR PD-05/10 LEXISNEXiS SVC MC-INTERPRETER SVC PWST-DUMP ASPHALT PWST/SWM-DUMP TOPSOIL PWST/SWM-DUMP TOPSOIL PKM-ANNEX PLAYGRND TOPSOIL PKM-BRUSH GRAVEL PKCP-TOP DRESSING SAND PKM-STLK SERVICE ROAD TOPSOIL CHB-BRASS PIPE COUPLING CHB-FLOR. BULBS PKM-FLEX CABLE FWCC-BATTERIES, MAINT SUPPLIES CHB-BRASS PIPE COUPLING PKM-CONCRETE MIX PKM-LIGHT BULBS PKM-TENSION BARS, UTILITY PUMP CHB-PAINT ROLLERS, LEVEL PKM-SPRAY GUN,TURF PAINT, SEAL FWCC-GARAGE DOOR REMOTE, SUPPL FWCC-GARAGE DOOR REMOTE, SUPPL FWCC-GARAGE DOOR REMOTE, SUPPL PKM-HANGING HARDWARE FOR SHELF PKCP-CLEANING SUPPLIES FOR LIG CHB-ENERGY AUDIT PWFLT-SLOW MOVING SIGN PWST-KEY SWITCH Amount 108.50 52.33 97.34 22.00 104.78 42.22 17.88 17.88 17.88 17.88 1,178.90 4,766.09 17.88 10.56 17.88 n.sa Page 28 of 39 Check Total 327.01 327.01 327.01 -327.01 512.50 512.50 311.51 311.51 285.83 285.83 306.13 278.75 13.69 13.69 470.85 470.85 132.00 132.00 3,772.58 199.67 252.17 252.16 906.00 132.22 1,754.64 275.72 704.29 2.55 37.09 16.38 174.61 2.55 57.82 14.96 54.88 21.89 50.27 28.08 143.97 18.25 1627 34.72 750.00 750.00 219.61 8.53 211.08 Bank of America Page 29 of 39 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 217927 6/15/2010 001004 MAILMEDIA DBA IMMEDIA, 1,246.61 5/4l2010 59724 PRCS-2010 SMNR REC. BROCHURE 1,246.61 217928 6/15/2010 005406 MAYBERRY, MITCHEL 1,747.20 6/2/2010 SPRING 2010 PRCS-SPRING 2010 MARTIAL ARTS 1,74720 217929 6/15l2010 010256 MCMASTER-CARR, 92.74 5/20/2010 55794920 FWCC-UNDERWATER SEALANT 43.30 5/11l2010 54943262 FWCC-SCREW & LOCKNUT 17.60 5/11/2010 54966257 FWCC-CHAIR, CANE, AND CRUTCH T 31.&4 217930 6/15/2010 005176 MERINO STRAWE, BETTY 300.00 5/18l2010 OS/18/10 MC-INTERPRETER SVC 150.00 5l28/2010 OS/28/10 MC-INTERPRETER SVC 150.00 217931 6/15/2010 011787 MICHELS CORPORATION, 1,264.32 6/7l2010 AG09-224 RETAINAGE SWM-STORMLINE REPAIRS RETAINAG 1,264.32 217932 6/15/2010 003170 MODERN SECURITY SYSTEMS INC, 220.15 4/22l2010 50372 PKM-ALARM SYSTEM HEAT DETECTOR 220.15 217933 6/15l2010 008029 MONTES DE OCA RICKS, MARIA 100.00 6/1/2010 06/01/10 MC-INTERPRETER SVC 100.00 217934 6/15/2010 009848 MONTGOMERY, SARA 136.78 6/1/2010 MONTGOMERY-2010 FWCC-CRAFT SUPPLIES FOR CULTUR 116.79 6/1/2010 MONTGOMERY-2010 FWCC-SUPPLIES FOR CULTURES & C 19.99 217935 6/15l2010 007035 MOODY, AILI 20.00 6/7/2010 776365 PRCS-REFUND CLASS FEE 20.00 217936 6/15/2010 003352 MOTOROLA INC, 152.42 5/24/2010 13788739 PD-CABLE, REMOTE MOUNT 152.42 217937 6/15/2010 000228 MULTI-SERVICE CENTER, 3,400.90 5/24/2010 MAR - APR 2010 PWEOC-ENHANCE EOC PREPAREDNESS 3,400.90 217938 6/15/2010 000955 MUTUA� MATERIALS COMPANY, 320.40 5/18/2010 609455 PKM-PALLET OF CLAY BASEBALL 320.40 217939 6115/2010 010539 NARANBAATAR, KHULAN 100.00 5/25/2010 OS/25/10 MC-INTERPRETER SVC 100.00 217940 6/15/2010 003868 NATIONAL BARRICADE COMPANY INC, 566.13 5/25/2010 229926 PD-CONSOLE FACE PLATE 65.70 5/25/2010 229927 PD-CONSOLE FACE PLATE 91.99 5/25/2010 229928 PD-TRAFFIC CONES 408.44 217941 6/15/2010 007326 NETMOTION WIRELESS INC, 2,715.60 5/25/2010 10008314 IT-PD - NETMOTION MAINTENANCE 2,715.60 217942 6/15/2010 000043 NEW LUMBER & HARDWARE COMPANY, 154.36 5/25/2010 246552 PKM-DRILL BIT 7.47 5/25/2010 246573 PWST-MISC. SCREWS & BOLTS 3.79 5/6/2010 246087 PKM- MED YEL RUBBER GLOVES 4.91 5/18/2010 246404 PKM-BLUE TARP 18X24 17.73 5/14/2010 246310 SWM-GRIP CLIP, RAGS IN A BOX 14.18 5/21/2010 246468 PKM-SUPPLIES FOR VOLUNTEER EVE 30.88 5/12/2010 246218 PWST-LUMBER 20.70 5/11/2010 246183 PKM-PRIMER/SEALER MIXT CONTAIN 21.62 5/11/2010 246204 PWFLT-REPAIRlMAINTENANCE SUPPL 24.07 5/19/2010 246424 PKM-SPRAY GLOVES 5.90 6/2/2010 246728 SWM- KETYS 3.11 217943 6/15/2010 003138 NORMED, 136.11 5/12/2010 40574-587245 FWCC- MEDICAL SUPPLIES/ BANDAG 34.03 5/12/2010 40574-587245 FWCC- MEDICAL SUPPLIES/ BANDAG 102.08 217944 6/15/2010 008519 NORTHWEST EMERG PHYS INC, 644.00 5/24/2010 91110444/511 PD-OS/10 PRISONER MED TREAT 644.00 217945 6/15/2010 007587 NORTHWEST PLAYGROUND, 63,866.58 4/28/2010 32208 PKM-ALDERDALE PLAYGROUND EQUIP 15,293.55 4/28/2010 32208 PKM-ALDERDALE PLAYGROUND EQUIP -698.34 5/12/2010 32297 PKM-ALDERDALE PLAYGROUND EQUIP 5,�62.86 5/12/2010 32297 PKM-ALDERDALE PLAYGROUND EQUIP 46,466.00 5/12/2010 32297 PKM-ALDERDALE PLAYGROUND EQUIP -2,357.49 217946 6/15/2010 004292 OLYMPIC SECURITY SERVICES INC, 2,536.00 5/31/2010 SI+0023733 MC-05/10 COURT SECURITY AG09-1 2,536.00 217947 6/15/2010 009341 OMNI LANDSCAPE SERVICES, 4,773.69 Bank of America Check No. Date Vendor Inv Date 5/1l2010 36527 6/1/2010 36536 1/1/2010 36487 217948 6/15/2010 007444 ORCA PACIFIC INC, 5/13/2010 043775 5/20/2010 043886 5/6/2010 043678 217949 6l15/2010 000504 ORIEMTAL GARDEN CENTER, 5/26/2010 41589 217950 6/15/2010 0�2302 OSUIGWE, CYNTHIA 5/25/2010 770121 217951 6l15/2010 005741 OUTCOMES BY LEW, 5l31/2010 MAY 2010 217952 6/15/2010 017805 PACIFIC OFFICE AUTOMATION, 5/12/2010 AQ3264 5l17J2010 AQ3264 5/12/2010 AQ3264 5/12/2010 AQ3264 5/12/2010 AQ3264 5l12/2010 AQ3264 5/12/2010 AQ3264 5/12/2010 AQ3264 5/12/2010 AQ3264 5/12/2010 AQ3264 217953 6/15/2010 001814 PARAMETRIX INC, 4/15/2010 03-49055 5/17/201� 03-49105 217954 6/15/2010 000885 PARKER PAINT MANUFACTURING CO, 5/24/2010 022002827 5/10/2010 022002551 5/27/2010 022002884 217955 6/15/2010 006656 PETCO ANIMAL SUPPLIES INC, 5/12l2010 OA020999 5/12l2010 OA21000 217956 6/15/2010 010613 PETEK, PHD, THOMAS C 5/31l2010 7796 217957 6/15/2010 001166 PETTY CASH - FWCC, 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14l2010 FWCC-06/15/1 6/14I2010 FWCC-O6/15/1 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14l2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 6/14/2010 FWCC-06/15/1 217958 6/15/2010 002557 PETTY CASH FUND-PARKS MAINT, 6/7/2010 PKM-6/7/10 6/7/2010 PKM-6/7/10 6/7/2010 PKM-6/7/10 6/7/2010 PKM-6/7/10 6/7/2010 PKM-6!7/10 6/7/2010 PKM-6/7/10 6/7/2010 PKM-6l7/10 217959 6/15/2010 009308 PETTY CASH-HRCK, 6/10l2010 HRCK-6/10l10 6/10l2010 HRCK-6/10l10 6/10/2010 HRCK-6/10/10 Invoice Description PKM-OS/10 LANDSCAPE BALANCE DU PKM-06/10 LANDSCAPE SVC- PKM-01/10 LANDSCAPE BALANCE DU FWCGPOOL CHEMICALS MAINT AG09 FWCC-POOL CHEMICALS MAINT AG09 FWCC-POOL CHEMICALS MAINT AG09 PKM-WEEDEATER LINE PRCS-REFUND FAILED TEST CM-05/10 LEGISLATIVE LOBBY AGt IT-04/10 PRINTER/COPIER MAINT IT-04/10 PRINTERICOPIER MAINT IT-04/10 PRINTER/COPIER MAINT IT-04/10 PRINTER/COPIER MAINT IT-04/10 PRINTER/COPIER MAINT IT-04110 PRINTER/COPIER MAINT IT-04/10 PRINTERlCOPIER MAINT IT-04/10 PRINTER/COPIER MAINT IT-04/10 PRINTER/COPIER MAINT IT-04/10 PRINTER/COPIER MAINT PWST348TH INTERSECTION IMPROV PWST-348TFt INTERSECTION IMPROV CD-PAINT SUPPLIES CD-PAINT SUPPLIES PKM-PAINT FOR STLK BATHROOMS PD-K9 FOOD PD-K9 SUPPLIES PD-NEW HIRE EVALUATION PRCS-FITNESS CLASS MUSIC FOR I PRCS-SUPPLIES FOR SPLASHTACULA PRCS-SUPPLIES FOR SPLASHTACULA PRCS-GASOLINE FOR SENIOR TRIP PRCS-GASOLINE FOR SENtOR TRIP PRCS-TARGET, BIRTHDAY FAVORS F PRCS-PARTY CITY - FWCC BIRTHDA PRCS-PARTY CITY SLAP BRACELETS PRCS-SNACKS FOR F-DUB 5/21 PRCS- SNACKS FOR F-DUB 5/28 PRCS-PARKING FOR REC INC TRIP PRCS-COOK BOOK JACKETS FOR COO PRCS-CAKE, FLOWERS FOR COOKING PRCS - PARTY CITY RETURNED SPL PKM-PETTY CASH/PIZZA FOR PARKS PKM-PETTY CASH/SCOTCHKOTE FOR PKM-PETTY CASH/FUSE&FUSE HOLDE PKM-PETTY CASH/WASH STREET BAN PKM-PETTY CASH/FOOD FOR PARKS PKM-PETTY CASH/NAME TAGS FOR H PKM-PETTY CASH/SCREWS FOR CELL CD - MCCLEAVE PARKING WSHFC CD - MCCLEAVE PARKING WORKSHOP HR - COUNCIL MTG DINNER 5-18-1 Page 30 of 39 Amount Check Total 18.31 4,752.05 3.33 2,029.53 687.98 826.63 514.92 30.65 30.65 27.50 27.50 4,683.61 4,683.61 2,589.28 25.89 25.89 155.36 103.57 543.75 336.61 543.75 284.82 25.89 543.75 26,381.39 6,291.17 20,090.22 86.69 15.97 15.97 54.75 95.10 85.98 9.12 300.00 300.00 309.07 29.00 25.19 29.66 28.23 14.50 36.95 40.22 11.94 22.11 22.89 8.00 17.73 34.41 -11.76 273.93 60.00 27.29 33.95 40.00 70.00 29.57 13.12 124.14 9.00 20.00 66.1 S Bank of America Check No. Date 217960 6/15/2010 217961 6/15/2010 217962 6/15/2010 217963 6l15/2010 217964 6/15/2010 217965 6/15/2010 217966 6/15/2010 217967 6/15/2010 217968 6/15/2010 217969 6/15I2010 Vendor Inv Date Invoice 6/70l2010 HRCK-6/10/10 6/10/2010 HRCK-6/10l10 6/10/2010 HRCK-6/10/10 6/10/201� HRCK-6/10/10 006241 PETTY CASH-POLICE DEPT, 6/4/2010 PD-6/4/10 6/4/2010 PD-6/4t10 6/4/2010 PD-6/4/10 6/4/2010 PD-6/4/10 6/4/2010 PD-6/4/10 6/4/2010 PD-6/4/10 6/4l2010 PD-6!4l10 6/4l2010 PD-6!4/10 6/4/2010 PD-6!4/10 006993 PFX PET SUPPLYINC, 2/17/2010 CD11456407 003537 PIERCE COUNTY SECURITY INC, 6/2l2010 210285 6/2/2010 210341 6/2/2010 210386 6/2/2010 210427 6/2/2010 210429 6/2/2010 210475 6/2/2010 210479 6/2/2010 210539 009791 PIRTEK KENT, 5/26/2010 S1390690.001 5/26/2010 S1390697.001 005583 PRAXAIR DISTRIBUTION INC, 5/12/2010 36465249 5/20/2010 36515063 010845 PRIORITY PRINT MANAGEMENT INC, 5/24/2010 00027964 010704 PROCTOR SALES, INC., 5l11/2010 0092209-IN 009960 PROFORCE LAW ENFORCEMENT, 5/24/2010 87584 5/26/2010 87740 5/6/2010 86400 010352 PUBLIC RELATIONS SOCIETY, 5/25/2010 1044661 000051 PUGET SOUND ENERGY INC, 5/18/2010 004-919-1000 5/18l2010 250-275-0389 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 OS S128/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 05 5/2 812 0 1 0 PWTR 2010 OS 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 OS 5/28/2010 PWfR 2010 OS 5/28l2010 PV1/TR 2010 OS 5/28/2010 PWTR 2010 05 Description HR - MILEAGE COUNCIL ERRANDS CD - BLINKER LIGHT BULB VEHICL HRCK- PETTY CASH FUND SHORTAG CD - HIGH RISE CONST MTG FOOD PD-ADDTL LODGING EXPENSES FOR PO-COFFEE FOR VOLUNTEER RECOGN PD-REIMB:SOU BIKE SHOES FOR OF PD-BIKE SHOES FOR SOU BIKE UNI PD-COFFEE FOR VOLUNTEER RECOGN PD-GLOVES FOR SWAT MEMBER JOHN PD-SNIPER GEAR PURCHASED BY JO PD-SNIPER BOONIE HAT PURCHASED PD-TRACKING HARNESS FOR K9 FAX PD-K9 FOOD PKM-OS/10 PARK CLOSING SECURIT PKM-05/10 PARK CLOSING SECURIT PKM-OS/10 PARK CLOSING SECURIT PKM-05/10 PARK CLOSING SECURIT PKM-05/10 PARK CLOSING SECURIT PKM-O5/10 PARK CLOSING SECURIT PKM-OS/10 PARK CLOSING SECURIT PKM-05/10 PARK CLOSING SECURIT PWFLT-REPLC NYLON HOSE PWFLT-REPLC HOSES PKM-OXYGEN FOR FIELD STRIPING PKM-OXYGEN FOR FIELD STRIPING SWM-DUMAS BAY COMMUNITY NEWSLE FWCGTACO SEAL KIT PD-TASER BATTERIES PD-NEW TASER (SEE CREDIT 86400 PD-NEW TASER (SEE INV 87740) CM -ANNUAL MEMBERSHIP DUES SWM-04/10 324TH STORAGE PWTR-04/10 106 SW CAMPUS DR PWTR-05/10 CRNR S 316TH ST & 2 PWfR-O5/10 HOYT RD & 340TH- PWTR-05/10 PAC HWY S& S 330TH PWTR-05/10 S 288TH ST & PAC HW PWTR-OS/10 S288TH & 18TH AVE S PWTR-05/10 S 296TH PL & MILITA PWTR-05/10 S 320TH & 23 AV S- PWTR-OS/10 S 322ND & 23 AVE S- PWTR-O5/10 S 336TH ST & PAC HW PWfR-05I10 S 282ND & MILITARY PWTR-05/10 S 316TH & PAC HWY S PWTR-05/10 SW CRNR S 312TH & P PWTR-OS/10 SW 308TH & 2ND AVE PWTR-05/10 SW 329TH WAY & HOYT PWTR-OS/10 VARIOUS LOCATIONS- PWTR-OS/10 1TH WAY S& 334TH S PWTR-O5/10 1ST WAY S& 336TH S PWTR-OS/10 1ST AVE S& S 330TH PWTR-05/10 1000 SW CAMPUS DR- Page 31 of 39 Amount Check Total 5.03 6.01 -1.00 18.92 523.34 52.17 95.05 31.40 87.44 84.57 44.76 37.95 14.79 74.91 370.40 150.00 250.00 150.00 250.00 150.00 175.00 150.00 150.00 370.40 1,425.00 993.85 255.55 738.30 45.30 28.38 16.92 252.95 252.95 84.82 84.82 347.49 426.44 906.55 -985.50 277.00 277.00 30,771.36 45.39 126.31 75.46 98.18 75.35 484.24 118.24 28.43 316.45 215.08 699.06 140.57 59.09 218.77 10.11 10.30 28.72 18.44 91.02 62.02 159.12 Bank of America Page 32 of 39 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 5/28/2010 PVVTR 2010 OS PWTR-OSl10 t15TH ST S& 316ST 10.40 5/28/2010 PWTR 2010 05 PWfR-OS/10 1300 S 344TH ST- 28.11 5/28/2010 PWTR 2010 O5 PWiR-OS/10 1403 SW 312TH ST PE 10.11 5/28/2010 PWTR 2010 OS PWTR-OS/10 1405 S 312TH ST.- 129.70 5/28/2010 PWfR 2010 OS PWTR-OSl10 1414S 324TH ST.- 35.67 5/28/2010 PWTR 2010 O5 PWTR-05/10 1790 SW 345TH PLACE 165.87 5/28l2010 PWTR 2010 05 PWfR-05/10 18TH AVE & S 312 ST 68.88 5/28/2010 PWTR 2010 OS PVVTR-OS/10 199 SW 311TH PLACE- 161.06 5/28/2010 PWTR 2010 05 PWTR-05/10 21 ST AVE SW & SW 33 131.18 5/28/2010 PWTR 2010 OS PWTR-OS/10 21 ST AVE SW & SW 34 316.52 5/28l2010 PVVTR 2010 OS PWTR-OS/10 21 ST AVE S GRID ROA 98.19 5/28I2010 PWTR 2010 OS PWTR-OS/10 21ST AVE SW & SW 32 109.05 5/2SI2010 PWTR 2010 O5 PWTR-�5l10 21ST AVE SW & 356TH 97.78 5/28/2010 PWTR 2010 OS PWTR-OSl10 2140 SW 356TH ST- 37.56 5/28/2010 PWTR 2010 05 PWfR-OS/10 23RD AVE S& S 317T 213.76 5/28/2010 PWTR 2010 OS PWfR-OS/10 23RD AVE S& 320TH 2O1.12 5/28/2010 PWTR 2010 OS PVVTR-OS/10 2510 S 336TH ST- 10.10 5/28/20t0 PWTR 2010 05 PVVTR-O5/10 2510 SW 336TH STREE 10.11 5/28/2010 PWTR 2010 OS PWTR-05/10 2613 S 275TH PLACE 27.69 5/28/2010 PWiR 2010 05 PWTR-05/10 28516 24TH AVE S- 22.15 5/28l2010 PWTR 2010 05 PWfR-OS/10 29600 PAC HWY S SIG 433.39 5/28/2010 PWTR 2010 OS PWTR-OS/10 2999 SW 314TH ST- 81.02 5/28l2010 PWTR 2010 05 PWTR-OS/10 30400TH PAC HWY S- 53.19 5/28/2010 PWTR 2010 OS PWTR-05/10 30800 PAC HWY S- 52.06 5/28/2010 PVVTR 2010 05 PWTR-O5/70 31020 14TH AVE S- 38.52 5/28/2010 PWTR 2010 05 PWTR-O5/10 3113 27TH AVE SW- 97.73 5/28/2010 PWTR 2010 O5 PWTR-OS/10 31200 STATE RT 99 S 368.72 5/28/2010 PWTR 2010 05 PVVTR-OS/10 31455 28TH AVE S- 81.32 5/28/2010 PW� R 2010 OS PWfR-O5/10 31600 STATE RT 99 S 106.02 5/28/2010 PWTR 2010 OS PWTR-05/10 31847 PAC HWY S- 247.83 5/28/2010 PWTR 2010 OS PWTR-05/10 319t0 GATEWAY CNTR 17.05 5/28/2010 PWTR 2010 OS PWTR-O5l10 32000 PAC HWY S� 290.47 5/28/2010 PWTR 2010 OS PVVTR-OS/10 32400 STATE RT 99 N 110.61 5/28/2010 PWTR 2010 OS PVVTR-OS/10 32400 STATE RT 99 S 296.25 5/28/2010 PVVTR 2010 05 PWiR-O5/10 32400 STATE RT 99 S 110.61 5/28/2010 PVVtR 2010 05 PVVTR-O5/10 32932 7TH CT SW- 20.20 5/28/2010 PWT'R 2010 OS PWfR-OS/10 32562 SW HOYT RD FL 10.30 5/28/2010 PWTR 2010 O5 PWTR-05/10 32731 HOYT RD FLASH 10.61 5/28/2010 PWTR 2010 OS PWTR-OS/10 33099 HOYT RD SW- 267.63 5/28I2010 PWTR 2010 OS PWTR-05/10 3318 SW 346TH PLACE 37.44 5/28/2010 PWTR 2010 O5 PWTR-OS/10 33220 ST WAY S- 52.72 5/28/2010 PWTR 2010 OS PWTR-05/10 33325 8TH AVE- 121.29 5l28/2010 PWTR 2010 OS PWTR-OS/10 33401 38TH AVE S- 167.61 5/28/2010 PWTR 2010 O5 PWTR-OS/10 33405 6TH AVE S- 42.54 5l28/2010 PWTR 2010 OS PWTR-05/10 33507 9TH AVE- 81.42 5/28/2010 PWTR 2010 OS PWTR-OS/10 33645 20TH PLACE- 255.97 5/28/2010 PWTR 2010 OS PWTR-OS/10 33800 WEYHR WAY S- 257.83 5/28/2010 PWTR 2010 05 PWTR-OS/10 34010 20TH AVE- 119.22 5/28/2010 PWTR 2010 OS PWTR-O5/10 34018 PAC HWY S- 61.04 5/28/2010 PWfR 2010 OS PWTR-OS/10 3420 SW 343RD ST- 28.04 5/28/2010 PWTR 2010 05 PWTR-OS/10 34800 21 ST AVE SW- 95.61 5/28/2010 PWTR 2010 05 PWiR-05/10 34836 WEYHR WAY S- 57.53 5/28/2010 PWTR 2010 O5 PWTR-05/10 34801 16TH AVE S- 90.04 5/28/2010 PWl'R 2010 OS PWTR-05/10 35007 ENCHANTED PKW 153.04 5/28l2010 PWTR 2010 OS PWTR-O5/10 35106 21ST AVE SW- 43.12 5/28/2010 PWTR 2010 OS PWTR-05I10 35202 ENCHANT PKWY- 252.06 5/28/2010 PWTR 2010 05 PWTR-OS/10 35505 PAC HWY S- 295.67 5/28/2010 PWTR 2010 OS PWTR-OS/10 35654 9TH AVE SW- 20.88 5/28/2010 PWTR 2010 05 PVVtR-O5/10 35896 PAC HWY S- 101.51 5/28I2010 PWTR 2010 OS PWTR-05/10 35909 1ST AVE SW FL 10.40 5/28/2010 PWTR 2010 OS PWTR-OS/10 36111 16TH AVE S- 98.50 5/28/2010 PWfR 2010 OS PWTR-OS/10 36201 MILTON RD- 163.80 5/28/2010 PVVIR 2010 OS PWTR-05I10 36600 PAC HWY S- 10.52 5/28/2010 PWTR 2010 OS PWTR-O5l10 491 S 338TH ST- 57.14 Bank of America Check No. Date Vendor Inv Date Invoice 5/28l2010 PWTR 2010 OS 5/28/2010 PVIRR 2010 05 5/28/2010 PWTR 2010 OS 5/28/201Q PWTR 2010 OS 5/28/2010 PWfR 2010 05 5/28/2010 PVVTR 2010 OS 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 OS 5/28l2010 PWTR 2010 OS 5/28/2010 PWTR 2010 OS 5/2812010 PWTR 2010 OS 5/28/2010 PWTR 2010 05 5l28/2010 PWTR 2010 OS 5/2S/2010 PWTR 2010 O5 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 O5 5/28/2010 PWTR 2010 O5 5/28/2010 PWTR 2010 O5 5/28l2010 PVVTR 2010 OS 5/28/2010 PWfR 2010 OS 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 O5 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 OS 5/28/2010 PWTR 2010 05 5/28/2010 PWTR 2010 05 6/9/2010 131-066-1002 217970 6/15/2010 000602 PUGET SOUND INSTRUMENT CO INC, 5/21/2010 445310 217971 6/15/2010 000533 PUGET SOUND SPECIALTIES INC, 5/18/2010 21908 217972 6/15/2010 009881 PVP COMMUNICATIONS, INC, 5/19l2010 13420 217973 6/15/2010 010187 RASOR, EVA EDLA 5/24/201 D MAY 2010 217974 6/15/2010 006165 RENTON FISH & GAME CLUB, 6/2/2010 SKINNER #1449 DUES 6/8/2010 JUNE 8, 2010 217975 6/15/2010 012306 SAFARILAND, LLC, 4/14/2010 110-023182 217976 6/15/2010 005508 SAFAROVA-DOWNEY, ALMIRA 5/25/2010 OS/25/10 5/21/2010 05/21/10 5/18/2010 05/18/10 6/1/2010 06/01/10 217977 6/15/2010 003174 SAN DIEGO POLICE EQUIPMENT CO, 5/24I2010 592984 217978 6l15/2010 010523 SBS OF AMERICA, 6/1/2010 24814 6/1/2010 24814 217979 6/15/2010 012325 SCROGGS, CASSANDRA 5/26/2010 770583 217980 6/15/2010 700412 SEATTLE UNIVERSITY, 5/25/2010 31770 217981 6/15/2010 001126 SENIOR SERVICES, 5/28/2010 L-841-052610 217982 6/15/2010 010962 SHARP BUSINESS SYSTEMS, 6/6/2010 00050590 217983 6/15/2010 010408 SHELTON, KIMBERLY 6/4/2010 SHELTON 2010 217984 6/15/2010 001480 SHERWIN-WILLIAMS CO, 5/18/2010 5517-6 Description PWTR-05/10 727 S 312TH ST- PWTR-05/10 8TH AVE S& DASH PT PWfR-OSl10 824 SW 361TH ST- PVV�R-05/10 S 322N ST & 23 AVE PV1/tR-05/10 HWY 509 & 21 ST AVE PVVTR-05/10 NE CRNR S 312TH & 2 PWTR-OS/10 S 304TH & MILITARY PWTR-OS/10 S 312TH & 23 AVE S- PWTR-O5/10 S 314TH & 20TH AVE PWTR-05/10 S 320 SET 8 32RD AV PV1/TR-OS/10 S 320TH 8 PAC HWY S PWTR-O5/10 S 320TH & WEYHR WAY PVVTR-OS/10 S 336TH ST & WEYHR PWiR-05/10 S 348TH ST & PAC HW PVVTR-05/10 S 316TH & 20TH AVE PWTR-O5/10 SR 161 & 356THNE C PWfR-O5/10 STAR LK RD & MILITA PWTR-OS/10 SW CAMPUS DR & 6TH PWfR-OS/10 SW 308TH ST & 4 AVE PWfR-O5/10 SW 312TH ST & DASH PN/TR-05/10 SW 324TH & 11TH PL PVVTR-05/10 SW 340TH & HOYT RD PWTR-OS/10 SW 340TH ST & 35TH PWTR-05/10 21ST AVE SW & DASH PWTR-05/10 S 333ST & 1ST WAY- PWfR-OS/10 S 348TH HOV LANE- PWTR-05/10 29829 23RD AVE S- PWTR-OS/10 NON-METERED ELECT PWFLT-REPAIR RADIO PKM-FIELD MARKING CHALK/INV#21 PD-NEW HELMET FOR LEFEBVRE FWCC-05/10 EXERCISE TRAINING S PD-2010 RANGE DUES - SKINNER PD-06/10 RANGE USAGE PD-RETABS MC-INTERPRETER SVC MC-INTERPRETER SVC MC-INTERPRETER SVC MC-INTERPRETER SVC PD-AMMUNITION SUPPLIES CHB-OS/10JANITORIAL AG07-194 - PKM-05/10 JANITORIAL SVC AG07- PRCS-CLASS CANCEL REFUND DBC-RENTAL DEPOSIT & OVERPAY R FWCC-SENIOR FITNESS PROGRAM- IT/PK-OS/10 COPIER RPR, MNT, S FWCC-CARD STOCK FOR PT FLYERS PKM-SAC StGNHOLDER PAINT Page 33 of 39 Amount Check Total 190.94 52.83 180.87 9022 31.18 184.85 76.72 181.33 119.83 243.25 525.87 245.28 166.14 189.38 75.73 234.44 43.24 60.05 10.11 108.95 206.91 175.77 72.79 75.75 69.76 238.25 31.66 16,555.43 963. 963.98 506. 506.99 737. 737.18 522. 522.00 520. 120.00 400.00 74. 74.24 400. 100.00 100.00 100.00 100.00 98 99 18 00 00 24 00 6,419.22 6,419.22 4,000.00 3,850.00 150.00 42.00 42.00 396.46 396.46 300.00 300.00 19.80 19.80 17.51 17.51 164.50 164.50 Bank of America Check No. Date Vendor Inv Date Invoice 217985 6/15/2010 002501 SHOPE CONCRETE PRODUCTS CO INC, 5/21/2010 9921986 217986 6/15/2010 000821 SITEL�NES PARK 8 PLAYGROUND, 5l11/2010 12628 5l11/2010 12628 5/11/2010 12628 5/11/2010 12628 217957 6/15/2010 010711 SIVER, CATRIONA 5/13/2010 SIVER 2010 6/7/2010 SIVER 2010 217988 6l1512010 011858 SONNENFELD ELECTRIC, 6/4/2010 OS-02994 REFUND 6/4/2010 05-02994 REFUND 6/4l2010 05-02994 REFUND 217989 6/15/2010 004963 SOUND PUBI.ISHING INC, 4/7/2010 83722480 3/17/2010 338059 217990 6/15/2010 001885 SPARKS CAR CARE, 5/25/2010 26005 5/25/2010 26005 5/25l2010 26035 5/21/2010 26014 5/21/2010 26014 5/24/2010 26022 6/1/2010 26057 6/1/2010 26057 6/1/2010 26058 6/1/2010 26058 6/1/2010 26060 6/1/2010 26062 6/1/2010 26062 5/28/2010 26049 5/28l2010 26049 5/28/2010 26055 5/20/2010 26004 5/20/2010 26008 5l20/2010 26008 5/20/2010 26008 6/2/2010 26059 6/2/2010 26072 6/2/2010 26074 6/2/2010 26074 6/2/2010 26074 6/1/2010 26064 217991 6/15/2010 007186 SPECIAL INTEREST TOWING, 5/4/2010 133978 217992 6/15/2010 001618 SPEEDY GLASS - TACOMA, 5/24/2010 9172-667043 217993 6/15/2010 004701 SPRINT, 5/18/2010 796588811-030 SI18/2010 796588811-030 5/28/2010 400102318-102 5/28/2010 400102318-102 217994 6/15I2010 008444 SQUAD-FITTERS INC, 5/20/2010 0159412-IN 5/20/2010 0159415-IN 5/18/2010 0159391-IN 217995 6/15/2010 003735 ST FRANCIS HOSPITAL, 3/29/2010 F1008811935 217996 6/15/2010 011454 STAPLES ADVANTAGE, S/31/2010 102610048 5/31/2010 102610048 5/31/2010 102610048 Description PKM-SURFACE WATER GRATE/INV#99 PKM-PLAYGRND EQUIP. REPLC AG09 PKM-PLAYGRND EQUIP. REPLC AG09 PKM-PLAYGRND EQUIP. REPLC AG09 PKM-PLAYGRND EQUIP. REPLC AG09 PD-IACP TRNG C SIVER PD-TUITION REIMB SIVER CD-05-02994 SUB WORK REFUND CD-05-02994 SUB WORK REFUND CD-OS-02994 SUB WORK REFUND FWCC-04/10 WEB BANNER AD FWCC-BEST OF FED WAY AD PD-ENGINE WORKI PD-ELECTRICAL WORK PD-ELECTRICAL WORK PD-LOF PD-BRAKE SERVICE PD-TIRE REPAIR PD-LOF PD-BRAKE SERVICE PD-LOF P D-TI R ES PD-LOF PD-LOF PD-WIPER BLADES PD-TIRES PD-LOF PD-T�RES P D-TI R ES PD-LOF PD-TIRE REPAIR PD-ELECTRICAL WORK PD-MUFFLER EXHAUST WORK PD-LOF PD-MAJOR SVC PD-ELECTRICAL WORK PD-TIRE REPAIR PD-ELECTRICAL WORK PD-VEHICLE TOW CASE 10-5796 PD-NEW WINDSHIELD IT-O5/10 DATA CELLULAR IT-OS/10 DATA CELLULAR IT-OS/10 CELLULAR AIRTIME IT-O5/10 CELLULAR AIRTIME PD-MOTORCYCLE BOOTS KAMAYA PD-MOTORCYCLE BOOTS BRIGS PD-EMERGENCY LIGHTS PD-03l10 PRISONER MED TREAT MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL Page 34 ot 39 Amount Check Total 21.81 21.81 51,867.84 13,273.91 41, 075.64 -760.12 -1,721.59 1,409.00 140.00 1,269.00 109.50 3.00 3.00 103.50 740.00 275.00 465.00 2,918.94 969.80 324_94 27.96 34.98 115.23 19.71 44.53 412.91 34.99 28.47 34.99 70.78 11.30 77.74 34.99 56.94 43.80 34.99 21.90 41.39 207.21 38.05 169.67 21.08 19.71 20.88 175.20 175.20 253.14 253.14 8,789.74 2,742.37 84.81 2,862.03 3,100.53 830.51 238.45 253.95 338.11 1,838.14 1,838.14 3,279.20 60.44 175.27 175.25 Bank of America Check No. Date Vendor Inv Date Invoice 5/31/2010 102610048 5/31/2010 102610048 5/31/2010 102610048 5I31I2010 102610048 5/31 /2010 102610048 5/31/2010 102610048 5/31l2010 102610048 5/31/2010 102610048 5/31l2010 102610048 5l31/2010 102610048 5/31l2�10 102610048 5/31/2010 102610048 5/31/2010 1026'10048 5/31/2010 102610048 5l31/2010 102610048 5/31/2010 102610048 S/31/2010 102610048 217997 6/15l2010 009566 STAPLES BUSINESS ADVANTAGE, 5/29/2010 8015633874 217998 6/15/2010 011134 STENDER ZUMWALT, PLLC, 6/1/2010 178 217999 6/15l2010 004200 STIEBEN, JOHN 6/8/2010 STIEBEN 2010 218000 6/15/2010 012315 STREET CRIMES, 5l25/2010 57597 218001 6/15/2010 003896 SUMMIT LAW GROUP, 5/19/2010 46455 218002 6l15/2010 006414 SUMNER VETERINARY HOSPITAL, 6/4/2010 65865 218003 6/15/2010 000341 SUNRISE SELF STORAGE, 6/4J2010 JUNE 4, 2010 218004 6/15/2010 007710 SUPERIOR LINEN SERVICE, 5/17/2010 70698 5/24/2010 72696 218005 6/15/2010 007990 SYMBOLARTS LLC, 4/29/2010 0128731-IN 218006 6/15/2010 009523 SYSTEMS FOR PUBLIC SAFETY, 5/25/2010 14180 5/19/2010 13888 5/20/2010 14153 5/28/2010 14141 5/28/2010 14179 5/28/2010 14181 5/28/2010 14186 5/28/2010 14188 5/28/2010 14189 218007 6/15/2010 003753 SYSTEMS INTERFACE INC, 5/21/2010 4479 218008 6/15/2010 000588 TACOMA PUBLIC UTILITIES, 6/11/2010 100048250 6/11/2010 100048250 218009 6/15/2010 001187 TECHNOLOGY EXPRESS, 6/3/2010 165917 6/2/2010 165890 218010 6/15/2010 006033 THE FAB SHOP LLC, 5/26/2010 15529 5/26/2010 15530 218011 6/15/201� 011186 THE WIDE FORMAT COMPANY, 6/7/2010 43686 218012 6/15/2010 001424 THYSSENKRUPP ELEVATOR INC, 6/1/2010 537919 1/1/2010 379164 MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL MAY 2010 OFFICE SUPPLIES STAPL PD-OS/10 OFFICE SUPPLIES CM-05/10 PUBLIC DEFENDER AG08- PD-CAMP RILEA CDU TRNG STIEBEN PD-STREET CRIME SMNR- LAW-04/1� LEGAL SVC EMPLOYMENT PD-K9 CALEB BOARDING PD-Q3 2010 A1008 STORAGE DBC-LINEN SERVICE DBC-LINEN SERVICE PD-WALSH PLAQUES INSIGNIA PD-REPLC REAR BUMPER & TAIL LI PD-NEW SETUP EMERGENCY EQUIP PD-REPLC RACK & PINION, FLUSH PD-REPLC POWER TAMER, MASTER R PD-REPLC LOWER CONTROL ARM PD-INSTALL HITCH PD-REPAIR DOME L�GHT PD-MOVE RADIO SPEAKER PD-REPLC MDC FUSE SWM-KITTS CRN CONTROL UPGRADE DBC/KFT-OS/10 DASH PT. RD- DBC/KFT-OS/10 DASH PT. RD- IT- REPLACEMENT LAMP FOR NEC IT - APC REPLACEMENT BATTERY F PWFLT-REPAIR AIR COMPRESSOR PWFLT-INSTALL HOOP STEPS IT-06/10 KIP SCANNER MAINT CHB-06/10 ELEVATOR MAINT SVCS PKM-REPAIR TO CORRECT DISCREPA Page 35 of 39 Amount Check Total 38.19 102.69 279.25 64.45 30.88 25.07 40.44 117.99 38.60 148.04 895.91 555.15 166.93 63.31 213.38 52.02 35.94 71.39 71.39 30,127.50 30,127.50 159.80 159.80 1,185.00 1,185.00 984.00 984.00 160.00 160.00 540.00 540.00 33.85 17.13 16.72 255.00 255.00 4, 870.91 86.30 3,329.64 273.68 129.46 532.51 346.70 86.30 43.16 43.16 427.50 427.50 553.81 371.05 182.76 770.89 425.96 344.93 751.55 114.77 636.78 226.26 22626 934.38 200.15 734.23 Bank of Amer Check No. Date Vendor Inv Date Invoice 218013 6/15/2010 004218 TIMCOINC, 5/24/2010 199529 218014 6l15/2010 007609 TRI DIM FILTER CORP, 5/27/2010 1007084-t 218015 6/15l2010 008902 TRI-CITY MEATS, 5/21/2010 234261 218016 6l15/2010 002426 UNITED GROCERS CASH & CARRY, 5/20/2010 165423 5l20/2010 165424 5/16/2010 164374 5/24/2010 166607 5/26/2010 167114 6/2/2010 169062 6/3/2010 169383 5/27/2010 167429 5/27/2010 167430 5/28/2010 167790 5/29/2010 167977 5/29/20�0 168158 6/4/2010 169669 6/7l2010 170558 6/8/2010 170825 6/8/2010 �70861 6/9/2010 171098 6/9/2010 171145 218017 6/15/2010 003837 UNITED PARCEL SERVICE, 5/29/2010 OOOOF6588V220 5/22/2010 OOOF6588V210 218018 6/15/2010 012316 UNSWORTH, RAYMOND A 5/24/2010 UNSWORTH 2O10 218019 6/15/2010 005715 USA MOBILITY WIRELESS, 6/2/2010 T6163838F 6/2/2010 T6163838F 218020 6/15/2010 001805 VADIS NORTHWEST, 5/31 /2010 16976 5/31 /2010 16976 218021 6/15/2010 003563 VALLEY COMMUNICATIONS CENTER, 5/20/2010 0011128 5/20/2010 0011139 218022 6/15/2010 001124 VERIZON WIRELESS, 5/12/2010 0869482517 5/13/2010 0869931796 218023 6/15/2010 007607 WA CITIES INSURANCE AUTHORITY, 5/5/2010 MAY 5, 2010 5/5/2010 MAY 5, 2010 5/5/2010 MAY 5, 2010 5/5/2010 MAY 5, 2010 218024 6/15/2010 004258 WA STATE DEPT OF LICENSING, 5/24/2010 JUNE 15, 2010 218025 6/15/2010 003825 WA STATE DEPT OF TRANSPORTATN, 5/11/2010 RE41JA7053L002 5/'11/2010 RE41JA7053L002 218026 6/15/2010 000340 WA STATE INFORMATION SERVICES, 5/31/2010 2010050184 5/31/2010 2010050184 5/31/2010 2010050184 218027 6/15/2010 000851 WA STATE PATROL, 5/5/2010 110007751 5!5/2010 110008086 5/4/2010 225AR021H 218028 6/15/2010 000514 WA STATE-STATE REVENUES, 6/10/2010 MAY 2010 6l10/2010 MAY 2010 Description PWFLT-S�MPLE GREEN, SPIRALS, P FWCC-TRI-PLEAT FILTERS DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES PRCS-COOKING CIASS SUPPLIES DBC-CATERING SUPPLIES PRCS-5/25/10 SENIOR LUNCH DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES PRCS-COOKING CLASS SUPPLIES DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES DBGCATERING SUPPLIES DBC-CATERING SUPPLIES DBGCATERING SUPPLIES DBC-CATERING S�PPLIES DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES DBC-CATERING SUPPLIES PD-DOCUMENT DELIVERY SERVICE PD-UPS DELIVERY CHARGE PD-TUITION REIMB R. UNSWORTH IT-06/10 PAGER LEASE IT-06/10 PAGER LEASE SWR-OSl10 LITTER CONTROL AG07- SWR-OS/10 LITTER CONTROL AG07- PD-OS/10 MDT USER FEE AG00-090 PD-OS/10 LANGUAGE LINE USAGE A PD-04/10 BAIT CAR WIRELESS WAT IT/PD-04/10 BOMB SQUAD CELLULA RM- TODD REIMB TOWARD DED; 5/5 RM- CROM INQUEST REIMB TOWARD RM- RABAGO/McCORD REIMB TOWARD RM- BORGARDTS REIMB TOWARD OED PD-OS/10 CPL FEES:- PW-STCIP-SR99/SR161/352 ST EXT PW-STCIP-SR99/SR161/352 ST EXT IT-O5/10 SCAN SERVICE IT-05/10 SCAN SERVICE IT-05/10 SCAN SERVICE HR-04/10 BCKGRND CHECKS PD-OS/10 CPL STATE PATROL PD-03/10 CPL STATE PATROL FI-OS/10 STATE PORTION REMIT F FI-OS/10 PSEA COURT FEES #2 Page 36 of 39 Amount Check Total 307.70 307.70 671.05 671.05 191.08 191.08 1,056.46 28.58 5523 4.79 76.15 107.67 79.45 81.67 45.17 61.80 57.35 57.87 17.69 17.26 136.18 106.81 21.30 83.18 18.31 35.64 12.77 22.87 1,650.00 1,650.00 32.90 17.11 15.79 4,235.00 4,107.95 127.05 1,360.85 1,020.00 340.85 110.68 45.07 65.61 17,769.38 523.75 8,3 t 7.42 6,739.95 2,188.26 798.00 798.00 4,235.21 975.58 3,259.63 747.01 328.68 373.51 44.82 861.50 140.00 577.50 144.00 115,783.96 50,267.77 26,136.81 Bank of America Check No. Date Vendor Inv Date Invoice 6/10/2010 MAY 2010 6/10/2010 MAY 20t0 6/10/2010 MAY 2010 6/10/2010 MAY 2010 6/10/2010 MAY 2010 6/10/2010 MAY 2010 6/10/2010 MAY 2010 218029 6/15/2010 000069 WAB0.WA ASSOC BLDG OFFiC1ALS, 5/26/2010 20792 218030 6/15/2010 006007 WALKER ACE HARDWARE, 5/26I2010 005355 5/5l2010 00533p 218031 6/15/2010 011953 WASHINGTON AUDIOLOGY SERVICES, 5/4l2010 33189 218032 6/15l2010 002717 WASHINGTON FIRM LTD, THE 4/30/2010 110045 218033 6l15/2010 000783 WASTE MANAGEMENT, 6!1l2010 1021587-1055-2 218034 6/15/2010 000783 WASTE MANAGEMENT, 6/1 /2010 1020893-1055-5 6!1/2010 1020894-1055-3 218035 6/15/2010 009995 WATER MANAGEMENT, 5/17/2010 90725 218036 6/15/2010 003444 WEST CAMPUS CLEANERS, 6/4l2010 MAY 2010 218037 6/15/2010 001241 WEST COAST AWARDS, 5/25/2010 48225 5/11l2010 48196 218038 6/15/2010 000541 WESTERN EQUIPMENT DISTRIBUTORS, 5/17/2010 634040 5/17/2010 633925 218039 6/15/2010 010057 WHISTLE WORKWEAR, 5/31/2010 54085 218040 6/15/2010 012286 WHITEHEAD, MICHELLE 5/20/2010 765491 218041 6/15/2010 011567 WHITING, ELLEN M. 5/24/2010 05l24l10 218042 6/15/2010 011523 WHOLESALE SPORTS, 5/28/2010 150-00039 218043 6/15/2010 002204 WILBUR-ELLIS COMPANY, 5l24/2010 4605488 RI 5/17/2010 4578103 RI 218044 6/15l2010 012313 WILLIAMS SPECIALTY WEAPONS, 5/13/2010 FWPD 218045 6l15/2010 009925 WOJCIECHOWSKI, STEPHEN PATRICK 5/21/2010 MAY 15, 2010 218046 6/15/2010 000660 WOODWORTH & COMPANY INC, 5/25/2010 203029 5/18/2010 202932 218047 6/15/2010 012317 WPI ACQUISITIONS CORP., 5/19/2010 61573B 5/7/2010 61573A 218048 6/15/2010 000428 WRPA-WA REC & PARK ASSOC, 4/30/2010 10-356 4/30/2010 10-356 218049 6/15/2010 005722 YAKIMA COUNTY DEPARTMENT OF, 5/13/2010 APRIL 2010 218050 6/15/2010 009542 YUKON HARBOR PRODUCTIONS, 5/23/2010 10-0104 5103793 6/2/2010 009467 US BANK, 5/25/2010 MAY 2010 5l25I2010 MAY 2010 Description FI-OSl10 PSEA COURT FEES #3 FI-05/10 PSEA JIS FEES FI-O5/10 TRAUMA VICTIMS FEES FI-O5/10 SCHOOL ZONE SAFETY FI-OS/10 AUTO THEFT PREV. FI-05l10 BRAIN TRAUMA INJ FI-O5/10 REMIT STATE CRT FEES CD-WOOD WALL BRACING GUIDE DBC-RAID & FLY TRAPS DBC-ADAPTERS PD-HEARING TEST - R SCOTT HR-04/10 EXECUTIVE COACHING SV SWR-OS/10 LITTER DISPOSAL SVCS SWR-O5/10-07/10 LITTER DISPOSA SWR-OS/10-07/10 LITTER DISPOSA SWM-LABORATORY TESTING SERVICE PD-OS/10 DRY CLEANING SVCS AGO PRCS-STAFF & PROGRAM CLOTHING PRCS-STAFF & PROGRAM CLOTHING PWFLT-BALL JOINT ASM PWFLT-HJ NUT PKM-WORK PANTSlSONNEN/INV#5408 PRCS-BIGGEST LOSER REFUND MGWTERPRETER SVC FWCC-WORK CLOTHES R TOOT PWST-FERTILIZER P K M-H E R B I C I D E/I N V#4578103 PD-SWAT LED CONVERSION HEAD PRCS- EWA HEALTH EDUCATION AGO PWST-ASPHALT MIX PWST-ASPHALT MIX PD-ELAST�C ADHESIVE TAPE PD-SHARPS CONTAINERS, BANDAGES PRCS-07/10-06/11 WRPA MEMBERSH PRCS-07/10-06/11 WRPA MEMBERSH PD-04/10 PRISONER LODGING AG02 CM-BUDS BLOOMS VIDEO PRODUCTIO PD-WSHNA CONF. S LUNT PD-LAW ENFORCEMENT MEMORIAL Page 37 of 39 Amount Check Total 217.20 19,926.95 5,406.33 1,486.68 10,344.15 1,675.07 323.00 35.67 35.67 45.31 19.68 25.63 8.25 8.25 781.25 781.25 448.14 448.14 55.02 29.91 25.11 132.00 132.00 1,021.87 1,021.87 4,943.10 73.69 4,869.41 69.06 65.84 3.22 118.01 118.01 379.20 379.20 100.00 100.00 61.30 61.30 366.92 179.42 187.50 110.00 110.00 385.00 385.00 1,981.48 1,899.72 81.76 604.95 99.99 504.96 51.00 25.50 25.50 126,170.94 126,170.94 200.00 200.00 7,918.66 135.00 271.26 Bank of America Check No. Date Vendor 5104759 6!2/2010 009507 US BANK, Inv Date S/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25I2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25l2010 5/25I2010 5/25/2010 5/25/2010 5l25/2010 5/25/2010 5/25l2010 5/25/2010 5/25f2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25l2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5l25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5l25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25l2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 5/25/2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2�10 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 MAY 2010 Invoice Description PD-LAW ENFORCEMENT MEMORIAL PD-LAW ENFORCEMENT MEMORIAL PD-INTERROGATION TECH. BASSET, PD-IACP TRNG C SIVER PD-ELDER ABUSE TRNG CASTRO PD-FBINAA LESSONS LEARNED SUMP PD-FBINAA LESSONS LEARNED S NE PD-LEIU CONF. D WILCOX PD-CRISIS INTERVENTION & PEER PD-FINGERPRINT SUPPLIES FOR AT PD-FINGERPRINT SUPPLIES FOR AT PD-ELDER ABUSE TRNG D DEYO PD-MANAGING TRNG FUNCTION C SI PD-EXPLORER COMPETITION K KRUS PD-EXPLORER COMPETITION K KRUS PD-EXPLORER COMPETITION K KRUS PD-BIKE RACKS 8 1 HELMET PD-LABEL MAKER TAPE PD-WIRE STRIPPERS, HEADLIGHTS, PD-POWER SUPPLY FOR CRIME SCEN PD-WIPER BLADES, HEADLIGHTS PD-BIKE HELMET PD-RADIO CHARGER FOR CIS PD-VELCRO 8 FUSES PD-USB PORTS PD-TURN SIGNAL LIGHTS SOCKET S PD-MOTORCYCLE TIE DOWNS LAW-WASMA CONF. BECKWITH LAW-WASMA CONF. BECKWITH FWCC-05/10 GROUP POWER LICENSE FWCC-ANKLENVRIST WEIGHTS PRCS-DINNER & A MOVIE PRCS-BRUNCH & A MOVIE PRCS-PRESCHL SUPPLIES PRCS-PRESCHL SUPPLIES FWCC-AEROMIC HEADSET MIC (2) PRCS-DANCE COSTUMES PRCS-DANCE COSTUMES PRCS-DANCE COSTUMES PRCS-BLOEDEL RESERVE TRIP PRCS-LET'S GO SAILING SR TRIP PRCS-LET'S GO SAILING SR TRIP PRCS-POMS & COSTUMES PRCS-DANCE COSTUMES PRCS-TAC. RAINIERS ADMISSION FWCC-UPS LEATHERMAN RETURN PRCS-BRUNCH & A MOVIE FWCC-GROUP POWER QTR RELEASE FWCC-AEROMIC REPAIR HR-AWC HEALTH ACADEMY SHELTON MC-OS/10 LANGUAGE LINE USAGE PRCS-DANCE COSTUMES PRCS-SEASIDE SENIOR TRIP PRCS-DINNER & A MOVIE FWCC-REPAIR POOL CUES FWCC-BIGGEST LOSER MID-PT. WEI PRCS-ANTHONY'S OLYMPIA SR TRIP PRCS-NW TREK WILDLIFE PARK CGLUNCH MTG KOCHMAR/WILSON SWR-EVENT TABLE THROWS PWEOC-EVENT TABLE THROWS PD-EVENT TABLE THROWS SWM-SURVEY FLAGS, STAKES Amount 354.72 96.10 aso.00 350.00 133.73 45.00 45.00 950.65 995.00 658.48 299.00 133.73 218.66 320.76 320.76 548.58 420.76 42.69 54.26 141.24 73.65 43.71 92.34 9.03 153.28 13.74 147.53 307.66 3.00 685.00 328.50 34.00 12.00 6.54 27.79 807.98 314.91 401.90 217.92 117.10 131.89 177.00 356.25 70.73 226.90 22.06 24.00 29.00 34.50 190.52 158.00 1,322.09 32.02 36.00 11.76 13.66 90.85 62.50 45.57 181.76 181.76 214.05 34.91 Page 38 of 39 Check Total 8,479.79 Ban of America Check No. Date 5 t 09491 6/7l2010 304053136/10/2010 Vendor Inv Date 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25l2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5l25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5l25/2010 MAY 2010 5/25/2010 MAY 2010 011218 US BANK, 5/25/2010 MAY 2010 5/25/2010 MAY 2a10 5/25/2010 MAY 2010 5l25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25I2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5l25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25/2010 MAY 2010 5/25l2010 MAY 2010 000061 WA STATE REVENUE DEPARTMENT, 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6l11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 6/11/2010 601-223-5385 Total Checks Issued 684 Total Claims Paid Via Wire Transfer 5/15/2010 WA STATE REVENUE DEPARTMENT, UNCLAIMED PROPERTY 6/1/2010 THE BANK OF NEW YORK MELLON, DEBT SERVICE Total Claims Paid Via Wire Transfer Totat Claims Paid Invoice PW-PH IV PAC HWY MTG SWM-WOOD LATHE PW-BUDGET MEETING PW-BUDGET MEETING PW-CISEC CERTIFICATION C STEFF HR/LAW-AWC LABOR CONF. HR/LAW-AWC LABOR CONF. PD-FILE PREVAILING WAGES PS-06 LAW-WSBA CLASSIFIED AD CC-OSl04/10 COUNCIL DINNER FI-WFOA CONF. P HUYNH CDHS-VOLUNTEER TRNG SMNR TEELE CDHS-HSC NOTEBOOK BINDERS PKM-WORK PANTS PKM-BATTERIES PKM-HAND PRUNERlLOPPERS PKM-WHEEL BARROW/KNEE PADS PKM-CAMERA BATTERIES PD-FLAG POLElSTAND PKM-EYE WASH REFILLS PKM-SWING CLEVIS PW-S KING CO. PW DIRECTOR MTG CM-BUDGET MEETING LUNCH CC-PLAQUE FOR MAYOR'S OFFICE CM-PRSA CONF. L FARMER CC-ADGENDA SETTING MTG LUNCH CC-AWC CONF. L KOCHMAR CM-BUDGET MEETING LUNCH CC-AGENDA SETTING MEETING LUNC SWM-WORK PANTS NEIFFER IT-NOTEBOOK ADAPTER IT-05/10 TIVO SVC IT-WIRELESS KEYBOARD CD-PASSPORT MAILINGS CD-BLDG HIGH RISE MTG CD-BLDG CODE BOOKS CD-ICC CERTIFICATION RENEW CIM CD-GRAFFITI SUPPLIES CD-NOTIFICATION OF DEMOLITION CM-STRATEGIS PR BOOK CC-CELSKI RECEPTION SUPPLIES HR-SERVICE AWARD FRAMES SWM-DIGITAL CAMERA SWM-CAMERA MEMORY CARD PKM-SHOP SUPPLIES DBC-BED LINENS FI-05/10 REMIT USE TAX - FI-O5/10 REMIT SALES TAX FI-05/10 REMIT SALES TAX-FWCC FI-OS/10 REMIT SALES TAX DBC FI-05/10 REMIT SALES TAX FWCC FI-05/10 REMIT SVC TAX/PW STOR FI-O5/10 REMIT SALES TAX DBC FI-05/10 REMIT SALES TAX DBC FI-05/10 REMIT EXC TAX (ROUNDI FI-05/10 EXC TAX MAR 2010 CRED FI-O5/10 EXC TAX DEC 2009 CRED FI-OS/10 EXC TAX DEC 2008 CRED $2,315,340.42 $303,975.39 $2.619,315.81 Amount 64.00 50.27 22.75 1�.37 35.00 398.88 398.88 80.00 109.00 97.56 300.00 126.00 245.82 32.84 32.75 91.89 95.59 80.38 114.90 233.45 228.95 194.50 164.40 10.00 75.00 41.25 300.00 46.91 37.64 40.50 31.44 247.60 65.22 197.30 164.18 464.61 50.00 61.24 75.00 28.52 15.30 132.25 92.94 10.94 116.84 91.98 912.57 22.00 8,678.74 5,028.01 1,621.19 17,930.23 4,958.77 -4,958.77 -0.03 -127.95 -7,383.08 -3,853.64 $6,459.13 $297,516.26 Page 39 of 39 Check Total 4,038.13 22,828.04