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FEDRAC PKT 01-23-2001 City of Federal Way City Council Finance/Economic Development/Regional Affairs Committee Tuesday, January 23, 2001 2:00 p.m. City Hall Mt. Baker. Conference 'Room (formerly Administration Conference Room) AGENDA 1. CALL TO ORDER 2. PUBLIC COMMENT 3. COMMITTEE BUSINESS A. Approval of January 9, 2000 Meeting Minutes B. Legislative and Regional Affairs Update - Verbal (Matheson) C. EMS Task Force Update (Matheson) D. Phase 1 of the Solid Waste Service Review & Procurement Process (Van Orsow) E. 2001 Solid Waste & Recycling Grant Approval (Van Orsow) F. Purchase of Phone System for the Steel Lake Office (Sadri) G. AT&T Cable Services- Customer Svc. Complaints (Wang) H. Insurance Renewal - Verbal (Wang) I. Vouchers (Mosley) J. Monthly Financial Report (Mosley) Action Information Information Action Action Action Information Information Action Action 4. COMMITTEE REPORT 5. FUTURE AGENDA ITEMS A. Review of fiscal policy (assets capitalization threshold, replacement reserves) 7. NEXT MEETING: TBD. Committee Members: Mary Gates, Chair Jeanne Burbidge Eric Faison City Staff: lwen Wang, Management Services Director deri-Lynn Clark, Temporary Assistant (2.53) 661-4061 City of Federal Way City Council FinanCe~conomic Development/Regional Affairs Committee Tuesday, December 11, 2000 2:00 p.m. City Hall Mt. Baker Conference Room MINUTES Committee Members in Attendance: Chair Mary Gates, Members Jeanne Burbidge and Michael Hellickson. City Council Member in Attendance: Linda Kochmar, Deputy City Manager. Staff Members in Attendance: Iwen Wang, Management Services Director; David Moseley, City Manager; Phil Olbrechts, Interim Assistant City Attorney; Cary Roe, Public Works Director; Marwan Salloum, Street Systems Manager. Others in Attendance: None. CALL TO ORDER Chair Mary Gates called the meeting to order at 2:01 p.m. 2. PUBLIC COMMENT None. 3. COMMITTEE BUSINESS a) Approval of December 11, 2000 meeting minutes MOTION TO APPROVE BY MICHAEL HELLICKSON, SECONDED BY JEANNE BURBIDGE. MOTION CARRIED. b) Metromedia ROW Franchise Agreement Presented by Cary Roe Staff presented information pertaining to the Metromedia ROW Franchise Agreement. Metromedia Fiber Network has requested a franchise to locate a fiber optic communications system within the City right-of-way st th th th st along 1 Avenue South(from 356 to 312 ), 312 (from 1 to SR99) and SR99 (from 312th to 273rd). Metromedia would install eight, 1.5 inch diameter underground cond. uits for fiber optic lines, and appurtenant vaults and "pull boxes" necessary to A-1 allow installation of fiber within the conduits. Metromedia will also provide three, 1.25 inch-diameter conduits to the City at no cost. The term of the proposed franchise is 10 years, consistent with the franchises the City has granted to TCI (now AT&T for cable); pUget Sound Energy, Tacoma Public Utilities (for Lakehaven's second supply pipeline); Weyerhaeuser, Sprint and Williams (fiber optic cable). Chair Mary Gates questioned if the Assignee will be required to obtain Franchi'se Agreement prior to obtaining the Franchise interest. The provision is currently in 24.3.2, for lease/sublease, but not in the assignment section 24.3.1. Cary Roe and Phil Olbrechts felt this would be agreeable with Metromedia, to modify the agreement section 24.3.1 to reflect the requested changes. MOTION TO FORWARD TO FULL COUNCIL FOR A "DO PASS" WITH THE RECOMMENDED CHANGES TO SECTION 24.3.1, BY MICHAEL HELLICKSON, SECONDED BY JEANNE BURBIDGE. MOTION CARRIED. 4. COMMITTEE REPORT None. NEXT SCHEDULED MEETING January 23, 2000 at 2:00 p.m. in the Mt. Baker Conference Room. ADJOURN Chair Mary Gates adjourned the meeting at 2:25 p.m. Recorded by Jeri-Lynn Clark A-2 FEDERAL WAY CITY COUNCIL FINANCE / ECONOMIC DEVELOPMENT / REGIONAL AFFAIRS COMMITTEE Date: Via: From: Subject: January 23, 2001 David M~anager Jim Hamilton, Fire Department Administra,~toj[ j Derek Matheson, Assistant City Manage~" EMS Task Force Update Background In September 1999, the King County Council adopted the final report of the Emergency Medical Services (EMS) Financial Planning Task Force and created a new EMS 2002 Task Force charged with the goal of developing interjurisdictional agreement on an updated EMS strategic plan and financing package for the next funding period starting in 2002. In addition, the motion directed the task force to review progress in implementing the current strategic plan initiatives and original task force recommendations and report findings to the county and cities; provide oversight and dkection on development of the strategic plan update with support from the county EMS division, the EMS Advisory Committee and the EMS Financial StaffTeam; and recommend an updated EMS strategic plan and financing proposal to the county and cities with populations greater than 50,000 no later than March 31, 2001. Status Report The decision-making process to date has largely been consensus-building, thus there have not been a series of documented votes taken on positions. That being said, there has been progress in the following areas: · Levy Term - The term of the levy was set at six years. This is consistent with Federal Way's position. · Patient Transport Fees - There were many concerns with implementation of Advanced Life Support (ALS) Patient Transport fees as a means to reduce levy taxes. Although transport fees are not planned for the near term, they will be thoroughly reviewed for appropriateness during the next levy period. This is consistent with Federal Way's position. · Cost Accounting - Formal cost accounting for Basic Life Support (BLS) and ALS was not pursued due to the complexity and expense of such an engagement for professional services. The city had advocated for improved cost accounting of BLS and ALs services. King County Current Expense (CX) Funding - This issue has yet to be resolved. The City of Kent has taken a position that King County should fund a more significant portion of the EMS system. Federal Way has remained open on this issue, but no other members of the Task Force have support Kent's position. ALS Unit Funding - The funding for ALS units (on a cost per unit basis) has been indexed to inflation (CPI) for a number of years. According to ALS providers, their expenses have grown at a rate in excess of inflation, shifting a portion of funding to local providers. These providers are thus asking for full funding. To illustrate the difference, if inflationary increases are applied to unit funding in 2002, each unit will be funded at $1,049,236. At full funding, that level will be increased to $1,206,654 - about a 15% increase above inflation. Federal Way has raised concern with an increase of this magnitude. No other members of the Task Force have supported Federal Way's position. The Task Force will probably meet two or three more times prior to completing its work in March. DATE: TO: FROM: VIA: SUBJECT: January 23, 2001 Finance, Economic Development and Regional Affairs Committee Rob Van Orsow, Solid Waste and Recycling Coordinator ~-'~-, ~-~ ~~ David H. Moseley, City Manager Phase 1:2001 Solid Waste and Recycling Services Options Review and Services Procurement Process BACKGROUND In December 2000 the City Council established a process for reviewing solid waste and recycling service options, selecting a preferred service strategy, and procuring a service provider during 2001. Phase 1 of this process includes two main components: 1. Review of Utility Operating Cost Models 2. Selection of the Contractor Compensation Methodology. SOLID WASTE AND RECYCLING UTILITY OPERATING COST MODELS DISCUSSION Available financial records were used to develop year 2000 operating cost models for the solid waste utility. The models show similar projected operating costs for a contractor versus City operation of the utility. However, City operation would require substantial start-up costs, including equipment, storage and maintenance facilities. While any established hauler would have start-up costs in assuming new operations in Federal Way, their costs would tend to be lower than that of the City implementing service from "scratch." At present, there does not appear to be significant rate savings potential from implementing municipal collection. In order to make a commitment to initiate City operations, the City would have to be confident of several points: 1. The City must administer efficient collection operations while still providing adequate customer service. 2. The City must negotiate a favorable discount for refuse delivered to private transfer stations or to private landfill operators. 3. The City must negotiate a separate favorable contract for processing and marketing recyclable materials. 4. The City must acquire a relatively low-cost facility for storage and maintenance of collection trucks. .~ 5. The City must fund substantial start up costs for equipment (including trucks, containers, and supplies). The operating model also indicates that the most cost-effective alternative for servicing customer groups (single-family, multi-family, commercial, and drop-box) is to keep all groups under one service provider. The loss of scale and duplicative costs that would result if these groups were to be serviced under different contracts would likely result in increased rates and increased administrative costs. Phase 1 - 2001 SW&R Services Procurement Process January 23, 2001 Page 2 of 3 In the absence of compelling economic reasons to implement municipal collection, continued contracted service appears to be in the best interest of City ratepayers. Customer service issues and service improvements can be addressed through a substantially upgraded contract, which will be produced during Phase 2 of this process. If the result of a competitive procurement process proves unsatisfactory, the City will retain the option of providing future service with municipal crews. Even then, this option may not be able to be implemented until adequate enterprise funds are available to defray start-up costs. CONTRACTOR COMPENSATION AND RATE ADJUSTMENT METHODOLOGY DISCUSSION The second part of Phase 1 consists of review and selection of the compensation and rate setting methodology for any future contractor. Current City Council policy allows the contractor a profit margin range of 5-8% with a target of 6.5%. Disposal costs are excluded from the profit margin calculation, as they are considered a "pass-through" operating expense. The prior franchise agreement allowed the contractor to approach the City for a rate review once each year. The existing franchise agreement does not allow the contractor to request a rate increase during the existing contract term. This was set as a condition of City approval of the 1999 sale of Federal Way Disposal to Waste Management. Any future solid waste service contract will need to clearly set the timing and procedure used for periodically reviewing and adjusting contractor charges to compensate for inflationary and disposal fee changes over the term of the contract. The City's current contract relies on an imprecisely defined "negotiated" process that has proven cumbersome to administer. This type of negotiation process relies on an inherent trust in financial data provided by the hauler. If trust in the data is lacking, then the process becomes protracted and results in negotiation impasses. Four types of rate modification alternatives were reviewed, as summarized below, including those used by other Northwest municipalities, as summarized in Table 1 (attached). 1. Published Index Adjustments - This is the most common approach taken for rate modifications. It uses an annual rate adjustment based on a percentage of the local or regional Consumer Price Index (CPI) as published by the Bureau of Labor Statistics. 2. Periodic Cost-of-Service Analysis - This approach includes a fixed profit-level formula and requires the contractor to submit a rate adjustment pro forma budget, based on agreed upon accounting principles. The process would be initiated when the hauler believes they have passed the threshold to justify proceeding with the rate analysis process 3. Comparable Rates - This approach relies on a rate survey of neighboring jurisdictions and then an averaging or adjustment of rates based on those comparable rates. Comparable jurisdictions may be selected on the basis of geographic proximity, similar labor agreements, service area size or population, or similarity between services provided. This approach is more often used as a rate check to determine whether a municipality is paying the "market rate" than as part of a formal rate making process. However, some municipalities rely on this type of rate setting process. 4. Negotiated Rate Adjustments - this approach is based on mutual acceptance of initial contract rates, and then negotiating any changes to those rates over the contract term. Once initial rates are set, negotiations are based only on demonstrable cost changes, rather than a complete review of all cost-of-service elements. For example, a labor cost adjustment should not impact other cost elements such as fuel costs or equipment depreciation. The scope of each negotiation is limited, and typically must exceed a specified cost threshold to justify the need for negotiations. The selection of a rate change methodology is interrelated with the length of a potential contract. Index- based adjustments are appropriate for short- to mid-term (5-10 year) contracts, while some cost-based mechanism would be necessary if a long-term (10-20 year) contract were desired. The most favorable approach on term is to develop a five-year contract with extension options. This structure would allow Phase I - 2001 SW&R Services Procurement Process January 23, 2001 Page 3 of 3 the City the option of rebidding in five years while also retaining the option to extend the contract if contract rates are attractive. If the five-year term of contract were used, there would be little reason to rely on the complexities and costs of a negotiated, cost-of-service or comparable rate approach. An index-based adjustment would offer all the benefits of a simple incremental adjustment process, as well as the opportunity to open the contract, at the City's option, at the point of each extension. RECOMMENDATION Staff requests that the Finance, Economic Development and Regional Affairs Committee make the following recommendations regarding Phase 1 of the Solid Waste and Recycling Services Options Review and Services Procurement Process: A. Utility Operating Model 1. Continue contracted service, unless results of a competitive procurement and/or negotiation prove unsatisfactory; and 2. Continue service of customer groups with a single service provider B. Compensation and Rate Adjustment Methodology 1. Develop a five year service contract, with two two-year extensions; 2. Use an index-based escalator of 60% CPI applied annually only to the collection rate components (excluding disposal costs); 3. Allow pass-through of periodic King County tipping fee increases (or decreases) applied only to the disposal rate component; 4. Allow no market price adjustments for recyclables or yard debris (requiring the contractor to bear any risk), and 5. Allow no contract "opening" on rates, unless the City (at its sole option) determines such reconsideration is in the public interest. C. Procurement Process 1. Direct staff to proceed with Phase 2 of the Council-approved Solid Waste and Recycling Services Options Review and Services Procurement Process, while keeping options for municipal utility operation available, though not proceeding with furthe~~ development of this alternative at this time. Place Phase 1 of the 2001 Solid Waste and Recycling Services Options Review and Service Procurement Process on the February 6, 2001 City Council consent agenda with a motion for approval of the process to date. by the City Council. RV:jlf k:\fedc\200 l\swr phasel-d.doc ~ Table 1: Comparative Approaches for Hauler Rate Adjustment in Washington State The following table summarizes various rate adjustment approaches used by a number of cities. The majority of municipal contracts in this table establish a CPI-based rate adjustment, with some variations that address market prices or total account revenues. CITY METHODOLOGY Auburn 100% CPI [Urban Wage] Bellevue Multifamily recycling contract is 80% CPI [Seattle - Everett Urban Wage] Garbage, yard waste and single family recycling contract is 100% CPI [U.S. City Average Urban Wage] with an accounting review every 3 years to true up to a target 5.5% rate of return. Bellingham Operating ratio approach failed. Now adjusted through periodic renegotiation Bothell 70% CPI [Seattle - Everett Urban Wage] Bremerton 100% CPI [Westem Washington Services for Class C Cities], 6% cap + recycling revenue split. Des Moines Tied to WUTC rates in adjacent area. Issaquah 80% CPI [Seattle - Everett Urban Wage], every 3rd year is "open year" for accounting review, program changes, or hauler-initiated rate adjustments. Kent Part CPI, part hauler-negotiated basis - specifics are currently under renegotiation Kirkland 65% CPI [Seattle - Everett Urban Wage] Lake Forest Park 100% CPI [all Urban Consumers] on service fee + recycling and yard waste participation adjustment + changes in average residential customer revenues adjustment + recycling commodity adjustment per WUTC adjustments in contractor's other service areas. Mountlake Terrace Tied to WUTC rates in adjacent area (2000 contract). 70% CPI (new 2001 contract) Redmond 80% CPI [Seattle - Everett Urban Wage] Renton 80% CPI [Seattle - Everett Urban Wage] Seattle 50% CPI [Seattle - Everett Urban Wage] + tonnage adjustment + # of structures adjustment + recycling market adjustment. Vancouver, WA 80% CPI [Portland Urban Wage] " k:\fedcX2001Xswr rate table comparison.doc DATE: TO: FROM: VIA: SUBJECT: January 23,2001 Finance, Economic Development and Regional Affairs Committee Rob Van Orsow, Solid Waste and Recycling Coordinator ~ ' ~-~}'-~"-~'-~ David H. Moseley, City Manager Solid Waste and Recycling Division 2001 Grant Approvals BACKGROUND Additional grant funds, totaling $133,254, are available in 2001 to support waste reduction and recycling projects for area residents and businesses. Several of these grants overlap from 2000 to 2001. In 2000, funding totaling $195,154 was accepted for projects via Resolution 00-310. As in prior years, Public Works staff filed applications and scopes of work in order to reserve the available grant funds for 2001. This memorandum and its attachments summarize these grant projects. Attachment 1 to this memorandum contains brief descriptions of each grant, including associated projects by year. Attachment 2 provides a summary of grant-funded programs that served the Federal Way community in 2000. DISCUSSION The 2000/2001 grants are consistent with grants accepted in prior years, with two notable differences. The first is that King County's grant process has been streamlined for 2001. One grant, Waste Reduction and Recycling, now incorporates three components: Waste Reduction and Recycling, Business Recycling, and Special Recycling Events. This will reduce the required number of contracts to develop and review, and the number of separate reports to prepare. It will also allow for annual contract amendment, rather than development of new contracts each year. The second is that the City has obtained Supplemental Coordinated Prevention Grant (CPG) funding for the first time. This funding is targeted on a new project designed to expand options for Household Hazardous Waste Collection and used paint waste disposal - this project will primarily focus on providing seniors and disabled residents with more convenient options for disposal of these items. Matching funds for the CPG Supplemental Funding will be provided by the Local Hazardous Waste Management Program (LHWMP) grant. The Committee is requested to review the new 2001 grants and forward this item for approval by the City Council. The City Council is asked to adopt a resolution to accept the grant projects and funds, and provide authority to enter into agreements with grant agencies and vendors. RECOMMENDATION Staff recommends placing the following items on the February 6, 2001 Council Consent Agenda: 1. Approve the 2001 Solid Waste and Recycling Division grant applications and programs. 2. Direct staff to prepare the appropriate resolution for acceptance of these grants from.the various agencies and for awarding grant projects to qualified vendors and contractors. APPROVAL OF COM~TTEE ACTION: COmmittee Chair committee Member Committee Member RV:jlf k:\fedc\2001 \sw&r grants-2001 .doc o Attachment 1 2000/2001 SOLID WASTE AND RECYCLING GRANT APPLICATIONS AND PROJECTS 2000~2001 Department Of Ecology CoordinatedPre~ention Grant (CPG) (2001 SupplementalFunding) The 2000-2001 grant focuses on five projects: Home Compost Bin Distribution, Regional Yard Waste Reduction Promotion Project (continuation), Electronics Recycling Project, Waste Reduction and Recycling (WR/R) Options Promotion, and Integrated Pest Management outreach. This grant totals $86,538 over two years, and provides 60% funding, with a 40% match requirement. The WR/R grant will provide the majority of the match for the CPG projects, with the balance coming from the Local Hazardous Waste Management Program (LHWMP) grant. The 2001 Supplemental Funding component will provide an additional $20,009, with match fundingprovided by the 2001 LHWMP grant. The supplemental funding focuses on a new project: the expansionofHousehold Hazardous Waste Collection Services and addition of methods to increase paint disposal options. Although the scope of work for this project is not final, the initial focus will be on providing seniors and disabled residents with more convenient options for disposal of these items - including the potential for direct collection of these wastes from residents using a qualified vendor. Depending on the response to this pilot project, some of these services may be expanded to other residents on a pilot basis. 2000/2001 King Coun .ty Waste Reduction And Recycling Program Grant The 2000/2001 King County Waste Reduction and Recycling (WR/R) grant focuses on the same projects outlined above for the CPG grant. In 2000, this grant totaled $41,616 with no match requirements. The term of this grant was extended through 2001, with additional funding of $66,274 allocated for 2001. This grant now encompasses three components: Waste Reduction and Recycling, Business Recycling, and Special Recycling Events. This change will reduce the required number of contracts to develop and review and the number of separate reports to prepare, and will also allow for annual amendment of the contracts rather than development of new contracts each year. The Waste Reduction and Recycling component will entail support of the 2001 Regional "Grasscycling" events. An event will be scheduled for the south county for the first time in 2001. These events focus on the discounted sale and distribution of electric mulching mowers, recycling unwanted gas powered moWers, and promotion of "natural lawn care" and other ecologically-sound garden maintenance methods. The component will also continue with support of Waste Reduction and Recycling Options promotion, which includes production of the annual "Recycling Options" flyer, as well as a Home Compost Bin Distribution event in 2001. The Business Recycling Program component will focus on waste reduction and recycling outreach to businesses through "on-request" outreach and promotion of model business recycling practices and commercial electronics recycling initiative. The Special Recycling Collection Event component will entail operating two special recycling collection events in Federal Way during 2001, scheduled for spring and fall. These events provide residents with a convenient method to recycle a wide variety of materials that are not normally collected at curbside. 2001 Local Hazardous Waste Management Program Grant The Seattle-King County Department of Public Health 2001 Local Hazardous Waste Management Program (LHWMP) grant allocates $46,971.00 with no match requirement. This grant will primarily supplement funding for these established projects: operating two Special Recycling Events, local government Integrated Pest Management program, and covering costs (staff time, parking, training, etc.) of City of.Federal Way participation as suburban city representative on the LHWMP Household Hazardous Waste Education Subcommittee, as well as provide matching funds for a new project: Household Hazardous Waste Collection Services/Paint Disposal (described above under CPG Supplemental Funding). Attachment 2 CITY OF FEDERAL WAY - PUBLIC WORKS DEPARTMENT Solid Waste and Recycling Division 2000 Grant Progress Report I. Special Recycling Events Funded by King County Solid Waste Division Waste Reduction and RecyclingGrant, and King County Local Hazardous Waste Management Program Grant. Two Special Recycling Collection Events were held in 2000. The spring event on May 13 attracted 446 participants, and the fall event on September 30 attracted 340 participants. Both events were held at the South Federal Way Park and Ride. The type and weight of materials collected and recycled is shown in the following table. Computer monitors and CPU's were collected at the fall event for the first time, substantially increasing the total weight of the Household Goods category. TYPE OF MATERIALS SPRING 2000 FALL 2000 Quantity Weight (lbs.) Quantity Weight (lbs.) CFC Appliances (refrigerators, freezers, air conditioner units) 81 16,625 131 26,888 Automobile/Marine Batteries 82 2,944 94 3,375 Used Motor Oil/Mixed Petroleum Products 1,500 gallons 11,000 830 gallons 5,600 Antifreeze 140 gallons 2,002 110 gallons 880 Tires 280 3,920 302 4,270 Used Oil Filters 1 drum 440 1 drum 440 Textiles and Reusable Household 183 Goods/Computers (Fall) 3732 monitors 9,831 Scrap Wood/Yard Debris 40.5 tons 80,100 23.5 tons 47,000 TOTAL Weight (lbs.) 120,763 98,284 TOTAL Weight (tons) 60.4 49.1 TOTAL Participants I 446 [I 340 II. Business Recycling Program Funded by King County Solid Waste Division Waste Reduction and Recycling Grant. Phone Book Advertisement: City staff coordinated with King County on the development of a Yellow Pages advertisement in the U.S. West Directory. As a result of this advertisement, thirteen businesses contacted the City requesting assistance with recycling issues. The advertisement also generated numerous calls from residents seeking recycling options. "On-Call" Outreach: A total of 26 businesses received "on-call" outreach. These busin'esses were provided with information, recycling containers, and guidance on how to start or maintain waste reduction and recycling programs, as appropriate. In a cooperative effort with King County, the City mailed 1,800 informational brochures and coupons good for covering the cost of recycling one computer monitor at selected locations to Federal Way's non-home-based businesses. An additional 300 coupons and brochures were distributed via the Chamber of Commerce. 126 monitors were recovered through one Federal Way computer shop, equivalent to approximately 1.70 tons of monitors. However, it is unclear if this program spurred the diversion, or if the monitors would have been diverted without the program. This pilot project is seen as a first step in developing office electronicsrecoveryprograms, and plans are being developed to build upon this effort in 2001. Database Support, Reporting and Tracking System: All assistance, outreach and follow-up activities were compiled into the Grantor Agency's Countywide tracking system. III. Household Hazardous Waste Education Funded by King County Local Hazardous Waste Management Program (LHWMP) Grant. Staff worked with LHWMP to develop and administer a survey of county residents to determine a baseline level of awareness about pesticide use reduction strategies, known as "Integrated Pest Management"OPM). The results of this survey were used in formulating several regional campaigns, which City staff helped to develop and implement. Postcards: A series of three postcards were developed and sent to Federal Way residents to emphasize methods of yard care that protect surface waters, reduce the use of hazardous materials, and protect kids, domestic animals, and wildlife. Surveys of residents taken before and after the campaign showed an increase in awareness about favorable natural lawn care practices. Video: The LHWMP produced a video featuring Bert the Salmon, the Northwest' s"Spokes-fish" for natural lawn care. This video will be aired periodically on FWTV in Spring 2001 and distributedby other means. 3. Advertising: The LHWMP produced advertising, again featuring Bert the Salmon, about natural lawn care that was tied to the Seattle Mariners summer TV broadcasts. In addition to a residential IPM focus, staff worked in City operations to determine how to enact potential improvement in the City's IPM program. A number of alternatives are now being considered for potential field implementation. These alternatives include expanded use of mulching mowers, organic fertilizers, and soil aeration equipment. These options will in turn contribute to the City's response to the listing of salmon as an endangered species. Parts of these alternatives will begin to be implemented in 2001. IV. Backyard Compost Bin Distribution to Federal Way Residents Funded by King County Solid Waste Division Waste Reduction and Recycling Grant, and the Department of Ecology Coordinated Prevention Grant The City had hoped to team with King County on a regional compost bin distribution event in 2000. However, disagreements on logistics and product selection resulted in the decision for the City to host its own event in early- to mid-2001. In the meantime, the City will continue to provide compost bins to residents on an on-demand basis. These compost bins are similar to those distributed in past City'e~,ents, and include a book with guidance on backyard composting. The compost bin manufacturer, based in Redmond, has stocked a small supply of bins specifically for Federal Way residents. A total of 43 compost bins were distributed via the manufacturer to Federal Way residents in 2000. V. Waste Reduction and Recycling Options Brochure Funded by Department of Ecology Coordinated Prevention Grant This brochure informs Federal Way residents of the 2000-2001 winter yard waste service schedule, while increasing awareness of other available waste reduction, recycling, disposal and household hazardouswaste options. Staffcompleted revisions to the Options for Recycling and Disposal brochure for the latestversion. More than 19,000 brochures were distributed. VI. Yard Waste Reduction (a.k.a. "Grasscycling") Promotion Campaign and Mower Sales Funded by King County SolM Waste Division V/aste Reduction and RecyclingGrant, Department of Ecology Coordinated Prevention Grant, and Local Hazardous ~Vaste Management Grant The regional Grasscycling campaign culminated in April 2000 and resulted in the subsidized sale of mulching lawnmowers and the recycling of old gas mowers throughout three Puget Sound counties. The events were well received and attracted a lot of media attention. A total of 3,484 push and electric mowers were sold, while area residents recycled over 3,100 old gas-powered mowers. An event is being scheduled for South King County for the first time in 2001. VII. Household Hazardous Waste Education Subcommittee - Suburban Cities Representation Funded by Local Hazardous Waste Management Grant City of Federal Way staff participates as the suburban city representative on the LHWMP Household Hazardous Waste Education Subcommittee. Staff participated in monthlymeetingsthroughout2000to help fbcus LHWMP education programs on issues that concern suburban cities. Funding from the LHWMP grant is allocated to defray costs (staff time, parking, and training) associated with staff participation on this subcommittee. k:\fedc\2001 \sw&r grants-2001.doc CITY OF FEDERAL WAY MEMORANDUM Date: To: From: Via: Subject: 1/17/01 Finance, Economic Development and Regional Affairs Committee Mehdi Sadri, M~_M~IS ~ager ,/tx ,. g,d-. ~ David M?~I~ ~q~ ~3~lg~n~ager ~: Approval of tl~6ntract'for the purchase"~phone system for Steel Lake office Background: The phone system at Steel Lake office was purchased in 1990, the number of staff and need for additional phones at this location has increased, the current system is limited in the availability of replacement parts, number of phones it can support, and the call features, also the Steel Lake system (zimenth) is different from the systems used at City Hall, PS, KLCC, and DBC (Lucent Technology) making it difficult to integrate and maintain. The current system connects to City Hall phone switch using the Qwest Off-Premises-Exchange (OPX) lines, which are very costly. The replacement of this system has been approved in 2001 budget. Proposed sFstem features: The proposed system will provide for all the current phone needs at Steel Lake including additional phone lines and the same calling features for all the staff. It integrates best with the City's phone system at City Hall, it has the capacity to add more phones and extensions, it also utilizes the fiber optic cable and the voice over IP technology to deliver the phone services. It effectively integrates phone and data networks reducing the ongoing cost of phone services by approximately $12,000 per year. The proposed system also provides the foundation to efficiently add phones at other offices such as West Way Community Center. Vendor selections and Contract review: In order to provide the similar phone services to all staff, best integration with the existing equipment, and maintain a consistence service agreement the City selected Avaya, which is the subsidiary of Lucent/AT&T equipment and maintenance services. The contract has been reviewed and approved by MIS, Risk and Legal departments. FEDRA C Committee Action: Approve the award of the contract with Avaya in the amount of $29,384.74 plus taxes for the purchase, installation, and integration of phone equipment at Steel Lake office and forward to full council for final approval. APPROVAL OF COMMITTEE ACTION: Committee Chair Committee Member Committee Member CITY OF FEDERAL WAY MEMORANDUM Date: To: Via: From: Subject: January 18, 2001 Finance, Economic Development and Regional Affairs Committee David H. Moseley, City Manager ~ {o-u'~ Iwen Wang, Management Services Direct ~ AT&T Cable Customer Services Background: This memorandum will provide information in follow-up to the concerns raised by former councilmember Phil Watkins regarding the customer service level provided by AT&T Cable Services. Specifically, the concern indicated AT&T failed to deliver service and that customer calls were not answered in a timely manner (he was on hold for over 16 minutes). Upon clarification, I understand the problem he experienced on Sunday December 10, is not the interruption of cable service but that he cannot locate a channel due to a change in the channel lineup. He further indicated that this is the second time he called AT&T in a 6-month period, and both times he was put on hold for extended periods. Once his call was answered, the service provided was courteous and pleasant. He also expressed concerns that the new fiber/coax hybrid network AT&T installed is not state of the art, other communities are now installing fiber optic cable to individual homes. Performance Standards and Remedies .for Deficiencies: As many of you are familiar, although the city has responsibility to oversee the cable TV operations, the rules and regulations are largely prescribed by the Federal Communications Commission (FCC). Included in these regulations, is a set of customer service standards. Hours availability Standard: Cable companies are required to maintain certain office hours and telephone availabilities. The minimum telephone availability requirement specifies that: 1) Trained company representatives will be available to customer telephone inquire during "normal business hours"; and 2) After hour calls may be answered by a service or an automated response system, including an answering machine. Inquiries received after normal business hours must be responded to by a trained company representative on the next business day. According to AT&T, they provide 24 hour phone service 7 days a week. However, the core customer services hours are 8:00 am to 6:00 pm, Monday through Saturday. After the "core-hours", calls are answered by their repair center and the response time is generally slower than it is during the regular hours. Response time Standard: Under normal operating conditiong, telephone response time by a customer representative, including wait time, shall not exceed 30 seconds once the connections made. If the call needs to be transferred, transfer time shall not exceed 30 seconds. These standards shall be met no less than 90% of the time under normal operating conditions, measured on a quarterly basis. AT&T provides a combined call center (Everett and Fife) performance report on a quarterly basis. This report only measures the performance during normal business hours. The two call centers cover a geographical area from Blaine to South Pierce County. The reason for combining the performance k:\finance\fincommt\200 I\0123\att customer service.doc CITY OF FEDERAL WAY MEMORANDUM Date: To: Via: From: Subject: January 18,2001 Finance, Economic Development and Regional Affairs Committee David H. Moseley, City Manager ~0¢ Iwen Wang, Management Services Direct ~:O Insurance Renewal Status The City's insurance policies run from February 1, each year to January 31, of the following year. Staff has been working with Dan Delorenzo at Raleigh Schwarz and Powell to secure competitive renewal coverage. Due to some hardening of the overall insurance market and the consolidations that have occurred in the public entities insurance firms, we are currently seeking quotes from United National and St. Paul insurance companies. With this renewal, we have requested quotes to increase the City's excess coverage from $10 million to $20 million; and as usual, premiums at both the existing $5,000 and higher deductible levels. The final premium quotes are due on January 26. At this meeting, Dan Delorenzo will provide the Committee with an overview of overall public entity market and the preliminary renewal quote results. K:\FINANCE\FINCOMMT\2001 \0123\insurance renewal.doc CITY OF FEDERAL WAY City Council AGENDA ITEM SUBJECT: VOUCHER CATEGORY: BUDGET IMPACT: X CONSENT RESOLUTION Amount Budgeted: $1,575,266.74 ORDINANCE __STAFF REPORT Expenditure Amt: $1,575.266.74 BUSINESS PROCLAMATION Contingency Reqd: HEARING STUDY SESSION FYI OTHER ATTACHMENTS: VOUCHER LIST SUMMARY/BACKGROUND: I, the undersigned, do hereby certify under penalty of perjury that the materials have been furnished, the services rendered, or the labor performed as described herein and that the claims are just and due obligations against the City of Fed~ and th~at I am authorized to authenticate and certify to said claims. Management Se~'v~ces Directo//// ......................................................................................................................... CITY MANAGER RECOMMENDATION: Motion to approve vouchers. APPROVED FOR INCLUSION IN COUNCIL PACKET: (BELOW TO BE COMPLETED BY CITY CLERK'S OFFICE) COUNCIL ACTION: APPROVED DENIED TABLED/DEFERRED/NO ACTION COUNCIL BILL # ORDINANCE # FIRST READING ENACTMENT READ RESOLUTION # o chklst Check List Page: 1 13/28/2000 17:13:27 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157546 12/22/00 005670 TWIN LAKES GOLF & COUNTRY C 2112 Voucher: Bank Code: key 157547 12/26/00 701987 TA, VIET Voucher: Bank Code: key 157548 12/29/00 000007 BOISE CASCADE OFFICE PRODUC **VOID** Voucher: Bank Code: key 157549 12/29/00 000007 BOISE CASCADE OFFICE PRODUC **VOID** Voucher: Bank Code: key 157550 12/29/00 000007 BOISE CASCADE OFFICE PRODUC **VOID** Voucher: Bank Code: key 157551 12/29/00 000007 BOISE CASCADE OFFICE PRODUC 067255 Voucher: Bank Code: key 339140 157523 348673 267124 267153 300324 339158 444450 491869 470388 275239 082985 369279 056412 056461 142143 184796 202805 289094 311881 352264 388982 432532 448856 111197 265663 131901 066229 066380 154606 192470 220157 12/20/00 PWA-FOOD:STAFF PARTY 00-03-0911 12/26/00 MSRM-CLAIM 11/30/00 PWA-OFFICE SUPPLIES 11/30/00 MSF-QUADRANT RIBBONS 11/30/00 MSC-OFFICE SUPPLIES 11/30/00 MSDPoOFFICE SUPPLIES 11/30/00 MSF-CREDIT:INV 686089 11/30/00 MSF-CREDIT:INV 858657 11/30/00 MSF-ELECTRIC STAPLER 11/30/00 MSF-OFFICE SUPPLIES 11/30/00 MSF-OFFICE SUPPLIES 11/30/00 MSF-CREDIT:INV 300324 11/30/00 CDBG-OFFICE SUPPLIES 11/30/00 MSF-RECEIPT TAPE 11/30/00 PWA-OFFICE SUPPLIES 11/30/00 PWA-EMER OPER3%TION CTR 11/30/00 CDB-CREDIT:INV 044593 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 CDB-CUSTOM STAMP:CORRE 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 CDB-OFFICE SUPPLIES 11/30/00 MSM&D-COPIER PAPER 11/30/00 MSM&D-COPIER PAPER 11/30/00 MSM&D-COPIER PAPER 11/30/00 LAW-CUSTOM STAMP 11/30/00 PWA-OFFICE SUPPLIES 11/30/00 PWS-CALCULATOR 11/30/00 PWA-OFFICE SUPPLIES 11/30/00 PWA-CREDIT: INV 066229 11/30/00 PWA-OFFICE SUPPLIES 483 47 1,160 93 0 00 0 00 0 O0 4 69 21 51 63 42 63 23 -6 55 -9 84 100 64 52 28 93 56 -14 84 58 43 39 09 15 57 308 81 -6 49 15 76 24 92 23 99 11.39 55.51 7.71 50.57 86.99 32.29 441.06 443.57 378.06 65.11 124.10 46.27 51.79 -18.87 46.09 483.47 1,160.93 ............. Page: 1 D chklst 13/28/2000 17:13:28 Check List CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157551 12/29/00 000007 BOISE CASCADE OFFICE PRODUC (continued) 157552 12/29/00 000016 Voucher: 157553 12/29/00 000033 Voucher: 259492 11/30/00 PWA-OFFICE SUPPLIES 346.24 282394 11/30/00 PWA-OFFICE SUPPLIES 44.94 379340 11/30/00 PWA-OFFICE SUPPLIES 98.74 384604 11/30/00 PWA-OFFICE SUPPLIES 76.20 449458 11/30/00 PKM-OFFICE SUPPLIES 162.86 089119 11/30/00 PKM-OFFICE SUPPLIES 8.04 111332 11/30/00 MSM&D-COPIER PAPER 63.01 111397 11/30/00 MSM&D-COPIER PAPER 94.52 129839 11/30/00 PS-OFFICE SUPPLIES 48.75 130014 11/30/00 PS-OFFICE SUPPLIES 44.03 324145 11/30/00 PS-OFFICE SUPPLIES 79.70 350681 11/30/00 PS-OFFICE SUPPLIES 30.73 381119 11/30/00 PS-OFFICE SUPPLIES 109.44 415797 11/30/00 PS-CREDIT: INV 324145 -21.55 455177 11/30/00 PS-OFFICE SUPPLIES 110.89 112779 11/30/00 PS-OFFICE SUPPLIES 200.99 388662 11/30/00 PS-OFFICE SUPPLIES 60.88 424854 11/30/00 PS-OFFICE SUPPLIES 88.09 433567 11/30/00 PS-OFFICE SUPPLIES 45.43 265794 11/30/00 MSM&D-COPIER PAPER 378.06 112764 11/30/00 PS-OFFICE SUPPLIES 111.77 102416 11/30/00 PS-OFFICE SUPPLIES 47.79 250050 11/30/00 PS-OFFICE SUPPLIES 51.57 420420 11/30/00 PS-OFFICE SUPPLIES 13.94 421502 11/30/00 PS-OFFICE SUPPLIES 432.26 459078 11/30/00 PS-OFFICE SUPPLIES 7.37 466467 11/30/00 PS-OFFICE SUPPLIES 7.68 969852 11/30/00 PS-CREDIT: INV 934008 -109.46 112606 11/30/00 MC-OFFICE SUPPLIES 66.86 146455 11/30/00 MC-CUSTOM STAMP 26.61 365673 11/30/00 MC-CASH DRAWER 136.83 373156 11/30/00 MC-OFFICE SUPPLIES 27.95 456040 11/30/00 MC-OFFICE SUPPLIES 50.17 111451 11/30/00 MSM&D-COPIER PAPER 315.05 IKON OFFICE SOLUTIONS Bank Code: key 16832861 12/05/00 MSM&D-COPIER MAINT SVC 1,961.16 16832862 12/05/00 DP-FAX MACHINE MAINT 174.61 FIRESAFE/FIRE & SAFETY, EQU 014042 Bank Code: key 02/29/00 PS-RECHG EXTINGUISHER 21.25 157554 12/29/00 000043 NEW LUMBER & HARDWARE COMPA 118066 12/12/00 PKM-MISC SCREWS/BOLTS 7.33 Voucher: Bank Code:' key 118096 12/13/00 PKM-MISC SCREWS/BOLTS 2.70 118103 12/13/00 PKM-WOODSHOP REPAIR 48.35  118118 12/13/00 PWS-SHEETROCK:REMODEL 21.19 118071 12/12/00 PWS-FIRESTATION REMODE 13.37 ~ 118181 12/14/00 PKM-WOODSHOP REMODEL S 23.63 118329 12/18/00 PKM-MISC SCREWS/BOLTS 7.30 5,926.20 2,135.77 21.25 Page: 2 o chklst 13/28/2000 17:13:28 Check List CITY OF FEDERAL WAY Page: 3 Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157554 12/29/00 000043 NEW LUMBER & HARDWARE COMPA (continued) 118331 12/18/00 PKM-WOODSHOP REMODEL S 12.64 118349 12/19/00 PWS-HACKSAW BLADES/COU 20.01 118195 12/15/00 SWM-S/8X5 ANCHORS 13.49 118510 12/21/00 SWM-WEED RAKE 20.75 190.76 511443 10/16/00 MSRM-ATTORNEY FEES 165.00 165.00 PRESTON GATES & ELLIS LLP Bank Code: key 157555 12/29/00 000049 Voucher: i57556 12/29/00 000051 Voucher: 157557 12/29/00 000055 Voucher: 157558 12/29/00 000056 Voucher: PUGET SO~ ENERGY INC Bank Code: key SEATTLE TIMES Bank Code: key SIR SPEEDY PRINTING CENTER Bank Code: key QUADRANT SYSTEMS INC Bank Code: key i57559 i2/29700 000073 Voucher: 519-842-10 12/08/00 PKM-ELECTRICITY/GAS CH 3,447.94 439-922-10 12/08/00 PKM-ELECTRICITY/GAS CH 1,473.29 345-200-20 12/08/00 PKCP-ELECTRICITY CHGS 2,291.75 168-847-10 12/08/00 PS-ELECTRICITY C~L%RGES 224.42 153-835-10 12/08/00 PS-ELECTRICITY.CF~%RGES 15.33 121-220-20 12/11/00 PWT-STREET LIGHTING 5.52 221-220-20 12/11/00 PWT-STREET LIGHTING 5.52 359-540-20 12/12/00 PWT-STREET LIGHTING 35.50 420-530-20 12/12/00 PWT-STREET LIGHTING 95.61 895-405-10 12/13/00 PWT-STREET LIGHTING 138.15 098-236-10 12/14/00 PKM-ELECTRICITY/GAS CH 193.84 504-228-10 12/15/00 PKM-ELECTRICITY/GAS CH 3,110.23 183-469-10 12/15/00 PWT-STREET LIGHTING 146.65 252-150-20 12/15/00 PWT-STREET LIGHTING 97.89 472-400-10 12/15/00 PWT-STREET LIGHTING 66.88 487-650-20 12/12/00 PWT-STREET LIG~ITING 249.26 669-650-20 12/12/00 PWT-STREET LIGHTING 404.67 699-699-10 12/18/00 PWS-STREET LIGHTING 5.48 727-469-10 12/20/00 PKDBC/KFT-ELECTRICITY 2,221.41 753-129-10 12/20/00 PWT-STREET LIGHTING 114.23 8926456900 12/21/00 PKDBC/KFT-NATL GAS 2,563.90 16,907.47 797962001 10/08/00 MSHR-AD:DIR-COMM DEV S 707.77 797962002 10/08/00 MSHR-AD:ADM LEGAL ASSI 423.57 797962003 10/08/00 MSHR-AD:REC COORD/COM~4 443.17 946265001 11/30/00 MSHR-RATEHOLDER ADS:NO 267.65 880557001 11/05/00 MSHR-AD:ASSOC PLANNER 531.37 880557002 11/05/00 MSHR-AD:POL OFFCR/LATE 619.57 880557003 11/05/00 MSBR-AD:SWM PRGM COORD 501.97 899417001 11/12/00 MSI4R-AD:ASSOC PLANNER 531.37 4,026.44 22521 12/13/00 MSC-PRINTING SERVICES 410.82 410.82 001218-1 12/18/00 MSDP-RECEIPT PRINTER T 1,193.56 1,193.56 157560 12/29/00 000096 LAKEHAVEN UTILITY DISTRICT 2832301 12/11/00 PKM-WATER/SEWER SVCS 14.48 Voucher: Bank Code: key 2573402 11/09/00 PWS~WATER SERVICE 36.96 0460602 12/14/00 PKM-WATER/SEWER SVCS 116.10 Page: 3 o chklst Check List Page: 4 13/28/2000 17:13:28 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv.Date Description Amount Paid Check Total 157560 12/29/00 000096 LAKEHAVEN UTILITY DISTRICT (continued) 157561 12/29/00 000101 Voucher: 157562 12/29/00 000104 Voucher: 157563 12/29/00 000109 Voucher: 157564 12/29/00 000112 Voucher: 157565 12/29/00 000125 Voucher: 157566 12/29/00 000142 Voucher: 157567 12/29/00 000173 Voucher: 157568 12/29/00 000201 Voucher: 0000101 0822402 0824102 0888002 0888103 0896402 0899802 2049903 2814401 3200201 3088801 PETTY CASH 009499 Bank Code: key LOGREYRA, EDELINE M CA08974FW Bank Code: key CP40895FW CA08941FW CA13927FW ACTIVE SECURITY CONTROL (DB 12340 Bank Code: key 12347 PACIFIC COAST FORD INC FOW236666 Bank Code: key KING COUNTY FINANCE DIVISIO 0097838 Bank Code: key 12/19/00 PKM-WATER/SEWER SVCS 12/19/00 PKM-WATER 12/19/00 PKM-WATER 12/19/00 PKM-WATER 12/19/00 PKM-WATER 12/19/00 PKM-WATER 12/19/00 PKM-WATER 12/14/00 PKM-WATER 12/19/00 PKM-WATER 28.27 /SEWER SVCS 156.04 /SEWER SVCS 19.24 /SEWER SVCS 150.04 /SEWER SVCS 76.58 /SEWER SVCS 16.21 /SEWER SVCS 255.69 /SEWER SVCS 994.54 /SEWER SVCS 199.95 56.68 30.99 12/19/00 PWS-WATER SERVICE 12/19/00 PWS-WATER SERVICE 12/27/00 CDA-REIM PETTY CASH 11/20/00 DC-INTERPRETER:CA08974 11/28/00 DC-INTERPRETER:CP40895 12/04/00 DC-INTERPRETER:CA08941 12/11/00 DC-INTERPRETER:CA13927 12/11/00 PKM-LOCKSMITH SERVICES 12/14/00 PS-KEYS 10/20/00 MSFLT-WIPER BLADES #48 11/22/00 PS-KING CO JAIL: OCT CITY OF FED WAY-ADVANCE TRA CHECK 1669 12/04/00 PS-WSNIA CONF:CORTEZ Bank Code: key CHECK 1568 12/04/00 PS-WSNIA CONF:MONICO CHECK 1670 12/14/00 PS-ST CRIMES/SURVEILLA WEST PUBLISHING CORPORATION 523-280-20 12/07/00 PS-WA RULES OF COURT Bank Code: key 680-599-30 12/07/00 LAW-RCWA PP 2001 SB 49050 11/30/00 LAW-WESTLAW NOV CHRG KINKO'S INC Bank Code: key 5151000545 12/19/00 PWD-PRINTING SERVICES 5151000544 12/12/00 PWS-PRINTING SERVICES 5151000545 12/19/00 PS-PRINTING SERVICES 5151000545 12/21/00 PWA-PRINT:LAKEHAVEN CO 5151000545 12/22/00 PKCP-LD~MINATE MAP 5151000545 12/22/00 PS-TRAF SCHOOL BROCHUR 198.18 40.00 40.00 80.00 40.00 131.29 8.73 21.61 110,104.07 207.80 207.80 388.64 116.20 1,433.61 622.90 44.06 7.05 461.55 108.51 12.63 141.18 157569 12/29/00 000202 QWEST 253-815-99 12/04/00 MSTEL-PHONE/DATA SVC 54.51 Voucher: Bank Code: key 206-Z04-06 12/04/00 MSTEL-PHONE/DATA SVC 1,989.13 253-661-98 12/16/00 MSTEL-PHONE/DATA SVC 51.82 2,151.77 198.18 200.00 140.02 21.61 110,104.07 804.24 2,172.71 774.98 2,095.46 Page: 4 chklst Check List Page: 5 ~/28/2000 17:13:29 CITY OF FEDERAL WAY ~heck Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157570 12/29/00 000205 GOODYEAR TIRE CENTER 065900 12/08/00 PS-BATTERY:M81338 ~485 75.28 Voucher: Bank Code: key 066031 12/12/00 PS-REPAIR BRAKE HARDWA 69.50 066052 12/14/00 PS-BATTERY/TIRES/BELT 1,359.11 066186 12/21/00 PS-ALIGNMENT/BULBS:M71 77.32 066197 12/22/00 PS-ALIGNMENT:M75711 ~4 53.21 1,634.42 157571 12/29/00 000217 FEDERAL EXPRESS CORPORATION 5-004-4775 12/11/00 MSGIS-FEDEX SHIPPING C 7.25 Voucher: Bank Code: key 5-006-5008 12/18/00 PWS-23 AV S DOCUMENT S 43.45 5-008-4142 12/26/00 MSDP-DELIVERY SERVICES 22.80 73.50 157572 12/29/00 000229 FEDERAL WAY CHAMBER COMMERC 10:AG00-10 12/18/00 CM-TOURISM PROGRAM MGT 833.33 833.33 Voucher: Bank Code: key 157573 12/29/00 000253 WA STATE-TRANSPORTATION DEP ATB0121208 12/12/00 PWSCIP-23 AV ACQUISITI 97.28 Voucher: Bank Code: key ATB0121213 12/12/00 PWSCIP-PAC HOV LANES 111.88 ATB0121212 12/12/00 PWSCIP-320/SR99 PROJ M 672.55 157574 12/29/00 00030f Voucher: 157575 12/29/00 000328 Voucher: 157576 12/29/00 000341 Voucher: 157577 12/29/00 000397 Voucher: 157578 12/29/00 000414 Voucher: 157579 12/29/00 000432 Voucher: SUBURBAN CITIES ASSOCIATION 00 435 Bank Code: key ERNIE'S FUEL STOPS (DBA) Bank Code: key SUNRISE SELF STORAGE Bank Code: key GTE COMMUNICATION SYSTERS/E 0357187 Bank Code: key CAFE PACIFIC CATERING INC 4320 Bank Code: key 4356 4357 4358 4359 157581 12/29/00 000475 Voucher: 157582 12/29/00 000503 Voucher: ,%?~ 157583 12/29/00 000504 Voucher: 0065S49 UNIT #A08 12/14/00 CM-SCA MEMBERSHIP MTG 12/15/00 MSFLT-FUEL FOR VEHICLE 12/19/00 PS-STORAGE RENTAL FEE/ 12/08/00 PS-CALIBRATE RADAR GUN 11/30/00 PS-LUNCHES:CRIME PREV 12/21/00 PKDBC-DEPT OF CORRECTI 12/21/00 PKDBC-FW ~RTS COMM 12/ 12/21/00 PKDBC-WA CENTER 12/13 12/21/00 PKDBC-FW PARKS ATHLETI 420.00 1,612.60 155.00 279.12 187.05 10.63 54.70 20.88 25.56 19.71 TAYLOR RENTAL 1-186148-0 11/16/00 PKCP-METAL DETECTOR RE Bank Code: key 157580 12/29/00 000438 DELI SMITH & CHOCOLATE JONE 3715 12/15/00 PS-LUNC~LES:RECRUIT INT 22.75 Voucher: Bank Code: key 3720 12/18/00 PKRCS-LUNCH MEETING 36.27 CUSTOM SECURITY SYSTEMS 153055 11/20/00 PKCHB-ALARM MONITORING Bank Code: key ROYAL REPROGRAPHICS 9555287 12/14/00 PKCP-XEROX MYLAR/LAKEH Bank Code: key ORIENTAL GARDEN CENTER 075115 12/13/00 PWS-SHARPENING SVCS Bank Code: key 075243 12/20/00 PKM-BAR OIL 103.00 209.60 45.23 18.73 881.71 420.00 1,612.60 155.00 279.12 298.82 19.71 59. 02 103.00 209.60 63.96 ...................................... Page: 5 ~ chklst Check List Page: 6 .3/28/2000 17:13:29 CITY OF FEDERAL WAY ~heck Date Vendor Invoice Inv.Date Description Amount Paid Check Total 157584 12/29/00 000560 Voucher: 157585 12/29/00 000564 Voucher: 157586 12/29/00 000570 **VOID** Voucher: 157587 12/29/00 000570 Voucher: 157588 12/29/00 000630 Voucher: lSTS89 12/29/~0 000724 Voucher: 157590 12/29/00 000730 Voucher: FEDERAL WAY PTSA COUNCIL Bank Code: key KING COUNTY PET LICENSE Bank Code: key EAGLE TIRE & AUTOMOTIVE (DB Bank Code: key EAGLE TIRE & AUTOMOTIVE (DB 1007640 Bank Code: key 1007648 1007683 1007670 1007811 1007814 1007815 1007822 1007823 1007824 1007828 1007840 1007843 1007848 1007863 1007881 1007886 1007911 1007923 1007924 1007104 1007993 1008095 1007879 1008068 1008075 1008010 1008027 1007954 LLOYD ENTERPRISES INC 51822 Bank Code: key HOMEGUARD SECURITY SERVICES LJ1655 Bank Code: key ENTRANCe INC 31025 Bank Code: key 31127 31197 Ql:AG00-05 05/05/00 CDHS-CLOT~ING RESOURCE DECl-DEC19 12/20/00 MSF-REMIT KC PET FEES 12/04/00 PS-DIAGNOSTIC SVCS:M43 12/04/00 PS-LOF/BULBS:M81327 #4 12/05/00 PS-BATTERN:M41745 #486 12/05/00 PS-LOF:M49834 #48518 12/09/00 PS-HEADLAMP:M88249 #48 12/11/00 PS-HEADLAMPS/BULBS:M74 12/11/00 PS-THERMOSTAT/MEADLAMP 12/11/00 PS-LOF:M9330 #48637 12/11/00 PS-LOF:M8238 #4973- 12/11/00 PS-LOF:M70374 #48622 12/11/00 PS-LOF:M26220 #48901 12/11/00 PS-HEADLAMPS:M88364 #4 12/12/00 PS-LOF:M7223 #48634 12/12/00 PS-LOF:MT035 #48632 12/12/00 PS-LOF/AIR FILTER:MIll 12/13/00 PS-LOF:M9277 #48631 12/13/00 PS-LOF:M6337 #48633 12/14/00 PS-LOF:M9855 #48635 12/14/00 PS-BRAKES/LOF:M93838 # 12/14/00 PS-LOF:M33919 #48625 11/08/00 PS-WIPER BLADES/ELEC C 12/18/00 PS-BRAKES/LOF:M70781 # 12/22/00 PS-LOF:MS0926 #48516 12/12/00 PS-ALTERNATOR:MS1491 # 12/21/00 PS-SCAN TEST:M10588 #4 12/21/00 PS-BULBS:M34372 #48625 12/18/00 PS-LOF:M88746 #48605 12/19/00 PS-DIAGNOSTIC/LOF:M955 12/15/00 PS-LOF:M96449 #48616 12/11/00 PWS-TREE REPLACEMENT/3 12/02/00 PKM-ALARM MONITORING 12/07/00 PWS-23RD AVE S 317TH/S 12/12/00 PW-COSTCO GAS STATION/ 12/15/00 PWS-PAVING INSPECTION 1,125.00 1,125.00 138.00 138.00 0.00 38.77 34.74 124.01 22.80 21.03 35.43 228.49 22.80 22.80 22.80 22.80 21.03 22.80 22.80 60.17 22.80 22.80 22.80 188.41 22.80 54.82 408.50 22.80 355.42 38.77 11.07 215.95 238 . 98 22.80 133.68 2,371.99 133.68 23.95 23.95 6,273.68 1,633.00 19,187.00 27,093.68 Page: 6 ~ chklst Check List PaHe: 7 .~/28/2000 17:13:29 CITY OF FEDERAL WAY ~heck Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157591 12/29/00 000757 NORTHWEST STEEL & PIPE INC 473135 Voucher: Bank Code: key 157592 12/29/00 000783 FEDERAL WAY DISPOSAL CO INC 11 844440 Voucher: Bank Code: key 157593 12/29/00 000808 PLATT ELECTRIC SUPPLY Voucher: Bank Code: key 157594 12/29/00 000854 D J TROPHY Voucher: Bank Code: key PKM-METAL SUPPLIES PWSWR-LITTER DISPOSAL 9370413 12/07/00 PKM-LIGHTING SUPPLIES 228.06 12/13/00 11/30/00 157595 157596 157597 12/29/00 000891 8431018580 11/20/00 264.68 8430204460 11/21/00 129.89 Voucher: 8430157170 11/27/00 39.67 8431046090 12/07/00 21.15 PAPER DIRECT INC Bank Code: key 3305271801 12/08/00 141.91 157598 12/29/00 000920 Voucher: 157599 244.12 244.12 315.81 315.81 228 . 06 203265A 12/19/00 MSC-PLAQUE/ENGRAVING S 22.15 203048A 11/30/00 CDPL-NAME SIGN 6.19 203206A 12/19/00 CC-PLAQUE:PHIL WATKINS 99.86 128.20 12/29/00 000877 NIEMEN GLASS COMPANY 2406 12/20/00 MC-GLASS TRAY:FR COUNT 553.63 553.63 Voucher: Bank Code: key 12/29/00 000885 PARKER PAINT MA/~UFACTURING 708278 12/18/00 PKRCS-PAINT:REMODEL PR 361.58 Voucher: Bank Code: key 708285 12/18/00 PKRLS-PAINT:REMODEL PR 5.47 367.05 OFFICE DEPOT CREDIT PLAN PWA-BINDERS/INDEXES Bank Code: key PWA-EOC BINDERS PWA-OFFICE SUPPLIES PKA-PARK COMM BINDERS CM-PAPER:VOLUNTEER EVT 12/29/00 000947 SQUEEGEE CLEAN WINDOW CLEAN 2580 12/20/00 PS-JANITORIAL SERVICES 1,400.00 Voucher: Bank Code: key 2583 12/20/00 MC-JANITORIAL SERVICES 660.00 2581 12/20/00 PKM-JANITORIAL SERVICE 630.00 2,690.00 157600 12/29/00 000951 CITY OF FEDERAL WAY I:QUAL FEN 12/15/00 SWM-5% RETAINAGE:QUALI 79.75 79.75 Voucher: Bank Code: key 157601 12/29/00 001004 MAILMEDIA INC 002952 11/27/00 PKRCS-WTR BROCHURE/BAL 708.56 708.56 Voucher: Bank Code: key 157602 12/29/00 001055 FEDERAL WAY SYMPHONY PKRCS-DEC 12/13/00 PKRCS-CULTURAL ARTS PR 1,800.00 1,800.00 Voucher: Bank Code: key 157603 12/29/00 001091 WMTA-WA MUNICIPAL TREASURER MSF-KRAUS 12/10/00 MSF-MEMBER DUES:KRAUS 30.00 30.00 Voucher: Bank Code: key 157604 12/29/00 001109 SMITH TRACTOR & EQUIPMENT C 4501166 12/08/00 MSFLT-250HR INSPECTION 263.39 Voucher: Bank Code: key 4501168 12/08/00 MSFLT-BLOCK HEATER/250 536.35 4501167 12/08/00 MSFLT-BLOCK HEATER/BUC 732.58 1,532.32 455.39 141.91 .................................. Page: 7 ) chklst L~/28/2000 17:13:30 Check List CITY OF FEDERAL WAY Page: 8 ~"heck Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157605 12/29/00 001124 VERIZON WIRELESS 1004-65261 12/05/00 MSTEL-CELL AIR TIME 91.79 91.79 Bank Code: key 157606 12/29/00 001139 RED WING SHOE STORE 1733 11/30/00 CDB-WORK BOOTS:S SPROU 77.54 Voucher: Bank Code: key 1736-1 12/27/00 CDB-WORK BOOTS:M LEE 128.31 205.85 157607 12/29/00 001189 PETTY CASH 009565 12/28/00 CM-REIM PETTY CASH 211.59 211.59 Voucher: Bank Code: key 157608 12/29/00 001233 A T & T BUSINESS SERVICE 0510660202 12/07/00 MSTEL-LONG DISTANCE SV 15.92 15.92 Voucher: Bank Code: key 157609 12/29/00 001245 PUGET SOUND MUSICAL THEATRE NOV30-DEC1 12/20/00 PKRCS-CULTURAL ARTS PR 4,500.00 4,500.00 Voucher: Bank Code: key 157610 12/29/00 001263 MICH3LELS STORES #8900 60547 12/06/00 PKRCS-PROGRAM SUPPLIES 12.97 Voucher: Bank Code: key 60556 12/13/00 PKRCS-PROGRAM SUPPLIES 89.56 102.53 157611 12/29/00 001277 FABER, MOkRY bQkY22-OCT1 12/22/00 PKRCS-REIM CAR RENTAL/ 165.48 165.48 Voucher: Bank Code: key 157612 12/29/00 001285 ALPINE PRODUCTS INC 37780 12/08/00 PS-MARKING PAINT:TRAFF 27.76 Voucher: Bank Code: key 37734 12/07/00 PWT-ROLL QUICK JOINT 31.49 59.25 157613 12/29/00 001297 FACILITY MAINTENANCE CONTRA 031901 12/15/00 PKM-LANDSCAPE MAINT SV 68.07 68.07 Voucher: Bank Code: key 157614 12/29/00 001301 PACIFIC INDUSTRIAL SUPPLY 4028354-01 12/18/00 PWS-SANDING TANKS, NYL 65.16 65.16 Voucher: Bank Code: key 157615 12/29/00 001391 NORTH COAST ELECTRIC COMPAN 080613900 12/11/00 PWS-PLUG N5 20P 12.43 Voucher: Bank Code: key 080650500 12/14/00 PWS-CON-NECTOR, PLUG 55.18 67.61 157616 12/29/00 001411 POSTAL EXPRESS INC POSTAGE/NO 11/30/00 MSM&D-POSTAGE:CITY MAI 4,215.54 Voucher: Bank Code: key BM2011004 11/30/00 MSM&D-CITY COURIER SVC 1,850.47 6,066.01 157617 12/29/00 001427 WESTERN POWER & EQUIPMENT H91202 12/15/00 MSFLT-HYDRAULIC TPO~NS 106.60 Voucher: Bank Code: key Q1299634 12/12/00 SWMM-BACKHOE RENTAL 485.45 H91144 12/14/00 MSFLT-FITTINGS/HOSES # 51.85 643.90 157618 12/29/00 001431 ICON MATERIALS INC 20036 12/14/00 PWS-CLASS B ASPF~kLT 2,002.00 Voucher: Bank Code: key 11232 12/12/00 SWM-5/8" CRUSHED ROCK 375.05 10937 12/05/00 PWS-CLASS B ASPHALT 118.10 2,495.15 157619 12/29/00 001432 SM~LLL & SONS OIL, DON 196053 12/04/00 PKM-STL LK ANNEX FUEL 407.90 407.90 Voucher: Bank Code: key 157620 12/29/00 001436 TREE RECYCLERS PKM-DEC 21 12/21/00 PKM-REMOVE DAMAGED TRE 477.84 477.84 Voucher: Bank Code: key Voucher: Page: 8 ~ chklst Check List Page: 9 .3/28/2000 17:13:30 CITY OF FEDERAL WAY 2heck Date Vendor Invoice Inv. Date Description Amount Paid Check Total 5183 12/18/00 MSC-BUS LIC MAILING SV 157621 12/29/00 001601 Voucher: 157622 12/29/00 001612 Voucher: 157623 12/29/00 001630 **VOID** Voucher: 157624 12/29/00 001630 Voucher: 157625 12/29/00 001748 Voucher: 157626 12/29/00 001837 Voucher: 157627 12/29/00 001843 Voucher: TAK INC Bank Code: key POLLARD GROUP INC Bank Code: key BLUMENTHAL UNIFORM CO INC Bank Code: key BLUMENTHAL UNIFORM CO INC Bank Code: key EVERSON'S ECONO-VAC INC Bank Code: key PETTY CASH-COMM SR CTR Bank Code: key 157628 12/29/00 001870 Voucher: 50066 12/11/00 MSM&D-BUSINESS CARDS 162301 156789 165046 165048 165047 163035 164623 159817-81 166827 166511 167602 156266-02 165025 164316 164620 165379 165758 167077 167077-80 166710 168953 013465 013464 009514 11/30/00 PS-UNIFORM CLOTHING 11/30/00 PS-UNIFORM CLOTHING 11/29/00 PS-WHISTLE 11/29/00 PS-UNIFORM CLOTHING 11/29/00 PS-UNIFORM CLOTHING 12/04/00 PS-UNIFORM CLOTHING 12/11/00 PS-UNIFORM CLOTHING 12/11/00 PS-UNIFORM CLOTHING 12/08/00 PS-UNIFORM CLOTHING 12/07/00 PS-UNIFORM CLOTHING 12/13/00 PS-UNIFORM CLOTHING 12/15/00 PS-UNIFORM CLOTHING 12/18/00 PS-UNIFORM CLOTHING 12/18/00 PS-UNIFORM CLOTHING 12/18/00 PS-UNIFORM CLOTHING 12/18/00 PS-UNIFORM CLOTHING 12/18/00 PS-UNIFORM CLOTHING 12/11/00 PS-UNIFORM CLOTHING 12/19/00 PS-CREDIT:INV 167077 12/18/00 PS-UNIFORM CLOTHING 12/19/00 PS-UNIFORM CLOTHING 11/30/00 PKM-CLEAN CATCH BASINS 11/30/00 SWM-VACUUM/JET RODDING 12/21/00 PKRLS-REIM PETTY CASH MORRIS PIHA REAL ESTATE SVC #734-PS-DE 12/20/00 PS-9TH AVE BLDG LEASE Bank Code: key BANK OF NEW YORK Bank Code: key 216.80 216.80 219.26 219.26 0.00 94.43 92 85 5 97 3 26 9 76 255 59 195 37 59 13 7 55 100 00 100 00 228 01 100 00 100 00 104 20 61 90 104 20 108 60 -8 69 367 39 99 86 2,189.38 260.61 6,800 . 83 7,061.44 65.18 65.18 114.57 114.57 FEDGO693 12/11/00 MSF-ADMIN MAINT FEE 63.28 FEDGOgl 12/11/00 MSF-ADMIN MAINT FEE 45.73 FEDGOglR 12/11/00 MSF-ADMIN MAINT FEE 124.38 FEDGO93 12/11/00 MSF-ADMIN MAINT FEE 66.85 FEDGO95 12/11/00 MSF-ADMIN MAINT FEE 68.03 FEDG096 12/11/00 MSF-ADMIN MAINT FEE 64.53 432.80 ................ Page: 9 3 chklst Check List Page: 10 13/28/2000 17:13:30 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv.Date Description Amount Paid Check Total 157629 12/29/00 001936 PAGENET 000554088 12/03/00 MSTEL-PAGER LEASE 1,106.46 1,106.46 Voucher: Bank Code: key 157630 12/29/00 001969 CODE PUBLISHING COMPANY INC 14471 Voucher: Bank Code: key 157631 12/29/00 001988 SERVICE LINEN SUPPLY Voucher: Bank Code: key 157632 12/29/00 001989 JENSEN TOOLS INC Voucher: Bank Code: key 157633 12/29/00 001998 R W SCOTT CONSTRUCTION CO I 5:AG00-127 12/20/00 PWSCIP-S 320 ST/SR99 I Voucher: Bank Code: key 157634 12/29/00 001999 ' BANK OF AMERICA Voucher: Bank Code: key 157635 12/29/00 002010 Voucher: 12/12/00 MSC-FW CODE BOOKS 1214/2739 12/14/00 PKRLS-LINEN SERVICES 3719880-00 12/15/00 MSDP-STRIPPER COAX/TWI 157636 12/29/00 002024 Voucher: 5:R W SCOT 12/20/00 PWSCIP-5% RETAINAGE:RW 157637 12/29/00 002087 Voucher: 21,424.39 21,424.39 25.05 25.05 83.27 83.27 151,260.12 151,260.12 7,880.02 7,880.02 157638 12/29/00 002128 Voucher: KCM INC 131272 12/15/00 PWSWM-SEATAC MALL DETE 41,379.05 41,379.05 Bank Code: key 157639 12/29/00 002227 Voucher: PETTY CASH-WITNESS FEES Bank Code: key WHITMAN & ASSOCIATES INC Bank Code: key OCT26-DEC1 12/19/00 MSF-REIM WITNESS FUND 00-1253 12/22/00 MC-CARPET CLEANING KLEINS COMMERCIAL DOOR SERV 1358 Bank Code: key ETTINGER, ROBERT Bank Code: key 12/06/00 PKKFT-REPAIR DOOR MAY16-DEC5 12/07/00 PKDBC-REIMBURSE MILEAG 157640 12/29/00 002379 PACIFIC TOPSOILS INC 19528 Voucher: Bank Code: key 19628 19520 19858 157641 12/29/00 002426 Voucher: 157642 12/29/O0 002477 Vouches: ~157643 12/29/00 002521 ~ Voucher: UNITED GROCERS CASH & CARRY 6238 Bank Code: key 6799 6565 168.18 168.18 11/29/00 PWS-TREE REPLACEMENT P 12/01/00 PWS-SOIL/SOD DUMP FEES 11/29/00 PWS-TREE REPLACEMENT P 12/11/00 PWS-TREE REPLACEMENT P 289.00 289.00 12/14/00 PKRLS-CAN LINERS 12/18/00 PKRLS-2PLY TISSUE/TOWE 12/16/00 PKRLS-PROGRAM SUPPLIES 242 . 18 242.18 100.80 100.80 116.74 21.61 108.06 190.73 37.57 94.47 43.78 HOME DEPOT 5061331 11/03/00 PWS-FIREHOUSE REMODEL 126.29 Bank Code: key 1050903 11/17/00 PWS-FIREHOUSE REMODEL 35.05 2060725 11/16/00 PWS-FIREHOUSE REMODEL 101.18 5070460 12/13/00 PKCHB-PORTABLE HEATERS 32.51 SUPERLON PLASTICS COMPANY Bank Code: key 8081B 12/08/00 PWS-PVC PIPE, COUPLINGS 352.17 437.14 175.82 295.03 352.17 Page: 10 ) chklst Check List Page: 11 k~/28/2000 17:13:30 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv.Date Description Amount Paid Check Total 157644 12/29/00 002545 PACIFIC AIR CONTROL INC 60639 11/15/00 PKCHB-HVAC MAINTENANCE 1,037.40 1,037.40 Voucher: Bank Code: key 157645 12/29/00 002548 SPRAGUE PEST CONTROL 1-85971 Voucher: Bank Code: key 157646 12/29/00 002557 PETTY CASH FUND-PARKS MAINT 009478 Voucher: Bank Code: key 157647 12/29/00 002571 FEDERAL WAY CHORALE Voucher: Bank Code: key 157648 12/29/00 002574 GRANAM & DUNN, P.C. Voucher: Bank Code: key 157649 12/29/00 002679 KA/~G, SAI C Voucher: Bank Code: key 157650 12/29/00 002898 IACP Voucher: Bank Code: key 157651 12/29/00 003035 GUIDANCE SERVICES INC S22064 Voucher: Bank Code: key S22281 157652 12/29/00 003048 PETTY CASH-PUBLIC SAFETY DE 009541 Voucher: Bank Code: key 157653 12/29/00 003055 MAACO AUTO PAINTING & BODYW 20902 Voucher: Bank Code: key 157654 12/29/00 003064 CIRCUIT CITY 3320011221 12/13/00 PKKFT-SONY DIGITAL CAM Voucher: Bank Code: key 157655 12/29/00 003085 TECHNOLOGY INTEGRATION GROU 706109 12/11/00 MSDP-HARDRIVE,IDE 20GB Voucher: Bank Code: key 704784 12/06/00 MSDP-CRYSTAL REPORTS V 157656 12/29/00 003129 Voucher: 157657 12/29/00 003138 Voucher: 157658 12/29/00 003198 Voucher: AMS LASER SUPPLY Bank Code: key NORMED Bank Code: key SPEEDY SIGN-A-RAMA Bank Code: key 12/04/00 PKRLS-PEST CONTROL SVC 12/20/00 PKM-REIM PETTY CASH DEC9-DEC10 12/19/00 PKRCS-CULTURAL ARTS PR 165067 11/22/00 LAW-LEGAL SVCS (SW356 OCT17-DECl 12/27/00 MC-INTERPRETER SVC OCT 1571038 12/18/00 PS-MEMBER DUES:MC~uLLES 12/12/00 MSA-TEMP OFFICE HELP 12/19/00 MSA-TEMP OFFICE HELP 12/26/00 PS-REIM PETTY CASH 12/20/00 PS-REPAIR CONTROL ARM/ 12/08/00 MSDP-PRINTER TONER 12/08/00 MSDP-PRINTER TONER 12/18/00 MSDP-CREDIT:IN~; 306374 12/22/00 MSDP-PRINTER TONER 12/22/00 MSDP-PRINTER TONER 307137 301736 251331 307673 307672 12378-3422 11/29/00 PS-DISPOSABLE BLANKETS 0 4899 12/08/00 CDLU-PUBLIC NOTICE SIG 51.04 60.21 1,750.00 119.20 1,280.00 100.00 792.00 792.00 107.77 629.01 1,042.52 286.70 246.52 76.02 46.70 -46.70 75.97 239.90 49.15 48.87 51.04 60.21 1,750.00 119.20 1,280.00 100.00 1,584.00 107.77 629.01 1,042.52 533.22 391.89 49.15 48.87 .................................................................. Page: 11 ~ chklst Check List Page: 12 .3/28/2000 17:13:30 CITY OF FEDERAL WAY ~heck Date Vendor Invoice Inv. Date Description Amount Paid Check Total ................ 13.90 157659 12/29/00 003204 TRUCKERS SUPPLY INC 970538 12/19/00 MSFLT-BATTERY TERIMAL 13.90 Voucher: 157660 12/29/00 003313 Voucher: 157661 12/29/00 003325 Voucher: 157662 12/29/00 003339 Voucher: 157663 12/29/00 003380 Voucher: 157664 12/29/00 003466 Voucher: 157665 12/29/00 003511 Voucher: 157666 12/29/00 003536 Voucher: 157667 12/29/00 003560 Voucher: 157668 12/29/00 003563 Voucher: 157669 12/29/00 003593 Voucher: 157670 12/29/00 003645 Voucher: 157671 12/29/00 003653 Voucher: 157672 12/29/00 003694 Voucher: 157673 12/29/00 003718 Voucher: Bank Code: key SUPER SEER CORPORATION Bank Code: key CHUCKALS INC Bank Code: key 23919 12/08/00 PS-HELMET/VISORS 615.50 615.50 140053-0 12/14/00 MC-OFFICE SUPPLIES/STA 1,090.70 140053-1 12/15/00 MC-OFFICE SUPPLIES 12.98 140053-2 12/20/00 MC-OFFICE SUPPLIES 22.21 140966-0 12/22/00 MC-OFFICE SUPPLIES 37.89 172180-R 11/29/00 PS-FIRING RANGE USE NOV28-DEC6 12/13/00 PS-REIM EQUIPMENT/SUPP 12/06/00 PS-CRIME SCENE SUPPLIE 12/12/00 PS-CRIME SCENE SUPPLIE 11/29/00 PS-REPAIR EXIT LIGHTS 12/22/00 SWM-CHAIR,MONITOR RISE 11/28/00 CDPL-KEYBOARD TRAYS 12/12/00 PWS-GRIND TREE STUMPS, 12/11/00 PS-LANGUAGE LINE USAGE 12/07/00 PS-CRIME SCENE DRAFT K 12/12/00 PS-EVIDENCE/PROP SUPPL 12/27/00 PKDBC-JANITORIAL MAINT 12/27/00 PKDBC-JANITORIAL MAINT 12/27/00 PKDBC-JANITORIAL MAINT 12/04/00 PS-MOTORCYCLE CLOTHING 12/06/00 PKKFT-PAINTING:THEATRE MARKSMA/~ INC, THE Bank Code: key WILSON, BRIAN Bank Code: key LIGHTNING POWDER COMPANY IN 184863 Bank Code: key 185137 J C RICHARDS CONSTR CO INC 0010081 Bank Code: key ERGO & HEALTH NETWORK 2925 Bank Code: key 2837 HUNTERS TREE SERVICE 962 Bank Code: key VALLEY COMMUNICATIONS CENTE 1163 Bank Code: key SIRCHIE FINGERPRINT LAB INC 0238258 Bank Code: key 0238573 AMERICAN JANITORIAL SERVICE 1298-1300 Bank Code: key 1302 1301 CASCADE WEAR LTD 7675 Bank Code: key TODD ROBINSON PAINTING INC 99822 Bank Code: key JENKINS, HARDY & ASSOC, PLL LAW-QTR3 R 12/20/00 LAW-PUB DEF/QTRLY RECO Bank Code: key LAW-POST D 12/20/00 LAW-PUB DEF/POST SENTE 136.58 1,163.78 136.58 146.11 146.11 55.75 85.00 462.63 406.53 464.81 1,303.20 140.75 462.63 871.34 1,303.20 146.10 146.10 42.76 421.30 464.06 763.80 879.00 969.00 510.00 2,611.80 510.00 5,136.78 5,136.78 270.00 1,170.00 1,440.00 ..................................................... Page 12 157675 003802 PKRCS-YNG LADIES/GNTLM 160.00 160.00 157676 003846 PS-REG FEE:J PAYNTER 375.00 375.00 157677 003925 CDHS-GUENT 12/28/00 CDHS-1YR DUES:GUENTHER 50.00 50.00 157678 003987 570317 12/07/00 MSDP-INTERNET ACCESS 500.00 500.00 157679 003992 . 016003 12/26/00 MSDP-EDO SIMM:CFW-PS S 193.31 193.31 157680 004004 PS-DEC 200 12/18/00 PS-LEASE CONTRACT 1,532.97 1,532.97 157681 004043 1:AG00-164 12/15/00 SWM-2000 FENCING PROJE 1,652.42 1,652.42 157682 004052 12/21/00 PS-FL206B G~bLCO HOLSTE 59.57 59.57 157683 004060 12/11/00 SWM-ASPHALT BLADE, DIA 386.00 386.00 157684 004075 12/20/00 PS-COVERS:NEW LIGHT BA 195.12 195.12 157685 12~29/00 004094 136.83 136.83 Voucher: Bank Code: key 157686 12/29/00 004128 MINUTEMAN'PRESS INTERNATION 3735 11/29/00 CDCI-EMER PREPAREDNESS 2,204.58 2,204.58 Voucher: Bank Code: key 157687 12/29/00 004166 CSCDPLM 201947 12/12/00 DC-INTERPRETER:10/3-11 605.90 605.90 Voucher: Bank Code: key 157688 12/29/90 004270 FEDERAL WAY MIRROR 002663 12/02/00 CDPL-NOTICE:INTERPRETA 96.95 Voucher: Bank Code: key 002664 12/02/00 CDPL-NOTICE:NORTHSHORE 138.50 002672 12/06/00 CDPL-NOTICE:MING COURT 138.50 002692 12/13/00 CDPL-NOTICE:METRICOM I 138.50 002671 12/06/00 CDPL-NOTICE:ETHICS BRD 138.50 002682 12/09/00 CDHS-AD:HS COMM VACANC 138.50 789.45 . chklst Check List Page: 13 3/28/2000 17:13:31 CITY OF FEDERAL WAY iheck Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157674 12/29/00 003724 PACIFIC NORTHWEST LICENSE PS-HOCH 12/12/00 PS-MEMBER DUES:T HOCH 20.00 20.00 Voucher: Bank Code: key 12/29/00 FINAL TOUCH FINISHING SCHOO 58 12/07/00 Voucher: Bank Code: key 12/29/00 JOHN E REID & ASSOCIATES IN PS-PAYNTER 12/20/00 Voucher: Bank Code: key 12/29/00 LEADERSHIP.TOMMORROW Voucher: Bank Code: key 12/29/00 WINSTAR BROADBAND SERVICES Voucher: Bank Code: key 12/29/00 ACN COMPUTER Voucher: Bank Code: key 12/29/00 PACIFIC COAST FORD INC Voucher: Bank Code: key 12/29/00 QUALITY FENCE BUILDERS INC Voucher: Bank Code: key 12/29/00 LAW ENFORCEMENT EQUIPMENT D 12230017 Voucher: Bank Code: key 12/29/00 DRILLCO NATIONAL GROUP INC 209555 Voucher: Bank Code: key 12/29/00 SIGN OF DISTINCTION BY CARO 9910496 Voucher: Bank Code: key MATHESON, DEREK OCT27-DEC6 12/26/00 CM-REIMBURSE MILEAGE Page: 13 ) chklst k~/28/2000 17:13:31 Vendor Theck Date 157689 12/29/00 004273 DAY, JEFFREY K NOV22-DEC7 12/20/00 LAW-PUBLIC DEFENSE SVC Voucher: 157690 12/29/00 004279 Voucher: 157691 12/29/00 004317 Voucher: 157692 12/29/00 004318 Voucher: 157693 12/29/00 004336 Voucher: 157694 12/29/00 004364 Voucher: 157695 12/29/00 004396 Voucher: 157696 12/29/00 004433 Voucher: 157697 12/29/00 004481 Voucher: 157698 12/29/00 004518 Voucher: 157699 12/29/00 004578 Voucher: 157700 12/29/00 004618 Voucher: 157701 12/29/00 004644 Voucher: 157702 12/29/00 004676 Vouche~: 157703 12/29/00 004704 Voucher: Bank Code: key LEXIS PUBLISHING Bank Code: key RITZ CAMERA ONE HOUR PHOTO Bank Code: key EDGEWOOD NATIONAL INC Bank Code: key CRUM, LINDA Bank Code: key CENTRE AT NORPOINT Bank Code: key HOFFMAN, DEBORAH Bank Code: key SCOCCOLO CONSTRUCTION INC Bank Code: key INTERSCAPES INC Bank Code: key Check List Page: 14 CITY OF FEDERAL WAY Invoice Inv. Date Description Amount Paid Check Total S91745 11/20/00 MC-APELLATE/SUPREME CT 1026096400 12/05/00 PS-PHOTO SUPPLIES/SVC 1026004670 12/18/00 PS-PHOTO SUPPLIES/SVC 1026002230 12/15/00 PS-PHOTO SUPPLIES/SVC 8597-A 12/20/00 PS-TRAILER HITCH:TRAFF PS-DEC 20T 12/20/00 PS-REIM:DEPT RECEPTION 4543 11/30/00 PKRCS-SWIM CLASS:COMM 4544 12/04/00 PKRCS-BALLROOM/DANCE C JUL27-NOVl 11/20/00 PKRCS-REIM PROGP, AM SUP 8:AG98-120 12/13/00 SWM-SW 340TH PLANT EST 2040 12/01/00 PKCHB-PLANT MAINTENANC 6OO.OO 60O.00 96.11 96.11 48.67 319.14 60.27 428.08 131.54 131.54 65.92 65.92 161.00 117.00 278.00 126.47 126.47 4,500.00 4,500.00 135.75 135.75 1,557.48 1,557.48 227.52 227.52 127,662.83 127,662.83 1,428.24 1,406.60 2,834.84 2,100.00 2,100.00 59.50 59.50 157704 12/29/00 004710 Voucher: Page: 14 RIVER OAKS COMMUNICATIONS C NOV1-NOV30 12/14/00 LAW-TELECOMMUNICATIONS Bank Code: key GENE'S TOWING INC 193252 11/09/00 PS-TOWING SERVICES Bank Code: key TOTEM ELECTRIC OF TACOMA IN 2:AG00-137 12/21/00 PWT-SR99/SO 330TH ST I Bank Code: key PACIFIC PLANTS INC 30776 11/30/00 PKM-ACER RUBRUM PLANTS Bank Code: key 30881 12/12/00 PWS-REPLACE TREES:320T CENTERSTAGE THEATRE ARTS, C OCT21-NOV1 11/20/00 PKRCS-CULTURAL ARTS PR Bank Code: key FARR, CHERYL J LAW-DEC 14 12/14/00 LAW-COURT TRANSCRIPTIO Bank Code: key VISIONS PHOTO LAB & STUDIO 00-2510 12/11/00 SWM-FILM DEVELOPING SV Bank Code: key 00-2520 12/12/00 PKDBC-FILM DEVELOPMENT 33.54 21.39 54.93 ~ chklst Check List ~/28/2000 17:13:31 CITY OF FEDERAL WAY Page: 15 Sheck Date Vendor Invoice Inv.Date Description Amount Paid Check Total 157705 12/29/00 004784 O'CONNELL, MARIE MSC-COURTN 12/27/00 MSC-PARLIAMENTARY CLAS 116.00 116.00 Bank Code: key 157706 12/29/00 004840 EVAC-EMERGENCY VE~ICLE 99720 12/05/00 PS-RADIO REPAIRS #4851 196.96 Voucher: Bank Code: key 99721 12/05/00 PS-ELEC REPAIR #48623 48.78 245.74 157707 12/29/00 004849 SAM'S JANITORIAL SERVICE &, 48086 12/11/00 PKCHB-TOWELS/BATH TISS 117.67 Voucher: Bank Code: key 48154 12/19/00 MC-MULTI-FOLD TOWELS 48.77 166.44 157708 12/29/00 004959 GLOBE TICKET & LABEL 123063 11/09/00 PKKFT-TICKETS:KC PERFO 93.91 93.91 Voucher: Bank Code: key 157709 12/29/00 004963 SOUNI) PUBLISHING INC 5475 11/22/00 PKRCS-PRINT:WINTER BRC 5,106.11 5,106.11 Voucher: Bank Code: key 157710 12/29/00 004966 . ACME CONSTRUCTION SUPPLY CO 5075275-01 12/14/00 PWS-14" C~OP SAW/WHEEL 267.81 267.81 Voucher: Bank Code: key 157711 12/29/00 005019 UNITED RENTALS NORTHWEST IN 14997789-0 12/12/00 PWS-EQP RENTAL:FIRESTN 98.84 98.84 Voucher: Bank Code: key 157712 12/29/00 005027 AMERICAN MUSIC 424562 12/27/00 PKKFT-MUSIC EQP/REPAIR 91.98 91.98 Voucher: Bank Code: key 157713 12/29/00 005t10 SHOMER-TEC INC 69252 12/15/00 PS-BLUE GLrN ~&K MP5 466.13 466.13 Voucher: Bank Code: key 157714 12/29/00 005113 OFFICE OF THE ADMINISTRATOR MC-PLATTER 12/18/00 MC-JUDICIAL COLLEGE OA 140.00 140.00 Voucher: Bank Code: key 157715 12/29/00 005132 BELLI, BRIAN JUN19-AUG1 12/20/00 MSHR-EDUC ASSISTANCE 481.20 481.20 Voucher: Bank Code: key 157716 12/29/00 005181 LEE, MICHAEL CDB-OCT 7T 12/18/00 CDB-REIM CERTIFICATION 150.00 150.00 Voucher: Bank Code: key 157717 12/29/00 005215 T/kB NORTHWEST 1188056 12/08/00 PS-CUSTOM FOLDERS 1,520.40 Voucher: Bank Code: key 10-3860 10/24/00 PWA-OFFICE SUPPLIES 243.24 1,763.64 157718 12/29/00 005248 LAN]DON, MICHELLE SEP00-DEC0 12/20/00 MSHR-EDUC ASSISTANCE 437.60 437.60 Voucher: Bank Code: key 157719 12/29/00 005296 KOMO TV 10876-1 12/04/00 PS-AD:CELEBRATE 4 LIFE 3,250.00 Vouche~: Bank Code~ key 10876-2 12/04/00 PS-AD:CELEBP, ATE 4 LIFE 3,250.00 6,500.00 157720 12/29/00 005302 RAMSEY LANDSCAPE MAINTENANC 3054 12/21/00 PWS-2000 ROW LANDSCAPE 1,596.42 1,596.42 Voucher: Bank Code: key Voucher: Page: 15 o chklst Check List Page: 16 13/28/2000 17:13:32 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total ............................................................................................................... T ............. 157721 12/29/00 005310 CANYON AUTO BODY 27 12/08/00 PS-BODY WORK/PAINT #48 1,737.60 1,737.60 Voucher: Bank Code: key 157722 12/29/00 005321 TOSCO/FLEET SERVICES 7167460 12/06/00 PS-FUEL FOR VEHICLES 63.70 63.70 Voucher: Bank Code: key 157723 12/29/00 005326 KING COUNTY OFFICE OF PUBLI NOVEMBER20 12/14/00 MC-PUBLIC DEFENSE SCRE 8.26 8.26 Voucher: Bank Code: key 157724 12/29/00 005339 Voucher: 157725 12/29/00 005345 Voucher: 157726 12/29/00 005388 Voucher: 157727 12/29/00 005421 Voucher: 157728 12/29/00 005436 Voucher: 157729 12/29/00 005478 Voucher: 157730 12/29/00 005487 Voucher: 157731 12/29/00 005488 ~\ Voucher: LOWE'S HIW INC Bank Code: key PUGET POSTINGS Bank Code: key PURE WATER CORPORATION Bank Code: key BARGER, KENNETH Bank Code: key DBL DISTRIBUTING INC Bank Code: key LEBEL, SHELLEY Bank Code: key KATSPAN INC Bank Code: key PACIFIC BANK Bank Code: key 0024333812 11/28/00 PS-ICE SCRAPERS 0024334812 11/29/00 MC-PARTICLEBOARD/CASIN 0024340815 12/05/00 PWS-ELEC CONDUIT/S 320 0024340815 12/05/00 PKDBC-FLUOR LIGHTS 0024340815 12/05/00 PWS-PVC COUP/ELEC COND 0024341815 12/06/00 MC-LODESTONE,MODEL 468 0024342816 12/07/00 PWS-ELEC CONDUIT/S 320 0024342816 12/07/00 MC-BOA/~DS/SEALER SPRAY 0024343816 12/08/00 PS-ICE SCRAPERS 0024346818 12/11/00 MC-PLASTIC SHEET 0024347818 12/12/00 PWS-SDR PLUG GASKET FI 0024348818 12/13/00 PWS-GRASS SEED MIX 0024348819 12/13/00 PWS-WOOD FOLDING SAW 0024349819 12/14/00 PKRLS-REMODEL PROJECT 0024350819 12/15/00 PKKFT-CABLE/CLAMPS/STA 0024354821 12/19/00 PWS-SHOVELS/SAW 0024355821 12/20/00 SWM-SHOVELS 0024358823 12/23/00 MC-QUICK LINK/SCREWS 1351 12/15/00 MC-JURY MASTER IMPROVE 140505 10/31/00 PS-BOTTLED WATER/COOLE CA08615FW 12/14/00 DC-INTERPRETER:CA08615 2049972-00 11/29/00 PS-MICROCASSETTE RECOR DEC6-DEC9 12/11/00 PKRCS-REIM EVENT SUPPL NOVl-DEC20 12/20/00 PKRCS-REIMBURSE MILEAG 5:AG00-134 12/19/00 SWMCIP-SEATAC MALL DET 5:KATSPAN 12/19/00 SWMCIP-5% RETAINAGE:KA 24.14 50.29 276.78 25.98 5.58 27.37 47.48 31.36 12.71 13 . 52 6.26 70.49 30.26 26.06 203.78 82.34 77.89 12.88 2'~6.00 219.83 40.00 287.07 182.00 53.30 380,037.77 19,949.90 1,025.17 216.00 219.83 40.00 287.07 235.30 380,037.77 19,949.90 Page: 16 o chklst 13/28/2000 17:13:32 Check List CITY OF FEDERAL WAY Page: 17 Check Date Vendor Invoice Inv.Date Description Amount Paid Check Total 157732 12/29/00 005500 Voucher: 157733 12/29/00 005507 Voucher: 157734 12/29/00 005512 Voucher: 157735 12/29/00 005515 Voucher: 157736 12/29/00 005525 Voucher: 157737 12/29/00 005544 Voucher: 157738 12/29/00 005548 Voucher: 157739 12/29/00 005559 Voucher: 157740 12/29/00 005565 Voucher: 157741 12/29/00 005573 Voucher: 157742 12/29/00 005581 Voucher: 157743 12/29/00 005583 Voucher: 157744 12/29/00 005587 Voucher: 157745 12/29/00 005602 Voucher: 157746 12/29/00 005613 Voucher: 157747 12/29/00 005619 Voucher: CAMP FIRE BOYS & GIRLS Bank Code: key CLIFTON, THOMAS E Bank Code: key SAUNDERS, EVELYN Bank Code: key ACT NOW INC Bank Code: key OLBRECHTS, PHIL A Bank Code: key FALCON ASSOCIATES INC 3370 Bank Code: key NORTHWEST PUBLISHING CENTER 008021 Bank Code: key LASERLOCK SPECIALITIES Bank Code: key WELCOME COMMUNICATIONS Bank Code: key CDW GOVERNMENT INC Bank Code: key LE PENSKE, STEVE Bank Code: key PRAXAIR DISTRIBUTION INC Bank Code: key AVAYA INC Bank Code: key SPRINGWOOD ASSOCIATES 10863 Bank Code: key THE OLYMPIAN 279756 Bank Code: key DMCMA Bank Code: key 2312 11/28/00 PKRCS-BABYSITTING CLAS NOV1-DEC15 12/15/00 PKRCS-DANCE CLASSES NOVll-DEC2 12/11/00 PKCP-REMOVE SCOTCH BRM PS-~L~RTFIE 12/20/00 PS-CRIME ANALYSIS COUR DECll-DEC2 12/22/00 LAW-CIVIL MUNI ATTY SV 12/12/00 MSHR-AD:ENGNR PLANS RE 08/10/00 PKRCS-FALL BROCHURE 0165 09/19/00 PS-LASER MOUNTING DEVI 723 12/13/00 PS-TWO-WAY BATTERIES CX26336 12/08/00 MSDP-S0NY LAPTOP COMPU MAR10-JAN3 10/03/00 PKRCS-GALLERY EXHIBIT PC205720 11/28/00 PKM-FABRICATION MATERI 1203872144 12/12/00 MSTEL-SYS MAINT 12/06/00 PKC-CELEBRATION PK MIT 11/19/00 MS~R-AD:SWM PRGM COORD MC-WARTER 12/21/00 MC-MEMBER DUESS MC-ANDERSO 12/21/00 MC-MEMBER DUESS MC-GANLEY 12/21/00 MC~MEMBER DUESS MC-IWAMOTO 12/21/00 MC-MEMBER DUESS 256.00 1,193.20 100.00 495.00 1 320.00 498.24 4,661.78 454.00 411.09 3,846 16 100 00 31 07 1,852 94 3,387 25 949 62 100 00 25.00 25.00 25.00 256.00 1,193.20 100.00 495.00 1,320.00 498.24 4,661 78 454 00 411 09 3,846 16 100 00 31 07 1,852.94 3,387.25 949.62 Page: 17 o chklst 13/28/2000 17:13:33 Check List CITY OF FEDERAL WAY Page: 18 Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157747 12/29/00 005619 DMCMA (continued) 157748 12/29/00 005627 Voucher: 157749 12/29/00 005637 Voucher: 157750 12/29/00 005640 Voucher: 157751 12/29/00 005654 Voucher: 157752 12/29/00 005656 Voucher: 157753 12/29/00 005657 Voucher: 157754 12/29/00 005658 Voucher: 157755 12/29/00 005659 Voucher: 157756 12/29/00 005661 Voucher: 157757 12/29/00 005663 Voucher: 157758 12/29/00 005664 Voucher: 157759 12/29/00 005665 Voucher: UNIVERSITY OF WASHINGTON Bank Code: key CHEMSEARCH Bank Code: key BOTACH TACTICAL Bank Code:.key GEONORTH LLC Bank Code: key JIM'S DETAIL SHOP Bank Code: key DATABASE TECHNOLOGIES Bank Code: key INLAND TECHNOLOGY INC Bank Code: key A HIGHER PLANE Bank Code: key RELIABLE SECURITY SERVICES 14689 Bank Code: key NORTHWEST KALI ACADEMY Bank Code: key WHITMAN, FRANK Bank Code: key PERFORMANCE DYNAMICS Bank Code: key 157760 12/29/00 005666 CHOUGH, KWANG S Voucher: Bank Code: key MC-MORRELL 12/21/00 MC-MEMBER DUESS MC-HOFFMAN 12/21/00 MC-MEMBER DUESS MC-HANSON 12/21/00 MC-MEMBER DUESS MC-BRADY 12/21/00 MC-MEMBER DUESS MC-IBARRA 12/21/00 MC-MEMBER DUESS MC-VAVREK 12/21/00 MC-MEMBER DUESS 15068 11/28/00 MSHR-PS LIEUTENANT TES 572864 11/30/00 SWM-PARTS WASHER 52103 11/28/00 PS-PELICAN MIl:SWAT 000094 12/19/00 MSGIS-ARCVIEW GIS 3.2A 29381F 12/06/00 PS-CLEANING SVC #48520 29376F 12/05/00 PS-CAR CLEANING SVCS 10046F 12/20/00 PS-CLEANING SVC#48501 AB00001979 11/30/00 PS-AUTO TRACK XP ~%B00001819 10/31/00 PS-AUTO TRACK XP 44818 12/12/00 PS-DRUM/PARTSWASHER PKRLS-DEC 12/21/00 PKRLS-RESURFACE GYM FL 12/08/00 PS-REPAIR SERVICE:VCR PS-STRAY 11/19/00 PS-DEFENSIVE TACTICS SWM-SEP 8T 12/22/00 SWM-REIMBURSE WORKBOOT NOV2-NOV3 11/06/00 CDB-SEMINAR:NEGOTIATIO CM-DEC llT 12/11/00 CM-KOREAN INTERPRETER 25.00 100.00 25.00 25.00 25.00 25.00 400.00 5.90 5.9O 1,773.30 1,773.30 1,257.64 1,257.64 1,813.62 1,813.62 38.01 38.01 38.01 114.03 83.00 205.00 288.00 2,138.09 2,138.09 7,493.40 7,493.40 622.28 622.28 125.00 125.00 151.75 151.75 1,908.82 1,908.82 80.O0 80.00 Page: 18 Page: 19 Check List o chklst CITY OF FEDERAL WAY 13/28/2000 17:13:33 Check Date Vendor Invoice Inv. Date Description 157761 0o5667 vco P CS-D C 12/20/00 Voucher: Bank Code: key PKCHB-DEC 12/27/00 PKCHB-REPL CARPET/TILE 157762 12/29/00 005668 KOLKE, DESMOND D Voucher: Bank Code: key 157763 12/29/00 005672 Voucher: 157764 12/29/00 005673 Voucher: 157765 12/29/00 005674 Voucher: 157766 12/29/00 005676 Voucher: 157767 12/29/00 005677 Voucher: 157768 12/29/00 700024 Voucher: 157769 12/29/00 700811 Voucher: 157770 12/29/00 701984 Voucher: 157771 12/29/00 701985 Voucher: 157772 12/29/00 701986 Voucher: 157773 12/29/00 701988 Voucher: 157774 12/29/00 701989 Voucher: 157775 12/29/00 701990 Voucher: 157776 12/29/00 701991 Voucher: CASTRO, HEATHER Bank Code: key YODA MEDIA INC Bank Code: key CA13949 12/15/00 LAW-PUBLIC DEFENDER CA PS-DEC 1ST 12/22/00 PS-REIMBURSE:DUTY BOOT 00501057 11/30/00 PKKFT-AD:KFT EVENTS A001 12/18/00 MC-INTERPRETER:il/7-28 MERCADO, A/gNA M Bank Code: key FEDERAL WAY MEDICAL INVESTO BLD98-0345 12/22/00 SWM-GARDEN TERRACE BLD Bank Code: key OMNI ORRINGTON HOTEL 3214 12/06/00 PS-LODGING:MGMT TRNG C Bank Code: key WORLD VISION, ATTN: KARI HA C1447R7023 12/21/00 PKDBC-REFUND DAMAGE DP Bank Code: key LEE, GEORGE R Bank Code: key WORLD VISION Bank Code: key DAWN Bank Code: key CHI, JUDY Bank Code: key FEDERAL WAY CHURCH OF THE Bank Code: key PHOENIX NW PRESCHOOL Bank Code: key JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 C1396R6772 12/21/00 PKDBC-REFUND DAMAGE DP C1414R6932 12/21/00 PKDBC-REFUND DAMAGE DP C1469R7049 12/21/00 PKDBC-REFUND DAMAGE DP 02-28985 12/26/00 PW-REFUND BLD95-1012 02-28983 12/26/00 PW-REFUND BLD95-1012 C1477R7119 12/26/00 PKKFT-REFUiN-D DAMAGE DP JUROR ID 4 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 4 12/21/00 MC-JUROR FEE:12/18-21 YOUNG, LESLIE Bank Code: key Amount Paid Check Total 4,997.24 2,105.94 7,103.18 150.00 150.00 10~.00 100.00 425.00 425.00 297.50 297.50 22,800.00 22,800.00 3,150.72 3,150.72 35.78 35.78 26.50 26.50 150.00 150.00 150.00 150.00 150.00 150.00 447.00 975.00 1,422.00 68.55 68.55 13.25 13.25 12.60 12.60 ZWICKL, DANIEL J Bank Code: key ....................................................................................... Page: 19 o chklst 1~/28/20 O0 17:13:33 Check List CITY OF FEDERAL WAY Page: 20 Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157777 12/29/00 701992 PETERSON, JOYCE K JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 11 95 11.95 Voucher: Bank Code: key 157778 12/29/00 701993 Voucher: 157779 12/29/00 701994 Voucher: 157780 12/29/00 701995 Voucher: 157781 12/29/00 701996 Voucher: 157782 12/29/00 701997 Voucher: 157783 12/29/00 701998 Voucher: 157784 12/29/00 701999 Voucher: 157785 12/29/00 702000 Voucher: 157786 12/29/00 702001 Voucher: 157787 12/29/00 702002 Voucher: 157788 12/29/00 702003 Voucher: 157789 12/29/00 702004 Voucher: 157790 12/29/00 702005 Voucher: 157791 12/29/00 702006 Voucher: 157792 12/29/00 702007 Voucher: KLEIN, DARRIN K Bank Code: key MCKINLEY-LEWIS, KATHY Bank Code: key CULLEY, PAMELA MARIE Bank Code: key WILKERSON, JOH/~ WESLEY Bank Code: key COLE, ISABEL ANNE Bank Code: key WIMMER, TIMOTHY A Bank Code: key YOUNG, BRAD CARL Bank Code: key GAUNTLETT, HAROLD JOHN Bank Code: key LEE, CHRISTOPHER K Bank Code: key YOUNG, HENRY MCKINLEY Bank Code: key YOUNG, BROOKS ALLEN Bank Code: key UNGER, MARY ANN Bank Code: key CRAM, ROBERT W Bank Code: key LANGFORD, CAROL L Bank Code: key STEVENS, MIRIAM L Bank Code: key JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 11 95 10 65 14 55 10 65 11 95 13 25 13 25 13 25 ~1 30 13 25 13 25 11 30 11 95 14 55 27 80 11.95 10.65 14.55 10.65 11.95 13.25 13 25 13 25 11 30 13 25 13 25 11 30 11.95 14.55 27.80 Page: 20 o chklst 1~/28/2000 17:13:34 Check Date Vendor Check List CITY OF FEDERAL WAY Invoice Inv.Date Description Page: 21 Amount Paid Check Total 157793 12/29/00 702008 SMITH, BARBARA M JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 1=.95 . 11.95 Voucher: Bank Code: key 157794 12/29/00 702009 Voucher: 157795 12/29/00 702010 Voucher: 157796 12/29/00 702011 Voucher: 157797 12/29/00 702012 Voucher: 157798 12/29/00 702013 Voucher: 157799 12/29/00 702014 Voucher: 157800 12/29/00 702015 Voucher: 157801 12/29/00 702016 Voucher: 157802 12/29/00 702017 Voucher: 157803 12/29/00 702018 Voucher: 157804 12/29/00 702019 Voucher: 157805 12/29/00 702020 Voucher: 157806 12/29/00 702021 Voucher: 157807 12/29/00 702022 Voucher: 157808 12/29/00 702023 Voucher: COVLIN, KLAUDIA KAY Bank Code: key COLVIN, WANDA L Bank Code: key STUDLEY, TERESA LYNN Bank Code: key DOUGLAS, CAROL D Bank Code: key WALLER, JAMES P Bank Code: key GILLMORE, RICHARD D Bank Code: key KIM, GRACE KUI-HYUN Bank Code: key CATO, PAUL H Bank Code: key SATO, KEVIN Bank Code: key REUSCH, JACQUELYNE G Bank Code: key KINNEY, CORALEE P Bank Code: key YOUNG, GREGG W Bank Code: key CONDRY, HARRY F Bank Code: key VAN NATTA, HELEN M Bank Code: key MCLEOD, MICHAEL J Bank Code: key JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 21.30 11.30 21.30 23.90 23.90 22.60 25.20 13.25 25.20 26 50 23 90 26 50 26 50 23 90 26 50 21.30 11.30 21.30 23.90 23.90 22.60 25.20 13.25 25 20 26 50 23 90 26 50 26 50 23 90 26.50 Page: 21 Page: 22 Check List o chklst CITY OF FEDERAL WAY 13/28/2000 17:13:34 Invoice Inv. Date Description Check Date Vendor ...................... 157809 12/29/00 702024. WETZEL, MARY LOU JUROR ID 5 12/21/00 MC-JUROR FEE:12/18-21 Voucher: 157810 12/29/00 702025 Voucher: 157811 12/29/00 702026 Voucher: 157812 12/29/00 702027 Voucher: Bank Code: key COLLET, CINDY DEC15-DEC1 12/27/00 PKM-REIM BPA TRAIL SUP Bank Code: key TMORSTAD, DAVID 02-42116 12/27/00 CDB-REFUND 00-103431-0 Bank Code: key BUREAU OF JUSTICE ASSISTANC LLEBG GRAN 12/28/00 PS-97/98 LLEBG PSOB PR Bank Code: key 267 Checks in this report Amount Paid Check Total 26.50 26.50 351.24 351.24 93.60 93.60 22,481.00 22,481.00 Total Checks: 1,141,765-26 .................................... Page: 22 O chklst Check List 0~/12/20~1 07:08:24 CITY OF FEDERAL WAY Chec~ Date Vendor Invoice Inv. Date Description Amount Paid Check Total WOODSTONE CREDIT UNION 2000-09 12/05/00 PS-LEASE CONTRACT 1,792 00 '[ 1,792.00 Bank Code: key MORRIS PIHA REAL ESTATE SVC JAN 2001 01/03/01 PS/MC/pKoJAN LEASE PYM 26,061 24 26,061.24 Bank Code: key MORGAN, KENNETH ACADEMY EX 01/04/01 PS-FBI ACADEMY EXPENSE 600 00 600.00 Bank Code: key WA STATE-LICENSE DEPT/FED W MSFLT-4890 01/09/01 MSFLT-LICENSE/REG FEES 169 25 169.25 157813 01/03/01 003109 Voucher: 157814 01/03/01 001843 Voucher: 157815 01/04/01 003648 Voucher: 157816 01/09/01 000175 Voucher: 157817 01/12/01 000004 Voucher: 157818 01/12/01 000033 Voucher: 157819 01/12/01 000043 Voucher: 157820 01/12/01 000049 Voucher: Bank Code: key ASSOC OF WASHINGTON CITIES 17805 Bank Code: key FIRESAFE/FIRE & SAFETY, EQU 023331 Bank Code: key NEW LUMBER & HARDWARE COMPA 118324 Bank Code: key 118556 118611 118736 117480 117479 118872 118879 119005 118908 118828 PRESTON GATES & ELLIS LLP Bank Code: key 517268 12/07/00 MSA-INITIATIVE WORKSHO 12/07/00 PS-RESP MSA CARTRIDGE/ 12/18/00 PKRLS-REMODEL PROJECT 12/22/00 SWM-FIN HEX NUTS 12/26/00 SWM-BUNGEE 12/29/00 PKRLS-REMODEL PROJECT 11/30/00 MC-REPAIR SUPPLIES 11/30/00 MC-REPAIR SUPPLIES 01/03/01 PKRLS-SUPPLIES:REMODEL 01/03/01 PKRLS-REPAIR SUPPLIES 01/05/01 SWM-LIGHT METER KEY 01/03/01 PKM-FURNACE FILTERS 01/02/01 PKRLS-PAINT SUPPLIES:R 12/20/00 LAW-LEGAL SERVICES(A/E 45 00 292 73 ~0.50 4.49 30.38 20.95 6.73 13.47 3.31 38.82 9.27 31.45 31.82 214. 07 45.00 292.73 201.19 214.07 157821 01/12/01 000051 PUGET SOUND ENERGY INC 303-218-10 12/15/00 PKM-ELECTRICITY/GAS CH 5.47 Voucher: Bank Code: key 954-567-10 12/21/00 PKM-ELECTRICITY/GAS CH 5.47 190-977-00 12/28/00 PWT-STREET LIGHTING 167.48 736-169-10 12/29/00 PWT-STREET LIGHTING 125.38 993-440-20 12/26/00 PWT-STREET LIGHTING 199.42 177-159-10 01/04/01 PKM-ELECTRICITY/GAS CH 5.47 157822 01/12/01 000076 WFOA-WA FINANCE OFFICERS AS MSF-MOSLEY 12/20/00 MSF-MEMBER DUES:MOSLEY 50.00 Voucher: Bank Code: key MSF-KRAUS 12/20/00 MSF-MEMBER DUES:KRAUS 50.00 MSA-WANG 01/10/01 MSA-MEMBER DUES:WANG 50.00 157823 01/12/01 000089 NEWS TRIBUNE 326612 12/31/00 CM-1 YR SUBSCRIPTION 96.00  Voucher: Bank Code: key Page: 1 508.69 150.00 96.00 o chklst 0~/12/2001 07:08:26 Check Date Vendor 157824 01/12/01 000096 LAKEHAVEN UTILITY DISTRICT Voucher: Bank Code: key 157825 01/12/01 00'0101 PETTY CASH Voucher: Bank Code: key 157826 01/12/01 000104 Voucher: LOGREYRA, EDELINE M Bank Code: key 157827 01/12/01 000106 Voucher: 157828 01/12/01 000109 Voucher: 157829 01/12/01 000125 Voucher: 157830 01/12/01 000155 Voucher: 157831 01/12/01 000190 · . Voucher: 157832 01/12/01 000201 Voucher: Check List CITY OF FEDERAL WAY Page: 2 Invoice Inv. Date Description Amount Paid Check Total 3033601 12/22/00 PKM-WATER/SEWER SVCS 79.26 .'. 79.26 009642 01/11/01 CDA-REIM PETTY CASH 157833 01/12/01 000202 Voucher: 157834 01/12/01 000205 Voucher: 157835 01/12/01 000303 Voucher: 157836 01/12/01 000328 Voucher: CA10092FW 12/13/00 DC-INTERPRETER:CA10092 CAl1785FW 12/22/00 DC-INTERPRETER:CAll785 SELECT TRAVEL INC Bank Code: key ACTIVE SECURITY CONTROL (DB 12354 Bank Code: key 12361 KING COUNTY FINANCE DIVISIO 0092747 Bank Code: key 0092746 1031025 01/03/01 PS-AIRFARE:M KURKOVA 12/18/00 PS-LOCKING HANDLE/LATC 12/29/00 PS-LOCKSMITH SERVICES 11/22/00 PWT-KC SIGNS/SIGNAL MA 11/22/00 PWT-KC SIGNS/SIGNAL MA FEWINS, GREG CDPL-CON F 01/05/01 CDPL-REIM APA CONF FEE Bank Code: key APA-AMERICAN PLANNING ASSOC 116439 12/15/00 CDLU-MEMBER DUES:HARRI Bank Code: key 084901 12/15/00 CDLU-MEMBER DUES:BARKE KINKO'S INC 5151000546 12/29/00 PS-QUARTERMASTER FORMS Bank Code: key 5151000545 12/27/00 MSA-PRINTING SERVICES 5151000547 01/09/01 PKM-PRINTING SERVICES 5151000547 01/09/01 PS-PRINT:INCIDENT REPO 5151000547 01/09/01 PWS-PRINTING SERVICES 5151000546 01/02/01 PS-PRINT:CRIME STOPERS 5151000546 01/04/01 PS-PRINT:#93 FORM 5151000547 01/05/01 PKCP-PRINTING SERVICES 253-630-15 11/29/00 MC-FAX MACHINE CHARGES 253-630-15 12/29/00 MC-FAX MACHINE CHARGES 206-T51-61 12/23/00 MSTEL-PHONE/DATA SVC 066298 01/02/01 MSFLT-STARTER/WATER PU QWEST Bank Code: key GOODYEAR TIRE CENTER Bank Code: key WAPELRA Bank Code: key ERNIE'S FUEL STOPS (DBA) Bank Code: key 229.95 229.95 MS-MCDOUGA 01/08/01 MSHR-2001 MEMBER DUES 40.00 40.00 264.50 80.00 264.50 471.09 65.33 536.42 2,996.03 32,164.39 470.00 35,160.42 470.00 187.00 166.00 353.00 108.60 45.07 8.15 351.32 .51.48 48.33 58.37 21.72 20.58 20.58 1,702.10 676.21 693 . 04 1,743.26 676.21 150.00 150.00 0064475 11/30/00 PS-FUEL FOR VEHICLES. 5,847.88 0065550 12/15/00 PS-FUEL FOR VEHICLES 4,287.83 0066625 12/31/00 MSFLT-FUEL FOR VEHICLE 973.24 0066626 12/31/00 PS-FUEL FOR VEHICLES 3,630.75 14,739.70 Page: 2 o chklst Check List Page: 3 0~/12/20ql 07:08:26 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157837 01/12/01 000332 ABC LEGAL MESSENGERS INC 00-0035550 12/31/00 LAW-DEC MO MESSENGER C 226.00 226.00 Voucher: Bank Code: key 157838 01/12/01 000351 SEATTLE TIMES-SUBSCRIPTIONS 40680431 12/26/00 PS-3 MO SUBSCRIPTION 26.65 26.65 Voucher: Bank Code: key 157839 01/12/01 000370 MCCLUNG, KATHY CDA-CONF F 01/05/01 CDA-REIM APA CONF FEE 435.00 435~00 Voucher: Bank Code: key 157840 01/12/01 000375 WSBA-WA STATE BAR ASSOCIATI 16419 01/09/01 LAW-BAR DUES 2001-PAR 343.76 Voucher: Bank Code: key 28242 01/09/01 LAW-BAR DUES 2001-GSP 267.69 24642 01/09/01 LAW-BAR DUES 2001-VAG 325.30 19514 01/09/01 LAW-BAR DUES 2001-BCS 343.76 1 280.51 157841 01/12/01 000376 KING COUNTY WATER & L~ND DI SWM 2002-2 12/22/00 SWM-UTILITY BILLINGS/C 11,601.20 11 601.20 Voucher: Bank Code: key 157842 01/12/01 000428 WRPA-WA REC & PARK ASSOC PKA-JAINGA 10/26/00 PKA-2001 MEMBER DUES:J 120.00 Voucher: Bank Code: key PKA-SCHROD 12/15/00 PKA-2001 MEMBER DUES:S 150.00 270.00 DELI SMITH & CMOCOLATE JONE 3735 01/04/01 PS-LUNCH:OFFCER INTERV 22.75 22.75 157843 01/12/01 000438 Voucher: 157844 01/12/01 000504 Voucher: 157845 01/12/01 000514 Voucher: 157846 01/12/01 000519 Voucher: 157847 01/12/01 000564 Voucher: 157848 01/12/01 000568 Voucher: 157849 01/12/01 000570 Voucher: 157850 01/12/01 000588 Voucher: Bank Code: key ORIENTAL GARDEN CENTER Bank Code: key WA STATE-STATE REVENUES Bank Code: key JOBS AVAILABLE INC Bank Code: key. KING COUNTY PET LICENSE Bank Code: key AGRI SHOP INC Bank Code: key 074877 DEC 2000 026O49 12/07/00 PKM-MOLE TRAPS 01/04/01 MSF-REMIT STATE FEES 12/18/00 MSHR-AD:ENGNR PLANS RE DEC 2000 B 01/04/01 MSF-REMIT KC PET FEES 01 943089 12/20/00 SWMM-CUTTER BAR EAGLE TIRE & AUTOMOTIVE (DB 1007938 12/14/00 PS-BRAKES/TIRE REPAIR: Bank Code: key TACOMA PUBLIC UTILITIES Bank Code: key 005-224-60 12/29/00 PKDBC-WATER SERVICE 008-280-50 12/29/00 PKDBC-WATER SERVICE 008-227-18 12/29/00 PKKFT-FIRE SPRINKLER 007-307-50 01/04/01 PKM-FACILITY WATER 38.09 50,250 80 193 20 162 O0 203 08 204 92 329 52 147.46 41.26 153.40 38 O9 50 250 80 193 20 162 O0 203 08 204 92 671.64 19.38 157851 01/12/01 000618 UNITED HORTICULTURAL SUPPLY 7913209 12/22/00 PWS-ANTI FOAM-DEICE LI 19.38 Voucher: Bank Code: key Page: 3 o chklst Check List Page: 4 0~/12/2001 07:08:26 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157852 01/12/01 000660 WOODWORTH & COMPASPf INC 131658 12/19/00 SWM-HOTMIX ASPHALT 400.90 · 400.90 Voucher: 157853 01/12/01 000708 Voucher: 157854 01/12/01 000721 Voucher: 157855 01/12/01 000723 Voucher: 157856 01/12/01 000771 Voucher: 157857 01/12/01 000790 Voucher: 157858 01/12/01 000808 Voucher: 157859 01/12/01 000851 Voucher: 157860 01/12/01 000885 Voucher: 157861 01/12/01 000920 Voucher: 157862 01/12/01 000923 Voucher: 157863 01/12/01 000951 Voucher: 27.50 32.25 2 007.00 1 174.30 35.10 41.54 192.48 2 216.31 244.25 222.41 2~2.87 '59.93 62.92 162.90 457.38 Bank Code: key NRPA-NAT'L REC & PARK ASSOC 62805 Bank Code: key AMERICAN CONCRETE INC 0070295 Bank Code: key SOUND RESOURCE MGMT GROUP I FWP-004 Bank Code: key COSTCO/HRS USA Bank Code: key SEATTLE POST-INTELLIGENCER Bank Code: key PLATT ELECTRIC SUPPLY Bank Code: key WA STATE-PATROL Bank Code: key PA~{KER PAINT MANUFACTURING Bank Code: key PAPER DIRECT INC Bank Code: key FURNEY'S NURSERY INC Bank Code: key CITY OF FEDERAL WAY Bank Code: key 27.50 32.25 2,007.00 1,174.30 35.10 234.02 2,216.31 466.66 325.72 162.90 457.38 01/04/01 PKA-BOOK:MEASURING ECO 01/04/01 SWM-4/8~ CRUSHED ROCK 12/30/00 PWSWR-SOLID WASTE/RECY 7300000209 12/26/00 MSF-NOV30/DEC19 SUPDLI 50680432 12/24/00 PS-3 MO SUBSCRIPTION 9429753 12/21/00 PKM-LIGHTING SUPPLIES 9449351 12/25/00 PKCHB-LIGHTING SUPPLIE 00009937 01/14/01 MSDP-DATA STATION SVC 711033 12/27/00 PKRLS-PAINT:REMODEL PR 709841 12/21/00 PKRLS-PAINT:REMODEL PR 3306523200 12/28/00 MSF-2001 BUDGET COVERS 3306334100 12/26/00 CM-CERT DAPER:MLK EVEN 3306745301 01/02/01 CM-CERT JACKETS:MLK EV 30032 11/30/00 SWM-ARBORVITAE TREES 2:QUAL FEN 12/26/00 SWM-5% RETAINAGE:QUALI 12/15/00 LAW-BOOKS AMER DISABIL 01/10/01 MSF-1YR GASB COMP PLAN 157864 01/12/01 000960 MATTHEW BENDER & COMPANY IN 89582438 70.48 70.48 Voucher: Bank Code: key 157865 01/12/01 000964 Voucher: GASB-GOVT ACCTNG STANDARDS 638230019 Bank Code: key 160.00 657.00 21.71 42.89 516.39 157866 01/12/01 000966 Voucher: INPRA-INT'L NW PARKS/REC AS PKM-REUTER 01/04/01 PKM-ADMIN ACADEMY CONF Bank Code: key 12/28/00 MSFLT-JUMPER CABLES #4 01/04/01 MSFLT-AIR INFLATOR:TIR 12/08/00 PS-TIRE CHAINS k~?~15~867 01/12/01 001052 GEN-JINE PARTS COMPANY 553485 Voucher: Bank Code: key 554749 550006 160.00 657.00 Page: 4 o chklst Check List Page: 5 0~/12/20Q1 07:08:26 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157867 01/12/01 001052 GENUINE PARTS COMPANY (continued) 551185 12/14/00 MSFLT-HE~LDLIGHTS/STRAP 33.74 ": 614.73 157868 01/12/01 001110 AMAYA ELECTRIC 6079-22B 12/31/00 PKM-ELECTRICAL REPAIR 121.52 Voucher: Bank Code: key 6079-22A 12/31/00 PKRLS-ELEC SVC:REMODEL 127.41 248.93 157869 01/12/01 001127 COMMUNITY HEALTH CENTERS Q4:AG99-73 12/29/00 CDBG-DENTAL ACCESS PRO 2,500.00 2,500.00 Voucher: Bank Code: key 157870 01/12/01 001131 EVERGREEN AUTO ELECTRIC INC 100137 01/07/01 MSFLT-ROTATER LIGHTS/W 1,107.13 Voucher: Bank Code: key 100138 01/09/01 MSFLT-WIRING/LIGHT BAR 500.62 1,607.75 157871 01/12/01 001139 RED WING SHOE STORE 1736-3 12/27/00 PWS-WORK SHOES:FOSTER 147.48 Voucher: Bank Code: key 1736-2 12/27/00 PWS-WORK SHOES:EMTER 147.48 1753 01/02/01 PWA-WORK SHOES:C ROE 156.93 451.89 157872 ~1/12/01 001189 PETTY CASH 009631 01/09/01 CM-REIM PETTY CASH 121.27 121.27 Voucher: Bank Code: key 157873 01/12/01 001194 AMERICAN HOSE & FITTINGS IN 532961-001 12/21/00 PKM-DURO FLEX HOSE 485.95 485.95 Voucher: Bank Code: key 157874 01/12/01 001233 A T & T BUSINESS SERVICE 0510645149 12/15/00 MSTEL-LONG DISTANCE SV 24.04 Voucher: Bank Code: key 0510691538 12/15/00 MSTEL-LONG DISTANCE SV 20.53 0584942394 12/21/00 MSTEL-LONG DISTANCE SV 27.08 71.65 157875 01/12/01 001234 MCCARTHY CAUSSEAUX ROURKE I 9025-00M 12/29/00 MSC-HEARING EXAMINER S 1,379.90 1,379.90 Voucher: Bank Code: key 157876 01/12/01 001259 KING COUNTY CRIME VICTIMS F DEC 2000 01/04/01 MSF-REMIT CRIME VICTIM 1,'~22.14 1 022.14 Voucher: Bank Code: key 157877 01/12/01 001267 TOP FOODS HAGGEN INC 86525 12/27/00 PKRCS-PROGRAM SUPPLIES 106.25 106.25 Voucher: Bank Code: key 157878 01/12/01 001275 CLARK, MARGARET CDPL-CON F 01/05/00 CDPL-REIM APA CONF FEE 470.00 470.00 Voucher: Bank Code: key 157879 01/12/01 001436 TREE RECYCLERS 01221 12/21/00 PKM-TREE REMOVAL SVCS 477.84 Voucher: Bank Code: key 01227 12/27/00 PKM-TREE REMOVAL SVCS 597.30 1 075.14 157880 01/12/01 001470 ALLTELL COMMUNICATION PRODU 1679765 12/18/00 MSDP-CAT5 PVC WIRE 955.68 955.68 Voucher: Bank Code: key 157881 01/12/01 001481 CH2M HILL NORTHWEST INC 3248610 12/20/00 PWS-S 312TH TO S 324TH 14,675.12 Voucher: Bank Code: key 3248740 12/21/00 PWSCIP-PACIFIC HWY SO 10,403.16 25 078.28 157882 01/12/01 001563 JDK SMALL ENGINE REPAIR INC J3490693 11/15/00 PWS-FIX KILL SWITCH, B 69.50 69.50 Voucher: Bank Code: key Page: 5 o chklst Check List Page: 6 0~/12/2001 07:08:26 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 157883 01/12/01 001572 WA STATE-LICENSING DEPARTME LAW-B/L IN 01/09/01 LAW-B/L RECORD SEARCH 4.00 4.00 Voucher: Bank Code: key 157884 01/I2/01 001612 POLLARD GROUP INC 50483 Voucher: Bank Code: key 50244 50332 157885 01/12/01 001618 Voucher: 157886 01/12/01 001748 Voucher: 157887 01/12/01 001793 Voucher: 157888 01/12/01 o018o5 Voucher: 157889 01/12/01 001856 Voucher: 157890 01/12/01 001879 Voucher: 157891 01/12/01 001891 Voucher: 157892 01/12/01 001893 Voucher: 157893 01/12/01 001902 Voucher: 157894 01/12/01 001950 Voucher: 157895 01/12/01 001990 Voucher: 157896 01/12/01 002044 Voucher: 157897 01/12/01 002087 Voucher: SPEEDY AUTO & WINDOW GLASS I047861 Bank Code: key EVERSON'S ECONO-VAC INC Bank Code: key 01/04/01 MSC-BUS LICENSE FORM 12/19/00 MSM&D-BUSINESS CARDS 12/27/00 MSM&D-BUSINESS CARDS 11/28/00 PS-WINDSHIELD REPAIR 197.33 94 . 57 94 .57 317.48 013534 12/20/00 SWM-VACUUM/JET RODDING 11,367.02 013535 12/20/00 SWM-VACUUM/JET RODDING 2,065.99 MICROFLEX INC 00012781 01/02/01 MSA-TAX AUDIT PROGRAM 193.42 Bank Code: key VADIS NORTHWEST Bank Code: key 12/31/00 PKM-LITTER CONTROL PRO 12/31/00 SWM-STREET SWEEPING SV 00011694 ACTION SERVICES CORPORATION 31594 Bank Code: key EARTH TECH INC Bank Code: key 39628-1397 10/02/00 PKC-SKATE PARK ENGINEE 39628-1486 12/14/00 PKC-SKATE PARK ENGINEE 01/01/01 MSCOM-MUSIC ON-HOLD ON-HOLD CONCEPTS INC Bank Code: key 064633 FEDERAL WAY SCHOOL DISTRICT SIF-DEC 20 01/04/01 MSF-REMIT IMPACT FEES Bank Code: key MYERS MASTER LAWN CARE 3308 Bank Code: key 3309 GOVERNING/TREND PUBLICATION 903581015 01/01/01 PKM-LANDSCAPE MAINT SV 01/01/01 PKM-LANDSCAPE MAINT SV 12/14/00 CM-1 YR SUBSCRIPTION 12/28/00 PKRLS-CARPET RENTAL 113/0500 4,225.00 2,961.20 215.40 430.80 228.00 3,955.00 1,538 .28 1,748 .55 39.95 63.03 Bank Code: key WESTERN LINEN/WELCOME MAT Bank Code: key PACIFIC SAFETY SUPPLY INC Bank Code: key WHITMAN & ASSOCIATES INC Bank Code: key 103731 12/21/00 PWS-8 ROAD SIGNS W/STA 1,233.34 00-1254 12/22/00 PKCHB-CARPET CLEANING 189.00 00-1255 12/22/00 PKCHB-CARPET CLEANING 757.90 00-1252 12/22/00 PKM-CARPET CLEANING SV 317.90 00-1251 12/22/00 PKM-CARPET CLEANING SV 97.90 386 .47 317.48 13 433 . 01 193 .42 4 225.00 2 961.20 646 .20 228 . 00 3 955.00 3 286.83 39.95 63.03 1,233.34 1,362.70 Page: 6 O chklst 0~/12/2001 07:08:26 Check List CITY OF FEDERAL WAY Page: 7 Check Date Vendor Invoice Inv.Date Description Amount Paid Check Total ............................................................................................ 5,000.00 157898 01/12/01 002093 R3%LEIGH, SCHWARZ & POWELL I 85134 11/02/00 MSRM-INSURA/qCE BROKER 5,000.00 .: Voucher: 157899 01/12/01 002366 Voucher: 157900 01/12/01 002379 Voucher: 157901 01/12/01 002386 Voucher: 157902 01/12/01 002405 Voucher: 157903 01/12/01 002426 Voucher: 157904 01/12/01 002547 Voucher: 157905 01/12/01 002548 Voucher: 157906 01/12/01 002557 Voucher: 157907 01/12/01 002781 Voucher: 157908 01/12/01 002898 Voucher: 157909 01/12/01 002916 Voucher: 15.7910 01/12/01 003035 Voucher: 157911 01/12/01 003085 Voucher: 157912 01/12/01 003090 Voucher: 157913 01/12/01 003109 Voucher: Bank Code: key ESM CONSULTING ENGINEERS LL 37574 Bank Code: key PACIFIC TOPSOILS INC 20202 Bank Code: key 20010 PAWLAK, SUSAN CA13110FW Bank Code: key Bank Code: key W W GRAINGER INC Bank Code: key SPRAGUE PEST CONTROL 1-87657 Bank Code: key PETTY CASH FUND-PARKS MAINT 009614 Bank Code: key CARLSON, AURORA 12/22/00 CDBG-INTERNATL DISTRIC 3,456.88 3,456.88 12/26/00 PWS-SANDY LOAM/DRY S0I 196.60 12/16/00 PWS-SANDY LOAM/DRY SOI 16.21 212.81 01/05/01 DC-INTERPRETER:CA13110 35.00 35.00 7744 12/27/00 PKRCS-PROGRAM SUPPLIES 8720 01/05/01 PKRLS-CAN LINERS/LOTIO 755-664094 12/21/00 PKM-FUNLAND STL CHAIN 01/01/01 PKDBC-PEST CONTROL SVC 01/08/01 PKM-REIM PETTY CASH AUG25-DECl 01/08/01 MSHR-EDUCATION ASSISTA Bank Code: key IACP Bank Code: key CANBER CORPS 13817 Bank Code: key GUIDANCE SERVICES INC S22628 Bank Code: key TECHNOLOGY INTEGRATION GROU 710925 Bank Code: key 710902 ARTCO CRAFTS 1843 Bank Code: key WOODSTONE CREDIT UNION Bank Code: key SMITH PUBLISHERS LLC, M LEE 5785454-R4 11/28/00 LAW-WA EMPLOYMENT LAW 147.00 Bank Code: key 6642259-B1 12/19/00 MSHR-13 ISSUES/LAW LTR 213.50 360.50 UNITED GROCERS CASH & CARRY 7893 12/28/00 PKRLS-PAPER TOWELS/MIS 43.93 39.34 53.75 207 57 92 31 7 35 483 20 483.20 100 00 100.00 316 24 316.24 792 00 792.00 384 44 1,719.14 2,103.58 27.33 27.33 2001-01 1,792.00 1,792.00 1569008 01/09/01 PS-MEMBER DUES:WILSON 12/27/00 PKCHB-LANDSCAPE MAINT 01/02/01 MSA-TEMP OFFICE HELP 12/28/00 MSDP-WESTERN DIGITAL 2 12/28/00 MSDP-CD ROM DRIVE/MOUS 11/13/00 PKRCS-PROGRAM SUPPLIES 01/05/01 PS-LEASE CONTRACT 137.02 207 . 57 92.31 7.35 Page: 7 O chklst Check List Page: 8 0~/12/2001 07:08:27 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv.Date Description 157914 01/12/01 003129 AMS LASER SUPPLY 307861 12/29/00 MSDP-PRINTER TONER Voucher: 157915 01/12/01 003170 Voucher: 157916 01/12/01 003211 Voucher: 157917 01/12/01 003325 Voucher: 157918 01/12/01 003341 Voucher: 157919 01/12/01 003444 Voucher: 157920 01/12/01 003460 Voucher: 157921 01/12/01 003487 Voucher: 157922 01/12/01 003521 Voucher: 157923 01/12/01 003565 Voucher: 157924 01/12/01 003596 Voucher: 157925 01/12/01 003645 Voucher: 157926 01/12/01 003718 Voucher: 157927 01/12/01 003766 Voucher: 157928 01/12/01 003825 Voucher: Bank Code: key 307862 307767 251472 251471 MODERN SECURITY SYSTEMS INC 27742 Bank Code: key IRON MOUNTAIN/SAFESITE INC 445021020 Bank Code: key CHUCKALS INC Bank Code: key KING COUNTY CONSTRUCTION Bank Code: key WEST CAMPUS CLEANERS Bank Code: key PIEL, ROBERT Bank Code: key PAYNTER, JEFF Bank Code: key WILSON, GREG Bank Code: key BEL CUSTOM CLEANERS (DBA) 1453 Bank Code: key HANSEN INFOPJ~ATION TECH INC 10012SM Bank Code: key AMERICAN JA/qITORIAL SERVICE 1305 Bank Code: key 1303 12/29/00 MSDP-PRINTER TONER 12/27/00 MSDP-PRINTER TONER 01/03/01 MSDP-CREDIT:INV 305707 01/03/01 MSDP-CREDIT:INV 307673 12/28/00 PKM-ALARM MONITORING S 12/31/00 MSC-RECORDS STORAGE SV 140966-1 12/29/00 MC-STANDING LECTERN NOV/DEC PK 01/06/01 PS-COURTHOUSE PKG FEES DEC1-DEC30 01/10/01 PS-UNIFORM CLEANING PS-JAN 3RD 01/03/01 PS-REIM CLOTHING ALLOW DEC17-DEC2 01/04/01 PS-REIM MILEAGE:TRNG AUG28-DEC1 01/08/01 MSHR-EDUCATION ASSISTA 12/06/00 PS-UNIFORM DRY CLEANIN 10/31/00 MSDP-A~NNUAL SVC/MAINT 12/30/00 PKDBC-JANITORIAL MAINT 12/27/00 PKDBC-JANITORIAL MAINT JENKINS, HARDY & ASSOC, PLL 1999/20005 12/31/00 LAW-PUBLIC DEFENDER SV Bank Code: key TUCCI & SONS INC 12836 12/27/00 PWS-ASPHALT MIX Bank Code: key WA STATE-TRANSPORTATION PEP JA4020L008 12/12/00 PWS-SIGNAL REVIEW SRS0 Bank Code: key Amount Paid Check Total 151.93 .~ 105.29 227.90 -249.67 -75.97 159.48 30.00 30.00 509.11 509.11 217.61 217.61 35.00 35.00 599.36 599.36 275.00 275.00 175.50 175.50 439.20 439.20 2,211.64 2,211.64 2,000.00 2,000.00 100.00 266.00 366.00 1,552.00 1,552.00 640.12 640.12 1,204.02 1,204.02 ....................................................................................... Page: 8 o chklst 0r/12/20~1 07:08:27 Check Date Vendor Check List CITY OF FEDERAL WAY Invoice Inv. Date Description Page: 9 Amount Paid Check Total 157929 01/12/01 003831 GSR POLYGRAPH SERVICES 00-030 12/31/00 PS-POLYGRAPH EXAMS 250.00 250.00 Voucher: Bank Code: key J 157930 01/12/01 003908 INTERNATIONAL ASSOCIATION F 9866 12/18/00 PS-MEMBER DUES:ELSASSE 40.00 40.00 Voucher: Bank Code: key 157931 01/12/01 003948 EDGEWOOD FIREPLACE SHOP INC 16647 12/20/00 PWS-EQUIPMENT REPAIR 83.48 Voucher: Bank Code: key 16475 11/30/00 PWS-EQUIPMENT REPAIRS 56.79 16662 12/22/00 PWS-CUT OFF BLADES 15.07 16503 12/05/00 PWS-CUTTER BLADES 162.77 318.11 157932 01/12/01 004004 PACIFIC COAST FORD INC PS-JAN 200 01/10/01 PS-LEASE CONTRACT 1,532.97 1,532.97 Voucher: Bank Code: key 157933 01/12/01 004043 QUALITY FENCE BUILDERS INC 2:AG00-164 12/26/00 SWM-2000 FENCING PROJE 9,476.81 9,476.81 Voucher: Bank Code: key 157934 01/12/01 004084 COUNTRY GREEN TURF FARMS 107108 12/08/00 PWS-S 320 TREE REPLACE 820.80 Voucher: Bank Code: key 107281 12/15/00 PWS-S 320 TREE STAKES 65.88 886.68 157935 01/12/01 004090 CREATIVE MINDS 134793 12/15/00 PKRCS-PROGRAM SUPPLIES 294.56 294.56 Voucher: Bank Code: key 157936 01/12/01 004093 QWEST INTERPRISE D08-6046-0 12/19/00 MSTEL-DATA COMM LINES 429.75 429.75 Voucher: Bank Code: key 157937 01/12/01 004096 JOHNSON CHRISTIE ANDREWS, & 108-990030 12/05/00 PS-LEGAL SERVICES 8,731.50 8,731.50 Voucher: Bank Code: key 157938 01/12/01 004128 MINUTEMAN PRESS INTERNATION 3777 12/22/00 CM-PRINT DIVERSITY BRO '~99.95 Voucher: Bank Code: key 3788 01/04/01 MSHR-300 JOB BROCHURES 292.56 592.51 157939 01/12/01 004166 CSCDHH 201998 12/31/00 DC-INTERPRETER SVC 11/ 587.50 Voucher: Bank Code: key 200711 05/31/00 DC-INTERPRETER:CA10771 12.50 600.00 157940 01/12'/01 004182 MCDONOUGH & SONS INC 114161 12/31/00 PKM-PARKING LOT SWEEPI 467.48 467.48 Voucher: Bank Code: key 157941 01/12/01 004258 WA STATE-DEPT OF LICENSING DEC4-DEC29 01/06/01 PS-REMIT CPL FEES 432.00 Voucher: Bank Code: key DEC30-JAN2 01/06/01 PS-REMIT CPL FEES 54.00 486.00 157942 01/12/01 004270 FEDERAL WAY MIRROR 002685 12/09/00 MSC-ORDINANCE 00-379 110.80 Voucher: Bank Code: key 002698 12/16/00 MSHR-AD:SWM INSPECTOR 110.80 002699 12/16/00 MSHR-~LD:COURT CLERK I 110.80 002700 12/16/00 MSHR-AD:ASSISTANT CITY 110.80 002701 12/16/00 MSHR-AD:SWM ENGINEER 110.80 ~ 002702 12/16/00 MSHR-AD:ENGR PLANS REV 138.50 002706 12/20/00 MSC-AD:VACANCY NOTICE 138.50  002711 12/23/00 MSC-ORDINANCE 00-380 83.10 Page: ~ o chklst Check List Page: 10 0~/12/2001 07:08:27 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv.Date Description Amount Paid Check Total ........................................................................... ~ (continued) 157942 01/12/01 004270 FEDERAL WAY MIRROR ~' 002662 12/02/00 MSHR-AD:ENGR PLANS REV 138.50 002684 12/09/00 MSHR-AD:CITY PROSECUTO 110.80 002690 12/13/00 MSHR-AD:ASSIST CITY AT 106.80 002691 12/13/00 MSHR-AD:CITY PROSECUTO 106.80 002683 12/09/00 MSHR-~2D:ASSIST CITY AT 110.80 1,487.80 157943 01/12/01 00~279 LEXIS PUBLISHING U31913 12/27/00 LAW-BOOKS WA ADMIN LAW 67.20 Voucher: Bank Code: key U15176 12/18/00 LAW-BOOKS WA ADMIN LAW 88.76 155.96 157944 01/12/01 004298 KOSOFF~ROACH, MELANIE E OCT-DEC18 12/29/00 PKRCS-GYMNASTIC INSTRU 6,358.52 6,358.52 Voucher: Bank Code: key 157945 01/12/01 004317 RITZ CAMERA ONE HOUR PHOTO 1026009060 12/24/00 PS-PHOTO SUPPLIES/SVC 84.54 Voucher: Bank Code: key 1026004730 12/19/00 PS-PHOTO SUPPLIES/SVC 1.62 1026011050 12/28/00 PS-LITHUM 4/PACK W CAS 65.05 151.21 157946 01/12/01 004366 FLOYD EQUIPMENT COMPANY DBA 11554 12/21/00 SWM-ALUM SQUARE TUBES 56.91 56.91 Voucher: Bank Code: key 157947 01/12/01 004389 PNTA-PACIFIC NORTHWEST THEA 51981 12/28/00 PKKFT-THEATRE EQUIPMEN 1 616.25 Voucher: Bank Code: key 51982 12/28/00 PKKFT-THEATRE EQUIPMEN 156.38 1,772.63 157948 01/12/01 004394 NORTHWEST COMPUTER SUPPLIES 00099503 11/13/00 MSDP-TONER/CLEANI~G SU 3 479.78 3,479.78 Voucher: Bank Code: key 157949 01/12/01 004395 CONSOLIDATED ELECTRICAL, DI 8073-07934 12/28/00 PKKFT-THEATRE SUPPLIES 141 79 141.79 Voucher: Bank Code: key 157950 01/i2/01 004481 INTERSCAPES INC 2074 01/01/01 PKCHB-PLA~NT MAINT SVCS 135 75 135.75 Voucher: Bank Code: key .~ 157951 01/12/01 004529 CENTER FOR CRIMINAL JUSTICE PS-TRAININ 01/02/01 PS-FIELD EVID TECH COU 1,162 00 1,162.00 Voucher: Bank Code: key 157952 01/12/01 004541 AMTEST INC 13421 11/30/00 SWM-WATER QLTY ANALYTI 1 422 00 1,422.00 Voucher: Bank Code: key 157953 01/12/01 004544 TRAPPER JENSEN 70983 11/10/00 PKA-COYOTE SET UP/REMO 425 00 425.00 Voucher: Bank Code: key 157954 01/12/01 004553 WA STATE-OFFICE OF MINORITY OMWBE COST 12/21/00 MSHR-OMWBE COSTS:1999- 313 14 313.14 Voucher: Bank Code: key 157955 01/12/01 004594 LIM, VANNARA S 00K-12-011 01/06/01 MC-INTERPRETER:CA18957 101 25 101.25 Voucher: Bank Code: key 15~956 01/12/01 004598 RHITHRON BIOLOGICAL ASSOCIA l:AG00-55 12/19/00 PWSWM-SAMPLE ANALYSIS 1,125 00 1,125.00 Voucher: Bank Code: key Page: 10 o chklst Check List Page: 11 0~/12/200.1 07:08:27 CITY OF FEDER~J~ WAY Check Date Vendor Invoice Inv.Date Description Amount Paid Check To~al 157957 01/12/01 004628 WA STATE PATROL IDENTIFICAT DEC6-DEC21 01/06/01 PS-REMIT CPL FEES 192.00 'i Voucher: Bank Code: key DEC30-DEC3 01/06/01 PS-REMIT CPL FEES 72.00 264.00 157958 01/12/01 004671 SUMMIT TREE SERVICE INC RETAIN REL 01/11/00 PW-RETAINAGE RELEASE 11,295.36 11,295.36 Voucher: Bank Code: key 157959 01/12/01 004690 FEDERAL WAY NUTRITION SERVI 122100TJFW 12/21/00 PS-LUNCH:OFFICER PATRO 177.35 177.35 Voucher: ~Bank Code: key 157960 01/12/01 004701 NEXTEL COMMUNICATIONS 0002682579 12/26/00 MSTEL-CELLULAR AIRTIME 1,597.95 1,597.95 Voucher: Bank Code: key 157961 01/12/01 004802 NORTHWEST ENERGY EFFICIENCY PKM-IKERD 01/10/01 PKM-BOC CERTIFICATION 30.00 30.00 Voucher: Bank Code: key 157962 01/!2/01 004824 GOS PRINTING CORPORATION 0-54018 12/28/00 PS-PRINT:PROP EVID REP 514.89 514.89 Voucher: Bank Code: key 157963 01/12/01 004827 GIGER, JOHN SWM-DEC 23 12/26/00 SWMM-REIMBURSE BOOTS 140.65 140.65 Voucher: Bank Code: key 157964 01/12/01 004849 SAM'S JANITORIAL SERVICE &, 49023 01/02/01 PKCHB-PAPER TOWELS/TIS 115.88 Voucher: Bank Code: key 49061 01/04/01 PKCHB-SOAP DISPENSERS 89.60 205.48 157965 01/12/01 004855 WST INC 10348DEC 12/26/00 MSGIS-PLOTTER INK/PAPE 479.70 Voucher: Bank Code: key 10349DEC 12/26/00 MSGIS-PLOTER INK/PAPER 314.35 794.05 157966 01/12/01 004892 SYNERTECH SYSTEMS CORPORATI 2807 01/01/01 MSDP-ANNUAL MAINT FEE 9,187.50 9,187.50 Voucher: Bank Code: key 157967 01/12/01 004910 FILETEX LLC 00-327 12/29/00 CDA-COLORCODED LABELS 25.28 25.28 Voucher: Bank Code: key 157968 01/12/01 004964 ARIA DANCE COMPANY AUG1-OCT8 10/20/00 PKRCS-CULTURAL ARTS PR 1,500.00 1,500.00 Voucher: Bank Code: key 157969 01/12/01 004977 BLIMPIE SUBS & SALADS 8843 01/03/01 PKA-PRCS COMM MTG 1/4 86.37 86.37 Voucher: Bank Code: key 157970 01/12/01 005004 MORRIS-HANSEN ENTERPRISES I 9288 12/19/00 PKCHB-WINDOW WASHING S 340.00 Voucher: Bank Code: key 9296 12/29/00 PKRLS-WINDOW CLEANING 100.00 440.00 157971 01/12/01 005008 LORMAN EDUCATION SERVICES RICHARDSON 01/02/01 PS-REG FEE:RICHARDSON 229.00 229.00 Voucher: Bank Code: key 157972 01/12/01 005014 JACKSON GRAPHIC DESIGN INC 2178 12/04/00 MSA-DESIGN SERVICES 1,230.00 1,230.00 Voucher: Bank Code: key Page: 11 157974 01/12/01 005043 Voucher: 157975 01/12/01 005186 Voucher: 157976 01/12/01 005208 Voucher: o chklst Check List Page: 12 0~/12/2001 07:08:27 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv.Date Description Amount Paid Check Total 157973 01/12/01 005024 STONEWAY CONSTRUCTION SUPPL 24122 12/21/00 PWS-FORM STAKES/HANDLE 281.98 '~. 281.9S Voucher: Bank Code: key MACHINERY POWER & EQUIPMENT T0676801 12/15/00 SWMM-EXCAVATOR RENTAL 551.42 551.42 Bank Code: key 1033/1122 PROGRAM 16-1-380 12/14/00 PS-ADM FEE:WA ST SURPL 1,500.00 1,500.00 Bank Code: key FIRST USA FINANCIAL SERVICE SWM-KENNIS 12/29/00 SWM-DEC VISA CHARGES 157977 01/12/01 005215 Voucher: 157978 01/12/01 005253 Voucher: 157979 01/12/01 005287 Voucher: 157980 01/12/01 005336 Voucher: 157981 01/12/01 005339 Voucher: 157982 01/12/01 005340 Voucher: 157983 01/12/01 005341 Voucher: Bank Code: key 157984 01/12/01 005342 Voucher: 157986 01/12/01 005392 Voucher: TAB NORTHWEST Bank Code: key BANKCARD CENTER Bank Code: key AMERICALL COMMUNICATIONS & Bank Code: key WILSON, JASON Bank Code: key LOWE'S HIW INC Bank Code: key PKM-NORRIS 12/29/00 PKM-DEC VISA CHARGES CDA-LYLE 12/29/00 CDA-DEC VISA CHARGES' MSDP-PETIT 12/29/00 MSDP-DEC VISA CHARGES PKRLS-REUT 12/29/00 PKRLS-DEC VICA CHARGES 12-4338 12/28/00 SWM-KWIKFILE C/ZBINETS DEC VISA C 01/05/01 MSF-DEC VISA CHARGES D6416 D6417 01/01/01 SWM-AFTER HR CALL-OUT 01/01/01 PKM-AFTER HR CALL-OUT PS-JAN 3RD 01/03/01 PS-REIM SHOE ALLOWANCE 0024358823 12/23/00 PKRLS-REPAIR ROOF LEAK 0024358823 12/23/00 PKRLS-CR:002435882317 0024363824 12/28/00 PKRLS-REPAIR SUPPLIES 0024361823 12/26/00 PKCHB-REPAIR SUPPLIES 0024335813 11/30/00 MSDP-MAINT SUPPLIES 0024363824 12/28/00 PKKFT-REPAIR SUPPLIES SENIOR SERVICES OF SEATTLE Bank Code: key DODD, ESCOLASTICA R Bank Code: key SPECTRATEK Bank Code: key 157985 01/12/01 005382 ARTCO SIGN COMPANY INC 3745 Voucher: Bank Code: key WAYNE INVESTIGATIONS Bank Code: key PKRLS-DEC 01/11/01 PKRLS-SR LUNCH PROGRAM DEC20-DEC2 01/03/01 MC-INTERPRETER SVC:12/ 200387-1 200376-2 04/21/00 PS-ANTENNA/LENS/CONNEC 03/17/00 PS-ADD'L SHIPPING CHG 12/21/00 PWS-REMODEL SIGNS 0008 01/02/01 CDB-LEGAL PROCESS SERV 171.72 178.80 51.03 1,338.22 87.52 3,533.15 5,043.10 91.31 95.31 100.00 .44 73 =21 44 54 68 4 85 1 35 83 42 250.45 160.00 392.50 48.50 3,437.19 500,00 1,827.29 3,533.15 5,043.10 186.62 100.00 167.59 250.45 160.00 441.00 3,437.19 500.00 Page: 12 o chklst 0~/12/2091 07:08:27 Check Date Vendor Check List Page: 13 CITY OF FEDERAL WAY Invoice Inv. Date Description Amount Paid Check Total 157987 01/12/01 005421 BARGER, KENNETH CA13239FW 12/21/00 DC-INTERPRETER:CA13239 40.00 Voucher: Bank Code: key CA08498FW 01/03/01 DC-INTERPRETER:CA08498 40.00 ~ 80.00 157988 01/12/01 005485 Voucher: 157989 01/12/01 005486 Voucher: 157990 01/12/01 005544 Voucher: 157991 01/12/01 005565 Voucher: 157992 01/12/01 005602 Voucher: 157993 01/12/01 005620 Voucher: 157994 01/12/01 005625 Voucher: 157995 01/12/01 005628 Voucher: 157996 01/12/01 005650 Voucher: 157997 01/12/01 005656 Voucher: 157998 01/12/01 005662 Voucher: 157999 01/12/01 005671 Voucher: 158000 01/12/01 005682 Voucher: 158001 01/12/01 005683 Voucher: 158002 01/12/01 005684 Voucher: ROBISON CONSTRUCTION INC Bank Code: key U S BANK Bank Code: key FALCON ASSOCIATES INC 3657 Bank Code: key WELCOME COMMUNICATIONS 742 Bank Code: key SPRINGWOOD ASSOCIATES 10869 Bank Code: key DUTTON PROMOTIONAL ADVERTIS 18438 Bank Code: key I/O SOLUTIONS LLC Bank Code: key ANDERSON, CINDY L Bank Code: key M & B FENCE COMPANY Bank Code: key JIM'S DETAIL SHOP Bank Code: key THE WOOD WORKS CONSTRUCTION 1295 Bank Code: key GLACIER NORTHWEST INC 8687 Bank Code: key PLF INC 744 Bank Code: key LAWRENCE, KIM Bank Code: key SCHWAN, KURT Bank Code: key 5:AG00-128 01/13/01 SWMCIP-STAR LAKE BASIN 5:ROBISON 01/13/01 SWMCIP-5% RETAINAGE:RO 12/26/00 MSHR-ADS:SWM ENGR/INSP 12/26/00 MSDP-CHARGER/CELLCASE 01/04/01 PKC-CELEBRATION PK MIT 12/20 00 CM-CITY MUGS/ARTWORK C C9532A 12/20/00 MSHR-PS TEST BOOKLETS NOV14-DEC1 12/31/00 MC-INTERPRETER SVC:ll/ PKM-DEC 26 12/26/00 PKM-INSTL/REPAIR FENCE 10030F 12/08/00 PS-CAR CLEANING SVCS 01/08/01 CDPL-PLANNER WORKTABLE 12/29/00 PWS-TOOLS,TROWEL,BROOM 12/12/00 PS-AGENCY YELLOW LABEL JAN22~FEB2 01/09/01 PS-EVID COURSE:l/22-2/ PS-JAN 3RD 01/03/01 PS-REIM CLOTHING ALLOW 74,715.95 74,715.95 3,849.64 3,849.64 681.30 681.30 42.35 42.35 1,722.29 1,722.29 963.67 963.67 135.00 140.00 499.56 59.73 1,767.47 283.25 14 .00 2,052.80 275.00 135 00 140 00 499 56 59 73 1,767 47 283 25 14 O0 2,052 80 275 00 Page: 13 o chklst Check List Page: 14 0~/12/2001 07:08:27 CITY OF FEDERAL WAY Check Date Vendor Invoice Inv. Date Description Amount Paid Check Total 158003 01/12/01 700491 FESKE, DIA~;E 75218 01/08/01 PKRLS-REFUND CLASS FEE 63.00 ? 63 00 Voucher: Bank Code: key 158004 01/12/01 700548 HOLY INNOCENTS CHAPEL FUND 02-42860 01/04/01 PW-REFUND ROW 00-1044~6 500.00 500 00 Voucher: Bank Code: key 158005 01/12/01 700858 NEILL, ROBERT D 700858 12/22/00 DC-JUROR FEE:12/19-20 11.63 11 63 Voucher: Bank Code: key 158006 01/12/01 701708 TYCON INC 01-34222 01/02/01 PW-EXP REVIEW REFUND 267.50 267 50 Voucher: Bank Code: key 158007 01/12/01 702028 KING COLrNTY-COMM DEV SECTIO 01-38234 12/29/00 CDBG-REFUND DUPL PYMT 1,612.27 1,612 27 Voucher: Bank Code: key 158008 01/12/01 702029 DON KIRK~ ASSOCIATES 02-39784 01/02/01 PW-EXP REVIEW REFUND 105.00 105 00 Voucher: Bank Code: key 158009 01/12/01 702030 TABBOTT, JEFFREY 03-33139 01/02/01 PS-REFUND TRAFFIC SCHO 50 00 50 00 Voucher: Bank Code: key 158010 01/12/01 702031 CAWKER, GORDON MORLEY 702031 12/22/00 DC-JUROR FEE:12/19-20 13 58 13 55 Voucher: Bank Code: key 158011 01/12/01 702032 DIZNEY, JANET E 702032 12/22/00 DC-JUROR FEE:12/19-20 10 65 10 65 Voucher: Bank Code: key 158012 01/12/01 702033 HENRY, MARY JANE 702033 12/22/00 DC-JUROR FEE:12/19-20 12 60 12 60 Voucher: Bank Code: key 158013 01/12/01 702034 JOHNSON, TERHI K 702034 12/22/00 DC-JUROR FEE:12/19-20 12 28 12 25 Voucher: Bank Code: key 158014 01/12/01 702035 JORGENSEN, R3%NDY L 702035 12/22/00 DC-JUROR FEE:12/19-20 13 90 13 90 Voucher: Bank Code: key 158015 01/12/01 702036 K~E, DONALD A 702036 12/22/00 DC-JUROR FEE:12/19-20 10.65 10 65 Voucher: Bank Code: key 158016 01/12/01 702037 KILCUP, EDWARD D 702037 12/22/00 DC-JUROR FEE:12/19-20 11.63 11 63 Voucher: Bank Code: key 158017 01/12/01 702038 LUSHER, RALPH EDWIN 702038 12/22/00 DC-JUROR FEE:12/19-20 11.63 11 63 Voucher: Bank Code: key 158018 01/12/01 702039 RIBEIRA, AL~N M 702039 12/22/00 DC-JUROR FEE:12/19-20 23.90 23 90 Voucher: Bank Code: key Page: 14 o chklst 0i/12/20~1 07:08:28 Check Date Vendor Check List Page: 15 CITY OF FEDERAL WAY Invoice Inv. Date Description Amount Paid Check Total ~58019 01/12/01 702040 RINE~LART, KIMBERLY D 702040 12/22/00 DC-JUROR FEE:12/19-20 23.25 . 23.25 Voucher: Bank Code: key 158020 01/12/01 702041 Voucher: 158021 01/12/01 702042 Voucher: 158022 01/12/01 702043 Voucher: 158023 01/12/01 702044 Voucher: 158024 01/12/01 702045 Voucher: 158025 01/12/01 702046 Voucher: 158026 01/12/01 702047 Voucher: 158027 01/12/01 702048 Voucher: 158028 01/12/01 702049 Voucher: 158029 01/12/01 702050 Voucher: 158030 01/12/01 702051 Voucher: 158031 01/12/01 702052 Voucher: 219 Checks in this report SHEA, JANET M 702041 Bank Code: key SOTH, KEO 702042 Bank Code: key ST JOHN, JEAN L 702043 Bank Code: key TSAI, KEITH 702044 Bank Code: key VINING, DAVID A 702045 Bank Code: key ZOLNIK, ROBERT 702046 Bank Code: key FIORITO, ELAYNE 02-41072 Bank Code: key BAY, DEE 75474 Bank Code: key WAUGH, WILLIAM 57738 Bank Code: key KAPROFF, SALLYE 75930 Bank Code: key DONAHUE, DOLORES 75932 Bank Code: key CLARK, FRED Bank Code: key 12/22/00 DC-JUROR FEE:12/19-20 12/22/00 DC-JUROR FEE:12/19-20 12/22/00 DC-JUROR FEE:12/19-20 12/22/00 DC-JUROR FEE:12/19-20 12/22/00 DC-JUROR FEE:12/19-20 12/22/00 DC-JUROR FEE:12/19-20 01/04/01 PW-REFUND ROW 00-10080 01/08/01 PKRLS-REFUND CLASS FEE 01/08/01 PKRLS-REFUND CLASS FEE 01/08/01 PKRLS-REFUND CLASS FEE 01/08/01 PKRLS-REFUND CLASS FEE 00-03-2301 01/11/01 MSRM-CLAIM 23.90 23.90 22.60 22.60 22.60 22.60 21.30 21.30 25.20 25.20 23 90 500 O0 5O 00 30 O0 50 O0 50 00 1,082.53 Total Checks: 23.90 500.00 SO.O0 30.00 50.00 50.00 1,082.53 433,501.48 Page: 15 CITY ii i MEMORANDUM Date: To: From: Subject: January 23, 2001 Finance, Economic Development & Regional Affairs Committee Marie Mosley, Deputy Management Services Director Preliminary December 2000 Monthly Financial Report Action Requested: Accept the Preliminary December 2000 Monthly Financial Report and forward to the February 5thCouncil meeting for approval. APPROVAL OF COMMITTEE REPORT Committee Chair: Mary Gates Committee Member: Jeanne Burbidge Committee Member: Eric Faison KAFINhMFR\MFRFEDRACCVR.DOC J- 1 MEETING DATE: February 6, 2001 ITEM# CITY OF FEDERAL WAY City Council AGENDA ITEM SUBJECT: December 2000 Monthly Financial Report CATEGORY: X CONSENT ORDINANCE BUSINESS HEARING FYI RESOLUTION STAFF REPORT PROCLAMATION STUDY SESSION OTHER BUDGET IMPACT: Amount Budgeted: $ Expenditure Amt: $ Contingency Reqd: $ ATTACHMENTS: December 2000 Monthly Financial Report SUMMARY/BACKGROUND: CITY COUNCIL COMMITTEE RECOMMENDATION: Was reviewed and approved by the Finance Committee during their meeting on January 23, 2001. CITY MANAGER RECOMMENDATION: Motion to approve December 2000 Monthly Financial Report APPROVED FOR INCLUSION IN COUNCIL PACKET: (BELOW TO BE COMPLETED BY CITY CLERK'S OFFICE) COUNCIL ACTION: APPROVED DENIED TABLED/DEFERRED/NO ACTION COUNCIL BILL # 1st READING ENACTMENT READ ORDINANCE # RESOLUTION # K:\FIN~MFRL~GN DABLL.DOC 2000 Projected Revenues & EXpenditures 15.00 .: 10.00 5.00 , Jan Feb Mar Apr May Jun Jul .Aug Sep Oct Nov Dec --lB-.- Revenues = Expenditures I ! "A City for All of Us" Overview 1 Significant Events 1 General Government Revenues 2 - 11 Expenditures 12-18 Attachment A 19 Preliminary December 2000 Quarterly Financial Report The Monthly Financial Report is intended to provide an overview of financial activity that has taken place in the reporting period. This report focuses mainly on activity incurred in the following operating funds: General, Street, Arterial Street, Utility Tax Projects, Solid Waste & Removal, Snow & Ice Removal, Hotel/Motel Lodging Tax, Paths & Trail, Surface Water Management, Strategic Reserve, Airport Strategic Reserve, Debt Service, and Dumas Bay Centre. The Summary of Sources and Uses (Attachment A) captures financial activity through December for the years 1995 through 2000. This report is not the final 2000 report as we are still in the process of closing out the year. Preparation of the final report will begin in February 2001. 1-722 Update: On November 7th, voters of the State approved Initiative 1-722 by a 56 to 44% majority. This initiative would (1) declare null and void tax and fee increases adopted without voter approval by state and local governments between July 2, 1999 and December 31, 1999; (2) exempt vehicles from property taxes; and (3) limit property tax increase, starting with the 1999 valuation level, to the lower of 2% per year or the inflation rate. A separate limit would apply to new construction, and maintenance improvements would be exempt from tax. A number of local jurisdictions have filed complaint and are seeking injunctions for the implementation of this initiative. At their November 14~ budget deliberations, the City Council approved a budget based on a property tax that is consistent with the 2% limit required by 1-722. On December 15th, Thurston County Superior Court extended the preliminary injunction against implementation and enforcement of 1-722 to all cities, counties and towns. Ci.ty o.f Federal Way December 2000 Monthly Financial Report Major Capital Purchases: As approved by the City Council, major capital purchases for the city include: (l) Document Imaging System - to provide an efficient and cost effective alternative to the city's record retention and retrieval needs. In addition to preventing the loss of records, other benefits include saving storage space, providing a central location and quick access to documents for both staff and the public, and' ~naintaining the authenticity and security of the documents; and (2) Interactive Voice Response System for integration with the city's Permit Tracking System. Citizens can call and schedule inspections until 5:00 am on the day of the inspection. The new system will improve customer service as well as staff efficiency, and is expected to go into service on January 1,2001. Council Adopted 2001/2002 Budgets: The City Council adopted the 2001/2002 budgets at their November 21st Council meeting. The total budget approved for the year 2001 is $53,119,447 and the total for the year 2002 is $56,713,795. General governmental operating revenue collections through December total $42,247,805, which is $5,391,010 or '14.6% above the year-to-date budget of $36,856,796. Of this amount, $1,870,255 is related to Utility taxes and REET that are reserved for the payment of debt service. Attachment A provides a comparison of year-to-date revenues by major sources for 2000 with comparative figures for the past 5 years. REVENUE SUMMARY BY MAJOR REVENUE SOURCES Period Ending December 31,2000 ................... i ..... ~-~["0--~'g h-- ' ' '"'i Through ! Favorable (Unfavorable) Property Taxes i $ 6,612,491 i $ 6,833,380 $ 6,833,380 6,973,051 I $ 139,671 I 2.0% Sales Tax , 9,664,945 '. 8,837,773 8,837,773 10,302,450 1,464,677 i 16.6% Hotel/MotelLodgingTax r 47,181 ; 87,035 87,035 122,507 35,472 I 40.8% Criminal Justice Sales Tax i 1,478,344 i 1,409,626 1,409,626 1,620,305 210,676 14.9% Intergovernmental[ 5,047,524 i 3,152,273 3,152,273 4,149,140 996,867 i 31.6% Real Estate Excise Tax [ 2,438,148 i 1,200,000 1,200,000 2,252,992 1,052,992 I 87.7% Gambling Taxes [ 1,430,362 [ 1,209,800 1,209,600 1,565,989 356,389 i 29.5% Utility Taxes 5,235,789 i 4,703,276 4,703,276 5,520,539 817,263 i 17.4% Fines & Forfeitures I 833,953 i 949,700 949,700 892,454 (57,246) -6.0% Building Permits/Fees-CD I 1,288,040 I 1,018,742 1,018,742 1,076,994 58,252 5.7% Expedited Review Fees-CD I 98,677 i 73,556 73,556 142,753 69,197 ! 94.1% ROW Permits/Fees-PW I 237,869 ! 226,567 226,567 263,492 36,925 i 16.3% Expedited Review Fees-PW 66,243 i 38,530 38,530 42,612 4,082 10.6% Licenses 179,120 i 118,253 118,253 137,180 18,927 ! 16.0% Franchise Fees 469,923 i 515,508 515,508 496,418 (19,090) -3.7% Recreation Fees 525,263 ! 555,852 555,852 533,950 (21,902) -3.9% Dumas Bay Centre 492,702 I 485,578 485,578 488,843 3,265 0.7% Knutzen Family Theatre 48,883 i 62,230 62,230 87,855 25,626 41.2% Interest Earnings 1,064,181 i 911,054 911,054 1,251,376 340,322 37.4% Admin Fee-SWM & Solid Waste 168,480 I 171,006 171,006 170,588 (419) -0.2% SWM Fees 3,125,973 ! 3,142,645 3,142,645 3,064,889 (77,756) -2.5% Refuse Collection Fees 147,062 [ 150,752 150,752 130,464 (20,288) -13.5%! Police Services 302,902 I 857,078 857,078 906,016 48,938 5.7% Other 153,075 146,782 146,782 54,951 (91,829) -62.6% : ; ~)!57;'131 36i856~796 : 36;856179:6 42~2~-7i805 5~391 OiO ::: i4~6% Interfund Transfers - In - I nla Other Financing Sources 5,381,058 ~, 7,381,536 4,561,764 4,561,764 0.0% Total Revenues & Other Sources $ 46,538;189 ! $ 44i238;35;Z $ 41i4tSi860 $ 461,809i$69 $ 5,$9~i0i0 i3i0% COMPARISON OF 2000 OPERA'IING REVENUES - BUDGET TO ACTUAL Total 2000 Budgeted Revenues $36,850,796 42,247,805 39,218,719 $25,000.000 ] $20,000.000 $15,0000x, X) $10,o00.0o0 $5.000.000 2.623.'. Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec City of Federal Wa)~ December 2000 Monthly Financial Report Property Tax: Property tax revenues collected through December total $139,671 above the 2000 annual budget of $6,833,380. $6,973,051, which is an increase of $360,560 over 1999. It is also Real Estate Exc~Je Tax: For the year-to-date comparison, real estate excise tax continues to exceed prior year's collections. Through December, revenues total $2,252,992, which is $1,052,992 or 87.7% above budgetary projection of $1,200,000. For the current month, we received $256,424, which is $155,221 or 153.4% above the monthly estimate of $101,203. The current month includes over 193 sales transactions totaling $56,165,033. There were three large transactions: (I). the largest transaction being the sale of the Olive Garden Restaurant in the amount of $20,430,000; (2) Crystal Point, a 105 unit multi-family property for $6,215,500; and (3) an RV Sales/Garage Service commercial property in the amount of $4,017,050. I REAL ESTA. TE1997,EXCISE. 2000' TAX..."~' REVENUES . "i' "i':: i':'::': ;}1 1997 ' 1998 1999 I '" 2000 i *~" ' 2000 Budget . 'ii::,,.:.':" ~ ;'~- ........ , ............ ,;.- '--r ...................... ' ............... :.' ................... ........ , ';'~?'~:.' .... Month Actual ,. Actual ": ,Actual~' ";' ! ': Budget ' Actual I $ Vanance I. $ Vanance· January $ 146,325 $ 163,211 February ~ 94,719 119,717, March Apdl May 101,508 132,678 186,187 82,116 166,282 189,860 $ 289,269 65,939 80,862 203,522 169,610 93,147 $ 103,300 1 $ 10,154 [ 10.9% 110,136 166,725 56,5881 51.4% ~-83~ 1~61 78', 14,~, 7~.. 5% 81,062 ! June I 108,060 270,672 162,569 t01,074 182,137 80.2% July 120,432 295,736 278,955 127,767 Augu~ 231,911 324,962 194,853 113,198 137,949 326,168 181,490 September )ctober 151,333 204,439 279,424 November 143,877 209,096 177,881 ~::~o" ~';, 'r;~' $ 487,629,564 132,448 $ 446,253,716 216,381 119,222 106,563 ..... 89,9~59 ~ 101,203 $ 240,000,000I $ 450,598,334 December 188, 999 Est. RE Value $ 372,064,640 323,080 195,313 T 152.9% 203,579. 90,3811 79.8% 163,636: 44,414 ! 37.3°/ 2~9,~ .... 19~,0-,~8 ! 181.2°/ 10~180~ * ' ~1-,855 i 13.2% ~56,424~ i~,5122:17 ~5~.~ $ 210,898,~ j na * Represents monthly historical patterns for the 2000 Adopted Budget. $1,200,000 $t~ooo,oo0 REAL ESTATE EXCISE TAX ACTIVITY Through December 3 Ci~. of Federal Way December 2000 Mo,thly_Fina,cial Report Sales Tax: Sales tax received through December of $10,302,450 is $1,464,677 or 16.6% above the year-to-date budget of $8,837,773. Compared to 1999 year-to-date, sales tax increased $637,505 or 6.6%. Sales tax received in the month of December totals $835,270 that is $58,243 or 7.5% above the adopted budget estimate of $777,027. Compared to December 1999, sales tax decreased $21,49~ or 2.5%. ja..uary ,, $ 654,256~ $ 644,666 $ 623,386 $ 638,862[ $ 711,432', $ 678,3391 $ 76~_,071 I $ 8~,733' 126% F-dm.ay i 882,234 883,229 932,478 949,276 ~ ~:~8,~I 1,2G1,9~3 ' 243,492' 25.4% r/ach , 6~2,830 607,79O 64O,967 714,640 717,(X~I 678,7841 759,673 80,888 11.9% Az:just ~ 676,5461 650,423 673,186' 682,283 855,1981 734,739' 928,307" 193,568 ' 253°/. S:q:te'rt:~ 7131,,~! 734,388 735,617 / 850,295 896,291, 811,411 I 869, _4~4% 58, _0~ 7.2% October [ ~ 65~886 65'7,10~_ 761,56'1 81_7,021 ~, _-/36,31_6 801~,049~ 64,_732~ 8¢1o ~ i $ ~:),583 664,611 796,528' 800,018 856,762! 777,027 835,270 58,243 - 7.5% Y-axaUeSales iS s32,43s,7SSl ~, 94a,~i $ ~'7,m~,3~0 $ 't,o~3,'~ss,4'~2 $ 'U37,0s~,33at $ n,03s,7"~mo $ .t,z~2,0S2,Bm $172,3't4,sm ~Jc~t is p~jeded based m prat 5,¢~s hist.. $1,250,000 Is~'°5°'°°° T $950,000 $850,000 + $750,000 SALES TAX REVENUES December1998through December2000 Holiday Season 1998 and 1999 $650,000 $550.000 4 Ci.tv of Federal Way December 2000 MontM), Financial Report Comparison of Sales Tax Collections YTD through ~ By SiC Code Group Variance from 1999 GROUP 1995 1996 1997 1998 1999 2000 $ Change % Change RetailTrade $5,004,183 $5,210,138 $5,333,368 $ 5,567,252 $ 6,136,185 $ 6,595,602 $ 459,417 7.5% Services $ 666,377 $ 733,658 $ 808,219 $ 856,596 $ 917,612 $ 1,061,113 143,501 15.6% Construction/Contracting $ 743,923 $ 503,797 $ 645,397 $ 664,697 $ 1,053,854 $ 1,104,115 50,261 4.8% gVnolesaling $ 565,438 $ 607,132 $ 468,496 $ 512,808 $ 535,546 $ 651,677 116,131 21.7% Transp/Cxawr/Utilities $ 309,324 $ 313,924 $ 354,606 $ 360,103 $ 397,800 $ 388,329 (9,471) -2.4% Manufacturing $ 376,331 $ 421,078 $ 385,210 $ 447,030 $ 269,838 $ 155,472 (114,366) -42.4~ Govemment $ 101,543 $ 105,041 $ 115,882 $ 142,023 $ 142,594 $ 160,774 18,180 12.7°/{ FinanceJInsur/RealEstate $ 73,998 $ 81,658 $ 101,302 $ 117,114 $ 116,212 $ 110,025 (6,187) -5.3°/{ Other $ 84,586 $ 81,997 $ 92,252 $ 114,548 $ 95,304 $ 75,342 (19,962) -20.9°/~ TOTAL $7;925,703 $ 8,058;423 $8;~733 $8i78~17t $9;664,945 $t0,302,450 $ 637i505 6~6o/~ TAXAI~.E.~.E$ 932,43~,S19 948,049,?.~ 977,027,373 1,033,196,~/8 1,137,052,31S 1,212,052,8~ ?~,C)~,5821 7.3°/~ Retail sales continue to remain the largest source, accounting for 64.0% of all sales tax collections. Year-to-date retail sales tax collections are up $459,417 or 7.5% over 1999, attributable to the addition of several new retail stores that have facilitated the overall increase in retail activity. Year-to-date construction and contracting activity, which accounts for 10.7% of sales tax collections, is up $50,261 or 4.8% compared to 1999 activity. This increase is further reflected in the City's building permit trends. Services industries are 10.3% of the total sales tax collections. Year-to-date services sales taxes are up $143,501 or 15.6% compared to 1999, due to an overall increase in services activity. Manufacturing activity through the end of December has generated $155,472 in revenues. This is down $114,366 when compared to 1999. Just over 75% of this variance is due to a major manufacturing company moving out of the state. However since they continue to have sales in Federal Way, we will still be receiving sales tax from them, but in much smaller monthly remittances. Since their move in April of 1999 we have been receiving only a few hundred dollars each month. We expect this to continue throughout the year. Government activity through December totals $160,774, which is an increase of $18,180 or 12.7% over 1999. This is due to additional distributions to the Department of Licensing account that relate to the prior period, as well as an overall increase in the monthly activity. SALES TAX ACTIVITY BY SIC CODE YTD Through December 2000 TranslComlUhl 3.8% ' ,.~"~','; ,' ,q'. ~ ,'~ .~ 9, ,.' ' · [':Z",¥, ¢~", :; '::i~.'.: d/fi':' '~: ,:' :: ~ Who esa ng !..,~r,.,~.,~,,.,.,,::/,~...,.::~?~?:;?:i..... ~ ...: ~,..: .,~, ..~',.~;,'~ .'~.-.;.',*~m,". ..... ', . 6.3% .~? ....:.~.,,..~.. , ....:% .. '~ ~':, ~..~. ,:.. : ,,:, , ~ . .. '~' '..' '..:'~ ' ConstdCn/ract 10.7% Manufacturing Government 1.1% Services 10.3% Retail Trade 64.0% 5 City of Federal Way Sales Tax Activity by Area: December 2000 Monthly Financial Report SALES TAX COMPA'RISON by AREA YTD Through December Group i 1995 i 1998 ' ] 1997 ! ' t998 i t999 Total Sales Tax $7,925,703 $8,058,423 $8,304,733 $8,782,171 $9,664,945 S348thRetailBlock = $2,301,638 $2,445,150 ' $2,718,795 $2,955,075 $3,768,241 % change from previous yr 269.1% 8.2% i Change from .1999' 2000 iS Change . I% Change $10,302,450 $637,505 · 6.6% Percentage of total 29.0% 30.3% SeaTac Mall ~ 1,060,878 1,983,217 % change from previous yr 39.7% 86.9% C~ercentage of total 13.4% 24.6% Major Auto Sales 1 356,947 % change from previous yr 47.3% 7.7% Percentage of total 4.5% 4.8% S 312th to S 316th Block ~ 105,152 96,543 ' 11.2%; 8.7% 32.7% I 33.6% ,804,749 I 1;744,493 $3,262,719 ($5,522) -0.2% 33.8% 31·7% -2.1% J -6.3% 1~678,888 t,594,777 (84/111)[ -5.0% -9.0% [ -3.3% -3.8% -5.0% na [. na 21.7% I 19.9% 17.4% 15.5% -1.9% -10.9% 464,949 46;745 ) 11;2% -1.6%~ 0.8%t 9.7% 11.2% na.~ na 4.6% 4.3% . -4.3% 4.5% 86,617 ~ 90,939 ~ 92,074 ~ 102,584 ' 10,510 ' 1'1.4% % change from .orevious yr 59 8% -8 2% -10 3% 5 0% 1.2% t I 4% Percentage of total I. 3% 1.2% 1.0%~T 1.0% ! 1.0% 1.0% Pavilion Center na 112,587 122,888 139,486 i 130,737 i % change from previous yr na na na ' -6.3% i -6.0% Percentage of total na I 4% 1.7%T 1.5% . 1.3% 149,5t9 21.7% 1.5% na na 0.0%+ 4.5% 26,631 21.7% na = na 0.2%'I 14.1% Hotels & Motels 44,813 39,712 43,568 47,422 42,238 102,787 60,549 143.4% % change from prevtousyr 101 0% -t I 4% 9 /% , 8 8% -10 9% Percentage of total 0.6% 0.5% 0.5% I 0.5%4 0.4% 143 4% na na 1.0% ! 0.6% ~ 128.3% Table reflects sales taxes collected through October SeaTac Mall is also showing a decrease of $84,111 or 5.0% when compared to 1999 activity. This is primarily due to the closure of the Lamont store for one month this year, before the reopening of that space as Gottschalks in September 2000. Major Auto Sales through December have collected $464,949, which is an increase of $46,745 or 11.2% over 1999. This is due to increased sales at the end of 1999 facilitated by the passing of 1-695, which reduced the price of car tabs to $30. South 312th to South 316th Block sales tax activity has increased by $10,510 or 11.4% over 1999 activity. This is mainly due to increased activity in the retail food stores and retail eating and drinking category. Pavilion Center sales tax activity has increased by $26,631 or 21.7% over last year due to the recent addition of a major fabric/craft store to the center. Hotels & Motels sales tax collected totals $102,787 through December, which is an increase of $60.549 or 143.4% over the prior year. This is due to several new hotels in the area, whose revenues have been gradually increasing during the year. This increase in activity can also be seen in Hotel/Motel Lodging tax activity. Other 67.3°/. SALES TAX BY AREA YTD through December, 2000 SeaTac Mall 9.7% S 348th 16.0% Pavilion Center ...... - 1.5% S 312th to S 316th Block 1.0% Major Autos 4.5% City o_£ Federal Way December 2000 Monthly Financial Report Gambling Tax: Gambling tax collections are up $356,389 or 29.5% over the adopted budget of $1,209,600. Compared to 1999, collections have increased $135,627 or 9.5% December collections are up $44,998 or 43.4% compared to the monthly budget estimate of $103,568. GAMBLING TAX REVENUE f995 - 2000 2000 2000 Budget 1995 1996 1997 1998 1999 Budget ACtual $ Variance % Variance January $34,518 $24,558 $31,616 $28,182 $90,611 $96,849 $127,344 $30,4951 31.5% February 34,518 24,558 34,403 21,305 98,117 96,195 116,227 20,032 I 20.8% March 34,518 24,558__ 30,346 23,182 104,183 95,432 106,912 11,480 L 12.0% April 28,811 29,665 36,041 29,498 130,536 111,387 142,792 31,404~1 28.2% May 28,811 29,665 31,106 19,025 150,818 105,833 133,715 27,882 i 26.3% June 28,811 29,665 29,421 20,121 145,174 104,525 12~),889 16,363 I 15.7% July 25,653 17,721 26,096 34,691 137,222 99,793 124,288 24,492 i 24.5% August 25,653 17,721 17,016 36,336 110,081 91,056 j 103,991 12,935L~ 14.2% September 25,653 17,721 18,454 36,915 111,146 92,408i 143,483 51,075! 55.3% October 18,681 28,715 23,907 50,005 115,324 106,694 156,436 49,742 46.6% November 18,681 28,715 20,591 51,544 118,762 105,859 ! 141,349 35,490 ' 33.5% December 18,681 28,715 19,766 48,147 118,390 103,568! 148,566 44,998i 43.4% Total ~ $322,989 $301.977 $316,763 $398,950 $1,430i362 $1,209;600t $1,565,989 $356,389 ! 29,5% Hotel/Motel Lodging Tax: Hotel/motel lodging tax collected through December totals $122,507, which represents activity for November 1999 through October 2000. This is $35,472 or 40.8% above budget, which is due to the opening of a major hotel in June. HOTEL/MOTEL LODGING TAX REVENUES 1999 - 2000 I 1999 [ ........................ lq_o_? .................. ~ ~_.o__o_0 ~_.._.dg~_! ........ Month' i Actual i Budget* : .Actual i $"v--a~iance ! S Variance January $ $ 6,044 L$_ 5,885 $ (159)i -2.6% February 4,788[ 4,578 (211 ) [ -4.4% March ...... ~99,491 9,165 (326)i -3.4% April 7,704 7,553 (150)i -2.0% May 10,576 [ 10,383 (19~ -1.8% June 4,541 4,657[ 7,351 2,695 57.9% July 5,401 5,590 8,584 2,994 53.6% August 5,689 5,756 12,106 6,350 i 110.3% September 8,538 8,778 15,569 6,791 J 77.4% October _ 7,6~ 3.3 7,827 15,967 8,140_ } 104_.0°/[ Novem bar 8.971 9,222 13,463 4,240 i 46.0% December 6,428 ~ 11,904 5,3~ [ ~ 3 o/~o , i$ 47,18~ $ 87-~5 : ~22;S07,, , $,, ;35;472,, ~--4~..-8-~/o *Budget is projected based on the prior year's history. (~ 7 Ci.ty o.f Federal WaF_ December 2000 Monthly Financial Report Utility Tax: Utility tax received through December totals $5,520,539, which is $817,263 or 17.4% above the monthly estimate. Compared to 1999, utility tax receipts have increased $284,750 or 5.4%. Cellular taxes exceed the budgetary estimates by $400,013 or 101.7%, which is consistent with prior months. This is due to an increase in the number of cellular communication companies in our area, as well as an overall increase in cellular activity. UTILITY TAXES ..~., ......... ,,, ............... .,,~, . Year-to-date (thru December) . ~ ., . , ' ' '." , J 1997 ' ~998 -' .2000 : 2000 Budget , ~ Actual Actual Electric 1,376,838 1,840,720 1999 . · Actual Total Budget ;,947 .(.)61 1.82/,059 Gas 385,101 537,631 601,714 ~ 527,067 Garbage 244,892 299,138 329,964 320,005 Cable 361,283 445,560 505,864 472,864 Phone 732,599 864,198 1,069,707 969,706 Storm Drainage 149,308 120,498 153,973 181,948 Cellular 295,503 409,810 617,191 393,227 8,584 11,104 9,415 11,400 527,067 677,259 ! 320,005 341,039 i 472,864 521,992 i 969,706 1,062,818 , 181,948 141,894[ 393,227 793,240 I 11,400 5,242 i Pagers 1,827,059 1,977,055 $ 149 996 8 2% 150,192 ! 28.5% 21,0341 6.6% 49,128 '~ 10.4°__/o_ 93,112 ! 9.6% (40,054)~ -22.0% 400,013 i 101.7% (6,158~1 -54.0% torm Drainage 2.6% t9.2% Utility Tax Revenues Through December 2000 Cellular Pagers Electric 14.4% 0.1% 35.8% Cable Garbage Gas 9.4% 6.2% 12.3% [] Electric [] Gas [] Garbage [] Cable [] Phone [] Storm Drainage [] Cellular [] Pagers State S/tared Revenue: State shared revenues collected total $5,769,445 and are exceeding the adopted budget by $1,207,545 or 26.5%. The majority of the variance is due to the city receiving its 2000 and 2001 distribution from the state of $228,709 and $457,417 respectively, to offset the losses resulting from the repeal of the Motor Vehicle Excise Tax under 1-695. Criminal justice sales tax, which is included in state shared revenues, totals $1,620,305 and is exceeding budget by $210,678 or 14.9%. Motor Vehicle Exci~ Tax $ 1,314,849 $ 1,048,038 ] $ 912,409 $ ~3,678 $ 1,059,402 $ $ 202,556 $ 202,556 ~DIV/01 Garner Excise Tax $ 21,426 $ 21,200 [ $ 21,202 $ ~,046 $ 23,048 22,051 3,837 (18,214) -82.6% Liquor Profits Tax $ 406,088 $ 414,859 I $ 419,~5 $ ~7,578 $ 412,576 436,548 466,746 30.198 6.9% Liquor Excise Tax ~ 226,801 ~219,089 $ 223,66~ $ 2~,987 ~ 302,513 235,~7 251,308 15,761 6.7% Cdm Just Low-Pop/DCD $ 358,394 $ 3~,196 $ 181,09~-~ 127,827 ~ 145,854 89,425 89,425 ~DIV/01 Crim Just Hgh Crime $ 249,393 $ 270,885 $ 286,531 $ 313,550 $ 173,087 na Equalization $ 6~,974 $ 408,840 ~ $ 386,184 $ ~,423 $ 433,620 24,103 24,103 ~DIV/O! Lo~l Crim Just $ 1,09~874 $ 1,142,910 ~ $ 1,262,828 ~ 1,~0,175 $ 1,478,344 1,409,626 1,620,305 210,678 , 14.9% Fuel Tax $ 1,687,835 $ 1,654,020~$ 1,718,003 $ 1,725,264 $ 1,793,897 1,794,232 1,707,88~ (~)} Veh Lic Fees $ 607,873 $ 616,001~ $ 644,532 $ 6~,631 $ 687,022 663,895 706,231 ~.[ DUI-Citie~ ...... ~ .... $ _ - ~ $ $ $ 16,506 10,928 10,928 J_ Lo~l Go~ Fin Asst· $ $ - ~ $ $ $ 686,126 686,126 ~ na · Represents monthly historical patterns (1990 - 1999) for the 2000 Adopted Budget, Ci~. of Federal WaF December 2000 MonthlF Financial Report Fines and Forfeitures: Year-to-date fines and forfeitures are below budgetary projections by $57,246, or 6.0%. Revenues are exceeding 1999 activity by $58,501 or 7.1% through December 2000. DUI and other misdemeanors collected through December total $163,204, which is $55,747 or 52.0% above the estimated budget of $107,277. Criminal costs collected year-to-date total $94,612, which is $42,203 or 80.5% above'the adopted budget of $52,409. I 1995 ; 1996 1997 ; 19°~ ! 1999 ~ 2000 iChar~ fr~ Month "i ............. Actual" i ' ~,~ ; SVa~ame i %Valance , 54,319i 63,650 i. 65,748 ~ 75,7551 94,539] 97,17~9 2,641 28°/, August ~ 53 235 f 35,218 1 56,801 7~,~ I 64'884 [ 77,993 '1 71,311 ~ (6,682) -8,6% December 40,104 ~ 30,269 67,,?~0 56,893 58,463 [ 69,~85 64,744 1 (4,541) -6.6% Tolal::: ~ $a)7,932 ! $SS7,240 ) $622,4S2,: $m4,678 [ $833,9S3 i $949,7OO i $892,4,54i ($,~-/,246){. -6.O% * Induded in Rnes & Fc~feitures are remttano~ from Distdct Cottt f~ "Shared Cottt Cx:st~, ~ ~ Se~ces" ~d ~ ~ r~a~ m~l~ ~. RI~ES&~ " : :.1~ ::: 1~6. 19~'7', '!"'1~". :".l~.~.!'l.nrnnl;l~..YTDEkdg~ A,~_,~ '/ SVa':?.~'.. ',°/oVa':" Ch41 Pa ~,~ues ~2,560 $2,899! $2,144 $6,804 $4,760 $~,011 $6,011 ! $5,4661 (545] -9.1°/, Tral~c & l,,la3.Pa~ng 444,2~F 372,933 406,642 546,118 4/0,113 635,463 636,463 i 510,219 [ (125,3431 -19.7°/ C~i~nal Tral~ ~ 27,085 22,784 32,244 45,046 5~,5'/1 51,180 51,1801 54, _564~__ 3,384 6.6°/ FaiseNams 8,a~0 17,439 5,915 5,875 21~03~ 15,9;6 1~.~6 2,9771 (12,a;~ .81.3~/ _City o.f Federal Wa~ December 2000 Monthl~ Financial Report Building permits & Plan Cheek Fees: Building permit revenues collected total $1,076,994, which is above budget estimates by $58,252 or 5.7%. This does not include pass through revenues of $142,753 for expedited and environmental review. Building permits, which include mechanical, plumbing and clear/grade permits total $483,817 through the end of December. This is a decrease of $147,050 or 23.3% compared to the adopted budget of $630,867. Electrical permits total $91,396, which is below budget by 7.3%. Plan check fees collected through December total $355,778, which is $144,811 or 68.6% above the adopted budget of $210,967. Significant building permits issued in December include the Home Depot Tool Rental Center project and Coldwell Banker Bain. ;i Actual Actua/ Janua~j [ $ 48,383 Febn~ry iJ 34,376 i 44,823! March il 30,9501 48,297 ~ ii 36,50~ i51,0~0 MaY i 65,038 i 50,280 June ~j 69 015 i 65,217 ~ ! 60,208 ! 64,655 August ~L 71,299 i 60,072 il 59,~$ ~,814 $ ",~1'$ ~,~ $ 68,683~$ 4,639~ 95.791, 45,879 1~,~ 93,607 1~,5~ ~ 1~ ~ ~,598 161,1~ 951111 ~,275 (8,S~)~3oA 57,030- 105,"5 165,674 1~,381 107,~ 56,711 143,030 129,553. 115,236 134,783 92,953 90,031 101,765 63,482 September ! 58,683 i 37,509 61,053 82,002 96,216 87,913 112,411 October ~ 60,354 42,402 47,776 ~ 107,654 52,306 76,805 119,502 November , 43,435 ! 45,163 32,185 88,188 87,017 73,664 72,900 December !,, 81,867 ! 49,613 47,978 52,975 69,150 80,282 72,143 ., 2,023,49~77 2,133,455 2,315289 2,433.265, 2.244.234 , Exp thru December'' 1.692,821 1,722,203 na n; YTDRecoveryRatio ~ 39.0% 34.0%l 35,7%I-~ 37.8%I 36.9%01 41.4%i nai ~ '~' ~ (~,552)~ -29.5o~ [ .... (8,?)j ........ :).O. lO~ Expenditures include Ccn-nn~nity Deve~oprnent Administration, 001-5200-071), Planning (001-52g0-073) and Building (001-5200-074). Building Permits/Plan Ch~)c~l~eeslZo~ing Fees' J.ii IZoning City o.f Federal Way December 2000 Monthlp Financial Report The table below presents a synopsis of building permit activity as of December 31 for new construction between 1996 and 2000. 1996 1997 1998 1999 2000 , Type of permit Print Value(S) prmt value(S) Print ValUe(S) Prmt ValUe(S) valUe(s) New'Residential(Platted) 96 $ 17,217.513 120 $ 22,766,312 93 $ 18,809.103 99 $ 19,933.157 57 $ 8.974,782 New Residential (Unplatted) 0 0 12 2.810.039 2 0 0 0 0 0 New Commercial 12 5.514.653 7 1,168.129 18 - 25,334.419 14 22.828.684 20 25,738.711 New Multi-Family Units 3 11.793,140 10 12.749.858 15 3.540.887 5 16,166.880 12 3,816.496 New Public 0 0 0 0 0 0 0 0 0 0 Subtotal -New Construction 111 $ 34,525,306 149 $ 39,494,338 t28 $ 47,692,409 118 $ 58,928,71~1. 89 :$ :::,~ 38;529;989. Manufactured Homes 11 69.039 14 96.090 16 120.780 12 86.977 Residential Alterations 127 1.785.004 198 2.550.902 231 2.242,521 239 2,918.781 128 2.486.711 Commercial Alterations 122 8,720.211 130 7,140,945 139 6,215.216 146 17.771.998 230 12.815.413 Publicly Owned 0 0 0 0 0 0 0 0 0 0 Plumbing Only 33 223.364 37 300 26 2,000 19 0 68 0 Mechanical Only 251 17.080,843 328 16.538.896 274 43.117,545 381 31,729.338 365 1.526.575 Misc. Building Permils 29 433.955 63 537.371 175 1.860.049 118 2.272.124 0 0 Subtotal .Alterations. 573 $ 28,312,416 770 $ 26,864,504 861. $ · 53,558,111 · 915 $ 54,779,218 791 $ 16,828,699 1159 1113 ROW Permits and Fees: Overall Public Works permits and fees collected through December total $263,492, which is $36,925 or 16.3% above the adopted budget of $226,567. This does not include pass through revenues of $42,612 for expedited review. Plan review fees collected total $123,420, which is $26,144 or 17.5% below the adopted budget of $149, 564. ~1 11,~4 14,751 9,079 '- 19,9~ ~ 16,2~ ~,~ ~1~", $ (2~) -1.1% ~ 9,~ 15,252 =,1~ 25,~[ 10,~ 17,751 ~$ 5,~ 28.~ ~ ~,~ 14,~1 15,~9 21,878[ 14,~2 19,~ ~ 27,7ffi 13,524 18,019 28,~2 18,~ ~,5~ 18,~1 $ (2,~) -10.1°~ ~ ~,~ 14,~ 19,~9 19,~ ~,~ I- ~,1~ 11,257 $ (8,~) ~.3% ~A~ 14,~ 16,~ 15,~ 21,0m{ 19,~ 18,~1' 21,~ 3,0~ City o.f Federal Way December~2OOOQg_.arterly Financial Report GENERAL GOVERNMENTAL EXPENDITURES General govem.m, ental expenditures through December total $35,233,194 or 90.9% of the annual operating budget of $38,752,034. Operating expenditures are below the year-to-date budget by $3,518,839 or 9.1%. When compared to 1999, expenditures are down $700,~36 or 2.0%. EXPENDITURE SUMMARY BY DEPARTMENT Period Ending December 31, 2000 2000 Revised Budget i Actuals varianCe 1999: Th rough Through Favorable(Unfavorable) uSes i ACtd~lt AnnuaI Decem~3er December Doliars i$)Percent (%)-------'--~- City Council $ 217,998 $ 197,385 [ $ 197,385 $ 192,471 $ 4,914 2.5% City Manager 595,744 605,720 [ 605,720 401,464 I 204,255 33.7% Municipal Court-Operations [ 909,241i 909,241] 768,516I 140,725 15.5% ~ 4,442 4.9% Municipal Court-Start up - 91'122 i 91'1221 86'680 i 328,481 17.7% Management Services I 1,728,101 1,854,269[ 1,854,269 ~ 1,525,788 t Civil/Criminal Legal Services , 1,261,989[ 1,224,040! 1,224,040! 1,207,454 i 16,586 1.4% Comm. Development Services i 2,768,211 3,376,757 i 3,376,757 2,804,898 571,859 16.9% Police Services I 11,950,812 13,129,237 13,129,237 ~ 12,567,098 ! 562,139 4.3% Jail Services 1,513,247 1,200,000 1,200,000 1,276,550 (76,550) -6.4% Parks and Recreation 3,088,798 3,106,062 3,106,062, 3,001,141 104,921 3.4% 3,553,9131 3,553,913 3,101,554 452,359 Public Works 3,285,979 ' 12.7% City Overlay Program 1,764,443 1,918,510 I 1,918,510 1,458,054 460,456 24.0% Snow & Ice Removal~ 21,371 , 55,052 i 55,052 9,811 45,241 82.2% I 233,635 312,366 312,366 i 289,671, 22,695 7.3% Solid Waste Hotel/Motel Lodging Tax - 115,000 ' 115,000 i 67,298 ' 47,702 41.5% Surface Water Management 1,562,123 1,795,621 1,795,621/; 1,449,569 346,052 19.3% Debt Service 5,307,192 4,612,156 4,612,156 4,328,139 284,017 6.2% Dumas Bay Centre 487,164 533,353 533,353 510,618 22,735 4.3% Knutzen Family Theatre 147,223 162,230 162,230 186,420 (24,190) -14.9% SUbtOtal Operating Expenditures 38;~52;034: 38i75 2;034 35:i233i194;I 3~518;839 9it % Interfund Transfers-Out - - - I - - n/a Other Financing Uses 9,253,813 10,770,669 8,057,403 8,057,403 - 0.0% TotalExpenditures&othe~u~es $ 45ii87;843 $ 49~522i70315 46i809 437t $ 43~290;59715 3;518;840 COMPARISON OF 2000 OPERATING EXPENDITURES - BUDGET TO ACTUAL Total 2000 Budgeted Expenditures $38,752,034 $40,000,000 "¢'. ',' $35,000,000 $30,000,000 $25,000,000 $20,O00,O00 $15,000,000 $10,000,000 $5,000,000 1,72(. $- Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec City of Federal Wav December 2000 Quarterly Financial Report Municipal Court: Variance Analysis: Through Decem.ber, Municipal Court Startup has expended $86,680 or 95.1% of its carry-forward budget of $91,122, which includes tenant improvements completed this summer as well as furniture and equipment, computer hardware and software. Municipal Court Operations expenditures total $768,516, which is below the adopted budget of $909,241 by $140,725 or 15.5%. Savings can be found in salaries and benefits, including temporary help and overtime, which are 89% expended. Temporary help totals $116,609 through December, and includes charges for security guards. Savings can also be found in other services and charges, which are 80.5% expended. Civil/Criminal Legal: Variance Analysis: Activity through December totals $1,207,454 and is below the budget estimate by $16,586 or 1.4%. Salaries and benefits, which make up 62.4% of the budget, are 104.6% expended, for a total of $751,066. While supplies total $18,696 or 204.9% of the total budget ($9,125), savings can be found in other services and charges, which are 87.9% expended, and in intergovernmental expenditures which are 29.4% expended at the end of fourth quarter. Management Services: Variance Analysis: Total expended through December is $1,525,788 or 82.3% of the annual appropriation of $1,854,269. Through December, MS is below their budget by $328,481 or 17.7% of the year-to-date budget of $1,854,269. Savings can be found in supplies, which are 73.7% expended and in intergovernmental charges which are $37,741 or 64.4% below the annual budget of $106,000. Internal service fund charges total $228,675 or 65.3% of the total budget of $350,378, however fourth quarter maintenance and operations charges have not been allocated. There are also savings in residual equity transfer charges for capital purchases, which may not have been completely allocated at the time this report was prepared. Community Development Operations: Variance Analysis: Total expended through December is $2,804,898 or 83.1% of the annual appropriation of $3,376,757. Through December, CD is below their budget by $571,859 or 16.9%. Salaries and benefits are 92.1% expended with a savings of $147,606, which is partially due to the difficulty in replacing some technical positions. Other services and charges total $597,530 or 75.1% of the total budget of $795.560. Internal service fund charges total $420,286 or 64.2% of the total budget of $655,057, however fourth quarter maintenance and operations charges have not been allocated at the time of this report. Parks and Recreation: Variance Analysis: Parks Operations: Expenditures total $3,001,141, which is $104,921or 3.4% below the year-to-date adopted budget ($3,106,062). This is 96.6% of the annual appropriation. The savings is primarily in salary and benefits, which total $1,329,182 or 88.3% of its budget ($1,505,482) due to vacancies. Savings can also be found in supplies which are 84.5% of the $209,440 adopted budget, however services and charges total $806,840 or 107.9% of its annual budget ($747,786). Through December, temporary help totals $329,927 or 99.4% of its annual budget ($331,995). Dumas Bay Centre: Operating expenditures through December total $510,618, which is below the year-to-date budget of $533,353 by $22,735or 4.3%. There are savings in salaries and benefits, which is $8,549 below the budget of $126,776 or 93.3%. Savings can also be found in I/S charges, which are at 64.1% of the $33,409 total budget, however 4th quarter charges have not been allocated as of the time of this report. Overall expenditures for Dumas Bay Centre are 95.7% expended. Knutzen Family Theatre: Operating expenditures through December total $186,420 or 14.9% above the adopted budget ($162,230). The current expenditures exceed the year-to-date budget by $24,190 or 14.9%. This year-to-date budget is a straight-line allocation of the annual budget, based on the fact that we do not have any history upon which to base future fluctuations in spending. The increase in expenditures is offset by an increase in revenues of $18,914. Ci~. of Federal Way December 2000 Quarterly Financial Report The table below summarizes recreation and cultural service and Dumas Bay Centre activity, and their related recovery rates. '.'. RECREATION & CULTURAL SERVICE PROGRAMS AND DU,MAS BAY CENTRE PERFORMANCE .. Through December 2000,... ?' '." .":' :'. '":.:' '' .':."! il': : Revenues 1.. ..: ..*~'Expenditures , RecOVeryRatio% ATHLETICS AND SPECIALIZED SERVICES Community Center t 20.500 [ 20,775! 101.3%[ 65,943[ 56,,~7-9-- _85.8--~_~ 31.1%] 36.7% Senior Services , -. 22,~-33 i 20,262 I 90.7%} 62,340 72,075 115.6~ 3_5 28.1O/o Spedal Populations t 10,700[ 19,750! 184.6%j 50,290 63,750 1_2~.8~ _21.3°/o~ 31.0°/o Youth Commission , 500 -- -- -i~ 0.-~%! 2,400 1,267 52.8%~ __20'8%! n/a Adult Athletics 163,850 1ff5,975 ~ 120._2~ 117,215 128,981 110.0% 139.8% 152.7% Youth Athletics 99,100 80,392 ! ~ 81.:~% [ 88,821 80,086 90.2% 111.6% 100.4% Aquatics ' 3,000 2,748[ 91.6%1 33,890 35,1~3 105.8% 8.9% 7.7% Administration -! n/al .~ 81:.~22 155,429 85.6% n/a/ n/a co u.,w A.D cu. u . SE. CES Arts & Spedal Events 38,250 [ 40,187 .~0~.~°__/.o~ 55,089 61,713 t 112'0°/° 69'40/0[ 65'1°/° Community Recreation 128,471 ] 135,696 [ :1-05.6~/~! 167,976 164,473 97.9% 76.5%r 82.5% Red, White & Blue (1) 16,980 18,50t5 ~ 109.0% 32,500 -40,841 125.7% 52.2% 45.3% Administration - i n/a 214,333 192,980 90.0% n/a .', ':,'~:' . :'T0tal,~"";'..'.'; : . $":183,701 ~$ 194,389: 105,8% ~$', 469;898,:,;.$,., 460,006 i ". 97.9%[ 39.i%$. ,,'.. 42.3% TOTAL RECREATION $ 503,6841$ 535,2931 106.3% $ 1,072,3t9 $ 1,054,035 98.3%I 42.5%[ 50.S%I DUMAS BAY CENTRE 62,230 87,855 [ 141.2°/ol 162,230 186,420 / 114.9% Du .mas _Bay Centre (1) Knutzen Family Theatre (1 TOTAL DUMAS BAY CEI~rrRI $ 547,8081$ 576,698] 105.3%l$ 695,58315; 697,038/ 100.2%] 78.8%I 82.7%] GRAND TOTAL¢~..::. $.1,051,492 :i.$1,111,991 [ ...... ' . . 105.8%1;$.',.,:1;837;119!:? $i;¢1,797,873',. 97.9%, .~: ... 57,~/~I (1) Revenuesdonotincludeinterestincomeor operatingtransfers. Expendituresdonot includeinterfundcontributions. Athletics and Specialized Services: Revenues are $340,903 or $20,920 (6.5%) above the adopted budget of $319,983. Direct program expenditures total $438,600 which is $17,701 or 4.2% above the annual budget of $420,566, not including indirect costs. Recreation fees have recovered 77.7% of direct program costs. Including administrative expenditures totaling $155,429, the overall recovery ratio for Athletics and Specialized Services is 57.4%. Community and Cultural Services: Revenues are $194,389 or $10,688 (5.8%) above the adopted budget of $183,701. Direct program expenditures total $267,026 which is $11,461 or 4.5% above the annual budget of $255,565, not including indirect costs. Recreation fees have recovered 72.8% of direct program costs. Including administrative expenditures totaling $192,980, the overall recovery ratio for Community and Cultural Services is 42.3%. Including administrative expenditures, the total recreation recovery ratio is 50.8%. Dumas Bay Centre: Operating revenues total $488,843 or .7% above the revised budget of $485,578. Operating expenditures total $510,618 or 95.7% (excluding one time costs) of the revised budget of $533,353. The Dumas Bay Centre has recovered 95.7% of all operating costs without considering unearned revenues at the time of this report. Knutzen Family Theatre: Operating revenues through December total $87,855 or $25,625 (41.2%) above the adopted budget of $62,230. Operating e~penditures total $186,420 or $24,190 (14.9%) above the adopted budget of $162,230. The Knutzen Family Theatre has recovered 47.1% of all operating costs without considering unearned revenues at the time of this report. Ci~. o_f Federal Way December 2000 Quarterly Financial Report Public Works: The table below presents a year-to-date analysis of the Public Works and Surface Water (SWM) contracts with King County, WSDOT and private vendors. Most on-going maintenance takes place during the spring and summer months. Expedited Plan Review 0) $ 43,530[$ 42,612 97.9% Development S~ Contracted inspection 0) - ~ 5,082 n/a Neighborhood Safety/Pavement M arkin9 35,000 ~ 10, ~ 32 28.9% Tra~ranspoaation - Expedited Plan Review (1) - ~ 5,240 n/a Tra~c Counts/Consultants 35,000 ~ 19,5~3 55.9% School Safetyffra~c Maintenance - KC 370,000 ~ 305,859 82.7% Street Maintenance - Private Contractors (2) 238,980 ~ 474,889 ~ 73.2% Street Maintenance - WSDOT : 85,~36 ~ 39,935 47.0% Structure Maintenance (3) ........ 119,367 ~ 119,367 ~ 100.0% Solid Waste Litter Control 47,304 '~ 42,884 ~ 90.7% Water Utility Billin~ - KC 8tare HiflhwaV Maintonanco - WSDO* 42,S00 ~ ~ [ Water Analysis ~ 3,877 '~ 2,825 20.4% Str. Sweeping, Catch Basin, Manhole & Pipes . 253,~05 ~ 205,557 Snow & Ice Removal ; 30,000 ~ 2,023 6.7% Snow & Ice Removal - Lakehaven Utility District ~ 10,000 [ 0.0% (1) Expedited plan review service expenditures have matching revenues. (2) Private Contracts for streets maintenance/traffic control ($16,687), ROW vegetation, mowing and tree maintenance ($151,938), stump grinding, irrigation services, dangerous tree removal ($3,700), tree replacement ($10,000), small works projects ($10,000), Right-of-way contracted inspection ($31,655) and Pavement Management System ($15,000). (3) Private Contractors for sidewalk, ramps, curb and gutter maintenance ($112,696) and fences, guardrails, barriers and retaining wall maintenance ($6,671). City qf Federal Way December 2000 Quarterly Financial Report Variance Analysis Public Works Operations: Operating expen.ditures are below the December adopted budget ($3,553,913) by $452,359 or 12.7%, and expended $3,101,554 or 87.3% of its annual appropriation. Other services and charges total $643,434, which is 83.8% of its annual budget. This is due to some professional services and consulting contracts where services were incurred through December but will not be paid until January 2001. Intergovernmental expenditures through the current month total $447,918, which is 98.4% of the total budget ($455,036). Over 1/3 of this total consists of King County invoices that relate to 1999 activity. Again, there are contract payments for services incurred in the fourth quarter that will not be paid until January 2001. Capital expenditures total $96,547, which is 67.4% of the allocated budget ($143,240). The majority of this is related to the remodeling of the old fire station at Steel Lake, which is the offsite location for the Streets Maintenance Crew. Solid Waste and Recycling Operations: Expenditures are below budget by $22,695 or 7.3%. This is due primarily to the timing of grant related activity. SWM Operations: Expenditures are below budget by $346,052 or 19.3% of the December adopted budget of $1,795,621. The savings is due primarily to salaries and benefits, which total $765,637 or 78.7% of SWM's annual budget ($972,919). This is due to the vacancy of budgeted positions within the division. $36,590 has been spent in supplies, or 92.2% of the budget ($39,670). Intergovernmental expenditures are 58.5% expended at $62,877 due to payment of WSDOT street maintenance contracts. Savings in the WSDOT contract is anticipated at year-end due to several Streets CIP projects that will not be completed in 2000 for the maintenance to begin. Public Safety & Jail Services: Variance Analysis: Police Services: Police Services has expended $12,567,098 through December, which is $562,138 or 4.3% below the year-to-date budget of $13,129,237. Savings can be found in supplies where $252,509 or 46.9% of the adopted budget has been expended, travel and training, where $114,870 of the total budget ($150,884) has been expended, and in intergovernmental expenditures. Valley Communications has a savings of $119,410 or 88.4% of the adopted budget of $1,030,800. This represents 12 months of expenditures. Salaries and benefits, including temporary help, and termination pay, totaled $8,973,900, which is $21,632 above the budget of $8,952,268. Other savings include Overtime Police security, which totals $115,450 through December, but is offset by revenues collected for the services provided. Residual Equity transfers include the purchase of 9 Motorola Radios ($23,769), 10 Panasonic Laptops ($33,625) and Document Imaging System ($20,286), creating a shortfall of $47,353 when compared to the total budget of $44,128. Jail Services: Jail services are above the December adopted budget ($1,200,000) by $187,550 or 15.6%. The total expended does not include invoices for November or December. The chart shows cash basis jail cost and maintenance days' activity for December through October only. Jail Costs vs Maintenance Days Through December 16,500 $1,200,000 L ............. $1,o21,433 i 15,ooo $1,050,000 , ..................................... i $60'/,409 $682,290 $817,218 ! 12,000 t..- $900,000 ~I0,3 I [ 10,500 '" $750,000 }- ...... 1 9,000 $5oo,ooo ~-[ .-i 7,500 '; $450,000 ..L'": 6,000 $300,000 ~ ". 3,000 1994 1995 1996 1997 1998 1999 2000 [ IllExpenditures --~-- Cases 16 City of Federal Way December 2000 Quarterly Financial Report Grants & Contributions: The department recently received the 1999 LLEBG grant in the amount of $97,198 for the funding of the critical incident equipment and training, which was approved by Council via the mid-biennium budget adjustment. The Department of Justice also recently awarded 2000 LLEBG grant in the amount of $83,790 for the funding of firearms lockboxes, stop sticks and overtime. This grant was approved and accepted by the City Council at the 10/17 council meeting. Other LLEBG grants received by the department include: 1996 LLEBG in the amount $93,695 for 2 recreation coordinators; 1997 LLEBG in the amount of $99,859 for equipment, 1998 LLEBG in the amount of $110,973 for IPSO and vehicle. The 1996 and 1997 grants have been exhausted and the 1998 grant will be closed at the end of the year. Other current grant.s the department is participating in include the COPS More 98 grant for the funding of a crime analyst and equipment, and the 1999 COPS Universal Hiring Program for the funding of 8 officers. The department also received various contributions from the Washington State Traffic Commission in 2000 for purchase of equipment such as radar units and speed measuring devices. Other Financing Uses/Interfund Transfers total $8,057,403 or 74.8% of the annual budget ($10,770,669). This includes $1,327,101 of interfund operating transfers from Utility taxes. The allocation consists of $142,000 for Celebration Park ($91,000 one-time funding and $51,000 on-going maintenance and operations), $117,200 for maintenance and operations on Streets bond projects, $967,901 for the Overlay project and $100,000 to subsidize the Knutzen Family Theatre. Operating Expenditures By Category: The chart below shows operating expenditures and financing uses through December 31, 2000 by category or object code: General Governmental Operating Expend_!tpres I Uses by Category '. , .... ,':' ':: ' As of Dec~mber:31~.2000' ' ,. · .. ,, ~,:, :~ ,:: ,,..'~.::!~' ..~,,, ,,,~:: . 5: !: :., '. , . ',, C. i!*,;. ,~:: = ' !., ,A,.djus~i,,, Yearrto-date % of Total .' .".~:~'2 :: ~,. .' . ::,~. ,~'~ ~==~ .... "~'.~ 'Code' Item ":. , [. '~' '=: Budge~;: .... Expenditures Budget Ex'pend 50 City Manager Contingency Fund 701,324 1.4% 0.0% 100 Personnel Services 15,512,791 15,012,388 31.3% 96.8% 200 Benefits 3,432,958 3,194,042 6.9% 93.0% 300 Supplies 995,126 700,262 2.0% 70.4% 400 Other Services and Charges 4,884,249 4,520,410 9.9% 92.6% 500 Intergovernmental Services/Taxes 3,181,259 2,926,382 6.4% 92.0% 552 Inter[und Contributions 10,012,645 7,908,341 20.2% 79.0% 561 Residual Equity Transfers 420,331 298,798 0.8% 71.1% 600 Capital Outlays 2,244,121 1,718,084 4.5% 76.6% 700 Debt Service- Principal 2,788,739 2,585,092 5.6% 92.7% 800 Debt Service - Interest 1,823,417 1,743,047 3.7% 95.6°/~ 900 Interfund Svc Payments 3,525,744 2,683,752 7.1% 76.1°/~ Total Operating Expenditures I Uses 49,522,703 43,290,597 98.6% 87.4°/, Personnel services and benefits, which comprises 38.3% of the operating budget, is 96.8% expended. Included in this number are salary and wages, temporary help, seasonal help, overtime pay, overtime-private security and termination pay. A major portion of the savings is due to the hiring freeze that was implemented by the City Manager in response to the passage of 1-695. Other services and charges have expended 92.6% of its annual budget ($4,884,249), with savings in Community Development, Public Works - Streets, Parks Maintenance and Municipal Court. Capital outlays, which includes $1.9 million for the arterial streets overlay project, is 76.6% expended. Of the $1,718,084 in expenditures through December, 84.9% can be attributed to the Asphalt Overlay project. Internal service payments are currently at 76.1%, which includes the collection of 12 months of replacement reserves and maintenance and operations charges through the end of third quarter. City o.f Federal Way December 2000 Quarterly Financial Report ! . I i Ending Fund I Beginning Fund : i [ Net Cash I Balance at [ Expenditures i In/(Out) i 12/3'1100 Fund ! Balance atllll00 General/StreetFund: ], $ 5,168,514 ! $ 31,136,332 =~ $ 28,714.893 [ $ 59,851,225 I $ 65,019,739 Debt Service Fund: (1) I 5,748,509 i 4,138.889 ! 3,253,288 I 885,601 t 6.634,110 Special Revenue: i Arterial Street I 349,431 1,567,218 ~ 1,458,054 ~ 109,164 [ 458.595 Utility Tax (1) ~ 2,830,149 5,748,035 3,048,183 I 2,699,852I 5,530,001 4 ~ (~08~ 214,757 Solid Waste & Recycling I 299,841 208.814 293,898 Special Study(Gov. TV) I 22,549 :j 102,251 ~ 14.086 I 88,165 110,714 Hotel/Motel Lodging Tax [ 27,965 : 123,355 ! 97,298 26,057 54,022 2% for the Arts i 113,274 - [ 94,000 1 (94,000) 19,274 CDBG ' 5,822 ' 154.051 ~ 140,626 i 13,425 19,247 Paths & Trails i, 22,353 ' 9,920 i - I 9,920 3~,273 Strategic/Airport Reserve ! 2,028,204; 125,737 I 107,8251 17,912 --~),046,116 Subtotal Special Revenue Funds i 5,699,588 i 8~039~382 ! 5 253.97'/ ~ 2.785,41f 8.484.999 Capital Project: i Public Safety Facility 5.387,892 ~ 913,132 ~ - i ' 913.132 ~ 6.301,024 Downtown Revitalization 1~ 3,084,330 474,204i 1,128,530I (654,326) 2,430,004 Unallocated 1997 Bond Proceeds 'l 18.961 ~ 998 - 998 1~),959 Celebration Park ~ 11,377 I 2,073 ! (97,346)~ 99,419 - 1~0,797 Park Improvementst 552,432 ~ 736.094 559,581 'l' 176,513 728,945 Surface Water Management 3,584,8011 5,336,277t 3,930,198t 1,406,079t 4,990,880 Transportation 6,219,685 ' 6,024,141 3,299,976 2,724,165 8,943,850 Subtotal Capital Projects t 18.859..478 [ f3.485.9~9 I : 8.820.939 I 4.665,980 t 23,525,459 Enterprise Funds: ~ Snow&lceRemoval ][ 100,000 [ 6,055 9,811[ (3,756) 96,244 Surface Water Management~ 1,643,113 1~3,196,255 3.955,922 I (759,667) 883,446 Dumas Bay Centre Operations (2) t 2,521 ~ 491,362 510,618~ -- -- (19,256) (16,735) Knutzen Family Theatre Capital 31,882 1__ 5,241 -~ ----- 5,241 37,123 Knutzen Family Theatre Operations~ 13,372 I 201,227 186,41~-] 14,808 28,180 SUbtotal Enterprise Funds : 1,790~888 t : 3;9~4~ I 4,662~771 (762,630) :f~028,258 Internal Service Funds: (3) Risk Management 1,377,965 846,066 494,932 351,133 1,729,098 Information Systems 1.096,345 I 1,285,917 1,189,375 96,542 1,192,887 Mail & Duplication 112,048 T 135,780 141,150 (5,370) 106,678 Fleet & Equipment 1,569,127iT 930,344 771.141 159,203 1,728,330 Buildings & Furnishings 870,388 ~- 440,990 447,874 I ' ~ (6~8-84~- 863,504 (1) Utility Tax and Debt Service fund balance is reserved for the payment of debt service. (2) Dumas Bay operations ending fund balance is due to uncollected billings in November and December. (3) Internal Service fund balance is comprised of accumulated replacement reserves for the purpose of fixed asset replacement. Lour~eS!Uses ~ning Fund Balance ~erating Revenues Property Taxes Sales Tax Hotel/Motel Lodging Tax Criminal Justice Sales Tax intergovernmental Real Estate Excise Tax Gambling Taxes Utility Taxes Fines & Forfeitures Building Permits/Fees-CD Expedited Review Fees-CD ROW Permits/Fees-P~/ Expedited Review Fees-IWV Licenses Franchise Fees Recreation Fees Dumas Bay Centre Knut]-en Family Theatre Interest Earnings Admin Fee-SWM & Solid Waste SWM Fees Refuse Collection Fees Police Services Other Total Operat!ng ReVenues : 1995 $ 11,403,627 5,911,017 7.925,703 1,091,874 5,477.633 %O93.194 322.989 807.932 660.116 178.675 84.773 386.005 419.492 216.498 803.344 150.384 2.982.684 145.600 998.529 29;456i442 1996 $ 10.331,541 ATTACHMENT A CiTY OF FEDEI:~AL WAY SUMMARY OF SOURCES AND USES OPERATING FUNDS Thigh December 1995 - 2000 1997 : $ 10,396,188 6.009.042 6.161.293 8.058.423 8.304.733 1.142.910 1.262.828 5.017.136 4.793.248 1.474.191 1.860.O23; 301.977 318.763 810.347 3.554.107 557.240 622.452 585.397 735.270 - 7.268 197.216 188,823 82,O<34 ! 83,108 399,0331 463,232 431,761 448,973 278,323 341,277 628,8591 753,831 154,897' 162,734 2,968,547 2,912,571 143,758 I 143,102 - 1.036.264 1 013 647 I 30:254:708 { 1.213.519 , 35i367'419 1998 1999 $ 15,128,342 $ 17,578,962 6.437.503 6.612.491 8.782.171 9.664.945 47.181 1.360.175 1.478.344 4.970.984 5.047.524 2.231.269 2.438.148 398.95O 1 430 362 4.528.659 5.235.789 814.676 833.953 S66.092 1,288.040 64.394 98,677 252,952 237,869 54.971 6~,243 57,597 179,120 356,439 469,923 466,470 525,263 354,094 492,702 16,483 48,883 1,009,957 1,064,181 165.989 168.480 3.032.677 3.125.973 147.101 147.062 192,377 302,902 2.075.219 153.075 : 38;737~199 I ::41;157,131 200~Re~ised Budget ,,. Annual , $ 18,082,539 6,833,380 8,837.773 87,035 1,40<3,626 3,152,273 1.20<3,000 1.209.600 4.703.276 949.700 1.018.742 73,556 I 226.567i 38,530 118,253~ 515.508 ~ 555,852! 485,578 62,230 911.054 171,006 3,142.645 150,752 867,078 146,782 36;856,796 Through December 18,082,539 6.833.380 8.837.773 87.035 1.409.626 3.152.273 1.200.000 1.209.600 4.703.276 949.700 1.018.742 73.556 226,567 38,530 118,253 515,508 655.B52 485,578 62.230 911,054 171,006 3,142,645 150,752 857,078 146,782 : 36,856;796 AclUala December.. $ 18,082,539 6.973.051 10.302.450 122.507 1.620.305 4.149.140 2.252.992 1.565.989 5.520.539 892.454 1.076.994 142.753 263.492 42.612 137.180 496.418 533.950 489.843 87,855 1,251,376 170,568 3,064,889! 130,464 I 906,016 54,951 42~247;805; Variance ~ ;nfavorable) $ o.o% 139.671 2.0% 1.464.677 16.6% 35.472 ~.0.8% 210.679 14.9% 996.867 31.6% 1.052.992 ~7.7% 356..~89 29.5% 817.263 17.4% (57.246} -6.0% 58.252 5.7% 69.197 94.1% 36.925 16.3% 4.082 10.6% 18.927 16.0% (19.090) -3.7% (21.902) -39% 3.265 0.7% 25.625 j 41.2% 340.322 I 37.4% (419)I -0.2% (77.756)I -2.5% (20,296) -13.5% 48.938 I 5.7% 191.631) -62.6% 5;39!;0!o :: !4~6% Operating Expenditures City Council City Manager ;Municipal Court-Operations Municipal Court-Start up Management Services .~ivil/Cdminal Legal Services ~'omm Development Services 3olice Services Jail Services ~arks and Reo'eation >ublic Works ~.ity Oveday Program ~-qow &tce Removal (] Waste 168.750 174.755 433.251 497.352 1.318.7~J 1.404.702 1.098.432 1.139.358 3.556.259 2.824.183 8.274.738 8.763.727 548.858 662.290 3,084,522 3,010,592 2.621.960 2,O90,807 631.930 863.333 6.749 62.057 216.330 284.175 .el/Motel Lodging Tax - - 11;Su~face Water Management 1.339.801 1.490.808 ~JDebt Service 1.771.439 1.717.049 I[Dumas Bay Cen+J-e 308,457 353,163 !lKn'~tzon Famil Theatre · ~.~__.~.rn,y ...... .: ................................. IITotal Operating Expenditures 25,380.275 25.908,351 {operating Revenues'o~e~/(under} ' I[ Operat ng Expenditures 4~076. t67 4 346 358 :)ther Financing Sources ~ther Financing Uses Ending Fund Balance Solid Waste Snow & ice Arterial Street Utility Tax SWM Path & Trails Strategic Reserve Debt Service Dumas Bay Centre Police P3 Interfund Loans Unreser~. ' ~'?t~q Enc ,,,I ~ ,...I Ua',,.;('e 5.391.524 3.10<3.819 188.505 213.050 191.274 103.239 971.893 362.100 1.702.890 1.077.666 39.284 50.210 2.104.645 2.050.477 1.936.991 1.618.909 157.897 115.131 1.031.439 10.000 187.129 527.825 1.414.919 1.321.723 2.469.003 9.827.866 817.218 2.634.718 2.978.999 1.606.804 56.563 496.742 1.450.508 2.982.785 415.891 29,188,633 6,178.786 3.524.944 2.034.372 190.622 648~51 1.545.619 1.557.525 2.669.939 10.951.028 1.021.433 2.722.153 3.257.037 1.800.717 35.844 282.044 1.463.433 2.127.799 405.298 76.412 30,655,554 B,081,645 2.822.839 i 5,783,555 ~ 217.998 595.744 1.728.101 1.261.989 2.768.211 11.950.8121 1.513.247! 3.088.798 3.285.979I 1.764.443! 21.371 233.635 1.562.123 5.307.192 487.164 t47 223 35,934,030 5,223,101 5.381.058 9.253.813 197.385 605.720 909.241 91.122 1.854.269 1.224.040 3.376.757 13.129.237 1.200.000 3.10<3.0<32 3.553.913 1.918.510 55.052 312,366 115,000 1,795,621 4,612.156 533,353 162 230 38,752,03.4 . (1,895,238) 7,381,536 I 10,770,669 197.385 605.720 909.241 91.122 1.854.269 1.224.040 3.376.757 13.129.237 1.200.000 3.10~.0<32 3.553.913 1.916.510 55.052 312.366 115.000 1.795.621~ 4.612.156 533.353 162,233 38,752,034 (1,895.238) 4,561,764 8,057,403 192.471 401.464 768.518 86.680 1.525.788 1.207.454 2.804.898 12.567.098 1.276.556 3.001.141 3.101.554 1.458.054 9.811 289.671 67.298 1.449.569 4.328.139 510.818 186.423 35,233,194 7.014.611 4.561.764 8.057.403 4.914 Z04.255 140.725 4.442 ~28.481 16.586 571.859 562.138 (76.550 104.921 ~52.359 ~60.456 45.241 22.695 47.702 ~46.052 ~84.017 22.735 (24.190 3,518,839; 8,909,849 i 296.991 73.358 470.902 %566.522 6.153 2.022.389 2.986.805 83.742 1.082.207 3Og.0(X) 16.000 294.316 103.530 477.375 2.120.030 2.276.459 12.555 2.025.496 5.283.482 13.286 786,441 10.000 "5.12 ~'. 299,842 100.000 349.431 2.830.148 1.643.113 22.353 2.028.204 5.748.508 47.775 748.150 10.000 291.487 100.000 3,4O9.888 574.643 31.520 2,0001000 4,736.354 669.334 300.000 10.000 196.303 95.575 456,790 4.944,684 -I 812.213 -, 31,474 2,033,832 4.561.433 35.745 800.229 10,000 n/a ! Wa ! n/a ! n/a nJa n/a n/a n/a n/a n/a 2,5% 33,7% 15.5~ 4.9% 17.7% 1 16.9~ 4.3% -6.4% 3.4% 12.7~ 24.05~ 82.2~ 7.3% 41,5~ 19.3% 6.2~ 4.30A -14 9.~. 9.1~ '470.1%I $ ':: ~;ii;~ ;~";' $ "5':: tlr $ ill :N,5 5lb $ 17 2,15.2,1'~ '~ 18.136'fl!i9 "$ '11 2;ITT f~86 S 12 ~ !)1 ~'"2 $ 21 601.~11 S ' 6.9',.9 848 -,, ',,.. I,,=,,O~.2~.'~.~. 1118101 PUBLIC WORKS DEPARTMENT SWM DIVISION PROJECT STATUS REPORT Ken Miller, Deputy Public Works Director W. Hylebos Channel Stabilization SW 356th Street Drainage Study/SW356th St Closed Depression Acquisition SeaTac Mall Basin Drainage Improvements Phase II (Design/ROW/Construction) Star Lake Basin Drainage Improvements (Design/ROW/Construction) SeaTac Mall Basin Drainage Improvements Phase I (Monitoring) 6~99 Design 1/99 Land Acquisition 10/96 Design 111/98 Prelim. Design To Be Determined (TBD) 9/01 2/01 Construction Phase II 9/95 Design Phase I 10/00 Construction 3/99 Construction Phase I TBD N/A N/A N/A 1/99 is reevaluating the scope this project to ensure that it complies with new ESA requirements while also maximizing benefits to the City. A new schedule will be developed upon identifying the best course of action for the City. 196,986 0 project is funded for design, right of way acquisition, and construction. Preliminary design was completed in march 1999. Property acquisition is under way with a revised completion date of 6/O1. Property acquisition issues continue to delay the project. Reduction in staff has also delayed the project. 623,535 15,800 City Council awarded the project on 7/5/00 to Katspan, Inc for the amount of $2,469,053. The project is complete, and the contractor is working on punch list items. The City will invoice the final payment from the Public Works Trust Fund upon completion of the project. City Council awarded the project on 6/20/00 to RCI Construction in the amount of $973,892.80. The drainage and water line work is complete. The asphalt overlay of .the street will not be possible until Spring 2001 due to weather. Construction on this Phase was completed in January 1999. Council accepted the completed project in March 1999. The remaining work is required for the compliance with the project Mitigation and Monitoring Plan. 3,071,630 3,067,685 1,477,554 1,050,156 10,000 50,000 Monitoring I~ Project was completed in 1998. Council accepted the completed project in December 1998. The 26,318 SW 34Oth Regional Storage 10/98 N/A N/A N/A N/A N/A 1/99 50,000 Facility 1/98 Construction remaining work is required for the Monitoring (Monitoring) compliance with the project Mitigation and Monitoring Plan. Project was completed early 1998. Council acceptance of the completed project is Scheduled So. 356th Street Regional 3/95 12/97 4,577 Storage Facility N/A N/A N/A N/A N/A 6/98 June 1998. The remaining work 50,000 (Monitoring) Final Design Construction is requi.red for the compliance Monitoring with the project Mitigation and Monitorinl~ Plan. Project was completed early 1996. Council accepted the So.--336th / Kitts Corner 1/94 12/96 completed project in March 1997. 6,136 Regional Storage Facility N/A N/A N/A N/A N/A 1/97 30,189 Prelim. Design Construction The remaining work is required for Monitoring (Monitoring) the compliance with the project Mitil~ation and Monitoring Plan. The annual programs are used to Annual Programs correct deficiencies posing MinorClP/Maior hazards in major conveyance Maintenance 1/00 12/00 N/A N/A N/A N/A N/A N/A systems, solve minor localized flooding problems improving water 11"~ Street Pipe quality and habitat, reduce the Replacement liability aspects of publicly owned $312"~Streatdralnage R/D facilities, and restore lost dltchlmprovements functions and values of City's 51~ Ave SW improvements S 309"' and 26"' Ave S many streams and lakes. regrading Each year a list of projects is 118,195 116,626 Waterstone CB installation developed for each of the 47,277 4,740 R/D Retrofit following programs: 35,459 500 123.932 42,606 Remove sediment from Minor CiD/Major 324,863 164,472 ponds ' Maintenance - R/D Retrofit Lake and Stream - Lake & Steam Lake Killarney WQ Improvement Water Quality Projects 364~ Street Culvert Total replacement - Storm Drainage Hot Tape Stencil Ioe's Creek Restoration Monitoring Stations/Equipment Lakota Adopt a Creek kAcip\swm011801 .doc PUBLIC WORKS DEPARTMENT TRAFFIC DIVISION PROJECT STATUS REPORT Rick Perez, Traffic Engineer I I I I I I Additi°naldesignunderwayt°reduceP'A/Vneeds' I'_ ...... I Landscaping needs to be completed in Spring. / } / / K:\ClP~afl000.wpd 1-18-01 12~v./O0 BPA Trail Phase III Design/ROW/Construction (TEA 21) 2/98 23rd Avenue So Road Improvements, So 317th St to So 324th, and So 320th Street double left turn lanes Desigh, ROW, and Construction (TEA 21. AlP) 8/93 South 320th Street - 11th Place South to I-5, Utility Underground and Streetscape Design, Construction 1/98 SR 99 Phase I - SO. 312th Street to SO. 324th Street HOV Lanes Design, ROW, Construction (TEA 21, TPP) 5/98 9/01 12/02 12/02 12/02 ,~ :-TS DIVISION PRO J,._. STATUS REPORT Marwan Salloum, P.E. Street S_~ystems Man= This project is funded for Design, ROW and Construction. Design Consultant is Parametrix, Inc. Right-of-Way acquisition is complete. This project is funded by TEA 21 grant and City funds. Construction Ad date is estimated to be in Februar~ 2001. 1,074,885 This project is funded for Design, ROW and Construction. Right-of-way acquisition to be done by City and WSDOT forces. Consultant is Entranco. 85% Design was presented to LUTC in April 17, 2000 and to City Council on May 2, 2000. Ad date is estimated to be in March 2001. 9,343,752 Project is being worked on in conjunction with the following projects: - So 320th & SR 99 Intersection Improvements, will include the portion from11th PI So to 20th Ave So, and - 23'" Ave So Road Improvements will include the from 20th Ave So to I-5 ram This project is funded for Design, ROW and Construction. Consultant is CH2M Hill, Inc., currently working on project des!gm Consultant and City forces will do ROW acquisition. 85% Design status report was presented to LUTC on September 11, 2000 and to City Council on October 3, 2000. Construction Ad date is estimated to be June 2001. 11,208,332 223,000 (Design/ROW) 2,355,400 (Design/ROW) (Design) 3,431,617 (Design/ROW) SR 99 Phase II - So. 324th Sb'eet to So. 340th Street HOV Lanes Design, ROW (TFA 21, TPP) South 320th Street at SR 99 Signal Improvements Design, ROW, Construction (TEA 21, AlP) 2000 Asphalt Overlays Design, Construction K:V:IF~STR 1200.doc 2/31/00 12/03 5/01 12~00 This project is funded for Design and ROW only. Consultant is CH2M Hill, Inc., currently working on project design. Project constrhcbon Ad date is estimated to be May 2002 if construction funding becomes available. This project is under construction, the contractor is R W Scott Construction Co. project substantial completion is scheduled for 1/31/2001 and final project com, pletion is 5/30/2001. Contractor is ICON Materia.s (M.A. Segale, inc.). All requ!red work for the 2000 Asphalt Over!ay has ~een completed. Suffic:ent funds were avahab:e in the projoct budget and contingencies to add $chedu:es E, F & I back into the contract, 2,818,000 3,618,179 ! ,689,897 980,000 3,420,666 (Design/ROW/Co nstruction) 1,623,292