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FEDRAC PKT 08-27-2013CITY OF Federal Warr City Council FINANCE/ECONOMIC DEVELOPMENT/REGIONAL AFFAIRS COMMITTEE [FEDRAC] Tuesday — August 27 5:30 p.m. 1. CALL TO ORDER 2. PUBLIC COMMENT 3. COMMITTEE BUSINESS 2013 AGENDA Federal Way City Hall Hylebos Room Action Topic Title/ Description Presenter Page* or Discussion A. APPROVAL OF MINUTES/SUMMARY: JULY 23, 2013 K. ROE 2 APPROVAL 08/27 Committee B. 2012 ANNUAL STATE AUDIT EXIT CONFERENCE * A. SWART 9 DISCUSSION (SAO) Information only C. AUTHORIZATION OF AN AMENDMENT OF A CDBG EMERGENCY HOUSING REPAIR J. BENNETT 10 CONSENT PROGRAM CONTRACT —CONNELLY ROOFING, LLC 09/03 Council D. AUTHORIZATION OF AN AMENDMENT CDBG EMERGENCY HOUSING REPAIR J. BENNETT 15 CONSENT PROGRAM CONTRACT 09/03 Council —TPJ INC., DBA THE PLUMBING JOINT, LLC E. 2013 -2015 SOLID WASTE & RECYCLING GRANT RESOLUTION FUNDING UPDATE F. 201314 MID - BIENNIUM BUDGET ADJUSTMENT CALENDAR G. SCORE UPDATE H. MONTHLY FINANCIAL REPORT —JULY 2013 .............. I. VOUCHERS R. VAN 20 CONSENT ORSOW 09/03 Council T. KRAUS 27 COUNCIL BUSINESS 09/03 Council T. KRAUS 2$ DISCUSSION Information Only T. KRAUS 49 CONSENT 09/03 Council T. KRAUS 64 CONSENT 09/03 Council *Additional materials may also be distributed for review /action during the meeting 4. OTHER: 5. FUTURE AGENDA ITEMS: 6. NEXT MEETING :Tuesday — SEPTEMBER 24,2013 Committee Members: Dini Duclos, Chair Bob Celski Susan Honda City Staff: Tho Kraus, Finance Director Krystal Roe, Deputy City Clerk (253) 835 -2402 Tuesday, July 23 Federal Way City Hall 5:30 p.m. 2013 Hylebos Room Meeting Summary (Presented for Approval — August 27, 2013) 1. CALL TO ORDER 2. PUBLIC COMMENT 3. COMMITTEE BUSINESS Topic Title/ Description A. APPROVAL OF MINUTES/SUMMARY: JUNE 25, 2013 B. AMENDMENT TO FUSION'S 2013 CDBG CERF AWARD C. CDBG MICROENTERPRISE LOAN TO UNIVERSAL CARTRIDGE USA, LLC D. DESIGNATION OF DUMAS BAY CENTRE AS A HISTORICAL SITE Presenter S. CAIN J. BENNETT J. BENNETT R. ETTINGER E. JANITORIAL SERVICES FOR DUMAS BAY CENTRE R. ETTINGER F. 2ND Q REPORT— HCC SMALL BUSINESS DEVELOPMENT CENTER — RICH SHOCKLEY P. DOHERTY Information only G. 2ND Q REPORT — CASCADIA VELOCITY - GRAHAM EVANS P. DOHERTY 95 DISCUSSION Information only H. INTERLOCAL AGREEMENT W/LAKEHAVEN UTILITY DISTRICT FOR MANAGING GRANT M. SALLOUM 100 CONSENT FUNDS FOR THE DISTRICT'S DOWNTOWN SEWER PROJECT 08/06 Council I. KC RSO COST REIMBURSEMENT AGREEMENT B. WILSON 104 CONSENT J. SCORE UPDATE K. MONTHLY FINANCIAL REPORT FOR JUNE 2013 L. VOUCHERS 08/06 Council T. KRAUS 116 DISCUSSION Information only T. KRAUS 130 CONSENT 08/06 Council T. KRAUS 145 CONSENT 08/06 Council *Additional materials may also be distributed f or review /action during the meeting, 4. OTHER: 5. FUTURE AGENDA ITEMS: 6. NEXT MEETING: Tuesday, AUGUST 27, 2013 Committee Members: (Council Members) Dini Duclos, Chair Bob Celski Susan Honda City Staff: Tho Kraus, Finance Director 253 835 -2520 Steve Cain, Executive Assistant 253 835 -2402 Action age* or Discussion 2 APPROVAL 07/23 Committee 6 CONSENT 08/06 Council 14 CONSENT 08/06 Council 84 DISCUSSION Information only 87 CONSENT 08/06 Council 90 DISCUSSION Information only G. 2ND Q REPORT — CASCADIA VELOCITY - GRAHAM EVANS P. DOHERTY 95 DISCUSSION Information only H. INTERLOCAL AGREEMENT W/LAKEHAVEN UTILITY DISTRICT FOR MANAGING GRANT M. SALLOUM 100 CONSENT FUNDS FOR THE DISTRICT'S DOWNTOWN SEWER PROJECT 08/06 Council I. KC RSO COST REIMBURSEMENT AGREEMENT B. WILSON 104 CONSENT J. SCORE UPDATE K. MONTHLY FINANCIAL REPORT FOR JUNE 2013 L. VOUCHERS 08/06 Council T. KRAUS 116 DISCUSSION Information only T. KRAUS 130 CONSENT 08/06 Council T. KRAUS 145 CONSENT 08/06 Council *Additional materials may also be distributed f or review /action during the meeting, 4. OTHER: 5. FUTURE AGENDA ITEMS: 6. NEXT MEETING: Tuesday, AUGUST 27, 2013 Committee Members: (Council Members) Dini Duclos, Chair Bob Celski Susan Honda City Staff: Tho Kraus, Finance Director 253 835 -2520 Steve Cain, Executive Assistant 253 835 -2402 Ak CITY OF Federal Way FEDRAC August 27, 2013 Page 2 of 7 1. CALL TO ORDER By: Councilmember Duclos - Chair Time: 5:30 P.M. Committee Members in attendance: Dini Duclos x Bob Celski x Susan Honda x Other Council Members and /or elected officials in attendance: • Jeanne Councilmember Burbidge • Diana Noble - Gulliford Staff in attendance (x): x Tho Kraus Finance Director 253 835 -2520 x Heather Dunnachie Law 253 835 -2562 x Pat Richardson City Attorney 253 835 -2570 Brian Wilson Chief of Police 253 835 -6711 x Stephan Neal Commander 253 835 -6717 Thomas Fichtner IT Manager 253 835 -2547 x Jay Bennett Community Services Manager 253 835 -2650 Skip Priest Mayor 253 835 -2410 x Patrick Doherty Community & Economic Development Director 253 835 -2612 X Rich Shockley Small Business Development Center X Graham Evans CEO of Cascadia Velocity Cary Roe Director -PW, Parks, Recreation and Culture 253 835 -2710 Jean Stanley Human Resources Manager 253 835 -2532 Rob Van Orsow Solid Waste & Recycling Coordinator 253 835 2770 x Marwan Salloum P.E., Deputy Public Works Director 253 835 -2720 Ken Miller Deputy Public Works Director 253 835 -2711 X Rob Ettinger Parks, Recreation & Cultural Services — DEC 253 835 -2002 2. PUBLIC COMMENT There were no public comments. 3. COMMITTEE BUSINESS Action Topic Title/ Description Presenter Page* or Discussion A. APPROVAL OF MINUTES /SUMMARY: JUNE 25, 2013 S. CAIN 2 APPROVAL :11 07/23 Committee Discussion /Changes: Steve Cain, Executive Assistant 253 835 -2402 Motion: Councilmember Celski moves to accept the minutes for the June 25, 2013 FEDRAC meeting — second and passed. Councilmember Honda was not present at last month's meeting and abstained from voting. CITY OF FEDRAC August 27, 2013 Page 3 of 7 B. AMENDMENT TO FUSION's 2013 CDBG CERF AWARD J. BENNETT 6 CONSENT :52 08/06 Council Discussion /Changes: Jay Bennett Community Services Manager 253 835 -2650 Jay Bennett discusses the Agenda Bill with Committee comments and questions during the discussion. ❖ Councilmember Celski questions the increase in the amount that was originally awarded. Jay Bennett confirmed that it was about 33 %. He also questioned if the original amount was not enough to purchase a 3 bed 2 bath home for $175,000 that did not need substantial improvement. Jay Bennett noted the market was moving quickly and more funds were needed to respond quickly without FUSION investing their own money into improvements as the City money is specifically for acquisition only. Councilmember Celski questioned whether FUSION was hoping for full funding or if it was expected. Mr. Bennett opined that $200,000 would be sufficient and that full funding was expected. Councilmember Celski also questioned whether the City has donated to the upcoming FUSION fundraiser. Mr. Bennett answered that he does not believe the City has donated. ❖ Councilmember Honda questioned what would happen should other groups ask for more money. Mr. Bennett stated that he must look at the intent of the original ask and whether more funding would be for additional services or to deliver the same services as originally asked for. Councilmember Honda questioned whether Mr. Bennett would think its ok if they were to come back for more funding if they find $200,000 to be insufficient. Mr. Bennett explained he would have to evaluate what houses they had looked at. ❖ Councilmember Burbidge questioned the environmental work and whether the cost of that would come out of this funding. Mr. Bennett confirmed that it would and discussed the environmental review. Councilmember Celski asked about the amount in CDBG funds that was uncommitted. Jay estimates $257,000 carry forward for next year which includes the allocation of this $25,000. Councilmember Celski expressed concern about other, better uses for the money with the economy now picking up. ❖ Chair Duclos asked if other agencies have had the city cover the total cost of real property purchases. Mr. Bennett says that within the last year that he has been employed with the city, no other agencies have. Chair Duclos questioned why this came to this Committee. Mr. Bennett explained that the original request came to FEDRAC as well. Councilmember Celski expressed his concern that the funds may be needed for other projects during the rest of the year. Motion: Councilmember Honda moves to forward to the August 6th Consent Agenda for approval the Human Services Commission's recommendation to amend the PY 2013 CDBG CERF award to FUSION by awarding an additional $25,000, for a total amount not to exceed $200,000 for the acquisition of a single - family house in Federal Way, while retaining the Conditions of Funding — second and passed. C. CDBG MICROENTERPRISE LOAN TO UNIVERSAL CARTRIDGE USA, LLC J. BENNETT 14 CONSENT 11:36 08/06 Council Discussion /Changes: Jay Bennett Community Services Manager 253 835 -2650 Jay Bennett discussed the agenda bill with additional information from the Loan Review Advisory Committee's recommendation and addressed issues of confidential information. ❖ Chair Duclos asked if the credit score item should be pulled from Consent Agenda. Pat Richardson recommended it be put on Council Business. Councilmember Honda asked about the applicants' understanding of what is and is not public information. Mr. Bennett explained business records, social security numbers, and credit scores cannot be disclosed. Councilmember Celski questioned the letter of recommendation and issues in item 2. Mr. Bennett explained that it had been updated in the revised agenda bill and talked about the process of approval of the application and that the applicant gave reasoning for collection issues. AL CITY OF FEDRAC August 27, 2013 Federal Way Page 4 of 7 ❖ Councilmember Celski asked about the applicant's own investment into the business. Mr. Bennett confirmed that the applicant has committed his own investments as well. Councilmember Celski addressed the applicant regarding the business plan and sales to businesses in Africa. Applicant says 100% of business will be in U.S. Starting in King County and focusing on minority businesses. He will potentially explore business outside of the U.S in the future. ❖ Councilmember Honda asked if this item was going to council business. Chair Duclos and Councilmember Celski clarify that it was going on the consent agenda. Motion: Councilmember Celski moves to forward the Universal Cartridge USA, LLC's CDBG Microenterprise Loan application in the amount of $18,500 with the funding terms and conditions recommended by the CDBG Loan Review Committee to the August 6, 2013 Consent Agenda for approval - second and passed. D. DESIGNATION OF DUMAS BAY CENTRE AS A HISTORICAL SITE R. ETTINGER 84 DISCUSSION 23:17 Information only Discussion /Changes: Rob Ettinger Parks, Recreation & Cultural Services — DBC 253 835 -2002 Rob Ettinger discusses the agenda bill and Patrick Doherty adds additional information. Comments /Discussions: Patrick Doherty added information regarding an ordinance for designation of a historical site. The ordinance could include designation and controls. ❖ Chair Duclos asks about the next step — Patrick says the city would have to create the ordinance and complete the public process. Councilmember Burbidge says she would like more information including amount of staff time and potential limitation before moving forward. She asked how much the city could control with regard to changes to the building. Patrick explained the public process for the ordinance and benefits to city. Councilmember Honda asked if changes created to the building might prevent it from being qualified as historical. Patrick says that that could be the case. Councilmember Burbidge asks about awareness of cost for services from King County Landmarks Commission. Patrick says that would be an issue but cost had not been addressed at this time. ❖ Councilmember Honda says she believes it's important to have this and would like to see this ordinance and take the next step. Chair Duclos asks if we need to make this a higher priority. Patrick says issue is with Planning Staff time and not Planning Commission. ❖ Councilmember Noble - Gulliford discussed the other historical sites in Federal Way and possible grant opportunities. Chair Duclos asked if we could do something in FEDRAC about the ordinance. City Attorney Richardson stated it will flow from planning commission and that process would take it to the Land Use and Transportation Committee (LUTC). The Issue should be brought to LUTC and then go to full council to modify work program to allow for higher priority. Chair Duclos asked who would develop the ordinance. City Attorney Richardson stated that staff would develop the ordinance and then it would go through the public process starting with the planning commission. Patrick adds discussion about the process and background work. Chair Duclos asked for an estimate of how much time this would take to process with low priority. Councilmember Celski expressed that other things should be prioritized higher than the historical preservation. Patrick stated additional staff may be necessary to address the issue of more permits. Councilmember Honda asked about last Novembers talks about additional staff being added. Patrick explained that was specifically about temporary hire and they would bring back the issue of more staff if it was needed. Motion: Discussion, information only, no committee action. CITY OF FEDRAC August 27, 2013 "'' Page 5 of 7 E. JANITORIAL SERVICES FOR DUMAS BAY CENTRE R. ETTINGER 87 CONSENT 43:37 08/06 Council Discussion /Changes: Rob Ettinger Parks, Recreation & Cultural Services — DBC 253 835 -2002 Rob Ettinger discusses the agenda bill. Motion: Councilmember Celski moves to forward the authorization of a 3 year contract for janitorial services in the amount of $183,600.00 to Cedar Building Service, Inc. and authorize the Mayor to execute said agreement to the full Council August 6, 2013 consent agenda for approval — second and passed. F. 2ND Q REPORT — HCC SMALL BUSINESS DEVELOPMENT CENTER — RICH SHOCKLEY P. DOHERTY 90 DISCUSSION 45:50 Information only Discussion /Changes: Patrick Doherty Community & Economic Development Director 253 835 -2612 Rich Shockley presented on the agenda bill and gave a handout regarding funding. Chair Duclos asked what "new jobs" means. Mr. Shockley says either new business creating employees or established businesses adding new employees. ❖ Citizen Jamie Davis, owner of CEIBA Acupuncture in Federal Way addressed the committee regarding her experience with SBDC. Motion:Discussion, information only, no committee action. G. 2ND Q REPORT — CASCADIA VELOCITY - GRAHAM EVANS P. DOHERTY 95 DISCUSSION 57:40 Information only Discussion /Changes: Patrick Doherty Community & Economic Development Director 253 835 -2612 Graham Evans presented on the agenda bill and provided 4 year projections. ❖ Mr. Evans mentioned three breaking news items. • Cascadia Velocity has been asked to participate in planning and running the annual South Sound Startup Weekend. • Cascadia Velocity has been asked to manage the process of supporting innovations of employees of King County as part of a drive for innovation within the County. • Discussed building Entrepreneur fund with Jay Bennett. Motion: Discussion, information only, no committee action. H. INTERLOCAL AGREEMENT W /LAKEHAVEN UTILITY DISTRICT FOR MANAGING GRANT M. 100 CONSENT FUNDS FOR THE DISTRICT'S DOWNTOWN SEWER PROJECT SALLOUM 1:05:03 08/06 Council Discussion /Changes: Marwan Salloum P.E Deputy Public Works Director 253 835 -2720 Marwan Salloum presented on the agenda bill. Committee questions /discussions: Councilmember Celski asks about the project on 20`h and 3201h and if any of that will have to be undone. Marwan says this project will not interfere with that. CITY OF FEDRAC August 27, 2013 Federal Page 6 of 7 ❖ Councilmember Noble - Gulliford asks what would happen if they don't get the right of way they are asking for — Marwan says they have the authority to condemn. Councilmember Noble - Gulliford also asks about the easement through Belmore Park. Marwan says that they do have and easement today but will not use the same easement. Motion: Councilmember Honda moves to forward Option 1 to the August 6, 2013 consent agenda for approval — second and Dassed. I. KC RSO COST REIMBURSEMENT AGREEMENT Discussion /Changes: Brian Wilson B. WILSON 104 1:16:05 Chief of Police 253 835 -6711 Commander S. Neal presented on the agenda bill. Committee questions /discussions: CONSENT 08/06 Council ❖ Councilmember Noble - Gulliford asked about conditions on some of the sex offenders and if that was a part of the assessment and what happens if they violate those conditions. Commander Neal stated that it's a technical violation and they would submit paperwork to King County to rectify the situation. Motion: Councilmember Celski moved approval of the King County Registered Sex Offender Reimbursement Agreement to the August 6, 2013 Consent Agenda — second and approved. J. SCORE UPDATE Discussion /Changes: Tho Kraus Tho Kraus presented on the agenda bill. Finance Director 253 835 -2520 T. KRAUS 116 DISCUSSION 1:20:53 Information only Committee questions /discussions: ❖ Councilmember Celski asked about coloring on the bar graph and which city it represents. Tho confirmed it was Fife. Councilmember Burbidge questions whether taking over more space will create need for more staff. Tho confirmed and states composition of the population also plays a role. Motion: Discussion, information only, no committee action. K. MONTHLY FINANCIAL REPORT FOR JUNE 2013 T. KRAUS 130 CONSENT 1:26:09 08/06 Council Discussion /Changes: Tho Kraus Finance Director 253 835 -2520 Tho Kraus discuss the agenda bill Councilmember Celski asked about State Shared revenue and if it should go in another area on the financial statement as well. Tho explains it is part of our allocation and direct revenues and is looking just at transfers in and out. ❖ Councilmember Celski asked about decrease in red light photo tickets and that most of the decrease was in the past two months. Tho explains that education may play a role in that and timing of payment. CITY pF FEDRAC August 27, 2013 Page 7 of 7 Councilmember Celski questions the bad debt expense last year for the community center and that this year nothing was budgeted or actual. Tho explained the city cleaned up and reconciled a lot of old accounts from the start of the Community Center. ❖ Councilmember Celski commented on graph for the FWCC Financial Performance and advised staff to make a presentation at a council meeting with this graph as the foundation. Councilmember Celski asked about the Fund Activity Summary and CDBG fund being negative $36,000. Tho explained this was due to timing of reimbursements. Motion: Councilmember Celski moves to forward approval of the June 2013 Monthly Financial Report to the August 6, 2013 consent agenda for approval — second and pass. L. VOUCHERS Discussion /Changes: Tho Kraus Finance Director 253 835 -2520 ❖ Chair calls for questions, there are none. T. KRAUS 145 CONSENT 1:37:07 08/06 Council Motion: Councilmember Celski moves approval of the vouchers and forward to the August 6, 2013 Council Meeting for approval — second and passed. 4. OTHER: None 5. FUTURE AGENDA ITEMS: 6. NEXT MEETING: Tuesday, August 27, 2013 Meeting adjourned 7:08 p.m. Attest: fiw" 1'4 Heather Dunnachie - Law COMMITTEE APPROVAL: Councilmember Dini Duclos Councilmember Susan Honda Councilmember Bob Celski Committee Chair Committee Member Committee Member COUNCIL MEETING DATE: N/A ITEM #: CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: 2012 ANNUAL STATE AUDIT EXIT CONFERENCE POLICY QUESTION: N/A — Information Only COMMITTEE: Finance, Economic Development and Regional Affairs Committee MEETING DATE: August 27, 2013 CATEGORY: ❑ Consent ❑ Ordinance ❑ Public Hearing ❑ City Council Business ❑ Resolution ® Other STAFF REPORT BY: Tho Kraus, Finance Director DEPT: Finance Background: The State Auditor's Office has completed their review of the City for the fiscal year 2012. Assistant State Auditor Anna Swart will present the audit results at the meeting. Attachments: N/A — Audit Reports will be provided at the meeting. Options Considered: N/A — Information Only MAYOR'S RECOMMENDATION: N/A — Information Only MAYOR APPROVAL: �%� DIRECTOR APPROVAL: Commit tie Council Initial COMMITTEE RECOMMENDATION: N/A — Information Only Dini Duclos Bob Celski Susan Honda Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: N/A — Information Only (BELOW TO BE COMPLETED BY "TYCLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/2010 RESOLUTION # COUNCIL MEETING DATE: September 3, 2013 ITEM #: .. ............................... ........ _ . _... ................................................................................................ .................... .... .......... CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: AUTHORIZATION OF AN AMENDMENT TO A CDBG EMERGENCY HOUSING REPAIR PROGRAM CONTRACT — CONNELLY ROOFING, LLC. POLICY QUESTION: Should the City Council approve the amendment to a Housing Repair Program Contract with Connelly Roofing LLC.? COMMITTEE: FEDRAC MEETING DATE: August 27, 2013 CATEGORY: ® Consent ❑ Ordinance ❑ Public Hearing ❑ City Council Business ❑ Resolution ❑ Other STAFF REPORT BY: Jay Bennett DEPT: CED /Community Services Attachments: Proposed Amendment to Professional Services Agreement with Connelly Roofing LLC. Background: The City Council authorized up to $150,000 of the City's Community Development Block Grant (CDBG) dollars to be available for an Emergency Housing Repair Program. The 2013 program increased the investment level up to $10,000 per home. Over the past month, the Emergency Housing Repair Program has completed three roof replacement projects and thus has rapidly depleted the current contract of $14,000.00, thereby necessitating an increase in the contract amount. Options Considered: 1. Authorize Agreement amendment with Connelly Roofing LLC for an additional $46,000.00 for a total Agreement amount of $60,000. 2. Do not authorize amendment and provide direction to staff. MAYOR'S RECOMMENDATION: Option 1 MAYOR APPROVAL: I- DIRECTOR APPROVAL: ommitte Council COMMITTEE RECOMMENDATION: I move to forward the proposed amendment to the Connelly Roofing LLC Agreement to the September 3, 2013 consent agenda for approval. Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of an amendment to the Connelly Roofing LLC Agreement, effective September 3, 2013 through December 31, 2013 in the amount of $46,000 for a total compensation of up to $60, 000, and authorize the Mayor to sign said Agreement. " (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE). COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading Cl TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED— 08/12/2010 RESOLUTION # CITY OF CITY HALL . Fe d e ra I Way Feder 8th Avenue South Federal Way. WA 98003 -6325 (253) 835 -7000 www dtyoffederahvay. corn AMENDMENT NO. 1 TO MASTER CONTRACTOR AGREEMENT FOR EMERGENCY HOUSING REPAIR PROGRAM ROOFING CONTRACTOR This Amendment ( "Amendment No. 1 ") is made between the City of Federal Way, a Washington municipal corporation ( "City "), and Connelly Roofing, LLC. a Washington limited liability company ( "Contractor "). The City and Contractor (together "Parties "), for valuable consideration and by mutual consent of the parties, agree to amend the original Agreement for Emergency Housing Repair Program General Contractor Services ( "Agreement ") dated effective January 11, 2013, as follows: 1. AMENDED COMPENSATION. The amount of compensation, as referenced by Section 4 of the Agreement, shall be amended to change the total compensation the City shall pay the Contractor and the rate or method of payment, as delineated in Exhibit "B-1", attached hereto and incorporated by this reference. The Contractor agrees that any hourly or flat rate charged by it for its services contracted for herein shall remain locked at the negotiated rate(s). Except as otherwise provided in an attached Exhibit, the Contractor shall be solely responsible for the payment of any taxes imposed by any lawful jurisdiction as a result of the performance and payment of this Agreement. 2. GENERAL PROVISIONS. All other terms and provisions of the Agreement, together with any prior amendments thereto, not modified by this Amendment, shall remain in full force and effect. Any and all acts done by either Party consistent with the authority of the Agreement, together with any prior amendments thereto, after the previous expiration date and prior to the effective date of this Amendment, is hereby ratified as having been performed under the Agreement, as modified by any prior amendments, as it existed prior to this Amendment. The provisions of Section 13 of the Agreement shall apply to and govern this Amendment. The parties whose names appear below swear under penalty of perjury that they are authorized to enter into this Amendment, which is binding on the parties of this contract. [Signature page follows] AMENDMENT - 1 - 1/2010 CITY OF Aw Federal Way CITY HALL 33325 8th Avenue South Federal Way, WA 98003 -6325 (253) 835 -7000 www atyoffederatway com IN WITNESS, the Parties execute this Agreement below, effective the last date written below. CITY OF FEDERAL WAY By: Skip Priest, Mayor DATE: Connelly Roofing, LLC By: Printed Name: Title: DATE: STATE OF WASHINGTON ) ) ss. COUNTY OF ) ATTEST: City Clerk, Carol McNeilly, CMC APPROVED AS TO FORM: City Attorney, Patricia A Richardson On this day personally appeared before me to me known to be the of that executed the foregoing instrument, and acknowledged the said instrument to be the free and voluntary act and deed of said corporation, for the uses and purposes therein mentioned, and on oath stated that he /she was authorized to execute said instrument and that the seal affixed, if any, is the corporate seal of said corporation. GIVEN my hand and official seal this day of AMENDMENT 20 Notary's signature Notary's printed name Notary Public in and for the State of Washington. My commission expires -2- 1/2010 ` Feder CITY OF CITY HALL Federal Way 8th Avenue South Federal Way, WA 98003 -6325 (253) 835 -7000 www cityoffederahvay com EXHIBIT B -1 ADDITIONAL COMPENSATION 1. Total Compensation: In return for the Services, the City shall pay the Contractor an additional amount not to exceed forty six thousand and 00 /100 Dollars ($46,000.00). The total amount payable to Contractor pursuant to the original Agreement, and this Amendment shall be an amount not to exceed sixty thousand and 00 /100 Dollars ($60,000.00). AMENDMENT - 3 - 1/2010 COUNCIL MEETING DATE: September 3, 2013 ITEM #: -... . ............................................................. _............... ................ _..............._.. -- ....__..................... --.._.........................................................................._...................................................................-.--............................................. ............................... -- ...--- .........._....._..... CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: AUTHORIZATION OF AN AMENDMENT TO A CDBG EMERGENCY HOUSING REPAIR PROGRAM CONTRACT — TPJ INC, DBA THE PLUMBING JOINT POLICY QUESTION: Should the City Council approve the amendment to a Housing Repair Program Contract with TPJ Inc, DBA The Plumbing Joint? COMMITTEE: FEDRAC MEETING DATE: August 27, 2013 CATEGORY: ® Consent ❑ Ordinance ❑ Public Hearing ❑ City Council Business ❑ Resolution ❑ Other STAFF REPORT BY: Jay Bennett DEPT: CED /Community Services Attachments: Proposed Amendment to Professional Services Agreement with TPJ Inc, DBA The Plumbing Joint. Background: The City Council authorized up to $150,000 of the City's Community Development Block Grant (CDBG) dollars to be available for an Emergency Housing Repair Program. The 2013 program increased the investment level up to $10,000 per home. Over the past month, the Emergency Housing Repair Program has completed three repair projects and thus has rapidly depleted the current contract of $19,500.00, thereby necessitating an increase in the contract amount. Options Considered: 1. Authorize Agreement amendment with TPJ Inc, DBA The Plumbing Joint for an additional $40,500 for a total Agreement amount of $60,000. 2. Do not authorize amendment and provide direction to staff. MAYOR'S RECOMMENDATION: Option 1 MAYOR APPROVAL: 11,t 11 4 DIRECTOR APPROVAL: 1 kommiltwe Council nitial COMMITTEE RECOMMENDATION: I move to forward the proposed amendment to the TPJ Inc, DBA The Plumbing Joint Agreement to the September 3, 2013 consent agenda for approval. Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of an amendment to the TPJ Inc, DBA The Plumbing Joint Agreement, effective September 3, 2013 through December 31, 2013 in the amount of $40,500 for a total compensation of up to $60, 000, and authorize the Mayor to sign said Agreement. " (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED— 08/12/2010 RESOLUTION # CITY OF CITY HALL 33325 ,�.' •... Federal Way Feder 8th Avenue South Federal Way, WA 98003 -6325 (253) 835 -7000 www cityoffederaWay.. com AMENDMENT NO.2 TO MASTER CONTRACTOR AGREEMENT FOR EMERGENCY HOUSING REPAIR PROGRAM PLUMBING CONTRACTOR This Amendment ( "Amendment No. 2 ") is made between the City of Federal Way, a Washington municipal corporation ( "City "), and TPJ, Inc, DBA The Plumbing Joint, Inc. a Washington corporation ( "Contractor "). The City and Contractor (together "Parties "), for valuable consideration and by mutual consent of the parties, agree to amend the original Agreement for Emergency Housing Repair Program General Contractor Services ( "Agreement ") dated effective July 23, 2012, as amended by Amendment No. 1, as follows: 1. AMENDED COMPENSATION. The amount of compensation, as referenced by Section 4 of the Agreement, shall be amended to change the total compensation the City shall pay the Contractor and the rate or method of payment, as delineated in Exhibit "B -211, attached hereto and incorporated by this reference. The Contractor agrees that any hourly or flat rate charged by it for its services contracted for herein shall remain locked at the negotiated rate(s). Except as otherwise provided in an attached Exhibit, the Contractor shall be solely responsible for the payment of any taxes imposed by any lawful jurisdiction as a result of the performance and payment of this Agreement. 2. GENERAL PROVISIONS. All other terms and provisions of the Agreement, together with any prior amendments thereto, not modified by this Amendment, shall remain in full force and effect. Any and all acts done by either Party consistent with the authority of the Agreement, together with any prior amendments thereto, after the previous expiration date and prior to the effective date of this Amendment, is hereby ratified as having been performed under the Agreement, as modified by any prior amendments, as it existed prior to this Amendment. The provisions of Section 13 of the Agreement shall apply to and govern this Amendment. The parties whose names appear below swear under penalty of perjury that they are authorized to enter into this Amendment, which is binding on the parties of this contract. [Signature page follows] AMENDMENT - 1 - 1/2010 CITY OF CITY HALL 33325 ��.. Fe d e ra I Way Feder 8th Avenue South Federal Way. WA 98003 -6325 (253) 835 -7000 mvw c?tyoffederahvay. com IN WITNESS, the Parties execute this Agreement below, effective the last date written below. CITY OF FEDERAL WAY By: Skip Priest, Mayor DATE: The Plumbing Joint, Inc By: Printed Name: Title: DATE: STATE OF WASHINGTON ) ss. COUNTY OF ) ATTEST: City Clerk, Carol McNeilly, CMC APPROVED AS TO FORM: City Attorney, Patricia A Richardson On this day personally appeared before me to me known to be the of that executed the foregoing instrument, and acknowledged the said instrument to be the free and voluntary act and deed of said corporation, for the uses and purposes therein mentioned, and on oath stated that he /she was authorized to execute said instrument and that the seal affixed, if any, is the corporate seal of said corporation. GIVEN my hand and official seal this day of AMENDMENT 20 Notary's signature Notary's printed name Notary Public in and for the State of Washington. My commission expires -2- 1/2010 CITY OF �.., Federal Way EXHIBIT B -2 ADDITIONAL COMPENSATION CITY HALL 33325 8th Avenue South Federal Way. WA 98003 -6325 (253) 835 -7000 www cityoffederalway com 1. Total Compensation: In return for the Services, the City shall pay the Contractor an additional amount not to exceed forty thousand and five hundred and 00 /100 Dollars ($40,500.00). The total amount payable to Contractor pursuant to the original Agreement, and this Amendment shall be an amount not to exceed sixty thousand and 00 /100 Dollars ($60,000.00). AMENDMENT - 3 - 1/2010 SUBJECT: 2013 -2015 Solid Waste and Recycling Grant Resolution — Funding Update POLICY QUESTION: Should the Council approve a Resolution to authorize receipt and expenditure of grant funds to support programs in keeping with Solid Waste and Recycling Division objectives? COMMITTEE: Finance, Economic Development & Regional Affairs MEETING DATE: Aug. 27, `13 CATEGORY: ® Consent ❑ Ordinance. ❑ Public Hearing ❑ City Council Business ® Resolution ❑ Other STAFF REPORT BY: Rob Van Orsow, SW &R Coordinator DEPT: Public Works Attachments: Memorandum to Finance, Economic Development and Regional Affairs Committee dated August 27, 2013. Options Considered: 1. Approve draft Resolution to authorize acceptance of grant funds, entering into an agreement with grant funding sources, and implementing projects that support Solid Waste and Recycling Division objectives. 2. Do not approve Resolution and do not enter into grant- related agreements with related agencies. MAYOR'S RECOMMENDATION: The Mayor recommends Option 1 be forwarded to the September 3, 2013 City Council Consent Agenda for approval. MAYOR'S APPROVAL: .14*,0 DIRECTOR APPROVAL: x om,mi(tee Council Committee Council COMMITTEE RECOMMENDATION: Forward Option 1 to the September 3, 2013 City Council Consent Agenda for approval. Dini Duclos, Chair Susan Honda, Member Bob Celski, Member PROPOSED COUNCIL MOTION: "I move approval of the draft Resolution to authorize acceptance of grant funds, entering into an agreement with grant funding sources, and implementing projects that support Solid Waste and Recycling Division objectives. " k: \council\agdbills\2013 \08 -03 -13 swr 2013 -2015 grants & resolution.doc (BELOW TO BE COMPLETED BY CITY CLERK'S OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading ❑ TABLED /DEFERRED /NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/2010 RESOLUTION # k: \council\agdbills\2013 \08 -03 -13 swr 2013 -2015 grants & resolution.doc CITY OF FEDERAL WAY MEMORANDUM DATE: August 27, 2013 TO: Finance, Economic Development and Regional Affairs Committee VIA: Skip Priest, Mayor FROM: Rob Van Orsow, Sold Waste & Recycling Coordinator Cary M. Roe, P.E., Director of Parks, Public Works and Emergency Management a4V, SUBJECT: Solid Waste and Recycling 2013-2015 Grant Approvals — Funding Update BACKGROUND: The City Council previously authorized the receipt of grant funding via Resolution 13 -632. The Department of Ecology recently increased available grant funds for three Coordinated Prevention Grants. The total funding available for these three grants increased from $248,368 to $289,953 or $35,585. Grant Funding and Match: The 2012 -2013 Coordinated Prevention Grant allocates $99,328. The 2012- 2013 Coordinated Prevention Offset Cycle Grant allocates $23,625. For the upcoming 2013 -2015 cycle, WA -DOE'S Coordinated Prevention Grant (CPG) allocates $161,000. All three WA -DOE grants have a 25% local match requirement. King County Solid Waste Division's Waste Reduction/Recycling (WRR) grant allocates $120,000, while the Local Hazardous Waste Management Program (LHWMP) Grant will provide $67,000. The WRR and LHWMP grants have no match requirements, and easily meet CPG's 25% match. The grand total of all five grants is $470,953. Grant amounts are estimates and subject to change. Awards are contingent upon budgets adopted by these three administrative agencies: the State Legislature for the CPG program, King County Council for the WRR grant, and the King County Board of Health for the LHWMP funding. Projects will only be implemented once it is verified these agencies adopt their respective budgets and agreements are in place with agencies. Together, these grants help to pay for waste reduction and recycling programs for Federal Way residents and businesses. Solid Waste & Recycling (SWR) prepares applications and project scopes, and then coordinates with grant agencies to contract for these funds. This memo also includes a brief update on current grant projects, and an overview of the 2013 -2015 grant cycle. Approval Process: The City Council uses resolutions to approve receipt of SWR grant funding, establish budget accounts, and implement grant projects. A draft resolution is attached, including a table showing estimated grant funds, grant matches and anticipated 2013 -2015 projects. The table reflects totals from the three Coordinated Prevention Grants as well as two other grants previously authorized via Resolution 13- 632 that extend through 2015. This way, all active grants will be covered by a single resolution. CURRENT SWR GRANT PROJECT UPDATES: The City of Federal Way has used SWR grants for two decades to support waste reduction, recycling, and moderate risk waste projects. Grants focus on the following: • Multi- Family Recycling Promotion: Improving recycling services at targeted multi - family residences (including upgraded information signage and container labels, recycling containers and February 26, 2013 Finance, Economic Development and Regional Affairs Committee Solid Waste and Recycling 2013 -2015 Grant Approvals Page 2 equipment, promotional flyers distributed to residents, translations, and coordination with property managers and the hauler). • Single - family Recycling Promotion: Production and annual distribution of educational materials to single - family residents. These materials provide a range of waste reduction, recycling and composting information, plus household hazardous waste disposal options. Annual service calendars are also distributed to remind single - family residents of recycling service schedules and holidays, as well as current rates for services. • Recycling Collection Events: Operating and promoting spring and fall Special Recycling Events, which average over 1,000 participants and collection of over 60 tons of materials (ranging from Styrofoam to refrigerators) at each event. • Composting Promotion: Distribution of grant- subsidized yard and food scraps compost bins and discounted kitchen food scrap carriers via two area retailers. • Public Area Services: Litter /recycling containers located in right -of -way. • Business Recycling Outreach: Assisting area businesses offering to implement or expand commercial recycling efforts, including provision of interior recycling containers, signage and staff training to suit each business. • School Outreach: Coordination with Federal Way Public Schools (FWPS) and other educational institutions to maintain and expand recycling and food waste collection efforts in classrooms and in cafeterias. Financial Benefits: To date during the current 2012 -2013 grant cycle, the above projects have resulted in approximately $200,000 in reimbursable expenditures, while eleven grant report/reimbursement requests have been filed with grant agencies. 2013 -2015 SOLID WASTE & RECYCLING GRANT OUTLOOK: In 2013 -2015, the projects listed above will continue. The funding table in the attached draft resolution shows how projects are funded by individual and combined grants. Per the City's adopted budget, these grants also cover staff costs and overhead for related project implementation and reporting. These grants will continue to fund 0.5 FTE of the Recycling Project Manager position in Public Work's SWR Division. Input or suggestions regarding grant projects is welcome and will be incorporated into grant applications and work scopes. Pending City Council action on the attached draft resolution, scopes of work and applications have been filed to meet grant agency timelines. Attachment: Draft Resolution authorizing grant acceptance (including Exhibit A) cc: Project File Day File k: Fedrac 2013`08 -27 -13 2013 -2015 swr grants memo.doc RESOLUTION NO. A RESOLUTION of the City Council of the City of Federal Way, Washington, authorizing acceptance of monies and directing execution of agreements to accept funds from various state and county sources for establishing projects within the solid waste and recycling fund. WHEREAS, cities are charged with providing and maintaining public projects necessary to maintain and improve the public health, safety and welfare; and WHEREAS, the financial resources of cities to provide these necessary services and improvements are limited; and WHEREAS, various state and county sources have dedicated grant funds available to supplement city projects, which are awarded on population allocation and project eligibility; and WHEREAS, City staff pursues these funds in order to maximize the local public benefits of these funds; and WHEREAS, the grants identified herein will net the City of Federal Way an estimated Four - Hundred and Seventy -one Thousand and No/ 100 Dollars ($471,000) from 2013 through 2015; and WHEREAS, the City commits to accountability by measuring and quantifying the results of the funded programs; NOW THEREFORE, THE CITY COUNCIL OF THE CITY OF FEDERAL WAY, RESOLVES AS FOLLOWS: Section 1. Agreements Authorized. For all projects identified in Column 1 of Exhibit A, attached hereto and incorporated herein by this reference, the Mayor or his or her designated representative is authorized and directed to develop scopes of work and execute such agreements from 2013 through 2015 with the agencies identified in Column 2 of Exhibit A as are necessary to Resolution No. 13- Page 1 of 4 Rev 1/10 accept the grant monies identified in Column 3 of Exhibit A. The grant amounts shown in Column 3 are estimated and subject to change. Funding variations up to 20% over the estimated amounts are allowed by this resolution. Section 2. Receipts of Funds Authorized. The Mayor or his or her designee is hereby authorized to receive the grant monies estimated in Column 3 of Exhibit A attached hereto. Section 3. Creation of Solid Waste Project Grant Fund Accounts Authorized. At the time of execution of each agreement and acceptance of the grant funds specific to that agreement, separate projects shall be established within the Solid Waste and Recycling Fund, into which monies specific to that grant project shall be deposited. Section 4. Mayor Shall Administer Funds. The Mayor or his or her designated representative shall have responsibility for the administration of the grant monies received, and award of eligible grant - funded projects to qualified vendors and contractors. Section 5. Identification of Source Funds. The approximate amounts and anticipated sources of revenue for the grant fund projects are identified in Exhibit A attached hereto. Section 6. Severability. If any section, sentence, clause or phrase of this resolution should be held to be invalid or unconstitutional by a court of competent jurisdiction, such invalidity or unconstitutionality shall not affect the validity or constitutionality of any other section, sentence, clause or phrase of this resolution. Section 7. Corrections. The City Clerk and the codifiers of this resolution are authorized to make necessary corrections to this resolution including, but not limited to, the correction of scrivener /clerical errors, references, resolution numbering, section/subsection numbers and any references thereto. Resolution No. 13- Page 2 of 4 Rev 1/10 Section 8. Ratification. Any act consistent with the authority and prior to the effective date of this resolution is hereby ratified and affirmed. Section 9. Effective Date. This resolution shall be effective immediately upon passage by the Federal Way City Council. RESOLVED BY THE CITY COUNCIL OF THE CITY OF FEDERAL WAY, WASHINGTON this day of , 2013. CITY OF FEDERAL WAY MAYOR, SKIP PRIEST ATTEST: CITY CLERK, CAROL MCNEILLY, CMC APPROVED AS TO FORM: CITY ATTORNEY, PATRICIA A. RICHARDSON FILED WITH THE CITY CLERK: PASSED BY THE CITY COUNCIL: RESOLUTION NO.: Resolution No. 13- Page 3 of 4 Rev 1/10 0 c w b C p O A ti c W c N Oo W F N O W N O_ a 8 0 O m d PL A �G C4 tv y lv CD N �' N CD "•moo a o an o ?: ... �a �o '» ,moo �. � o � ac � o o• vc m o b CD c�D CrD, M3 r- CD ro CD CD CD b d r- C D o m � o. CD c o. ft OTJ CD m CD qq C Ln qq O O b r - m a m m o qq ° o o y a �d oCD� ado �•� sd �� `� Z CD o 0 rro o �CD tzCD r i b19 b9 yq iA O C w°� c °N° (-A w O A o, °O C O r+ uj N ~ VI W W N 0 O m d COUNCIL MEETING DATE: September 3, 2013 ITEM #: CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: 2013/2014 MID - BIENNIUM BUDGET ADJUSTMENT CALENDAR POLICY QUESTION: Should the City Council approve the proposed 2013114 Mid - Biennium Budget Adjustment Calendar? COMMITTEE: Finance, Economic Development and Regional Affairs Committee MEETING DATE: August 27, 2013 CATEGORY: ❑ Consent ❑ Ordinance ❑ Public Hearing ® City Council Business ❑ Resolution ❑ Other STAFF REPORT BY: Tho Kraus, Finance Director DEPT: Finance Attachments: To be provided at the meeting. Options Considered: 1. Approve the 2013/14 Mid - Biennium Budget Adjustment Calendar as presented. 2. Deny approval and provide direction to staff. MAYOR'S RECOMMENDATION: Option 1. MAYOR APPROVAL: z24 yy DIRECTOR APPROVAL: �Z^ Committ Council Initial COMMITTEE RECOMMENDATION: "I move to forward approval of the proposed 2013114 Mid - Biennium Budget Adjustment Calendar to the September 3, 2013 Council meeting. " Dini Duclos Bob Celski Susan Honda Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of the proposed 2013114 Mid - Biennium Budget Adjustment Calendar. " (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/2010 RESOLUTION # COUNCIL MEETING DATE: N/A CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: SCORE UPDATE POLICY QUESTION: N/A Information Only COMMITTEE: Finance, Economic Development and Regional Affairs Committee ITEM #: MEETING DATE: August 27, 2013 CATEGORY: ❑ Consent ❑ Ordinance ❑ Public Hearing ❑ City Council Business ❑ Resolution ® Other STAFF REPORT BY: Tho Kraus, Finance Director Attachments: Jail Statistics & Contracts Update DEPT: Finance MAYOR'S RECOMMENDATION: N/A Information Only MAYOR APPROVAL: DIRECTOR APPROVAL: CommiTtee Council Initial COMMITTEE RECOMMENDATION: N/A — Informational Only Dini Duclos, Bob Celski, Susan Honda, Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: N/A Information Only (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/2010 RESOLUTION # aG �P 4// a b N d C 0 cc G a 0 ■ P� C m • N 9.1 ca ■ .r �o �rZ P,�4 .3 � ■ �l a �d94i aJaO Ln 4ia�o C c ti a E7 a� c � Q ■ �a 9% 4d S 00 JA{ N t N buo LO • Ln 0 LO • • Ln ro rn o`° ' r "... r' N i" - c «r-- • Ln N co t-i aG �P 4// a b N d C 0 cc G a 0 ■ P� C m 00 N 9.1 ca ■ .r �o �rZ P,�4 .3 � ■ �l a �d94i aJaO ro w iv ■ 4ia�o C c ti a E7 a� c � Q ■ �a 9% 4d S 00 JA{ N t N • Ln 0 LO • • Ln aG �P 4// a b N d C 0 cc G a 0 ■ P� C m ■ 9.1 ca ■ .r �o �rZ P,�4 .3 � ■ �l a �d94i aJaO ro w iv ■ 4ia�o C c ti a E7 `mod O�JQ c � Q ■ �a 9% 4d S b W 1' � v CA � a4 7� lD •• v�rn 7a GIi O b � Q O a`-rl "' m yJY a� � •� M Q rn o- �•a�`�9d O N i 5 Q m •• m �l Z V � 0 .} N OLO d9�dJa O � 'O LD I- m 'a 9� L d10Z .� u n m �a 90 JO c� G oan m �d 9e a� °a s m �r4 b � �a 0 0 0 0 0 0 0 0 Cl 0 0 Ln v m c14 � J V 44%N J S Ln .0 CD Go v -0 000 aa) 0 z °O (U 0 � U 0 N L a) E t a) n. 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U U E "0 Q) O L � a) u !Z � QJ E c m O N U a) a) L t Y Y +� u C m Q) — E 3 m W Y � O 0 U c c � Q) ,= s V= 3 -c c Y O L Q) Q Y >' O fO c Q N O U ° iC Q) W N 0 V Q) t E Y Q) C Y O a� -0 N Q) U C Q) M ° c > v Q QJ Q QJ iE f0 W Q) c 1r3 a COUNCIL MEETING DATE: September 3, 2013 ITEM #: CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: JULY 2013 MONTHLY FINANCIAL REPORT POLICY QUESTION: Should the Council approve the July 2013 Monthly Financial Report? COMMITTEE: Finance, Economic Development and Regional Affairs Committee MEETING DATE: August 27, 2013 CATEGORY: ® Consent ❑ Ordinance ❑ Public Hearing ❑ City Council Business ❑ Resolution ❑ Other STAFF REPORT BY: Tho Kraus, Finance Director DEPT: Finance Attachments: ■ July 2013 Monthly Financial Report Options Considered: 1. Approve the July 2013 Monthly Financial Report as presented. 2. Deny approval of the July 2013 Monthly Financial Report and provide direction to staff. MAYOR'S RECOMMENDATION: Mayor recommends approval of Option 1. MAYOR APPROVAL: DIRECTOR APPROVAL: conunid& Council initial COMMITTEE RECOMMENDATION: I move to forward approval of the July 2013 Monthly Financial Report to the September 3, 2013 consent agenda for approval. Dini Duclos, Bob Celski, Susan Honda, Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of the July 2013 Monthly Financial Report" (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading ❑ TABLED/DEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED— 08/12/2010 RESOLUTION # Federal Way July 2013 Monthly Financial Report - Highlights The following are highlights of the July 2013 Monthly Financial Report. Detailed financial information can be found in the monthly financial report itself. General & Street Fund Summa Revenues are above the year -to -date budget by $1.55M or 9% with all revenues on target or above year -to -date budget except for state shared revenues, public works permits and fees, and business license fees. Expenditures are below year -to -date budget by $1.47M or 6% with all departments below estimates except for Human Services and jail. Some of the expenditure saving s is due to timing of payments while others are may result true savings by year -end. Human Services exceeds the year -to -date budget estimate due to timing of contract payments. Property tax is below year -to -date 2012 by $35K or 1% but exceeds year -to -date budget by $69K or 1 %. Sales tax exceeds year -to -date 2012 by $447K or 7% and also exceeds year -to -date budget by $262K or 4 %. Retail sales (increase of $227K or 7 %), services (increase of $150K or 11 %) and construction (increase of $71K or 15 %) account for the majority of the increase compared to year -to -date 2012. Just under half of the services increase is due to a negative audit adjustment in 2012, which if taken into consideration the services increase is adjusted to $84K or 6% and the adjusted year -to -date increase is $381K or 6 %. Additionally, criminal justice sales tax collected county-wide also exceeds year -to -date 2012 by $83K or 8% and year -to -date budget by $163K or 17% which further indicates overall sales tax revenue growth. Community and Economic Development permits and fees exceed the year -to -date 2012 by $523K or 56% and year -to -date budget by $766K or 110 %. Significant permit revenues received year -to -date include Wynstone East, Federal Way Townhomes, Kohls, Davita and Celebration Senior Living Apartments and Park 16 multi - family development. Court revenue exceeds year -to -date 2012 by $89K or 10% and also exceeds year -to -date budget by $98K or 11 %. Traffic and non - parking fines, criminal costs and criminal conviction fees account for the majority of the increase. The original court revenue estimate of $1.5M was reduced by $70K during the 2013/14 adopted budget process due to trends at the time of budget development. The current $1.43M annual revenue estimate at the time of budget development is in line with 2012 annual revenue of $1.45M, although court revenue has significantly increased year -to -date. Designated ODeratinz Funds Revenues are above the year -to -date budget by $967K or 7 %. The unfavorable variance of $150K in utility tax and is due to timing differences. The unfavorable variance of $64K in surface water management fees is also expected to be due to timing differences. Expenditures are below year -to -date budget by $1,063K or 18% and are due to timing while others may result in true savings by year -end. Utility tax revenues received year -to -date as reported on the monthly financial report totals $7.6M and is $597K or 7% below year -to -date 2012 and $150K or 2% below budget. Adjusted for the timing difference, year -to -date utility tax revenues is $161K or 2% below year -to -date 2012 and $285K or 4% above the year - to -date estimate. The current 2013 annual estimate compared to 2012 actual collections with adjusted July variances, are as follows: Electricity — projected annual increase of $17K or 0.4% / current YTD decrease of $22K or 1% Gas — projected annual increase of $142K or 8% / current YTD decrease of $144K or 11 % Cable — decrease by $46K or 3% / current YTD increase of $45K or 5% Phone — decrease by $322K or 31% / current YTD decrease of $36K or 5% Cellular — decrease by $67K or 3% / current YTD decrease of $16K or 1% Real estate excise tax year -to -date revenues of $1,032K exceeds year -to -date 2012 by $349K or 51% and also exceeds the year -to -date budget by $173K or 20 %. Significant transactions in July 2013 include: Fox Run Apartments (sold for $18.08M/$90K tax); Columbia Bank undeveloped plat/green belt (sold for $1.09M/$5K tax); Kokiri Korean Restaurant (sold for $1.27M/$6K tax); East Campus Terrace Apartments (sold for $1.4M/$7K tax); Albertsons (sold for $1.46M/$7K tax); and New Horizon Motel (sold for $1.9M/$9K tax). The 2013 annual revenue estimate of $1.4M is consistent with actual revenue collections between 2009 and 2012. Red light photo /school zone cameras year -to -date net revenue totals $1.40M and is in line with year -to- date 2012. Federal Way Community Center continues to increase revenues while controlling expenditures. Year -to -date operating revenues total $1,105K, which is above the year -to -date budget by $88K or 9% and also above the year -to -date 2012 by $32K or 3 %. Major revenue increases are in passes and both fitness and swimming lessons /classes. Year -to -date operating expenditures total $1.21M, which is below the year -to -date budget by $25K or 2% and $4K or less than 1% from year -to -date 2012. Increases in personnel and supplies cost is largely due to program costs that are offset by the increase in program revenue offset. The decrease in other services and charges is due to timing and more efficient and cost - effective approach to advertising as well as doing more repairs and maintenance in -house versus contract. The decrease in utility costs is due to energy efficiency efforts. The year -to -date operating loss of $105K is substantially less than the year -to -date estimate of $218K and year -to -date 2012 of $141K. This better than expected performance results in less utility tax subsidy needed for operations and increases the utility tax contribution to capital reserves. To date, only $105K or 20% of the annual $525K operating subsidy is needed. Projected ending fund balance earmarked for capital reserves by the end of this year is $13M and will increase if the operating subsidy continues to decrease due to better performance. Dumas Bay Center, similar to the Community Center, also continues increase revenues while controlling expenditures. Year -to -date operating revenues total $383K, which is $10K or 3% below the year -to -date budget (note — expenditures are also below budget) but exceeds year -to -date 2012 by $15K or 4 %. Year -to -date operating expenses total $362K, which is $31K or 8% below the year -to -date budget and $2K or less than 1% above year -to -date 2012. The increase in expenses is due to an increase in overnight rental activity and associated costs with janitorial and operations in providing conference and retreat services. Year -to -date operating income of $22K exceeds year -to -date 2012 performance by $13K. The projected year -end ending fund balance is $61K compared to the current $258K ending fund balance which includes funding for theatre management, roof repair, pump station and other capital maintenance that have not yet been spent. ,. of Federal way July 2013 Monthly Financial Report - Detail GENERAL & STREET FUND SUMMARY 2012 2013 tTD Budget vs. Actual Favorable /(Unfawrable) Annual Budget Annual Actual YfD Actual Annual Budget t "I1) Budget YID Actual $ % Beginning Fund Balance $12,743,855 $12,743,855 $12,743,855 $15,034,799 $15,034,802 $15,034,802 n/a n/a Revenues: Property Taxes 9,825,000 9,978,143 5,332,716 9,923,000 5,22.8,908 5,297,905 68,997 1.3% Sales Tax 10,586,000 10,534,147 5,998,958 10,692,000 6,183,648 6,445,561 261,913 4.2% Criminal Justice Sales Tax 1,719,000 1,864,991 1,029,573 1,719,000 948,978 1,112,530 163,552 17.2% Gambling Taxes 168,000 114,443 123,643 145,000 80,560 106,305 25,745 32.0% State Shared Revenue 2,269,000 2,456,913 1,614,569 1,889,000 1,241,363 1,231,337 (10,026) -0.80/. Leasehold Tax 6,000 5,820 3,360 6,000 3,463 3,268 (195) -5.61/6 Court Revenue 1,530,818 1,445,294 863,902 1,431,000 855,341 953,190 97,849 11.4% CID Permits & Fees 1,105,147 1,571,606 940,297 1,147,281 697,648 1,463,927 766,279 109.8% PW Permits & Fees 316,895 314,830 199,142 317,000 188,138 175,112 (13,026) -6.9% Business License Fees 252,000 251 ,664 84,300 252,000 84,412 80,808 (3,604) -4.3% Franchise Fees 981,000 1,004,026 502,944 981,000 491,410 525,034 33,624 6.8% Passport Agency Fees 70,000 56,825 35,775 55,000 34,626 45,050 10,424 30.1% Park & General Recreation Fees 960,171 942,005 538 ,531 961,465 549,656 604,388 54,733 10.00/0 Police Services 930,000 952,993 462,149 875,000 424,326 502,737 78,410 18.5% Adrttin /Cash Management Fees 515,598 515,602 300,768 521,117 303,985 303,985 (0) 0.0% Interest Earnings 34,000 19,206 7,894 26,000 10,686 18,766 8,080 75.6% Miscellaneous /Other 267,520 322,177 200,627 219,000 136,377 143,541 7,165 5.3% Total Revenues 31,536,149 32,350,687 189239,148 31,159,863 179463,524 19,013444 1,549,920 8.9% &penditures: City Council 379,499 360,461 244,645 389,317 264,730 241,132 23,098 8.7% Mayors Office 1,169,147 990,383 612,948 1,058,965 655,393 601,673 53,720 8.r /u Community Development 2,483,858 2,133,022 1,274,282 2,431,264 1,452,454 1,221,795 230,659 15.9% Economic Development 239,884 155,165 80,957 212,086 110,655 54,950 55,705 50.3% Human Services 862,735 758,311 304,546 786,960 316,0521 434,033 (117,981) -37.3% Finance 896,215 833,419 498,585 899,563 538,155 468,854 69,301 12.9% Human Resources 854,773 666,348 422,201 990,873 627,823 488,496 139,326 22.2% Law 1,631,094 1,369,469 812,654 1,479,596 878,004 837,708 40,296 4.6% Municipal Court 1,607,112 1,421,727 826,491 1,583,260 920,395 855,356 65,039 7.1% Jail 2,937,000 2,471,531 1,433,101 1 3,871,896 2,260,770 2,280,594 (19,824) -0.9% Police 22,424,601 21,801,343 12,748,781 22,329,346 13,057,541 12,791,011 266,530 2.0% Parks & Recreation 4,032,614 3,684,940 2,053,464 4,256,128 2,371,763 2,174,249 197,514 8.3% Public Works 5,056,814 4,098,760 2,195,319 4,782,684 2,561,633 2,097,576 464,057 18.1% Total Expenditures 44,575,346 40,744,879 23,507,973 45,071,937 26,014,865 24,5479427 1,467,438 5.6% Revenues over /(under) Expenditures (13,039,197) (8,3949191) (5,268,825) (13,912,074) (8,551,341) (5,533,983) 3,017,359 -353% Other Sources: Ongoing Transfers In: Red Light/School Zone for PD, CT, TR 830,000 830,000 1,075,040 - - n/a Utility Tax for Designated Programs 2,287,000 2,287,000 2,287,000 1,343,000 975,000 975,000 - 0.00/0 Uti ty Tax for Operations 3,940,000 3,940,000 - 3,893,000 600,000 600,000 - 0.00/0 Utility Tax for Prop 1 Voter Package 2,980,187 2,702,868 1,588,442 2,980,187 1,693,025 1,693,025 0.00/0 One -Time Transfers In /Grants /Other 1,215,536 1,167,899 431,062 1,209,757 674,147 674,147 - 0.00/0 Total Other Financing Sources 11,2529723 10,927,767 4,306504 10,500,984 3,942,172 3,942,172 - 0.0% Other Uses: Contingency Reserve Funds 1,111,698 1,125,000 - - - n/a 1 -Time Transfers Out /Other /Unalloc IS 1,188,216 242,629 144,395 1,770,163 4,249 4,249 0.00/0 Total Other Financing Uses 2,299,914 242,629 144,395 2,895,163 4,249 4,249 0.0% Total Finding Rnd Balance I $ 89657,467 $15,034,800 $11,637,139 $ 8,728546 $ 10,421,384 $13,438,743 n/a n/a DESIGNATED OPERATING FINDS SUMMARY 2012 2013 YrD Budget vs. Actual Favorable /(Unfavorable) Annual Budget Annual Actual YTD Actual Annual Budget YTD Budget YTD Actual $ % Beginning Fund Balance S 12,965,264 $ 12,965,272 $ 12,965,272 $15,908,751 $15,908,751 $15,908,751 n/a n/a Rewnues: Utility Tax 9,519,968 10,140,799 6,348,396 9,569,806 6,002,844 1 5,886,417 (116,427) -1.9% Utility Tax -Prop 1 Voter Package 2,900,032 2,942,379 1,851,616 2,791,194 1,750,830 1,716,872 (33,958) -1.9% Hotel/Motel Lodging Tax 193,440 193,345 96,059 195,000 100,235 102,458 2,223 2.2% Real Estate Excise Tax 1,400,000 1,507,314 683,000 1,400,000 858,801 1,031,876 173,074 20.2% Property Tax- King Co Expansion Levy 155,000 160,611 84,899 155,000 81,933 82,644 711 0.9% State Shared Revenue 508,000 493,586 274,103 495,000 274,888 278,284 3,396 1.2% Red Light/School Zone Enforcement 830,000 2,256,636 1,400,284 830,000 515,030 1,398,938 883,908 171.6% Federal Way Conmtnity Center 1,558,622 1,738,039 1,072,829 1,643,500 1,016,518 1,104,515 87,997 8.7% Dumas Bay Centre Fund 587,732 587,506 368,232 628,251 393,542 383,481 (10,061) -2.6% Surface Water Management Fees 3,164,969 3,544,656 1,947,424 3,456,000 1,898,717 1,834,770 (63,946) -3.4% Refuse Collection Fees 278,120 282,584 164,537 284,671 165,752 174,070 8,318 5.00/0 Interest Earnings 30,000 11,193 3,977 15,300 5,436 17,162 11,726 215.7% Miscellaneous /Other 28,036 30,452 18,933 25,536 15,8771 36,158 20,281 127.7% Total Rewnues 21,153,919 1 23,889,100 14,314,289 21,489,258 13,080,403 14,047,645 967,241 7.4% Expenditures: Arterial Streets Overlay Program 1,993,204 1,937,144 1,397,138 1,616,029 1,165,539 932,637 232,902 20.0% Utility TaxAdmin/Cash Mgmt Fees 49,000 48,999 28,583 48,000 28,000 28,000 (0) 0.0% Solid Waste & Recycling 456,441 409,042 224,481 504,486 276,860 248,229 1 28,631 10.3% Hotel/Motel Lodging Tax 409,923 304,490 262,949 297,7161 257,099 30,603 226,496 88.1% Traffic Safety (Red Light /School Zone) 26,754 1 9,386 1,263 26,754 3,600 3,600 100.0% Debt Service (Debt & Adtrin Fee) 1,157,669 1,083,332 318,530 2,051,508 608,040 408,835 199,205 32.80/. Federal Way Community Center 2,146,355 2,112,597 1,213,396 2,168,353 1,234,708 1,209,648 25,060 2.0% Dumas Bay Centre Fund 688,510 620,905 359,764 679,049 393,126 361,790 3035 8.0% Surface Water Management 3,521,518 2,764,655 1,688,857 3,246,050 1,982,928 1,666,810 316,118 15.9% Total Expenditures 10,449,375 9,290,549 5,494,961 10,637,946 5,949,900 4,886,553 1,063,347 17.9% Revenues over /(under) Expenditures 10,704,544 1 14,598,550 8,819,329 10,851,313 7,130,503 9,161,091 29030,588 28.5% Other Sources: Ongoing Transfers In: Utility TaxforDBCOper/Reserves 113,000 113,000 113,000 112,000 112,000 112,000 - 0.0% Utility Tax for FWCCOper/Reserves 706,000 706,000 185,530 683,000 229,183 110,610 (118,574) -51.7% Utility Tax for FWCC & SCORE Debt 915,000 913,892 286,946 1,832,000 94,561 94,561 0.0% Utility Taxfor Arterial Streets Overlay 1,021,000 1,021,000 1,021,000 998,000 998,000 998,000 0.0% 1 -Time Transfers/Grants /Other 639,506 1 557,417 316,332 599,528 308,534 308,534 0.0% Total Other Sources 3,394,506 3,311,310 1,922,808 4,224,528 1,742,278 1,623,705 (118,574) -6.8% Other Uses: Ongoing Transfer Out: Red Light /School Zone for PD, CT, TR 830,000 830,000 - 830,000 n/a Utility Tax to FWCC Oper/Reserves 706,000 706,001 185,530 683,000 229,183 110,610 118,573 51.7% Utility Tax to FWCC& SCORE Debt 915,000 913,892 286,946 1,832,000 94,561 94,561 0.0% Utility Tax to DBC Oper/Reserves 113,000 113,000 113,000 112,000 112,000 112,000 0.0% Utility Taxto Arterial Streets Overlay 1,021,000 1,021,000 1,021,000 998,000 998,000 998,000 0.0% Utility Taxto Transportation Capital 696 ,000 696,000 543,000 681,000 598,000 598,000 0.0% Utillity Tax to Geneml/Street Oper 6,227,000 6,227,000 2,287,000 5,236,000 1,575,000 1,575,000 0.0% Utility Tax to Prop 1 Voter Package 2,980,187 2,702,868 1,588,442 2,980,187 1,693,025 1,693,025 0.0% 1 -Time Transfers/Other/Unalloc IS 1,824,821 1,756,623 1,688,551 2,436,948 1,766,583 1,766,583 0.01/6 Total Other Uses 15,313,008 14,966,384 7,713,469 15,789,135 7,066 ,352 6,947,779 (118,573) -1.7% Ending Fund Balance Arterial Streets Overlay 0 79,529 397,134 - 468,045 n/a n/a Utility Tax(non -Prop 1) 3,057,715 3,572,738 5,039,194 3,069,551 5,947,933 n/a n/a Utility Tax -Prop 1 Voter Package 656,960 1,080,948 1,104,611 1,080,948 1,104,795 n/a n/a Solid Waste & Recycling 150,394 172,002 94,480 151,928 107,875 n/a n/a Hotel/Motel Lodging Tax 0 102,416 46,627 175,888 n/a n/a Federal Way Comratnity Center 987,446 1,197,499 932,239 1,295,904 1,144,359 n/a n/a Traffic Safety Fund 530,323 1,975,867 1,942,835 1,704,072 3,377,434 Paths & Trails 159,807 166,668 86,821 175,668 99,557 Debt Service Fund 4,013,514 4,182,345 3,493,678 4,149,337 3,691,284 Ma/an/a Surface Water Management 2,195,153 3,240,038 2,615,169 3,506,844 3,370,706 Dumas Bay Centre Fund (6) 138,697 227,417 61,203 257,894 Total Endi Fund Balance $'11,751,304 $15 ,908,748 S 15,980,203 $15,195,455 S $ 19,74.5,770 Sales Tax Compared to year -to -date 2012 actual, sales tax revenues are up by $447K or 7.4 %. July sales tax collection of $891K is $34K or 4% above 2012's July sales tax of $856K. Compared to year -to -date 2013 budget, year -to -date sales tax revenues are above by $262K or 4.2 %. LOCAL REIrAIL SALES TAX REVENUES YTD July Month 2012 Actual 2013 Favorable /(Unfavorable) Change from 2012 2013 Actual vs Budget Budget Actual $ % $ % Jan $ 896,190 859,485 856,430 (39,761) -4.4% (3,055) -0.4% Feb 1,022,314 1,159,955 1,186,414 164,100 16% 26,459 2.3% Mar 792,916 791,475 836,112 43,196 5.4% 44,637 5.6% Apr 742,615 798,732 841,788 99,172 13.4% 43,055 5.4% May 877,492 922,559 964,840 87,347 10.00/0 42,281 4.6% Jun 811,359 806,090 869,426 58,067 7.2% 63,336 7.9% Jul 856,071 845,352 890,558 34,486 4.0% 45,206 5.3% Aug 916,840 953,826 - - - - - Sep 917,952 929,634 - - - - - Oct 941,250 909,646 - - - - - Nov 921,590 911,088 - 307,240 - - - Dec 837,557 804,158 - - - - - YTD Total $ 5,998,958 $ 6,183,648 1 $6,445,567 $ 446,609 7.4% $ 261,919 4.2% Annual Total $ 10,534,146 $ 10,692,000 1 n/a n/a n/a n/a n/a COMPARISON OFSALES TAX COLLECTIONS BYSIC GROUP Favorable/(t nfanorable) Component 2012 2013 Change from 2012 $ % Group YTDJuly YTDJuly Explanation Retail Trade $ 3,309,525 $ 3,536,067 $ 226,542 6.8% Up $221K - Building & Garden Materials, Clothing & Accessories, Furniture & Home Goods, Gasoline Stations, General Merchandise Stores, Motor Vehicle & Parts Dealer, Nonstore Retailers, Sporting Goods/Hobby/Book, Food & Beverage Stores, Health & Personal Care Stores Down $11K - Electronics & Appliances Services 1,328,827 1,479,248 150,420 11.3% Up $156K - Accomodation, Admin & Support Services, Repairs /Maint, Waste Mgmt, Remediation, Rental/Leasing, Food Services /Drinking places, Hospitals (due to negative audit adjustment of $66K), Ambulatory Health Care, Educational Services, Amusement, Gambling, and Rec Down $8K - Profess ional/Scientific/Tech, Perforating Arts Construct 487,782 559,039 71,257 14.61/o Up $126K - Specialty Trade Contractors & Construction of Buildings Down $55K - Heavy & Civil Construction Wholesaling 248,657 232,197 (16,460) -6.6% Up $6K- Wholesale Trade, Nondurable goods Down $22K - Wholesale Trade, Durable goods Transp/Utility 3,276 2,362 (914) -27.99/o Information 295,670 307,240 11,569 3.99/o Up $12K - Telecommunications, Broadcasting, Internet Service Providers, Publishing, Other Information Services Manufacturing 102,538 64,938 (37,600) -36.7% Down $38K - Wood Product Manufacturing, Paper Manufacturing Government 63,407 85,573 22,166 35.0% Up $23K - Unclassifiable Accounts, State Dept Fin /Insurance 142,768 166,002 23,233 16.3% Up $23K - Central Banks, Insurance Carriers & Related, Rental/Leasing Svcs /Real Estate Down $2K - Real Estate, Securities, Commodities, Other Other 16,506 12,901 (3,605) -21.8% $ 5,998,958 $ 6,445,566 $ 446,608 7.4% SALES TAX COMPARISON by AREA Year- to-Date July 2012 Actual 2013 Favorable /(Unfavorable) Favorable /( Unfavorable) 2013 Actual rs Budget Budget Actual $ Var Chg from 2012 $ Var $ I % Location 2012 2013 E[planation YID Total Sales Tax S 5,998,963 $ 6,445,567 $ 446,604 7.4% 1,241,722 S 348th Retail Block 656,870 699,084 42,214 6.4% Up $22K Building Material & Carden 1,190,372 1,170,923 1,295,036 104,665 8.8% Up $24K General Merchandise Stores 10.6% Apr 1,519,049 1,330,360 1,049,750 Down $4K Electronics & Appliances The Commons 561,295 563,777 2,483 0.4% Up $10K General Merchandise Stores 699,516 (348,914) -33.3% (356,971) -33.8% Down $3K Retail Trade 793,896 864,017 1,470,623 676,727 85.2% Down $3K Retail Electronics & Appliances 70.2% Jul 1,149,646 992,436 931,882 Down $IK Conmunications S 312th to S 316th 488,683 480,374 (8,309) -1.7% Up $I OK Food & Beverage Stores - - - - Down $2K Motor Vehicle & Parts Dealer 400,925 620,307 - - - Down $16K General Merchandise Stores Pavilion Center 293,488 273,542 (19,946) -6.5% Down $10K Electronics & Appliances - - - Nov 943,496 Down $2K Misc Store Retailers - - - - - Down $2K State Liquor Board Hotels & Motels 89,475 94,529 5,054 5.6% General Increase FW Crossings 236,503 233,702 (2,801) -1.2% Up $8K Misc Store Retailers -5.2% 1,329 11.9% YTD Total $ 8,200,014 Down $5K Furniture & Home Furnishings $ 7,603,289 S (596,725) -73% $ (150,385) -1.9% Down $7K Health & Personal Care Gateway Center 104,962 112,238 7,276 6.8% Up $iK Furniture & Home Furnishings n/a Up $5K Food Services & Drinking Places Up $2K Health & Personal Care Stores Down $IK Telecommunications Utility Tax (Total 7.7511.) Total net utility taxes received year -to -date of $7.6M is $597K or 7.3% below year-to -date 2012 and $150K or 1.9% below budget. However, $435K of the decrease is due to timing difference. If adjusted for timing difference, year-to -date 2013 is $161K or 2.0% below year-to -date 2012 and $285K or 3.7% above year-to -date budget. The rebate line item is for Federal Way residents who are 65 years of age or older, disabled/unable to work, and qualified as low income during the calendar year would qualify for the City's Utility Tax Rebate Program. Any payments that these qualified individuals made towards the utility tax that is passed from the utility company to the consumer is reimbursed by the City. This is an annual program that opens January 1St and closes April 30th of each year. The City has processed 189 rebates for the current year. unLn Y TAXES Year -to -date thru July Month 2012 Actual 2013 Favorable /(Unfavorable) Change from 2012 2013 Actual rs Budget Budget Actual $ Var % Var $ Var % Var Jan $ 1,257,662 $ 1,124,729 $ 1,023,991 $ (233,671) - 18.60/. $ (100,738) -9.00/0 Feb 1,268,041 1,241,722 1,158,162 (109,880) -8.7% (83,560) -6.7% Mar 1,190,372 1,170,923 1,295,036 104,665 8.8% 124,113 10.6% Apr 1,519,049 1,330,360 1,049,750 (469,298) -30.9% (280,610) -21.1% May 1,048,429 1,056,487 699,516 (348,914) -33.3% (356,971) -33.8% Jun 793,896 864,017 1,470,623 676,727 85.2% 606,606 70.2% Jul 1,149,646 992,436 931,882 (217,764) -18.99/6 (60,554) -6.1% Aug 833,215 823,345 - - - - Sept 400,925 620,307 - - - - - Oct 1,319,188 1,091,528 - - - - Nov 943,496 685,598 - - - - - Dec 1,386,274 1,386,549 - - - - - Rebate (27,081) (27,000) (25,671) 1,410 -5.2% 1,329 11.9% YTD Total $ 8,200,014 $ 7,753,674 $ 7,603,289 S (596,725) -73% $ (150,385) -1.9% TotalAnnuall $ 13,083,112 1 $ 12,361,000 n/a n/a I n/a I n/a n/a tT17L FY TAXES - by Type Year -to -date thru July Explanation Utility Type 2012 Actual 2013 Actual Favorable /(Unfavorable) Change from 2012 $ % Electric $ 3,039,001 $ 3,016,443 $ (22,558) -0.7% n/a Gas 1,361,030 1,216,760 (144,270) - 10.60/6 Solid Waste 479,360 505,256 25,896 5.4% 1,603,665 Cable 846,172 890,674 44,502 5.3% 1,714,020 Phone 680,631 541,787 (138,844) -20.4% Ifadjusted for timing difference then $36K or 5.2% decrease. Cellular 1,663,564 1,315,468 (348,096) -20.9% Ifadjusted for timing difference then $16K or 0.9% decrease. Pager 275 348 73 26.5% 1,751,342 S W M 157,062 142,223 (14,838) -9.4% 1,657,827 TaxRebate (27,081) (25,671) 1,410 -5.2% 1,571,112 YTD Total $ 8,200,014 $ 7,603,289 1 $ (596,725) -73% Ifadjusted for timing difference then $161K or 2.01/6 decrease. Proposition I Voter Approved Utility Tax Year -to -date 2013 Prop 1 expenditures total $1.7M or 56.7% of the $3M annual budget. Current life -to -date Prop 1 Utility tax collections total $19M and expenditures total $17.9M resulting in ending fund balance of $1.1 M. PROP 2012 2013 Life To Date Budget Actual Budget Actual Beginning Balance: 841,437 841,437 661,148 1,080,948 n/a OPERATING REVENUES January 279,388 283,988 253,469 231,224 1,603,665 February 274,255 284,977 279,160 261,520 1,714,020 March 279,380 266,835 262,716 290,362 2,007,634 April 262,253 341,953 299,158 235,536 1,954,187 May 246,983 235,323 237,749 155,729 1,751,342 June 222,307 178,986 194,536 332,076 1,657,827 July 206,523 259,553 224,041 210,425 1,571,112 August 197,050 188,145 185,925 - 1,242,518 September 192,036 90,532 140,069 - 1,141,315 October 213,421 297,881 246,465 - 1,438,592 November 137,374 213,048 154,812 - 1,230,471 December 293,548 301,157 313,092 1,717,685 Total Prop 1 Revenues: 2,804,516 2,942,379 2,791,194 1,716,872 19,030,367 OPERATING EXPENDI TUBES Public Safety Improvement Positions & Costs: Police Services (includes sworn positions, records clerk, and indirect Information Technology support costs)• • 2,326,710 2,123,654 2,322,522 1,307,039 13,133,962 Court Services (includes Judge, Court Clerk, Prosecutor, public defender contract, and indirect rr support) 392,683 355,036 392,683 221,188 2,217,809 Total Pudic Safety lmprowmentCosts 29719,393 2,478,690 2,7159205 1,528,227 15,351,771 Community Safety Program Costs: Code Enforcement Officer* - - - - 318,857 Code Enforcement Civil Attorney 69,341 60,105 69,341 40,123 393,093 Park Maintenance 113,555 100,501 113,555 63,139 632,270 Total Community Safety Improvement Costs 182,896 160,606 182,896 103,262 1,344,220 Indirect Support -HR Analyst 44,586 26,072 44,586 24,037 232,087 SafeCity M &O 37,500 37,500 37,500 37,500 208,428 Subtotal Ongoing Expenditures 829086 63,572 82,086 61,537 440,515 SafeCity Startup - - - - 189,066 Other Transfer - Prop 1 OT for Police - - - - 600,000 Subtotal Other Expenditures - - - - Total Pro 1 Expenditures: 2,984,375 2,702,868 2,980,187 1,693,025 Total Ending F`undBalance: $ 661,578 $ 1,080,948 $ 472,155 $ 1,104,794 'Code Enforcement Officer 1.0 FTE frozen in 2011112 remains frozen in 2013114. "• Police Officers 2.0 FTE previously frozen is one -time funded in 2013114 by Traffic Safety Fund. Real Estate Excise Tax Compared to 2012 year -to -date actuals, collections are up $349K or 51.1 %. July's receipt of $235K is above July 2012's actual by $151K or 180.6% and above July 2013's projections by $98K or 71.8 %. Year -to -date collections are above year -to -date projections by $173K or 20.1 %. July 2013 activities include 221 real estate transactions, of which 110 were tax exempt. Significant transactions in: Fox Run Apartments (sold for $18.08M/$90K tax); Columbia Bank undeveloped plat/green belt (sold for $1.09M/$5K tax); Kokiri Korean Restaurant (sold for $1.27M/$6K tax); East Campus Terrace Apartments (sold for $1.4M/$7K tax); Albertsons (sold for $1.46M/$7K tax); and New Horizon Motel (sold for $1.9M/$9K tax). Hotel/Motel Lodging Tax Hotel/Motel lodging tax received year -to- date 2013 is $102K and is above 2012's year -to -date collections by $6K or 6.7 %. 2013 year -to -date receipts are above year - to -date projections by $2K or 2.2 %. Permit Activity Building, planning, and zoning permit activities are above 2012's year -to -date activity by $524K or 55.7 %. Compared to year -to -date budget, permit activity is up $766K or 109.8 %. Some significant permits for 2013 include: Wynstone East, Federal Way Townhomes, Kohls, Davita, Celebration Senior Living Apartments and Park 16 Apartments. REAL ESTATEEXCISETAX REVENUES Year- to{late thru Jul Mouth 2012 Actual 2013 Favorable /(Unfawrable) Change from 2012 2013 Actual vs Budget Budget Actual $ % $ I % Jan $ 79,285 $ 161,514 $ 65,032 $ 14,253 -18.0% $ 96,483 -59.7% Feb 46,041 43,508 66,611 20,570 44.7% 23,103 53.1% Mar 90,054 114,343 199,329 109,275 121.3% 84,985 74.3% Apr 86,114 82,692 106,752 20,638 24.0% 24,060 29.1% May 98,819 1 148,082 147,465 48,646 49.2% 61 -0.4% Jun 199,060 172,115 211,838 12,778 6.4% 39,723 1 23.1% Jul 83,626 136,547 234,656 151,030 180.6% 98,109 1 71.8% Aug 91,170 70,312 - - - - - Sep 92,663 107,383 - - - Oct 158,572 93,701 - - Nov 179,574 97,187 - Dec 302,336 172,616 - - - - - YTD Total 682,999 858 801 1,031,683 348,683 51.1%, 172,881 20.1% Annual Total $ 1507 13 $ 1400 000 n/a n/a n/a n/a n a IiO'r11J*vlOT LLODGINGTAXREVENUES Year -to -date thru July Month 2012 Actual 2013 Favarable/(Unfavorable) Change from 2012 2013 Actual vs Budget Budget Actual $ % $ % Jan $ 12,246 $ 13,104 $ 13,537 $ 1,291 105% $ 433 3.3% Feb 12,705 14,696 14,270 1,564 123% (426) -2.9% Mar 12,070 11,351 12,771 700 5.8% 1,419 12.5% Apr 14,318 14,345 14,441 123 0.90/0 % 0.7% May 17,670 17,625 18,168 498 2.8% 542 3.1% Jun 12,328 13,302 13,666 1,338 10.90/0 364 2.7% Jul 14,722 15,812 15,606 885 6.0% (206) -1.3% Aug 18,991 18,362 - - - - - Sept 21,571 21,716 - - - Oct 22,009 22,857 - Nov 18,311 17,333 - Dec 16,401 14,497 - - - - - YID Total S 96,059 $ 100,235 $ 102,459 $ 6,399 6.7% $ 2,224 2.2% Annual "Total $ 193,344 $ 195,000 n/a n/a n/a n/a n/a BUILDING& LAND USE PERMITS AND FEES (CID) Year -to -date t Jul Month 2012 Actual 2013 Change from 2012 Favorable/ Unfavorable 2013 Actual vs Budget Budget Actual $ % $ % Jan 194,017 95,886 130,900 (63,117) -32.5% 35,014 36.5% Feb 128,366 92,105 152,484 24,118 18.80/0 60,379 65.6% Mar 116,115 87,330 306,348 190,233 163.85/6 219,018 250.8% Apr 124,642 102,297 195,704 71,062 57.0% 93,407 91.3% May 144,559 101,334 134,544 (10,015) -6.90/o 33,209 32.8% Jun 127,180 118,631 416,355 289,175 227.4% 297,724 251.0% Jul 105,418 100,064 127,592 22,175 21.0% 27,528 27.5% Aug 172,270 124,994 - - - Sept 1 125,430 83,393 - Oct 123,052 76,104 Nov 105,330 71,907 - Dec 105,227 93,235 Y1rD Total $ 940,297 $ 697,648 $ 1,463,927 $ 523,630 55.7 % S 766,279 10981/ Annual Total $ 1,571,606 $ 1,147,281 o/a n/a n/a n/a n/a Police Department The total overtime budget of $716K consists of $686K for City overtime and $30K for billable time. Compared to year -to -date budget, City portion overtime is $12K or 2.9% below year -to -date projections. Compared to year -to -date 2012 actuals, City portion overtime is $2K or 0.5% above prior year -to -date total. Including the increase in billable overtime, total overtime increased by $4K or 0.7 %. The July 2013 overtime decrease of $8K from July 2012 actuals is attributable to a reduction in shift call -in and case completions overtime. PD Overtime by Type Year - to-date thru July Type 2012 Actual 2013 Actual (Favorable)/Unfavorable Change from 2012 $ % Training $ 3,623 $ 13,843 $ 10,221 282.1% Court 23,757 16,290 (7,467) -31.4% Field Oper 305,765 309,258 3,493 1.1% Other 65,164 60,815 (4,349) -6.7% City Portion 398,308 400,207 1,898 0.5% Contract/Grant 71,742 70,630 (1,112) -1.6% Traffic School 12,726 15,487 2,761 21.7% Billable 84,468 86,117 1,649 2.0% YID Total $ 482,776 $ 486,323 $ 3,548 0.7% Jail Services PD Overtime by Month Year- to-date thru July Month 2012 Actual 2013 (Fawrable)/[hifawrable Change from 2012 2013 Actual vs Budget Budget Actual $ % $ 163,011 Jan $ 57,441 $ 63,457 $ 56,595 $ (847) -1.5% $ (6,862) -10.8% Feb 65,486 50,127 62,964 (2,523) -3.9% 12,837 25.6% Mar 45,171 60,416 50,695 1 5,525 12.2% (9,721) -16.1% Apr 51,108 55,376 65,049 13,941 27.3% 9,673 17.5% May 48,017 62,081 54,787 6,770 14.1% (7,294) -11.7% Jun 53,484 50,381 40,747 (12,737) -23.8% (9,634) -19.1% Jul 77,602 70,463 69,370 (8,232) -10.6% (1,093) -1.6% Aug 44,075 58,306 - - Sep 66,346 55,712 - - Oct 79,571 60,829 - Nov 46,461 44,766 - Dec 63,914 53,713 - City Portion 398,309 412,301 400,207 1,897 0.5% (12,094) -29% Billable 84,468 17,055 86,117 1,649 2.0% 69,061 404.9% YTD Total IS 482,777 $ 429,356 $ 486,323 S 3,547 0.7% $ 56,967 133% Billable $ 73,673 $ 12,945 $ - S - S - - knnual Total S 856,817 $ 715,627 n/a n/a n/a n/a n/a The total jail budget is $4.79M and is comprised of $3.87M for SCORE Jail maintenance & operation assessments and alternative programs and $917K for debt service. The increase in the 2013 maintenance & operations assessment is due primarily to much lower estimated contract revenue and no one -time funds to offset costs. The annual debt service payment is roughly $917K. Jail and Alternatives to Confinement 2012 Annual Actual 2013 Annual Budget YTD Budget YTD Actual SCORE $ 1,780,651 $ 3,771,900 $ 2,200,275 $ 2,200,297 Other Jail & Alternative Programs 163,011 100,000 60,495 80,297 Subtotal M&O 1 ,943,662 3,871 ,900 2,260,770 2,280,594 Subtotal Debt Service 524980 916,858 292,679 292,679 Totall $ 2,468,642 $ 4,788,758 $ 2,553,449 $ 2,573,273 Traffic Safety - Red Light Photo /School Zone Enforcement Red light photo & school zone enforcement revenues are accounted for in the Traffic Safety Fund to be used for, but not limited to, prevention, education, and enforcement efforts related to traffic safety and compliance with traffic control devices within the City, including maintenance and operations costs. Currently there are a total of 14 cameras at 11 locations (8 of these cameras are red light and 6 are in the school zones). The original 4 red light cameras were activated in October 2008 and an additional 4 cameras were activated February 2010. The original 4 school zone cameras were activated February 2010 and an additional 2 cameras were activated December 2010. Payments to ATS include $4,750 /month per location plus supplemental fees for check processing. Year -to -date 2013 red light photo net revenues total $1.40M which is in line with year -to -date 2012 actuals. Red light Photo/School Zone Enforcement Month 2012 2013 Variance Favorable /(L n fawrable) Month Gross Revenue Payments to ATS Net Revenue Gross Revenue Payments to ATS Net Revenue $ Variance % Variance Jan $ 140,361 $ (52,910) $ 87,451 $ 305,790 1 $ (53,237) $ 252,553 $ 165,102 188.8% Feb 163,551 (53,000) 110,551 206,768 (53,209) 153,560 43,009 38.9% Mar 230,342 (53,233) 177,109 235,118 (59,123) 175,996 (1,113) -0.6% Apr 224,418 (53,323) 171,095 260,705 (53,390) 207,315 36,220 21.2% May 340,862 (53,689) 287,173 253,306 (53,194) 200,113 (87,061) -30.3% Jun 377,420 (53,759) 323,661 243,295 (53,276) 190,019 (133,642) 41.3% Jul* 282,507 (39,263) 243,244 259,383 (40,000) 219,383 (23,861) -9.8% Aug 216,037 (39,092) 176,945 - - October Sep 144,215 (53,174) 91,041 November 94,598 Oct 250,344 (53,651) 196,693 December - 85,060 Nov 328,429 (53,485) 274,945 Probation 45,889 45,814 43,669 Dec 170,046 (53,318) 116,728 $ 863,902 $ 855,341 $ 953,173 $ 89,271 YTD Total $1,759,460 $(359,176) $ 1,400,284 $1,764,366 r S(365,428)1 $1,398,938 $ (1,346) -0.1% Annual Total S 2,868,531 1 $(611,896) $ 2,256,636 n/a n/a I n/a n/a n/a Annual Budget n/a I n/a 1 830,000 n/a I n/a 1 830,000 1 n/a n/a * Estimated Vendor Fees in 2013 Court Court revenues are $89K or 10.3% above 2012 year -to -date actuals and $98K or 11.4% above 2013 year -to -date budget. The positive variance is mainly due to increase in traffic & non - parking, DUI and other misdemeanors, and criminal conviction fees. COURT REVEVUE Year-tadate thru Jul Month 2012 Actual 2013 Fawrabl a /(Un fawrabl e ) Change from 2012 2013 Actual vs Budget Budget Actual $ % $ % January $ 87,425 $ 86,518 $ 117,372 $ 29,947 34.3% $ 30,854 35.70/6 February 128,437 127,104 142,899 14,463 11.3% 15,795 12.4% March 157,534 155,899 154,689 (2,844 ) -1.8% (1,210) -0.80/0 April 108,288 107,165 128,560 20,272 18.7% 21,395 20.0% May 126,103 124,795 134,047 7,944 6.3% 9,252 7.41/o June 106,684 105,577 93,418 (13,266) -12.4% 12,159) -11.5% July 103,542 102,468 138,518 34,976 33.8% 36,050 35.2% August 118,975 117,741 - - - - Se tembe 135,598 134,191 - October 112,027 110,865 November 94,598 93,617 December 85,951 85,060 - Probation 45,889 45,814 43,669 (2,220) 4.8% (2,145) -4.7% $ 863,902 $ 855,341 $ 953,173 $ 89,271 10.3% $ 97,833 11.4% Probation 34,242 1 34,186 na n/a n/a n/a n/a Annual $ 1,445,294 1 $ 1,431,000 n/a n/a n/a n/a n/a COURT REVENUE Year -to -date thru Jul 2012 Actual 2013 Actual avora n avora e Changefrom 1011 $ % Civil Penalties $ 10,728 $ 12,645 $ 1,917 17.9% Traffic & Non-Parking 489,628 531,799 42,171 8.6% Parking Infiactions 26,846 23,709 (3,137) -11.7% DUI & Other M isd 61,752 63,625 1,874 3.00/6 Criminal Traffic Misd 1,117 1,669 552 49.4% Criminal Costs 62,014 82,549 20,534 33.1% Interest / Other / Misc 46,394 66,644 20,249 43.6% Criminal Conv Fees 41,921 50,481 8,560 20.4% Shared Court Costs 22,663 22,842 179 0.8% Services & Charges 54,950 53,541 (1,409) -2.6% Subtotal S 818,013 $ 909,504 $ 91,491 11.2% Probation Services 45,889 43,669 (2,220) -4.8% YTD Total S 863,903 S 953,173 S 89,270 10.30/ Federal Way Community Center The Federal Way Community Center Fund was established as a special revenue fund supported by user fees and designated utility tax transfer. Federal Way Community Center 2012 2013 YTD Budget vsActual Favorable /(Unfavorable) Budget Annual Actual YTD Actual Budget YTD Budget YTD Actual $ % Beginning Fund Balance $ 967,942 $ 967,942 $ 967,942 $ 1,197,501 $ 1,197,501 $ 1,197,498 n/a n/a Operating Revenues: Dafly Drop-ins $ 352,622 $ 300,692 $ 205,545 $ 310,000 $ 211,908 $ 201,073 $ 10,835 -5.1% Passes 630,000 837,410 483,786 770,000 444,843 506,536 61,693 13.91/o City Employee Membership Program 43,500 34262 27,029 31,000 24,456 26,664 2,208 9.0"/0 Youth Athletic Programs 35,000 44,024 30,628 45,000 31,306 29,908 1,398 -4.5% Aquatics Programs -Les sons/Clas ses 116,000 135,617 93,479 126,000 86,850 103,447 16,597 19.1% Childcare Fees 9,000 8,959 5,902 9,000 5,929 4,480 1,449 -24.4% Fitness Classes /Fitness Training 85,000 108,917 64,886 105,000 62,552 87,744 25,192 40.3% Towel/equipment Rentals 7,000 3,830 2,693 4,000 2,812 2,438 375 -13.3% Pool Rentals/Competitive-Lap Lanes 19,000 18,146 10,282 16,000 9,066 11,136 2,070 22.8% Rentals 226,500 210,299 126,058 195,000 116,887 106,377 10,510 -9.00/0 Merchandise Sales 10,000 8,330 5,915 7,500 5,325 6,764 1,439 27.0% Concessions/Vending 1,067 704 - 2,079 2,079 n/a Interest Earnings/Other Misc - 1,487 1,340 - 1,288 1,288 n/a General Park/Rec - Facility use charge 25,000 25,000 14,582 25,000 14,582 14,581 1 0.0% Total Operating Revenues 1,558,622 1,738,039 1,072,829 1,643,500 1,016,518 1,104,515 87,997 8.7% Operating Expenditures: Personnel Costs 1,301,607 1,331,035 777,360 1,331,807 777,811 790,909 (13,098) -1.7% Supplies 146,750 147,447 84,565 142,500 81,728 95,398 13,670 -16.70/e Other Services & Charges 176,300 1 169,083 91,990 172,500 93,849 74,503 19,346 20.6% Utility Cost 380,000 335,862 176,922 385,000 202,807 163,096 39,710 19.6% Intergovernmental 20,500 26,153 13,803 20,500 10,819 18,047 7,228 -66.8% Capital 4,300 - n/a Internal Service Charges 116,898 103,016 68,755 116,046 67,693 67,694 0 0.0% Total Ope rating Expenditures 2,146,355 2,112,597 1,213,396 2,168 ,353 1,234,708 1,209,648 259060 2.0% Revenues Over/ Under ]Expenditures 587,733 374,558 140,567 524,853 218,190 105,133 113,057 - 51.8% Recovery Ratio 72.6% 82.3% 88.4% 75.8% 823% 91.3% der n/a Other Sources : n/a Unlit Tax - Reserves 87,000 281,117 158,147 - 5,476 5,476 n/a Utility Tax- Operations 619,000 424,883 185,530 524,853 218,190 105,133 113,05 -51.8% Grant /Other Contribution - - 79,469 79,469 79,469 0.00/0 Total Other Sources 706,000 1 706,000 185,530 762,469 2979659 1 190,079 107,580 -36.1% Other Uses: n/a Capital/Use ofReserves/Grants 46,590 51,563 35,707 139,211 138,087 138,087 0.00/6 Bad Debt Expense 52,175 50,325 44,962 - - n/a Total Other Uses 98,765 101,888 80,669 139,211 138,087 138,087 0.0% Net Income 19,502 229,553 35,706 98,405 58,618 53,142)] 5,476 -9.3% FAding Fund Balance $ 987,444 $ 1,197,494 $ 932,235 1 $ 1,295,906 $ 1,138,883 $ 1,144,356 1 $ 5,473 0.5% The operating revenue budget includes $1.6M in user fees /program revenues, $525K contribution from utility tax for operations, $158K contribution from utility tax for reserves, and $25K use charge from General Fund Recreation for use of the facility. Year -to -date operating revenues total $1.1M which is $88K or 8.7% above the year -to -date budget. In comparison to 2013's year -to -date budget: ■ Daily Drop -in revenues are $11K or 5.1% below mainly due to staffmg efforts to up -sell daily guests to Membership Passes. ■ Pass revenues are $62K or 13.9% above due to marketing and membership retention efforts and high attendance in group exercise and aquatics programs for families. Strong program offerings are helping bring in new customers and retain current ones; in particular the addition of Group Ride and adjustments to pool hours to better serve families with young children. ■ Aquatic Programs are $17K or 19.1% above due to high enrollment in swim lessons, adult private swim lessons, and lifeguarding courses. • Fitness Classes are $25K or 40.3% above due to high enrollment in Group Training Programs, Biggest Loser Competition and Silver Sneakers. • Pool Rentals are up $2K or 22.8% mainly because we were able to accommodate team usage during US Diving Trials and the NCAA Swimming Championships that took place at the King County Aquatics Center. • Rental Revenues are down $11 K or 9.0% below mainly due to payment timing from schools for gym rentals, and a slower than average spring. Summer special event rentals and meeting rentals are picking up. Year -to -date operating expenditures total $1.2M which is $25K or 2.0% below year -to -date budget. Federal Way Community Center has recovered 91.3% of operating expenditures compared to the annual budgeted recovery ratio of 75.8 %. In comparison to 2013's year -to -date budget: • Personnel Costs are $13K or 1.7% above due to higher than normal service and instructor levels during the busy first quarter of 2013. Furthermore, March, April and much of May tend to be our busier months due to increased Group Exercise participation and local school's spring break schedules. These increased expenses are offset by excess membership and aquatic programs revenues. • Supplies are $14K or 16.7% above due to excess supply needs during high membership times, a change to bulk storage of pool chemicals, and also increased demands at the beginning of the calendar year. Additional supply purchases have been made to address part and equipment replacements that have been done in -house by our Facility Operator and other staff. • Other Services & Charges are $19K or 20.6% below due to the timing of direct mail advertising pieces and a more efficient and cost - effective approach to advertising media. Also repairs and other services have been done in -house versus the use of contract services. • Utility Costs are $40K or 19.6% below due to City and Facility staffing efforts to improve energy efficiencies. • Intergovernmental is $7K or 66.8% above due to taxes on higher than normal revenues. The City's utility tax contribution of $683K for the Community Center is scheduled to provide $525K for operations and $158K for capital reserves. Year -to -date $105K is needed to cover maintenance and operations. The chart below provides a history of year -to -date revenues, expenditures and utility tax operating subsidy. $1,400 $1,200 $1,000 $800 $600 $400 $200 $0 FWCC Financial Performance Year -To -Date July ($ in thousands) YTD 2009 YTD 2010 YTD 2011 YTD 2012 YTD 2013 —*— Operating Revenues --0 Operating Expenditures Operating Subsidy ..... ........ ....................... Dumas Bay Centre Dumas Bay Centre Fund year -to -date revenue of $383K is $10K or 2.6% below year -to -date budget but $15K or 4.1% above year - to -date 2012. The increase from year -to -date 2012 is due to an increase in rental activities as a result of the marketing plan that was commissioned in 2011 as well as securing the return of returning overnight retreat groups. Year -to -date operating expenses total $362K, which is $31K or 8.0% below year -to -date budget of $393K. Expenses are up $2K from year -to -date 2012 due to an increase in overnight rental activity and associated costs with janitorial and operations in providing conference and retreat services. Ending fund balance for Dumas Bay Centre Fund is a positive $258K, of which $122K is earmarked for repairs and maintenance. Dumas Bay Centre Fund Year- to.ate thru July 2012 2013 1TD Budget is Actual Budget Annual Actual YFD Actual Budget YID Budget YTD Actual Favorable /(Unfavorable) $ % Beginning Fund Balance $ 101,328 $ 101,331 $ 101,331 $ 138,698 $ 138,698 $ 138,698 n/a n/a Operating Revenues: 5. /o Agency IB Bank Agency FloatingRate 4.5% In -House Food Services 266,589 244,672 150,221 272,000 166,999 154,450 (12,550) -7.5% Dumas Bay Retreat Center 321,143 342,834 218,011 356,251 226,543 229,031 2,488 1.1% Knutzen Family Theatre - - - - - - - n/a Total Operating Revenues 587,732 587,506 368,232 628,251 393,542 383,481 (10,061 ) -2.6% Operating Expenses: 5.23% 1.5 %'' � In -House Food Services 245,059 232,491 138,831 238,559 142,455 116,605 25,850 18.1% Dumas Bay Retreat Center 358,357 308,954 177,199 355,410 203,844 1 201,928 1,915 0.90/0 Knutzen Family Theatre 85,095 79,460 43,734 85,080 46,827 43,257 3,570 7.6% Total Operating Expenses 688,510 620,905 359,764 679,049 393,126 361,790 31,335 8.0% Revenues Over /(Under)Expenses (1009778) 33,399 8,467 (50,798) 417 21,690 21,274 - 5105.5% Recovery Ratio 8536% 94.62% 10235% 9252% 100.11% 106.00% Wit n/a Transfer In Gen Fund - Pump Station 23,500 23,500 23,500 - - n/a Transfer In Gen Fund - Pump Station M &O 4,000 4,000 4,000 4,000 4,000 4,000 - n/a Transfer In Utility Tax 113,000 113,000 113,000 112,000 112,000 112,000 - n/a Total Other Sources 140,500 140,500 140,500 116,000 116,000 116,000 n/a Marketing Study & Implementation - - - - - n/a Pump Station M &O 4,000 540 405 8,000 - - - n/a Repairs & Maintenance 137,056 69,194 22,476 134,697 18,495 18,495 - 0.0% Total Other Uses 141,056 69,734 22,881 142,697 18,495 18,495 - n/a Net Income (101,334)1 37,366 126,086 77,495 97,922 119,195 21,274 21.7% Ending Fund Balance $ (6 )1 $ 138,697 1 $ 227,417 $ 61,203 1 $ 236,620 $ 257,893 $ 21,273 9.0% CASH & INVESTMENTS Currently all excess balances totaling $64.1M are invested in the Local Government Investment Pool (LGIP). The portfolio yield is 0.12 %, which is above the average 6 -month US Treasury Bill rate of 0.08 %. LGIP Average Invested Balance by Type Interest Rates Comparison July 2013 For the Month of July 2013 5. /o Agency IB Bank Agency FloatingRate 4.5% Coupons DePoorts Notes Treasury 5.21 /0 10.64% 4.0% 3.5% Securities 3.0% 20.59% Agency Variable Rate 2.5% ` Notes 2.0% 5.23% 1.5 %'' � 1.0% ' 0.5% Repurchase 0.0% Agreements 26.64% 2008 2009 2010 2011 2012 2013 Discount Notes NOW Accounts Certificatesof 28.47% 1.39% Deposit 0.41% ■6MonthT -Bill ■LGIP OIn -house Investment 0PortfolioAverage FUND ACTIVITY SUMMARY Fund #/Fund Name Begin Balance 1/1/2013 YTD Revenue YTD Expenditure YTD Net Income /(loss) Ending Balance 7/31/2013 001 /101 GeneraUStreet Fund $ 15,034,799 $ 24,283,902 $ 25,879,963 $ (1,596,062) $ 13,438,737 201 Debt Service Fund 4,182,345 1,134,774 19625,835 (491,061) 3,691,284 Special Revenue Funds: 102 Arterial Street 79,530 1,321,153 932,637 388,515 468,045 103 Utility Tax ( *) 4,653,686 7,608,238 5,209,195 2,399,043 7,052,729 106 Solid Waste & Recycling 172,002 184,102 248,229 (64,128) 107,874 107 Special Contracts/Studies Fund 502,375 483 998 (514) 501,860 109 Hotel/Motel Lodging Tax 102,416 104,075 30,603 73,472 175,888 110 2% for the Arts 293 - - 293 111 Federal Way Community Center 1,197,498 1,294,593 1,347,735 (53,142) 1,144,357 112 Traffic Safety Fund 1,975,866 1,401,568 - 1,401,568 3,377,434 119 CDBG ( * *) 40,715 120 Path & Trails - 166,668 202,123 299,924 (97,801) (57,086) 87,889 155,000 (67,111) 99,557 Subtotal Special Revenue Funds 8,891,049 12,204,225 89224,322 3,979,903 12,870,952 Capital Project Funds: 301 Downtown Redevelopment 2,164,581 6,546 15,109 (8,563) 2,156,018 302 Municipal Facilities 1,137,852 219,263 537,365 (318,102) 819,750 303 Parks 2,260,265 466,471 41,623 424,848 2,685,113 304 Surface Water Management 2,557,098 291,773 298,335 (6,562) 2,550,536 306 Transportation 15,156,474 1,987,720 1,724,166 263,555 15,420,029 Subtotal Capital Project Funds 23,276,270 2,971,773 2,616,597 355,176 23,631,446 Enterprise Funds: 401 Surface Water Management 3,240,038 2,035,477 1,904,811 130,666 3,370,704 402 Dumas Bay Centre Fund 138,698 499,481 380,285 119,195 257,893 Subtotal Enterprise Funds 3,378,736 2,534,958 2,285,097 249,861 3,628,597 Internal Service Funds 501 Risk Management 5,557,874 520,921 780,344 (259,423) 5,298,451 502 Information Systems 3,617,260 1,176,108 1,091,214 84,893 3,702,154 503 Mail & Duplication 285,863 88,444 118,772 (30,329) 255,534 504 Fleet & Equipment 5,746,831 1,155,597 1,342,293 (186,697) 5,560,134 505 Buildings & Furnishings 1,577,132 378,214 301,216 76,998 1,654,129 Subtotal Internal Service Funds 16,784,960 3,319,282 3,633,840 (314,558) 16,470,402 Total All Funds $ 71,548,159 $ 46,448,913 1 S 44765,654 $ 2,183,260 $ 73,731,418 * Utility Tax ending fund balance of $7,052,729 includes $1,104,795 reserved for Prop 1. * *CDBG negative fund balance is due to timing of grant receipts. SUBJECT: VOUCHERS POLICY QUESTION: Should the City Council approve the vouchers in the total amount of $3,647,762.29? COMMITTEE: Finance, Economic Development, and Regional Affairs Committee MEETING DATE: August 27, 2013 CATEGORY: ® Consent ❑ Ordinance ❑ Public Hearing ❑ City Council Business ❑ Resolution ❑ Other STAFF REPORT BY: Tho Kraus. Finance Director DEPT: Finance I, the undersigned, do hereby certify under penalty of perjury that the materials have been furnished, the services rendered, or the labor performed as described herein and that the claims are just and due obligations against the City of Federal Way, Washington, and that I am authorized to authenticate and certify said liens. Finance Director Attachments: Voucher List Options Considered: NA MAYOR'S RECOMMENDATION: MAYOR APPROVAL: DIRECTOR APPROVAL: !:]V&- ee Council Initial COMMITTEE RECOMMENDATION: "I move approval of the vouchers and forward to the September 3, 2013 Council Meeting for approval. " Dini Duclos, Committee Chair Susan Honda Committee Member Bob Celski, Committee Member PROPOSED COUNCIL MOTION: "I move approval of the vouchers pursuant to RCW 42.24. (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: ❑ APPROVED COUNCIL BILL # ❑ DENIED 1ST reading ❑ TABLEDMEFERRED/NO ACTION Enactment reading ❑ MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/2010 RESOLUTION # City of Federal Way - Accounts Payable Check List Key Bank Page 1 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236007 7/31/2013 014749 A WORK SAFE SERVICE, INC, 52.00 6/30/2013 178045 HR -DRUG TESTING SVC 52.00 236008 7/31/2013 000083 AARO INC DBA THE LOCK SHOP, 64172 6/28/2013 85554 SWM -BOLT CUTTER PROOF LOCKS 108.27 7/8/2013 85671 SWM- CLAMSHELL LOCK KEYS 43.25 7/15/2013 85766 SWM- PADLOCKS 492.20 236009 7/31/2013 004895 ABOU -ZAKI, KAMAL 100.00 7/9/2013 07/09/13 MC- INTERPRETER SVC 100.00 236010 7/31/2013 001856 ACTION SERVICES CORPORATION, 11,864.64 6/30/2013 77478 PWST -06/16 STREET SWEEP SVC AG 11,864.64 236011 7/31/2013 014547 ADT LLC, 36.00 7/17/2013 13- 103036 REFUND CD -13- 103036 REFUND PERMIT CAN 36.00 236012 7/31/2013 014622 ADURO, INC, 1,119.09 7/1/2013 3181 HR- WELLNESS PROG. SVCAG12 -128 1,119.09 236013 7/31/2013 009556 ADVANCING LEADERSHIP, 2,250.00 7/1/2013 14012 PD- ADVANCING LEADERSHIP C JONE 1,125.00 7/1/2013 14013 PD- ADVANCING LEADERSHIP MICKEL 1,125.00 236014 7/31/2013 014952 AFICHUK, OLEG 2,857.00 7/23/2013 13- 103053 REFUND CD- 13- 103053 PERMIT CANCELLED 137.00 7/23/2013 13- 103053 REFUND CD- 13- 103053 PERMIT CANCELLED 2,700.00 7/23/2013 13- 103053 REFUND CD -13- 103053 PERMIT CANCELLED 20.00 236015 7/31/2013 000568 AGRI SHOP INC, 1,585.22 7/9/2013 29459/1 PWST- TRIMMER LINE & OIL 121.91 6/27/2013 2925411 PKM -MOWER STARTER ROPE 73.19 6/27/2013 2925511 PKM -EDGER STARTER ROPE 38.88 6/27/2013 29256/1 PKM -EDGER 884.20 7/1612013 29620/1 PKM -EDGER 247.95 1/28/2013 26723/1 PWST- CHAINS 146.29 6/27/2013 29280/1 SWM- TRIMMER HOOK 66.19 7/22/2013 29689/1 PKM -FUEL SHUT OFF 6.61 236016 7/31/2013 000475 ALARM CENTERS /CUSTOM SECURITY, 240.00 6/19/2013 866978 PKCP-Q3 2013 ALARM MNTR-BLDG A 120.00 6/19/2013 866977 PKCP -Q3 2013 ALARM MTR /SVC- BL 120.00 236017 7/31/2013 014379 ALPHAGRAPHICS, 802.38 7/23/2013 2263 MC- DELINQUENCY NOTICES 595.58 7/1/2013 2204 SWR- COMPOST CONTAINER COUPONS 206.80 236018 7/31/2013 001285 ALPINE PRODUCTS INC, 263.90 7/8/2013 TM- 133217 PKM- VEHICLE CONSPICUITY TAPE 206.96 7/16/2013 TM- 133520 PWST -EAR PLUGS 56.94 236019 7/31/2013 001012 AL'S TOWING, 198.20 6128/2013 76250 PD- VEHICLE TOW SVC 198.20 236020 7/31/2013 005287 AMERICALL COMMUNICATIONS &, 250.00 6/21/2013 2D6417 -0713 PKM /PW /SWM -AFTER HR CALL -OUTA 83.33 6/21/2013 2D6417 -0713 PKM /PW /SWM -AFTER HR CALL -OUTA 83.33 6121/2013 2D6417 -0713 PKM /PW /SWM -AFTER HR CALL -OUTA 83.34 236021 7/31/2013 003269 AMERICAN HOTEL REGISTER CO, 222.58 7/1/2013 4694044 DBC -CLOCK RADIOS WITH MP3 222.58 236022 7/31/2013 013305 AMERICAN RED CROSS, 27.00 6/26/2013 10239374 FWCC - LIFEGUARDING TRNG R TAYLO 27.00 236023 7/31/2013 014893 AMERICAN TIRE DISTRIBUTORS INC, 3,09498 6/26/2013 S036368113 PD -NEW TIRES 219.29 7/10/2013 5036777518 PD -NEW TIRES 1,657.02 7/12/2013 S036876008 PD -NEW TIRES 1,077.07 711612013 S03698072 PD -NEW TIRES 141.60 236024 7/31/2013 005833 ANNA'S PARTY RENTALS, 3,435.56 7/8/2013 14554 PRCS -RWB TENTS 3,435.56 236025 7/31/2013 001378 APPLIED INDUSTRIAL, 911 83 7/10/2013 7000700246 FWCC- MASTER LOCKS 911.83 236026 7/31/2013 010530 ARAMARK UNIFORM SERVICES, 33094 7/9/2013 655- 6901226 DBC -LINEN SERVICE 20.53 7/16/2013 655 - 6913133 DBC -LINEN SERVICE 170.21 Key Bank Page 2 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/16/2013 655- 6913134 DBC -LINEN SERVICE 20.53 7/23/2013 655- 6924930 DBC -LINEN SERVICE 39.85 7/23/2013 655- 6924931 DBC -LINEN SERVICE 26.00 7/9/2013 655- 5901225 DBC -LINEN SERVICE 53.82 236027 7/31/2013 010530 ARAMARK UNIFORM SERVICES, 316.65 7/8/2013 655- 6897618 FWCC -FLOOR MATS SVC 25.61 7/8/2013 655- 6897619 FWCC -LINEN SVC 37.72 7/22/2013 655- 6921238 FWCC -FLOOR MATS SVC 25.61 7/22/2013 655 - 6921239 FWCC -LINEN SVC 37.72 6/24/2013 655 - 6873878 FWCC -FLOOR MATS SVC 25.61 6/24/2013 655- 6873879 FWCC -FLOOR MATS SVC 37.72 6/10/2013 655- 6850163 FWCC -FLOOR MATS SVC 25.61 6/10/2013 655 - 6850164 FWCC -FLOOR MATS SVC 37.72 5/27/2013 655- 6826298 FWCC -FLOOR MATS SVC 25.61 5/27/2013 655- 6826299 FWCC -FLOOR MATS SVC 37.72 236028 7/31/2013 014694 AT WORK!, 25,047.85 6/30/2013 18805 PWST -06/13 ROW LANDSCAPE MAINT 25,047.85 236029 7/31/2013 014954 AUTOMATED EQUIPMENT CO INC, 190.53 6/30/2013 200911 CHB- REPAIR GATE 190.53 236030 7/31/2013 000792 BARRY'S TRUCKING & LANDSCAPE, 350.40 7/15/2013 019958 PKM -ON CALL LANDSCAPING SVC AG 350.40 236031 7/31/2013 010806 BAYSIDE EMBROIDERY, 877.45 5/7/2013 S11438 PKM -CREW SWEATSHIRTS 225.71 6/26/2013 E11740 PKM -CREW HATS 651.74 236032 7/31/2013 010185 BIRD, FERESIKAS 300.00 7/11/2013 07111/13 MC- INTERPRETER SVC 100.00 7/19/2013 07/19/13 MC- INTERPRETER SVC 100.00 7/23/2013 07/23/13 MC- INTERPRETER SVC 100.00 236033 7/31/2013 001630 BLUMENTHAL UNIFORM CO INC, 394.85 713/2013 991627 -01 PD -CDU SHIRT S BAKER 136.22 6/28/2013 11036 PD- BOOTALLOW J WILSON 98.54 6/21/2013 7388 PD- UNIFORM PANTS WARRICK 125.10 6/12/2013 998791 -01 PD- UNIFORM PANTS S IRISH 34.99 236034 7/31/2013 006680 BOYLE, SHARON 494.92 7/17/2013 BOYLE 2013 PRCS - FLOWERS FOR FRIENDSHIP TH 19.69 7/17/2013 BOYLE 2013 PRCS - WATER, COOKIES, NUTS FOR 19.97 7/17/2013 BOYLE 2013 PRCS- CANDY, PEANUTS FOR FT 110.57 7117/2013 BOYLE 2013 PRCS -POP FOR FT 17.00 7/25/2013 BOYLE 2013 PRCS -TAPE - FRIENDSHIP THEATRE 5.57 7/25/2013 BOYLE 2013 PRCS- SUPPLIES FOR FT 48.00 7/25/2013 BOYLE 2013 PRCS -WOOD FOR FT 7.75 7/25/2013 BOYLE 2013 PRCS -WOOD, SCREWS, ETC. FOR FT 39.81 7/25/2013 BOYLE 2013 PRCS - BATTERIES FOR MICROPHONE 28.45 7/25/2013 BOYLE 2013 PRCS - FLOWERS FOR FT 88.31 7/25/2013 BOYLE 2013 PRCS- COFFEE FOR FT 7.99 7/2512013 BOYLE 2013 PRCS -CUPS FOR FT 3.26 7/2512013 BOYLE 2013 PRCS- TISSUE PAPER & TAPE FOR F 3.29 7/25/2013 BOYLE 2013 PRCS -WATER FOR FT 6.58 7/25/2013 BOYLE 2013 PRCS- SUCKERS FOR FT 13.20 7/25/2013 BOYLE 2013 PRCS- SHACKLES & BRACELETS FOR 8.74 7/25/2013 BOYLE 2013 PRCS- STICKY NOTES FOR FT 24.09 7/25/2013 BOYLE 2013 PRCS -TIDE FOR FT COSTUMES 16.41 7/25/2013 BOYLE 2013 PRCS -TOTE BOX FOR FT COSTUMES 26.24 236035 7/31/2013 004919 BRATWEAR, 941.93 7/11/2013 9001 PD- JUMPSUIT PON 486.83 7/11/2013 9004 PD- JUMPSUIT B CLARY 455.10 236036 7/31/2013 007087 BROWNELLS INC, 171.70 7/17/2013 09113530.01 PD- EXTRACTOR SPRING ASSY 12.00 7/9/2013 09113530.00 PD- WEAPONS REPAIR PARTS 159.70 236037 7/31/2013 014608 BUCHANAN, KYLE 279.31 7/9/2013 BUCHANAN 2013 PD -K9 KENNEL MATERIAL 279.31 236038 7/31/2013 014665 CAR WASH ENTERPRIESE INC, 50.00 5/31/2013 1651 PD- VEHICLE CLEANING SVC 50.00 Key Bank Page 3 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236039 7/31/2013 014943 CARIOTO, BUTTONS 264.00 7/15/2013 1315291 PRCS- REFUND PARK RENTAL MOVED 264.00 236040 7/31/2013 014779 CEDAR BUILDING SERVICE INC, 2,746.86 6/30/2013 41714 DBC -06/13 JANITORIAL SVC AG13- 2,746.86 236041 7/31/2013 004676 CENTERSTAGE THEATRE ARTS, 6,300.00 7/1/2013 JULY 1, 2013 DBC -04/13 KFT MANAGEMENTAG09- 6,300.00 236042 7/31/2013 004676 CENTERSTAGE THEATRE ARTS, 960.00 6/23/2013 JUNE 23, 2013 PRCS -KFT USAGE FRIENDSHIP THEA 960.00 236043 7/31/2013 000202 CENTURYLINK, 2,060.08 7/4/2013 206 -Z04 -0609 472B IT -06/13 PHONE /DATA SVC 103.00 7/4/2013 206 -Z04 -0609 472B IT -06/13 PHONE /DATA SVC 1,030.04 7/4/2013 206 -Z04 -0609 472B IT -06/13 PHONE /DATA SVC 927.04 236044 7/31/2013 004430 CESSCO -THE CUT &CORE STORE INC, 1,707.05 6/28/2013 1568 RM- STOLEN CHAIN SAW REPLACEMEN 394.15 6/28/2013 1568 RM- STOLEN GENERATOR REPLACEMEN 1,312.90 236045 7/31/2013 014939 CHASE, LINDA 84.30 7/9/2013 39792 DBC- REFUND RENTAL DEPOSIT 07/1 84.30 236046 7/31/2013 007368 CHIEF SUPPLY CORPORATION, 138.65 7/2/2013 270295 PD- UNIFORM SHIRT & PANTS 138.65 236047 7/31/2013 012376 CITY ENERGY SYSTEMS, 4,221.23 5/1/2013 119440 CDHS- HOUSING REPAIR PROG. AG12 4,221.23 236048 7/31/2013 010360 CITY OF FEDERAL WAY, 673.87 7/24/2013 CK #1052 PD- BACKGRND INVEST. IN ST LOU[ 498.87 7/24/2013 CK #1052 PD- BACKGRND INVEST. IN ST LOU[ 175.00 236049 7/31/2013 003752 COASTWIDE SUPPLY DBA, 8,932.51 7/10/2013 T2562304 -1 PKM- JANITORIAL SUPPLIES 108.23 7/10/2013 T2567884 -1 PKM- JANITORIAL SUPPLIES 108.23 6/12/2013 T2553529 -1 PKM - JANITORIAL SUPPLIES 1,109.59 7/3/2013 T2567884 PKM- JANITORIAL SUPPLIES 548.88 6/18/2013 T2562727 CHB- JANITORIAL SUPPLIES 444.90 7/3/2013 T2567885 CHB- JANITORIAL SUPPLIES 1,385.83 5/22/2013 W2552331 -2 FWCC- JANITORIAL SUPPLIES 25.72 6/4/2013 VV2558054 FWCC- JANITORIAL SUPPLIES 1,986.38 6/12/2013 W2561007 FWCC- JANITORIAL SUPPLIES 749.13 7/2/2013 W2567424 FWCC - JANITORIAL SUPPLIES 966.47 6/25/2013 W2564964 FWCC- JANITORIAL SUPPLIES 1,499.15 236050 7/31/2013 014944 COATS, ROBERT 22.70 7/15/2013 1315292 PRCS- REFUND CHANGE TO SILVER S 22.70 236051 7131/2013 001969 CODE PUBLISHING COMPANY INC, 1,308.53 7/15/2013 44051 HRCK- CODIFICATION SERVICES 1,308.53 236052 7/31/2013 014920 COLUMBIASTATE BANK, 15,609.43 7/25/2013 AG 13-102 #2 PWST -21ST @ 336TH IMPROVEMENT 15,609.43 7/25/2013 AG 13-102 #2 PWST -21ST @ 336TH IMPROVEMENT - 15,609.43 7/25/2013 AG 13-102 #2 PWST -21ST @ 336TH IMPROVEMENT 15,609.43 236053 7/31/2013 007591 COMMERCIAL SPACE ONLINE INC, 100.00 7/1/2013 80104 CD -07/13 PROPERTY DATABASE SVC 100.00 236054 7/31/2013 014937 CONNELL DESIGN GROUP, 338.58 7/15/2013 13- 102949 REFUND CD -13- 102949 REFUND PERMIT CAN 245.50 7/15/2013 13- 102949 REFUND CD-13-102949 REFUND PERMIT CAN 93.08 236055 7/31/2013 000721 CORLISS RESOURCES INC, 2,075.43 6/25/2013 375333 PWST- CONCRETE SUPPLIES 575.32 6/14/2013 373581 PWST- CONCRETE SUPPLIES 388.73 6/27/2013 375556 PWST- CONCRETE SUPPLIES 564.97 7/2/2013 376268 PWST- CONCRETE SUPPLIES 513.56 6/24/2013 375228 PWST- CONCRETE SUPPLIES 32.85 236056 7/31/2013 004084 COUNTRY GREEN TURF FARMS, 383.40 7/17/2013 278480 PKM- PREMIUM BLEND TURF 38140 236057 7/31/2013 012359 COUNTY OF LOS ANGELES, 65.00 7/5/2013 13064 FWCC- ENVIRONMENT HEALTH PERMIT 65.00 236058 7/31/2013 011096 COURTSPORTS INC, 985.50 7/7/2013 1706 DBC- REFINISH REHEARSAL ROOM FL 985.50 236059 7/31/2013 008766 CRYSTAL CARPET CARE, 381.00 Key Bank Page 4 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/2/2013 7213 DBC- CARPET CLEANING SVC 381 00 236060 7/31/2013 009505 D & L SUPPLY AND MFG., INC, 45.92 6/25/2013 287338 PKM -ZURN AIR FILTER 45.92 236061 7/31/2013 000854 D J TROPHY, 10.95 7/16/2013 236793 PW -NAME BADGE 10.95 236062 7/31/2013 000168 DAILY JOURNAL OF COMMERCE INC, 839.80 6/29/2013 3277072 SWM -RFB 13 -107 LEGAL NOTICE 839.80 236063 7/31/2013 011580 DANIELS, KIM 125.00 7/15/2013 1315288 PRCS- REFUND DAMAGE DEPOSIT RWB 125.00 236064 7/31/2013 014787 DAVID O DEFENSE PLLC, 1,312.50 7/1/2013 3 MO- CONFLICT DEFENDER SVCAGI3- 1,312.50 236065 7/31/2013 014942 DEAN, THOMAS 160.00 7/15/2013 1315290 PRCS- REFUND BALLROOM DANCE 201 160.00 236066 7/31/2013 008039 DMX MUSIC, 66.18 7/1/2013 50570369 IT -07/13 ALL DIGITAL MUSIC 66.18 236067 7/31/2013 005341 DODD, ESCOLASTICA ROSA 550.00 7/16/2013 07/16/13 MC- INTERPRETER SVC 112.50 7/19/2013 07119/13 MC- INTERPRETER SVC 137.50 7/9/2013 07/09/13 MC- INTERPRETER SVC 162.50 7/23/2013 07/23/13 MC- INTERPRETER SVC 137.50 236068 7/31/2013 000570 EAGLE TIRE & AUTOMOTIVE (DBA), 1,912,39 7/20/2013 1 -3506 PWFLT -OL F 55.79 7/20/2013 1 -3510 PWFLT -OL F 55.79 7/20/2013 1 -3511 PWFLT -OLF 48.13 7/20/2013 1 -3522 PWFLT- BRAKES, ROTORS 254.93 7/6/2013 1 -3277 PWFLT -O L F 44.84 7/6/2013 1 -3278 PWFLT -OLF, LIGHT BULBS, WIPERS 71.49 7/6/2013 1 -3279 PWFLT -O L F 44.84 7/6/2013 1 -3280 PWFLT -OLF 44.85 7/6/2013 1 -3295 PWFLT- BRAKES, ROTORS, CALIPERS 414.41 7/13/2013 1 -3398 PWFLT -OLF 55.79 7/13/2013 1 -3399 PWFLT -OLF 48.13 7/13/2013 1 -3400 PWFLT -OLF 55.79 7/18/2013 1 -3472 PWFLT - BLOWER MOTOR 271.92 6/17/2013 1 -2994 PWFLT -FLAT REPAIR 16.43 5/31/2013 1 -2762 PWFLT -OLF 56.88 6/18/2013 1 -2997 PWFLT -OLF, AIR FILTER, WIPER B 64.66 6/18/2013 1 -3019 PWFLT - DIAGNOSISABS LIGHT, BRA 307.72 236069 7/31/2013 007299 EARTHCORPS, 793.50 5/31/2013 3988 PKM -URBAN FORESTY SVCSAGI3 -05 79150 236070 7/31/2013 012666 EDD, DALE 175.00 7/23/2013 JULY 20, 2013 PRCS - FIRSTAID /CPR CLASSESAGI 175.00 236071 7/31/2013 011960 EGAL, SAFIA 100.00 7/19/2013 07/19/13 MC- INTERPRETER SVC 100.00 236072 7/31/2013 000328 ERNIE'S FUEL STOPS (DBA), 1,629.64 7/15/2013 0403943 PWFLT- 07/01/13 - 07/15/13 VEHICL 1,061.50 7/15/2013 0403943 PWFLT - 07/01/13- 07/15/13 FUEL -34.36 7/15/2013 0403944 PD- 07/01/13- 07/15/13 VEHICLE F 665.66 7/15/2013 0403944 PD- 07/01/13 - 07/15/13 VEHICLE F -40.28 7/1512013 0403944 PD- 07/01/13- 07/15/13 FUEL CRED -22.88 236073 7/31/2013 002227 ETTINGER, ROBERT 100.00 7/25/2013 ETTINGER 2013 DBC- MEDICAL DEDUCTIBLE ETTINGE 100.00 236074 7/31/2013 014936 EVERGREEN STATE ELECTRIC INC, 32.40 7/15/2013 13- 102709 REFUND CD- REFUND PERMIT CANCELLED 32.40 236075 7/31/2013 001748 EVERSON'S ECONO -VAC INC, 3,482.84 6/30/2013 071279 SWM- VACTOR SVC 3,482.84 236076 7131/2013 007137 EVIDENT CRIME SCENE PRODUCTS, 459.50 6/28/2013 77790B PD -CIS CAMERA FILTER 37.00 6/25/2013 77790A PD- EVIDENCE COLLECTION SUPPLIE 422.50 236077 7/31/2013 011726 EWING IRRIGATION PRODUCTS, INC, 3,441.49 6/14/2013 6533070 PKM- MARKING CHALK 41132 6/26/2013 6602424 PKM- RATCHET FOR IRRIGATION PAR 97.07 Key Bank Page 5 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 6/10/2013 6501016 PKM- FERTILIZER 1,756.56 6/27/2013 6609804 PKM- ATHLETIC MARKING CHALK 410.64 6/24/2013 6586225 PKM - 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SPLASH & DASH BUS SVC 1,198.00 7/9/2013 229 -C- 054044 PRCS -STARS & STRIPES BUS SVC 1,84320 236084 7/31/2013 010649 FIX, TAMARA 100.00 7/25/2013 FIX 2013 CD- MEDICAL DEDUCTIBLE T FIX 100.00 236085 7/31/2013 008860 FOOD SERVICES OF AMERICA, 2,855.62 7/5/2013 4862408 DBC- CATERING SUPPLIES 1,269.56 7/5/2013 4862408 DBC- CATERING SUPPLIES 115.71 7/8/2013 4857608 DBC- CATERING SUPPLIES 85.64 7/8/2013 4867247 DBC- CATERING SUPPLIES 156.95 7/9/2013 4870660 DBC- CATERING SUPPLIES 719.33 7/10/2013 4873793 DBC- CATERING SUPPLIES 238.57 7/18/2013 4894023 DBC- CATERING SUPPLIES 269.86 236086 7/31/2013 012493 FROULAALARM SYSTEMS INC, 741.86 6/25/2013 114218 FWCC- SPRINKLER CONFIDENCE TEST 741.86 236087 7/31/2013 009242 FSH COMMUNICATIONS LLC, 80.00 7/1/2013 000620966 IT -07/13 FSH PAYPHONE SVCS 80.00 236088 7/31/2013 007404 FULLER, MICHELLE M 120.00 7/19/2013 07/19/13 MC- INTERPRETER SVC 120.00 236089 7/31/2013 004566 G &M HONEST PERFORMANCE, 76.65 5/2/2013 00010165405 PWFLT- GREASE FOR BACK HOE 76.65 236090 7/31/2013 013377 GOLDEN WOOD, LLP, 9,622.50 5/30/2013 67 MO- CONFLICT DEFENDER SVC- 4,672.50 7/8/2013 70 MO- CONFLICT DEFENDER SVC- 4,950.00 236091 7/31/2013 002547 GRAINGER INC, .2,864.28 7/10/2013 9188079488 FWCC - MAINT SUPPLIES 76.33 7/11/2013 9188866967 FWCC- IMPACT DRIVER SET 45.13 5/30/2013 9155152193 FWCC- MECHANICS DRILLS 9.03 6/5/2013 9159580530 FWCC - LINEAR LAMP 392.10 6/5/2013 9159821512 FWCC -MINI LAMP 7.19 6/3/2013 9156421852 FWCC-COMBI NATION WRENCH 10.85 6/4/2013 9157919144 FWCC -HEX KEY 5.54 6/4/2013 9158226630 FWCC -SCOOP LADLE 38.93 6/4/2013 9158226648 FWCC- GLOVES, HEX KEY 32.51 6/4/2013 9158618828 FWCC- DIPPER BREAKER 40.91 Key Bank Page 6 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 6/25/2013 9176764364 FWCC - SAFETY RELIEF VALVE 53172 6/18/2013 9170096144 FWCC - HALIDE LAMP, BATTERIES 287.94 6/11/2013 9165077091 FWCC- SANDING SHEET 19.70 6/11/2013 9165115917 FWCC- OSCILLATING TOOL KIT 392.18 6/20/2013 9172807001 FWCC- BALLAST KIT 513.18 6/20/2013 9173072696 FWCC - HALIDE LAMP 128.51 6/19/2013 9171357172 FWCC -GRAB BARS 52.17 6/21/2013 9174100264 PKM- BATTERIES, MARKING PAINT 98.40 6/24/2013 9175539619 PKM- RETURN CORE BIT - 206.27 6/11/2013 9164906399 PKM -CORE BIT 206.27 7/8/2013 9185703759 PKM - STRAPPING BUCKLE & BANDS 179.96 236092 7/31/2013 010738 GREEN EFFECTS, INC, 4,918.13 7/1/2013 42003 FWCC -06/13 LANDSCAPINGAG08 -06 2,186.28 6/3/2013 41639 FWCC -05/13 LANDSCAPINGAG08 -06 2,731.85 236093 7/31/2013 000671 H D FOWLER COMPANY, 343.54 6/27/2013 13406366 PKM- IRRIGATION COUPLINGS 343.54 236094 7/31/2013 003841 HEAD - QUARTERS PTS, 438.50 6/30/2013 3381 -5 PKM - SANICAN SVCAGI2 -014- 438.50 236095 7/31/2013 010431 HERRERA, MATT 100.00 7/23/2013 HERRERA2013 CD- MEDICAL DEDUCTIBLE HERRERA 100.00 236096 7/31/2013 014945 HONG, JUNHEE 240.00 7/9/2013 1311480 PRCS- REFUND CAMP FEE 07/8/13 39.00 7/9/2013 1311481 PRCS- REFUND CAMP FEE 07/08/13 201.00 236097 7/31/2013 014752 HUNTER, KIM E 437.50 7/5/2013 129 MO- CONFLICT DEFENDER SVCAGI3- 437.50 236098 7/31/2013 003256 HURLEY ENGINEERING COMPANY, 601.88 6/20/2013 33921 FWCC -PACO SLEEVE KIT 601.88 236099 7/31/2013 012846 IMS INFRASTRUCTURE, 1,453.75 7/15/2013 12512 -4 PWST- PAVEMENT DISTRESS SURVEY 1,453.75 236100 7/31/2013 011863 INTELLIGENT PRODUCTS INC, 1,714.54 6/25/2013 160797A PKM -PET WASTE DISPOSAL BAGS 1,714.54 236101 7/31/2013 007109 INTERCOM LANGUAGE SVCS, 1,340.00 7/10/2013 13 -144 MC- INTERPRETER SVC 1,340.00 236102 7/31/2013 011659 JACKSON, KILE RAY 600.00 7/17/2013 JULY 17, 2013 PRCS- SUMMER SOUNDS CONCERT SER 600.00 236103 7/31/2013 011471 JANSSEN, FUMI O. 100.00 7/19/2013 07/19/13 MC- INTERPRETER SVC 100.00 236104 7/31/2013 000718 JENNINGS EQUIPMENT INC, 1,215.06 6/27/2013 42188 PWFLT -BROOM & SPRINGTINE 1,215.06 236105 7/31/2013 009717 JET CITY LABEL, 54.54 7/15/2013 46650 PD -BLACK WAX RIBBON FOR PRINTE 54.54 236106 7/31/2013 012966 JGM TECHNICAL SERVICES INC, 881.53 7/18/2013 1544 PD- REPLACE GFI 881.53 236107 7/31/2013 005656 JIM'S DETAIL SHOP, 82.13 7/212013 14412F PD- VEHICLE CLEANING SVC 82.13 236108 7/31/2013 012611 JOHN'S CLEANING SERVICES INC, 1,05722 6/29/2013 1142 PD -DRY CLEANING SVC AG11 -001- 1,057.22 236109 7/31/2013 011736 KIM, CHUL JOON 500.00 7/23/2013 07/23/13 MC- INTERPRETER SVC 100.00 7/19/2013 07/19/13 MC- INTERPRETER SVC 100.00 7/13/2013 07/16/13 MC- INTERPRETER SVC 100.00 7/9/2013 07/09/13 MC- INTERPRETER SVC 100.00 7/18/2013 07/18/13 MC- INTERPRETER SVC 100.00 236110 7/31/2013 006222 KIM, RICHARD 500.00 7/17/2013 KIM 2013 PD- CLOTHING ALLOW R KIM 500.00 236111 7/31/2013 011737 KIMMEL ATHLETIC SUPPLY CO. INC, 2,330.16 4/29/2013 0404848 -IN PRCS- SOFTBALLS 2,330.16 236112 7/31/2013 000125 KING COUNTY FINANCE DIVISION, 52,520.87 7/1/2013 2016320 PWST- 07/13 -12/13 DEICER STORAG 600.00 5/31/2013 23813 -23820 PWST -05/13 DISC INV.2013 OVERL 294.32 5/13/2013 23998 -24002 RM -05/13 KC DISC. WIRE THEFT, 4,567.56 5/31/2013 23813 -23820 PWST -05/13 DISC INV 21STAVE 1,444.95 Key Bank Page 7 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 5/31/2013 23813 -23820 PWST -05113 DISC INV 320TH @ 2 234.38 6/28/2013 11001179 IT -06/13 NET SVCSAGI1 -111 - 103.50 5/31/2013 23813 -23820 PWTR -05/13 DISC INV TRFFC- 2,259.71 5/31/2013 23813 -23820 PWTR -05/13 DISC INV.NTS /SCHOOL 223.15 5/31/2013 23941 -23997 PWTR -05/13 BSC SIGN /MRKNGS MTN 33,954.80 5/31/2013 23813 -23820 PWTR -05/13 DISC INV. FYA 4,524.60 5/13/2013 23998 -24002 RM -05/13 KC DISC. WIRE THEFT, 2,967.88 6/28/2013 11001179 IT -06/13 NETSVCSAG11 -111 - 258.75 4/30/2013 22567 -22567 DBC -RSD SIGNS 62.94 6/28/2013 11001179 IT -06/13 NET SVCSAG11-111 - 258.75 5/31/2013 23813 -23820 PWST -05/13 DISC INV. 320TH @ 1 351.58 6/28/2013 11001179 IT -06/13 NET SVCSAGII -111 - 414.00 236113 7/31/2013 000376 KING COUNTY FINANCE DIVISION, 15,907.76 7/8/2013 SWIM FEES #2013 -1 PW -SWM UTILITY BILLINGS PERPET 15,907.76 236114 7/31/2013 014740 KOINANGE, JANE 125.00 7/2312013 07/23/13 MC- INTERPRETER SVC 125.00 236115 7/31/2013 007278 KRUSEY, K.C. (CASEY) 150.00 7/24/2013 KRUSEY 2013 PD- INVESTIGATIONS IN LAS VEGAS 150.00 236116 7/31/2013 001160 KUKER - RANKEN INC, 15.26 7/8/2013 393328 -001 SWM- LUFKIN TAPE POWER RETURN 25.16 7/8/2013 393331 -001 SWM- KOMELON POWER TAPE 15.26 7/8/2013 393341 -001 SWM- RETURN LUFKIN TAPE POWER R -25.16 236117 7/31/2013 001456 KUSTOM SIGNALS INC, 8,357.04 4/2912013 480389 PD- PROLASER 4 & HOLSTER WTSC G 8,357.04 236118 7/31/2013 000096 LAKEHAVEN UTILITY DISTRICT, 30,578.20 7/8/2013 3461301 FWCC- 03/25- 05/22/13 876 S 333R 3,261.78 7/8/2013 3461301 FWCC- 03/25- 05/22/13 876 S 333R 5,491.77 7/8/2013 3474201 FWCC- 03/25- 05122/13 876 S 333R 22.60 7/812013 3474301 FWCC- 03/25- 05/22/13 876 S 333R 12.04 718/2013 2961401 PWST- 03/20- 05/21/13 34727 PAC 22.60 7/8/2013 3238401 PWST- 03120- 05/21/13 32001 PAC 96.74 7/8/2013 3336201 PWST- 03/20- 05121/13 32409 PAC 22.60 7/8/2013 3336301 PWST- 03/21- 05121/13 32402 PAC 22.60 7/8/2013 3383601 PWST- 03/20- 05/20/13 33300 PAC 173.48 7/8/2013 3383701 PWST- 03/21- 05120/13 32500 PAC 209.51 7/8/2013 3513001 PWST - 03/20- 05/20/13 33647 20TH 22.60 7/8/2013 3518001 PWST- 03/25- 05/22/13 35205 PAC 134.80 718/2013 3541001 PWST- 03/20- 05/21/13 930 348TH 22.60 7/812013 3552401 PWST- 03/25- 05/22/13 35503 PAC 57.76 7/8/2013 3563701 PWST- 03/25- 05/22/13 101 S 348T 22.60 7/8/2013 2913103 CH B-03/25-05/22/13 33325 8TH A 671.28 7/8/2013 2913103 CHB- 03/25- 05/22/13 33325 8TH A 380.46 7/8/2013 2922203 PKM- 03/25- 05/22/13 33325 8TH A 12.04 7/8/2013 2922503 PKM- 03/25- 05/22/13 33325 8TH A 96.74 7/8/2013 3405101 CHB- 03/25- 05/22/13 600 S 333RD 49.94 7/8/2013 3405101 CHB- 03/25- 05/22/13 600 S 333RD 25.82 7/8/2013 3568201 SWM- 03/25- 05/22/13 1026 S 351S 89.92 7/8/2013 2926402 PKM- 03/26- 05/22/13 33914 19TH 181.00 7/8/2013 2926402 PKM- 03/26- 05/22/13 33914 19TH 53.60 7/8/2013 2926501 PKM- 03/26- 05/22/13 33914 19TH 226.76 7/8/2013 2926501 PKM- 03/26- 05/22/13 33914 19TH 82.80 7/8/2013 3266301 PKM- 03/25- 05/22/13 1540 SW 356 22.60 7/8/2013 3499201 PKM- 03/20- 05/20/13 2220 S 333R 22.60 7/8/2013 99902 PKM- 03/25- 05/22/13 411 348TH S 22.60 7/8/2013 101103 PKM- 03/25- 05/22/13 630 356TH S 22.60 718/2013 2573402 PKM- 03125- 05/22/13 34800 14 PL 22.60 7/17/2013 2798301 PKM- 03/26- 05/24/13 32800 14TH 22.60 7/17/2013 2830801 PKM- 03/27- 05/29/13 2700 340TH 89.26 7/17/2013 2781401 PKM- 03/28- 05/29/13 2501 349TH 22.60 7/8/2013 2957001 PKM - 03/20- 05/21/13 1095 324TH 22.60 7/8/2013 3050801 PKM- 03/22- 05/21/13 1095 324TH 17,720.06 7/8/2013 3075201 PKM- 03/20- 05/21/13 1095 324TH 338.42 7/8/2013 3075201 PKM- 03/20- 05/21/13 1095 324TH 238.94 Key Bank Page 8 of 35 Check No Date Vendor Inv Date Invoice Description Amount Check Total 7/8/2013 3075301 PKM- 03/21- 05121/13 1095 324TH 166.38 7/8/2013 3075301 PKM- 03/21- 05/21/13 1095 324TH 45.66 7/8/2013 3075401 PKM- 03/20- 05/21/13 1095 324TH 218.74 7/8/2013 3075401 PKM- 03/20- 05/21/13 1095 324TH 113.50 236119 7/31/2013 011908 LARSEN SIGN CO., 262.56 6/20/2013 15686 PD- VEHICLE GRAPHICS 262.56 236120 7/31/2013 004052 LEED, 735.52 7/16/2013 06261301 PD- WEAPON LIGHT 157.63 7/16/2013 7161307 PD -OC GAS FOR SWAT TEAM 429.02 7/3/2013 7031301 PD- STREAMLIGHT 148.87 236121 7/31/2013 003157 LES SCHWAB TIRE CTRS OF WA INC, 1,410.25 6/27/2013 37800080104 PWFLT -MOWER TIRES 293.82 6/21/2013 37800079389 PWFLT -ATV TIRES 1,116.43 236122 7/31/2013 013498 LEXISNEXIS, 315.36 6/30/2013 1306469579 IT /LAW -06/13 WEST LAW SVC 315.36 236123 7/31/2013 011909 LEXISNEXIS RISK, 242.49 6/30/2013 1470204 - 20130630 PD -06/13 LEXIS NEXIS SVC 121.24 6/3012013 1470204- 20130630 PD -06/13 LEXIS NEXIS SVC 121.25 236124 7/31/2013 011063 LIFELINE SCREENING, 15000 7/9/2013 39789 DBC- REFUND RENTAL DEPOSIT 07/1 150.00 236125 7/31/2013 007985 LINCOLN EQUIPMENT INC, 123.78 6/22/2013 S1216518 FWCC- DIVING BOARD REPAIR PARTS 123.78 236126 7/31/2013 000630 LLOYD ENTERPRISES INC, 1,729.76 6/13/2013 170822 PKM- DEBRIS REMOVAL SVC 21.90 6/24/2013 171118 PWST- DEBRIS REMOVAL SVC 913.62 6/24/2013 171129 PWST- DEBRIS REMOVAL SVC 65.04 6/2412013 171129 PWST - CRUSHED GRAVEL 139.07 6/27/2013 171184 PWST - DEBRIS REMOVAL SVC 21.90 7/2/2013 171341 PRCS -RWB SAND 568.23 236127 7/31/2013 014669 LORAX PARTNERS LLC, 223,750.00 7/18/2013 FW -05 CDED -PACC DESIGN SVC AG I3 -095- 223,750.00 236128 7/31/2013 005339 LOWE'S HIW INC, 499.89 7110/2013 09808 PKM- MAINT. SUPPLIES - MISC 48.82 7/3/2013 02448 PRCS -RWB - STAKES 77.20 6/18/2013 02590 PKM -MISC REPAIR SUPPLIES 135.27 7/2/2013 02308 PKM- SHUTOFF CONNECTOR 16.62 6/25/2013 01159 PKM- PAINT, MIRACLE GRO 221.98 236129 7/31/2013 014579 M.A.D. CONSTRUCTION, LLC, 2,862.33 6/26/2013 13 -912 CDHS- HOUSING REPAIR PROG. AG12 2,862.33 236130 7/31/2013 001004 MAILMEDIA DBA IMMEDIA, 5,642.68 6/25/2013 64201PA PRCS- POSTAGE FOR FALL 2013 REC 5,642.68 236131 7/31/2013 011938 MAIPI, XAVIER 137.50 7/16/2013 07/16/13 MC- INTERPRETER SVC 137.50 236132 7/31/2013 004182 MCDONOUGH & SONS INC, 942.83 7/8/2013 188522 PRCS -RWB PARKING LOT CLEANING 302.22 6/18/2013 188100 PKM - PARKING LOTCLEANINGAGI3- 449.64 7/10/2013 188293 PKM - PARKING LOT CLEANINGAGI3- 190.97 236133 7/31/2013 010256 MCMASTER -CARR, 393.69 6/24/2013 54239040 FWCC -COAT HANGERS, HOSE NOZZLE 39.00 6/3/2013 52954503 FWCC- THERMOSTAT, HALOGEN BULB 313.41 7/8/2013 54906950 FWCC- GRIPPING RETRIEVERS 41.28 236134 7/31/2013 005176 MERINO STRAWS, BETTY 150.00 7/23/2013 07/23/13 MC- INTERPRETER SVC 150.00 236135 7131/2013 001793 MICROFLEX INC, 1,34443 7/1/2013 00021357 IT- TAXTOOLS 07/13 -06/14 SUPPOR 1,280.69 7/16/2013 00021393 FI -06/13 TAX AUDIT PROG. 63.74 236136 7/31/2013 003170 MODERN SECURITY SYSTEMS INC, 114.81 6/25/2013 52774 PKM- 07/13 -09/13 FIRE MONITOR S 114.81 236137 7/31/2013 008029 MONTES DE OCA RICKS, MARIA 187.50 7/9/2013 07/09/13 MC- INTERPRETER SVC 187.50 236138 7/31/2013 012408 MT VIEW LOCATING SERVICES LLC, 24000 7/15/2013 17149 PKM -POWER LINE LOCATING SVC 240.00 Key Bank Page 9 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236139 7/31/2013 005535 MULKEY, JOHN 200.00 7/9/2013 MULKEY 2013 PWST- MEDICAL DEDUCTIBLE MULKEY 200.00 236140 7/31/2013 011712 MULTI BAG IMPORTS INC, 995.00 6/27/2013 050568 SWR -TOTE BAG PLATES 995.00 236141 7/31/2013 011582 MURPHY, GREG 125.00 7/15/2013 1315286 PRCS- REFUND DAMAGE DEPOSIT RWB 125.00 236142 7/31/2013 004419 MUSCO SPORTS LIGHTING LLC, 1,401.02 6/26/2013 248777 PKM -PARK LIGHTING 1,401.02 236143 7131/2013 003868 NATIONAL BARRICADE COMPANY INC, 1,938.30 6/27/2013 247370 PWFLT- REPAIR VMS BOARD 217.91 6/27/2013 247371 PWFLT - REPAIR VMS BOARD 371.41 6/30/2013 247621 PWST- REPAIR VMS BOARD 750.15 5/31/2013 247102 PWFLT- REPAIR VMS BOARD 598.83 236144 7/31/2013 014941 NAVA,ISAI 125.00 7/15/2013 1315287 PRCS- REFUND DAMAGE DEPOSIT RWB 125.00 236145 7/31/2013 008904 NAZARCO, TATIANA 165.28 7/17/2013 07/17/13 MC- INTERPRETER SVC 165.28 236146 7/31/2013 003566 NEAL, STEPHAN C 100.00 7/16/2013 NEAL 2013 PD- MEDICAL DEDUCTIBLE S NEAL 100.00 236147 7/31/2013 000043 NEW LUMBER & HARDWARE COMPANY, 514.31 7/18/2013 273525 PWST- CONCRETE MIX 38.76 7/18/2013 273526 PWST- CONCRETE MIX 6.46 7/15/2013 273439 PWST -PAINT 6.14 6/2512013 272997 SWM -AIR FITTINGS 8.85 6/28/2013 273080 SWM- SILICONE, SCREWS /BOLTS 7.53 4/26/2013 271669 SWM -SIGN POST 10.94 7/17/2013 273484 PWST -PVC PIPE 11.79 7/17/2013 273489 PWST -WOOD DOWEL POPLAR 42.42 7116/2013 273447 SWM -SPRAY PAINT 20.66 7/16/2013 273455 SWM- EARMUFFS 39.40 7/16/2013 273462 SWM- HAMMERS 43.34 7/2/2013 273154 PKM- LUMBER 98.21 7/8/2013 273252 PKM- PRIMER 20.79 7/17/2013 273488 PKM -LAWN RAKES 17.72 7/8/2013 273256 PKM -PVC GLOVE 13.78 6/19/2013 272850 PKM -DRILL BIT 24.63 6/19/2013 K72866 PKM -MISC SCREWS /BOLTS 7.46 7/10/2013 273327 PKM -GALV. PAILS 23.65 6/25/2013 272998 PKM- HORNET SPRAY 13.07 6/21/2013 272914 PKM- CONNECTORS 18.71 7/3/2013 273206 PKM -MOTOR OIL 8.30 7/7/2013 273247 PKM -MISC REPAIR MATERIAL 9.44 7/15/2013 273440 SWM- PROPANE LIGHTER 6.88 7/19/2013 273555 PWST -SPRAY PAINT, SCREWS /BOLTS 15.38 236148 7/31/2013 014875 NEW TECH SOLUTIONS, 46,684.64 7/11/2013 131213 IT -PD VLN103 GETAC V200- 44,710.88 7/11/2013 131213 IT -PD 12 -32VDC VEHICLES ADPAPT 1,973.76 236149 7/31/2013 005493 NORTHWEST EMBROIDERY INC, 21.88 7/18/2013 80411 PD- EMBROIDERY SVC - GREGORY 21.88 236150 7/31/2013 011751 NOW ENVIRONMENTAL SERVICES INC, 1,960.00 7/24/2013 N13 -0213 PWST- PRE - DEMOLITION HAZMAT INS 760.00 7/24/2013 N13 -0213 PWST- PRE - DEMOLITION ACM TESTIN 525.00 7/24/2013 N13 -0213 PWST- PRE - DEMOLITION TCLP FOR L 675.00 236151 7/31/2013 014933 NW EQUIPMENT SALES INC, 240.90 7/11/2013 1307006 PKM - TRANSPORT BOOM TO PARK 240.90 236152 7/31/2013 012559 OLBRECHTS &ASSOCIATES, PLLC, 833.00 7/5/2013 JULY 5, 2013 HRCK- HEARING EXAMINER SVCAG11 833.00 236153 7/31/2013 004292 OLYMPIC SECURITY SERVICES INC, 4,31120 6/30/2013 SI +0027173 MC -06/13 COURT SECURITYAG09 -1 4,311.20 236154 7/31/2013 014948 OMSBERG, LESLIE 44.00 7/18/2013 0991300071040 MC -RED LIGHT PHOTO REFUND OMSB 44.00 236155 7/31/2013 007444 ORCA PACIFIC INC, 5,956.24 Key Bank Page 10 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/12/2013 4100 FWCC -POOL CHEMICAL SVC AG1 3-00 874.44 5/30/2013 3064 FWCC -POOL CHEMICAL SVC AG1 3-00 654.13 11/9/2012 92 FWCC -POOL CHEMICALS SVC AG1 0 -1 486.88 6/10/2013 3300 FWCC -POOL CHEMICAL SVC AG1 3-00 862.32 6/24/2013 3683 FWCC -POOL CHEMICAL SVC AG1 3 -00 566.52 6/19/2013 3506 FWCC -POOL CHEMICAL SVC AG1 3 -00 1,184.15 7/2/2013 3837 FWCC -POOL CHEMICAL SVC AG1 3-00 1,327.80 236156 7/31/2013 009920 OSAKA GARDEN SERVICE, 1,180.42 7/1/2013 31900 PKM -07/13 LANDSCAPE MAINT AG1 774.17 7/1/2013 31899 PKM -07/13 LANDSCAPE MAINT. AG1 406.25 236157 7/31/2013 007248 OTTO, JEFFERY 150.00 7/24/2013 OTTO 2013 PD- INVESTIGATIONS IN LAS VEGAS 150.00 236158 7/31/2013 014938 PACHECO, EDITH 25.00 7/9/2013 03 -77596 REFUND PD -NON RESIDENT PET LICENSE RE 25.00 236159 7131/2013 006440 PAPE MACHINERY INC, 1,157.85 7/11/2013 2324357 PWFLT- OLF,START SWITCH 1,157.85 236160 7/31/2013 006440 PAPE MACHINERY INC, 52.65 6/24/2013 7052234 PWFLT- COUPLER 52.65 236161 7/31/2013 000885 PARKER PAINT MANUFACTURING CO, 4447 7/15/2013 022020428 CD -PAINT SUPPLIES 44.47 236162 7/31/2013 006656 PETCO ANIMAL SUPPLIES INC, 43.79 7/5/2013 OA049103 PD -DOG FOOD 43.79 236163 7/31/2013 011624 PETTY CASH - DBC, 145.93 7/22/2013 DBC- 07/22/13 DBC - MILEAGE BEN VAHDATI 73.45 7/22/2013 DBC- 07/22/13 DBC - MILEAGE BEN VAHDATI 22.60 7/22/2013 DBC - 07/22/13 DBC - MILEAGE BEN VAHDATI 45.20 7/22/2013 DBC- 07/22/13 DBC - MILEAGE JUDY FERGUSON 4.68 236164 7/31/2013 001166 PETTY CASH -FWCC, 394.56 7/23/2013 FWCC- 07/23/13 FWCC -MISC. CLIMBING WALL NEEDS 10.16 7/23/2013 FWCC- 07/23113 FWCC - BATTERIES FOR STOP WATCHE 3.83 7/23/2013 FWCC- 07/23/13 FWCC -QUICK LINKS TO HANG AUTO 17.43 7/23/2013 FWCC- 07/23/13 FWCC -MISC. CLIMBING WALL SUPPL 15.83 7/23/2013 FWCC- 07/23/13 PRCS- SHUTTLE CLEANING 30.00 7/23/2013 FWCC- 07/23/13 PRCS- 04/13- 06/18/13 REIMB LUSE 53.87 7/23/2013 FWCC- 07/23/13 PRCS- PARKING FOR WILD WAVES SU 20.00 7/23/2013 FWCC- 07/23/13 PRCS -BOOKS FOR PRESCHOOL 10.95 7/23/2013 FWCC- 07/23/13 PRCS -PAINT - FRIENDSHIP THEATR 25.63 7/23/2013 FWCC- 07/23/13 PRCS -WOOD & ROLLERS FOR FRIEND 40.29 7/23/2013 FWCC- 07/23/13 PRCS- ROLLERS & PUTTY FOR FRIEN 14.19 7/23/2013 FWCC- 07/23/13 PRCS -MEN'S SHIRTS, TIE, HAT FO 5.22 7/23/2013 FWCC- 07/23/13 PRCS -FOOD FOR STUDENT ART SHOW 17.99 7/23/2013 FWCC- 07/23/13 PRCS - PRESCHOOL CLASS SUPPLIES 27.34 7/23/2013 FWCC- 07/23/13 PRCS- PRESCHOOL SUPPLIES 9.81 7/23/2013 FWCC- 07/23/13 PRCS -REC INC CAMPING TRIP SUPP 40.38 7/23/2013 FWCC- 07/23/13 PRCS -ITEMS FOR CULTURES & CRAF 17.48 7/23/2013 FWCC - 07/23/13 PRCS - PRESCHOOL SUPPLIES 24.09 7/23/2013 FWCC- 07/23/13 PRCS - PRESCHOOL SUPPLIES 10.07 236165 7/31/2013 012392 PETTY CASH - KID'S DAY, 250.00 7/19/2013 AUGUST 7, 2013 PRCS -KID'S DAY CASH FUND 250.00 236166 7/31/2013 006241 PETTY CASH - POLICE DEPT, 207.37 7/25/2013 PD- 07/25/13 PD -GOATS MILK, KITTEN FORMULA- 14.84 7125/2013 PD- 07/25/13 PD- REPLACEMENT DAMAGED- 9.80 7/25/2013 PD- 07/25/13 PD- PARKING FEES FOR INVOLUNTAR 16.00 7/25/2013 PD- 07/25/13 PD -PAINT BALL MASK:SIMS /SWAT- 36.12 7/25/2013 PD- 07/25/13 PD- REPLACED WORN BIKE CLEATS- 24.08 7/25/2013 PD- 07/25/13 PD- VEHICLE MAINTENANCE- 6.53 7/25/2013 PD- 07/25/13 PD- UNIFORM BOOTALLOWANCE- 100.00 236167 7/31/2013 007059 PHELPSTIRE CO, 394.57 6/21/2013 824165 PWFLT -NEW TIRES, TIRE SERVICE 394.57 236168 7/31/2013 003537 PIERCE COUNTY SECURITY INC, 300.00 7/4/2013 260740 PKM -PARK CLOSING /SECURITYAGII 300.00 236169 7/31/2013 003537 PIERCE COUNTY SECURITY INC, 300.00 7/4/2013 260835 PKM -PARK CLOSING /SECURITYAGII 300.00 Key Bank Page 11 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236170 7/31/2013 003537 PIERCE COUNTY SECURITY INC, 175.00 7/4/2013 260881 PKM -PARK CLOSING /SECURITYAGII 175.00 236171 7/31/2013 003537 PIERCE COUNTY SECURITY INC, 150.00 7/4/2013 260949 PKM -PARK CLOSING /SECURITYAGII 150.00 236172 7/31/2013 003537 PIERCE COUNTY SECURITY INC, 150.00 7/4/2013 260884 PKM -PARK CLOSING /SECURITYAG11 150.00 236173 7/3112013 003537 PIERCE COUNTY SECURITY INC, 150.00 7/4/2013 260683 PKM -PARK CLOSING /SECURITYAG11 150.00 236174 7/31/2013 003537 PIERCE COUNTY SECURITY INC, 150.00 7/4/2013 260836 PKM -PARK CLOSING /SECURITYAG11 150.00 236175 7/31/2013 003537 PIERCE COUNTY SECURITY INC, 150.00 7/4/2013 260784 PKM -PARK CLOSING /SECURITYAG11 150.00 236176 7/31/2013 009791 PIRTEK KENT, 768.01 7/9/2013 S1781293.001 PWFLT - HYDRAULIC REPAIRS 554.63 7/11/2013 S1781998.001 PWFLT - HYDRAULIC REPAIRS 213.38 236177 7/31/2013 012915 PITNEY BOWES PRESORT SVC INC, 3,873.61 7/6/2013 3631967 FI -06/13 MAIL CARRIER & POSTAG 852.20 7/6/2013 3631967 FI -06/13 MAIL CARRIER & POSTAG 2,440.37 7/6/2013 3631967 FI -06/13 MAIL CARRIER & POSTAG 581.04 236178 7/31/2013 008305 PLANNED PARENTHOOD, 140.00 7/24/2013 39860 DBC- REFUND RENTAL DEPOSIT 06/1 140.00 236179 7/31/2013 000808 PLATT ELECTRIC SUPPLY, 1,535.44 7/9/2013 5242807 DBC- ELECTRICAL SUPPLIES 257.22 6/28/2013 5199357 CHB- ELECTRICAL SUPPLIES 458.97 6/28/2013 5199485 PKM- ELECTRICAL SUPPLIES 132.68 6/27/2013 5197744 CHB- ELECTRICAL SUPPLIES 269.98 6/27/2013 5199297 CHB- ELECTRICAL SUPPLIES - 212.16 6/17/2013 5123359 CHB- ELECTRICAL SUPPLIES 98.55 6/18/2013 5127407 CHB- ELECTRICAL SUPPLIES 69.64 6/21/2013 5139327 CHB- ELECTRICAL SUPPLIES 212.16 7/11/2013 5279730 CHB- ELECTRICAL SUPPLIES 118.60 6128/2013 5206817 PKM- ELECTRICAL SUPPLIES 129.80 236180 7/3112013 014940 PLUMBING EXPRESS SAGEWATER, 100.00 7/12/2013 13- 102375 REFUND CD- REFUND PERMIT CANCELLED 100.00 236181 7/31/2013 005583 PRAXAIR DISTRIBUTION INC, 24.24 6/20/2013 46413622 PKM - WELDING SUPPLIES 24.24 236182 7/31/2013 014935 PRIMA, 14000 7/18/2013 JULY 18, 2013 RM -1 YR SUBSCRIPTION - PUBLIC 140.00 236183 7/31/2013 014953 PRINTERY COMMUNICATIONS INC, 470.50 6/26/2013 130585 HR- BUSINESS CARDS 470.50 236184 7/31/2013 010845 PRIORITY PRINT MANAGEMENT INC, 2,917.93 6/28/2013 00032696 PRCS- THANKS TO SPONSORS BANNER 125.68 6/28/2013 00032710 SWM- PREVENT POLLUTION POSTERS 2,792.25 236185 7/31/2013 014244 PROCERT LLC, 539.00 7/13/2013 JULY 13, 2013 PRCS- BABYSITTING TRAINING CLAS 539.00 236186 7/31/2013 009960 PROFORCE LAW ENFORCEMENT, 8,201.29 6/27/2013 177962 PD- TASERS - 2012 JAG FUNDS 853.89 6/18/2013 177151 PD- TASERS - 2012 JAG FUNDS 3,661.68 7/10/2013 178767 PD- TASERS - 2012 JAG FUNDS 3,685.72 236187 7/31/2013 009363 PRO -TOW MAPLE VALLEY, 294.85 6/27/2013 116995 PD- VEHICLE TOW CASE 13 -08211 294.85 236188 7/31/2013 014437 PUBLIC SAFETY TESTING, 1,625.00 7/21/2013 2013 -5165 PD -02 2013 PUBLIC SAFETY TESTI 1,625.00 236189 7/31/2013 000051 PUGET SOUND ENERGY INC, 1,190.25 7/18/2013 300000001234 SWM -07/13 34016 9TH AVE FLOOD 48.17 6/5/2013 300000001978 PARKS -06/13 ELECTRICITY /GAS 521.96 7/17/2013 200006007922 PWTR -07113 106 SW CAMPUS DR- 59.07 7/17/2013 200006007922 PWTR -07/13 106 SW CAMPUS DR- 70.61 6/5/2013 300000001978 PARKS -06/13 ELECTRICITY /GAS 490.44 236190 7/31/2013 006394 QUADRANT CORPORATION, 1,536.87 7/15/2013 13- 102477 REFUND CD- REFUND PERMIT CANCELLED 1,536.87 236191 7/31/2013 008649 QUALITY WATER SERVICES, 131.18 Key Bank Page 12 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 6/30/2013 79326 PRCS - BOTTLE WATER SVC 65.59 5/31/2013 79047 FWCC - BOTTLE WATER SVC 65.59 236192 7/31/2013 001503 ROTO- ROOTER SERVICE CO, 854.10 7/12/2013 21717200424 PKM -CLEAN SEWER PIPE 854.10 236193 7/31/2013 012306 SAFARILAND, LLC, 1,801 05 6/27/2013 113- 085264 PD -CDU TEAM AMMO 1,801.05 236194 7/31/2013 005508 SAFAROVA- DOWNEY, ALM IRA 200.00 7/19/2013 07/19/13 MC- INTERPRETER SVC 100.00 7/9/2013 07/09/13 MC- INTERPRETER SVC 100.00 236195 7/31/2013 003726 SAFEWAY STORE #1555, 186.58 7/24/2013 2324831 PRCS -SILLY SNAZZY SPORTS SUPPL 90.12 7/8/2013 2324820 PRCS- COOKING CLASS SUPPLIES 38.07 7/11/2013 2324824 PRCS -OCEAN CITY CAMP SUPPLIES 58.39 236196 7/31/2013 014949 SAKGAV, DANIEL 3,608.22 7/17/2013 13 -01- 091 -782 RM- 13 -01- 091 -782 SALGAV 3,608.22 236197 7/31/2013 005417 SCARFF FORD, 21.86 7/19/2013 143120 PWFLT -NEW KEY 21.86 236198 7/31/2013 010182 SCHMIDT, DAVID 204.75 7/25/2013 SCHMIDT 2013 PRCS- ADMISSION FOR CHIHULY GLA 47.25 7/25/2013 SCHMIDT 2013 PRCS- ADMISSION FOR CHIHULY GLA 157.50 236199 7/31/2013 006657 SCI INFRASTRUCTURE LLC, 296,579.25 7/25/2013 AG 13-102 #2 PWST -21ST @ 336TH IMPROVEMENT 312,188.68 7/25/2013 AG 13-102 #2 PWST -21ST @ 336TH IMPROVEMENT - 15,609.43 236200 7/31/2013 012981 SCORE, 314,324.67 7/10/2013 392 PD -07/13 SCORE PRISONER LODGIN 186,166.67 7/10/2013 392 PD -07/13 SCORE PRISONER LODGIN 128,158.00 236201 7/31/2013 005582 SEATTLE TILTH ASSOCIATION, 125.00 5/8/2013 102408 SWR- BACKYARD CHICKEN PRESENTAT 125.00 236202 7131/2013 000351 SEATTLE TIMES, 36.00 5/29/2013 001239930 FWCC- NEWSPAPER SUBCRIPTION 16.00 7/3/2013 001248376 FWCC- NEWSPAPER SUBCRIPTION 20.00 236203 7/31/2013 005539 SEMISI- TUPOU, VAIVAO 100.00 7/2/2013 07/02/13 MC- INTERPRETER SVC 100.00 236204 7/31/2013 001480 SHERWIN- WILLIAMS CO, 31754 6/17/2013 5680 -2 PD -PAINT & PAINT SUPPLIES 240.48 7/17/2013 8731 -3 PKM -PAINT 49.37 6/27/2013 6175 -2 CHB -PAINT & PAINT SUPPLIES 27.69 236205 7/31/2013 014950 SIMMONS, LAURA 124.00 7/18/2013 0991300090974 MC -RED LIGHT REFUND SIMMONS 124.00 236206 7/31/2013 008183 SIMPLEXGRINNELL LP, 175.20 6/28/2013 69097553 DBC -FIRE EXTINGUISHER 175.20 236207 7/31/2013 011577 SONGCUAN, KRISTEN 125.00 7/15/2013 1315289 PRCS- REFUND DAMAGE DEPOSIT RWB 125.00 236208 7/31/2013 004963 SOUND PUBLISHING INC, 545.08 6/28/2013 814415 SWM -RFB 13 -107 LEGAL NOTICE 545.08 236209 7/31/2013 004963 SOUND PUBLISHING INC, 275.43 6/7/2013 809235 FWCC -RFQ FWCC CAFE LEGAL AD 93.73 5/10/2013 776766 FWCC -RFQ FWCC CAFE LEGAL AD 181.70 236210 7/31/2013 004963 SOUND PUBLISHING INC, 180.25 6/28/2013 816753 CD -NOA & OPT DNS LEGAL ADS 180.25 236211 7/31/2013 004963 SOUND PUBLISHING INC, 164.38 6/28/2013 814505 DBC -RFQ JANITORIAL SVC LEGAL 164.38 236212 7/31/2013 004963 SOUND PUBLISHING INC, 138.00 7/16/2013 563717 HRCK-WEBPAGE ADVERTISING SVC- 138.00 236213 7/31/2013 004963 SOUND PUBLISHING INC, 126.90 6/14/2013 812137 CDHS -CDBG LEGAL NOTICE 126.90 236214 7/31/2013 004963 SOUND PUBLISHING INC, 44.70 6/7/2013 809242 HRCK- ORDINANCE 13 -743 LEGALAD 44.70 236215 7/3112013 014951 SOUTH SOUND RED ROBIN, 617.00 7/19/2013 02 -49113 REFUND PW -02 -49113 REFUNDADMIN DEPOS 61700 236216 7/31/2013 001885 SPARKS CAR CARE, 4,460.73 7/23/2013 33190 PD -SCAN FOR CHECK ENGINE LIGHT 170.82 Key Bank Page 13 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/16/2013 33144 PD -OLF, WIPER BLADES 163.07 7116/2013 33149 PD- INSPECTION, REPLC HEADLIGHT 155.29 7/23/2013 33191 PD -OLF, BRAKES 495.20 7/10/2013 33081 PD -OLF, MOUNT NEW TIRES 94.94 7/2/2013 33017 PD -OLF, WIPER BLADES, LIGHT BU 140.95 6/26/2013 32976 PD -OLF, MOUNT TIRES 140.10 6/27/2013 33001 PD -OLF, STOPLIGHT SWITCH 148.33 7/18/2013 33166 PD -OLF 43.58 7/2212013 33181 PD -OLF 43.58 7/17/2013 33154 PD -OLF, SERVICE TRANSMISSION 290.55 7/17/2013 33157 PD -OLF, LIGHT BULB 56.67 7/17/2013 33161 PD- REPAIR TIRE 21.90 7/11/2013 33092 PD -OLF, WATER PUMP, MOTOR MOUN 1,117.11 7/12/2013 33039 PD -OLF, A/C REPAIRS 690.84 7/12/2013 33118 PD -MOUNT & BALANCE NEW TIRE 14.24 7/15/2013 33058 PD -MOUNT & BALANCE NEW TIRE 14.24 7115/2013 33112 PD- RADIATOR 624.33 7/15/2013 33125 PD -OLF 34.99 236217 7/31/2013 003307 STERICYCLE INC, 71.60 6/24/2013 3002303170 PD- MEDICAL WASTE REMOVAL SVC 71.60 236218 7/31/2013 014911 STUART, ALICE 600.00 7/24/2013 JULY 24, 2013 PRCS- SUMMER SOUNDS CONCERT SER 600.00 236219 7/31/2013 701779 SUNRISE UNITED METHODIST, 230.00 7/23/2013 13- 103108 REFUND CD- REFUND CANCELLED PERMIT 20.00 7/23/2013 13- 103108 REFUND CD- REFUND CANCELLED PERMIT 205.50 7/23/2013 13- 103108 REFUND CD- REFUND CANCELLED PERMIT 4.50 236220 7/31/2013 012877 SUPERIOR TOW NG WA, 1,129.22 6/24/2013 63503 PD- VEHICLE TOWING CASE 13 -8104 1,129.22 236221 7131/2013 013891 SYNERGY BUILDING SERVICES, 4,320.00 7/1/2013 2165 CHB -06/13 JANITORIALAG07 -194 4,320.00 236222 7/31/2013 009523 SYSTEMS FOR PUBLIC SAFETY, 321.64 7/11/2013 22000 PD- REMOUNT SIREN SPEAKERS 45.95 7/11/2013 22021 PD- REMOVE EMERGENCY EQUIP. 275.69 236223 7/31/2013 003085 TECHNOLOGY INTEGRATION GROUP, 1,909.68 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 70.08 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 63.07 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 143.45 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 129.09 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 62.97 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 56.65 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 286.89 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 258.20 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 391.47 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 352.31 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 7.01 7/1212013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 14.35 7/1212013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 6.30 7/12/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 28.69 7112/2013 371796 IT- ARCSERVE BACKUP FOR WINDOWS 39.15 236224 7/31/2013 012445 THE HUMANE SOCIETY FOR, 11,205.33 6/30/2013 JUNE 2013 PD -06/13 ANIMAL SHELTER SVC AG 6,211.00 5/31/2013 MAY 2013 PD -05/13 ANIMAL SHELTER SVC AG 4,994.33 236225 7/31/2013 014526 THE MESOTHELIOMA APPLIED, 2,315.00 7/5/2013 JULY 2013 FWCC -MILES FOR MESO DONATIONS 2,315.00 236226 7/31/2013 010320 THE ROBERT LARSON, 848.62 5/23/2013 DOCS320572 PD -REPLC TORQUE CONVERTER 848.62 236227 7/31/2013 009852 THERMO KING NORTHWEST INC, 268.28 7/15/2013 2175906 PRCS -RWB GOLF CARTS 268.28 236228 7/31/2013 014770 THIEP, MACHOT 124.98 7/16/2013 07/16/13 MC- INTERPRETER SVC 124.98 236229 7/31/2013 014711 THRIFTWAY INC, 654.27 5/31/2013 6180 CDHS- HOUSING REPAIR PROG. AG12 654.27 236230 7131/2013 009280 THUNDERING OAK ENTERPRISES INC. 442.38 Key Bank Page 14 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 6/18/2013 6532 PKM -TREE SERVICEAG11 -003 442.38 236231 7/31/2013 001424 THYSSENKRUPP ELEVATOR INC, 700.42 7/1/2013 3000619453 CHB- ELEVATOR MAINT SVCS 700.42 236232 7/31/2013 004218 TIMCO INC, 27,28 7/15/2013 240726 SWM -HOSES FOR JACK HAMMER 27.28 236233 7/31/2013 014834 TITAN EARTHWORK LLC, 139,030.20 7/25/2013 AG 13-100 #2 PWST -320TH @ 20TH AVE INTERSEC 139,030.20 236234 7/31/2013 008678 TOTAL LANDSCAPE CORP, 5,666.63 6/15/2013 56725 PKM -06/13 LANDSCAPE MAINT. SVC 5,666.63 236235 7/31/2013 014602 TSE INC, 383.00 7/2/2013 00058358 DBC -06/13 KITCHEN STAFF 383.00 236236 7/31/2013 000065 U S POSTMASTER, 1,000.00 7/18/2013 722000/722001 MC /PD- BUSINESS REPLY POSTAGE 500.00 7/18/2013 7220001722001 MC /PD- BUSINESS REPLY POSTAGE 500.00 236237 7/31/2013 009557 ULINE, 744.61 6/21/2013 51829746 PD -EXAM GLOVES 744.61 236238 7/31/2013 002426 UNITED GROCERS CASH & CARRY, 1,695.03 7/9/2013 107864 DBC- CATERING SUPPLIES 408.68 7/12/2013 108911 DBC- CATERING SUPPLIES 493.78 7/11/2013 108470 DBC- CATERING SUPPLIES 379.02 7/10/2013 108204 DBC- CATERING SUPPLIES 263.02 7/17/2013 110299 DBC- CATERING SUPPLIES 150.53 236239 7/31/2013 003837 UNITED PARCEL SERVICE, 17.04 6/29/2013 000OF6588V263 PD -UPS DELIVERY SVC 17.04 236240 7/31/2013 005019 UNITED RENTALS (NORTH AMERICA), 18068 6/17/2013 111847665 -001 PKM -CORE DRILL RENTAL 180.68 236241 7131/2013 012316 UNSWORTH, RAYMONDA 300.00 7/25/2013 UNSWORTH 2013 PD- MEDICAL DEDUCTIBLE UNSWORTH 300.00 236242 7/31/2013 005715 USA MOBILITY WIRELESS, 11.78 7/2/2013 W6163838G IT -07/13 PAGER LEASE 5.65 7/2/2013 W6163838G IT -07/13 PAGER LEASE 6.13 236243 7/31/2013 001805 VADIS NORTHWEST, 4,235.00 6/30/2013 19270 SWR -06/13 LITTER CONTROLAG07- 4,107.95 6/30/2013 19270 SWR -06/13 LITTER CONTROLAG07- 127.05 236244 7/31/2013 003563 VALLEY COMMUNICATIONS CENTER, 275,051.98 7/1/2013 0014148 PD- 07/13 -08/13 EMER DISPATCH 271,807.17 7/1/2013 0014172 PD -Q2 2013 ACCESS FEES AG 00 -0 3,244.81 236245 7/31/2013 001124 VERIZON WIRELESS, 13,256 06 7/13/2013 9708204461 IT -07/13 DATA SVC 441.71 7/1312013 9708204462 IT -07/13 CELLULAR AIRTIME 3,064.99 7/13/2013 9708204461 IT -07/13 DATA SVC 6,920.13 7/13/2013 9708204462 IT -07113 CELLULAR AIRTIME 2,829.23 236246 7/31/2013 001124 VERIZON WIRELESS, 63.02 7/12/2013 9708129543 PD -BAIT CAR WIRELESS WATPA GRA 63.02 236247 7/31/2013 000294 VILMASIGNS, 766.50 6/18/2013 369 CD -PACC COMING SOON SIGN 766 50 236248 7/31/2013 000094 WA STATE AUDITOR'S OFFICE, 19,583.55 7/12/2013 L99288 FI -06/13 STATE AUDITOR SVCS 19,583.55 236249 7/31/2013 003528 WA STATE CRIMINAL JUSTICE, 100.00 6/19/2013 20 -1 -12459 PD- HOMICIDE INVEST. TRNG PURCE 100.00 236250 7/31/2013 004258 WA STATE DEPT OF LICENSING, 615.00 7/10/2013 JULY 31, 2013 PD -REMIT CPL FEES 615.00 236251 7/31/2013 004258 WA STATE DEPT OF LICENSING, 252.00 7/22/2013 JULY 31, 2013 PD -REMIT CPL FEES 252.00 236252 7/31/2013 000253 WA STATE DEPT OF TRANSPORTATN, 1,799.94 7/16/2013 RE- 313- ATB30716060 PW -WSDOT 2013 MAINT /STATE ROUT 1,259.96 7/16/2013 RE- 313- ATB30716060 PW -WSDOT 2013 MAINT /STATE ROUT 539.98 236253 7/31/2013 000253 WA STATE DEPT OF TRANSPORTATN, 771.80 5/14/2013 RE 41 JA7774 LO 10 PWST -312TH @ DASH PT INTERSEC 771.80 236254 7/31/2013 000280 WA STATE EMPLOYMENT SECURITY, 14,832.11 7/13/2013 601 223 538 000 HR -Q2 2013 UI TAX 14,832.11 236255 7/3112013 008024 WA STATE EMPLOYMENT SECURITY, 13.50 Key Bank Page 15 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/16/2013 13- 060907- RDU -J5 PD -WORK HISTORY INVESTIGATION 13.50 236256 7/31/2013 002275 WA STATE LABOR & INDUSTRIES, 193.50 7/5/2013 235205 FWCC - BOILER INSPECTION SVC 193.50 236257 7/31/2013 004752 WA STATE LABOR & INDUSTRIES, 332.52 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 4.09 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 3.13 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 1.01 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 3.00 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 4.02 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 8.17 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 31.38 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 7.14 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 0.17 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 128.96 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 3.62 7/29/2013 2ND QTR 2013 FI -Q2 2013 L &I VOLUNTEER HRS 137.83 236258 7/3112013 014877 WA STATE MICROENTERPRISE ASSOC, 2,685.00 7/10/2013 7 -13 -001 CDHS -CDBG LOAN PROG. SUPPORTA 2,685.00 236259 7/31/2013 000851 WA STATE PATROL, 363.00 7/2/2013 113010030 PD -REMIT CPL FEES COLLECTED 363.00 236260 7/31/2013 000851 WA STATE PATROL, 280.00 7/2/2013 113009708 HR -06/13 BACKGRND INVEST. SVC 280.00 236261 7/31/2013 000069 WABO- WAASSOC BLDG OFFICIALS, 95.00 7/2/2013 26891 CD -WABO MTG M GILLIS 95.00 236262 7/31/2013 006853 WAHI, PRAN 100.00 7/19/2013 07/19/13 MC- INTERPRETER SVC 100.00 236263 7/31/2013 011330 WALTER E NELSON CO., 217.29 7/16/2013 411408 FWCC - PROCYON CLEANER 217.29 236264 7/31/2013 000343 WASHDUP, LLC, 1,513.24 5/31/2013 125 PD -05131 CAR WASH SERVICE 748.42 6130/2013 126 PD -06/13 CAR WASH SERVICE 764.82 236265 7/31/2013 014530 WASHINGTON MAYFLOWER SOCIETY, 138.51 7/22/2013 39850 DBC- REFUND RENTAL DEPOSIT 07/1 138.51 236266 7/31/2013 008646 WASHINGTON WORKWEAR LLC, 359.94 7/11/2013 953 SWM -WORK PANTS & COVERALLS NEI 359.94 236267 7/31/2013 001241 WEST COAST AWARDS, 782.54 5/17/2013 51484 PRCS -STAFF & PROGRAM CLOTHING 152.75 7/17/2013 51658 PRCS - SOCCERNBALL CHAMP T -SHIR 629.79 236268 7/31/2013 000173 WEST PAYMENT CENTER, 123.48 7/1/2013 827586267 PD -06/13 AUTO TRACKXP SVCS 123.48 236269 7/31/2013 000541 WESTERN EQUIPMENT DISTRIBUTORS, 132.02 6/25/2013 729035.2 PWFLT -RIM FOR TORO ZERO TURN 132.02 236270 7/31/2013 009514 WESTSIDE CONCRETE ACCESSORIES, 383.25 6/11/2013 0868817 -IN PKM- CONCRETE MENDER 383.25 236271 7/31/2013 002204 WILBUR -ELLIS COMPANY, 206.96 6/24/2013 7289370 RI SWM -RODEO HERBICIDE 206.96 236272 7131/2013 010720 WILDER, SAMANTHA 2,632.99 6/30/2013 WECFW50 SWR- RECYCLE PROG. OUTREACH 2,632.99 236273 7/31/2013 005697 WORK- SPORTS & OUTDOORS, 78.17 6/14/2013 1- 1340640 PKM -WORK PANTS D PROCTOR 78.17 236274 7/31/2013 003567 WRIGHT ROOFING INC, 1,182.44 7/18/2013 JULY 18, 2013 CHB -ROOF REPAIRS 1,182.44 236275 7/31/2013 001206 WSSUA -WA STATE SOFTBALL UMPIRE, 4,026.00 7/1/2013 80 PRCS- SOFTBALL OFFICIALS AG13 -0 4,026.00 236276 7/31/2013 012305 XTREME GRAPHICS, 1,484.56 6/2612013 13 -566 PKM -SIGN REFLECTIVE MATERIAL 1,183.71 6/26/2013 13 -766 PKM - BIRDING TRAIL SIGN 27.35 7/9/2013 13 -999 PKM - SURVEILLANCE SIGNS 273.50 236277 7/31/2013 014946 YOUNG, SIMON 210.00 7/12/2013 0991300100922 MC -RED LIGHT REFUND S YOUNG 210.00 236278 81712013 000051 PUGET SOUND ENERGY INC, 41,840.05 8/6/2016 PARKS 2013 07 FWCC -07/13 876 S 333RD Z002806 14,151.77 Key Bank Page 16 of 35 Check No Date Vendor Inv Date Invoice Description Amount Check Total 8/6/2016 PARKS 2013 07 FWCC -07/13 876 S 333RD 0008456 4,698.59 8/6/2016 PARKS 2013 07 FWCC -07/13 876 S 333RD ST. LIG 65.66 8/6/2016 PARKS 2013 07 DBC /KFT -07/13 3200 SW DASH PT 1,205.85 8/6/2016 PARKS 2013 07 DBC /KFT -07/13 3200 SW DASH PT 184.05 8/6/2016 PARKS 2013 07 DBC /KFT -07/13 3200 SW DASH PT 593.93 8/6/2016 PARKS 2013 07 DBC /KFT -07/13 3200 SW DASH PT 90.65 8/6/2016 PARKS 2013 07 CHB -07/13 33325 8TH AVE Z00453 10,690.90 8/6/2016 PARKS 2013 07 PKF -07/13 600 S 333RD EVID. BL 495.54 8/6/2016 PARKS 2013 07 PKCP -07/13 S 324TH BLDG B- 2,263.21 8/6/2016 PARKS 2013 07 PKF -07/13 31104 28TH AVE S HAU 30.82 8/6/2016 PARKS 2013 07 PKF -07/13 31104 28TH AVE S HAU 15.57 . 8/6/2016 PARKS 2013 07 PKM -07/13 31132 28TH AVE STLK 330.63 8/6/2016 PARKS 2013 07 PKM -07/13 31132 28TH AVE S STL 46.22 8/6/2016 PARKS 2013 07 PKF -07/13 SAC PARK RR FIELD LI 1,675.25 8/6/2016 PARKS 2013 07 PKF -07/13 1ST AVE & CAMPUS DR. 18.91 8/6/2016 PARKS 2013 07 PKM -07/13 2410 S 312TH BEACH R 268.18 816/2016 PARKS 2013 07 PKM -07/13 2410 S 312TH STORAGE 17.78 8/612016 PARKS 2013 07 PKM -07/13 2410 S 312TH WOODSHO 47.04 8/6/2016 PARKS 2013 07 PKF -07/13 2645 S 312TH ANX -RR/ 1,290.84 8/6/2016 PARKS 2013 07 PKF -07/13 2645 S 312TH SEWER L 10.66 8/6/2016 PARKS 2013 07 PKF -07/13 28156 1/2 24TH HERIT 15.25 8/6/2016 PARKS 2013 07 PKM -07/13 31207 28TH AVE SKATE 24.33 8/6/2016 PARKS 2013 07 PKF -07/13 33914 19TH AVE SAG F 3,508.24 8/6/2016 PARKS 2013 07 PKF -07/13 34915 4TH AVE MARKX 13.15 8/6/2016 PARKS 2013 07 PKF -07113 600 S 333RD EVID BLD 47.19 8/6/2016 PARKS 2013 07 PKF -07/13 7TH AVE HISTORICAL S 31.39 8/6/2016 PARKS 2013 07 PKF -07/13 7TH AVE HISTORICAL S 8.45 236279 8/15/2013 014749 A WORK SAFE SERVICE INC 52.00 7/31/2013 179333 HR -DRUG TESTING SVC 52.00 236280 8/15/2013 000083 AARO INC DBA THE LOCK SHOP, 306.60 7/31/2013 86020 PKM- LOCKSMITH SVC 120.45 7/31/2013 824787 PD- LOCKSMITH SERVICES 186.15 236281 8/15/2013 000332 ABC LEGAL MESSENGERS INC, 129.00 7/28/2013 MMFWA00061300045 LAW - MNTHLY SRV CHRG; 7/28/13; 62.50 7/29/2013 20714427 LAW -BULK DEL; CARL KALNICK CA7 4.00 7/28/2013 MMFWA00061300045 LAW- MNTHLY SRV CHRG; 7/28/13; 62.50 236282 8/1512013 014537 ADVANCED ENERGY MANAGEMENT, 166.50 7/30/2013 13- 103357 REFUND CD -13- 103357 PERMIT CANCELLED 20.00 7/30/2013 13- 103357 REFUND CD -13- 103357 PERMIT CANCELLED 146.50 236283 8/15/2013 012621 ADVANCED PRO FITNESS REPAIR, 515.75 7/10/2013 071013040 FWCC- FITNESS EQUIP. SVCAGII -1 252.95 7/10/2013 071013040 FWCC- FITNESS EQUIP. SVCAGII -1 197.10 7/23/2013 07231307E FWCC- FITNESS EQUIP. SVCAGII -1 65.70 236284 8/15/2013 007318 ADVANCED SAFETY & FIRE SVC, 106.87 7/30/2013 133720 PD -FIRE EXTINGUISHER CERTIFICA 106.87 236285 8/15/2013 005003 ADVANCED TRAFFIC PRODUCTS INC, 1,089.53 7/23/2013 0000008231 PD- EMITTER 1,089.53 236286 8/15/2013 000568 AGRI SHOP INC, 348.15 5/13/2013 28450/1 SWM -CHOKE KNOB, SPARK PLUG BOO 43.69 6/13/2013 28980/1 SWM -WEED CUTTER LINE 209.60 7/18/2013 2964411 SWM -WEED CUTTER LINE 94.86 236287 8/15/2013 000475 ALARM CENTERS /CUSTOM SECURITY, 75.00 7/22/2013 871894 CHB -Q3 2013 ALRM MNTR SVC - 75.00 236288 8/15/2013 014379 ALPHAGRAPHICS, 251.85 7/29/2013 2359 SWR- BUSINESS RECYCLING FLYERS 251.85 236289 8/15/2013 001285 ALPINE PRODUCTS INC, 196.99 8/1/2013 TM- 134049 PWTR -RED MARKERS 89.79 8/5/2013 TM- 134143 PWST- SQUEEGEE & TAPE MEASURE 107.20 236290 8/15/2013 014893 AMERICAN TIRE DISTRIBUTORS INC, 719.33 7/24/2013 S037230024 PD -NEW TIRES 477.00 6/18/2013 S036108053 PD -NEW TIRES 242.33 236291 8/15/2013 010530 ARAMARK UNIFORM SERVICES, 218.83 7/30/2013 655- 6936878 DBC -LINEN SERVICE 120.01 Key Bank Page 17 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/30/2013 655- 6936879 DBC -LINEN SERVICE 98.82 236292 8/15/2013 010530 ARAMARK UNIFORM SERVICES, 63.33 8/5/2013 655- 6945027 FWCC -FLOOR MATS SVC 25.61 8/5/2013 655- 6945028 FWCC -LINEN SVC 37.72 236293 8/15/2013 013196 ARC IMAGING RESOURCES, 174.41 7/18/2013 973932 IT -OCE PLOTTER SYSTEM MAINTAG 52.32 7/18/2013 973932 IT -OCE PLOTTER SYSTEM MAINTAG 122.09 236294 8/15/2013 000787 AUBURN YOUTH RESOURCES, 2,125.00 7/24/2013 2ND QTR 2013 CDHS -02 2013 SUBSTANCE ABUSE T 2,125.00 236295 8/15/2013 001422 BERGER /ABAM ENGINEERS INC, 8,123.11 7/15/2013 302646 PWST -20TH INTERSECTION AG11 -15 8,123.11 236296 8/15/2013 005645 BERTUCCI, MICHAEL 374.55 8112/2013 BERTUCCI 2013 PD- VEHICLE TIRE 374.55 236297 8/15/2013 010964 BETTER BOUNCERS, 1,077.48 7/8/2013 4115 PRCS -25FT SLIDE, GENERATOR, KI 1,077.48 236298 8/15/2013 013487 BEYER, ROB 36.00 8/1/2013 1327566 PRCS - REFUND RAINIERS GAME 08/0 36.00 236299 8/15/2013 010185 BIRD, FERESIKAS 100.00 8/6/2013 08/06/13 MC- INTERPRETER SVC 100.00 236300 8/15/2013 014978 BLAND, CASSANDRA 122.50 8/14/2013 25 FI -SIGN LANGUAGE INTERPRETER S 122.50 236301 8/15/2013 013146 BLUE LINE TRAINING, 696.00 7/31/2013 923 PD -CHILD ABUSE TRNG UNSWORTH, 498.00 7/30/2013 920 PD -OMG NW CLASS VILLANUEVA, MA 198.00 236302 8/15/2013 001630 BLUMENTHAL UNIFORM CO INC, 201.36 7/31/2013 997845 -01 PD -CBU NAME TAGS 21.30 7/24/2013 15177 PD- CIVILIAN UNIFORM M DAHL 151.06 7/24/2013 15296 PD- UNIFORM BELT M DAHL 18.60 7/26/2013 13273 PD -NAME TAGS 10.40 236303 8/15/2013 011289 BOWMAN, JASON 2,962.55 8/7/2013 JULY 2013 PRCS -07/13 PERSONAL TRAINER SV 2,962.55 236304 8/15/2013 014539 BPE ELECTRICAL CONSTRUCTION, 850.27 7/26/2013 10327 CDHS -EHR MARVELAG -12110 - 850.27 236305 8/15/2013 004919 BRATWEAR, 2,767.81 7/19/2013 9145 PD- JUMPSUIT S EATCHEL 509.80 7/31/2013 9306 PD -SWAT UNIFORM TAN & BUSTER 203.48 7/24/2013 9179 PD -BIKE UNIFORM STRAY 447.45 8/1/2013 9322 PD -NEW JUMPSUIT T LOYD 493.39 8/1/2013 9328 PD- JUMPSUIT MUNDELL 484.64 8/8/2013 9284 PD -BIKE PANTS STRAY 222.08 8/7/2013 9344 PD- PEPPER SPRAY 406.97 236306 8/15/2013 008605 BROSSEL, KENNETH 257.00 8/7/2013 13- 103450 REFUND CD -13- 103450 PERMIT CANCELLED 232.50 8/7/2013 13- 103450 REFUND CD -13- 103450 PERMIT CANCELLED 4.50 817/2013 13- 103450 REFUND CD -13- 103450 PERMIT CANCELLED 20.00 236307 8/15/2013 000768 BSN SPORTS, 153.72 7/17/2013 95441604 FWCC- BASKET BALLS 153.72 236308 8/15/2013 014665 CAR WASH ENTERPRISES, 40.00 6/30/2013 1652 PD -06/13 VEHICLE CLEANING SVC 40.00 236309 8/15/2013 000991 CASCADE COFFEE INC, 89.08 7/29/2013 202210307 HR- COFFEE & COFFEE SUPPLIES 89.08 236310 8/15/2013 013193 CASCADE PRINTING DIRECT INC, 64.06 8/1/2013 12539 HR -POST CARDS 64.06 236311 8/15/2013 001003 CATHOLIC COMMUNITY SERVICES, 29,936.74 7/24/2013 2ND QTR 2013 B CDHS -02 2013 EMERGENCYASSIST 11,492.70 7/25/2013 2ND QTR 2013 C CDHS -Q2 2013 VOLUNTEER CHORE S 4,000.00 7124/2013 2ND QTR 2013 A CDHS -Q2 2013 WINTER SHELTER PR 8,750.00 7/24/2013 2ND QTR 2013 B CDHS -Q2 2013 EMERGENCY ASSIST 3,444.04 7/25/2013 2ND QTR 2013 C CDHS -Q2 2013 VOLUNTEER CHORE S 2,250.00 236312 8/15/2013 014779 CEDAR BUILDING SERVICE INC, 255.00 6/30/2013 41769 PKM -06/13 JANITORIAL SVC AG13- 255.00 236313 8/15/2013 013887 CELLEBRITE USA CORP. 4,059.99 Key Bank Page 18 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/23/2013 129315 PD -UFED ULTIMATE ADD -ON- 3,999.99 7/23/2013 129315 Freight 60.00 236314 8/15/2013 000202 CENTURYLINK, 2,229.59 8/4/2013 83993845 IT -07/13 PHONE /DATA SVC 111.47 8/4/2013 83993845 IT -07/13 PHONE /DATA SVC 1,003.32 8/4/2013 83993845 IT -07/13 PHONE/DATA SVC 1,114.80 236315 8/15/2013 000202 CENTURYLINK, 352.09 7/19/2013 1268075713 IT -06/13 LONG DISTANCE SVC 154.92 7/19/2013 1268075713 IT -06/13 LONG DISTANCE SVC 176.05 7/19/2013 1268075713 IT -06/13 LONG DISTANCE SVC 21.12 236316 8/15/2013 012038 CERIUM NETWORKS INC, 988.22 7/1/2013 033985 IT -07/13 PHONE/VOICE MAIL SYST 49.41 7/1/2013 033985 IT -07/13 PHONE/VOICE MAIL SYST 444.70 7/1/2013 033985 IT -07/13 PHONENOICE MAIL SYST 494.11 236317 8/15/2013 001481 CH2M HILL NORTHWEST INC, 63,907.48 6/27/2013 3861665 PWST -21 STAVE @ 336TH IMPROV 30,057.76 8/1/2013 3859695REV PWST -21 STAVE @ 336TH DESIGN 33,849.72 236318 8/1512013 005238 CHI, MIKE 254.26 8/7/2013 CHI 2013 PD -WSSO SUMMIT REIMB CHI 254.26 236319 8/15/2013 007368 CHIEF SUPPLY CORPORATION, 295.59 4/22/2013 235304 PD- FIRSTAID SUPPLIES 34.99 6/24/2013 265781 PD -CBU UNIFORMS NORMAN 260.60 236320 8/15/2013 007443 CITIES INSURANCE ASSO OF WA, 17,889.21 7/30/2013 8942 LAW- RM -REIMB JERRELL JONES DED 17,889.21 236321 8115/2013 010360 CITY OF FEDERAL WAY, 4,993.42 817/2013 CK #1066 HR -AWC EXPO J STANLEY 334.48 817/2013 CK #1066 HR -AWC EXPO J STANLEY 65.00 8/13/2013 CK #1059 PD- CALEACONF. S MCCALL 649.16 8/13/2013 CK #1059 PD -CALEA CONF. S MCCALL 210.00 8/6/2013 CK #1057 PD -CALEA CONE L JACKSON 649.16 8/6/2013 CK #1057 PD -CALEA CONF. L JACKSON 210.00 81812013 CK #1061 PD -WSSO SUMMIT M CHI 415.92 8/8/2013 CK #1061 PD -WSSO SUMMIT M CHI 185.00 8/6/2013 CK #1054 PD -WSSO SUMMIT J STRAY 415.92 8/6/2013 CK #1054 PD -WSSO SUMMIT J STRAY 185.00 8/6/2013 CK #1056 PD -WSSO TRNG SUMMIT G GREEN 311.94 8/6/2013 CK #1056 PD -WSSO TRNG SUMMIT G GREEN 160.00 8/13/2013 CK #1053 PD -WSSO SUMMIT SHUPP 415.92 8/1312013 CK #1053 PD -WSSO SUMMIT SHUPP 185.00 8/9/2013 CK #1055 PD -WSSO SUMMIT MESHKOFF 415.92 8/9/2013 CK #1055 PD -WSSO SUMMIT MESHKOFF 185.00 236322 8/15/2013 003752 COASTWIDE SUPPLY DBA, 4,03430 7/16/2013 T2567885 -1 CHB- JANITORIAL SUPPLIES 344.66 7/30/2013 T2576283 CHB- JANITORIAL SUPPLIES 879.38 8/1/2013 T2576283 -1 CHB- JANITORIAL SUPPLIES 61.46 8/1/2013 T2576988 CHB - JANITORIAL SUPPLIES 136.93 7/19/2013 T2573051 DBC- JANITORIAL SUPPLIES 353.71 7/22/2013 T2573051 -1 DBC- JANITORIAL SUPPLIES 190.88 7/23/2013 T2573051 -2 DBC- JANITORIAL SUPPLIES 82.55 7/25/2013 W2574985 FWCC- JANITORIAL SUPPLIES 808.67 7/25/2013 W2574985 -1 FWCC- JANITORIAL SUPPLIES 302.88 7/24/2013 T2574600 FWCC- JANITORIAL SUPPLIES 103.81 7/16/2013 VW567424 -1 FWCC- JANITORIAL SUPPLIES 159.80 7/16/2013 T2571568 PKM- JANITORIAL SUPPLIES 502.59 8/1/2013 T2576987 CHB- JANITORIAL SUPPLIES 106.98 236323 8/15/2013 010707 COLUMBIA STATE BANK, 11,202,81 8/3/2013 AG 13-065 #4 PWST -2013 OVERLAY AGI3 -065- 11,202.81 8/3/2013 AG 13-065 #4 PWST -2013 OVERLAY AGI3 -065- - 11,202.81 8/312013 AG 13-065 #4 PWST -2013 OVERLAYAGI3 -065- 11,202.81 236324 8/15/2013 014857 COMCAST OF WASHNGTON IV, INC, 1,500.00 7/15/2013 JULY 15, 2013 IT -FIBER MOVE - WESTWAY TO NOR 1,500.00 236325 8/15/2013 007591 COMMERCIAL SPACE ONLINE INC, 100.00 8/1/2013 80300 CD -08/13 PROPERTY DATABASE SVC 100.00 Key Bank Page 19 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236326 8/15/2013 010910 COMMUNITIES IN SCHOOLS, 5,000.00 7/30/2013 2ND QTR 2013 A CDHS -Q2 2013 MENTORING PROG. A 2,500.00 7/30/2013 2ND QTR 2013 B CDHS -Q2 2013 SCHL OUTREACH COO 2,500.00 236327 8/15/2013 014963 COMMUNITY CENTER FOR, 400.00 8/1/2013 1327568 PRCS- REFUND DAMAGE DEPOSIT 06/ 400.00 236328 8/15/2013 008445 COPIERS NORTHWEST INC, 3,532.23 7/19/2013 INV894050 IT -06/13 COPIERS /PRINTERS MAIN 388.55 7/19/2013 INV894050 IT -06/13 COPIERS /PRINTERS MAIN 1,200.95 7/19/2013 INV894050 IT -06/13 COPIERS /PRINTERS MAIN 70.65 7/19/2013 INV894050 IT -06/13 COPIERS /PRINTERS MAIN 35.32 7/19/2013 INV894050 IT -06/13 COPIERS /PRINTERS MAIN 953.70 7/19/2013 INV894050 IT -06/13 COPIERS /PRINTERS MAIN 883.06 236329 8/15/2013 000721 CORLISS RESOURCES INC, 2,527.84 8/5/2013 381611 SWM- CONCRETE SUPPLIES 263.91 8/1/2013 381339 SWM- CONCRETE SUPPLIES 156.02 7/23/2013 379452 SWM- CONCRETE SUPPLIES 533.82 7/25/2013 380112 PWST- CONCRETE SUPPLIES 595.14 7/16/2013 378079 PWST- CONCRETE SUPPLIES 548.60 7/18/2013 378428 PWST- CONCRETE SUPPLIES 430.35 236330 8/15/2013 000771 COSTCO /HSBC BUSINESS SOLUTIONS, 3,415.96 7/31/2013 JULY 2013 CC- COUNCIL DINNER SUPPLIES 37.74 7/31/2013 JULY 2013 PD- BATTERIES, WIPES, BAND AIDS 704.16 7/31/2013 JULY 2013 PD- OFFICER MEALS @ RWB 64.25 7131/2013 JULY 2013 PD -PIZZA & WATER CASE 13 -9017 39.67 7/31/2013 JULY 2013 PRCS -RWB PIZZA FOR STAFF 105.10 7/31/2013 JULY 2013 PRCS -DAY CAMP SUPPLIES 630.98 7/31/2013 JULY 2013 CDHS -CDBG LRAC MEETING LUNCH 16.83 7/31/2013 JULY 2013 DBC -SODA & BOTTLE WATER 233.95 7/31/2013 JULY 2013 FWCC- RESALE ITEMS FOR FRONT DE 283.82 7/31/2013 JULY 2013 DBC -MIXER & BATTERIES 383.24 7/31/2013 JULY 2013 FWCC - POSTER BOARDS 82.09 7/31/2013 JULY 2013 FWCC - RESALE ITEMS 303.91 7/31/2013 JULY 2013 DBC -FANS FOR GUEST ROOMS 459.75 7/31/2013 JULY 2013 DBC -MIXER & BATTERIES 70.47 236331 8/15/2013 014913 CRAWFORD, CLIFFORD H 200.00 7/26/2013 SEPTEMBER 4, 2013 PRCS -ART DISPLAY 200.00 236332 8/15/2013 008766 CRYSTAL CARPET CARE, 120.00 8/1/2013 8113 DBC - CARPET CLEANING SVC 120.00 236333 8/15/2013 010015 CUTHBERT, GAIL 2,625.12 8/7/2013 JULY 2013 FWCC -07/13 PERSONAL TRAINER SV 2,625.12 236334 8/15/2013 009505 D & L SUPPLYAND MFG., INC, 1,279.81 7/23/2013 288037 PKM -STERN AIR VALVE 533.81 7/23/2013 288038 PKM -WALL MOUNT FAUCET 746.00 236335 8/15/2013 000854 D J TROPHY, 248.19 7/26/2013 236852 PRCS- SOFTBALL TROPHIES 109.50 7/30/2013 236865 PD- APPRECIATION PLAQUE LEITGEB 109.53 8/2/2013 236883 PRCS -NAME BADGES 19.16 7/25/2013 236850 FWCC- EMPLOYEE OF MONTH PLAQUE 10.00 236336 8/15/2013 000168 DAILY JOURNAL OF COMMERCE INC, 1,037.40 7/6/2013 3277403 PWST -RFB 13 -108 LEGAL AD 786.60 7/13/2013 3277710 PKM -RFQ MONUMENT SIGNS LEGAL 250.80 236337 8/15/2013 014975 DARLING INTERNATIONAL INC, 153.30 7/8/2013 630:2354578 FWCC- KITCHEN COOKING OIL DISPO 153.30 236338 811512013 014701 DATA PROS LLC, 47,304.00 7/29/2013 22013 IT- TIBURON - SPILLMAN INTERFACE 47,304.00 236339 8/15/2013 014787 DAVID O DEFENSE PLLC, 1,125.00 8/2/2013 4 MO- CONFLICT DEFENDER SVC AGI3- 1,125.00 236340 8/15/2013 008039 DMX MUSIC, 66.18 8/1/2013 50582985 IT -08/13 ALL DIGITAL MUSIC 66.18 236341 8/1512013 005341 DODD, ESCOLASTICA ROSA 375.00 8/6/2013 08/06/13 MC- INTERPRETER SVC 16250 8/13/2013 08/13/13 MC- INTERPRETER SVC 11250 7/30/2013 07/30/13 MC- INTERPRETER SVC 10000 Key Bank Page 20 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236342 8/15/2013 007277 DOOLEY ENTERPRISES INC, 2,793.00 7/23/2013 48828 PD- AMMUNITION 2,793.00 236343 8/15/2013 011151 DUE NORTH MEDIA, 87500 7/5/2013 27607 CDED -TRADE MAGAZINE DISPLAYAD 875.00 236344 8/15/2013 007299 EARTHCORPS, 2,00675 6/30/2013 4043 PKM -URBAN FORESTY SVCSAGI3 -05 2,006.75 236345 8/15/2013 012666 EDD, DALE 126.00 8/12/2013 AUGUST 10, 2013 PRCS - FIRSTAID /CPR CLASSESAGI 126.00 236346 8/15/2013 008141 EJ USA, INC, 383.07 6/19/2013 3610058 SWM- INFRA - RISERS 383.07 236347 8/15/2013 004344 EMERGENCY FEEDING PROGRAM, 1,250.00 7/25/2013 2ND QTR 2013 CDHS -Q2 2013 EMERG. FEEDING PR 1,250.00 236348 8/15/2013 001046 EQUIFAX CREDIT INFORMATION SVC, 38.09 7/17/2013 7959288 PD -07/13 CREDIT REPORTING SVC 38.09 236349 8/15/2013 000328 ERNIE'S FUEL STOPS (DBA), 2,203.58 7/31/2013 0404849 PD- 07/16/13 - 07/31/13 VEHICLE F 952.15 7/31/2013 0404849 PD- 07/16/13- 07/31/13 FUEL CRIED -29.41 7/31/2013 0404848 PWFLT- 07/16/13 - 07/31/13 VEHICL 1,321.95 7/31/2013 0404848 PWFLT- 07/16/13- 07/31/13 FUEL C -41.11 236350 8/15/2013 002899 ESAADOLFSON, 529.02 5/17/2013 102800 CD-#05 -06324 ENVIRON. RV MIRRO 529.02 5/17/2013 102800 CD-#05 -06324 ENVIRON. RV MIRRO - 529.02 5/17/2013 102800 CD- ENVIRON. RV MIRROR ESTATES- 529.02 236351 8/15/2013 014373 ESBENSHADE, DANIEL 505.80 8/7/2013 JULY 2013 FWCC -07/13 PERSONEL TRNG SVC A 505.80 236352 8/15/2013 011726 EWING IRRIGATION PRODUCTS, INC, 2,087.87 7/16/2013 6700057 PKM -HOSE SWIVEL, PUMP KIT 193.61 7/17/2013 6707661 PKM- FERTILIZER 1,756.56 7/15/2013 6689818 PKM -TONE & PROBE KIT 137.70 236353 8/15/2013 007854 EXCEL SUPPLY COMPANY, 72.53 6/28/2013 64391R CD- SURVEYOR VEST /PANTS 72.53 236354 8/15/2013 008647 FASTENAL, 6804 7/17/2013 WAFED120620 PKM -CABLE TIES 68.04 236355 8/15/2013 012942 FEDERAL WAY AUTO GLASS, 574.91 8/1/2013 1001076 PD- VEHICLE CLEANING SVC 82.13 8/8/2013 1001077 PD- VEHICLE CLEANING SVC 82.13 7/31/2013 1001075 PD- VEHICLE CLEANING SVC 82.13 7/30/2013 1001074 PD- VEHICLE CLEANING SVC 82.13 7/29/2013 1001067 PD- VEHICLE CLEANING SVC 82.13 7/26/2013 1001066 PD- VEHICLE CLEANING SVC 82.13 7/24/2013 1001065 PD- VEHICLE CLEANING SVC 82.13 236356 8/15/2013 000229 FEDERAL WAY CHAMBER COMMERCE, 100.00 8/9/2013 9184 CC- AUGUST LUNCHEON- 100.00 236357 8/15/2013 000652 FEDERAL WAY COMMUNITY, 5,875.00 7/25/2013 2ND QTR 2013 CDHS -Q2 2013 RENT ASSISTANCE P 5,875.00 236358 8/15/2013 014675 FEDERAL WAY INDOOR RANGE, LLC, 98.55 8/1/2013 9 PD -07/13 GUN RANGE USAGE 98.55 236359 8/15/2013 001183 FEDERAL WAY PUBLIC SCHOOLS, 1,940.02 7/29/2013 AR09479 PD- FACILITY USE FOR TRAINING 162.00 7/29/2013 AR09472 PKM- 03/26- 05122/13 SAG.IRRIGAT 1,778.02 236360 8/15/2013 000834 FEDERAL WAY SCHOOL DISTRICT, 11.295 34 7130/2013 JULY 30, 2013 SWM- STORMING THE SOUND WITH SA 11,295.34 236361 8/15/2013 001893 FEDERAL WAY SCHOOL DISTRICT, 36,13026 8/1/2013 SIF -JULY 2013 FI -07/13 SCHL IMPACT FEE & INT 36,126.00 8/1/2013 SIF -JULY 2013 FI -07/13 SCHL IMPACT FEE & INT 4.26 236362 8/15/2013 007547 FEDERAL WAY SENIOR CENTER, 5,000.00 7/25/2013 2ND QTR 2013 CDHS -Q2 2013 SENIOR NUTRITION 5,000.00 236363 8/15/2013 005113 FINANCIAL SERVICES, 150.00 7/31/2013 SEPT 22, 2013 MC- JUDICIAL CONF. ROBERTSON 150.00 236364 8/15/2013 013290 FIRST STUDENT, INC, 2,002.00 7/23/2013 229 -C- 054836 PRCS -SILLY SNAZZY SPORTS BUS S 2,002.00 236365 8/15/2013 014858 FISHMAN, DAVID 200.00 Key Bank Page 21 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 53.70 53.70 7/26/2017 AUGUST 21, 2013 PRCS -ART DISPLAYAT DUMAS BAY 200.00 518.50 236366 8/15/2013 002664 FLEX -PLAN SERVICES INC, 77.87 202.20 530.00 35.59 7/31/2013 22295 HR -07/13 FLEX PLAN ADM SVCAGI 202.20 1,760.00 236367 8/15/2013 008860 FOOD SERVICES OF AMERICA, 323.00 323.00 1,570.23 86.59 7/31/2013 4922462 DBC- CATERING SUPPLIES 948.81 384.41 7/24/2013 253705 DBC- RETURN TEA- CATERING SUPP - 243.92 7/24/2013 4906095 DBC- CATERING SUPPLIES 731.74 7/24/2013 4906095 DBC- CATERING SUPPLIES 133.60 236368 8/15/2013 001669 FOSTER PEPPER PLLC, 156.00 7/25/2013 1045495 LAW -LEGAL SVCS AG13 -044- 156.00 236369 8/15/2013 012493 FROULAALARM SYSTEMS INC, 157.00 7/30/2013 13- 103316 REFUND CD -13- 103316 PERMIT CANCELLED 20.00 8/12/2013 13- 103497 REFUND CD -13- 103497 PERMIT CANCELLED 20.00 7/3012013 13- 103316 REFUND CD -13- 103316 PERMIT CANCELLED 58.50 8/12/2013 13- 103497 REFUND CD -13- 103497 PERMIT CANCELLED 58.50 236370 8/15/2013 009242 FSH COMMUNICATIONS LLC, 80.00 8/1/2013 000627868 IT -08/13 FSH PAYPHONE SVCS 80.00 236371 8/15/2013 014965 FULLER, ERIN 155.00 8/1/2013 1327573 PRCS- REFUND SWIM CLASS 07/13 155.00 236372 8/15/2013 008755 FUSION, 7/25/2013 2ND QTR 2013 236373 8/15/2013 003118 GALLS INC, 7/29/2013 000834044 236374 8/15/2013 004578 GENE'S TOWING INC, 8/11/2013 409028 236375 8/15/2013 009944 GLACKEN, CHARLES G 7/30/2013 13 236376 8/1512013 013377 GOLDEN WOOD, LLP, 8/6/2013 72 236377 8/15/2013 014957 GORDON, TRISHA 8/1/2013 1327556 236378 8/15/2013 004824 GOS PRINTING CORPORATION, 8/8/2013 80416 8/8/2013 80451 236379 8/15/2013 002547 GRAINGER INC, 7/31/2013 9205978480 7/23/2013 9198407984 7/15/2013 9191615476 7116/2013 9192110980 7/16/2013 9192110998 7/16/2013 9192344696 7/16/2013 9192344704 236380 8/15/2013 003831 GSR POLYGRAPH SERVICES, 7/31/2013 13 -017 236381 8/15/2013 011444 HABITAT FOR HUMANITY OF, 7/8/2013 17 6/30/2013 15 6/30/2013 16 236382 8/15/2013 003841 HEAD- QUARTERS PTS, 7/26/2013 25308 236383 8/15/2013 003985 HIGHLINE WATER DISTRICT, 7/12/2013 19221 -00 236384 8/15/2013 013173 HINSHAWS MOTORCYCLE, 7/4/2013 95961037 5/3/2013 95952661 6/12/2013 95956380 236385 8/15/2013 002477 HOME DEPOT -DEPT 32- 2500780030, 7/28/2013 JULY 2013 7/28/2013 JULY 2013 7/28/2013 JULY 2013 7/28/2013 JULY 2013 7/28/2013 JULY 2013 CDHS -Q2 2013 TRANSITION. HOUSI PD- EXPLORER CAPS PD- VEHICLE TOW CASE 13 -7174 PD- BKGRND INVEST. TRNG PON, BU MO- CONFLICT DEFENDER SVC- PRCS- REFUND SMNR CAMP 07/13 PD- REPORT FORMS, OT /LEAVE FORM PD -SAFE CITY, BURGLARY BROCHUR PWST -CABLE TIES FWCC - SAFETY RELIEF VALVE, BATT FWCC -HVAC MOTOR FWCC -DUST MOP FWCC - BATTERIES FWCC - SAFETY GLASSES FWCC - DEMING DRILL PD- POLYGRAPH EXAMS CDHS -NSP3 PROGRAM AGI1-172- CDHS -NSP3 PROGRAM AGII-172- CDHS -NSP3 PROGRAMAGII -172- PKM- SANICAN SVCAGI2 -014- PWST -06/13 27454 PAC HWY IRRIG PD- HEADLIGHT PD -OLF, BATTERYASSY, BATTERY PD -OLF, INSTALL COVERS DBC - SHOWER HEAD CHB -LIGHT BULBS CHB -POST HOLE DIGGER CHB- CONCRETE MIX, REBAR CHB- CONCRETE MIX 130.57 186.22 77.57 30.09 196.82 20.18 17.92 450.00 3,750.00 3,750.00 287,957 04 59,077.02 53.70 53.70 113,090.27 518.50 297.30 297.30 77.87 77.87 530.00 530.00 35.59 661.93 1,760.00 1,760.00 808.53 21.33 323.00 323.00 49.24 86.59 1,499.40 1,114.99 384.41 659.37 130.57 186.22 77.57 30.09 196.82 20.18 17.92 450.00 450.00 287,957 04 59,077.02 115,789.75 113,090.27 518.50 518.50 77.87 77.87 830.61 35.59 661.93 133.09 808.53 21.33 18.07 49.24 86.59 27.05 Key Bank Page 22 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/28/2013 JULY 2013 CHB -WHEEL BARREL & SHOVEL 103.96 7/28/2013 JULY 2013 CHB -GRADE STAKES 5.44 7/28/2013 JULY 2013 CHB -WIRE BRUSH, PLIERS, CEMENT 40.96 7/28/2013 JULY 2013 CHB- FAUCET & PRUNING STIK 9.51 7/28/2013 JULY 2013 CHB- FAUCET & PRUNING STIK 87.56 7/28/2013 JULY 2013 CHB- BRUSHES 4.35 7/28/2013 JULY 2013 CHB- BRUSHES 19.55 7/28/2013 JULY 2013 CHB -SHOP TOWELS, GLOVES, SPRAY 46.63 7/28/2013 JULY 2013 CHB- DRANO, NOZZLE, HOSE 68.35 7/28/2013 JULY 2013 CHB -P TRAP, TOGGLE SWITCHES, W 48.68 7/2812013 JULY 2013 CHB- RETURN REBAR -18.79 7/28/2013 JULY 2013 CHB- RETURN SUPPLIES -16.15 7/28/2013 JULY 2013 PKM- PLASTIC FENCING 159.32 7128/2013 JULY 2013 PKM- FILTERS 24.04 7/28/2013 JULY 2013 CD -SHOP TOWELS 22.84 236386 8/15/2013 014752 HUNTER, KIM E 500.00 7/30/2013 133 MO- CONFLICT DEFENDER SVC AG13- 500.00 236387 8/15/2013 012446 HUYEN, MARTIN 100.00 7/18/2013 07/18/13 MC- INTERPRETER SVC 100.00 236388 8/15/2013 001431 ICON MATERIALS INC, 86.40 7/31/2013 50- 1855072 PWST- ASPHALT MIX 86.40 236389 8/15/2013 000367 IIMC -INT'L INST OF MUN CLERKS, 355.00 8/2/2013 15531 COURTNEY HRCK -2013 IIMC DUES COURTNEY 85.00 8/2/2013 15948 MCNEILLY HRCK -2013 IIMC DUES MCNEILLY 185.00 8/2/2013 21887 ROE HRCK -2013 IIMC DUES ROE 85.00 236390 8/15/2013 001240 INRO CONSULTANTS INC, 773.00 8/1/2013 30015 IT -PW EMME2 SOFTWARE MAINTAGR 773.00 236391 8/15/2013 005757 INSTITUTE FOR FAMILY, 750.00 7/30/2012 2ND QTR 2013 CDHS -Q2 2013 PACT PROG. AG 13-0 750.00 236392 8/15/2013 004957 INTERNATIONAL CONFERENCE OF, 125.00 8/2/2013 39347 PD- 20131CPCCHAPLAIN AUSTIN 125.00 236393 8/15/2013 012927 IRON MOUNTAIN INFORMATION MGMT 2,904.74 6/30/2013 HGA0986 PD -06/13 RECORDS STORAGE 43315 7/31/2013 HKH1464 HRCK -07/13 RECORDS STORAGE 2,471.59 236394 8/15/2013 005978 JACKSON, LAURIE 196.54 8/6/2013 JACKSON 2013 PD -CALEA CONF. L JACKSON 136.55 8/6/2013 JACKSON 2013 PD -CALEA CONF. L JACKSON 50.00 8/6/2013 JACKSON 2013 PD- CALEACONF. LJACKSON 9.99 236395 8/15/2013 011526 JEWISH FAMILY SERVICE, 1,625.00 7/25/2013 2ND QTR 2013 CDHS -Q2 2013 REFUGEE & IMMIGRA 1,625.00 236396 8/15/2013 005656 JIM'S DETAIL SHOP, 82.13 7/2512013 14454F RM- VEHICLE CLEANING SVC 82.13 236397 8/15/2013 014434 JOBS FOR SOUTH SOUND, 3,000.00 7/31/2013 2013/002 CDED- BUSINESS INCUBATOR AGI2 -0 3,000.00 236398 8/15/2013 014816 JOHN'S CHRISTIAN HANDYMAN SVC, 1,442.67 7126/2013 03954 CDHS- EMERG. HOUSING REPAIRAGI 1,442.67 236399 8115/2013 012611 JOHN'S CLEANING SERVICES INC, 646.32 7/30/2013 1162 PD -DRY CLEANING SVCAG11 -001 - 646.32 236400 8/15/2013 004659 KAYE -SMITH BUSINESS GRAPHICS, 1,216.62 7/23/2013 135660 MC- NOTICE OF HEARING FORMS 559.36 7/25/2013 135700 MC- WARRANT OF ARREST FORMS 65726 236401 8/15/2013 003309 KCDA PURCHASING COOPERATIVE, 124,453.47 8/2/2013 3701386 PKADPL - SAGHALIE RUNNING TRACK 111,523.35 8/2/2013 3701386 PKADPL - SAGHALIE RUNNING TRACK 1,616.17 8/2/2013 3701386 PKADPL - SAGHALIE RUNNING TRACK 11,313.95 236402 8/15/2013 011491 KENT YOUTH & FAMILY SERVICES, 3,000.00 7/30/2013 2ND QTR 2013 CDHS -Q2 2013 YOUTH CLINICAL PR 1,500.00 7/30/2013 2ND QTR 2013 CDHS -Q2 2013 YOUTH CLINICAL PR 1,500.00 236403 8/15/2013 003254 KESSELRING GUN SHOP INC, 1,130.53 7/26/2013 39882 PD -GLOCK PISTOLS- 2,380.53 7/26/2013 58822 PD -TRADE IN GLOCKS FOR NEW- - 1,250.00 236404 8/15/2013 011736 KIM, CHUL JOON 300.00 Key Bank Page 23 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 25.00 2,500.00 8,678.25 119.25 18,617.68 100.00 60.00 100.00 500.00 1,436.38 60.00 1,028.67 438.88 599.53 7/30/2013 07/30/13 MC- INTERPRETER SVC 100.00 8/13/2013 08/13/13 MC- INTERPRETER SVC 100.00 8/8/2013 08/08/13 MC- INTERPRETER SVC 100.00 236405 8/15/2013 014960 KIM, CHYNSOO 8/1/2013 1327563 PRCS - REFUND WITHDREW SMNR CAMP 25.00 236406 8/15/2013 000373 KING COUNTY BAR ASSOCIATION, 7/31/2013 2ND QTR 2013 CDHS -Q2 2013 PRO BONO LEGAL SV 1,250.00 5/2/2013 1ST QTR 2013 CDHS -Q1 2013 PRO BONO LEGAL SV 1,250.00 236407 8/15/2013 000125 KING COUNTY FINANCE DIVISION, 7/31/2013 11001247 IT -04/13 NET SVCSAG11-111 - 103.50 7/18/2013 3000591 PD -06113 KING CO. PRISONER LOD 7,643.25 7/31/2013 11001247 IT -04/13 NETSVCSAG11 -111 - 414.00 7/31/2013 11001247 IT -04/13 NET SVCSAG11-111 - 258.75 7/31/2013 11001247 IT -04/13 NET SVCSAG11-111 - 258.75 236408 8/15/2013 005568 KING COUNTY FLEET ADM DIVISION, 7/26/2013 210206 PWFLT -REPLC BEARING ROLLER 119.25 236409 8/15/2013 003898 KING COUNTY RADIO, 7/20/2013 7692 IT -07/13 PD RADIO MAINT /REPAIR 8,569.21 6/24/2013 7595 IT -06/13 PD RADIO MAINT /REPAIR 8,569.21 6/24/2013 00433278 IT -RADIO MAINT /REPAIR 279.61 6/24/2013 00434145 IT -RADIO MAINT /REPAIR 580.43 6/24/2013 00434695 IT -RADIO MAINT /REPAIR 57.68 6/24/2013 00434844 IT -RADIO MAINT /REPAIR 5.23 6/24/2013 00434511 IT -RADIO MAINT /REPAIR 27.38 6/24/2013 00434595 IT -RADIO MAINT /REPAIR 165.41 6/24/2013 00434693 IT -RADIO MAINT /REPAIR 57.68 6/24/2013 00434697 IT -RADIO MAINT /REPAIR 17.44 6/24/2013 00434733 IT -RADIO MAINT /REPAIR 57.68 6/24/2013 00434755 IT -RADIO MAINT /REPAIR 115.36 6/24/2013 00434927 IT -RADIO MAINT /REPAIR 115.36 236410 8/15/2013 014740 KOINANGE, JANE 7/30/2013 07/30/13 MC- INTERPRETER SVC 100.00 236411 8/15/2013 014964 KOREAN AMERICAN CALVARY, 8/1/2013 1327569 PRCS- REFUND PICNIC RESERVATION 60.00 236412 8/15/2013 003399 KVASNYUK, NIKOLAY 7/26/2013 07/26/13 MC- INTERPRETER SVC 100.00 236413 8/15/2013 002464 LAKE KILLARNEY IMPROVEMENTS, 8/2/2013 2013 WEED CONTROL PKM -2013 LK KILLARNEY WEED CON 500.00 236414 8115/2013 000096 LAKEHAVEN UTILITY DISTRICT, 7/17/2013 3042401 PWST- 03/28- 05/29/13 2500 336TH 22.60 7/17/2013 3341801 PWST - 04/01- 05/30/13 35826 16TH 22.60 7/17/2013 3341901 PWST- 04/01- 05/30/13 1559 S 356 22.60 7/17/2013 3519201 PWST- 03/29- 05130/13 35601 21ST 22.60 8/9/2013 1941803 CDED- 04/29- 06/26/13 31600 20 A 132.72 8/9/2013 1946803 CDED- 04/29- 06/26/13 31600 20 A 12.04 7/25/2013 1768602 DBC- 04/12- 06/11113 3200 DASH P 181.21 7/25/2013 1768602 DBC- 04/12- 06/11/13 3200 DASH P 367.89 7/25/2013 1014202 PKM- 04/16- 06112/13 312 DASH PT 111.70 7/25/2013 1014202 PKM- 04/16- 06/12/13 312 DASH PT 40.70 7/25/2013 2592802 PKM- 04/12- 06/11/13 1210 333 ST 22.60 7/25/2013 2906301 PKM- 04/16- 06/12/13 312 DASH PT 431.92 7/25/2013 3059601 PKM- 04/10- 06/10/13 3200 349TH 22.60 8/1/2013 2781501 PKM- 04/17- 06/13/13 31200 DASH 22.60 236415 8/15/2013 014961 LASH, TRACY 8/1/2013 1327564 PRCS- REFUND PICNIC RESERVATION 60.00 236416 8/15/2013 003157 LES SCHWAB TIRE CTRS OF WA INC, 7/31/2013 37800084733 PWFLT - BRAKES, DRUM, BEARINGS 1,028.67 236417 8/15/2013 007985 LINCOLN EQUIPMENT INC, 7/23/2013 SI219626 PKM -STLK SWIM LADDER TREADS 438.88 236418 8/15/2013 000630 LLOYD ENTERPRISES INC, 7/22/2013 171849 PWST -CLEAN CONCRETE 56.62 4/5/2013 168996 SWM- DEBRIS REMOVAL 344.49 7/16/2013 171625 PWST- DEBRIS REMOVAL SVC 198.42 25.00 2,500.00 8,678.25 119.25 18,617.68 100.00 60.00 100.00 500.00 1,436.38 60.00 1,028.67 438.88 599.53 Key Bank Page 24 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236419 8/15/2013 005339 LOWE'S HIW INC, 541.79 8/5/2013 01381 PWST -WD40, FACE SHIELD, SPRAYC 120.22 7/17/2013 01019 PWST- REPAIR /MAINT SUPPLIES 25.84 7/31/2013 19745 PKM -CABLE TIES, MIRACLE GROW 90.76 7/16/2013 23476 FWCC - MAINT. SUPPLIES 85.05 7116/2013 23476 FWCC - MAINT. SUPPLIES 219.92 236420 8/15/2013 012967 M J DURKAN INC, 5,166.66 8/1/2013 AUGUST 1, 2013 MO -STATE LOBBYIST SVC AG12 -126 5,166.66 236421 8/15/2013 014973 M JONES ELECTRIC, 61.20 8/7/2013 13- 103061/59 REFUND CD -13- 103059/61 PERMIT CANCELL 61.20 236422 8/15/2013 700156 MACDONALD MILLER SERVICE INC, 7,894.20 7/1/2013 PM030851 PKM- ENERGY EFFICIENCY PROJECT 6,461.05 7/25/2013 SVC044595 DBC -HVAC REPAIRS 666.15 7/31/2013 SVC045154 CHB -HVAC SYSTEM ADJUST CONTROL 211.34 7/11/2013 SVC043985 PKM- TROUBLESHOOTA/C IN PD 555.66 236423 8/15/2013 004883 MACK, DARVI L 9408 8/1/2013 1327572 PRCS- REFUND COOKING CLASS 08/1 94.08 236424 8/15/2013 014817 MAGNUM ELECTRONICS INC, 786.39 7/29/2013 0000039249 PD- BATTERY CHARGING UNIT 624.58 6/7/2013 0000038575 IT- MOBILE RADIO MICROPHONES 161.81 236425 8/15/2013 009433 MAKSIMOV, YURI 100.00 8/13/2013 08/13/13 MC- INTERPRETER SVC 100.00 236426 8/15/2013 003329 MCCALL, STAN 388.25 8/13/2013 MCCALL 2013 PD- CALEACONF. MCCALL 50.00 8/13/2013 MCCALL 2013 PD -CALEA CONF. MCCALL 31.79 8/13/2013 MCCALL 2013 PD -CALEA CONF. MCCALL 148.75 8/13/2013 MCCALL 2013 PD -CALEA CONF. MCCALL 157.71 236427 8/15/2013 004182 MCDONOUGH & SONS INC, 1,076.28 7/2912013 188641 PKM -07/13 PARKING LOT CLEANING 925.17 7/2912013 188640 PKM -07/13 PARKING LOT CLEANING 151.11 236428 8/15/2013 006008 MCLOUGHLIN & EARDLEY CORP, 995.65 7/29/2013 0156754 -IN PD- REPAIR SIREN CONTROLLER 995.65 236429 8/15/2013 010256 MCMASTER -CARR, 132.34 7/25/2013 56112646 FWCC -HAND TAPS, SOCKET CAP SCR 87.23 7/23/2013 55947303 FWCC- SCREWDRIVER, BINDING POST 28.30 7/24/2013 56032357 FWCC -NYLON LOOP CLAMP 16.81 236430 8/15/2013 005876 MCVAY, PATRICK J 500.00 8/7/2013 AUGUST 7, 2013 PRCS- REPAIR BASEBALL SCULPTURE 500.00 236431 8/15/2013 012823 MILES RESOURCES LLC, 1,301.21 7/22/2013 228907 SWM- ASPHALT MIX 431.52 7/15/2013 228648 SWM- ASPHALT MIX 391.61 7/15/2013 228816 SWM- ASPHALT MIX 136.36 8/6/2013 229560 SWM- ASPHALT MIX 341.72 236432 8/15/2013 008029 MONTES DE OCA RICKS, MARIA 100.00 8/13/2013 08/13/13 MC- INTERPRETER SVC 100.00 236433 8/15/2013 009689 MORGAN SOUND, INC, 93.08 8/7/2013 MS174601 IT -ON THE PHONE CONSULTING AND 93.08 236434 8/15/2013 013262 MORRIS & MORRIS CONSTRUCTION, 832.20 7/21/2013 0513 PKM- CHIMNEY REPAIR, GUTTER CLE 832.20 236435 8/15/2013 005004 MORRIS HANSEN ENTERPRISES INC, 317.00 7/19/2013 39827 DBC - WINDOW CLEANING SVC 317.00 236436 8/15/2013 014956 MORTON, VISOCHANEA 100.00 6/21/2013 06/21/13 MC- INTERPRETER SVC 100.00 236437 8/15/2013 000228 MULTI - SERVICE CENTER, 12.061 35 7/25/2013 2ND QTR 2013 B CDHS -Q2 2013 EMERG. FEEDING PR 3,036.35 7/26/2013 2ND QTR 2013 A CDHS -Q2 2013 FOOD & CLOTHING B 9,025.00 236438 8/15/2013 014958 MURALT, DOUGLAS 8.00 8/1/2013 1327557 PRCS- REFUND DAY PASS 07/13 8.00 236439 8/15/2013 000955 MUTUAL MATERIALS COMPANY, 85.50 8/5/2013 1094873 SWM -GROUT & CEMENT 85.50 236440 8/15/2013 014976 NAM, KI 366.40 8/12/2013 13- 103453 REFUND CD -13- 103453 PERMIT CANCELLED 366.40 Key Bank Page 25 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236441 8/15/2013 001052 NAPAAUTO PARTS, 49.25 6/21/2013 155674 SWM- TRANSMISSION BELTS 49.25 236442 8/15/2013 014876 NATIONAL DEVELOPMENT COUNCIL, 8,333.34 6/26/2013 4063 CDHS -06/13 CDBG TECHNICAL ASSI 4,166.67 7/24/2013 4116 CDHS- 07/13 CDBG TECHNICAL ASSI 4,166.67 236443 8/15/2013 000043 NEW LUMBER & HARDWARE COMPANY, 461.45 7/10/2013 273326 PKM -PAIL & COVER 53.20 7/30/2013 273770 PKM -MISC SCREWS /BOLTS 10.63 7130/2013 273781 PKM- COUPLING, PROPANE TORCH 61.85 7125/2013 273679 PKM- CEMENT, LUMBER, PAIL 75.52 7/26/2013 273711 PKM -MAINT SUPPLIES 6.20 81712013 273987 SWM- MAGNETS 36.42 7/30/2013 273790 SWM -SIDE BOARD MATERIAL 26.13 7/25/2013 273690 SWM- LUMBER CRAYONS, CONCRETE M 31.71 7/29/2013 273742 PWST- CAULKING GUN & CAULK 8.25 7/30/2013 273767 PWST - SIDEWALK REPAIR MATERIAL 9.22 8/1/2013 273831 PWST - SIDEWALK REPLACEMENT MATL 24.63 8/5/2013 273930 PWST -MISC BOLTS /SCREWS 3.79 7/30/2013 273777 PKM- PLIERS, SOCKETS, CABLE TIE 44.29 7/30/2013 273773 PWST- SIDEWALK REPAIR MATERIAL 69.61 236444 8/15/2013 000959 NORSTAR INDUSTRIES INC, 40.30 7/11/2013 49649 PWST -REPLC NOZZLE ON SPRAY TRU 40.30 236445 8/15/2013 011928 NORTHWEST TRANSCRIBERS, 2,060.00 7/28/2013 2100P MC-CA #68128 TRANSCRIPTION 2,060.00 236446 8/15/2013 008820 NOWYR INC., 160.00 8/1/2013 397456 IT- REDUNDANCY INTERNET SVC 160.00 236447 8/1512013 011414 OFFICE DEPOT, 102.44 7/25/2013 668617619001 PD- OFFICE SUPPLIES 77.43 7/25/2013 668617619001 PD- OFFICE SUPPLIES 25.01 236448 8/15/2013 011414 OFFICE DEPOT, 8.19 6/26/2013 659418957001 PD- OFFICE SUPPLIES - PENS 7.38 6/26/2013 659418958001 PD- PENCIL LEAD 0.81 236449 8/15/2013 004292 OLYMPIC SECURITY SERVICES INC, 4,770.85 7/31/2013 SI +0027239 MC -07/13 COURT SECURITYAG09 -1 4,770.85 236450 8115/2013 007444 ORCA PACIFIC INC, 2,007.88 7/22/2013 4318 FWCC -POOL CHEMICAL SVC AG13 -00 707.81 7/30/2013 4545 FWCC -POOL CHEMICAL SVC AG13 -00 660.29 8/2/2013 4680 FWCC -POOL CHEMICAL SVC AG13 -00 639.78 236451 8/15/2013 009920 OSAKA GARDEN SERVICE, 1,378.61 8/1/2013 32069 PKM -08/13 LANDSCAPE MAINTENANC 903.38 8/1/2013 32068 PKM -08/13 LANDSCAPE MAINTENANC 475.23 236452 8/15/2013 006440 PAPE MACHINERY INC, 238.00 7/8/2013 2324335 PWFLT- INSPECT & LUBE 238.00 236453 8/15/2013 011780 PETTY CASH -MC CHANGE FUND, 6.31 8/14/2013 MC- 08/14/13 MC -DOOR STOP, PICTURE FRAME WI 6.31 236454 8/15/2013 006241 PETTY CASH - POLICE DEPT, 325.38 8/8/2013 PD- 08/08/13 PD- COFFEE:VOLUNTEER RECOGNITIO 60.01 8/8/2013 PD- 08/08/13 PD -CAR SEAT CUSHION FOR VOLUNT 19.90 8/8/2013 PD- 08/08/13 PD- STORAGE SUPPLY TOTES- 19.69 8/8/2013 PD- 08/08/13 PD- ADDITIONAL BAGGAGE FEES- 25.00 8/8/2013 PD- 08/08/13 PD- COSTCO PIZZA FOR BARRICADED 54.48 8/8/2013 PD- 08/08/13 PD -LOCK FOR METAL THEFT OPERAT 13.67 8/8/2013 PD- 08/08/13 PD- REIMBURSE FOR CIS CLOTHING 92.65 8/8/2013 PD- 08/08/13 PD- REFRESHMENTS FOR MATT- 39.98 236455 8/15/2013 009791 PIRTEK KENT, 1,286.87 7/8/2013 S1781312.001 PWFLT- REPAIR COUP BODY 263.76 7/29/2013 S1790442.001 PWFLT -REFIT GUARDS, PANELS, HO 341.25 7/29/2013 S1790471.001 PWFLT -REFIT HOSE ASSEMBLIES 364.37 7/29/2013 S1790494.001 PWFLT- COUPLING CARRIER 169.98 7/29/2013 S1791122.001 PWFLT- ADAPTOR 100.86 7/30/2013 S1791140.001 PWFLT -SPARK PLUGS, CAP 46.65 236456 8/15/2013 012915 PITNEY BOWES PRESORT SVC INC, 3,116.96 8/3/2013 3658199 FI -07/13 MAIL CARRIER & POSTAG 1,963.68 Key Bank Page 26 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 336.04 23.71 2,132.97 249.44 928.50 1,878.91 196.57 3,793.00 492.75 483.47 13,054.58 8/3/2013 3658199 FI -07/13 MAIL CARRIER & POSTAG 685.74 8/3/2013 3658199 FI -07/13 MAIL CARRIER & POSTAG 467.54 236457 8/15/2013 000808 PLATT ELECTRIC SUPPLY, 7/26/2013 5369684 CHB- ELECTRICAL SUPPLIES 85.38 7/24/2013 5354413 CHB- ELECTRICAL SUPPLIES 85.38 7/23/2013 5344387 CHB- ELECTRICAL SUPPLIES 29.75 7/23/2013 5350163 CHB- ELECTRICAL SUPPLIES 59.49 7/2312013 5353677 PKM- RETURN ELECTRICAL SUPPLIES -66.34 7126/2013 5380647 PKM -- ELECTRICAL SUPPLIES 142.38 236458 8/15/2013 005583 PRAXAIR DISTRIBUTION INC, 7/20/2013 46679892 PKM- WELDING SUPPLIES 23.71 236460 8/1512013 014953 PRINTERY COMMUNICATIONS INC, 7/29/2013 130813 HR- BUSINESS CARDS 914.41 7/30/2013 130857 HR- BUSINESS CARDS 1,218.56 236461 8/15/2013 010845 PRIORITY PRINT MANAGEMENT INC, 5/31/2013 00032583 PRCS- SUMMER CAMP BANNER 124.72 5/31/2013 00032584 PRCS - PRESCHL REGISTRATION BANN 124.72 236462 8/15/2013 009960 PROFORCE LAW ENFORCEMENT, 7/23/2013 179760 PD -TASER HOLSTER - 2012 JAG 148.70 8/6/2013 180810 PD- TASERS 477.28 8/6/2013 180810 PD- TASERS 302.52 236463 8/15/2013 001259 PROSECUTING ATTORNEYS OFFICE, 8/5/2013 JULY 2013 FI -07/13 CRIME VICTIM FEES NEC 1,872.87 8/5/2013 JULY 2013 FI -07/13 LAW LIBRARY FEES 6.04 236464 8/15/2013 009363 PRO -TOW MAPLE VALLEY, 8/1/2013 117308 PD- VEHICLE TOW SVC 196.57 236465 8/15/2013 012361 PROVIDENCE COMMUNITY, 6/30/2013 JUNE 30, 2013 A PD -06/13 SCAM, EM BASIC - INDI 2,778.00 6/30/2013 JUNE 30, 2013 B PD -06/13 SCAM, EM BASIC - INDI 840.00 6/30/2013 JUNE 30, 2013 C PD -6/13 WORK CREW SCREENING 175.00 236466 8/15/2013 005345 PUGET POSTINGS, 8/9/2013 2292 MC -JURY SOURCE LIST 49275 236467 8/15/2013 014968 PUGET SOUND ENERGY, 8/6/2013 13 -01- 210 -784 RM- 13 -01- 210 -784 PUGET SOUND E 483.47 236468 8/15/2013 000051 PUGET SOUND ENERGY INC, 7/5/2013 300000001978 FWCC -05/13 ELECTRICITY /GAS 490.44 7/29/2013 PWTR 2013 07 PWTR -07/13 199 SW 311TH PLACE- 127.56 7/29/2013 PWTR 2013 07 PWTR -07/13 S320 & 32N DAVE S- 217.24 7/29/2013 PWTR 2013 07 PWTR -07/13 S288TH ST & PAC HWY 418.87 7/29/2013 PWTR 2013 07 PWTR -07/13 32932 7TH CT. SW- 19.59 7/29/2013 PWTR 2013 07 PWTR -07/13 S282ND ST & MILITAR 162.53 7/29/2013 PWTR 2013 07 PWTR -07/13 2140 SW 356TH- 26.40 7/29/2013 PWTR 2013 07 PWTR -07/13 32400 SR 99 NE CRNR 104.44 7/29/2013 PWTR 2013 07 PWTR -07/13 727 S 312TH STREET- 172.05 7/29/2013 PWTR 2013 07 PWTR -07/13 21 AVE SW & 334TH- 121.32 7/29/2013 PWTR 2013 07 PWTR -07/13 3460 SR 99 SW CRNR- 102.01 7/29/2013 PWTR 2013 07 PWTR -07/13 23 AVE S & 317TH - 193.79 7/2912013 PWTR 2013 07 PWTR -07/13 1 ST WAY S & 334TH S 18.73 7/29/2013 PWTR 2013 07 PWTR -07/13 31847 PAC HWY S- 202.60 7/29/2013 PWTR 2013 07 PWTR -07/13 8TH AVE S & DASH PT 52.72 7/29/2013 PWTR 2013 07 PWTR -07/13 35202 ENCHANTED PKW 171.84 7/29/2013 PWTR 2013 07 PWTR -07/13 PAC HWY S & S 330TH 123.19 7/29/2013 PWTR 2013 07 PMR -07/13 31910 GATEWAY CNTR 46.95 7/29/2013 PWTR 2013 07 PWTR -07/13 31200 SR 99 SE CRNR 257.77 7/29/2013 PWTR 2013 07 PWTR -07/13 35505 PAC HWY S- 160.30 7/29/2013 PWTR 2013 07 PWTR -07/13 3420 SW 343RD ST - 26.88 7/29/2013 PWTR 2013 07 PWTR -07/13 S 336TH @ WEYERHAEU 143.62 7/29/2013 PWTR 2013 07 PWTR -07/13 S 320TH ST & 23RD A 224.47 7/29/2013 PWTR 2013 07 PWTR -07/13 36201 MILTON ROAD- 121.83 7/29/2013 PWTR 2013 07 PWTR -07113 S 336TH & PAC HWY- 546.74 7/29/2013 PWTR 2013 07 PWTR -07113 CRNR S 316 & 23RD A 73.96 7/29/2013 PWTR 2013 07 PWTR -07/13 SW 324TH & 11TH PL 139.80 7/29/2013 PWTR 2013 07 PWTR -07/13 36111 16TH AVE S- 88.19 336.04 23.71 2,132.97 249.44 928.50 1,878.91 196.57 3,793.00 492.75 483.47 13,054.58 Key Bank Page 27 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/29/2013 PWTR 2013 07 PWTR -07/13 21STAVE S GRID ROA 89.51 7/29/2013 PWTR 2013 07 PWTR -07/13 35007 16TH AVE S- 98.69 7/29/2013 PWTR 2013 07 PWTR -07/13 S 314TH & 20TH AVE- 150.16 7/29/2013 PWTR 2013 07 PWTR -07113 35909 1STAVE SW FL 10.71 7/29/2013 PWTR 2013 07 PWTR -07/13 STAR LK RD & MILITA 38.93 7/29/2013 PWTR 2013 07 PWTR -07/13 S 348TH & PAC HWY- 177.69 7/29/2013 PWTR 2013 07 PWTR -07/13 1000 SW CAMPUS DRIV 126.98 7/29/2013 PWTR 2013 07 PWTR -07/13 CAMPUS DR & 6TH AVE 62.48 7/29/2013 PWTR 2013 07 PWTR -07/13 VARIOUS LOCATIONS- 27.40 7/29/2013 PWTR 2013 07 PWTR -07113 320TH ST & PAC HWY- 610.43 7/29/2013 PWTR 2013 07 PWTR -07113 308TH ST. & 2ND AVE 10.76 7/29/2013 PWTR 2013 07 PWTR -07/13 1300 S 334TH STREET 23.52 7/29/2013 PWTR 2013 07 PWTR -07/13 S 333ND & 1 ST WAY S 68.26 7/2912013 PWTR 2013 07 PWTR -07/13 SR 161 & 356TH - 69.29 7/29/2013 PWTR 2013 07 PWTR -07/13 36600 PAC HWY S- 11.00 7/29/2013 PWTR 2013 07 PWTR -07/13 33645 20TH PL S- 208.67 7/29/2013 PWTR 2013 07 PWTR -07/13 HOYT RD & 340TH- 78.16 7/29/2013 PWTR 2013 07 PWTR -07/13 1 STAVE S & 330TH S 58.57 7/29/2013 PWTR 2013 07 PWTR -07/13 33507 9TH AVE S- 72.56 7/29/2013 PWTR 2013 07 PWTR -07/13 S 322ND ST & 23RD A 80.05 7/29/2013 PWTR 2013 07 PWTR -07/13 31130 27TH AVE SW- 81.45 7/29/2013 PWTR 2013 07 PWTR -07113 115 S 361ST PL FLAS 10.71 7/29/2013 PWTR 2013 07 PWTR -07/13 SW 340TH ST & HOYT 138.89 7/29/2013 PWTR 2013 07 PWTR -07113 33401 38TH AVE S- 144.19 7/29/2013 PWTR 2013 07 PWTR -07/13 32731 HOYT RD FLASH 10.75 7/29/2013 PWTR 2013 07 PWTR -07/13 1403 SW 312TH FLASH 10.76 7/29/2013 PWTR 2013 07 PWTR -07/13 32400 STATE RT 99 S 90.87 7/29/2013 PWTR 2013 07 PWTR -07/13 35654 9TH AVE SW - 19.69 7/29/2013 PWTR 2013 07 PWTR -07/13 29600 PAC HWY SIGNA 392.75 7/29/2013 PWTR 2013 07 PWTR -07/13 32400 SR 99 SE CRNR 240.19 7/29/2013 PWTR 2013 07 PWTR -07/13 3318 SW 346TH PLACE 34.15 7/29/2013 PWTR 2013 07 PWTR -07/13 SW 308TH ST & 4TH A 10.76 7/29/2013 PWTR 2013 07 PWTR -07/13 33405 6TH AVE S- 37.09 7/29/2013 PWTR 2013 07 PWTR -07/13 2510 SW 336TH 10.85 7/29/2013 PWTR 2013 07 PWTR -07/13 21 STAVE SW & DASH 63.58 7/29/2013 PWTR 2013 07 PWTR -07/13 35106 21 STAVE SW- 41.77 7/29/2013 PWTR 2013 07 PWTR -07/13 SW 312TH & DASH PT- 85.00 7/29/2013 PWTR 2013 07 PWTR -07/13 34800 21 STAVE SW- 81.15 7/29/2013 PWTR 2013 07 PWTR -07/13 23RD AVE & 320TH ST 160.88 7/29/2013 PWTR 2013 07 PWTR -07/13 NE CRNR S 312TH & 2 157.27 7/29/2013 PWTR 2013 07 PWTR -07/13 32562 SW HOYD RD FL 10.75 7/29/2013 PWTR 2013 07 PWTR -07/13 33325 8TH AVE S- 75.59 7/29/2013 PWTR 2013 07 PWTR -07/13 1453 S 308TH STREET 260.34 7/29/2013 PWTR 2013 07 PWTR -07/13 1405 S 312TH STREET 120.18 7/29/2013 PWTR 2013 07 PWTR -07/13 34018 PAC HWY S- 61.45 7/29/2013 PWTR 2013 07 PWTR -07/13 34921 16TH AVE S - 76.02 7129/2013 PWTR 2013 07 PWTR -07/13 HWY 509 & 21 ST AVE- 31.55 7/29/2013 PWTR 2013 07 PWTR -07/13 824 SW 361 ST ST- 157.17 7/29/2013 PWTR 2013 07 PWTR -07/13 31020 14TH AVE S- 30.25 7/29/2013 PWTR 2013 07 PWTR -07/13 SW 329TH WAY & HOYT 10.75 7/29/2013 PWTR 2013 07 PWTR -07/13 SW CRNR 312TH & PAC 182.03 7/29/2013 PWTR 2013 07 PWTR -07/13 34010 20TH AVENUE- 94.98 7/29/2013 PWTR 2013 07 PWTR -07/13 491 S 338TH STREET- 42.96 7/29/2013 PWTR 2013 07 PWTR -07/13 2510 S 336TH STREET 15.56 7/29/2013 PWTR 2013 07 PWTR -07/13 30390 PAC HWY S- 324.76 7/29/2013 PWTR 2013 07 PWTR -07/13 29829 23RD AVE S- 24.32 7/29/2013 PWTR 2013 07 PWTR -07/13 18TH AVE & S 312TH- 65.42 7/29/2013 PWTR 2013 07 PWTR -07/13 296TH PL & MILITARY 27.40 7/29/2013 PWTR 2013 07 PWTR -07/13 21 STAVE SW & 325TH 95.70 7/29/2013 PWTR 2013 07 PWTR -07/13 S 348TH HOV LANE- 179.65 7/29/2013 PWTR 2013 07 PWTR -07/13 S 316TH & PAC HWY- 44.03 7/29/2013 PWTR 2013 07 PWTR -07/13 33800 WEYER. HWY- 204.82 7129/2013 PWTR 2013 07 PWTR -07/13 SW 340TH & 35TH AVE 60.64 7/29/2013 PWTR 2013 07 PWTR -07/13 1790 SW 345TH PLACE 134.01 Key Bank Page 28 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/29/2013 PWTR 2013 07 PWTR -07/13 32000 PAC HWY SE CR 234.92 7/29/2013 PWTR 2013 07 PWTR -07/13 S 348TH ST & 1ST AV 216.00 7/29/2013 PWTR 2013 07 PWTR -07/13 515 S 312TH STREET- 20.47 7/29/2013 PWTR 2013 07 PWTR -07/13 S 320TH ST & WEYER. 203.89 7/29/2013 PWTR 2013 07 PWTR -07/13 1414 S 324TH STREET 33.25 7/29/2013 PWTR 2013 07 PWTR -07/13 31455 28TH AVE S- 88.30 7/29/2013 PWTR 2013 07 PWTR -07/13 2613 S 275TH PLACE- 26.86 7129/2013 PWTR 2013 07 PWTR -07/13 21ST AVE & 356TH SW 79.42 7/29/2013 PWTR 2013 07 PWTR -07/13 322ND ST & 23RD AVE 148.23 7/29/2013 PWTR 2013 07 PWTR -07/13 312TH ST & 23RD AVE 95.13 7/29/2013 PWTR 2013 07 PWTR -07/13 288TH ST & 18TH AV 88.01 7/2912013 PWTR 2013 07 PWTR -07/13 21 STAVE SW & 344TH 235.36 7/2912013 PWTR 2013 07 PWTR -07113 316TH ST & 20TH AVE 70.27 7/29/2013 PWTR 2013 07 PWTR -07/13 304TH ST & MILITARY 69.19 7/29/2013 PWTR 2013 07 PWTR -07/13 33220 ST WAY SOUTH 51.06 7/29/2013 PWTR 2013 07 PWTR -07/13 1ST WAY S & 336TH 79.69 7/29/2013 PWTR 2013 07 PWTR -07/13 1 ST WAY S & 336TH S 50.93 7/29/2013 PWTR 2013 07 PWTR -07/13 2999 SW 314TH ST- 64.85 7/29/2013 PWTR 2013 07 PWTR -07/13 33099 HOYT RD. SW- 201.42 7/29/2013 PWTR 2013 07 PWTR -07/13 28516 24TH AVE S- 20.61 7/29/2013 PWTR 2013 07 PWTR -07/13 35896 PAC HWY S- 80.37 7/29/2013 PWTR 2013 07 PWTR- 07 /13ELECTRICITY /GAS 113.62 236469 8/15/2013 008649 QUALITY WATER SERVICES, 27.32 7/31/2013 79569 DBC- BOTTLE WATER SVC 27.32 236470 8/15/2013 014962 RAMOS, EMILY 40.00 8/1/2013 1327565 PRCS- REFUND DANCE CLASS 07/13 40.00 236471 8/15/2013 010187 RASOR, EVA EDLA 364.50 8/7/2013 JULY 2013 FWCC -07/13 PERSONAL TRAINER SV 66.00 8/7/2013 JULY 2013 FWCC -07/13 PERSONAL TRAINER SV 298.50 236472 8/15/2013 001139 RED WING SHOE STORE, 148.91 7/23/2013 00887014637 SWM- SAFETY BOOTS J LARSON 148.91 236473 8/15/2013 014955 RICHARD WHITEHEAD & ASSOC.LLC, 498.00 6/712013 549 PD- BKGRND INVEST. TRAINING 498.00 236474 8/15/2013 001968 RICOH USA, INC, 85.32 7/4/2013 5026771798 FI -07/13 COPIERS /FAX MACHINES 37.54 7/4/2013 5026771798 FI -07/13 COPIERS /FAX MACHINES 43.51 7/4/2013 5026771798 FI -07/13 COPIERS /FAX MACHINES 4.27 236475 8/15/2013 004298 ROACH GYMNASTICS, 5,481.00 7/26/2013 JULY 26, 2013 PRCS- GYMNASTICS LESSONSAG12 -1 2,349.90 3/31/2013 MARCH 31, 2013 PRCS- GYMNASTICS LESSONS AGI2 -1 3,131.10 236476 8/15/2013 005508 SAFAROVA- DOWNEY, ALMIRA 200.00 7/30/2013 07/30/13 MC- INTERPRETER SVC 100.00 8/6/2013 08/06/13 MC- INTERPRETER SVC 100.00 236477 8/15/2013 003726 SAFEWAY STORE #1555, 149.67 7/30/2013 2324839 PRCS - BACKWARDS BONANZA SUPPLIE 3.98 8/6/2013 2326953 PRCS -WE ARE FAMILY SUPPLIES 86.82 8/8/2013 2326955 PRCS -DAY CAMP SUPPLIES 13.26 8/9/2013 2326958 PRCS -DAY CAMP SUPPLIES 34.22 7/25/2013 2324832 PRCS- COMMOTION LOCK IN SUPPLIE 11.39 236478 8/15/2013 003174 SAN DIEGO POLICE EQUIPMENT CO, 5,725.73 7/17/2013 607496 PD- AMMUNITION 225.11 7/24/2013 607595 PD- POLICE AMMUNITION SUPPLY- 5,500.62 236479 8/15/2013 010878 SAVE OUR FISH CHAPTER, PSA, 531.00 7/29/2013 001 PRCS- HOOKED ON FISHING SUPPLIE 531.00 236480 8/15/2013 011764 SBS LEASING PROG. OF DE LAGE, 109.92 7/6/2013 18579038 IT -CD COPIER RPR, MNT, SUP 109.92 236481 8/15/2013 005417 SCARFF FORD, 277.58 7/23/2013 C26675 RM- PS5131 WINDOW- K.BROWN, RM 277.58 236482 8/15/2013 012981 SCORE, 314,324.67 8/12/2013 434 PD -08/13 SCORE PRISONER LODGIN 186,166.67 8/1212013 434 PD -08/13 SCORE PRISONER LODGIN 128,158.00 236483 8/15/2013 014970 SELAH CENTER, 150.00 7/31/2013 39880 DBC- REFUND RENTAL DEPOSIT 07/1 150.00 Key Bank Page 29 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 236484 8/15/2013 010962 SHARP BUSINESS SYSTEMS, 20.20 7/23/2013 C780573 -701 IT- COPIER RPR, MINT, SUP 20.20 236485 8/15/2013 002501 SHOPE CONCRETE PRODUCTS CO INC, 236.09 8/1/2013 9941569 SWM- CONCRETE SUPPLIES 236.09 236486 8/15/2013 014967 SIGN ON INTERPRETING SERVICE, 581.47 8/5/2013 156026 FI- INTERPRETER -T BROWN TIRING IN 581.47 236487 8115/2013 002683 SIX ROBBLEES' INC, 64.23 7/16/2013 2- 544701 PW /SWM- REBUILD MOW DECK WHEELS 64.23 236488 8/15/2013 001014 SKCSRA- SOCCER REFEREES ASSOC, 2,024.00 7/10/2013 10496 PRCS- SOCCER REFEREESAGI3 -122- 569.25 711'0/2013 10497 PRCS- SOCCER REFEREESAGI3 -122- 948.75 7/10/2013 10498 PRCS- SOCCER REFEREES AGI3 -122- 506.00 236489 8115/2013 014966 SONG, HO BOUNG 64.99 8/2/2013 1328172 PRCS- REFUND 3 MONTH PASS 64.99 236490 8/15/2013 014800 SONSRAY MACHINERY LLC, 515.16 7/24/2013 F56221 PWFLT -REPLC REAR STAB HOSE 515.16 236491 8/15/2013 004963 SOUND PUBLISHING INC, 510.46 7/5/2013 817146 PWST -RFB 13 -108 LEGAL AD 510.46 236492 8/15/2013 004963 SOUND PUBLISHING INC, 20764 7/12/2013 829447 PKM -RFQ MONUMENT SIGNS LEGALA 207.64 236493 8/15/2013 004963 SOUND PUBLISHING INC, 416.74 7/12/2013 831711 CD- NOA/DNS CHURCH OF BLESSING 154.29 7/19/2013 833874 CD- NOA/DNS CHURCH OF BLESSING 164.39 7/26/2013 835662 CD -DNS CAFFE DARTE LEGALAD 98.06 236494 8/15/2013 004963 SOUND PUBLISHING INC, 329.79 7/12/2013 829456 SWM -STLK PUBLIC HEARING LEGAL 152.86 7/5/2013 570616 HRCK - 07/05/13 WEBSITE 138.00 715/2013 829449 HRCK- ORDINANCE 13 -744 LEGALAD 38.93 236495 8/15/2013 004963 SOUND PUBLISHING INC, 54.80 7/1912013 833936 CD -2014 COMP PLAN LEGALAD 54.80 236496 8/15/2013 000285 SOUTH KING FIRE & RESCUE, 100.00 7/24/2013 01171 DBC -2013 FIRE PERMIT 100.00 236497 8/15/2013 001885 SPARKS CAR CARE, 4,849.66 8/5/2013 33288 PD- DIAGNOSIS OVER HEATING, RAID 87.16 8/5/2013 33291 PD -OLF, BRAKES, ROTORS 826.17 8/6/2013 33289 PD -WATER PUMP, OLF, COOLANT 1,030.02 8/2/2013 33284 PD -OLF, BRAKES, TRANSMISSION F 425.00 81712013 33300 PD -OLF, MOUNT 2 NEW TIRES 157.04 8/8/2013 33320 PD- HEADLIGHT 26.73 8/9/2013 33323 PD -OLF 40.99 8/9/2013 33330 PD -OLF 43.58 7/26/2013 33232 PD -OLF 70.84 7/24/2013 33197 PD -OLF, BRAKES, MOUNT NEW TIRE 423.37 7/24/2013 33217 PD- REPAIR TIRE 21.90 7/29/2013 33237 PD- BRAKES, INSPECTA/C 465.92 7/29/2013 33241 PD- REPAIR TIRE 21.90 7/31/2013 33210 PD -OLF, REPAIR A/C 1,023.37 7/31/2013 33257 PD -BRAKE PAD SET 147.67 7/31/2013 33258 PD -OLF 38.00 236498 8/15/2013 007186 SPECIAL INTEREST TOWING, 198.20 8/10/2013 135976 PD- VEHICLE TOW CASE 13 -10202 198.20 236499 8/15/2013 008872 SPECTRA ANALYTICAL INC., DBA SPECTRA Lf 2000 . 7/25/2013 82567 SWM -FECAL COLIFORM TEST SAMPLE 20.00 236500 8/15/2013 010072 ST. VINCENT DE PAUL SOCIETY, 5,000.00 7/26/2013 2ND QTR 2013 CDHS -Q2 2013 EMERGENCY HUMAN S 5,000.00 236501 8115/2013 009566 STAPLES BUSINESS ADVANTAGE, 3,058.00 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 110.29 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 123.86 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 147.06 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 211.89 7/31/2013 8026451502 HR -07/13 PAPER SUPPLY 42.38 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 178.38 Key Bank Page 30 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/31/2013 8026451502 HR -07/13 PAPER SUPPLY 596.56 7/15/2013 326664579 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 10.33 8/15/2013 012425 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 253.97 45.00 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 19.01 PRCS- REFUND COOKING CLASS 08/1 2.52 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 111.44 8/1/2013 1327571 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 439.12 8/15/2013 006033 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 239.40 4,168.67 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 183.84 . PWFLT- FLATBED CHASSIS 4,168.67 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 32.43 THE OLY MOUNTAIN BOYS, 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 62.14 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 72.25 236516 7/31/2013 8026451501 JULY 2013 OFFICE SUPPLIES 138.90 7/31/2013 8026451502 HR -07/13 PAPER SUPPLY 84.75 8/2/2013 236502 8/15/2013 014687 STENDER WHALEY, PLLC, 6,273.59 30,300.00 7/23/2013 509 MO -08/13 PUBLIC DEFENDER SVC A 30,300.00 236503 811512013 003307 STERICYCLE INC, 005623 THUILLIER, JENNIFER 11,14 7/31/2013 3002341284 PD -WASTE DISPOSAL FEES 11.14 7/30/2013 236504 8/15/2013 014959 STREED, WARREN 925.00 236518 27.00 009280 8/112013 1327560 PRCS- REFUND COOKING CLASS 0711 27.00 236505 8/15/2013 003896 SUMMIT LAW GROUP, 7/26/2013 6598 PKM -TREE SERVICEAG11 -003 289.25 7/25/2013 63188 LAW -LT. LABOR NEGOTIATIONSAGI 289.25 236506 8/15/2013 006213 SUNBELT RENTALS, 6,586.43 725.33 7/16/2013 40779710 -001 PKM - SPIDERBOX CABLE 725.33 236507 8/15/2013 002521 SUPERLON PLASTICS INC, 80.18 7/19/2013 131`2060 SWM -SEWER PIPE 80.18 6113/2013 13F1559 SWM -BALL VALVE 83.45 6/19/2013 13CR0087 SWM- RETURN BALL VALVE -83.45 236508 8/15/2013 012946 SURF SHACK ESPRESSO, 125.00 8/5/2013 1329157 PRCS- REFUND RWB VENDOR DEPOSIT 125.00 236509 8/15/2013 013891 SYNERGY BUILDING SERVICES, 4,320.00 8/1/2013 2363 PKM -07/13 JANITORIALAG07 -194 162.00 8/1/2013 2363 PKM -07/13 JANITORIALAG07 -194 4,158.00 236510 8115/2013 009523 SYSTEMS FOR PUBLIC SAFETY, 1,629.72 8/1/2013 22127 PD- REMOVE GTT /REPLC STROBE 321.64 7/26/2013 22060 PD -CHECK CHARGING SYSTEM, REPL 447.99 7/26/2013 22100 PD- REPAIR SIREN 59.45 7/19/2013 21872 PD- INSTALL FLASHLIGHT CHARGER 68.92 7/19/2013 22042 PD- REMOVE EMERGENCY EQUIP. 275.69 7/19/2013 22070 PD -REPLC SIREN SPEAKER 272.24 5/31/2013 21683 PD- REPAIR TOUGH HUB 45.95 8/9/2013 22226 PD- TEST /INSPECT PA MIC 137.84 236511 8/15/2013 000588 TACOMA PUBLIC UTILITIES, 2,215.20 7/24/2013 100048250 DBC -07/13 DASH PT RD- 583.82 7/24/2013 100048250 DBC -07/13 DASH PT. RD- 1,185.31 6/28/2013 100673510 PKM -06/13 DASH PT ROAD IRRIGA 446.07 236512 8/15/2013 009789 TERMINIX, 125.93 7/15/2013 326664579 PKM -07/13 PEST CONTROL SVC 125.93 236513 8/15/2013 012425 TESSIER, ISABEL 45.00 811/2013 1327570 PRCS- REFUND COOKING CLASS 08/1 2.52 8/1/2013 1327571 PRCS- REFUND COOKING CLASS 08/1 42.48 236514 8/15/2013 006033 THE FAB SHOP LLC, 4,168.67 7/15/2013 19194 PWFLT- FLATBED CHASSIS 4,168.67 236515 8/15/2013 014974 THE OLY MOUNTAIN BOYS, 600.00 8/12/2013 AUGUST 14, 2013 PRCS- SUMMER SOUNDS - PYMT TO 0 600.00 236516 8/15/2013 014611 THE PLUMBING JOINT INC, 13,303.82 8/2/2013 60401 CDHS -EHR PATTERSEN AG 12-143- 6,273.59 8/2/2013 60402 CDHS -EHR SMITH AG12 -143 - 7,030.23 236517 8/15/2013 005623 THUILLIER, JENNIFER 925.00 7/30/2013 201355 SWR- GRAPHIC DESIGN SVC BROCHUR 925.00 236518 8/15/2013 009280 THUNDERING OAK ENTERPRISES INC, 602.25 7/26/2013 6598 PKM -TREE SERVICEAG11 -003 602.25 236519 8/15/2013 008678 TOTAL LANDSCAPE CORP, 6,586.43 Key Bank Page 31 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/15/2013 56989 PKM -07/13 LANDSCAPE MAINT SVC 5,666.63 7/31/2013 57047 DBC -07/13 LANDSCAPE MAINT SVC 919.80 236520 8/15/2013 007609 TRI DIM FILTER CORP, 212,853.48 726.43 7/15/2013 1389590 -1 FWCC- FILTERS 726.43 236521 8/15/2013 005549 TRINH, JAMES 8/3/2013 AG 13-065 #4 PWST -2013 OVERLAYAGI3 -065- 200.00 8/13/2013 08113/13 MC- INTERPRETER SVC 100.00 7/30/2013 07/30/13 MC- INTERPRETER SVC 100.00 236522 8/15/2013 014602 TSE INC, 187.50 7/18/2013 00058627 DBC- KITCHEN STAFF 187.50 236523 8/15/2013 003766 TUCCI & SONS INC, 212,853.48 8/3/2013 AG 13-065 #4 PWST -2013 OVERLAY AGI3 -065- 224,056.29 8/3/2013 AG 13-065 #4 PWST -2013 OVERLAYAGI3 -065- - 11,202.81 236524 8/15/2013 002426 UNITED GROCERS CASH & CARRY, 2.280.60 7/19/2013 111240 DBC- CATERING SUPPLIES 212.60 7/24/2013 112675 DBC- CATERING SUPPLIES 516.44 7/27/2013 113943 DBC- CATERING SUPPLIES 312.19 7/25/2013 113170 DBC- CATERING SUPPLIES 282.31 8/112013 115526 FWCC -SWIM TEAM BANQUET SUPPLIE 54.07 7/6/2013 106885 DBC- CATERING SUPPLIES 294.54 7/2/2013 188818 DBC- CATERING SUPPLIES 104.70 7/4/2013 106160 DBC- CATERING SUPPLIES 403.19 8/6/2013 700834 PRCS- RETURN ICE CREAM CONES -12.73 8/1/2013 115410 PRCS -KID'S DAY SUPPLIES 70.64 7117/2013 110496 PRCS -TIKI DANCE SUPPLIES 35.43 7/17/2013 110496 PRCS -TIKI DANCE SUPPLIES 7.22 236525 8/15/2013 003837 UNITED PARCEL SERVICE, 96.50 8/3/2013 000OF6588V313 PD -UPS DELIVERY SVC 13.78 7/27/2013 000OF6588V303 PD -UPS DELIVERY SVC 1.02 7/20/2013 000OF6588V293 PD -UPS DELIVERY SVC 72.00 7/6/2013 000OF8OF48273 IT -UPS DELIVERY SVC 9.70 236526 8/15/2013 003837 UNITED PARCEL SERVICE, 1368 7/31/2013 895270170 PWFLT -UPS SHIPPING - WHEEL 13.68 236527 8/15/2013 010489 UNITED STATES POST OFFICE, 3,49114 817/2013 65596P SWR- RECYCLING BROCHURE MAILING 3,491.14 236528 8/15/2013 005715 USA MOBILITY WIRELESS, 1179 8/2/2013 M163838H IT -08/13 PAGER LEASE 6.13 8/2/2013 W6163838H IT -08/13 PAGER LEASE 5.66 236529 8/15/2013 014730 UTILITIES UNDERGROUND, 336.42 7/31/2013 3070124 SWM- LOCATING SVCAGI3 -018- 336.42 236530 8/15/2013 004552 VALLEY CITIES COUNSELING, 12,883.25 7/24/2013 2ND QTR 2013 B CDHS -Q2 2013 GIRLS CIRCLEAG13 1,250.00 7/26/2013 2ND QTR 2013 C CDHS -Q2 2013 CHILD MENTAL HEAL 10,000.00 7/26/2013 2ND QTR 2013 A CDHS -Q2 2013 YOUTH DEVELOPMENT 1,633.25 236531 8/15/2013 003563 VALLEY COMMUNICATIONS CENTER, 178.85 7/23/2013 0014183 PD -05/13 LANGUAGE LINE USAGE 113.68 8/5/2013 0014236 PD -06/13 VALLEY COM. LANGUAGE 65.17 236532 8/15/2013 006278 VISUAL EFFECTS, 98.46 7/25/2013 18972 RM- PS5131 WINDOW TINT -K. BROWN- 49.23 7/31/2013 18984 PRCS -TINT DRIVER'S DOOR WINDOW 49.23 236533 8/15/2013 007607 WA CITIES INSURANCE AUTHORITY, 892.70 8/1/2013 AUGUST 1, 2013 RM -C. GARNER REIM DED; 7/10/13 246.40 8/1/2013 AUGUST 1, 2013 RM -DASHO REIM DED; 7/9/13 198.00 8/1/2013 AUGUST 1, 2013 RM -YOUNG REIM DED; 7/9/13 443.60 8/1/2013 AUGUST 1, 2013 RM LOANITAADAMS REIM DED; 7/1 4.70 236534 8/15/2013 001379 WA STATE L &I ELEVATOR SECTION, 114.10 9/1/2013 148300 CHB- 09/13 -09/14 ELEVATOR PERMI 114.10 236535 8/15/2013 000851 WA STATE PATROL, 230.00 8/112013 114000376 HR -07/13 BCKGRND CHECKS 230.00 236536 8/15/2013 000514 WASTATE -STATE REVENUES, 128,198.36 8/5/2013 JULY 2013 FI -07113 PSEA COURT FEES #2 28,179.45 8/5/2013 JULY 2013 FI -07/13 PSEA COURT FEES #3 499.05 8/5/2013 JULY 2013 FI -07/13 AUTO THEFT PREVENTION 10,347.02 Key Bank Page 32 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 8/5/2013 JULY 2013 FI -07/13 BRAIN TRAUMA INJ. 1,935.44 8/5/2013 JULY 2013 FI -07/13 STATE PORTION REMIT F 56,232.75 8/5/2013 JULY 2013 FI-07/13 PSEA JIS FEES 23,133.47 8/5/2013 JULY 2013 FI -07/13 TRAUMA VICTIMS 5,327.88 8/5/2013 JULY 2013 FI -07/13 SCHOOL ZONE SAFETY 921.36 8/5/2013 JULY 2013 FI -07/13 HIGHWAY SAFETY 138.82 815/2013 JULY 2013 FI -07/13 DEATH INVESTIGATIONS 87.46 8/5/2013 JULY 2013 FI -07/13 WSP HIGHWAY 496.50 8/5/2013 JULY 2013 FI- 07 /13- ACCESSCOMMACT 112.86 8/5/2013 JULY 2013 FI -07/13 MULTI TRANS.ACCT 112.90 8/5/2013 JULY 2013 FI -07/13 JUDICIAL STABLIZATION 25.90 8/5/2013 JULY 2013 FI -07/13 SBCC SURCHARGE FEES 647.50 236537 8/15/2013 012538 WA. DEPT OF CORRECTIONS, 615.00 6/30/2013 0613.8 -13- KCWC -HQ PD -06/13 WORK CREWAG10 -166 615.00 236538 8/15/2013 006853 WAHI, PRAN 200.00 7/30/2013 07/30/13 MC- INTERPRETER SVC 100.00 8/13/2013 08/13/13 MC- INTERPRETER SVC 100.00 236539 8/15/2013 006007 WALKER ACE HARDWARE, 99.75 7/24/2013 006829 PKM- GLOVES 27.35 7/26/2013 006832 DBC -LIGHT BULBS 37.19 7/31/2013 006838 DBC - FASTNERS 1.93 7/30/2013 006835 DBC -FLAG POLE LIGHT BULBS 33.28 236540 8/15/2013 000343 WASHDUP, LLC, 972.08 7/31/2013 127 PD -07/13 CAR WASH SERVICE 972.08 236541 8/15/2013 005350 WASHINGTON ROCK QUARRIES INC, 12,487.40 7/10/2013 36866 PKM- INFIELD SAND /GRAVEL 3,451.76 7/10/2013 36885 PKM- INFIELD SAND /GRAVEL 3,307.51 7/22/2013 37198 PKM- INFIELD SAND /GRAVEL 2,322.44 7/23/2013 37238 PKM- INFIELD SAND /GRAVEL 3,405.69 236542 8/15/2013 012584 WASHINGTON TRACTOR INC, 1,346.02 7/24/2013 262530 PWFLT -BLADE SET 1,118.13 7/31/2013 267665 PWFLT -V -BELT 227.89 236543 8/15/2013 000783 WASTE MANAGEMENT, 5,442.10 7/29/2013 72913 SWR- SPRING 2013 NEWSLETTER 5,442.10 236544 8/15/2013 012658 WATCH SYSTEMS LLC, 265.46 7/25/2013 20089 PD -RSO COMMUNITY NOTIFICATION 148.09 8/1/2013 20161 PD -RSO NOTIFICATION SVC 117.37 236545 8/15/2013 009995 WATER MANAGEMENT, 90.00 7/30/2013 123136 SWM -ALGAE COUNT WATER SAMPLE 90.00 236546 8/15/2013 000173 WEST PAYMENT CENTER, 123.48 8/1/2013 827782996 PD -07/13 AUTO TRACKXP SVCS 123.48 236547 8/15/2013 000541 WESTERN EQUIPMENT DISTRIBUTORS, 253.86 7/23/2013 731491 PWFLT- ROLLER DECK & SHAFT 253.86 236548 8/15/2013 002204 WILBUR -ELLIS COMPANY, 708,21 8/1/2013 7440931 RI SWM -WEED KILLER 296.82 7/10/2013 7355504 RI SWM- ROUNDUP & ELEMENT 411.39 236549 8/15/2013 014972 WOLF, FLORENCEA 2,606.10 7/30/2013 JULY 30, 2013 PW- DAMAGED FENCE F WOLF 2,606.10 236550 8/15/2013 001206 WSSUA -WA STATE SOFTBALL UMPIRE, 4,230.00 8/1/2013 96 PRCS - SOFTBALL OFFICIALS AGI3 -0 4,230.00 236551 8/15/2013 001121 WWEE -WA WOMEN EMPLOY /EDUCATION, 2,500.00 7/26/2013 2ND QTR 2013 CDHS -Q2 2013 REACH PLUS PROG. 500.00 7/26/2013 2ND QTR 2013 CDHS -Q2 2013 REACH PLUS PROG. 2,000.00 236552 8/15/2013 012305 XTREME GRAPHICS, 328.20 7/29/2013 13 -1162 PKM -PARK RULE SIGNSAG10 -101- 328.20 236553 8/15/2013 008036 YWCA SEATTLE- KING COUNTY, 2,875.00 7/26/2013 2ND QTR 2013 A CDHS -Q2 2013 DV SVCSAGI3 -107- 1,250.00 7/26/2013 2ND QTR 2013 B CDHS -Q2 2013 CHILDREN'S DV PRO 1,625.00 2008256 8/12/2013 000061 WA STATE REVENUE DEPARTMENT, 27,762.44 8/12/2013 601- 223 -5385 FI -07/13 REMIT SALES TAX DBC 4,475.78 8/12/2013 601- 223 -5385 FI -07/13 REMIT SALES TAX 23.46 8/12/2013 601 - 223 -5385 FI -07/13 REMIT SALES TAX 4,286.53 Key Bank Page 33 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 8/1212013 601- 223 -5385 FI -07/13 REMIT SALES TAX DBC 5,620.26 8/12/2013 601- 223 -5385 FI -07/13 REMIT SALES TAX DBC - 4,47538 8/12/2013 601- 223 -5385 FI -07/13 REMIT SALES TAX -FWCC 8,309.56 8/12/2013 601- 223 -5385 FI -07/13 REMIT SALES TAX FWCC 2,150.88 8/12/2013 601 - 223 -5385 FI -07/13 REMIT EXC TAX (ROUNDI -0.04 8/12/2013 601- 223 -5385 FI -07/13 REMIT USE TAX 7,182.92 8/12/2013 601 - 223 -5385 FI -07/13 REMIT SVC TAX/PW STOR 188.87 5210511 7/22/2013 011291 JURY/WITNESS FUND, JULY 2013 PD -SPEED READING TRNG GREGORY 99.00 7/18/2013 5210511 MC- REPLENISH JURY FUND 647.86 5238576 7/22/2013 011291 JURY/WITNESS FUND, JULY 2013 PD -CASE INVESTIGATIONS IN NV 155.20 7/18/2013 5238576 MC- REPLENISH JURY FUND 1,055.24 7133793 8/2/2013 009467 US BANK, JULY 2013 PD- FIRSTAID TRNG KITS 136.22 7134759 8/2/2013 009507 US BANK, 7/25/2013 JULY 2013 PD- PALISADES PARK RESERVATION 90.00 7/25/2013 JULY 2013 PD -2013 WHIA DUES B SKINNER 25.00 7/25/2013 JULY 2013 PD -PMAG MAGAZINES 442.80 7/25/2013 JULY 2013 PD- SNIPER TRNG VANDYKE 598.10 7/25/2013 JULY 2013 PD- GLOCKTRNG IN MOTION SKINNE 195.00 7/25/2013 JULY 2013 PD -RWB OFFICER'S MEALS 75.53 7/25/2013 JULY 2013 PD- BKGRND INVEST. ST LOUIS MI 1,020.04 7/25/2013 JULY 2013 PD -SPEED READING TRNG GREGORY 99.00 7/25/2013 JULY 2013 PD -CASE INVESTIGATIONS IN NV 977.57 7/25/2013 JULY 2013 PD -CASE INVESTIGATIONS IN NV 155.20 7/25/2013 JULY 2013 PD- FINGERPRINTING TABS 53.00 7/25/2013 JULY 2013 PD- FIRSTAID TRNG KITS 136.22 7/25/2013 JULY 2013 PD- BKGRND INVEST. TRIP MO MICK 25.00 7/25/2013 JULY 2013 PD- BKGRND INVEST. TRIP MO MICK 97.81 7/25/2013 JULY 2013 PD- BARBED WIRE CUTTER 69.95 7/25/2013 JULY 2013 PD- TARGETS 365.83 7/25/2013 JULY 2013 PD -RWB ICE 10.00 7/25/2013 JULY 2013 PD- POLICE ID TAGS 50.00 7/25/2013 JULY 2013 PD- VEHICLE MAINT SUPPLIES- 250.38 7/25/2013 JULY 2013 PD- HANDCUFF KEYS 14.84 7/25/2013 JULY 2013 PD- EXTERNAL HARD DRIVE 79.99 7/25/2013 JULY 2013 PD- VEHICLE KEYS 43.98 7/25/2013 JULY 2013 PD- REPLACEMENT BULBS 21.80 7/25/2013 JULY 2013 PD- BULLETPROOF WARRIOR TRNG HA 209.00 7/25/2013 JULY 2013 PD- BULLETPROOF WARRIOR TRNG DE 209.00 7/25/2013 JULY 2013 PD- BKGRND INVEST. TRIP MO MICK 53.38 7/25/2013 JULY2013 PD-IACA CON F. M ROY 419.60 7/25/2013 JULY 2013 PD -IACA CON F. M ROY 400.00 7/25/2013 JULY 2013 PRCS -PT DEFIANCE ZOO TRIP 91.24 7125/2013 JULY 2013 PRCS - TRAMPOLINE NATION TRIP 69.01 7/25/2013 JULY 2013 PRCS -FIT CAMP MOVIE TICKETS 58.25 7/25/2013 JULY 2013 PRCS -HONEY PEARL CAMP TRIP 60.00 7/25/2013 JULY 2013 FWCC -GROUP POWER LICENSE 685.00 7/25/2013 JULY 2013 FWCC- HANDICAP SIGNS 29.57 7/25/2013 JULY 2013 FWCC -ENTRY DOOR LATCHES 231.35 7/25/2013 JULY 2013 FWCC -CHILD CARE TOYS 68.43 7/25/2013 JULY 2013 FWCC- VARIOUS PROGRAM LAUNCH SU 115.95 7/25/2013 JULY 2013 FWCC -SWIM TEAM RESALE CLOTHING 925.93 7/25/2013 JULY 2013 FWCC- STANCHIONS FOR PINNACLE 277.59 7/25/2013 JULY 2013 FWCC -CPO LICENSE RENEWAL CLASS 383.25 7/25/2013 JULY 2013 PRCS - RAILWAY MUSEUM TRIP 172.80 7/25/2013 JULY 2013 PRCS - RAINIER STEAM TRAIN TRIP 260.00 7/25/2013 JULY 2013 PRCS- OREGON COAST /REDWOODS TRI 2,221.12 7/25/2013 JULY 2013 PWTR -2013 ITE DUES E PRESTON 175.81 7/25/2013 JULY 2013 PW -FIVE MILE LAKE RENTAL 230.00 7/25/2013 JULY 2013 PRCS -FO19 STORAGE UNIT - TO 08 398.00 7/25/2013 JULY 2013 MC- FRAMES FOR STUDENTARTWORK 147.00 7/25/2013 JULY 2013 PRCS -TWO -WAY RADIOS 153.28 7/25/2013 JULY 2013 FI -GASB GUIDE TO GOVERNMENT 19.95 7/25/2013 JULY 2013 FI-CAFR AWARD APPLICATION 505.00 7/25/2013 JULY 2013 SWM-STLK ADVISORY PICNIC SITE 60.00 647.86 1,055.24 6,188.02 29,754.09 Key Bank Page 34 of 35 Check No. Date Vendor Inv Date Invoice Description Amount Check Total 7/25/2013 JULY 2013 SWM-STLK ADVISORY PICNIC FOOD 10.00 7/25/2013 JULY 2013 PRCS -RWB FLAGGERS 277.32 7/25/2013 JULY 2013 PRCS -RWB SUPPLIES 45.16 7/25/2013 JULY 2013 PRCS -RWB PENNANT BANNER 303.78 7/2512013 JULY 2013 PRCS -FIT CAMP MOVIE TICKETS 43.75 7/25/2013 JULY 2013 PRCS -LUNCH AT THE SPACE NEEDLE 624.70 7/25/2013 JULY 2013 PRCS -FIT CAMP MENCHES 66.35 7/25/2013 JULY 2013 PRCS -HONEY PEARL CAMP TRIP 25.79 7/25/2013 JULY 2013 PRCS -MILES FOR MESO SUPPLIES 30.87 7/25/2013 JULY 2013 PRCS -NW TREK DAY CAMP TRIP 1,100.00 7/25/2013 JULY 2013 PRCS- DINNER &A MOVIE 14.00 7/25/2013 JULY 2013 PRCS -DAY CAMP MOVIE TICKETS 881.25 7/25/2013 JULY 2013 PRCS - CRAFTS & CULTURES SUPPLIE 75.76 7/25/2013 JULY 2013 PRCS -RWB STAFF MEALS 59.55 7125/2013 JULY 2013 PRCS -RWB BALLOONS 95.17 7/25/2013 JULY 2013 PRCS -OCEAN CITY CAMP SUPPLIES 45.96 7/25/2013 JULY 2013 PRCS -OCEAN CITY CAMP SUPPLIES 439.39 7/25/2013 JULY 2013 FWCC -CHILD CARE TOYS 68.42 7/25/2013 JULY 2013 PRCS- BRUNCH &A MOVIE 22.00 7/25/2013 JULY 2013 PRCS - TACOMA RAINIERS DAY CAMP 1,640.50 7/25/2013 JULY 2013 PRCS -TEEN TRIP MOVIE TICKETS 22.00 7/25/2013 JULY 2013 PRCS- PATTISONS SKATE DAY CAMP 634.50 7/25/2013 JULY 2013 PRCS -NW TREK DAY CAMP TRIP 945.00 7/25/2013 JULY 2013 PRCS -TEEN PARTY PIZZA 38.33 7/25/2013 JULY 2013 PRCS -NW TREK DAY CAMP TRIP 82.25 7/25/2013 JULY 2013 PRCS -CAMP STORE PRIZES 30.38 7/25/2013 JULY 2013 PRCS- SUNSCREEN FOR CAMP 38.17 7/25/2013 JULY 2013 PRCS - TACOMA RAINIERS TICKETS K 241.50 7/25/2013 JULY 2013 SWM- STORMING THE SOUND SUPPLIE 1,748.86 7/25/2013 JULY 2013 SWIM- STORMING THE SOUND SUPPLIE 1,741.75 7/25/2013 JULY 2013 SWM- STORMING THE SOUND SUPPLIE 950.40 7/25/2013 JULY 2013 SWM- STORMING THE SOUND SUPPLIE 4,887.48 7/2512013 JULY 2013 SWM- STORMING THE SOUND SUPPLIE 3,247.30 7/25/2013 JULY 2013 SWM- STORMING THE SOUND SUPPLIE 1,937.92 7139491 8/2/2013 011218 US BANK, 7/25/2013 JULY 2013 PKM -SOD 383.40 7/25/2013 JULY 2013 HR- FITLINXX BATTERIES 9.25 7/25/2013 JULY 2013 HR- WELLNESS REWARD GIFT CARDS 150.00 7/25/2013 JULY 2013 CD- PASSPORT MAILINGS 204.05 7/25/2013 JULY 2013 CD -2013 IAAP DUES PIETY 126.00 7/25/2013 JULY 2013 CD- ONLINE DICTIONARY 29.95 7/25/2013 JULY 2013 CD- POSTAGE FOR SUPPLIES RETURN 5.25 7/25/2013 JULY 2013 CD- MEETING SUPPLIES 12.48 7/25/2013 JULY 2013 SWM -SUN SCREEN LOTION 26.24 7/25/2013 JULY 2013 SWM- DIGITAL CAMERA 105.10 7/25/2013 JULY 2013 DBC -2013 AOR DUES R VANORSOW 210.00 7/25/2013 JULY 2013 CC -AWC CONF. HONDA, NOBLE -GULL 664.20 7/25/2013 JULY 2013 CC- CHAMBER LUNCH- 25.00 7/25/2013 JULY 2013 PKM - LAMINATING SVC 50.34 7/25/2013 JULY 2013 PKM- CANOPY 87.59 7/25/2013 JULY 2013 DBC - GOOGLE ADWORDS 354.11 7/25/2013 JULY 2013 DBC -A/C UNIT SWITCH 156.64 7/25/2013 JULY 2013 MO- SEATTLE TIMES DIGITAL SUBSC 15.96 7/25/2013 JULY 2013 IT -CELL PHONE CASE 73.90 7/25/2013 JULY 2013 IT -AXIS CAMERA CONTROL APP (JA 7.65 7/25/2013 JULY 2013 CD- OFFICE SUPPLIES 50.98 7/25/2013 JULY 2013 CD -WABO CODE BOOKS 463.00 7/25/2013 JULY 2013 CD- OFFICE SUPPLIES 57.98 7/25/2013 JULY 2013 CD- OFFICE SUPPLIES RETURNED -8.33 7/25/2013 JULY 2013 CD-2013APA DUES SHULL 479.00 7/25/2013 JULY 2013 CD- OFFICE SUPPLIES 6.52 7/25/2013 JULY 2013 CD- OFFICE SUPPLIES 72.11 7/25/2013 JULY 2013 CD- OFFICE SUPPLIES RETURNED -72.11 7/25/2013 JULY 2013 CD -WABO FLASH CARDS 90.05 7.132.13 Key Bank Page 35 of 35 Check No Date Vendor Inv Date Invoice Description Amount Check Total 7/25/2013 JULY 2013 PWFLT -NEW TIRES 536.60 7/25/2013 JULY 2013 PWST- MEMORY CARD READER FOR CA 36.12 7/25/2013 JULY 2013 SWR- RECYCLING CONTAINER LOCKS 152.97 7/25/2013 JULY 2013 IT -TIVO SVC #1 & #2 25.08 7/25/2013 JULY 2013 CDED -IDEA EXCHANGE SPONSOR 500.00 7/25/2013 JULY 2013 CDED -IDEA EXCHANGE CONF. 210.00 7/25/2013 JULY 2013 PW- ENGINEERING NEWS SUBSCRIPTI 94.48 7/25/2013 JULY 2013 SWR -06/13 WASTE REMOVAL SVC 526.64 7/25/2013 JULY 2013 SWR- 06/13 -08/13 YARD WASTE SVC 26.73 7/25/2013 JULY 2013 DBC -06/13 ORGANICS RECYCLING 19.05 7/25/2013 JULY 2013 HR-SERVICEAWARD FRAMES 164.25 7/25/2013 JULY 2013 DBC- CATERING SUPPLIES 6.14 7/25/2013 JULY 2013 DBC- CATERING SUPPLIES— 26.99 7/25/2013 JULY 2013 DBC- CATERING SUPPLIES— 33.11 7/25/2013 JULY 2013 DBC- CATERING SUPPLIES 775.31 7/25/2013 JULY 2013 DBC- KITCHEN STAFF UNIFORMS 162.35 Total Checks Issued 552 Total $3,647,762.29