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02-02-2021 Council Packet - Regular} a 1 CITY COUNCIL REGULAR MEETING AGENDA Remote Meeting February 2, 2021 — 6:30 p.m. Notice: Pursuant to Governor Inslee's Proclamation 20-28, all in -person meetings are prohibited until further notice. The Mayor and Council encourage you use one of the following ways to participate in the meeting: • Watch the meeting live via Federal Way YouTube Channel • Call in and listen to the live meeting: (888) 788-0099 or 253-215-8782 • Public Comment may be submitted via email here, or sign up to provide live comments here • Zoom meeting code: 363 503 282 and passcode: 738163 1. CALL MEETING TO ORDER 2. PLEDGE OF ALLEGIANCE 3. PRESENTATIONS a. AWC Retro Pool Refund Presentation — Peter King b. Proclamation: Black History Month c. Mayor's Emerging Issues and Report • State of the City Address — February 25 at 6:00 p.m. (via Channel 21, YouTube and Facebook Live) • COVID-19 Update — Emergency Manager Ray Gross • Food Drive to support the Federal Way Senior Center (1/30) • African American Community Quarterly Meeting (1/27) • Legislative Update — Steve McNey, Communications and Government Affairs d. Council Committee Reports • Parks/Recreation/Human Services/Public Safety Committee (PRHSPS) • Land Use/Transportation Committee (LUTC) • Finance, Economic Development Regional Affairs Committee (FEDRAC) • Lodging Tax Advisory Committee (LTAC) • Regional Committees Report (PIC) • Council President Report 4. PUBLIC COMMENT Please email comments to COUNCIL@cityoffederalway.com or complete a citizen comment request form (found here) prior to the meeting, to provide comments via telephone during the meeting. All comments are limited to 3 minutes each. The City Council may add items and take action on items not listed on the agenda. Regular Meetings are recorded and televised live on Government Access Channel 21. To view Council Meetings online please visit www.cityoffederalway.com. 5. CONSENT AGENDA Items listed below have been previously reviewed in their entirety by a Council Committee of three members and brought before full Council for approval; all items are enacted by one motion. Individual items may be removed by a Councilmember for separate discussion and subsequent motion. a. Minutes — January 19, 2021 Regular and Special Meetings b. Vouchers — November 2020 c. Vouchers — December 2020 d. Monthly Financial Report — November 2020 e. Monthly Financial Report — Preliminary December 2020 f. Agreement with Seattle Sports Commission to Coordinate the NC AA Swimming Championships 6. COUNCIL BUSINESS Planning Commission Appointments b. Arts Commission Appointment — Alternate to Voting Member 7. COUNCIL REPORTS 8. ADJOURNMENT The City Council may add items and take action on items not listed on the agenda. Regular Meetings are recorded and televised live on Government Access Channel 21. To view Council Meetings online please visit www.cityoffederalway.com. COUNCIL MEETING DATE: February 2, 2021 ITEM #: ---- - - - - --------- . .... . . .... .. .......... .. CITY OF FEDERAL WAY 331INNAM SUBJECT: CITY COUNCIL MEETING MINUTES POLICY QUESTION: Should the City Council approve the draft minutes for the January 19, 2021 Regular and Special Meetings? COMMITTEE: N/A MEETING DATE: N/A AllardIT-In M consent 0 Ordinance Public Hearing El City Council Business 0 Resolution 0 Other STAFF REPORT�BY: Stephanie Courtney, City Clerk DEPT: M r's Office ---- - ------- - - - - Attachments: MMER=-. N-Mzax�� 1. Approve the minutes as presented, 2. Amend the minutes as necessary. MAYOR APPROVAL: N/A N/A CITY CLERK APPROVAL: (Ij) 01142A[U Committee Council Initial;Daw, Initial/Date Initial/Date N/A N/A N/A Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of the minutes as presented (BELOW TO BE COMPLETED BY CITY CLERKS QffICE COUNCIL ACTION: El APPROVED COUNCIL BILL # DENIED First reading TABLED/DEFERRED/NO ACTION Enactment reading MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED - 4/2019 RESOLUTION # CITY Of i-ederal My CITY COTACIL SPECIAL MEETING MINUTE Remote Meeting January 19, 2021 — 5:00 p.m. jjW$jAjqq 1" _ jjj=l=jjjk rer.5�WIMMIN! 9! Ill ill! Will I I I � Ill I '04 OP44 Oe4r City officials in attendance: Council President Susan Honda, Councilmember Lydia Assefa- Dawson, Councilmember Greg Baruso, Councilmember Hoang Tran, Councilmember Leandra Craft, Councilmember Martin Moore, and Councilmember Linda Kochmar. --- • Lodging Tax Advisory Commission • Arts Commission ii-ffe-1Z.-Iry-U51ficli inierr,,ieiz!ea-aptiicaMT,=130rtI Tor open Lulf W-S -�' Commission (LTAC) and Arts Commission. Federal Way City Council Special Minutes Page I of I January 19, 2021 Ak CITY OF Fodjeml My CITY COUNCIL REGULAR MEETING MINTUES Remote Meeting January 19, 2021 — 6:30 p.m. •I 1 1! 1 ii 1! 1!! 1 3! V 1! 1! 111 1 1 111 1 1 ••W ---•I_j-; I City officials in attendance: Mayor Jim Ferrell, Council President Susan Honda, Councilmember Lydia Assefa-Dawson, Councilmember Greg Baruso, Councilmember Hoang Tran, Councilmember Leandra Craft, Councilmember Martin Moore, and Councilmember Linda Kochmar. oirll!ilkin, an- ir; mr! 1•-1, - 0 I I F'J; -4 —= R* Iff k U N 101 IN IIIIIII! iiiiiiiiiii 11111 M ROOF I III Mayor Ferrell read the Mayoral Proclamation and spoke to the importance of a call for action and moving forward to recognize and address systematic racism that exists by developing equitable policies and practices. He issued the proclamation on Martin Luther King Jr. Day. G=. NIZILIPIP]MA1119r. 0 Illar-I&VIII to K11 9.7aTrAll all a] RZIll WITA 1I Lois &V1W 612 National Moment of Unity and Remembrance of those who lost their lives to COVID-19 Mayor Ferrell reported he, along with other staff and Council, attended a socially distanced outdoor event to remember and honor those Americans who lost their lives to COVI D-1 9. He also reported on the possibility of using the Performing Arts and Eveni, Center (PAEC) in conjunction with King County Public Health for vaccine distribution. Federal Way City Council Special Minutes Page I of 7 January 19, 2021 The conversation to use the facility is in the beginning stages and he will continue discussions with Parks Director John Hutton and PAEC Director Brian Hoffman. He also noted the Federal Way Public School Superintendent Dr. Tammy Campbell is very supportive finding a local facility to increase the amount of vaccines available. Councilmembers; thanked the Mayor for the update and asked questions regarding traffic plans and cost recovery for increased cleaning of the facility for safety. 0 Eyes • -♦` Way '-•• IT Director • Fichtner and GIS Analyst Stacey Curry provided a •e-• • into the new city software application (app) and its capabilities including a view point from the user perspective and from the staff side. Mr. Fichtner noted the app launched December 15, 2020 in both the Apple App Store and on Google. Ms. Curry provided a highlight of what the app is used for and its capabilities. She also provided information on the translation abilities of the software, noting the standard portions of the app are translated into the language of the phone user while any special categories or data specific would not. Council thanked Mr. Fichtner and Ms. Curry for their report and information provided. Various clarifying questions were asked. Mayor Ferrell also extended a big thank you to Stacy Curry and Thomas Fichtner for the amount of work they and the rest of IT staff have put into this app for the community. He also thanked the Council for funding the project and echoed comments from the presentation regarding transparency is good government. Parks/Recreation/Human Services/Public Safety Committee (PRHSPS)- Chair Kochmar reported on the January 12 meeting and the items which passed through Committee and moved to this Council Meeting. She noted the next meeting will be February 9 at 5:00 p.m. where a discussion will be held regarding the creation of a list for individuals to easily locate entities to donate goods or money for those in need (such as help with a water bill or food donation). Land Usq�j�nsportation Committee; (LUTQ, Chair Baruso reported on the items that passed this committee and to this Council Meeting, including three ordinances scheduled for second reading and enactment this evening. He announced the next meeting will be February 1 at 5:00 p.m. Zzoom. Hnance, Economic Development Regional Affairs Committee (IFSORAQ: Chair Tran noted the committee did not meet in December and the next meeting will be on January 26 at 5:01 p.m. via Zoom. Lodging 1p)( Advisory �Lbmmittee (LTAQ: Chair Assefa-Dawson reported on the most recent committee meeting and items the committee is working on. She referenced upcoming events and those -• • scaled back due to COVI D-1 • She noted the next meeting would be held Wednesday, February 10 at 10:00 a.m. via Zoom. 7=T oore rz—,17-TF-7 V7-723 schedules, board and committee appointments, and legislative session was discussed. He noted the next meeting would be February 10 at 7:00 p.m. Federal Way City Council Special Minutes Page 2 of 7 January 19, 2021 notified the legislative session has begun with hearings and the opportunity to provide testimony. She is looking forward to meetings held in person again and the opportunity to recognize the two newest Councilmembers Craft and Baruso. She feels the city has responded well to the pandemic. OEM Cynthia Ricks-Maccotan thanked the Mayor for the thoughtful remarks and for the Black Lives Matter proclamation. Betty T lor shared about problems she is experiencing with her apartment complex. She asked what codes or laws are in place in Federal Way to help regulate landlords and repairs. Roger Flygare shared his support for the Veteran's Memorial and shared that Veterans of Foreign Wars (VFW) Post 1741 is also fully in support of this project. 5. CONSENT AGENDA ReA I a. Minutes: January 5, 2021 UNTO 1111MR1111 I a a * IVIIIII 9. Landscape Structure Retainage Release h "On Call" Electrical Services Contract Amendment i. Lease Agreement between Bali Road and the City of Federal Way for Downtown Substation The Humane Society for Tacoma and Pierce County Agreement for Shelter and Related Services k. Police Services Agreement with Commons Mall Ia ATS Verra Mobility Traffic Safety Cameras M. Jail Services Contract — King County Jail n. Jail Services Contract — Issaquah City Jail Federal Way City Council Special Minutes Page 3 of 7 January 19, 2021 COUNCIL PRESIDENT HONDA MOVED APPROVAL OF ITEMS A THROUGH N ON THE CONSENT AGENDA; SECOND BY COUNCILCOUNCILMEMBER KOCHMAR. The motion passed unanimously as follows: Council President Honda yes Councilmember Craft yes Councilmember Assefa-Dawson yes Councilmember Moore yes Councilmember Baruso yes Councilmember Kochmar yes Councilmember Tran yes _ i r i. Veteran Advisory Committee Proposal to Honor Veterans and Families to be Funded 1 iCounty Veterans Program ' • ' • : i : . • •IIIIIi111is •I ` • • . • i •: • • i • ` .:i. i • ` E.. for the project. He reported a large percentage of those asked preferred the memorial be located at Town• .re Park, however due to drainageissues . • lack of •se accessible selected.parking, the Town Center Steps at the Performing Arts and Event Center (PAEC) was adjacentWhile the Veterans Advisory Committee's vision for the project includes more features, the first phase funded by the two King County grants will include a thirty to thirty-five foot flag pole, medallions or markers for each of the service branches, a plaque, and lighting • the entrance of r a Mayor• Councilmembers thanked Mr. Vadino for the presentation and Councilmember von Reichbauer for securing the grant money. They also noted their excitement foris • "• various questions and provided additional ideas for future additions to the memorial. COUNCILMEMBER KOCHMAR MOVED APPROVAL OF THE PROPOSAL BY THE VETERAN'S ADVISORY COMMITTEE TO PLACE A FLAG POLE, SERVICE MEDALLIONS, PLAQUE, AND LIGHTING TO BE LOCATED AT THE TOP OF THE TOWN CENTER STEPS ADJACENT TO THE PERFORMING ARTS AND EVENT CENTER, TO BE FUNDED BY KING COUNTY VETERANS PROGRAM GRANTS; SECOND BY COUNCILMEMBER BARUSO. The motion passed unanimously as follows: Council President Honda yes CouncilmemberAssefa-Dawson yes Councilmember Baruso yes Councilmember Tran yes 1 `•` `• *i` •. Councilmember Craft yes Councilmember Moore yes Councilmember Kochmar yes 1 `•` •• a• — i. ii `• `•` •• �•; Mr. McNey reported the top four legislative priorities (based on • • itimelines) include COVID-19 support; turf funding for Celebration Park and other city parks; Project); and enhanced • for public safety personnel inclu• i body (body - cam) Federal Way City Council Special Minutes Page 4 of 7 January 19, 2021 Mr. Agnew and Mr. McNey also highlighted other priorities which will be pursued as opportunities arise inclu• i environmentaland aircraft environmentali. safety for • supportThe Mayor and Council thanked both Mr. McNey and Mr. Agnew for the report and noted their of lobbying efforts.e• Mr. Agnew •iii luck in Washington DC and look forward to a reportback. COUNCIL PRESIDENT HONDA MOVED APPROVAL OF THE 2021 FEDERAL LEGISLATITI AGENDA; SECOND BY COUNCILMEMBER MOORE. The motion passed unanimously as • i CouncilPresident ♦ r. yes CouncilmemberAssefa-Dawson yes Councilmember Baruso yes Councilmember i•• i i iiiiiiiiiIl�l�Il�iiiiiiii;�i I! ��I is + ii. Council President ♦ ra yes CouncilmemberAssefa-Dawson yes Councilmember Councilmember • Councilmember Councilmember Moore Councilmember Kochmar Councilmember Councilmember Moore yes Councilmember Kochmar • : . is .. i r :..• milli I dre"In •NIN \r unanimouslyEXPIRE DECEMBER 31, 2023; SECOND BY COUNCILMEMBER MOORE. The motion passed follows: Council President Honda yes Councilmember Craft rz CouncilmemberAssefa-Dawson yes Councilmember Moore AN Councilmember Second Reading :. ORDINANCE AN ORDINANCE OF OF r i- i LIMITS; AMENDING FWRC 8.30.020,: . r rr+r AND ADDING A NEW SECTION TO FWRC 8.30. (AMENDING ORDINANCE NOS. 90-29, 92-145, r •• 00 ♦+ r' +•'' ! r• i •s• r r +r it AND i •L. 0 111• :: =1 ZINVI age • 2 • . • • • • Council President Honda yes Councilmember Craft yes CouncilmemberAssefa-Dawson yes Councilmember Moore yes Federal Way City Council Special Minutes Page 5 of 7 January 19, 2021 Councilmember Baruso yes Councilmember Kochmar yes Councilmember Tran yes aF.Tars a • - -• • - • t: • ki I WJNW-11 NJ NJ `- - c COUNCILMEMBER BARUSOOVAL OF THE PROPOSE ORDINANCE; SECOND BY COUNCILMEMBER ASSEFA-DAWSON. The motion passed unanimously as follows: Council President Honda yes Councilmember Craft yes CouncilmemberAssefa-Dawson yes Councilmember Moore yes Councilmember Baruso yes Councilmember Kochmar yes Councilmember Tran yes low- low r . . . •, .. r • r • .. r • i r• ri COUNCILMEMBER BARUSO MOVED APPROVAL OF THE PROPOSED ORDINANCE; SECOND BY COUNCILMEMBER ASSEFA-DAWSON. The motion passed unanimously a5 • • Council President Honda yes CouncilmemberAssefa-Dawson yes Councilmember Baruso yes Councilmember Tran yes Councilmember Craft yes Councilmember Moore yes Councilmember Kochmar yes Federal Way City Council Special Minutes Page 6 of 7 January 19, 2021 Emergency Manager Ray Gross and the city's continued collaboration with the School District. He is pleased to see clean energy priority on the federal legislative agenda. Councilmember Craft echoed comments thanking Jeri -Lynn Clark for her work in coordinating the MILK Jr. Celebration with the Diversity Commission; she thought it was a very thoughtful presentation and a good representation of Federal Way to share with friends and family outside the community. She also thanked the Mayor for the Black Lives Matter Proclamation and would like to take this week and reflect on the future and 2021. She reflected on a statement which resonated with her and her young daughter noting this will be the last day America will not have had a female vice president. She finds it personally exciting and inspiriting to see a woman of color representing such a high office. Councilmember Tran encouraged those who are able to take the COVI D vaccine please do so (with health care professionals' direction). He strongly encouraged social distance as we are not out of the woods with the pandemic. He is looking forward to 2021. Councilmember Baruso thanked the Diversity Commission for the MLK Jr. Event and noted it was different than those he had been a part of for the last twelve years. He also appreciated the Mayoral Proclamation recognizing Black Lives Matter and feels the community needs more healing. He thanked Thomas Fichtner and Stacey Curry for the work on the new app "Eyes on Federal Way"; he is looking forward to seeing citizens utilize this and help keep the city clean. He noted he has personally received both vaccine shots and encouraged everyone to maintain social distancing and hand washing. He noted the Council is hosting a socially distanced food drive to support the Senior Center on January 30. Councilmember Assefa-Dawson thanked her Council colleagues and shared appreciation for everything they have stated. She thanked the Mayor for the Black Lives Matter Proclamation and for listening to the community and acting on it. She believes it is never too late to recognize and act and make a strong statement. As a mother of three black men, she has had to had difficult conversations with them because of the color of their skin. She also provided her thoughts on immigrants who are coming to this country to find a better life than what they left behind. 04, 1 i 010 AN on Government Access Channel 22. She highlighted many training opportunities through MRSC and encouraged councilmember participation. She thanked Councilmember Baruso and Chris Brown for working on the Food Drive for the Senior Center which will be held on Saturday, January 30. She said due to social distancing they are not looking for any more volunteers. She reflected on 2020 and that she is looking forward to the rest of 2021 and asks everyone to be kind and show grace. She also encouraged mental health by turning off social media and the news for less exposure. Stephanie Courtney City Clerk Federal Way City Council Special Minutes Page 7 of 7 January 19, 2021 SUBJECT: AP VOUCHERS 11/16/2020 -12/15/2020 AND PAYROLL VOUCHERS 11/01/2020-11/30/2020 POLICY QUESTION: Should the City Council approve the AP vouchers in the total amount of $6,459,065.37 and payroll vouchers in the total amount of $3,626,005.64? COMMITTEE: Finance, Economic Development, and Regional Affairs Committee MEETING DATE: January 26, 2021 CATEGORY: Consent Ordinance E] Public Hearing City Council Business E] Resolution Other STAFF REPORTBY: A&Ariwoola, Finance Director DEPT: Finance 1, 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 Mil , *Ic(dcr, I Way, �Washi gton, �a�nd at I am authorized to authenticate and certify said liens. <'7 Finance Director Attachments: Voucher List . ... ......... .. MAYOR APPROVAL: IRECTOR APPROVAL: OE mu Initial' t(I �PL41Initial 'V3-1 COMMITTEE COMMENDATION: I move toforward the vouchers to the February 02, 2021 consent agendafor approval. Committee Chair Committee Member 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: 0 APPROVED COUNCIL BILL El DENIED Ill reading El TABLED/DEFERRED/NO ACTION Enactment reading 11 MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/ 12/20 10 RESOLUTION # City of Federal Way - Accounts Payable Check List Key Bank Page 1 of 56 Check No. Date Vendor Invoice Date Invoice DescriRtion AmountGI-Total ACCOUNT PAYABLE-ESCOM $27,695.26 275276 11130/2020 VIGOR INDUSTRIAL, ATTN HIL11/20/2020 59263-59267 $27,695.26 PKDBC-RE FUND59263-59267 ADVERTISING $9,613.27 1123202059 11123/2020 US BANK, 10/2612020 OCT 2020 CITY VISA $214.51 FWCC-MO MARKETING FEE CONSTANT 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $49.11 FWCC-GOOGLE ADS MARKETING 275254 11/30/2020 SOUND PUBLISHING INC, 10/30/2020 8004093 $500.00 FWCC-AD ACCT #83722480 275233 11/30/2020 PETTY CASH - FWCC, 11/27/2020 11/17/20 $10,00 PARKS-FACEBOOK-AD 275147 11/30/2020 BUILDERS EXCHANGE OF, 10/8/2020 1067134 $119.30 PWST-PUBLISH PROJECTS ONLINE 275147 11/30/2020 BUILDERS EXCHANGE OF, 10/812020 1067134 $92.45 PWST-PUBLISH PROJECTS ONLINE 275147 11/30/2020 BUILDERS EXCHANGE OF, 10/8/2020 1067134 $77.90 PWST-PUBLISH PROJECTS ONLINE 275436 12/15/2020 SOUND PUBLISHING INC, 11/1312020 2531390, 1406 &1391 $450-00 FWCC-AD ACCT #83722480 2531390 275436 12/15/2020 SOUND PUBLISHING INC, 1111312020 2531390, 1406 &1391 $450.00 FWCC-AD ACCT #83722480 2531390 275436 12/15/2020 SOUND PUBLISHING INC, 11/11/2020 2352907 $450.00 MO -AD #83733388 VETERANS DAY 275308 12/1512020 ADVOCATES INC, 12/8/2020 NOV-DEC 2020 $7,200.00 MO-11-12/20-LOBBYING SVC AG16- AGRICULTURAL SUPPLIES $15,624.44 275161 11/30/2020 EWING IRRIGATION PRODUC-6/23/2020 11952204 $417.99 PKIM-MAINT SUPPLIES 275177 11/30/2020 HOME DEPOT-DEPT 32-2500719/3/2020 1614774 $65.93 PWST-REPAIR & MAINT SUPPLIES 275284 11/3012020 WASHINGTON TRACTOR INC, 10/112020 2211182 $11,981,08 SCAG TOWABLE TRUCK LOADER 275284 11/30/2020 WASHINGTON TRACTOR INC, 10/1/2020 2211182 $1,198,11 Sales Tax 275161 11/3012020 EWING IRRIGATION PRODUC-3/23/2020 11221182 $236,90 PKM-MAINT SUPPLIES 275309 12/15/2020 AGRISHOP INC, 12/1112020 63067/1 $134,62 CHB-EQUIPMENT PARTS & REPAIRS 275340 12/15/2020 CORE & MAIN LP, 11118/2020 N363184 $27.48 PKM-MAINT SUPPLIES 275354 12/15/2020 EWING IRRIGATION PRODUC'12/1/2020 13131324 $1,562,33 PKM-MAINT SUPPLIES AIRFARE $-216.20 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 RD VISA $-216.20 PD-AKAIRLINES, PRINCE, DAVID ANIMAL LICENSE $120.00 275335 12/1512020 COLLETT, WESLEY 12/4/2020 12/04/20 $120.00 PD-REFUND ASPHALT & ROAD OIL $7,110.92 Key Bank Page 2 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275439 12/15/2020 SPECIAL ASPHALT PRODUCTI8/20/2020 INVC084462 $4,981.02 PWST-CRACK SEAL PRODUCT FOR RE 275439 12/15/2020 SPECIALASPHALT PRODUCTI8117/2020 INVC084423 $2,129,90 PWST-CRACK SEAL PRODUCT FOR RE ASSOCIATION DUES $104.95 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $4.95 CC-10/20 FW MIRROR ONLINE SUBS 275465 12/15/2020 WA DEPT OF LABOR & INDUS'9/17/2020 34235 $50.00 PD-EXPLOSIVES LICENSE #EXUSOOO 275465 12/15/2020 WA DEPT OF LABOR & INDUS'11/12/2020 34589 $50,00 PD-EXPLOSIVES LICENSE #EXUSOOO ATHLETIC SUPPLIES $131.98 1120204759 11/20/2020 US BANK, 11/20/2020 OCT 2020 CITY VISA $131.98 FWCC-BARRIER NET BOOKS, MAPS, & PERIODICALS $8,248.94 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $4.95 PD-FWMIRROR SUBSCRIPTION ONLIN 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $4,.95 MO -DIGITAL SUBSCRIPTION FW MIR 1123202059 11/23/2020 US BANK, 10126/2020 OCT 2020 CITY VISA $4,111.71 CD-WABO LICENSE/CODES/AMENDMEN 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $4,127.33 CD-WABO CODES/AMENDMENTS, ETC BUILDING MATERIALS $1,126.99 275003 11/20/2020 HOME DEPOT-DEPT 32-25007;11/10/2020 3621767 $65,35 CHB-REPAIR & MAINT SUPPLIES 275029 11/20/2020 SHERWIN-WILLIAMS CO, 11/12/2020 4815-8 $105,,93 CHB-FACILITIES PAINT SUPPLIES 1120209491 11/20/2020 US BANK, 11/20/2020 OCT 2020 PROCARD $166,32 CHB-MAINT SUPPLIES 1120209491 11/20/2020 US BANK, 11/20/2020 OCT 2020 PROCARD $165.,68 CHB-MAINT SUPPLIES' 1120209491 11/20/2020 US BANK, 11/20/2020 OCT 2020 PROCARD $212,27 CHB-MAINT SUPPLIES 1120209491 11/20/2020 US BANK, 11/20/2020 OCT 2020 PROCARD $129,23 CHB-MAINT SUPPLIES 275205 11/30/2020 LO 'S HIW INC, 11/5/2020 01348 $282,21 PK-MAINT SUPPLIES BUILDINGISTRUCTURES $21,267,99 275122 11/24/2020 WILLIAMS SCOTSMAN INC, 10/30/2020 8237997 $21,267.99 PWST-EMERGENCY OFFICE TO HOUSE BULK CLASS POSTAGE $6,814.00 275458 12/15/2020 UNITED STATES POST OFFICEI2/8/2020 12/08/20 $6,814,00 SWR-BULK MAILING CELLULAR PHONE AIR TIME $16,193.97 275314 12/15/2020 AT&T MOBILITY, 11/5/2020 287290386709X1113202 $502,85 IT-11/20 DATA CARDS 275461 12/15/2020 VERIZON WIRELESS, 11/13/2020 9867022223 $6,099.42 IT/PAEC-11/20 CELLULAR SVC 275461 12/15/2020 VERIZON WIRELESS, 11/13/2020 9867022224 $399.78 IT-11/20 CELLULAR SVC ACCT Page 3 of 56 Key Bank Check No Date Vendor Invoice Date Invoice Descrition AmountGLTotal 275453 12/15/2020 T-MOBILE USA INC, 11/21/2020 830401935 $145 92 IT-11/20 CELLULAR SVC 275461 12/15/2020 VERIZON WIRELESS, 11/13/2020 9867022223 $165,50 IT/PAEC-11/20 CELLULAR SVC 275314 12/15/2020 AT&T MOBILITY, 11/11/2020 287288982773Y1119202 $3,641,90 IT-11120 DATA CARDS 275461 12/15/2020 VERIZON WIRELESS, 11/13/2020 9867022223 $5,125.93 IT/PAEC-11/20 CELLULAR SVC 275461 12/15/2020 VERIZON WIRELESS, 11/13/2020 9867022224 $112,67 IT-11/20 CELLULAR SVC ACCT CEMENT $18.27 275393 12/15/2020 LOWE`S HIW INC, 7/30/2020 01234 $18.27 PWST-MAINT SUPPLIES CLOTHING AND FOOTWEAR $13,998.38 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $1,019,00 PD-AMAZON 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $59.37 PD-AMAZON 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $49,48 PD-AMAZON 275031 11/20/2020 SPORTSMAN'S WAREHOUSE.10/13/2020 210-06924 $276 05 SWM-UNIFORM SUPPLIES 275258 11/30/2020 SPORTSMAN'S WAREHOUSE,10/30/2020 210-07153 $49,49 SWM-UNIFORM SUPPLIES 275255 11/30/2020 SOUND UNIFORM/BRAT AR10/28/2020 202010SU627 $154.,28 202010SU583 275126 11/30/2020 911 SUPPLY INC, 11/4/2020 INV-2-6391 $489,45 PD-UNIFORM SUPPLIES 275126 11/30/2020 911 SUPPLY INC, 11/4/2020 INV-2-6392 $406.95 PD-UNIFORM SUPPLIES 275126 11/30/2020 911 SUPPLY INC, 11/4/2020 INV-2-6393 $45Z31 PD-UNIFORM SUPPLIES 275126 11/30/2020 911 SUPPLY INC, 11/10/2020 INV-2-6518 $87.98 PD-UNIFORM SUPPLIES 275126 11/30/2020 911 SUPPLY INC, 11/10/2020 INV-2-6520 $65.98 PD-UNIFORM SUPPLIES 275237 11/30/2020 PON, KEITH 11/12/2020 PON 2020 $198.91 PD-EQUIP ALLOW 275289 11/30/2020 WHITE, DOCK 11/21/2020 WHITE 2020 $200,00 PD-WORK BOOTS 275146 11/30/2020 BUCHANAN, KYLE 11/23/2020 BUCHANAN 2020 $200,00 PD-EQUIP ALLOW 275285 11/30/2020 WASHINGTON WORKWEAR LI9/18/2020 5030 $63348 PWST-UNIFORM SUPPLIES 275285 11/30/2020 WASHINGTON WORKWEAR LI9/18/2020 5031 $876.73 PWST-UNIFORM SUPPLIES 275285 11/30/2020 WASHINGTON WORKWEAR 1-I10/1412020 5063 $690,33 PWST-UNIFORM SUPPLIES 275195 11/30/2020 KLINGELE, BRYAN 11/12/2020 KLINGELE 2020 $373.77 PD-CIS CLOTHING ALLOW 275126 11/30/2020 911 SUPPLY INC, 11/10/2020 INV-2-6519 $1,631.58 PD-UNIFORM SUPPLIES Key Bank Page 4 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275154 11/30/2020 COFFEY, MICHAEL 11/17/2020 COFFEY 2020 $596,88 PD-CLOTHING ALLOWANCE 275210 11/30/2020 MCGOWAN, JULIE 11/6/2020 MCGOWAN 2020 $389,88 PD-CLOTHING ALLOWANCE 275258 11/30/2020 SPORTSMAN'S WAREHOUSE,10119/2020 210-06984 $120.99 PK-UNIFORM SUPPLIES 275441 12/15/2020 SPORTSMAN'S WAREHOUSE,12/3/2020 210-07675 $208.98 PKM-UNIFORM SUPPLIES 275321 12/15/2020 BOYD, TOM 12/712020 BOYD 2020 $222.00 PARKS -BOOT ALLOW 275385 12/15/2020 KLINGELE, BRYAN 12/1/2020 KLINGELE 2020 $101,94 PD-CIS CLOTHING ALLOW 275411 12/15/2020 OTTO, JEFFERY 11/30/2020 OTTO 2020 $200.00 PD-CLOTHING ALLOWANCE 275437 12/15/2020 SOUND UNIFORM/BRATWEAR9/22/2020 2020009SU567 $581.86 PD-UNIFORM/EQUIPMENT 275437 12/15/2020 SOUND UNIFORM/BRATWEARI1/17/2020 202011SU571 $39,67 PD-UNIFORM/EQUIPMENT 275482 12/15/2020 WORTMAN, STEVEN 11/22/2020 WORTMAN 2020 $200.00 PD-BOOTS ALLOW 275303 12/15/2020 911 SUPPLY INC, 11/23/2020 INV-2-6766 $29„69 PD-UNIFORM SUPPLIES 275303 12/15/2020 911 SUPPLY INC, 11/23/2020 INV-2-6767 $423.45 PD-UNIFORM SUPPLIES 275303 12/15/2020 911 SUPPLY INC, 11/27/2020 INV-2-6877 $35 16 PD-UNIFORM SUPPLIES 275324 12/15/2020 BUTTS, KYLE 12/1/2020 BUTTS 2020 $200.00 PD-EQUIPMENT ALLOWANCE 275303 12/15/2020 911 SUPPLY INC, 12/212020 INV-2-6953 $256.18 PD-UNIFORM SUPPLIES 275403 12/15/2020 NADER, SARA 12/7/2020 NADER 2020 $200.00 PD-UNIFORM/EQUIP ALLOW 275320 12/15/2020 BLACKSHEAR, RB 12/8/2020 BLACKSHEAR 2020 $200,00 PD-EQUIPMENT ALLOWANCE 275361 12/15/2020 GOTCHER, SEAN 12/812020 GOTCHER 2020 $549.54 PD-CLOTHING ALLOW 275369 12/15/2020 HEAVENER, DONOVAN 12/8/2020 HEAVENER 2020 $85.79 PD-UNIFORM ALLOW 275303 12/15/2020 911 SUPPLY INC, 11/23/2020 INV-2-6768 $543.40 PD-UNIFORM SUPPLIES 275423 12/15/2020 PVP COMMUNICATIONS, INC, 11/24/2020 128460 $897,83 PD-HELMET COMM KIT COMMUNICATIONS $8,681.66 275327 12/15/2020 CENTURYLINK, 9/20/2020 160206954 $640,29 IT-09/20 FACILITY PHONE SERVIC 275329 12/15/2020 CENTURYLINK, 10/4/2020 206-Z04-0609 472B $542,65 IT-10/20 PHONE SERVICES 275327 12/15/2020 CENTURYLINK, 10/20/2020 161659560 $789,50 IT-10120 FACILITY PHONE SERVIC 275327 12/15/2020 CENTURYLINK, 11/20/2020 171273225 $762,70 IT-11/20 FACILITY PHONE SERVIC Key Bank Page 5 of 56 Check No, Date Vendor Invoice Date Invoice Descri tion AmountGL Total 275328 12/15/2020 CENTURYLINK, 12/4/2020 206-Z04-0609 472B $736.00 IT-12120 PHONE SERVICES 275328 12/15/2020 CENTURYLINK, 12/10/2020 206-Z04-0609472B $739,76 IT-11/20 PHONE SERVICES 275311 12/15/2020 AMERICALL COMM LINICATIOM1/18/2020 2D6417201118 $86.62 SWM/PWST/CHB-CALL CENTER SVC 275311 12/15/2020 AMERICALL COMM UNICATION11/18/2020 2D6417201118 $86.61 SWM/PWST/CHB-CALL CENTER SVC 275327 12/15/2020 CENTURYLINK, 9/20/2020 160206954 $640,30 IT-09120 FACILITY PHONE SERVIC 275329 12/15/2020 CENTURYLINK, 10/4/2020 206-Z04-0609472B $542,66 IT-10/20 PHONE SERVICES 275327 12/1512020 CENTURYLINK, 10/20/2020 161659560 $789.50 IT-10/20 FACILITY PHONE SERVIC 275327 12/15/2020 CENTURYLINK, 11/20/2020 171273225 $762.69 IT-11/20 FACILITY PHONE SERVIC 275328 12/15/2020 CENTURYLINK, 12/4/2020 206-Z04-0609472B $736.00 IT-12120 PHONE SERVICES 275328 12/15/2020 CENTURYLINK, 12/10/2020 206-Z04-0609 472B $739.76 IT-11/20 PHONE SERVICES 275311 12/15/2020 AMERICALL COMMUNICATION11/18/2020 2136417201118 $86,62 SWM/PWST/CHB-CALL CENTER SVC COMPUTER HA D A EIEQUIP E T $31,926.09 275004 11/20/2020 HP INC., 11/4/2020 9010941327 $533.58 IT-COVID19-PW-GETAC 120W 11-16 275004 11/20/2020 HP INC,, 11/4/2020 9010941327 $53.36 Sales Tax 275004 11/20/2020 HP INC., 11/4/2020 9010944133 $3,118.26 IT-COVID19-PW-GETAC S410 G3 VE 275004 11/20/2020 HP INC,, 11/4/2020 9010944133 $311.83 Sales Tax 275004 11/20/2020 HP INC,;, 11/5/2020 9010948568 $658.62 IT-COVIDI9- S410 6 CELL SECOND 275004 11/20/2020 HP INC., 11/5/2020 9010948568 $1,552.80 IT-COVIDI9- S410-EXTENDED WARR 1120204759 11/20/2020 US BANK, 11/20/2020 USQ-0013-2743 $3,757.61 IT -LAPTOPS 275004 11/20/2020 HP INC., 11/5/2020 9010948568 $658.62 IT-COVIDI9- BACKPACK 275004 11/20/2020 HP INC,, 11/5/2020 9010948568 $287.00 Sales Tax 1120204759 11/20/2020 US BANK, 11/18/2020 USQ-0006-7272 $4,976.33 IT -LAPTOPS 275004 11/20/2020 HP INC., 11/19/2020 9010944132 $12,672,00 IT-COVIDI9-S410 G3 BASIC - INT 275004 11/20/2020 HP INC., 11/19/2020 9010944132 $1,519,98 IT-COVIDI9- S410 - OFFICE DOCK 275004 11/20/2020 HP INC., 11/19/2020 9010944132 $1,419„20 Sales Tax 275179 11/30/2020 HP INC.. 10/13/2020 9010848125 $370,00 IT -MC -PROBATION HP THUNDERBOLT Key Bank Page 6 of 56 Check No Date Vendor Invoice Date Invoice Description AmountGL Total 275179 11/30/2020 HIP INC., 10/13/2020 9010848125 $37.00 Sales Tax COMPUTER SOFTWARE -MAJOR $107,785.15 274983 11120/2020 CITIES DIGITAL INC, 11120/2020 50296 $1,495.00 IT-COVID-LASERFICHEAVENTE IMP 274983 11/2012020 CITIES DIGITAL INC, 11120/2020 50296 $3,000.00 IT-COVID-LASERFICHE FORMS PROF 274983 11/20/2020 CITIES DIGITAL INC, 11/20/2020 50296 $36,000.00 IT-COVID-LASERFICHEAVANTE FILL 274983 11/20/2020 CITIES DIGITAL INC, 11120/2020 50296 $5,000.00 IT-COVID-LASERFICHE AVENTE MS 274983 11/20/2020 CITIES DIGITAL INC, 11/2012020 50296 $400,00 IT-COVID-CITIES DIGITAL DOCUSI 274983 11120/2020 CITIES DIGITAL INC, 11/20/2020 50296 $3,300,00 IT-COVID-SILVER-ADVANCED SERVI 274983 1112012020 CITIES DIGITAL INC, 11/20/2020 50296 $-60,964,24 IT-COVID-TRADE IN - OLD LASERF 274983 11120/2020 CITIES DIGITAL INC, 11/20/2020 50296 $13,713,00 Sales Tax 274983 11/20/2020 CITIES DIGITAL INC, 11/20/2020 50296 $600.00 IT-COVID-LASERFICHE FORMS PROF 274983 11120/2020 CITIES DIGITAL INC, 11/20/2020 50296 $7,200.00 T-COVID-LASERFICHE AVANTE FUL 274983 11/20/2020 CITIES DIGITAL INC, 11/20/2020 50296 $1 ,600.00 IT-COVID-LASERFICHEAVANTE FOR 274983 11/20/2020 CITIES DIGITAL INC, 11/20/2020 50296 $9,000,00 T-COVID-LASERFICHEAVANTE PUB 274983 11/20/2020 CITIES DIGITAL INC, 11/20/2020 50296 $10,200.00 IT-COVID-LASERFICHE ANNUAL SUB 274983 11/20/2020 CITIES DIGITAL INC, 11/2012020 50296 $2,850,00 IT-COVID-DOCUSIGN LICENSING/MA 274983 11/20/2020 CITIES DIGITAL INC, 11/2012020 50296 $7,995.00 IT-COVID-LASERFICHE AVANTE FOR 274983 11120/2020 CITIES DIGITAL INC, 11/20/2020 50296 $45.000-00 IT-COVID-LASERFICHE AVANTE PUB 274983 11/20/2020 CITIES DIGITAL INC, 11/20/2020 50296 $2,000.00 IT-COVID-CITIES DIGITAL DOCUSI 274983 11/20/2020 CITIES DIGITAL INC, 11120/2020 50296 $1,000.00 IT-COVID-LASERFICHEAVANTE MS 274983 11/20/2020 CITIES DIGITAL INC, 11/20/2020 50296 $390,00 IT-COVID-LASERFICHE AVANTE AGE 274983 11120/2020 CITIES DIGITAL INC, 11/20/2020 50296 $100.00 IT-COVID-LASERFICHE AVANTE SCA 275192 1113012020 KING COUNTY GIS CENTER, 11/12/2020 2129142 $7,500.00 IT-GIS 3" ORTHOGONAL PHOTOS 20 275192 11/30/2020 KING COUNTY GIS CENTER, 11/12/2020 2129142 $42600 IT-GIS 3" ORTHONAL PHOTOS 2017 275294 12/1/2020 CITIES DIGITAL INC, 11/25/2020 50303 $7,49&00 T-COVID-LASERFICHE FORMS PORT 275294 12/1/2020 CITIES DIGITAL INC, 11/25/2020 50303 $1,578,08 IT-COVID-LASERFICHE FORMS PORT Key Bank Page 7 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGLTotal 275294 12/1/2020 CITIES DIGITAL INC, 11/2512020 50303 $907.31 Sales Tax CONCEAL PISTOL LIC-NEW-CITY $18.00 275414 12/15/2020 PETRUS, YAROSLAV 1 11/10/2020 11/10/20 $18,00 PD-REFUND CONCEALED PISTOL LIC - FBI $861.25 275414 12115/2020 PETRUS, YAROSLAV 1 11/10/2020 11110120 $13,25 PD-REFUND 275470 12/15/2020 WA STATE PATROL, 12/312020 121002918 $848,00 PD-BACKGROUND CHECKS CONCEALED PISTOL LIC - STATE $2,226.00 275414 12/15/2020 PETRUS, YAROSLAV 1 1111012020 11110/20 $18.00 PD-REFUND 275468 12/15/2020 WA STATE DEPT OF LICENSIN11/30/2020 11/30120 CPL FEES $2,208.00 PD-11/31/2020 CPL FEES--- CONFERENCE/SEMINAR REGISTRATH $19,393.32 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $447,00 PD-JUSTICE CLEARNING HOUSE ACO 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $447.00 PD-JUSTICE CLEARNING HOUSE ACO 1117203793 11117/2020 US BANK, 10/2612020 OCT 2020 PD VISA $295,00 PD-COVERT MEDIA CONSULTING TRA 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $350,00 PD-SAFARILAND-CHEMICEL MUNITIO 1117203793 11117/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $250,00 PD-GLOCK TRAINING MCCONNELL 1117203793 11/17/2020 US BANK, 10/2612020 OCT 2020 PD VISA $250,00 PD-ON TRAGET TRAINING OTTO 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $79.00 PD-FRED PRYOR TAINING, ROTH, E 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $175.00 FWCC-WRPA FALL SUMMIT 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $617.76 LAW-WSAMA 2020 FALL CONFERENCE 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $135-00 FI-NOTARY PETTIE 1123202059 11/23/2020 US BANK, 10126/2020 OCT 2020 CITY VISA $179-00 CC-10/7 CHAMBER MTG 1123202059 11/23/2020 US BANK, 10/2612020 OCT 2020 CITY VISA $2,975,00 PW-TRUCKING SCHOOL 275466 12/15/2020 WA STATE CRIMINAL JUSTICE11/24/2020 201134774 $10,041.00 PD-TRAINING SVC 275470 12/1512020 WA STATE PATROL, 11130/2020 T2100038 $3,152,56 PD-EVOC INSTRUCTOR BASIC CONSTRUCTION PROJECTS $117,060.94 275140 11130/2020 ASSORTED ENDEAVORS LLC,11/15/2020 AG20-568 #2 $33,928.30 SWM-AG20-568 ANNUAL PIPE REHAB 275266 11/30/2020 TRANSPO GROUP USA INC, 11/11/2020 25494 $677.42 PWST-CITYWIDE ADAPTIVE TRAFFIC 275137 11/30/2020 APPLY -A -LINE LLC, 10110/2020 17239 $13,480,00 PW-AG20-539 GREENWAY PAVEMENT Key Bank Page 8 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275137 11/30/2020 APPLY -A -LINE LLC, 10/10/2020 17260HA $-1,260.00 PW-AG20-539 GREENWAY PAVEMENT 275137 11/30/2020 APPLY -A -LINE LLC, 10/17/2020 17279 $5,26000 PW-AG20-539 GREENWAY PAVEMENT 275312 12/15/2020 APPLY -A -LINE LLC, 11/21/2020 17627 $710,00 PW-AG20-539 GREENWAY PAVEMENT 275312 12/15/2020 APPLY -A -LINE LLC, 11121/2020 17644HA $9,280,00 PW-AG20-539 GREENWAY PAVEMENT 275406 12/15/2020 NORTHEAST ELECTRIC LLC, 12/7/2020 AG20-088 #2 $36,545,92 PW-AG20-088 VARIABLE LAND USE 275408 12/1512020 NORTHWEST PLAYGROUND, 718/2020 46742 $188.10 Sales Tax 275408 12/15/2020 NORTHWEST PLAYGROUND, 7/8/2020 46742 $1,881'00 PK/PLIADM: PLAYGROUND REPLACEM 275331 1211512020 CITY OF FEDERAL WAY, 11/12/2020 1 FINAL FW SIGN $4,092.55 PW-RETNG AG20-083 S 348TH ST E 275359 12/1512020 FEDERAL WAY SIGN LLC, 11/12/2020 1 FINAL FW SIGN $12,277,65 PW-AG20-083 S 348TH ENTRANCE S CONSULTING CONTRACTS $256,489.17 275138 11130/2020 AQUATECHNEX, INC., 10/25/2020 12147 $682.00 SWM-AG18-099 NORTH & STEEL LAK 275231 11/30/2020 PARAMETRIX INC, 11/9/2020 22648 $112,164.22 PWST-CITY CENTER ACCESS AG17-1 275138 11/3012020 AQUATECHNEX, INC,, 10/25/2020 12132 $682,00 SWM-AG18-099 NORTH & STEEL LAK 275150 11130/2020 CENTURY WEST ENGINEERIN10/30/2020 241815 $14,593.12 PW-AG19-219 ON -CALL PRO CONSUL 275158 11/30/2020 DIKSASSOCIATES, 11113/2020 0075553 $1,134,25 PW-AG1 9-216 HORIZONTAL CURVE W 275158 11/3012020 DKSASSOCIATES, 11/2/2020 75097R1 $38,680 53 PW-AG20-004 SW DASHPOINT RD/47 275142 11730/2020 BERK CONSULTING INC, 11/10/2020 10490-10-20 $10,258.75 CD-AG20-086 HOUSING ACTION PLA 275200 11130/2020 LANDAU ASSOCIATES INC, 11/17/2020 220-FED-OCT $1,820-00 CD-AG19-156 THIRD PARTY WETLAN 275197 11/30/2020 KPFF INC, KPFF CONS U LTI NG1 0/20/2020 346577 $21,104.58 PW-AG20-008 PACIFIC HW NON -MOT 275386 12/1512020 KPFF INC, KPFF CONSULTING11/12/2020 349143 $22,117.56 PW-AG20-008 PACIFIC HW NON -MOT 275413 12/15/2020 PERTEET INC, 11/13/2020 20190206,001-3 $83.67 CD-AG19-131 THIRD PARTY GEOT E 275319 12/15/2020 BERK CONSULTING INC, 12/412020 10490-11-20 $12,26&00 CD-AG20-086 HOUSING ACTION PLA 275371 12/1512020 HIGHLINE COLLEGE, 1211012020 COFW-32A4 $20,000.00 MOED-AG 20-885 HIGHLINE COLLEG 275418 12/15/2020 PRISMA INTERNATIONAL INC,11/19/2020 40604-F $30.30 SWR-DASH&47 POSTCARD 275381 12115/2020 KING COUNTY FINANCE DIVIS3131/2020 107401-107411 $873.19 107401-107411 COPIER & PRINTER SUPPLIES $1,519.30 275155 11/30/2020 COMPLETE OFFICE, 11/5/2020 2005812-0 $10129 HR-OFFICE SUPPLIES Key Bank Page 9 of 56 Check No. Date Vendor Invoice Date Invoice DescriEtion AmountGL Total 275155 11/30/2020 COMPLETE OFFICE, 11/5/2020 2005813-0 $50.64 HR-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/612020 2006179-0 $50,64 HR-OFFICE SUPPLIES 275155 11/3012020 COMPLETE OFFICE, 11/5/2020 2005806-0 $101.29 HR-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/5/2020 2005807-0 $101,29 HR-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/5/2020 2005808-0 $50,64 HR-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/5/2020 2005809-0 $303,86 HR-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/5/2020 2005810-0 $50,64 HR-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/5/2020 2005811-0 $101.29 HR-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/3/2020 2012023-0 $151.93 HR-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/3/2020 2012024-0 $101.29 HR-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/312020 2012025-0 $50,64 HR-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/3/2020 2012026-0 $151,93 HR-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/3/2020 2012027-0 $101.29 HR-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/3/2020 2012028-0 $50.64 HR-OFFICE SUPPLIES COURT - AUTO THEFT PREVENTION $4,065.99 275281 11/30/2020 WASTATE-STATE REVENUES,11113/2020 OCT 2020 $4,065,99 FI-10/20 STATE PORTION REMIT F COURT - CRIME VICTIMS $838.99 275241 11/30/2020 PROSECUTING ATTORNEYS (11/13/2020 11/13/20 $838,99 FI-REFUND KC CRIME VICTIMS REM COURT - DEATH INV ACCT $107.31 275281 11/30/2020 WA STATE -STATE REVENU ES,11/1 3/2020 OCT 2020 $107.31 FI-10/20 STATE PORTION REMIT F COURT • HVVY SAFETY ACT $422.48 275281 11/30/2020 WA STATE -STATE REVENUES,11/1 3/2020 OCT 2020 $422A8 FI-1 0/20 STATE PORTION REMIT F COURT - JUDICIAL STABILIZATION TR $19.41 275281 11/3012020 WA STATE -STATE REVENUESJ 1/13/2020 OCT 2020 $19.41 FI-10120 STATE PORTION REMIT F COURT - PSEA JIS $11,592.11 275281 11130/2020 WA STATE -STATE REVENUES,11113/2020 OCT 2020 $11 ,59211 FI-10/20 STATE PORTION REMIT F COURT - SCHOOL SAFETY ZONE $179.16 275281 11/30/2020 WA STATE -STATE REVENUESj 1/13/2020 OCT 2020 $179,16 FI-10/20 STATE PORTION REMIT F COURT • STATE ACCESS COMM ACCT $218.02 275281 11/30/2020 WA STATE -STATE REVENUES,11/13/2020 OCT 2020 $218.02 FI-10/20 STATE PORTION REMIT F Key Bank Page 10 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total COURT - STATE MULTI TRANS ACCT $218.04 275281 11/3012020 WA STATE -STATE REVENUES,1 1/13/2020 OCT 2020 $218.04 FI-1 0/20 STATE PORTION REMIT F COURT • STATE PORTION $25,912.56 275281 11/30/2020 WA STATE -STATE REVENUES,11/13/2020 OCT 2020 $25,912,56 FI-10/20 STATE PORTION REMIT F COURT - STATE PSEA 2 $13,423.38 275281 11/3012020 WASTATE-STATE REVENUES,11/13/2020 OCT 2020 $13,423,38 FI-10/20 STATE PORTION REMIT F COURT - STATE PSEA3 $258.19 275281 11/30/2020 WA STATE -STATE REVENUES,11/1312020 OCT 2020 $258,19 FI-10/20 STATE PORTION REMIT F COURT - TRAUMA BRAIN INJURY $1,626.60 275281 11130/2020 WA STATE -STATE R EVEN U ESJ 1 /13/2020 OCT 2020 $1,626.60 FI-10/20 STATE PORTION REMIT F COURT- WSP HIWAY ACCT $609.00 275281 11/30/2020 WA STATE -STATE REVENUES,11/13/2020 OCT 2020 $609.00 FI-10/20 STATE PORTION REMIT F COURT LAW LIBRARY $6.04 275241 11/30/2020 PROSECUTING ATTORNEYS C11/1312020 11/13/20 $6,04 Fl-REFUND KC CRIME VICTIMS REM COURT -TRAUMA VICTIMS $2,044.89 275281 11/30/2020 WA STATE -STATE REVENUES,11/1 3/2020 OCT 2020 $2,044.89 FI-10/20 STATE PORTION REMIT F COURT -VEHICLE LIC FRAUD $11.96 275281 11/30/2020 WASTATE-STATE REVENUES,11/13/2020 OCT 2020 $11,96 FI-10/20 STATE PORTION REMIT F CUSTODIAL & CLEANING $11,651.65 275290 11/30/2020 WHITMAN GLOBAL CARPET C11/6/2020 86537 $2,043,14 CHB-CARPET CLEANING SVC AG1 3-0 275139 11/30/2020 ARAMARK UNIFORM SERVICE11/10/2020 1991988638 $19,46 FWCC-LINEN SVC 275313 12115/2020 ARAMARK UNIFORM SERVICE10/20/2020 001991960546 $3474 FWCC-LINEN SVC 275425 12115/2020 REGENCY CLEANERS, DBA: 111/30/2020 784 $1,049.88 PD-DRY CLEANING SVC AG14-024- 275402 12/15/2020 MY ALARM CENTER, 12/112020 14681411 $39,43 CHB-ALARM MONITORING 275435 12/15/2020 SMS CLEANING, 121212020 FedWay-1120 $8,465.00 CHB/PKM-AG20-022 JANITORIAL SV DEF REV.FWCC-REC TRAC $969.99 275379 12/15/2020 JONES. JAHVONTA 11/16/2020 369835 $4199 FWCC-REFUND CANCELLATION DUE T 275364 12/1512020 GUTIERREZ, YOSIRE 11/16/2020 369837 $836,00 FWCC-REFUND CANCELLATION DUE T 275395 12/15/2020 MCBRIDE, GERELLE JORDAN 11/17/2020 11117/20 $90.00 FWCC-REFUND DEPOSITIBONDS PAYABLE-PW $164.00 275434 12/1512020 SLISENKO, SVETLANA 11/23/2020 SLISENKO 2020 $164,00 PW-REFUND DEPOSIT-CD-BLDG OTHER BLDG RV $1,910.68 Key Bank Page 11 of 56 Check No. Date Vendor Invoice Date Invoice Descri tion AmountGL Total 275476 12/15/2020 WEST COAST CODE CONS U -:1211012020 220-FED-NOV-WA $1,910.68 CD-AG19-070 BUILDING DIVISION DISPATCH SERVICES-ITERGOV $451,614.50 275274 11/30/2020 VALLEY COMMUNICATIONS C11/10/2020 0025009 $451,614,50 ELECTRICITY 275243 11/30/2020 PUGET SOUND ENERGY INC, 9/21/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 10119/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 3/20/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 10/12/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 9/16/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 9/21/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 10/2/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 10/1212020 275243 11/30/2020 PUGET SOUND ENERGY INC, 10/15/2020 275243 11/30/2020 PUGET SOUND ENERGY INC, 10/2012020 275243 11/30/2020 PUGET SOUND ENERGY INC, 11/12/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/16/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 275422 12115/2020 PUGET SOUND ENERGY INC, 11/23/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001234 SWM-09/20 34016 9TH AVE FLOOD 300000001234 SWM-10/20 34016 9TH AVE FLOOD 300000001234 SWM-03/20 34016 9TH AVE FLOOD 300000009526 PWTR-10120 PWTR STREETLIGHTS 220023000239 PWTR-09/20 32513 39TH AVE S FE 220023445202 P R-09/20 1101 S DASH POINT R 300000007322 PWTR-09/20 PSE ELECTRICITY CHG 300000009526 P R-10/20 P R STREETLIGHTS 220023000239 P R-10/20 32513 39TH AVE S FE 220023445202 PWTR-10120 1101 S DASH POINT R 220014198398 PKM-11/20 2645 S 312TH ST ELEC 220003675349 PKM-11/20 726 S 356TH ELECTRIC 300000001978 CHB- 600 S 333RD EVID, BLDG UO 300000001978 CHB- 31104 28TH AVE S HAUGE BO 300000001978 CHB- 31104 28TH AVE S STLK SHO 300000001978 CHB- 600 S 333RD EVID BLDG UO 300000001978 FWCC- 876 S 333RD LIGHTS U0962 300000001978 FWCC- 876 S 333RD Z003478572 300000001978 FWCC- 876 S 333RD Z003478572 300000001978 FWCC- 876 S 333RD LIGHTS U0962 300000001978 PKM- S 324TH BLDG A Z004354804 300000001978 PKM- S 324TH BLDG B Z007917706 300000001978 PKM- S 324TH BLDG A Z004354804 $44.70 $46.91 $58,02 $24,264.94 $8,816.20 $15,395,98 $18, 53 $40,41 $11,99 ESL $538, 64 $148,79 $1, 551.47 $746.83 $32.82 $13,296.83 $29,984.21 $40,72 $2, 04602 $2,902.56 $640,12 Key Bank Page 12 of 56 Check No, Date Vendor Invoice Date Invoice Descri tion AmountGL Total 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $1,743A6 PKM- S 324TH BLDG B Z007917706 275422 12/15/2020 PUGET SOUND ENERGY INC, 1015/2020 400002850818 $34.97 PWST-13TH AVE S ST LIGHT 40000 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $63.69 PKDBC- 3200 SW DASH PT ROAD- 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $78.59 PKDBC- 3200 SW DASH PT ROAD- 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $700.64 PKDBC- 3200 SW DASH PT ROAD- 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $864.49 PKDBC- 3200 SW DASH PT ROAD- 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $1,180.91 PKM- SAC PARK RR FIELD IGHTS Z 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $21.11 PKM- 1STAVE & CAMPUS DR. WINC 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $86.74 PKM- 2410 S 312TH BEACH RRICON 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $17.,26 PKM- 2410 S 312TH STORAGE- 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $12100 PKM- 2410 S 312TH WOODSHOP 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $389.04 PKM- 2645 S 312TH ANX-RR/FIELD 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $1,480.,86 PKM- 21 STAVE LAKOTA RR BLDG & 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $46,38 PKM-7TH AVE SW N OF SW 320TH N 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $3,199.71 PKM- 33914 19TH AVE SAG FIELD 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $15,,47 PKM- 34915 4TH AVE MARKX HOUSE 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $8,10 PKM-726 S 356TH BROOKLAKE MOBI 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $179,59 PKM- 726 S. 356TH BROOKLAKE B 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $125,85 PKM-726 S 356TH A093042663 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $24.12 PKM- 2410 S 312TH STLK ST LIGH 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $25,,13 PKM- 1STAVE & CAMPUS DR, WINC 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $180.15 PKM- 2410 S 312TH BEACH RR/CON 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $35.56 PKM- 2410 S 312TH STORAGE- 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $167,48 PKM- 2410 S 312TH WOODSHOP- 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $612,83 PKM- 2645 S 312TH ANX-RR/FIELD 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 1 $11,44 PKM- 28156 1/2 24TH HERITGE PA Page 13 of 56 Key Bank Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $1,505,73 PKM- 21STAVE LAKOTA RR BLDG & 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $24.24 PKM- 2410 S 312TH STLK ST LIGH 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/2212020 300000001978 $160A3 PKM- 726 S: 356TH BROOKLAKE B 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $8,10 PKM-726 S 356TH BROOKLAKE MOBI 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/16/2020 220018358782 $180.35 PKM-11/20 550 SW CAMPUS DR #ZO 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $1.639.01 PKM- SAC PARK RR FIELD IGHTS Z 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $11.44 PKM- 28156 112 24TH HERITGE PA 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $126.84 CHB- 31104 28TH AVE S HAUGE BO 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $-639.98 CHB- 31104 28TH AVE S STLK SHO 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $3,313,49 CHB- 33914 19TH AVE SAG FIELD 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $14,33 PKM- 34915 4TH AVE MARKX HOUSE 275422 12115/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $44,93 PKM-7TH AVE SW N OF SW 320TH N 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $10,263.56 CHB- 33325 8TH AVE Z004537423 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $13,335.51 CHB- 33325 8TH AVE Z004537423 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $160,89 PKM-31600 PETE VON REICHBAUER 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $92.74 PKM-726 S 356TH A093042663 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $169.34 PKM-31600 PETE VON REICHBAUER FIRE DEPARTMENT PERMIT 275397 12/15/2020 MERLONE GEIER PARTNERS, 11 /24/2020 20-104022 FIRST CLASS POSTAGE 275236 11/30/2020 PITNEY BOWES PRESORT SV10/3112020 1016760405 i i" i # t i 1,t.. 1117203793 11/17/2020 US BANK, f47�E� ljolrl FOOD & BEVERAGE 10/26/2020 OCT 2020 PD VISA PD-LUNCH FOR PD INTERVIEWS 10/26/2020 OCT 2020 PD VISA PD-JIMMY JOHNS RECORDS INTERVI 10/26/2020 OCT 2020 PD VISA PD-FOOD FOR PATROL STANDOFF 20 10/26/2020 OCT 2020 PD VISA PD-JIMMY JOHNS PATROL INTERVIE $23.00 $23,00 $1,458.55 $1,222.19 $23636 $1,724.87 $96,60 $59.30 $54, 73 $68.71 Key Bank Page 14 of 56 Check No. Date Vendor Invoice Date Invoice Descri tion AmountGLTotal 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $11.24 PD-KEURIG COFFEE -VOLUNTEERS 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $137,97 FWCC-AFTERNOON SNACKS 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $83.24 CC -COUNCIL DINNER 10/6 CHOPPED 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $82.72 CC -COUNCIL DINNER 10122 BURGER 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $65.80 CC -COUNCIL DINNER 10/21 CALIFO 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $62.38 CC-FW CLEAN UP SUPPLIES 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $59,98 CC -COUNCIL DINNER 10/15 BAN SO 1123202059 11/23/2020 US BANK, 10/2612020 OCT 2020 CITY VISA $8.79 CC-OCT 2020 WATER COOLER SVC 1123202059 11123/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $86.51 CC -COUNCIL DINNER 9/25/20 VINC 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $62.39 ® MO-FW CLEAN UP SUPPLIES 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $57,68 CC -COUNCIL DINNER 9/25 VINCENT 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $5549 CC -COUNCIL DINNER 10/6 CHOPPED 1123202059 11/23/2020 US BANK, 10/2612020 OCT 2020 CITY VISA $43.57 CC -COUNCIL DINNER 10121 CALIFO 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $39.99 CC -COUNCIL DINNER 10/15 BAN SO 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $9.90 CC-10/6 COUNCIL DINNER CHOPPED 275217 11/30/2020 MOUNTAIN MIST WATER, 10/31/2020 077665 $96,86 PD-WATER ACCT4077665 275286 11/30/2020 WATERLOGIC USA LLC, 11/2/2020 306123 PD-11/20 RENTAL DEFERRED COOLE 275148 11/30/2020 CAFFE D`ARTE LLC, 11/9/2020 451394 HR-COFFEE SUPPLIES 275424 12/15/2020 QUENCH, INC, 12/1/2020 INV02785578 PARKS/FWCC-DRINKING WATER SERV 275424 12/15/2020 QUENCH, INC, 12/l/2020 INV02785578 GASOLINE 275160 11/30/2020 ERNIE'S FUEL STOPS (DBA), 10/31/2020 519389CT PD-VEHICLE FUEL 275160 11/30/2020 ERNIE`S FUEL STOPS (DBA), 11/15/2020 529059CT PD-VEHICLE FUEL 275166 11/30/2020 FEDERAL WAY PUBLIC SCHO(10/31/2020 AR13148 FLT-VEHICLE FUEL 275352 12/15/2020 ERNIE'S FUEL STOPS (DBA), 11/30/2020 534655CT PD-VEHICLE FUEL GO BOND PRINCIPAL- CC 1201200002 12/l/2020 US BANK NATIONAL ASSOCIAl 211/2020 1663993 FI-DEBT SVC PAYMENT FEDLTGOREF $375,12 $40.00 $32, 95 $32.95 $8,676.63 $326, 58 $165.78 $8,087.30 $96,97 $1,340,000.00 $530,000.00 Key Bank Page 15 of 56 Check No, Date Vendor Invoice Date Invoice Descri tion AmountGL Total 1201200003 12/1/2020 US BANK NATIONAL ASSOCIA12/112020 1664197 $430,000.00 FI-DEBT SVC PAYMENT FEDLTGOI9B 1201200001 12/1/2020 US BANK NATIONAL ASSOCIAI211/2020 1664225 $380,000 00 FI-DEBT SVC PAYMENT FEDLTGOI9A HEALTH INSURANCE PREMIUM $2,100.00 275151 11/30/2020 CHAPIN, REBECCA 11/13/2020 CHAPIN 2020 #3 $100,00 CD -DEDUCTIBLE REIMB 275171 11/30/2020 EIGER, JOELL 11/12/2020 GIGER 2020 $100,00 PD-DEDUCTIBLE REIMB 275361 12/15/2020 GOTCHER, SEAN 12/7/2020 GOTCHER 2020 $100,00 PD-DEDUCTIBLE REIMB 275420 12/15/2020 PROCTOR, TONIA 11/24/2020 PROCTOR 2020 $100,00 LAW -DEDUCTIBLE REIMB TONIA 275399 12/15/2020 MULLEN, CHRISTINE 12/9/2020 MULLEN 2020 $300.00 PWST-DEDUCTIBLE REIMB 275365 12/15/2020 HAMEL, SARAH 12/14/2020 HAMEL 2020 $104,00 PWST-DEDUCTIBLE REIMBURSEMENT 275334 12/15/2020 COLE, JOHN 12/10/2020 COLE 2020 $100.00 PWST-DEDUCTIBLE REIMBURSEMENT 275411 12/15/2020 OTTO, JEFFERY 11/27/2020 OTTO 2020 $300.00 PD-DEDUCTIBLE REIMB 275370 12/15/2020 HEW R,A ANDA 11/30/2020 HEWER 2020 $100,00 PD-DEDUCTIBLE REIMB 275380 12/15/2020 KIM, CAMERAN 12/1/2020 KIM 2020 $100.00 PD-DEDUCTIBLE REIMBURSEMENT 275396 12/15/2020 MCNEILL, JENNIFER 12/9/2020 MCNEILL2020 $100.00 PD-DEDUCTIBLE REIMB 275336 12/15/2020 COLLINS, CLINTON "TONY" 12/9/2020 COLLINS 2020 $300,00 PKM-DEDUCTIBLE REIMBURSEMENT 275463 12/15/2020 VILLALOVOS, ANGIE 11/30/2020 VILLALOVOS 2020 $200,00 CD -DEDUCTIBLE REIMB 275429 12/15/2020 SALISBURY, SHERRI 12/1/2020 SALISBURY 2020 $100,00 LAW -DEDUCTIBLE REIMB HOUSEHOLD SUPPLIES $13,737.32 275039 11/20/2020 WALTER E NELSON CO„ 11/11/2020 784281 $1,280.84 CHB-JANITORIAL SUPPLIES 275039 11/20/2020 WALTER E NELSON CO., 11/11/2020 784282 $1,280.84 CHB-JANITORIAL SUPPLIES 275039 11/20/2020 WALTER E NELSON CO„ 11/11/2020 784283 $1,53701 CHB-JANITORIAL SUPPLIES 275039 11/20/2020 WALTER E NELSON CO.,, 11/18/2020 785088 $2,561,68 CHB-JANITORIAL SUPPLIES 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $611.14 FWCC-FACE SHIELDS 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $1.010.93 FWCC-NAPKINS 275282 11/30/2020 WALTER E NELSON CO., 11/4/2020 783340 $425.63 FWCC-JANITORIAL SUPPLIES 275282 11/30/2020 WALTER E NELSON CO., 11/6/2020 783519 $190.94 FWCC-JANITORIAL SUPPLIES 275282 11/30/2020 WALTER E NELSON CO., 11/16/2020 784816 $84,70 FWCC-JANITORIAL SUPPLIES Key Bank Page 16 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275282 11/30/2020 WALTER E NELSON CO., 11/16/2020 784817 $169.40 FWCI,'-JANITORIAL SUPPLIES 275233 11/30/2020 PETTY CASH - FWCC, 11/27/2020 11/17/20 $17.57 PARKS -HOME DEPOT -BLEACH SPRAYE 275282 11/30/2020 WALTER E NELSON CO., 11/912020 783868 $381.41 CHB-JANITORIAL SUPPLIES 275282 1113012020 WALTER E NELSON CO,, 11/2012020 785482 $52,21 PKM-JANITORIAL SUPPLIES 275267 11/30/2020 TRINITY ACE HARDWARE, 11/412020 142331 $59.37 PKM-SUPPLIES 275471 12115/2020 WALTER E NELSON CO., 12/7/2020 787284 $112.86 PKM-JANITORIAL SUPPLIES 275393 12/15/2020 LOWE'S HIW INC, 11/30/2020 10853 $18.80 CHB-MAINT SUPPLIES 275471 12/15/2020 WALTER E NELSON CO,, 121212020 786666 $1,080,91 CHB-JANITORIAL SUPPLIES 275471 12/15/2020 WALTER E NELSON CO., 12/2/2020 786821 $2,561.68 CHB-JANITORIAL SUPPLIES 275471 12/15/2020 WALTER E NELSON CO., 1214/2020 787094 $299A0 FWCC-JANITORIAL SUPPLIES IMMUNIZATION CHARGE $326.00 275225 11/3012020 OCCUPATIONAL HEALTH CEN10122/2020 69413719 $103.00 HR-DOT RECERT 275168 11/30/2020 FISHER, ERNEST 11/17/2020 FISHER 2020 $120.00 SWM-DOT PHYSICAL 275410 12115/2020 OCCUPATIONAL HEALTH CEN11/4/2020 69549348 $103.00 HR-VVELLNESS SCREENING INSURANCE -STOP LOSS $57,977.74 1201203040 12/1/2020 KAISER FOUNDATION HEALTH2/1/2020 DEC 2020 #1 $52,542,57 FI-12/20ADMIN FEE KAISER HEAL 1201203039 12/1/2020 KAISER FOUNDATION HEALTI­12/1/2020 DEC 2020 #2 $5,435,17 FI-11120ADMIN FEE KAISER HEAL INTEREST -GO BONDS - TARGET PROF $60,901.24 1201202778 12/1/2020 KEY BANK NATIONAL ASSOCM 2/112020 4663965 $60,901.24 FI-Fl`:C LIMITED TAX GO BOND 201 INTEREST -GO BONDS-WFCC $437,643.75 1201200002 12/9/2020 US BANK NATIONAL ASSOCIAl 2/l/2020 1663993 $141,511,25 FI-DFBT SVC PAYMENT FEDLTGOREF 1201200003 12/112020 US BANK NATIONAL ASSOCIAl 2/l/2020 1664197 $55,670.00 FI-DEBT SVC PAYMENT FEDLTGO1 9B 1201200001 12/1/2020 US BANK NATIONAL ASSOCIA"12/102020 1664225 $240,462,50 FI-DEBT SVC PAYMENT FEDLTGO1 9A JAIL CS - KENT $150 + AG19-133 $24,905.00 275153 11/30/2020 CITY OF KENT, 11/1012020 R160443 $24,905.00 PD-,AG19-133 JAIL SVC INMATE HO JAIL CS - KING CO $197 + AG13-015 $11,015.64 275190 11130/2020 KING COUNTY FINANCE DIVIE11/El/2020 3003089 $11,015,64 PD-1 0120 DAJD OTH CITIES AG1 3- KC HEALTH DEPT-INTERGOVT $14,573.85 275193 11/30/2020 KING COUNTY MENTAL HEAL18/17/2020 2126679 $7,203.73 CD-,!Q/2020 LIQUOR EXCISE TAX Key Bank Page 17 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275382 12/15/2020 KING COUNTY MENTAL HEAL111123/2020 2129165 $7,370.12 CD-3Q/2020 LIQUOR EXCISE TAX LEGAL NOTICES $1,458.13 275254 11/30/2020 SOUND PUBLISHING INC, 9/25/2020 FWM9009458 $138.52 PD-AD ACCT86029614 FOR POLLIC 275254 11/30/2020 SOUND PUBLISHING INC, 10/23/2020 FW 911842 $58.85 HRCK-AD ACCT#83722476 275254 11/30/2020 SOUND PUBLISHING INC, 10/23/2020 FWN911711 $91.80 HRCK-AD ACCT#83722476 275254 11/30/2020 SOUND PUBLISHING INC, 10/30/2020 FWM912332 $161.60 HRCK-AD ACCT#83722476 275436 12/15/2020 SOUND PUBLISHING INC, 10/16/2020 FW911282 $11113 CD -AD ACCT#83722477 275436 12/15/2020 SOUND PUBLISHING INC, 10/1612020 FWM911283 $98.51 CD -AD ACCT#83722477 275436 12/15/2020 SOUND PUBLISHING INC, 10/23/2020 FW 911851 $98.51 CD -AD ACCT#83722477 275436 12/15/2020 SOUND PUBLISHING INC, 10130/2020 FWM912479 $107.52 CD -AD ACCT#83722477 275436 12/15/2020 SOUND PUBLISHING INC, 11/612020 FWM912978 $96.,71 CD -AD ACCT#83722477 275436 12/15/2020 SOUND PUBLISHING INC, 11/6/2020 FW912982 $161,60 CD -AD ACCT#83722477 275436 12/15/2020 SOUND PUBLISHING INC, 11/1312020 FWM913374 $103.92 CD -AD ACCT#83722477 275436 12/15/2020 SOUND PUBLISHING INC, 11/13/2020 FWM913378 $107.52 CD -AD ACCT#83722477 275436 12115/2020 SOUND PUBLISHING INC, 11/20/2020 FWM913929 $121.94 CD -AD ACCT#83722477 LODGING $370.00 275470 12/15/2020 WA STATE PATROL, 11/30/2020 T2100038 $370,00 PD-EVOC INSTRUCTOR BASIC LONG DISTANCE CHARGES $348.33 275327 12/15/2020 CENTURYLINK, 11/20/2020 171273225 $174,33 IT-11/20 FACILITY PHONE SERVIC 275327 12/15/2020 CENTURYLINK, 11/20/2020 171273225 $174.00 IT-11/20 FACILITY PHONE SERVIC MACHINERY & EQUIPMENT $10,642.81 275318 12/15/2020 BELLINGHAM LOCK & SAFE IN1112512020 291779 $5,287.50 IT-AVIGILON ACCT-ENT-VER-UPG A 275318 12/15/2020 BELLINGHAM LOCK & SAFE IM1/25/2020 291779 $528.75 Sales Tax 275398 12/15/2020 MON-ARC FIBER OPTICS, 12/4/2020 201204 $3,300.00 IT-PD West Way Project 275398 12/15/2020 MON-ARC FIBER OPTICS, 12/4/2020 201204 $330.00 Sales Tax 275362 12/15/2020 GRAINGER INC, 9/14/2020 9651859572 $165.86 FLT-FACILITY MAINT SUPPLIES 275464 12/15/2020 VILMASIGNS, 10/8/2020 3334 $1,030,70 FLT-VEHICLE PARTS MEDICAL SERVICES $50,00 Page 18 of 56 Key Bank Check No. Date Vendor Invoice Date Invoice Descri Lion- AmountGL Total 275153 11/30/2020 CITY OF KENT, 11/10/2020 RI 60443 $50.00 PD-AG19-133 JAIL SVC INMATE HO MEDICAL SERVICES - CLAIMS $235,281.69 1120202612 11/20/2020 KAISER FOUNDATION HEALTFII/20/2020 INVSF0007204 $16,216,47 FI-11/20/20-11/16/20 KAISER HE 1120202584 11/20/2020 KAISER FOUNDATION HEALTFII/20/2020 INVSF0007211 $57,322=72 FI-11/20/20-11/16/20 KAISER HE 1201207994 12/1/2020 KAISER FOUNDATION HEALTF121112020 INVSF0007263 $71,846.39 FI-11/17/20-11/23/20 KAISER HE 1201207994 12/1/2020 KAISER FOUNDATION HEALTFI2/1/2020 INVSF0007307 $32,579,73 FI-11/24/20-11/30/20 KAISER HE 1210207992 12/10/2020 KAISER FOUNDATION HEALTFI2/10/2020 INVSF0007332 $5,462.90 FI-12/01/20-12/07/20 KAISER HE 1210207994 12/10/2020 KAISER FOUNDATION HEALTF12110/2020 INVSF0007361 $51,853.38 FI-12/01120-12/07/20 KAISER HE MENTAL HEALTH SERVICES $11,015.65 275190 11/30/2020 KING COUNTY FINANCE DIVIE1116/2020 3003089 $11,015.65 PD-10/20 DAJD OTH CITIES AG13- MILEAGE REIMBURSEMENT $203.55 275353 12/15/2020 ETTINGER, ROBERT 12/2/2020 ETTINGER 2020 $203.55 PKDBC-MILEAGE REIMS 7129-11/24 MINOR DP SOFTWARE $1,247.41 1120209491 11/20/2020 US BANK, 11/20/2020 111-3361764-5120213 $25.28 P R-SUPPLIES 275030 11120/2020 SHI INTERNATIONAL CORP, 11/20/2020 B12621496 $338.30 IT-COVID-19 DBC ADOBE ACROBAT 275030 11/20/2020 SHI INTERNATIONAL CORP, 11/20/2020 B12621496 $33,83 Sales Tax 275326 12/15/2020 CATEREASE SOFTWARE, 12/4/2020 18522_08 $850.00 PKDBC-ANNUAL MAINTAGREEMENT MINOR EQUIP- ISC $19,184.14 1117203793 11/17/2020 US BANK, 10126/2020 OCT 2020 PD VISA $175.98 PD-AMAZON HARD DRIVE 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $57.50 PD-UNIT-HOT BUTTON RAIL MOUNT 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PC VISA $759„00 PD-GLOCK - FIREARM PARTS 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $351.68 PD-BROWNELL'S RIFLE MAGAZINES 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $151.65 PD-AMAZON 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $1,599.97 PD-INC STORES -HEAVY DUTY RUBBE 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $796,95 PD-AMAZON SUPPLIES 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $164.99 PD-AMAZON SUPPPLIES 275125 11/30/2020 3S1 SECURITY SYSTEMS INC,11/11/2020 INV855224 $1,755.60 PD-MINOR EQUIP 275187 11/30/2020 JIMENEZ, JONATHAN 11/9/2020 JIMENEZ 2020 $200,00 PD-UNIORM ALLOWANCE Key Bank Page 19 of 56 Check No, Date Vendor Invoice Date Invoice Descr lion AmountGL Total 275214 11/30/2020 MIWALL CORPORATION, 11/13/2020 9485 $6,750.00 PD- PATROLAND SWAT DUTYAMMUN 275214 11/30/2020 MIWALL CORPORATION, 11/13/2020 9485 $100,00 Freight 275214 11/30/2020 MIWALL CORPORATION, 11/13/2020 9485 $675.00 Sales Tax 275270 11/30/2020 UNSWORTH, RAYMONDA 11/14/2020 UNSWORTH 2O20-2 $200.00 PD-CLOTHING ALLOWANCE 275252 11/30/2020 SMITH, CHAD 11/18/2020 SMITH 2O20 $200 00 PD-UNIFORM REIMB 275317 12/15/2020 BASSAGE, BRIAN 12/2/2020 BASSAGE 2020 $200,00 PD-UNIFORM ALLOW 275322 12/15/2020 BRANCO, CHAD 12/2/2020 BRANCO 2020 $190.83 BRANCO 2019 275481 12/15/2020 WITHERS, CASSANDRA 11/25/2020 WITHERS 2020 $159.00 PD-EQUPMENT ALLOWANCE 275344 12/15/2020 DANIELS, SHAUN 12/8/2020 DANIELS 2020 $200:00 PD-EQUIP ALLOW 275309 12/15/2020 AGRISHOP INC, 11/17/2020 62875/1 $461.80 PWST-EQUIPMENT PARTS & REPAIRS 275451 12/15/2020 TIGER MOUNTAIN WOODCRA10116/2020 10/16/20 $440.00 PD-OPER SUPPLIES 275443 12/15/2020 SUMNER LAWN N SAW, 12/8/2020 64238 $1,285,71 PKM-EQUIPMENT 275456 12/15/2020 TRINITYACE HARDWARE, 12/8/2020 148259 $989.,84 PKM-SUPPLIES 275376 12/15/2020 JENNINGS EQUIPMENT INC, 12/8/2020 15169P $659,29 PKM-TRIMMER/BLOWER 275376 12/15/2020 JENNINGS EQUIPMENT INC, 12/8/2020 15170P $659.35 PKM-BLOWER MISC PROFESSIONAL SVS-ITERGOV $20,258.19 275194 11/30/2020 KING COUNTY RADIO, 10/29/2020 16418 $12,097.80 MO-10/20 - 10/21 RADIO COMMUNi 275279 11/30/2020 WA STATE AUDITOR'SOFFICE11/10/2020 L139214 $1,017,90 FI-STATE AUDITOR SERVICES 275190 11/30/2020 KING COUNTY FINANCE DIVIE9/30/2020 107869-107876 $1,173 26 PW-RSD F 107869-107876 275381 12/15/2020 KING COUNTY FINANCE DIVIEB/31/2020 107401-107411 $4,795.23 107401-107411 275381 12/15/2020 KING COUNTY FINANCE DIVIE10131/2020 11009577 $500.00 IT-AG20-063 KING COUNTY I -NET 275381 12/15/2020 KING COUNTY FINANCE DIVIE11/30/2020 11009621 $500,00 IT-AG20-063 KING COUNTY [-NET 275381 12/15/2020 KING COUNTY FINANCE DIVIEIO/31/2020 11009577 $87,00 IT-AG20-063 KING COUNTY I -NET 275381 12/15/2020 KING COUNTY FINANCE DIVIE11/30/2020 11009621 $87.00 IT-AG20-063 KING COUNTY I -NET ISC SERVICES & CHARGES $20,995.34 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $1,009.78 PD-WORK BENCH/SHELVING UNIT 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $50,00 PD-IABTI LICENSE RENEWAL Key Bank Page 20 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $26.92 PD-AMAZON SUPPLIES 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $195.83 PD-AMAZON SUPPLIES 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $49.50 PD-AMAZON SUPPLIES 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $149 PD-WALMART LOCKER LOCK 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $17-59 PD-AMAZON PAD LOCK 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $5000 PD-IABTI MEMBERSHIP RENEWAL BD 1117203793 11117/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $5,00 PD-FAA LICENSE FOR DRONE 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $107.98 PD-KING COUNTY RECORDING FILIN 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $242A9 PD-KING COUNTY E FILING 1117203793 11/17/2020 US BANK, 10126/2020 OCT 2020 PD VISA $150,00 PD-STARBUCKS - GIFT CARDS 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $170,27 PD-TRUDY'S HALLMARK VOLUNTEER 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $16,50 PD-TRUDY'S HALLMARK STAMPS 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $11,49 LAW -KC COURT RECORDS REQUEST 275165 11/30/2020 FEDERAL WAY INDOOR RANG11/4/2020 209 $165.00 PD-INDIVIDUAL RANGE US 275291 11/30/2020 WILD WEST INTERNATIONAL 111/6/2020 9940 $36.27 PD-RANGE FEE 275128 11/30/2020 AARO INC DBATHE LOCK SH(11/1712020 131546 $735,30 PD-SERVICE CALL 275185 11/30/2020 IRON MOUNTAIN INFORMATIC10/31/2020 DBRN389 $1,887,21 PD-STORAGE SVC 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/3/2020 383934 $7,134.59 MC -SECURITY SERVICES AG16-023 275134 11/30/2020 AMAZON CAPITAL SERVICES 11/13/2020 13MF-NJHJ-6CCG $3,799.50 PD - fangtian n95 niosh certif 275134 11/30/2020 AMAZON CAPITAL SERVICES 11/13/2020 13MF-NJHJ-6CCG $379,95 Sales Tax 275278 11/30/2020 WA DEPT OF LABOR & INDUS°11/1312020 34593 $250.00 PD-EXPLOSIVES LICENSE #EXUSOOO 275244 11/30/2020 REGIONAL TOXICOLOGY SERI0/31/2020 6129403120 $334.05 MC -DRUG TESTS 275349 12/15/2020 EL CENTRO DE LA RAZA, 11/16/2020 FAC0001 $250,00 SW -PROMOTE AND HOST SHREDDING 275373 12/15/2020 HP INC., 12/1/2020 9011034733 $490,00 IT-PD COVID-19 GRANT- 275373 12/15/2020 HP INC., 12/1/2020 9011034733 $49,00 Sales Tax 275474 12/15/2020 WASTE MANAGEMENT OF WA111112020 3116482-1055.8 $239.12 CD-10/20 BROOKELAKE WASTE DISP Key Bank Page 21 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275474 12/15/2020 WASTE MANAGEMENT OF WA12/1/2020 3124701-1055-1 $799,71 CD-11/20 BROOKELAKE WASTE DISP 275461 12/15/2020 VERIZON WIRELESS, 11/13/2020 9867022226 $404,58 PD-11/20 CELLULAR SVC ACCT 275375 12/15/2020 IRON MOUNTAIN INFOR ATIC11/30/2020 DDKL530 $1,415.,51 PD-STORAGE SVC 275351 12/15/2020 EQUIFAX CREDIT INFORMATIt11/17/2020 6105548 $113.72 PD-CREDIT REPORTING SVC 275455 12/15/2020 TRANSUNION RISK& ALTERN12/1/2020 837597 $203.72 PD-10/20 BACKGROUND CHECKS 275479 12/15/2020 WILD WEST INTERNATIONAL 111/25/2020 9961 $36.27 PD-RANGE FEE 275358 12/15/2020 FEDERAL WAY INDOOR RANC12/4/2020 210 $165,00 PD-INDIVIDUAL RANGE US NATURAL GAS $8,751.66 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $22,52 CHB- 31104 28TH AVE S HAUGE - 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $154,09 PKM- 726 S 356TH BROOKLAKE C- 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $340.28 PKM- 726 S 356TH BROOKLAKE C-- 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $638,55 PKDBC- 3200 SW DASH PT ROAD-- 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $1,206.34 PKDBC- 3200 SW DASH PT ROAD- 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $58.05 PKDBC- 3200 SW DASH PT ROAD- 275422 12115/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $109.67 PKDBC- 3200 SW DASH PT ROAD- 275422 12/15/2020 PUGET SOUND ENERGY INC, 10/22/2020 300000001978 $133.43 CHB- 600 S 333RD EVID BLDG 000 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $76,52 CHB- 31104 28TH AVE S HAUGE - 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $515.81 CHB- 31104 28TH AVE S STLK SHO 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $369,53 CHB- 600 S 333RD EVID BLDG 000 275422 12115/2020 PUGET SOUND ENERGY INC, 10122/2020 300000001978 $1,84Z32 FWCC- 876 S 333RD GAS 00128924 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/23/2020 300000001978 $3.271.02 FWCC- 876 S 333RD GAS 00128924 275422 12/15/2020 PUGET SOUND ENERGY INC, 11/16/2020 220006213759 $13,53 PKM-11/20 726 S 356TH GAS #493 NON GOVT DP SERVICES $154,791.25 275182 11/30/2020 INSIGHT PUBLIC SECTOR INC9115/2020 1100767635 $6,710.53 IT-MICROSOFT ENTERPRISE AGM-- 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $337,84 IT-GLOBALSCAPE M&S[PRO] EFT EX 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $155.28 IT-GLOBALSCAPE M&S[PRO] EFT HT 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $155.28 IT-GLOBALSCAPE M&S[PRO] EFT SF Key Bank Page 22 of 56 Check No Date Vendor Invoice Date Invoice Description AmountGLTotal 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $225.00 IT-GLOBALSCAPE M&S[PRO] EFT EX 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $173.50 IT-GLOBALSCAPE M&S[PRO] EFT EX 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $155.28 IT-GLOBALSCAPE M&S[PRO] EFT EX 275238 11/30/2020 PORTLAND PRECISION INSTF11/1912020 inv145540 $613.80 Sales Tax 275203 11/30/2020 LEXISNEXIS, 10/31/2020 3092920110 $434 50 IT/LAW--10/20 WEST LAW SVC 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $696,39 IT-GLOBALSCAPE M&S[PRO] - EFT 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $695.60 iT-GLOBALSCAPE M&S[PRO] - EFT 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $531.48 IT-GLOBALSCAPE M&S[PRO] - EFT 275182 11/30/2020 INSIGHT PUBLIC SECTOR INC9/15/2020 1100767635 $60,394.74 IT-MICROSOFT ENTERPRISE AGMM 275238 11/30/2020 PORTLAND PRECISION INSTS11/19/2020 inv145540 $1,817.00 T-CD/PW BLUEBEAM RENEWAL- 275238 11/30/2020 PORTLAND PRECISION INSTF11 /1912020 inv145540 $4,321,00 IT-CD/PW BLUEBEAM RENEWAL- 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $60,21 IT-GLOBALSCAPE M&S [PRO] EFT E 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $10.30 IT-GLOBALSCAPE 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $10,30 IT-GLOBALSCAPE M&S[PRO]-CUTEFT 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $10:.30 IT-GLOBALSCAPE M&S[PRO]-CUTEFT 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $1030 IT-GLOBALSCAPE M&S[PRO]-CUTEFT 275172 11/30/2020 GLOBALSCAPE INC, 11/10/2020 1296904 $1030 IT-GLOBALSCAPE M&S[PRO] -CUTEF 275273 11/30/2020 UTILITY ASSOCIATES INC, 8/27/2020 31584 $8,625,00 IT-PD-UTILITY REMOTE CONFIGURA 275182 11/30/2020 INSIGHT PUBLIC SECTOR INC9115/2020 1100767635 $67,105,26 IT-MICROSOFT ENTERPRISE AGM- 275381 12/15/2020 KING COUNTY FINANCE DIVIE10/31/2020 11009577 $500.00 IT-AG20-063 KING COUNTY I -NET 275381 12/15/2020 KING COUNTY FINANCE DIVIc11/30/2020 11009621 $500.00 IT-AG20-063 KING COUNTY I -NET 275346 12/15/2020 DMX LLC DBA MOOD MEDIA, 12/1/2020 55836722 $97,56 IT-12/20 MEDIA SERVICES 275391 12/15/2020 LEXISNEXIS, 11/30/2020 3092959436 $434,50 ITtLAW-11/20 WEST LAW SVC OFFICE SUPPLIES $8,952.18 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $37„39 PD-AMAZON USB DRIVES 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $444 90 PD-TAB - CASE JACKET STICKERS Key Bank Page 23 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $1,709 70 SWM-DEHYDRATOR 6 VACUUM SEALER 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $3,690.00 SWM-FREEZE DRYER 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $22.00 FWCC-FD SCHEDULE APR 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $15,82 FWCC-NAMETAG FOR FD STAFF 1123202059 11/23/2020 US BANK, 10/26/2020 OCT 2020 CITY VISA $45.07 FWCC-LEG EXTENSION 275233 11/30/2020 PETTY CASH - FWCC, 11/27/2020 11/17/20 $10.84 PARKS -AMAZON -VINYL FOR POOL DE 275233 11/30/2020 PETTY CASH - FWCC, 11/27/2020 11/17/20 $16,54 PARKS-WINCO FOODS -WAX PAPER FO 275155 11/30/2020 COMPLETE OFFICE, 10/26/2020 2003311-0 $4.03 CC -OFFICE SUPPLIES 275234 11/30/2020 PETTY CASH -MC CHANGE FU11/10/2020 11/10/20 $4375 FWMC HEATER FOR SUE'S OFFICE 275155 11/30/2020 COMPLETE OFFICE, 11/19/2020 2009527-0 $125,23 MC -OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 10/26/2020 2003311-0 $19,02 CC -OFFICE SUPPLIES 275226 11/30/2020 OFFICE DEPOT, 10/23/2020 131699270001 $53,88 PD-OFFICE SUPPLIES 275226 11/.30/2020 OFFICE DEPOT, 10/29/2020 131926381001 $81.52 PD-OFFICE SUPPLIES 275226 11/30/2020 OFFICE DEPOT, 11/5/2020 135584673001 $1849 PD-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/11/2020 C2005880-0 $-32.43 PW-OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 11/6/2020 2006511-0 $25.16 PW-OFFICE SUPPLIES 275167 11/30/2020 FICHTNER, THOMAS 11/9/2020 FICHTNER 2020 $109,94 IT-MISC EQUIPMENT 275245 11/30/2020 RICHEN, GEORGE 11/16/2020 RICHEN 2020 $416.78 PKM-CHAIR & DESK TRAYS 275155 11/30/2020 COMPLETE OFFICE, 10/26/2020 2003311-0 $69 25 CC -OFFICE SUPPLIES 275155 11/30/2020 COMPLETE OFFICE, 10/26/2020 2003311-0 $13,96 CC -OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 11/19/2020 2009000-1 $29.67 CD -OFFICE SUPPLIES 275372 12/15/2020 HOME DEPOT-DEPT 32-2500712/4/2020 9071630 $258,79 IT-AINT SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 11/19/2020 2009000-1 $9,89 CD -OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 11/17/2020 2008981-0 $16,95 MO -OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTF11/30/2020 3463457065 $79.59 PD-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 11/17/2020 2008868-0 $1&83 HR-OFFICE SUPPLIES Key Bank Page 24 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275372 12/15/2020 HOME DEPOT-DEPT 32-2500T12/4/2020 9071630 $258.,79 IT-MAINT SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT/11/30/2020 3463457061 $6,56 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTM1130/2020 3463457062 $14A0 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTM1/30/2020 3463457063 $18.30 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTA11/30/2020 3463457064 $35,21 PD-OFFICE SUPPLIES 275338 12/1512020 COMPLETE OFFICE, 11/25/2020 2010935-0 $6;57 HRCK-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 11/17/2020 2008981-0 $42.40 MO -OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTA11/30/2020 3463457069 $19 98 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT/11/30/2020 3463457070 $25.35 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTA11130/2020 3463457072 $130.62 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT411/30/2020 3463457073 $5.27 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTM1/30/2020 3463457075 $83.07 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT/11/30/2020 3463457076 $609;37 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTA11/3012020 3463457057 $15,33 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT411/30/2020 3463457058 $5,73 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT/11/30/2020 3463457060 $46,16 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT111130/2020 3463457066 $34,91 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANT/11/30/2020 3463457067 $4815 PD-OFFICE SUPPLIES 275442 12/15/2020 STAPLES BUSINESS ADVANTA11130/2020 3463457077 $10.22 PD-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 11/30/2020 2011190.0 $101.54 PKM-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/2/2020 2011190-1 $22,58 PKM-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 12/3/2020 2012564-0 $52.62 PKM-OFFICE SUPPLIES 275338 12/15/2020 COMPLETE OFFICE, 11/20/2020 2009527-1 $9.49 MC -OFFICE SUPPLIES OPERATING RETALSILEASS $94,719.47 275185 11/30/2020 IRON MOUNTAIN INFORMATIC10/31/2020 DBSP259 $2,278,10 HRCK-STORAGE SVC 275175 11130/2020 HAROLD LEMAY ENTERPRISE1111/2020 4678615 $14.80 HRCK-SHREDDING SVC Key Bank Page 25 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGLTotal 275175 11/30/2020 HAROLD LEMAY ENTERPRISEII/1/2020 4678632 $108,44 HRCK-SHREDDING SVC 1201207663 12/1/2020 FWPAEC QALICB, 12/1/2020 2020 QTR 4 $86,048.00 FI-SUBLEASE PAYMENT 275375 12/15/2020 IRON MOUNTAIN INFORMATIC11130/2020 DD 621 $2,265.43 HRCK-STORAGE SVC 275366 12/15/2020 HAROLD LEMAY ENTERPRISEI2/1/2020 4682234 $4,70 HRCK-SHREDDING SVC 275316 12/15/2020 BALLI ROAD LLC, 11/1/2020 3234 $1,000.00 PD-11/20 SUBSTATION RENTAGI4- 275316 12/15/2020 BALL[ ROAD LLC, 12/1/2020 3256 $3,000.00 PD-12/20 SUBSTATION RENTAGI4- OTHER DEPT. 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AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 384131 $4.60 PKM-SECURITY SERVICES AG17-061 Page 32 of 56 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 384473 $4.60 PKM-SECURITY SERVICES AG17-061 275235 11/3012020 PIERCE COUNTY SECURITY 1111/412020 384132 $4,60 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/412020 384180 $4.61 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 384181 $4,60 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/412020 384388 $4.60 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/412020 384408 $4.60 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 384431 $7,89 PKM-SECURITY SERVICES AG17-061 275224 11/30/2020 NORTHWEST SYMPHONYOR,11/3/2020 11/03/20 $2,500.00 275130 275158 275189 275164 275216 275189 275149 275242 275143 275178 275253 275135 275235 275235 275235 275235 275235 275235 11/30/2020 ADURO, INC, SUITE 100 10/31/2020 11/30/2020 DKSASSOCIATES, 11/9/2020 11/30/2020 KENT YOUTH & FAMILY SERVI10/30/2020 11/30/2020 FEDERAL WAY BOYS & GIRLSI0/8/2020 11/30/2020 MOTHER AFRICA, 1018/202u 11/30/2020 KENT YOUTH & FAMILY SERVI1019/2020 11/30/2020 CATHOLIC COMMUNITY SERV10/13/2020 11/30/2020 PUBLICHEALTH-SEATTLEAM0/14/2020 11/30/2020 BIRTH TO THREE DEVELOPM110/1412020 11/30/2020 HOSPITALITY HOUSE, 10115/2020 11/30/2020 SOUND GENERATIONS, 10/15/2020 11/30/2020 AMERICAN TRAFFIC SOLUTIC10131/2020 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 11/30/2020 PIERCE COUNTY SECURITY 1111/412020 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 INV2481 HR-AG19-209 WELLNESS PGM- 0075405 PW-AG19-216 HORIZONTAL CURVE W 2020 3RD QTR CD/CS-AG19-049 BEHAVIORAL HEAL 07/01 /20 - 09/30/20 CDHS-AG20-082 EXPANDED LEARNIN 2020 3RD QTR CD/CS-AG19-051 SUSTAINABLE ALL 2020 3RD QTR CD/CS-AG19-047 WATSON MANOR TR 2020 3RD QTR CD/CS-AG19-062 VOLUNTEER CHORE 2020 3RD QTR CDHS-AG19-076 SKC MOBILE MEDIC 2020 3RD QTR CDHS-AG19-129 FAMILY SVC PGM- 2020 3RD QTR CDHS-AG19-246 HOSPITALITY HOUS 2020 3RD QTR CDHS-AG19-061 VOLUNTEER TRANSP INV00032047 PD-10/20 RED LIGHT PHOTO AG#15 384095 PKM-SECURITY SERVICES AG17-061 384104 PKM-SECURITY SERVICES AG17-061 384131 PKM-SECURITY SERVICES AG17-061 384388 PKM-SECURITY SERVICES AG17-061 384132 PKM-SECURITY SERVICES AG17-061 384180 PKM-SECURITY SERVICES AG17-061 $1,742.76 $244.50 W., $1, 250, 00 $1,750.00 $2,750.00 $2,000.00 $4,750.00 $2, 500.00 $2,250.00 $28,500,00 $292.11 $170,40 $170.40 $170.40 $170,40 $170.39 Key Bank Page 33 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 384181 $170,40 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 384408 $170A0 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 111114/2020 384431 $292,,11 PKM-SECURITY SERVICES AG17-061 275235 11/30/2020 PIERCE COUNTY SECURITY 1111/4/2020 384473 $170.40 PKM-SECURITY SERVICES AG17-061 275247 11/30/2020 SAFEWAY STORE 1555, 9/30/2020 093020-FWFB-DM-FEDWA $2,000,00 Promotion of Styrofoam Recycl1 275170 11/30/2020 GADGET GENIE GROUP INC, 10/6/2020 10/06/20 $1,500 00 PW - Replacement/repair of 40 275163 11/30/2020 EYTCHESON, KATHRYN B 10/24/2020 10/24/20 $150,00 Sewing repairs at the Repair C 275141 11/30/2020 BAKER, BRUCE P 10/24/2020 10/24/20 $150.00 All-purpose repairs at the Rep 275180 11/30/2020 ICHINAGA, GAIL M 10/24/2020 10/24/20 $150.00 SWR-FIXER STIPEND 275181 11/30/2020 ICHINAGA, GARY R 10/24/2020 10/24/20 $150.00 SWR-FIXER STIPEND 275240 11/30/2020 PRISMA INTERNATIONAL INC,11/3/2020 40460-N $63.20 SWR-WRITTEN WORD TRANSLATION S 275240 11/30/2020 PRISMA INTERNATIONAL INC,11/3/2020 40477-R $119,45 SWR-WRITTEN WORD TRANSLATION S 275174 11/30/2020 HAMLIN, DEANNA MARIE 10/24/2020 10/24/20 $15&00 SWR-FIXER STIPEND 275228 11/30/2020 ONE SHARP GUY MOBILE, SH10/26/2020 000103 $250.00 SWR-SHARPENING OF KNIVES, SCIS 275263 11/30/2020 THE CHAYAH MOVEMENT, 11/11/2020 02035 $1,000.00 Provide event coordination, se 275263 11/30/2020 THE CHAYAH MOVEMENT, 11/11/2020 02035 $100<00 Sales Tax 275256 11/30/2020 SOUTH KING TOOL LIBRARY, 11/12/2020 CFW202001 $1,500.00 Coordination and promotion of 275221 11/30/2020 NAVIA BENEFIT SOLUTIONS, 10/30/2020 10302359 $267,80 HR-10/20 FLEX PLAN ADM SVCS 275295 12/1/2020 JIMENEZ PRODUCTIONS, DAv11/10/2020 11/10/2020 $43.50 CC-11/10 PRHPS MTG 275301 12/1/2020 WESLEY DUNCAN LLC, 10/3/2020 10032020 $1,000,00 MO -WEB DEV 30130 VOLUNTEER PGM 275296 12/1/2020 NPDESPRO LLC, 8/6/2020 1011 $1,542.80 SWM-AG20-030 SOFTWARE SUPPORT 1201203040 12/1/2020 KAISER FOUNDATION HEALTFI2/1/2020 DEC 2020 #1 $45,53315 FI-12/20ADMIN FEE KAISER HEAL 1201203039 12/1/2020 KAISER FOUNDATION HEALTF1211/2020 DEC 2020 #2 $5,076.07 FI-11/20ADMIN FEE KAISER HEAL 275345 12/15/2020 DKS ASSOCIATES, 12/4/2020 0075685 $183,37 PW-AG19-216 HORIZONTAL CURVE W 275410 12/15/2020 OCCUPATIONAL HEALTH CEN11/412020 69549348 $102,50 HR-WELLNESS SCREENING 275306 12/15/2020 ADURO, INC, SUITE 100 11/30/2020 INV2644 $1,749.52 HR-AG19-209 WELLNESS PGM— Key Bank Page 34 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGLTotal 275409 12/15/2020 NORTHWEST SYMPHONY OR,11/19/2020 11/19/20 $6,250.00 PARKS -SIMPLE GIFTS VIRTUAL CON 275438 12/15/2020 SOUTH KING TOOL LIBRARY, 12/4/2020 CF 02002 $500.00 PKS-AG20-404 COORDINATION/INST 275421 12/15/2020 PROTECT YOUTH SPORTS, 11/30/2020 030963 $40.00 HR-BACKGROUND CHECKS 275377 12/15/2020 JIMENEZ PRODUCTIONS, DAL11/24/2020 11/24/20 $87.00 MO -VIDEO SERVICES 275377 12/15/2020 JIMENEZ PRODUCTIONS, DA412/7/2020 12/07/2020 $72,50 MO -VIDEO SERVICES 275484 12/15/2020 ZUMAR INDUSTRIES INC, 10/5/2020 34101 $4,587.46 PWST-SIGNS 275460 12/15/2020 USIC HOLDINGS INC, 11/30/2020 409033 $1,710,15 PWiR/SWM-AG19-078 UGD ULT LOCA 275426 12/15/2020 RHITHRON ASSOCIATES INC,10/30/2020 3362 $5,060.00 SWM-H20 SAMPLESAG17-129 EXP:1 275426 12/15/2020 RHITHRON ASSOCIATES INC, 10/30/2020 3363 $1,560,00 SWM-H20 SAMPLES AG17-129 EXP:1 275440 12/15/2020 SPECTRA LABORATORIES LL(10131/2020 153722 $25,00 SWM-WATER TESTING 275350 12/15/2020 ENVIRONMENTAL COALITION 11/12/2020 00001 $4,140.00 SWM-AG19-023 SPILL KIT CONTRAC 275459 12/15/2020 USDA,APHIS, GENERAL, 7/1/2020 3003508058 $137,23 S -ANIMALAND PLANT INSPECTIO 275459 12/15/2020 USDA,APHIS, GENERAL, 4/1/2020 3003422091 $306,80 SWM-ANIMALAND PLANT INSPECTIO 275348 12/15/2020 EARTHCORPS, 10/31/2020 8056 $7,005,34 SWM-AG20-570 REVITALIZATION OF 275418 12/15/2020 PRIS AINTERNATIONALINC,11/19/2020 40539-H $997,55 SWR-RESIDENTIAL RECYCLING BOOK 275449 12/15/2020 THUILLIER, JENNIFER 11/30/2020 202069 $140.00 SWM-FLYER UPDATES/POSTCARDS 275342 12/15/2020 CORRECTIONS SOFTWARE, £10H/2020 48866 $500,0O C-11/20 PROBATION COMPUTER SY 275462 12/15/2020 VIGILNETAMERICALLC, 11/30/2020 2167229 $5,704.35 MC -PROBATION ALCOHOL MONITORIN 275377 12/15/2020 JIMENEZ PRODUCTIONS, DA411/9/2020 11/19/20 $1,440.00 MOED-AG20-860 MISSION COMM NUT 275377 12/15/2020 JIMENEZ PRODUCTIONS, DAG11/2412020 11/24/20 #2 $1,350,00 MOED-AG20-860 MISSION COMM NUT 275315 12/15/2020 BAKER TILLY US LLP, 10/26/2020 BT1700209 $1,060.00 CD-AG20-927 275315 12/15/2020 BAKER TILLY US LLP, 11/25/2020 BT1718034 $4,502..05 CD-AG20-927 275405 12/15/2020 NAVIA BENEFIT SOLUTIONS, 11/30/2020 10308028 $268.90 HR-11/20 FLEX PLAN ADM SVCS 275377 12/15/2020 JIMENEZ PRODUCTIONS, DA02/312020 12/03/20 $360,00 IT-AG20-860 VIDEO PRODUCTION S 275377 12/15/2020 JIMENEZ PRODUCTIONS, DAV12/4/2020 12/04/20 $240.00 IT-AG20-860 VIDEO PRODUCTION S 275426 12/15/2020 SAFAROVA-DO EY,ALMIRA11/24/2020 11/24/20 $121,00 MC -INTERPRETER SVC Key Bank Page 35 of 56 Check No. -Date Vendor Invoice Date Invoice Description, AmountGL Total 275428 12/15/2020 SAFAROVA-DOWNEY, ALMIRA11/25/2020 11/25/20 $121.00 MC -INTERPRETER SVC 275374 12/15/2020 INTERCOM LANGUAGE SVCS11/27/2020 20-608 $884,00 MC -INTERPRETER SVC 275374 12/15/2020 INTERCOM LANGUAGE SVCS12/4/2020 20-614 $1.133,00 MC -INTERPRETER SVC 275428 12/15/2020 SAFAROVA-DOWNEY, ALMIRA12/812020 12/08/20 $121.00 MC -INTERPRETER SVC 275374 12/15/2020 INTERCOM LANGUAGE SVCS1112/2020 20-591 $2,066.26 MC -INTERPRETER SVC 275454 12/15/2020 TRANSPO GROUP USA INC, 11/11/2020 25499 $3,058,13 PW-AG19-168 VARIABLE LANE USE 275400 12/15/2020 MULTICARE CENTERS OF, OC12/1/2020 142883 $582.00 PD-OFFICER PHYSICAL 275388 12/15/2020 LANGUAGE LINE SERVICES, 111/30/2020 4923394 $291,74 PD-LANGUAGE SVC 275333 12/15/2020 CODE PUBLISHING COMPANY11/30/2020 68354 $1,405,50 HRCK-REVISED CODE 275389 12/15/2020 LAW OFFICES OF MATTHEW F1211/2020 321 $1,000.,00 MO-AG16-049 CONFLICT DEFENDER 275360 12/15/2020 GOLDEN WOOD, LLP, 12/9/2020 15-167 $900.00 MO -CONFLICT DEFENDER SVC AG-20 275367 12/15/2020 HAWKINS & CRAWFORD, PLL(12/9/2020 20201209 $46,631,25 O-AG19-109 11/20 PUBLIC DEFEN 275460 12/15/2020 USIC HOLDINGS INC, 11/30/2020 409033 $3,990,35 PWTR/SWM-AG19-078 UGD ULT LOCA 275459 12/15/2020 USDA,APHIS, GENERAL, 7/1/2020 3003508058 $137,23 SWM-ANIMALAND PLANT INSPECTIO 275459 12/15/2020 USDA,APHIS, GENERAL, 4/1/2020 3003422091 $306,80 SWM-ANIMALAND PLANT INSPECTIO 275427 12/15/2020 RIGHT SYSTEMS INC, 9/29/2020 SI-166702 $3,168.00 IT- MIGRATE PRIMARY VOICE PRI 275427 12/15/2020 RIGHT SYSTEMS INC, 9/29/2020 SI-166702 $316,80 Sales Tax PUBLIC UTILITY SERVICES $54.54 275337 12/15/2020 COMCAST OF WASHINGTON 111/1/2020 8498 34 016 1554623 $54,54 FWCC-11120 CABLE SVC PURCHASE OF RESALE ITEMS $140.69 275233 11/30/2020 PETTY CASH - FWCC, 11/27/2020 11/17/20 $51,83 PARKS -SMART FOODSERVICE-FRONT 275233 11/30/2020 PETTY CASH - FWCC, 11/27/2020 11/17/20 $88.76 PARKS -SMART FOOD SERVICE -SNACK P- CLAIMS GL1PL $8,413.33 275169 11/30/2020 FLOYD, PFLUEGER & RINGER11/512020 61445 $1,752,00 LAW -LEGAL SVCS AG13-033- 275169 11/30/2020 FLOYD, PFLUEGER & RINGERI1/5/2020 61446 $301.50 LAW -LEGAL SVCS AG13-033- 275169 11/30/2020 FLOYD, PFLUEGER & RINGER11/5/2020 61472 $2,159,83 LAW -LEGAL SVCS AG13-033- 275299 12/1/2020 PROJECT RESOURCES GROL11/13/2020 CC64315 $4,200,00 LAW-RSK CLAIM CC64315 PW - CLAIMS PROPERTY $28,152.10 Key Bank Page 36 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275190 11/30/2020 KING COUNTY FINANCE DIVIS5/31/2020 105854,105856-105859 $15,08271 RM-RSD FWPJ#105854, 105856-10 275381 12/1512020 KING COUNTY FINANCE DIVIS9130/2020 107869-107876 #2 $58357 PW-RSD FW#107869-107876 275381 12/15/2020 KING COUNTY FINANCE DIVIclO/20/2020 107401-107411 $12,485,82 PW-RSD FW#107401-107411 PW INSPECTION FEES $73.24 275381 12115/2020 KING COUNTY FINANCE DIVIS3/3112020 107401-107411 $7124 107401-107411 RE114TAL OF FURNITURE/EQUIP MENT $12,598.05 1120209491 11/2012020 US BANK, 11/20/2020 OCT 2020 PROCARD $130.99 SW -STORAGE CONTAINER RENTAL 275001 11/20/2020 HEAD -QUARTERS PTS, 8/3112020 36330 $3,129,00 PARKS-AG18-017 SANICAN SERVICE 275001 11/20/2020 HEAD -QUARTERS PTS, 9/30/2020 36488 $3,129,00 PARKS-AG18-017 SANICAN SERVICE 275207 11130/2020 MACHINERY POWER & EQUIPB/26/2020 T2962803 $895,13 SVIIM-MAINT SUPPLIES 275268 11/30/2020 TYLER RENTAL INC, 9/1/2020 E297010 $3,904.96 SWM-RENTAL EQUIPMENT 275136 11/3012020 ANNA'S PARTY RENTALS, 11/17/2020 21780 $454.17 MO -EQUIP RENTAL 275448 12/15/2020 THERMO KING NORTHWEST 18/25/5050 2565651 $954,80 PVJ-RENTAL TRACK LOADER REPAIR & MAINT SUPPLIES $11,865.72 1120209491 11/20/2020 US BANK, 11/20/2020 OCT 2020 P ROCAR D $106.17 SVVM-CLEANER 1123202059 11/23/2020 US BANK, 10126/2020 OCT 2020 CITY VISA $646,29 WJCC-HOT TUB PROBES 275229 11/30/2020 ORCA PACIFIC INC, 11/2/2020 44031 $980.90 PARKS -POOL CHEMICALS AG17-002 275177 11/30/2020 HOME DEPOT-DEPT 32-25007;11/9/2020 4611583 $32,14 SVVM-MAINT SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 11/12/2020 01110 $71,26 PWST-MAINT SUPPLIES 275267 11/30/2020 TRINITY ACE HARDWARE, IV12/2020 143615 $10.98 PVVST-SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 11A/2020 09379 $118A2 PVVST-MAINT SUPPLIES 275177 11/30/2020 HOME DEPOT-DEPT 32-25007;11/5/2020 8514199 $4336 SVVM-MAINT SUPPLIES 275177 11/30/2020 HOME DEPOT-DEPT 32-25007W1/2020 3520223 $16,48 PWST-REPAIR & MAINT SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 10126/2020 916328 $-208.96 PVV-MAINT SUPPLIES 275229 11/30/2020 ORCA PACIFIC INC, 11i9/2020 44082 $1 24217 PARKS -POOL CHEMICALS AG1 7-002 275229 11130/2020 ORCA PACIFIC INC, 11)'13/2020 44124 $1,08056 PARKS -POOL CH EMICALS AG17-002 275167 11/30/2020 FICHTNER, THOMAS 11i'9/2020 FICHTNER 2020 $13T98 IT-MISC EQUIPMENT Key Bank Page 37 of 56 Check No. Date Vendor Invoice Date Invoice Description Amou ntG L Total 275162 11130/2020 EXCEL SUPPLY COMPANY, IN(2/21/2020 3895 $195,17 FLT-SAFETY SUPPLIES 275267 11/30/2020 TRINITY ACE HARDWARE, 10/26/2020 140852 $21,97 PKIVI-SUPPLIES 275230 11/3012020 O'REILLYAUTO PARTS, 11110/2020 3710-426976 $40.29 PKM-MAINT PARTS 275205 11/30/2020 LOWE'S HIW INC, 1111212020 23362 $177.13 PKM-MAINT SUPPLIES 275267 11/30/2020 TRINITY ACE HARDWARE, 11/13/2020 143826 $549 PKM-SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 11/17/2020 01807 $41.59 PKIVI-MAINT SUPPLIES 275261 11/30/2020 TACOMA SCREW PRODUCTS 11/1712020 13128858 $56,97 PKM-MAINT SUPPLIES 275267 11/3012020 TRINITYACE HARDWARE, 11/512020 142524 $7.69 PKM-SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 1119/2020 02834 $39,79 PKM-MAINT SUPPLIES 275161 11/30/2020 EWING IRRIGATION PRODUC-3/20/2020 11211740 $145.72 PKM-MAINT SUPPLIES 275267 11/30/2020 TRINITY ACE HARDWARE, 10/28/2020 141273 $34.45 PKM-SUPPLIES 275177 11/30/2020 HOME DEPOT-DEPT 32-25007010/28/2020 6020432 $61.38 PKM-REPAIR & MAINT SUPPLIES 275177 11/30/2020 HOME DEPOT-DEPT 32-2500710129/2020 5610085 $40.63 PKIVI-REPAIR & MAINT SUPPLIES 275212 11/30/2020 MFCP, INC_ 11118/2020 7767669 $76.69 PKM-REPAIR/MAINT SUPPLIES 275177 11/30/2020 HOME DEPOT-DEPT 32-25007;11/19/2020 4022167 $109,84 PKIVI-REPAIR & MAINT SUPPLIES 275162 11/30/2020 EXCEL SUPPLY COMPANY, IN(9/10/2020 124891 $749,32 FLT-SAFETY SUPPLIES 275219 11/3012020 NAPA AUTO PARTS, 10122/2020 850907 $77.15 FLT-REPAIR & MAINT 275205 11/30/2020 LOWE'S HIW INC, 1112/2020 02832 $8.53 PWST-MAINT SUPPLIES 275267 11/30/2020 TRINITY ACE HARDWARE, 11/3/2020 142181 $10,99 PWST-SUPPLIES 275128 11/30/2020 AARO INC DBA THE LOCK SH(11/6/2020 0000031032 $51 31 PWST-DUPLICATE KEYS 275177 11/30/2020 HOME DEPOT-DEPT 32-250078/26/2020 990206 $50.00 PWST-REPAIR & MAINT SUPPLIES 275177 11/30/2020 HOME DEPOT-DEPT 32-2500711/13/2020 0515167 $20.82 CHB-REPAIR & MAINT SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 10/12/2020 01932 $20,86 CHB-MAINT SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 1111612020 09585 $20.64 CHB-MAINT SUPPLIES 275205 11/3012020 LOWE'S HIW INC, 11/19/2020 23990 $6.26 CHB-MAINT SUPPLIES 275205 11/30/2020 LOWE'S HIW INC, 11/23/2020 23350 $13.34 CHB-MAINT SUPPLIES Key Bank Page 38 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275205 11/30/2020 LOWE'S HIW INC, 10/30/2020 01767 $2611 CHB-MAINT SUPPLIES 275131 11/30/2020 AGRISHOP INC, 11/4/2020 62769/1 $134.62 CHB-EQUIPMENT PARTS & REPAIRS 275432 12/1512020 SHERWIN-WILLIAMS CO, 10/27/2020 4195-5 $118.24 CHB-FACILITIES PAINT SUPPLIES 275393 12/1512020 LOWE'S HIW INC, 11/24/2020 23438 $112,64 PKM-MAINT SUPPLIES 275415 12/15/2020 PLASTICS MD LLC, DBA PLAY(11/1612020 1660 $1 ,722.60 PKM-CARGO NET 275407 12/15/2020 NORTHSHORE VILLAGE, 11124/2020 11719 $139.67 PKDBC-MAINT SUPPLIES 275393 12/1512020 LOWE'S HIW INC, 8/24/2020 01456 $10.42 PWST-MAINT SUPPLIES 275393 12/15/2020 LOWE'S HIW INC, 9/22/2020 02554 $66.79 PWST-MAINT SUPPLIES 275393 12/1512020 LOWE'S HIW INC, 11/20/2020 01430 $5,97 PWST-MAINT SUPPLIES 275480 12/1512020 WILLIAMS OIL FILTER SVC C011/25/2020 581831 $18,28 PWST-MAINT SUPPLIES 275404 12115/2020 NAPA AUTO PARTS, 12/3/2020 045048 $3,29 FLT-REPAIR & MAINT 275307 12/15/2020 ADVANCE AUTO PARTS, 12/3/2020 13144-413677 $149.48 FLT-VEHICLE MAINT PARTS 275404 12/15/2020 NAPA AUTO PARTS, 12/7/2020 045083 $210,53 FLT-REPAIR & MAINT 275372 12/1512020 HOME DEPOT-DEPT 32-2500702/2/2020 1522781 $132,52 PKM-REPAIR & MAINT SUPPLIES 275393 12/15/2020 LOWE'S HIW INC, 11/23/2020 18747 $21,18 PKM-MAINT SUPPLIES 275354 12115/2020 EWING IRRIGATION PRODUC-12/3/2020 13148032 $171 PKM-MAINT SUPPLIES 275393 12/15/2020 LOWE'S HIW INC, 1218/2020 01638 $36,00 PKM-MAINT SUPPLIES 275456 12/15/2020 TRINITY ACE HARDWARE, 12/8/2020 148321 $9,89 PKM-SUPPLIES 275309 12/15/2020 AGRISHOP INC, 12/812020 63029/1 $1,154.80 PKM-EQUIPMENT PARTS & REPAIRS 275416 12/1512020 PR AIR DISTRIBUTION INC, 10/29/2020 99806304 $648.41 SWM-MAINT SUPPLIES 275372 12/15/2020 HOME DEPOT-DEPT 32-2500701/13/2020 0515162 $48,31 PWST-REPAIR & MAINT SUPPLIES 275432 12/15/2020 SHERWIN-WILLIAMS CO, 11/1312020 7315-3 $369.24 PWST-FACILITIES PAINT SUPPLIES 275393 12/15/2020 LOWE'S HIW INC, 11117/2020 01304 $284,35 PWST-MAINT SUPPLIES 275407 12115/2020 NORTHSHORE VILLAGE, 12r712020 11769 $7910 PKDBC-MAINT SUPPLIES REPAIR PARTS $2,410.73 1117203793 11/17/2020 US BANK, 10/2612020 OCT 2020 PID VISA $351.80 PD-AMAZON Key Bank Page 39 of 56 Check No Date Vendor Invoice Date Invoice Descri tion AmountGL Total 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PC VISA $15,66 PD-WALMART 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $559.05 PD-AMAZON 1117203793 11/17/2020 US BANK, 1012612020 OCT 2020 PD VISA $20.08 PD-AMAZON 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $61,,35 PD-AMAZON 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $40.10 PD-AMAZON 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $3204 PD-HOME DEPOT 275222 11/30/2020 NELSON TRUCK EQUIPMENT 9/22/2020 712284 $523.,08 FLT-MAANT PARTS 275307 12/15/2020 ADVANCE AUTO PARTS, 9/29/2020 13144-406464 $41.42 FLT-VEHICLE MAINT PARTS 275307 12/15/2020 ADVANCE AUTO PARTS, 10/12/2020 13144-407931 $41.54 FLT-VEHICLE MAINT PARTS 275445 12/15/2020 TACOMA SCREW PRODUCTS 11/10/2020 13128470 $133.69 FLT-MAINT SUPPLIES 275357 12/15/2020 FASTENAL, 11/13/2020 WAAUB85314 $353,13 FLT-MAINT SUPPLIES 275307 12/15/2020 ADVANCE AUTO PARTS, 11/30/2020 13144-413286 $6.71 FLT-VEHICLE MAINT 275307 12/15/2020 ADVANCE AUTO PARTS, 11/30/2020 13144-413287 $45.99 FLT-VEHICLE MAINT PARTS 275357 12/15/2020 FASTENAL, 11/30/2020 WAAUB85583 $169,95 FLT-MAINT SUPPLIES 275307 12/15/2020 ADVANCE AUTO PARTS, 12/3/2020 13144-413668 $15.14 FLT-VEHICLE MAINT REPAIRS AND MAINTENANCE $151,047.01 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $1,873.46 PD-SOUTH BOUND HONDA 1117203793 11/17/2020 US BANK, 10/26/2020 OCT 2020 PD VISA $1,552,85 PD-SOUTH BOUND HONDA 1120209491 11/20/2020 US BANK, 11/20/2020 OCT 2020 PROCARD $214,00 FLT-CLEANING SVC 1120209491 11/20/2020 US BANK, 11/20/2020 OCT 2020 PROCARD $214,00 FLT-CLEANING SVC 275014 11/20/2020 MACDONALD MILLER SERVIC11/20/2020 PM105255 $7,590 00 CHB/FWCC-AG19-042 HVAC SVC-- 275018 11/20/2020 METRO GLASS CO INC, 10/31/2020 200331A $513.51 CHB-AG20-887 PERMIT CT PROTECT 275018 11/20/2020 METRO GLASS CO INC, 11/17/2020 200331 $5,648.51 CHB-AG20-887 PERMIT CT PROTECT 275024 11/20/2020 PERFORMING ARTS & EVENT10/27/2020 20035535-2 $15,180,00 PKM-MAINT SVC 275006 11/20/2020 JGM TECHNICAL SERVICES R,11/6/2020 2328 $846.35 PKM-AG18-004 ON -CALL ELECTRICA 275006 11/20/2020 JGM TECHNICAL SERVICES JM1/612020 2329 $816,24 PKM-AG18-004 ON -CALL ELECTRICA Key Bank Page 40 of 56 Check No Date Vendor Invoice Date Invoice Description AmountGLTotal 275264 11/30/2020 THUNDERING OAK ENTERPRI10/16/2020 10708 $496.38 PKM-AG19-115 TREE SVC AGREEMEN 275264 11/30/2020 THUNDERING OAK ENTERPRI10/16/2020 10710 $550,00 PKM-AG19-115 TREE SVC AGREEMEN 275264 11/30/2020 THUNDERING OAK ENTERPRI10/16/2020 10711 $1,452.00 PKM-AG19-115 TREE SVC AGREEMEN 275264 11/30/2020 THUNDERING OAK ENTERPRI10/19/2020 10713 $946,88 PKM-AG19-115 TREE SVC AGREEMEN 275264 11/30/2020 THUNDERING OAK ENTERPRI11/2312020 10779 $2,290.75 PKM-AG19-115 TREE SVC AGREEMEN 275264 11/30/2020 THUNDERING OAK ENTER PRI1 1/2/2020 10742 $1,540.00 PKM-AG19-115 TREE SVC AGREEMEN 275249 11/30/2020 SECOMA FENCE INC, 11/5/2020 15449 $643,50 PKM-FENCE REPAIR SVC 275262 11/30/2020 TERMINIX, 10/29/2020 401853548 $182.60 FWCC-PEST CONTROL 275206 11/30/2020 MACDONALD MILLER SERVICI0/1/2020 PM104196 $6,875.00 CH B/FWCC-AG1 9-042 HVAC SVC-- 275288 11/30/2020 WHIRLWIND SERVICES INC, V9/22/2020 691910 $209.00 PARKS-AG18-003 PARKING LOT VAC 275249 11/30/2020 SECOMA FENCE INC, 11/9/2020 15473 $412.50 PKM-FENCE REPAIR SVC 275218 11/30/2020 MT VIEW LOCATING SERVICE11/16/2020 22351-23383 $170,00 PKM-LOCATING SVC 275156 11/30/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2217675 $1,138,55 IT-10/20 CN27672-01 MAINT SVC 275156 11/30/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2217717 $962.56 IT-10/20 NASP05214 COPIER MAIN 275194 11/30/2020 KING COUNTY RADIO, 10/29/2020 00451725 $78.65 IT -RADIO MAINT/REPAIR 275194 11/30/2020 KING COUNTY RADIO, 10/29/2020 00451726 $78.65 IT -RADIO MAINT/REPAIR 275265 11/30/2020 TOTAL LANDSCAPE CORP, 10/31/2020 73730 $864.00 PKDBC - GROUNDS SERVCE 275265 11/30/2020 TOTAL LANDSCAPE CORP, 10/31/2020 73730 $86.40 Sales Tax 275248 11/30/2020 SCARFF FORD, 11/3/2020 32226 $243 05 FLT-VEHICLE MAINT SVC 275287 11/30/2020 WESTERN EQUIPMENT DISTP111612020 8061311-00 $699.03 FLT-AI NT SVC 275275 11/30/2020 VERMEER NORTHWEST SALE10/16/2020 W10104 $2,401.32 FLT-MAINT SVC & PARTS 275283 11/30/2020 WASHDUP, LLC, 10/31/2020 406 $317.72 PD-09/20 CAR WASH SERVICES 275159 11/30/2020 EAGLETIRE &AUTOMOTIVE (1112/2020 1-40846 $617,54 PD-VEHICLE MAINT 275260 11/30/2020 SYSTEMS FOR PUBLIC SAFE111/11/2020 38723 $184.91 PD-VEHICLE REPAIR SVC 275260 11/30/2020 SYSTEMS FOR PUBLIC SAFE11111112020 38731 $24.52 PD-VEHICLE REPAIR SVC 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11/12/2020 1-10963 $27T44 PD-VEHICLE MAINT Key Bank Page 41 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11112/2020 1-40959 $42.30 PD-VEHICLE MAINT 275248 11/30/2020 SCARFF FORD, 11/12/2020 32537 $772,56 PD-VEHICLE MAINT SVC 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11113/2020 1-40973 $1,353.51 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11/16/2020 1-40998 $1,830.36 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11/16/2020 1-41001 $236,56 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE& AUTOMOTIVE(11/1712020 1-41013 $670.05 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11/17/2020 1-41014 $42,30 PD-VEHICLE MAINT 275260 11/30/2020 SYSTEMS FOR PUBLIC SAFE111/19/2020 38781 $21.65 PD-VEHICLE REPAIR SVC 275257 11/30/2020 SPEEDY GLASS-TACOMA, 8/17/2020 6005-197077 $563.11 PD-VEHICLE WINDSHIELD REPAIR 275215 11/30/2020 MONARCH COLLISION CENTE9/29/2020 1294 $336,17 PD-VEHICLE MAINT SVC 275156 11/30/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2217675 $177.10 IT-10/20 CN27672-01 MAINT SVC 275156 11/30/2020 COPIERS NORTHWEST INC, 10/3112020 INV2217717 $149.73 IT-10/20 NASP05214 COPIER MAIN 275156 11/30/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2217675 $1,214.43 IT-10/20 CN27672-01 MAINT SVC 275156 11/30/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2217717 $1,026.72 IT-10/20 NASP05214 COPIER MAIN 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11/10/2020 1-40928 $2,503.90 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11/11/2020 1-40935 $42 30 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11/11/2020 1-40939 $1,704 58 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11/11/2020 1-40945 $911.04 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11/11/2020 1-40949 $42.30 PD-VEHICLE MAINT 275159 11/30/2020 EAGLETIRE &AUTOMOTIVE (11111/2020 1-40951 $42.30 PD-VEHICLE MAINT 275260 11/30/2020 SYSTEMS FOR PUBLIC SAFE111/3/2020 38642 $98,09 PD-VEHICLE REPAIR SVC 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (1119/2020 1-40925 $1,315,20 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11/912020 1-40926 $2,181.50 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (1119/2020 1-40931 $267.01 PD-VEHICLE MAINT 275159 11/30/2020 EAGLETIRE &AUTOMOTIVE (11/2/2020 1-40847 $1,517.21 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (1112/2020 1-40850 $72.60 PD-VEHICLE MAINT Key Sank Page 42 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGLTotal 275159 11/3012020 EAGLE TIRE & AUTOMOTIVE (11/3/2020 1-40855 $887,77 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11/3/2020 1-40856 $42.30 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE & AUTOMOTIVE (11/3/2020 1-40864 $42,30 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11/3/2020 1-40865 $42.30 PD-VEHICLE MAINT 275264 11/30/2020 THUNDERING OAK ENTERPRI101812020 10695 $1,595.00 PKM-AG19-115 TREE SVC AGREEMEN 275264 11/30/2020 THUNDERING OAK ENTER PR❑/29/2020 10591 $2,167.00 PKM-AG19-115 TREE SVC AGREEMEN 275264 11/30/2020 THUNDERING OAK ENTERPRf7/29/2020 10592 $935.00 PKM-AG19-115 TREE SVC AGREEMEN 275267 11/30/2020 TRINITY ACE HARDWARE, 11/6/2020 142687 $5,49 PKM-SUPPLIES 275208 11/30/2020 MACMOR INC, 11/11/2020 14801 $2,688.14 PWST/SWR-LANDSCAPE MAINTAG17- 275208 11/30/2020 MACMOR INC, 11/11/2020 14802 $1,573.91 PWST/SWR-LANDSCAPE MAINTAGI7- 275208 11/30/2020 MACMOR INC, 11/11/2020 14801 $2,058,08 PWST/S -LANDSCAPE MAINTAGI7- 275208 11/30/2020 MACMOR INC, 11/11/2020 14802 $1,205.02 PWST/SWR-LANDSCAPE MAINTAG17- 275297 12/1/2020 PREMIER POWDER COATING,10/6/2020 22387 $2,459.25 PK-MERRY GO ROUND MAINT SVCS 275447 12/15/2020 THE TREE RECYCLERS, 11/13/2020 01113 $1,800,00 PWST-REMOVAL OF LARGE CEDAR AT 275447 12/15/2020 THE TREE RECYCLERS, 11/13/2020 01113 $18000 Sales Tax 275393 12/15/2020 LOWE'S HIW INC, 11/24/2020 17082 $125,31 PWST-MAINT SUPPLIES 275339 12/15/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2221350 $85.10 IT-AG17-182 PRINTER MAINT EXP: 275339 12/15/2020 COPIERS NORTHWEST INC, 11/30/2020 INV2227110 $192.54 IT-AG17-182 PRINTER MAINT EXP: 275305 12/15/2020 ACTION SERVICES CORPORA10/20/2020 106876 $2,135,15 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORA10/20/2020 106988 $1,440.00 S-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORA10/21/2020 106989 $915,55 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORA10/2712020 107090 $1,757.60 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORA10128/2020 107091 $1,080.90 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORA1012912020 107092 $1,410,40 SWM-AG20-056 2020/2021 SWM VAC 275450 12/15/2020 THUNDERING OAK ENTER PRI7/14/2020 10582 $2,123.00 SWM-TREE REMOVAL SVC 275450 12115/2020 THUNDERING OAK ENTERPRI7/14/2020 10581 $2,750,00 SWM-TREE REMOVAL SVC Key Bank Page 43 of 56 Check No. Date Vendor Invoice Date invoice Description AmountGLTotal 275305 12/15/2020 ACTION SERVICES CORPORA10/14/2020 106873 $1,306.00 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORA10/1512020 106875 $2,915,80 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORA10119/2020 106874 $1,694,90 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORP11/2/2020 107093 $3,036.60 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORPII/3/2020 107096 $540,00 SWM-AG20-056 2020/2021 SWM VAC 275305 12/15/2020 ACTION SERVICES CORPORP11/4/2020 107095 $1.521,95 SWM-AG20-056 2020/2021 SWM VAC 275347 12115/2020 EAGLE TIRE & AUTOMOTIVE (12/4/2020 1-41168 $135.44 PD-VEHICLE MAINT 275419 12/15/2020 PRO TOUCH AUTO INTERIOR 12/8/2020 50794 $176,00 PD-CAR 6123 DETAIL 275325 12/15/2020 CAR WASH ENTERPRISES, 11/18/2020 OCTOBER 2020 $172.,00 PD-OCTOBER 2020 VEHICLE WASHES 275401 12/15/2020 MVTOWINOLLC, 11/23/2020 23035 $77,00 PD-VEHICLE TOW CASE # 20-12528 275430 12/15/2020 SCARFF FORD, 11/23/2020 32622 $57.39 PD-VEHICLE MAINT SVC 275347 12/15/2020 EAGLE TIRE &AUTOMOTIVE (11/24/2020 1-41090 $42,30 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (11/25/2020 1-41094 $348.14 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE &AUTOMOTIVE (11125/2020 1-41100 $85,20 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (11/27/2020 1-41116 $42.30 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (12/3/2020 1-41138 $881.39 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (12/3/2020 1-41158 $262,08 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (12/312020 1-41160 $1.086,57 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (12/l/2020 1-41139 $875.49 PD-VEHICLE MAINT 275401 12/15/2020 MVTOW NOLLC, 12/l/2020 21492 $13Z00 PD-VEHICLE TOW CASE # 20-13023 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (12/2/2020 1-41148 $130.84 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (12/2/2020 1-41149 $112,39 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (12/2/2020 1-41152 $1,517.29 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (11/2512020 1-41093 $1,514.51 PD-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (11/24/2020 1-41096 $42 30 PD-VEHICLE MAINT 275472 12/15/2020 WASHDUP, LLC, 7/31/2020 383 $30.76 FLT-DULY CAR WASH SERVICES Key Bank Page 44 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275472 12/15/2020 WASHDUP, LLC, 6/30/2020 375 $30.76 FLT-JUKE CAR WASH SERVICES 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \6/2/2020 37800471872 $16.49 FLT-VEHICLE MAINT 275472 12/15/2020 WASHDUP, LLC, 5/31/2020 367 $38,45 FLT-MAY CAR WASH SERVICES 275452 12/15/2020 TIMCO INC, 8/21/2020 T028211 $697,43 FLT-REPAIR SUPPLIES 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (11119/2020 1-41051 $42.30 FLT-VEHICLE MAINT 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (11125/2020 1-41089 $1,782.15 FLT-VEHICLE MAINT 275356 12/15/2020 EXQUISITE MOBILE DETAIL, N12/4/2020 1686 $532.50 FLT-MOBILE DETAIL 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \12/9/2020 37800472898 $35,19 FLT-VEHICLE MAINT 275472 12/15/2020 WASHDUP, LLC, 8/31/2020 389 $7,69 FLT-AUGUST CAR WASH SERVICES 275477 12/15/2020 WESTERN PETERBILT LLC, 9/21/2020 024R249345 $1,828.78 FLT-REPAIR & MAINT 275472 12/15/2020 WASHDUP, LLC, 9/30/2020 395 $38,45 FLT-SEPTEMBER CAR WASH SERVICE 275477 12/15/2020 WESTERN PETERBILT LLC, 10/29/2020 025R254619 $1,516,79 FLT-REPAIR & MAINT 275472 12/15/2020 WASHDUP, LLC, 10/31/2020 401 $7,69 FLT-OCTOBER CAR WASH SERVICES 275347 12/15/2020 EAGLE TIRE & AUTOMOTIVE (11/1912020 1-41049 $295.67 FLT-VEHICLE MAINT 275339 12/15/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2221350 $54,65 IT-AG17-182 PRINTER MAINT EXP: 275339 12/15/2020 COPIERS NORTHWEST INC, 11/30/2020 INV2227110 $123.65 IT-AG17-182 PRINTER MAINT EXP: 275383 12/15/2020 KING COUNTY RADIO, 11/30/2020 00451690 $787.50 IT -RADIO MAINT/REPAIR 275383 12/15/2020 KING COUNTY RADIO, 11/30/2020 00451691 $407,50 IT -RADIO MAINT/REPAIR 275478 12/15/2020 WHIRLWIND SERVICES INC, V10/16/2020 692853 $191.40 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V10/16/2020 692955 $64,90 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V1011612020 692956 $40.70 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V11/30/2020 695115 $64,90 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V11/30/2020 695120 $49.50 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V11/30/2020 695121 $191.40 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V11/30/2020 695122 $20.90 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V12/3/2020 695096 $32670 PARKS-AG18-003 PARKING LOT VAC Key Bank Page 45 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275384 12/15/2020 KING COUNTY SOLID WASTE, 12/'10/2020 2268732 $77.18 PKOA-SOLID WASTE DISPOSAL 275446 1211512020 TERMINIX, 11121/2020 402618411 $97.90 FWCC-PEST CONTROL 275363 12/15/2020 GREENPOINT LANDSCAPING 11/25/2020 63023 $1,567,51 FWCC-AG19-119 LANDSCAPE MAINT 275478 12/15/2020 WHIRLWIND SERVICES INC, V12rPI2020 695107 $164.45 PARKS-AG18-003 PARKING LOT VAC 275478 12115/2020 WHIRLWIND SERVICES INC, V10/16/2020 692954 $16445 PARKS-AGI B-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V10/16/2020 692959 $53,90 PARKS-AG1 B-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V10/22/2020 693028 $164,45 PARKS-AG18-003 PARKING LOT VAC 275450 12/1512020 THUNDERING OAK ENTERPRI12/3/2020 10805 $2,618.00 PKM-AG19-115 TREE SVC AGREEMEN 275368 1211512020 HEAD -QUARTERS PTS, 11130/2020 36793 $3,299,00 PAFZKS-AG18-017 SANICAN SERVICE 275478 12/1512020 WHIRLWIND SERVICES INC, V11/30/2020 695095 $30,80 PAFZKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V11/30/2020 695112 $4070 PARKS-AG1 8-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V1113012020 695113 $20,90 PAFZKS-AGIB-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V11/3012020 695114 $93.50 PAFZKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V10/16/2020 692957 $47,30 PARKS-AG18-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V10116/2020 692958 $30,80 PARKS-AG1 B-003 PARKING LOT VAC 275478 12/15/2020 WHIRLWIND SERVICES INC, V10/16/2020 692960 $30.80 PARKS-AG1 8-003 PARKING LOT VAC 275478 12115/2020 WHIRLWIND SERVICES INC, V10/22/2020 693029 $93,50 PAFZKS-AG1 8-003 PARKING LOT VAC 275339 12/15/2020 COPIERS NORTHWEST INC, 10/31/2020 INV2221350 $37.54 1'r-AG17-182 PRINTER MAINT EXP: 275339 12115/2020 COPIERS NORTHWEST INC, 11/30/2020 INV2227110 $84,94 IT-AG17-182 PRINTER MAINT EXP: 275417 12/1512020 PRECISION CONCRETE CUTT11/25/2020 WA503375KE $3,144.15 PWST-AG20-572 CONCRETE BEVELIN 275412 12/15/2020 PAVEMENT MAINT OF WA LLC12/2/2020 AG20-070 #4 $2,231.00 PWST-AG20-070 2020 PAVEMENT RE ROAD SVCSIPERMITS-INTGVT $137,227.07 275190 11/30/2020 KING COUNTY FINANCE DIVIcB/31/2020 107479-107513 $52,484,14 PW-RSD FW#107479-107513 275190 11/30/2020 KING COUNTY FINANCE DIVIE9/30/2020 107869-107876 $6,538.95 PVV-RSD FW#107869-107876 275190 11130/2020 KING COUNTY FINANCE DIVIE9/30/2020 107963-108003 $61,902.60 PW-RSD FV\t#107963-108003 275280 11/30/2020 WA STATE DEPT OF TRANSPC10/13/2020 RE 41 JZ0247 LO 10 $839,74 P4f1r-PROJECTJZ0247 FEES Page 46 of 56 Key Bank Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275469 12/15/2020 WA STATE DEPT OF TRANSPC11/1612020 RE 41 JZ0247 L023 $1,333,10 PW-PROJECT JZ0247 FEES 275467 12/15/2020 WA STATE DEPT OF ECOLOG`11/10/2020 DIN-0000000172 $1,208.00 SWM-KITTS CORNER STORMWATER 275467 12/15/2020 WA STATE DEPT OF ECOLOG°11/10/2020 DIN-0000000173 $1,208,00 SWM-S 336TH STREET STORMWATER 275467 12/15/2020 WA STATE DEPT OF ECOLOG`11110/2020 DIN-000000171 $1,208,00 SWM-PANTHER LAKE DETENTION PON 275381 12/15/2020 KING COUNTY FINANCE DIVIc8/31/2020 107401-107411 $10,504 54 107401-107411 SALARIES & WAGES $330.00 275464 12/15/2020 VILMASIGNS, 9/28/2020 3329 $330,00 P W-DECALS SALES TAX PAYABLE $-2,141.49 1204203485 12/4/2020 WA STATE REVENUE DEPART1214/2020 601-223-538 $0.91 FI-10/20 REMIT SALES TAX 1204203485 12/4/2020 WA STATE REVENUE DEPART12/4/2020 601-223-538 $-2,142.40 FI-10120 REMIT SALES TAX DEC SALES TAX PAYABLE-RECREAT $3,106.65 1204203485 12/4/2020 WA STATE REVENUE DEPART12/4/2020 601-223-538 $3,106.65 FI-10/20 REMIT SALES TAX FWCC SCC SURCHARGE $524.50 275281 11/30/2020 WASTATE-STATE REVENUES,11/13/2020 OCT2020 $524.50 FI-10/20 STATE PORTION REMIT F SEWER BILLINGS $3,118.88 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'1115/2020 3461301 $2,501.43 FWCC-10/20 876 S 333RD DET M#6 275199 11/30/2020 LAKEHAVEN UTILITY DISTRICI1/5/2020 2865902 $31.44 PKM-09/01/20 - 11/05/20 729 35 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 2926402 $31,44 PKM-10/20 33914 19TH AVE SW #9 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 2926501 $34,73 PKM-10/20 33914 19TH AVE SW M 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'1115/2020 101002 $8408 PKM-10120 BROOKLAKE MAIN HALL 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/512020 2865803 $31.44 PKM-09/01/20-11/05/20 726 356 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC`11/5/2020 3075201 $31.,44 PKM-10/20 1095 324TH ST S M#97 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC`11/5/2020 3075301 $44.60 PKM-10/20 1095 324TH ST S #985 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 3075401 $31,,44 PKM-10120 1095 324TH ST S #985 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC1115/2020 2913103 $146.59 CHB-10/20 33325 8TH AVE S M#94 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC`11/5/2020 3405101 $34 73 CHB-10120 600 S 333RD ST #6239 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC1113012020 1014202 $31.44 PKM-01120 312 DASH PT RD M#432 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'11/30/2020 1768602 $8408 PKM-09/20 3200 DASH PT RD #163 S ALL TOOLS - SHOP $321.16 Key Bank Page 47 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275233 11/30/2020 PETTY CASH - FWCC, 11/27/2020 11/17/20 $2155 PARKS -HOME DEPOT -CONCRETE DRIL 275233 11/3012020 PETTY CASH - FWCC. 11/27/2020 11/17/20 $65.22 PARKS -AMAZON -POOL TEST KIT FOR 275372 12/15/2020 HOME DEPOT-DEPT 32-25007;12/8/2020 5511771 $88,99 IT-MAINT SUPPLIES 275309 12115/2020 AGRISHOP INC, 11/18/2020 62890/1 $-6.60 PWST-EQUIPMENT PARTS & REPAIRS 275372 12/15/2020 HOME DEPOT-DEPT 32-25007;12/4/2020 9071630 $150.00 IT-MAINT SUPPLIES STATE COVID .19 GRANT TRUCK $40,570.45 274978 1112012020 BOWEN SCARFIF FORD SALE,110/2612020 112748 $24,405.60 PW-2020 FORD TRANSIT CONNECT X 274978 11/20/2020 BOWEN SCARFF FORD SALE,110/26/2020 112748 $2,513.78 Sales Tax 10.3 275038 11/2012020 WA STATE DEPT OF LICENSIN11/19/2020 11/19/2020 $13,651.07 FLT-TITLE APPLICATION AND TAXE STATE COVID-1 9 GRANT USIN REIME $1,271,257.54 1120204759 11/20/2020 US BANK, 11/20/2020 1592602 $%263.65 FWCC-MATS FOR WARMING SHELTER 274989 11/20/2020 EL CENTRO DE LA RAZA, 11117/2020 AG20-886 $500,000.00 CDHS-COVID 19 RENTALASSISTANC 274998 11/20/2020 GROSSNICKLE, KAREN 11/1712020 GROSSNICKLE 2020 $326,66 PD-FACE MASKS 274995 1112012020 FEDERAL WAY PUBLIC SCHO(11/1 8/2020 AR13155 $100,000.00 IT-HOTSPOTS FOR 5 MONTHS 275017 11/2012020 MAITRI YOGA LLC, KAREN SC11119/2020 AG20-881 $1,000m MOED-AG20-881 CARES ACT GRANT 275036 11/20/2020 THREE TREES YOGA LLC, 11/19/2020 AG20-882 $1,000m MOED-AG20-882 CARES ACT GRANT 275025 11/2012020 POWER PROPERTY CONSUL111119/2020 AG20-888 $2,000,00 MOED-AG20-888 CARES ACT GRANT 275011 11/20/2020 LITTLE POOH'SCHILDCARE, 11/19/2020 AG20-897 $15,000.00 CDHS-AG20-897 CHILDCARE PROVID 274977 11/20/2020 ANNE'S CHILDCARE & PRESC11/1912020 AG20-898 $1,286.44 CDHS-AG20-898 CHILDCARE PROVID 275012 11/20/2020 LITTLE TOTS DAYCARE, FLOR1 1/1912020 AG20-899 $5,704.05 CDHS-AG20-899 CHILDCARE PROVID 275023 11/20/2020 PAMOJA WOMENS GROUP LL,11119/2020 AG20-773 $1,000.00 AMOED-AG20-773 CARES ACT GRANT 274986 11120/2020 EAGLE TIRE & AUTOMOTIVE (11/1912020 AG20-793 $2,00000 MOED-AG20-793 CARES ACT GRANT 275034 11120/2020 THE LIFE & RELATIONSHIP, IN11/19/2020 AG20-824 $1,000.00 MOED-AG20-824 CARES ACT GRANT 275040 11/20/2020 YO SOY UNICO DAY CARE, C(11119/2020 AG20-849 $2,000,00 MOED-AG20-849 CARES ACT GRANT 274982 11/20/2020 CHIROPRACTIC WELLNESS, 11/19/2020 AG20-872 $2,000,00 MOED-AG20-872 CARES ACT GRANT 274981 11/20/2020 CHILDREN'S DREAM LEARNIN11/19/2020 AG20-874 $2,000.00 MOED-AG20-874 CARES ACT GRANT 274994 11/20/2020 FAMILY MEDICINE CLINIC, OF 11/19/2020 AG20-674 $2,000.00 MOED-AG20-674 CARES ACT GRANT Key Bank Page 48 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275000 11/20/2020 HAKSAN TERIYAKI, Y00 & Y011/19/2020 AG20-692 $1,000.00 MOED-AG20-692 CARES ACT GRANT 275005 11/20/2020 1&G, 11/19/2020 AG20-704 $2,000,00 MOED-AG20-704 CARES ACT GRANT 275010 11/20/2020 K'S KINDEST CARE, ADULT FA1 1119/2020 AG20_719 $1,000.00 OED-AG20-719 CARES ACT GRANT 275019 11/20/2020 MP FEDERAL WAY MOTEL LLC11/1912020 AG20-760 $1,000,00 MOED-AG20-760 CARES ACT GRANT 275035 11/20/2020 THE REFLEXOLOGY INC, XIAC11/19/2020 AG20-770 $1,000.00 MOED-AG20-770 CARES ACT GRANT 274974 11/20/2020 AL'S TOWING & RV STORAGE 11/19/2020 AG20-595 $2,000.00 OED-AG20-595 CARES ACT GRANT 274975 11/20/2020 AMAZING CARE II AFH, EMMA11119/2020 AG20-600 $2,000,00 MOED-AG20-600 CARES ACT GRANT 275022 11/20/2020 NORTHWEST VISION & LEARh11/19/2020 AG20-644 $2,000.00 OED-AG20-644 CARES ACT GRANT 274985 11/20/2020 DJ TROPHYAWARDS & ENGR11/19/2020 AG20-651 $2,000.00 MOED-AG20-651 CARES ACT GRANT 274987 11/20/2020 EARTH MOVERS LLC, 11/19/2020 AG20-657 $1,000,00 MOED-AG20-657 CARES ACT GRANT 274988 11/20/2020 EDWARD NELSON LAW OFFIC11/1912020 AG20-663 $1,000.00 MOED-AG20-663 CARES ACT GRANT 275028 11/20/2020 SHARETEA, SANGHEE JANG 11/19/2020 AG20_200 $2,000.00 MOED-AG20-200 CARES ACT GRANT 274990 11/20/2020 ENFINITY TOVNNG, ENFINITY 11/19/2020 AG20_218 $1,000,00 OED-AG20-218 CARES ACT GRANT 274999 11/20/2020 GUYS & GALS HAIR, RANLY T 11/19/2020 AG20-261 $1,000.00 MOED-AG20-261 CARES ACT GRANT 275007 11/20/2020 KENGEN ELECTRIC, 11/19/2020 AG20-326 $1,000.00 MOED-AG20-326 CARES ACT GRANT 275016 11/20/2020 MAGNOLIA RHAPSODY DJ 1-1-01/19/2020 AG20-363 $1,000.,00 MOED-AG20-363 CARES ACT GRANT 274973 11/20/2020 AGIT, 11/19/2020 AG20-593 $1,000.00 MOED-AG20-593 CARES ACT GRANT 275012 11/20/2020 LITTLE TOTS DAYCARE, FLOR11119/2020 AG20-899 #2 $896,84 CDHS-AG20-899 CHILDCARE PROVID 275032 11/20/2020 ST LUKES LUTHERAN CHURC11/19/2020 AG20-900 $15,000,00 CDHS-AG20-900 CHILDCARE PROVID 274976 11/20/2020 ANGELS 4EVER DAYCARE, VE1111912020 AG20_914 $6,000.00 CDHS-AG20-914 CHILDCARE PROVID 274979 11/2012020 BOYS & GIRLS CLUBS, OF KIN11/19/2020 AG20-915 $15,000.00 CDHS-AG20-915 CHILDCARE PROVID 275040 11/20/2020 YO SOY UNICO DAY CARE, CC11/19/2020 AG20-916 $8,000,00 CDHS-AG20-916 CHILDCARE PROVID 275008 11/20/2020 KIDS CAVE CHILD CARE, 11/19/2020 AG20-917 $5,000.00 CDHS-AG20-917 CHILDCARE PROVID 275027 11/20/2020 SABRA'S FAMILY CHILDCARE,11/19/2020 AG20-918 $6,651,38 CDHS-AG20-918 CHILDCARE PROVID 275037 11/20/2020 TOT 'S DAY CARE, TOTKA M11/19/2020 AG20-919 $8,000.00 CDHS-AG20-919 CHILDCARE PROVID 275015 11/20/2020 MADISONS DAYCARE, BERTH11/19/2020 AG20-908 #2 $54.76 CDHS-AG20-908 CHILDCARE PROVID Key Bank Page 49 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 274993 11/20/2020 FAIZAABAROONE, 11/1912020 AG20-909 $8,000,00 CDHS-AG20-909 CHILDCARE PROVID 274991 11/20/2020 EYOW CHILDCARE, U BAH EY0 1 /19/2020 AG20-91 0 $12,000,00 CDHS-AG20-910 CHILDCARE PROVID 275013 11/20/2020 LOS COLORES BILINGUAL HC11/1912020 AG20-911 $2,000.00 CDHS-AG20-911 CHILDCARE PROVID 275002 11/20/2020 HOMEAWAY FROM HOME, SA11/19/2020 AG20-912 $7,81144 CDHS-AG20-912 CHILDCARE PROVID 274992 11/20/2020 FAFI FAMILY CHILDCARE LLC,11/19/2020 AG20-913 $5,000.00 CDHS-AG20-913 CHILDCARE PROVID 275026 11/20/2020 RAHO FAMILY CHILD CARE, H11/19/2020 AG20-903 #2 $1,028,61 CDHS-AG20-903 CHILDCARE PROVID 275033 11/2012020 STOP N PLAY, RAHMO MOHAW/19/2020 AG20-904 $6,877,24 CDHS-AG20-904 CHILDCARE PROVID 274997 11/20/2020 GINAS CHILDCARE CENTER, 11/19/2020 AG20-905 $8'000.00 CDHS-AG20-905 CHILDCARE PROVID 274984 11/20/2020 COLLEGE FOR KIDS BILINGUA1/1912020 AG20-906 $15,000.00 CDHS-AG20-906 CHILDCARE PROVID 274980 11/20/2020 BROOKLAKE COMMUNITY CH11/19/2020 AG20-907 $15,000,00 CDHS-AG20-907 CHILDCARE PROVID 275015 11/20/2020 MADISONS DAYCARE, BERTH11/19/2020 AG20-908 $%039.13 CDHS-AG20-908 CHILDCARE PROVID 275021 11/20/2020 NASIBA'S CHILDCARE, AMINA11/19/2020 AG20-901 $7,428,07 CDHS-AG20-901 CHILDCARE PROVID 275009 11/20/2020 KINDER -START, RUPINDER K/11/1912020 AG20-902 $8,000-00 CDHS-AG20-902 CHILDCARE PROVID 275026 11/2012020 RAHO FAMILY CHILD CARE, H11119/2020 AG20-903 $2,682,68 CDHS-AG20-903 CHILDCARE PROVID 275095 11/24/2020 NUTRI FRUTI ORIGINAL LLC, E11/2412020 AG20-942 $5'000.00 MOED-CARES ACT GRANT 5K 275104 11124/2020 QUINTANA INVESTMENTS INC11/24/2020 AG20-943 $5,000,00 MOED-CARES ACT GRANT 5K 275085 11/2412020 MAMA STORTINI'S, RESTAUR/11/24/2020 AG20-944 $5,000.00 MOED-CARES ACT GRANT 5K 275113 11/24/2020 SUB ZERO NITROGEN ICE CR11/24/2020 AG20-945 $5,000,00 MOED-CARES ACT GRANT 5K 275053 11/24/2020 BILLY MCHALES, T.G. RESTAU11/24/2020 AG20-946 $5,000.00 MOED-CARES ACT GRANT 5K 275087 11/24/2020 MELODY BOBA HOUSE, TEAC11/24/2020 AG20-947 $5,000,00 MOED-CARES ACT GRANT 5K 275103 11/24/2020 PUERTO VALLARTA, MEXICAN11/2412020 AG20-936 $5,000,00 MOED-CARES ACT GRANT 5K 275041 11/24/2020 3 T'S & MORE, MI TIENDITA LA11/24/2020 AG20-937 $5,000.00 MOED-CARES ACT GRANT 5K 275088 11/2412020 MI KA INC, KAI MING WA 11/24/2020 AG20-938 $5,000.00 MOED-CARES ACT GRANT 5K 275120 11/24/2020 VERB NOS RESTAURANT, 11124/2020 AG20-939 $5,000,00 MOED-CARES ACT GRANT 5K 275092 11/24/2020 NILSEN FAMILY LLC, BARRY N11/24/2020 AG20-940 $5,000-00 MOED-CARES ACT GRANT 5K 275076 11/24/2020 JP'S TAVERN, NONE THE LES,111/2412020 AG20-941 $5,000.00 MOED-CARES ACT GRANT 5K Key Bank Page 50 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGLTotal 275046 11/24/2020 ANGELICAS AT TWIN LAKES Ll 1/24/2020 AG20-930 $5,000.00 MOED-CARES ACT GRANT 5K 275077 11/24/2020 KATSU BURGER, KB FEDERAt11/24/2020 AG20-931 $5,000.00 MOED-CARES ACT GRANT 5K 275048 11/24/2020 AZTECA MEXICAN RESTAURA11/24/2020 AG20-932 $5,000.00 MOED-CARES ACT GRANT 5K 275119 11/24/2020 TIME OUT ALE HOUSE AND Gi11/24/2020 AG20-933 $5,000,00 MOED-CARES ACT GRANT 5K 275070 11/24/2020 HANA II TERIYAKI, LISA AHN 11/24/2020 AG20-934 $5,000,00 MOED-CARES ACT GRANT 5K 275102 11124/2020 PUERTO VALLARTA - FEDERAl 1/24/2020 AG20-935 $5,000.00 MOED-CARES ACT GRANT 5K 275116 11/24/2020 THAI BISTRO IN FEDERAL WA11/2312020 AG20-820 $5AO' 00 MOED-CARES ACT GRANT 5K 275117 11/24/2020 THE CHOPPED LEAF, FAST HE11/23/2020 AG20-823 $5,000.00 MOED-CARES ACT GRANT 5K 275121 11124/2020 VINCE'S ITALIAN RESTAURAN11/2312020 AG20-839 $5,000,00 MOED-CARES ACT GRANT 5K 275123 1112412020 YOKO'S TERIYAHI BISTRO, AG20-850 $5,000,00 MOED-CARES ACT GRANT 5K 275124 11124/2020 YOU NGWOL NOODLE, HAPPY11/23/2020 AG20-851 $5,000.00 MOED-CARES ACT GRANT 5K 275043 11/24/2020 AFRICANA CUISINE, 11/24/2020 AG20-929 $5,000.00 MOED-CARES ACT GRANT 5K 275094 11/24/2020 NORTHSHORE SERVICES LLC11/23/2020 AG20-764 $5,000.00 MOED-CARES ACT GRANT 5K 275101 11124/2020 PHUC LINH INC (PHO KIM), LIP11/23/2020 AG20-779 $5,000,00 MOED-CARES ACT GRANT 5K 275106 11/24/2020 SEOUL HOUSE INC, JI E KIM 11/2312020 AG20-795 $5,000,00 MOED-CARES ACT GRANT 5K 275109 11/24/2020 SO MOON NAN JIB, SOO & KU11/23/2020 AG20-805 $5,000.00 MOED-CARES ACT GRANT 5K 275067 11/24/2020 GK SANDHU FW LLC, SUBWAN11/23/2020 AG20-813 $5,000,00 MOED-CARES ACT GRANT 5K 275115 11/24/2020 TERIYAKI HOUSE, PANDA 88 Cl 1/23/2020 AG20-819 $5,000.00 MOED-CARES ACT GRANT 5K 275114 11/24/2020 TACO DEL MAR, KS MEXICAN 11/23/2020 AG20-718 $5,000,00 MOE D-CARES ACT GRANT 5K 275078 11/24/2020 KIMS KITCHEN, ANDREW S R(11/23/2020 AG20-726 $5,000,00 MOED-CARES ACT GRANT 5K 275079 11/24/2020 KINGS FAMILY RESTAURANT, 11/23/2020 AG20-729 $5,000'00 MOED-CARES ACT GRANT 5K 275080 11124/2020 LEGENDARY DOUGHNUTS IN01/23/2020 AG20-739 $5,000,00 MOED-CARES ACT GRANT 5K 275082 11/2412020 LS SMOOTHIES LLC, MINA AM11 /23/2020 AG20-743 $5,000,00 MOED-CARES ACT GRANT 5K 275084 11124/2020 MAHARAJ, JAI AND MEENA PA11123/2020 AG20-751 $5,000.00 MOED-CARES ACT GRANT 5K 275061 11/24/2020 EAST INDIA GRILL, 11123/2020 AG20-658 $5,000.00 MOED-CARES ACT GRANT 5K 275063 11/24/2020 EMERALD 11, BMPR INC 11/23/2020 AG20-665 $5,000.00 MOED-CARES ACT GRANT 5K Key Bank Page 51 of 56 Check No, Date Vendor Invoice Date Invoice DescriELtion AmountGL Total 275064 11/24/2020 EPIC FUSION SMOOTHIES, JF11/2312020 AG20-669 $5'000.00 MOED-CARES ACT GRANT 5K 275066 11/24/2020 GINO'S BISTRO, 11123/2020 AG20-686 $5,000.00 MOED-CARES ACT GRANT 5K 275069 11/24/2020 HAKSAN TERIYAKI, YOO & Y011/2312020 AG20-692 $5.000.00 MOED-CARES ACT GRANT 5K 275074 11/24/2020 ICHI TERIYAKI LLC, MYON HU111/2312020 AG20-705 $5,000,00 MOED-CARES ACT GRANT 5K 275108 11124/2020 SM GROUP DEVELOPMENT IN11/2312020 AG20-622 $5,000.00 MOED-CARES ACT GRANT 5K 275056 1112412020 BRAR CORP INC DBA SUBWN11/23/2020 AG20-623 $5,000,00 MOED-CARES ACT GRANT 5K 275057 11/24/2020 CAFE REMIX, TROUBLEMAKE11/2312020 AG20-624 $5,00000 MOED-CARES ACT GRANT 5K 275059 11/24/2020 CHILI FRIES, TRIPLE RRR C0111123/2020 AG20-631 $5.000,00 MOED-CARES ACT GRANT 5K 275060 11/24/2020 COCKATOO'S CHICKEN REST11/23/2020 AG20-635 $5,000,00 MOED-CARES ACT GRANT 5K 275112 11/24/2020 STAUROS ENTERPRISES INC,11/23/2020 AG20-636 $5,000.00 MOED-CARES ACT GRANT 5K 275118 11124/2020 THINK TERIYAKI, KI SOO KAN(11/2312020 AG20-495 $5,000,00 MOE D-CARES ACT GRANT 5K 275075 11/24/2020 JOE'S DELI, 11/2312020 275072 11/24/2020 HERFY'S BURGER #24, LLC., 111/23/2020 275042 11/24/2020 81GHT IZAKAYA LLC, 11/23/2020 275044 11/2412020 AGIT, 11123/2020 275047 275098 275099 275054 275105 275089 275111 275100 275110 275091 275096 11/24/2020 ASENSIO COFFEE LLC, JEFFE11/2312020 11/24/2020 PEKING EXPRESS RESTAURA11123/2020 11/24/2020 PHO HOANG RESTAURANT, A111/23/2020 11/24/2020 BLANCA RODRIGUEZ, PIMIEN11/23/2020 11/24/2020 SCOREBOARD PUB, GENESIES11/2312020 11124/2020 MIRAK KOREAN RESTAURAN-11/23/2020 11124/2020 STARS PUB & GRILL INC, TINA11/23/2020 11/24/2020 PHO TASTY, THAO HO 11124/2020 11/24/2020 SOUND PUBLISHING INC, 11/2712020 11124/2020 NEW PEKING WOK INC, HUA 1.11/2312020 11/24/2020 PABLA PUNJABI PALACE, PAB11/2312020 AG20-545 $5,000,00 MOED-CARES ACT GRANT 5K AG20-547 $5,000,00 MOED-CARES ACT GRANT 5K AG20-577 $5,000,00 MOED-CARES ACT GRANT 5K AG20-593 $5,000.00 MOED-CARES ACT GRANT 5K AG20-612 $5,000.00 MOED-CARES ACT GRANT 5K AG20-414 $5,00000 MOED-CARES ACT GRANT 5K AG20-420 $5,000.00 MOED-CARES ACT GRANT 5K AG20-421 $5,000,00 MOED-CARES ACT GRANT 5K AG20-456 $5,000.00 MOED-CARES ACT GRANT 5K AG20-463 $5,000.00 MOED-CARES ACT GRANT 5K AG20-478 $5,000.00 MOED-CARES ACT GRANT 5K AG20-948 $5,000.00 MOED-CARES ACT GRANT 5K 2538246 & 2538258 $1,800.00 MO -AD #83733388 SHOP LOCAL & E AG20-393 $5,000,00 MOED-CARES ACT GRANT 5K AG20-405 $5,000,00 MOED-CARES ACT GRANT 5K Key Bank Page 52 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275097 11/2412020 PALACE KOREAN BBC, SONA1112312020 AG20-407 $5,000.00 MOED-CARES ACT GRANT 5K 275083 11124/2020 LUPITA SANTACRUZ TORTILL111/2312020 AG20-409 $5,00000 MOED-CARES ACT GRANT 5K 275065 11/2412020 FASTSIGNS, 11/20/2020 37048085 $1.419,00 MO -SHOP LOCAL HOR CORRO 275090 11/24/2020 MRS. FIELD COOKIES, A.H. C(11/23/2020 AG20-098 $5,000.00 MOED-CARES ACT GRANT 5K 275071 11/24/2020 HAN'S BURGER, TAEK PYO H(11/2312020 AG20-271 $5,000.00 MOED-CARES ACT GRANT 5K 275073 11/24/2020 HOT POT WORLD ROTARY Lbl 1/23/2020 AG20-285 $5,000,00 MOED-CARES ACT GRANT 5K 275081 11/24/2020 LOYALTY DEVELOPMENT INC 11123/2020 AG20-356 $5,000.00 MOED-CARES ACT GRANT 5K 275045 11/24/2020 AKASAKA JAPANESE RESTAU11/23/2020 AG20-182 $5,000.00 MOED-CARES ACT GRANT 5K 275093 11124/2020 NOAH'S ARC, LLC , JIMMY L C 11/23/2020 AG20-198 $5,000.00 MOED-CARES ACT GRANT 5K 275107 11/24/2020 SHARETEA, SANGHEE JANG 11/23/2020 AG20-200 $5'000.00 MOED-CARES ACT GRANT 5K 275068 11/2412020 GPK FEDERAL WAY CORP, GF11/23/2020 AG20-238 $5,000.00 MOED-CARES ACT GRANT 5K 275062 11/24/2020 EL RINCON DE LAS DELICIAS,11/23/2020 AG20-251 $5,000.00 MOED-CARES ACT GRANT 5K 275086 11/24/2020 MANJIT KAUR DBA H S ICE CF11/23/2020 AG20-262 $5,000.00 MOED-CARES ACT GRANT 5K 275049 11/24/2020 BANWAIT LLC, BLACK BEAR C11/23/2020 AG20-145 $5,000.00 MOED-CARES ACT GRANT 5K 275050 11/24/2020 BASIL BASIL LLC, 11/23/2020 AG20-148 $5,000,00 MOED-CARES ACT GRANT 5K 275051 11/24/2020 BBM LLC, MAY MAY HONG K011/23/2020 AG20-150 $5,000,00 MOED-CARES ACT GRANT 5K 275052 11/24/2020 BEST SUSHI, LIANG CHEN 11/2312020 AG20-156 $5,000.00 MOED-CARES ACT GRANT 5K 275055 11/2412020 BOGUL BOGUL CAFE, BAENG11/23/2020 AG20-162 $5,000.00 MOED-CARES ACT GRANT 6K 275058 11/2412020 CAN AM PIZZA& INDIAN GRO(11/2312020 AG20-173 $5,000,00 MOED-CARES ACT GRANT 5K 1130204759 11/30/2020 US BANK, 11/10/2020 IED20-112020-3786 $35,00 MOED-COVID-19 EVENT REG 1130204759 11/30/2020 US BANK, 11/13/2020 990061 $1 09m MO-COVID-19 SUPPLIES 275300 12/1/2020 WALTER E NELSON CO_ 11/23/2020 785807 $3,850.00 CH B-JANITORIAL SUPPLIES 275298 12/1/2020 PRINT SOLUTIONS, INC, 11/2412020 96387 $4,99070 MOED-GLOSS STICKER 275302 12/7/2020 DOGGIE STYLEZ LLC, 12/7/2020 AG20-653 $1,000.00 MOED-AFFIDAVIT FOR CHECK#27442 275475 12115/2020 WESLEY DUNCAN LLC, 11/30/2020 11302020 $10,000m ED-HOSPITALITY EDUCATION TRAIN STONE & GRAVEL $8,722.17 Key Bank Page 53 of 56 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275341 12/15/2020 CORLISS RESOURCES INC, 8/20/2020 272310 $557,52 SWM-CONCRETE SUPPLIES 275473 12/15/2020 WASHINGTON ROCK QUARRII9/2312020 116901 $5,199,69 PKM-FAIRWAY TOP DRESSING SAN 275341 12/15/2020 CORLISS RESOURCES INC, 8/20/2020 272310 $557.52 SWM-CONCRETE SUPPLIES 275341 12/15/2020 CORLISS RESOURCES INC, 8/27/2020 274550 $2,036,85 SWM-CONCRETE SUPPLIES 275341 12/15/2020 CORLISS RESOURCES INC, 8/27/2020 274551 $267.63 SWM-CONCRETE SUPPLIES 275392 12/15/2020 LLOYD ENTERPRISES, 11/24/2020 3322436 $102,96 PKM-FINE BARK TAXES/ASSESSMENTS-ITEGOVT $42,426.81 275191 11/30/2020 KING COUNTY FINANCE DIVI511/16/2020 108490 $10,873,96 PW-SWM UTILITY BILLINGS PERPET 275191 11/30/2020 KING COUNTY FINANCE DIVI411/16/2020 108490 $%078.06 PW-SWM UTILITY BILLINGS PERPET 1204203485 12/4/2020 WA STATE REVENUE DEPART12/4/2020 601-223-538 $22,474.79 FI-10/20 REMIT SALES TAX SWIM 1204203485 12/4/2020 WASTATE REVENUE DEPART12/4/2020 601-223-538 $38,99 FI-10/20 REMIT SALES TAX DEC 1204203485 12/4/2020 WA STATE REVENUE DEPART12/4/2020 601-223-538 $-38.99 FI-10/20 REMIT SALES TAX DEC TIRES $3,670.95 275159 11/3012020 EAGLE TIRE & AUTOMOTIVE (11/11/2020 1-40935 $990A8 PD-VEHICLE MAINT 275159 11/30/2020 EAGLE TIRE &AUTOMOTIVE (11/1212020 1-40959 $666..20 PD-VEHICLE MAINT 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \8/21/2020 37800484425 $114.35 FLT TIRES 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \8/6/2020 37800481890 $1,623;.87 FLT=TIRES 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \7/28/2020 37800480477 $25.29 37800487338 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \6/25/2020 37800475289 $35.19 FLT-TIRES 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \101712020 37800491560 $39.58 FLT-TIRES 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \11116/2020 37800497709 $22.00 FLT'-TIRES 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \11119/2020 37800498322 $33.00 FLT-TIRE S 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \11119/2020 37800498423 $22.00 FLT-TIRES 275347 12/15/2020 EAGLE TIRE &AUTOMOTIVE (11/30/2020 1-41124 $57.20 FLT-VEHICLE MAINT 275390 12/15/2020 LES SCHWAB TIRE CTRS OF \121212020 37800500216 $41,79 FLT-TIRES TRAINING CLASSES $6,787.33 275211 11/30/2020 MESOTHELIOMAAPPLIED RE;1116/2020 0000002 $6,787.33 FWCC-THIRD-PARTY FUNDRAISER USE TAX PAYABLE $1,467.24 Key Bank Page 54 of 56 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 1204203485 12/4/2020 WA STATE REVENUE DEPART12/4/2020 601-223-538 $1,467,24 FI-10/20 REMIT SALES TAX WASTE DISPOSAL BILLINGS $4,097.10 275132 11/30/2020 ALL BATTERY SALES & SERVI10/2812020 100-10013637 $52.64 SWR-RESIDENT BATTERY RECYCLING 275259 11/30/2020 STERICYCLE INC, 11/9/2020 3005327904 $236,51 PD-MEDICAL WASTE REMOVAL SVC 275259 11/30/2020 STERICYCLE INC, 10/31/2020 3005310444 $11.14 PD-MEDICAL WASTE REMOVAL SVC 275204 11/30/2020 LLOYD ENTERPRISES INC, 8/13/2020 3320498 $250.25 PKM-DUMP ASPHALT 275204 11/30/2020 LLOYD ENTERPRISES INC, 8/13/2020 104080 $250.25 PWST-DUMP CONCRETE 275381 12/15/2020 KING COUNTY FINANCE DIVI£10/31/2020 110998 $739.64 PWST-1 0/20 ALGONA TS RSWD-722 275384 12/15/2020 KING COUNTY SOLID WASTE,1213/2020 2266429 $54.61 PKM-SOLID WASTE DISPOSAL 275384 12/15/2020 KING COUNTY SOLID WASTE,12/7/2020 2268002 $35.64 PKM-SOLID WASTE DISPOSAL 275384 12/15/2020 KING COUNTY SOLID WASTE,12/8/2020 2268254 $161.93 PKM-SOLID WASTE DISPOSAL 275381 12/15/2020 KING COUNTY FINANCE DIVIE10/3112020 110998 $1,332.29 PWST-10/20 ALGONA TS RSWD-722 275431 12/15/2020 SEADRUNAR RECYCLING, 11/12/2020 119519 $750„00 SWM-SHREDDING SERVICES FOR 275310 12/15/2020 ALL BATTERY SALES & SERVI11/27/2020 100-10013816 $222.20 SWR-RESIDENT BATTERY RECYCLING WATER BILLINGS $30,874.38 275199 11/30/2020 LAKEHAVEN UTILITY DISTRICI1/512020 101103 $383.97 PKM-10/20 630 356TH ST M#90704 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 2573402 $27.18 PKM-10/20 34800 14 PL SW M890 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 2926402 $175.14 PKM-10120 33914 19TH AVE SW #9 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC`11/512020 2926501 $177,99 PKM-10/20 33914 19TH AVE SW M 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3266301 $27.18 PKM-10/20 1540 SW 356TH ST568 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/12/2020 2798301 $27.18 PKM-10/20 1499 SW 325TH PL IRR 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC`11/12/2020 2830801 $300.52 PKM-10/20 2700 340TH PL SW #90 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 2913103 $275,26 CHB-10/20 33325 8TH AVE S M#94 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 2922203 $14.10 CH 8-10120 33325 8TH AVE S M 93 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 2922503 $884,98 CHB-10/20 33325 8TH AVE S M94 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3405101 $60.46 CHB-10/20 600 S 333RD ST #6239 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/512020 3499201 $27.18 CHB-10/20 2220 S 333RD ST8293 Key Bank Page 55 of 56 Check No. Date Vendor _ Invoice Date Invoice Description AmountGL Total 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/512020 3753001 $380-52 PKM-10/20 550 SW CAMPUS DR M4 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 99902 $27,18 PKM-10/20 411 348TH ST S M#995 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC1115/2020 3461301 $1,169.00 FWCC-10/20 876 S 333RD DIET M#6 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3474201 $1,073,92 FWCC-10/20 876 S 333RD ST M33 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC 1115/2020 3474301 $14.10 FWCC-10120 876 S 333RD DET M#6 275199 11/30/2020 LAKEHAVEN UTILITY DISTRICI1/5/2020 101002 $76.14 PKM-10/20 BROOKLAKE MAIN HALL 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 2957001 $27,18 PKM-10/20 1095 324TH ST S M#64 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3050801 $15,299,52 PKM-10/20 1095 324TH ST S M#10 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3075201 $168„16 PKM-10/20 1095 324TH ST S M97 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/512020 3075301 $180,40 PKM-10/20 1095 324TH ST S #985 275199 11/30/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3075401 $168,16 PKM-10/20 1095 324TH ST S #985 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC12110/2020 2984001 $27.18 PKM-11/20 31850 7TH AVE SW M#6 275444 12/15/2020 TACOMA PUBLIC UTILITIES, 11/3/2020 101177226 $745,00 PKM-08/29/20-10/28/20 DRINKING 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'11/18/2020 2781401 $27-18 PKM-10120 2501 349TH PL SW M#9 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/23/2020 3059601 $27.18 PKM-11120 3200 349TH ST S M 98 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/30/2020 1014202 $107.74 PKM-01120 312 DASH PT RD M#432 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/30/2020 2592702 $27.18 PKM-11/20 32837 10 PL SW IRR M 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/3012020 2592802 $27.18 PKM-11120 1210 333 ST SW M#887 275444 12/15/2020 TACOMA PUBLIC UTILITIES, 12/7/2020 100048250 $555„24 PKDBC-10/23/20-11/23/20 PUBLIC 275444 12/15/2020 TACOMA PUBLIC UTILITIES, 12/10/2020 100048250 $460,20 PKDBC-09/24/20-10122/20 PUBLIC 275444 12115/2020 TACOMA PUBLIC UTILITIES, 12/3/2020 101177226 $47,04 PKM-10/29/20-11/27/20 DRINKING 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'11/30/2020 2906301 $1,967,44 PKM-11/20 312 DASH PT RD SW #4 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'12/10/2020 2832301 $27.18 PKM-11/20 30619 16TH AVE SW 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11130/2020 2781501 $27.18 PKM-11/20 31200 DASH PT RD SW 275444 12/15/2020 TACOMA PUBLIC UTILITIES, 12/7/2020 100048250 $50,48 PKDBC-10/23/20-11/23/20 PUBLIC 275444 12/15/2020 TACOMA PUBLIC UTILITIES, 12/10/2020 100048250 $41.65 PKDBC-09/24/20-10/22/20 PUBLIC Key Bank Page 56 of 56 Check No Date Vendor Invoice Date Invoice Description AmountGL Total 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC10/1/2020 3488801 $79.70 PWST-08/20 31802 21STAVE S IR 275387 12/15/2020 LAKEHAVEN UTILITY DISTRICI1/5/2020 2961401 $27.18 PWST-10120 34727 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 3336201 $27.18 PWST-10/20 32409 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 3336301 $27,18 PWST-10/20 32402 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC`11/5/2020 3383601 $141.40 PWST-10/20 33300 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3513001 $27.18 PWST-10120 33647 20TH AVE S IR 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC"12/8/2020 3383701 $2,504.56 PWST-10/20 32500 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'12/8/2020 3518001 $36.36 PWST-10/20 35205 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3541001 $27,18 PWST-10120 930 348TH ST S IRR 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 3552401 $30,24 PWST-10/20 35503 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3563701 $27,18 PWST-10/20 101 S 348TH ST IP3 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'11/5/2020 3578601 $404.56 PWST-10/20 1283 S 336TH ST M#4 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC11/5/2020 3715001 $1,841,•75 PWST-10/20 34697 PACIFIC HWY S 275387 12/15/2020 LAKEHAVEN UTILITY DISTRIC'12/8/2020 3238401 $542,26 PWST-10/20 32001 PACIFIC HWY S WITNESS FEES/JUROR FEES $3,957.17 1120200071 11/20/2020 JURYIWITNESS FUND, 11/20/2020 AUG 2020 $255.82 MC-08120 JURY/WITNESS FEE REIM 1120200071 11/20/2020 JURY/WTNESS FUND, 11/20/2020 JULY 2020 $886.42 MC-07/20 JURY[WITNESS FEE REIM 1120200071 11/20/2020 JURY/WITNESS FUND, 11/20/2020 NOV 2020 $224,08 MC-11/20 JURY/WITNESS FEE REIM 1120200071 11/20/2020 JURY/WITNESSFUND, 11/20/2020 OCT 2020 $2,001.85 MC-10/20 JURY[WITNESS FEE REIM 112020007111/20/2020 JURYIWITNESS FUND, 11/20/2020 SEPT 2020 $589,00 MC-09/20 JURYAMTNESS FEE REIM ZONING/SUBDIVISION FEES $17300 275397 12/15/2020 MERLONE GEIER PARTNERS,11/24/2020 20-104022 $173.00 CD -REFUND Total $6,459,065.37 12/04/2020 CW-PAYROLL VOUCHERS 11/16-11/30 $2,081,089.62 $3,626,005.64 COUNCIL MEETING DATE: February 02,2021 ITEM #: 5C .............. .... CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: AP VOUCHERS 12/16/2020 -01/15/2021 AND PAYROLL VOUCHERS 12/01/2020-12/31/2020 POLICY QUESTION: Should the City Council approve the AP vouchers in the total amount of $3,328,726.13 and payroll vouchers in the total amount of $3,694,533.14? COMMITTEE: Finance, Economic Development, and Regional Affairs Committee MEETING DATE: January 26, 2021 CATEGORY: Z Consent Ordinance Public Hearing E] City Council Business E] Resolution Other STAFF REPORT BY: Ad6 Ariwoola, Finance Director-_ DET: Finance I #11AIDN 11#1 L'ARI fiD EM 0 1 1 TT# cam 11611 is City of Federal Way, WashW an th I am authorized to authenticate and certify said liens. Finance Director Attachments: Voucher is MAYOR'S RECOMMENDATION: DIRECTOR APPROVAL: C UT16 11�' ik-- I move toforward the vouchers to the February 02, 2021 consent agendafor approval. W�t lLamn Committee Chair Committee Member Committee Member - - - - ROP I COUNCIL MOTION: "I move approval of the vouchers pursuant to RCW 42.24. COUNCIL ACTION: 11 APPROVED COUNCIL BILL # 1-1 DENIED JIT reading El TABLED/DEFERRED/NO ACTION Enactment reading 0 MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/20 10 RESOLUTION # City of Federal Way - Accounts Payable Check List Page 1 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Description ArnountGL Total ADVERTISING $5,475.64 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $199,00 FWCC-APP PAYMENT 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $214.51 FWCC-MARKETING FEE 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $199.00 FWCC-APP PAYMENT 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $37,58 FWCC-GOOGLE ADS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $500.00 PKDBC-GOOGLE ADS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $500,00 DBC-ADVERTISING 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-500,-00 DBC-ADVERTISING 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $500.00 DBC-ADVERTISING 275848 1/15/2021 SOUND PUBLISHING INC, 12/4/2020 2538258 & 2542573 $3,700,00 MO -AD ACCT83733388 275848 1/15/2021 SOUND PUBLISHING INC, 10/30/2020 FW 912481 $125,55 PW-AD ACCT83722479 AGRICULTURAL SUPPLIES $428.86 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $428,86 PKM-TREES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $428.86 PKM-TREES 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $428,86 PKM-TREES ASPHALT & ROAD OIL $6,050.00 275674 12/31/2020 SPECIALASPHALT PRODUCT:B/31/2020 INVC084693 $5,500,00 PWST-RENTAL OF CRACKSEAL EQUIP 275674 12/31/2020 SPECIALASPHALT PRODUCT,8/31/2020 INVC084693 $550,00 Sales Tax ASSOCIATION DUES $57,062.04 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $25.00 HR-FMCSA D&A DUE 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $875.00 PKM-NRPA MEMB DUE 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $150,00 PKM-CDLASSO DUE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $205 00 CD -PLANNING CONFERENCE - CHANE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-100.00 CD -CERTIFICATION RENEWALS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $100,00 CD -CERTIFICATION RENEWALS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $312,00 PVV--ITE MEMBERSHIP RENEWAL KENN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-312.00 PVV--ITE MEMBERSHIP RENEWAL KENN Page 2 of 61 Key Bank Check No. Date Vendor -- Invoice Date Invoice Descri lion AmountGL Total 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $312.00 PW-ITE MEMBERSHIP RENEWAL PERE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-312.00 PW-ITE MEMBERSHIP RENEWAL PERE 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $-205.00 CD -PLANNING CONFERENCE - CHANE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $312.00 PW-ITE MEMBERSHIP RENEWAL PERE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $312.00 PW-ITE MEMBERSHIP RENEWAL KENN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $100,00 CD -CERTIFICATION RENEWALS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $205„00 CD -PLANNING CONFERENCE - CHANE 275773 1/15/2021 JUDY LY DMCMATREASURER12/29/2020 DUES GI ZI/WHITE $300,00 C-DMCMA DUES GIAZZI & WHITE 275892 1/15/2021 DMCJA, 12/29/2020 LARSON & ROBERSON $1,400,00 MC-2021 MCJA DUE 275905 1/15/2021 SOUND CITIES ASSOCIATION,1/1/2021 3565 $53,30&04 CC-2021 SOUND CITIES ASSOC DUE 275916 1/15/2021 ZERO WASTE WASHINGTON, 1/13/2021 MEMBERSHIP 2021 $75.00 SWR-MEMBERSHIP 2021 AUTOMATION FEE $35.00 275535 12/21/2020 PRINCE TELECOM INC, 10/24/2020 20-104136 $34,00 CD -REFUND 20-104136 275756 1/15/2021 GRANT &ASSOCIATED VOCK1/4/2021 01/04/21 $1.00 FI-REFUND DUPLICATED BUS LIC BOOKS, MAPS, & PERIODICALS $571.57 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $461.67 CD-WABO 2018 CODES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $4.95 PD-FW MIRROR SUB 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $4.95 PD-FW MIRROR SUB 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $100.00 O-FW MIRROR TWO YESRS SUB BOYS & GIRLS CLUB -PROFESSIONAL $43,407.00 275743 1/15/2021 FEDERAL WAY BOYS & GIRLSI2/31/2020 2020 3RD QTR $21,70150 CDHS-AG20-969 COVID 19 RESPONS 275743 1/15/2021 FEDERAL WAY BOYS & GIRLS12/31/2020 2020 4TH QTR $21,703.50 CDHS-AG20-969 COVID 19 RESPONS BUILDING MATERIALS $2,366.45 275508 12/21/2020 HOME DEPOT-DEPT 32-25007m11/24/2020 9036237 $136.98 CHB-REPAIR & MAINT SUPPLIES 275508 12/21/2020 HOME DEPOT-DEPT 32-2500701/17/2020 6624227 $12.97 CHB-REPAIR & MAINT SUPPLIES 275518 12/21/2020 LOWE'S HIW INC, 11/18/2020 01920 $21,,93 CHB-MAINT SUPPLIES 275508 12/21/2020 HOME DEPOT-DEPT 32-2500702/l/2020 2624753 $78.82 CHB-REPAIR & MAINT SUPPLIES 275518 12/21/2020 LOWE'S HIW INC, 11/19/2020 01261 $32,07 CHB-MAINT SUPPLIES Page 3 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275508 12/21/2020 HOME DEPOT-DEPT 32-25007011/16/2020 7612621 $12.96 CHB-REPAIR & MAINT SUPPLIES 275518 12121/2020 LOWE'S HlW INC, 12/15/2020 23345 $39.66 CHB-MAINT SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-1,9X158 PW-DECKING BEAMS BRA BRIDGE 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $1,930-68 PW-DECKING BEAMS BRA BRIDGE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-lom PKM-LIQUID DYE 1123209491 12/3112020 US BANK, 10/26/2020 NOV 2020 PROCARD $10m PKM-LIQUID DYE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $89,40 PKM-LIGHTING 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-89A0 PKM-LIGHTING 1123209491 12/3112020 US BANK, 10/26/2020 NOV 2020 PROCARD $1,930,68 PW-DECKING BEAMS SPA BRIDGE 1123209491 12131/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $10.98 PKM-LIQUID DYE 1123209491 12131/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $89A0 PKM-LIGHTING CELLULAR PHONE AIR TIME $16,221.03 275709 1/15/2021 AT&T MOBILITY, 12/512020 287290386709X1213202 $502.81 IT-1 2/20 DATA CARDS 275709 1/15/2021 AT&T MOBILITY, 12/11/2020 287288982773X1219202 $3,717.86 IT-1 1/20 DATA CARDS 275868 111512021 VERIZON WIRELESS, 12/1312020 9869138295 $6,333 13 IT/PAEC-12120 CELLULAR SVC 275868 1/15/2021 VERIZON WIRELESS, 12/13/2020 9869138295 $4,934.25 ITIPAEC-12/20 CELLULAR SVC 275868 1/15/2021 VERIZON WIRELESS, 12/13/2020 9869138295 $168.12 T/PAEC-12/20 CELLULAR SVC 275868 1/15/2021 VERIZON WIRELESS, 12/1312020 9869138296 $112-67 IT-1 2/20 CELLULAR SVC ACCT# 275868 1/15/2021 VERIZON WIRELESS, 12/13/2020 9869138296 $379,23 IT-12/20 CELLULAR SVC ACCT# 275860 1/15/2021 T-MOBILE USA INC, 12/21/2020 830401935 $72.96 IT-12/20 CELLULAR SVC CLOTHING AND FOOTWEAR $25,362.41 275499 12/21/2020 D J TROPHY, 5125/2018 247682 $277.13 PD-WIND JACKETS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $156.18 PWST-UNIFORM SUPPLIES 1224209491 12124/2020 US BANK, 12/2412020 NOVEMBER 20 PROCARD $181.48 PWST-UNIFORM SUPPLIES 1224209491 12124/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $159.50 CD -BOOTS 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $265.59 PD-UNIFORM SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 RD VISA $1,166.88 PD-UNIFORM SUPPLIES Key Bank Page 4 of 61 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275602 12/31/2020 GALLS LLC, 12/1/2020 017069588 $78.05 PD-UNIFORM SUPPLIES 275672 12/31/2020 SOUND UNIFORMBRATWEAR12/1/2020 202012SU500 $253,46 PD-UNIFORM/EQUIPMENT 275672 12/31/2020 SOUND UNIFORMBRATWEAR12/312020 202012SU534 $1,031„47 PD-UNIFORM/EQUIPMENT 275675 12/31/2020 SYMBOLARTS LLC, 12/8/2020 0363622-IN $1,000.47 PD-BADGES 275556 12/31/2020 911 SUPPLY INC, 12/9/2020 INV-2-7098 $104.40 PD-UNIFORM SUPPLIES 275569 12/31/2020 ANTHOLT, JUSTIN 12/14/2020 ANTHOLT 2020 $600.00 PD-CLOTHING ALLOW 275634 12/31/2020 MARIANI, HILARY 12/14/2020 MARIANI 2020 $200.00 PD-UNIFORM ALLOW 275576 12/31/2020 CHI, MIKE 12/1512020 CHI 2020 $196,02 PD-REMIB BOOTS 275556 12/31/2020 911 SUPPLY INC, 12/15/2020 INV_2-7288 $35,16 PD-UNIFORM SUPPLIES 275556 12/31/2020 911 SUPPLY INC, 12/15/2020 INV-2.7289 $1,568,06 275556 12/31/2020 911 SUPPLY INC, 275588 12/31/2020 EAGLE GRAPHICS INC t 12/16/2020 275556 12/31/2020 911 SUPPLY INC, 12/1612020 275620 12/31/2020 KOPIS, GARY 12/21/2020 275633 12/31/2020 MARIANI, ALLESSANDRO 12/21/2020 275637 12/31/2020 MESHKOFF, JOSEPH 12/22/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10126/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10/26/2020 1123209491 12/31/2020 US BANK, 10/26/2020 PD-UNIFORM SUPPLIES INV-2-7291 PD-UNIFORM SUPPLIES 494105 CD -UNIFORM SUPPLIES INV-2-7333 PD-UNIFORM SUPPLIES KOPIS 2020 PD-REIB BOOTS MARIANI 2020 PD-UNIFORM/EQUIP ALLOW MESHKOFF2020 PD-UNIFORM ALLOW NOV 2020 PROCARD PW-BOOTS-RICHEN NOV 2020 PROCARD P W-BOOTS-RICHE N NOV 2020 PROCARD CD -STEEL TOE WORK BOOTS NOV 2020 PROCARD CD -STEEL TOE WORK BOOTS NOV 2020 PROCARD CD -BOX WATERPROOF SHOE COVERS NOV 2020 PROCARD CD -BOX WATERPROOF SHOE COVERS NOV 2020 PROCARD CD -STEEL TOE BOOT-VALIRIE NOV 2020 PROCARD CD -STEEL TOE BOOT-VALI R I E NOV 2020 PROCARD CD -STEEL TOE WORK BOOTS NOV 2020 PROCARD CD -BOX WATERPROOF SHOE COVERS $82A9 $419, 31 $351.96 $170,33 $200.00 $180.10 $373.96 $-373.96 $-103.40 $103,40 $-49.77 $49.77 $165.81 $-165.81 $103.40 $49.77 Page 5 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-165.81 CD-STEELTOE BOOT-VALIRIE 1123209491 12131/2020 US BANK, 10/2612020 NOV 2020 PROCARD $37196 PW-BOOTS-RICHEN 275698 1/15/2021 911 SUPPLY INC, 12/21/2020 INV-2-7410 $220.00 PD-UNIFORM SUPPLIES 275698 1/1512021 911 SUPPLY INC, 12/21/2020 INV-2-7411 $455,40 PD-UNIFORM SUPPLIES 275808 1/15/2021 OPPENHEIMER, GINA 12/21/2020 OPPENHEIMER 2020 $160.00 PD-REIMB BOOTS 275750 1/15/2021 GALLS LLC, 12/23/2020 017273288 $109,99 PD-UNIFORM SUPPLIES 275698 1/15/2021 911 SUPPLY INC, 12/23/2020 INV-2-7468 $120.89 PD-UNIFORM SUPPLIES 275849 1/15/2021 SOUND UNIFORM/BRATWEAR12/16/2020 202012SU680 $147,39 PD-UNIFORM/EQUIPMENT 275808 1/15/2021 OPPENHEIMER, GINA 12/16/2020 OPPENHEIMER 2020 $40.00 PD-REIMB PATROL BAG 275755 1/15/2021 GRAINGER INC, 12117/2020 9749917234 $1,521.50 PD-GAS MASK KIT 275698 1/15/2021 911 SUPPLY INC, 12/1412020 CM-2-1217 $-108,80 PD-UNIFORM SUPPLIES 275796 1/15/2021 MULLET, BRYAN 12/14/2020 MULLET 2020 $118,82 PD-CLOTHING ALLOW 275804 1/15/2021 NORTHWEST CUSTOM APPAF11/30/2020 115264 $917.23 PD-UNIFORM CLOTHING 275804 1/15/2021 NORTHWEST CUSTOM APPAF11130/2020 115298 $207.27 PID-UNIFORM CLOTHING 275698 1/1512021 911 SUPPLY INC, 12/23/2020 INV-2-7466 $4,784.84 PD-UNIFORM SUPPLIES 275792 1/15/2021 MICKELSEN, CHRISTOPHER 12/2512020 MICKELSEN 2020 $200.00 PD-EQUI PMENT ALLOWANCE 275849 1/15/2021 SOUND UNIFORM/BRATWEAR2/2812020 202002SU356 $31,96 PD-UNIFORMIEQUIPMENT 275820 1/15/2021 PHIL'S SOUTH SIDE CYCLER'Y8/12/2020 1512 $200,75 PD-BICYCLE PATROL EQUIP 275698 1/15/2021 911 SUPPLY INC, 11/17/2020 INV-2-6654 $1,061.32 PD-UNIFORM SUPPLIES 275876 1/15/2021 WASHINGTON WORKWEAR 1_111/18/2020 6113 $61861 PWST-UNIFORM SUPPLIES 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/3112020 033194 $13.22 PD-PETTY CAHS # 033194- 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $21.06 PD-PETTY CAHS # 033194- 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/3112020 033194 $42,17 PD-PETTY CAHS # 033194- 275698 1115/2021 911 SUPPLY INC, 12/31/2020 INV-2-7629 $87.99 PD-UNIFORM SUPPLIES 275878 1/15/2021 WELLS, MICHAEL 1/4/2021 WELLS 2020 $35.05 PD-ACADEMY GEAR 275781 1/15/2021 KRUSEY, K.C. (CASEY) 1/7/2021 KRUSEY 2020-2 $200.00 PD-EQUI PMENT ALLOWANCE Page 6 of 61 Key Bank Check No Date Vendor Invoice Date Invoice Description AmountGL Total 275910 1/15/2021 UNSWORTH, RAYMOND A 1/3/2021 UNSWORTH 2O20 $124,02 PD-CLOTHING ALLOWANCE 275889 1/15/2021 COASTAL FARM & HOME SUPI1/412021 3962 $690.,68 SWM-UNIFORM SUPPLIES 275889 1/15/2021 COASTAL FARM & HOME SUPI1/4/2021 3963 $437.71 SWM-UNIFORM SUPPLIES 275889 1/15/2021 COASTAL FARM & HOME SUPI1/4/2021 3964 $246,37 SWM-UNIFORM SUPPLIES 275913 1/15/2021 WASHINGTON WORKWEAR 1-I1/4/2021 5180 $454.42 SWM-UNIFORM SUPPLIES 275913 1/15/2021 WASHINGTON WORKWEAR 1-I1/4/2021 5181 $78,18 SWM-UNIFORM SUPPLIES 275818 1/15/2021 PETTY CASH - FI, 1/12/2021 033191 $32.99 PKM-UNIFORM 275901 1/15/2021 ROBERTSON, CODY 1/4/2021 ROBERTSON 2021 $165<00 PD-REIMB BOOTS 275889 1/15/2021 COASTAL FARM & HOME SUPI1/412021 X03603 $225.00 SWM-UNIFORM SUPPLIES 275913 1/15/2021 WASHINGTON WORKWEAR 1-I1/5/2021 15162 $-136.95 SWM-RETURN CREDIT 275913 1/15/2021 WASHINGTON WORKWEAR 1-I1/5/2021 5162 $503,73 SWM-UNIFORM SUPPLIES 275913 1/15/2021 WASHINGTON WORKWEAR 1-11/5/2021 5183 $435„27 SWM-UNIFORM SUPPLIES 275912 1/15/2021 VANDERVEER, JEFFREY 1/5/2021 VANDERVEER 2020 $600.00 PD-CLOTH ING ALLOW 275915 1/15/2021 WORK -SPORTS & OUTDOOREI/6/2021 1-2038088 $153.68 PWST-UNIFORM CLOTHING B. LYBEC 275889 1/15/2021 COASTAL FARM & HOME SUPI1/6/2021 3968 $714.93 SWM-UNIFORM SUPPLIES 275913 1/15/2021 WASHINGTON WORKWEAR 1-I11612021 5185 $391.28 SWM-UNIFORM SUPPLIES COMMUNICATIONS $1,476.75 275719 1/15/2021 CENTURYLINK, 12/20/2020 181191151 $589.00 IT-12/20 FACILITY PHONE SERVIC 275719 1/15/2021 CENTURYLINK, 12/20/2020 181191151 $589.00 IT-12120 FACILITY PHONE SERVIC 275705 1/15/2021 AMERICALL COMM LINICATIONI2116/2020 2D6417201216 $99.58 SWM/PWST/CHB-CALL CENTER SVC 275705 1/15/2021 AMERICALLCOMM UNICATIONI2/16/2020 2D6417201216 $99,58 SWM/PWST/CHB-CALL CENTER SVC 275705 1/15/2021 AMERICALLCOMM UNICATIONI2/1612020 2D6417201216 $99.59 SWM/PWSTICHB-GALL CENTER SVC COMPUTER HARD AREIEUIPNT $28,490.9: 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\1218/2020 292149 $1,714.00 IT-AVIGILON 5..00-H5A-BO2-IR 5M 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\1216/2020 292149 $124,00 IT-AVIGILON H4-BO-JBOX1 BACK B 275491 12/21/2020 BELLINGHAM LOCK & SAFE IN12/8/2020 292149 $400,00 IT-AVIGILON 1 C-ACC7-ENT ACC 7 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\12/812020 292149 $124.00 IT-AVIGILON H4-MT POLE1 POLE M Page 7 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Description AmOuntGLTotal 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292150 $1,445.00 1 AVIGILON 20C-H4A-4MH-360 4X 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292150 $37,00 1 AVIGILON IRPTZ-MNT-NPTA1 PED 275491 12/21/2020 BELLINGHAM LOCK & SAFE 11>12/8/2020 292150 $110.00 1 AVIGILON H4AMH-AD-PEND1 OUTD 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\12/8/2020 292150 $110.00 1 AVIGILON H4AMH-DO-COVR1-SMO 275491 12/21/2020 BELLINGHAM LOCK & SAFE Ih12/8/2020 292150 $400,00 2AVIGILON 1C-ACC7-ENTACC 7 E 275491 12/21/2020 BELLINGHAM LOCK & SAFE 11`12/8/2020 292150 $206,00 2AVIGILON T91667 POLE MOUNT 0 275491 12/21/2020 BELLINGHAM LOCK & SAFE 11`1218/2020 292150 $60.00 Freight 275491 12/21/2020 BELLINGHAM LOCK & SAFE Ih12/8/2020 292150 $236,80 Sales Tax 275491 12/21/2020 BELLINGHAM LOCK & SAFE 11`12/8/2020 292149 $239.70 Sales Tax 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292149 $35.00 Freight 275522 12/21/2020 MICROSOFT CORPORATION, 10/16/2020 USA-4436512 $995,00 IT-COVID19-MS CFB ADH SRFC PRO 275522 12/21/2020 MICROSOFT CORPORATION, 10/1612020 USA-4436512 $6,899.95 IT-COVID19- ICROSOFT SURFACE P 275522 12/21/2020 MICROSOFT CORPORATION, 10/16/2020 USA-4436512 $699.95 IT-COVID19-MICROSOFT SURFACE D 275522 12/21/2020 MICROSOFT CORPORATION, 10116/2020 USA-4436512 $399.95 IT-COVID19-MICROSOFT SURFACE P 275522 12/21/2020 MICROSOFT CORPORATION, 10/16/2020 USA-4436512 $499.95 IT-COVID19-MICROSOFT SURFACE P 275492 12121/2020 CDW GOVERNMENT INC, 11/16/2020 4282924 $463,40 IT-GIS RR ASUS PRIME 275492 12/21/2020 CDW GOVERNMENT INC, 11/16/2020 4282924 $283.44 IT-GIS RR MICROSOFT WINDOWS 10 275492 12/21/2020 CDW GOVERNMENT INC, 11/16/2020 4282924 $74,68 Sales Tax 275522 12/21/2020 MICROSOFT CORPORATION, 10/16/2020 USA-4436512 $949.48 Sales Tax 275492 12/21/2020 CDW GOVERNMENT INC, 11/18/2020 4412141 $275,94 IT-GIS RR CRUCIAL BALLISTIX 32 275492 12/21/2020 CDW GOVERNMENT INC, 11/18/2020 4412141 $27.59 Sales Tax 275492 12/21/2020 CDW GOVERNMENT INC, 11/17/2020 4344461 $119.76 IT-GIS RR CORSAIR ICUE H1151 R 275492 12/21/2020 CDW GOVERNMENT INC, 11/17/2020 4344461 $1,674,90 IT-GIS RR AMD RADEON PRO W5700 275492 12/21/2020 CDW GOVERNMENT INC, 11/17/2020 4344461 $179-47 Sales Tax 275491 12/21/2020 BELLINGHAM LOCK & SAFE 1N12/8/2020 292147 $2,890,00 IT-AVIGILON 20C-H4A-4H-360 4X 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292147 $74.00 IT-AVIGILON IRPTZ-MNT-NPTA1 PE Page 8 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292147 $220 00 IT-AVIGILON H4AMH-AD-PEND1 OUT 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM218/2020 292147 $220.00 IT-A"IGILON H4AMH-DO-COVR1- S 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM202020 292147 $800.00 IT-AVIGILON 1C-ACC7-ENTACC7 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\12/8/2020 292147 $412.00 IT -A IGILON T91667 POLE MOUNT 275491 12/21/2020 BELLINGHAM LOCK & SAFE IN12/8/2020 292147 $95.00 Freight 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\12/83/2020 292147 $471.10 Sales Tax 275492 12/21/2020 CDW GOVERNMENT INC, 12/3/2020 5006308 $119,76 IT-GIS RR CORSAIR ICUE H1151 R 275492 12121/2020 CDW GOVERNMENT INC, 12/3/2020 5006308 $11.98 Sales Tax 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PR CARD $2.918,26 IT -PC & MONITORS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PR CARD $175,97 IT -PC PARTS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $1,297.96 IT -PC PARTS COMPUTER SOFTWARE -MAJOR $17,699.72 275512 12/21/2020 KING COUNTY CIS CENTER, 12/3/2020 2129837 $9,452-00 IT-GIS -GIS 3" ORTHOGONAL PHOT 275512 12/21/2020 KING COUNTY GIS CENTER, 12/3/2020 2129838 $8,247-72 IT-GIS QL1 LIDAR (3750FT TILES CONCEALED PISTOL LIC - FBI $503.50 275873 1/15/2021 WA STATE PATROL, 1/6/2021 121003493 $503.50 PD-BACKGROUND CHECKS CONCEALED PISTOL LIC - STATE $1,197.00 275871 1/15/2021 WA STATE DEPT OF LICENSIN12/31/2020 12/31/20 CPL FEES $1,197,00 PD-12/31/2020 CPL FEES CONFERENCE/SEMINAR REGISTRATH $17,808.45 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $350,00 PWST-WINTER OPER CERT 1224209491 12/24/2020 US BANK, 12/2412020 NOVEMBER 20 PROCARD $35,,00 LAW -LAND USE CASE LAW EVENT 1224209491 12/24/2020 US BANK, 12/24/2020 NOVE BER 20 PROCARD $30,00 CD-DBA MRH TRAINING 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $35;00 CD-LUW20 WEBINAR 1224209491 12/24/2020 US BANK, 12/24/2020 NOVE BER 20 PROCARD $199,00 PK-I SA VIRTUAL CON 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $58,05 SWM/PWST-VISTA TRAINING VIDEOS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVE BER 20 PROCARD $58.05 SWM/PWST-VISTA TRAINING VIDEOS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $350,00 CDHS-IDIS TRAINING 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $-615,00 PD-REFUND CNOA REG Page 9 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Descri tion AmountGL Total 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $70,00 CC-MRSC VVEBINAR 1224204759 12/24/2020 US BANK, 12124/2020 NOV 2020 CITY VISA $70 00 CC-MRSC WEBINAR 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $75.00 CC -CHAMBER OF COMMERCE 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $395 00 PD-DLG LAW GROUP TRAINING 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $35,00 PD-PRA& OPMA TRAINING 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $720.00 CC-NLC CITY SUMMIT- SH & LAD 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $-615.00 PD-REFUND CNOA REG 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $149.00 PD-EAP TRAINING 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $149.00 PD-DWDP TRAINING 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $2,975.00 PKM-CDL 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NOV 2020 PROCARD $43.95 CD -CELL PHONE CASE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-43.95 CD -CELL PHONE CASE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $43.95 CD -CELL PHONE CASE 275714 1/15/2021 CAFFE D'ARTE LLC, 12/28/2020 454383 $40.00 HR-COFFEE SUPPLIES 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $11.21 PD-PETTY CAHS # 033194- 275832 1/15/2021 QUENCH, INC, 1/1/2021 INV02847693 $15,92 PARKS/FWCC-DRINKING WATER SERV 275832 1/15/2021 QUENCH, INC, 1/1/2021 INV02847693 $15.92 PARKS/FWCC-DRINKING WATER SERV 275818 1/15/2021 PETTY CASH - FI, 1/12/2021 033191 $7,58 MO -COFFEE CREAMER GASOLINE $42,274.42 275502 12/21/2020 FEDERAL WAY PUBLIC SCHO(11/30/2020 AR13170 $18,126.02 PD-VEHICLE FUEL 275502 12/21/2020 FEDERAL WAY PUBLIC SCHO(10/31/2020 AR13149 $18,606.17 PD-VEHICLE FUEL 275490 12/21/2020 ASSOCIATED PETROLEUM PF1214/2020 0276077-IN $359.,26 FLT-CLEAR REG GAS 275592 12/31/2020 ERNIE'S FUEL STOPS (DBA), 12/15/2020 539727CT $45.16 PD-VEHICLE FUEL 275593 12/31/2020 FASTENAL, 12116/2020 WAAUBB5751 $19,25 FLT-MAINT SUPPLIES 275594 12/31/2020 FEDERAL WAY PUBLIC SCHO(11/30/2020 AR13169 $5,038.82 FLT-VEHICLE FUEL Page 17 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275741 1/15/2021 ERNIE°S FUEL STOPS (DBA), 12/31/2020 548777CT $19.12 PD-VEHICLE FUEL 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $6062 PD-PETTY CARS # 033194- HEALTH INSURANCE PREMIUM $7,856.71 275600 12/31/2020 FRANCO, RAMON 12/29/2020 FRANCO 2020 $200,00 PD-DEDUCTIBLE REIMB 275586 12/31/2020 DONNELLY, CHASE 12/712020 DONNELLY 2020 $100 00 FI-DEDUCTIBLE REIMB 275575 12/31/2020 CASTRO, GABRIEL 12117/2020 CASTRO 2020 $100.00 PD-DEDUCTIBLE REIMB 275580 12/31/2020 COURTNEY, STEPHANIE 12/17/2020 COURTNEY 2020 $300,00 HRCK-DEDUCTIBLE REIMB 275581 12/31/2020 CUFF, RICHARD 12/17/2020 CUFF 2020 $100,00 S -DEDUCTIBLE REIMB 275601 12/31/2020 GALLAGHER, JILL 12117/2020 GALLAGHER 2020 $100.00 PD-DEDUCTIBLE REIMB 275610 12/31/2020 HUTTON, JOHN R 12117/2020 HUTTON 2020 $100„00 PKM-DEDUCTIBLE REIMB 275618 12131/2020 KIRK, GREG 1211712020 KIRK 2020 $300.00 CD -DEDUCTIBLE REIMB 275643 12/31/2020 MYHRE, LEAH 12/17/2020 MYHRE 2020 $100,00 SWM-DEDUCTIBLE REIMB 275645 12/31/2020 NEIFFER, GARY 12117/2020 NEIFFER 2020 $300,00 SWM-DEDUCTIBLE REIMB 275664 12/31/2020 SANDERS, DANIEL 12/17/2020 SANDERS 2020 $100,00 MC -DEDUCTIBLE REIMB 275666 12/31/2020 SHINES, DIANE 12/17/2020 SHINES 2020 $100-00 PD-DEDUCTIBLE REIMB 275691 12/31/2020 WAISS-HUSSEY, CALEB 12/17/2020 WAISS-HUSSEY 2020 $100.00 PWST-DEDUCTIBLE REIMB 275669 12/31/2020 SO, SUN 12/16/2020 SO 2020 $100,00 HR-DEDUCTIBLE REIMB 275670 12/31/2020 SONNEN, JOE 12/16/2020 SONNEN 2020 $200,00 PKM-DEDUCTIBLE REIMB 275573 12/31/2020 BRIDGEFORD, SARAH 12/14/2020 BRIDGEFORD 2020 $100,00 CDHS-DEDUCTIBLE REIMB 275634 12/31/2020 MARIANI, HILARY 12/22/2020 MARIANI 2020 $200.00 PD-DEDUCTIBLE REIMB 275668 12/31/2020 SJODEN, LISA 12/21/2020 SJODEN 2020 $300,00 PD-DEDUCTIBLE REIMB 275561 12/31/2020 ADAMS, RICHARD 12/22/2020 ADAMS 2020 $100,00 PD-DEDUCTIBLE REIMB 275604 12/31/2020 GREGORY. KRISTEN 12122/2020 GREGORY 2020 $103,00 PD-DEDUCTIBLE REIMB 275615 12/31/2020 KENNEDY, JASON 12/22/2020 KENNEDY 2020 $300,00 PW-DEDUCTIBLE REIMB 275611 12/31/2020 HWANG, ANDY 12/1812020 HWANG 2020 $300.00 PD-DEDUCTIBLE REIMB 275609 12/31/2020 HUTCHINSON, KEVIN 12121/2020 HUTCHINSON 2020 $100,00 PARKS -DEDUCTIBLE REIMB Page 18 of 61 Key Bank Check No Date Vendor Invoice Date Invoice Description AmountGL Total 275619 12/31/2020 KLEIN, RICHARD 12/21/2020 KLEIN 2020 $100,00 PD-DEDUCTIBLE REIMB 275569 12/31/2020 ANTHOLT, JUSTIN 1212212020 ANTHOLT 2020 $200,00 PD-DEDUCTIBLE REIMB 275574 12/31/2020 BUCHANAN, KYLE 12/22/2020 BUCHANAN 2020 $100,00 PD-DEDUCTIBLE REIMB 275635 12/31/2020 MARSHALL, JENNIFER 12/21/2020 MARSHALL2020 $100,00 HRCK-DEDUCTIBLE REIMB 275877 1/15/2021 WEBSTER, ARIANNA 12/30/2020 WEBSTER 2020 $200,00 PD-DEDUCTIBLE REIMBURSEMENT 275788 1/15/2021 LOYD, TRAVIS 1/1/2021 LOYD 2020 $100.00 PD-DEDUCTIBLE REIMB 275813 1/15/2021 PAU, TANNER 1/1/2021 PAU 2020-2 $100,00 PD-DEDUCTIBLE REIMBURSEMENT 275857 1/15/2021 THOMAS, RYAN 12/31/2020 THOMAS 2020 $297.38 PW-DEDUCTIBLE REIMBURSEMENT 275712 1/15/2021 BRIZENDINE-JURGENSEN, JE12/31/2020 JURGENSEN 2020 $203.00 SWR-DEDUCTIBLE REIMB 275781 1/15/2021 KRUSEY, K.C. (CASEY) 1/7/2021 KRUSEY 2020 $100•,00 PD-DEDUCTIBLE REIMBURSEMENT 275780 1/15/2021 KLINGELE, BRYAN 1/8/2021 KLINGELE 2020 $100.00 PD-DEDUCTIBLE REIMBURSEMENT 275884 1/15/2021 WILLIAMS, CATHY 1/8/2021 WILLIAMS 2020 $100.00 LAW -DEDUCTIBLE REIMB 275851 1/15/2021 SPROUL, SCOTT 1/6/2021 SPROUL2020 $300..00 CD -DEDUCTIBLE REIMBURSEMENT 275882 1/15/2021 WHITE, SUSANNE 1/4/2021 WHITE 2020 $100.00 MC -DEDUCTIBLE REIMBURSEMENT 275838 1/15/2021 SCHMIDT, DAVID 1/12/2021 SCHMIDT 2020 $200.00 PARKS -DEDUCTIBLE REIMB 275763 1/15/2021 HINCKLE, CHARLIE 12/26/2020 HINCKLE 2020 $300.00 PD-DEDUCTIBLE REIMBURSEMENT 275816 1/15/2021 PETERSON, NICHOLAS 12/28/2020 PETERSON 2020 $100,00 PD-DEDUCTIBLE REIMBURSEMENT 275826 1/15/2021 PROCTOR, TONIA 12/28/2020 PROCTOR 2020 $53.33 LAW -DEDUCTIBLE REIMB 275836 1/15/2021 SANT, MICHAEL 12/28/2020 SANT 2020 $100.00 PD-MEDICAL DEDUCTIBLE 275720 1/15/2021 CIMMER, KARI 12/28/2020 CIMMER 2020 $100,00 CD -DEDUCTIBLE REIMBURSEMENT 275758 1/15/2021 HAGLAN, JOSH 12/29/2020 HAGLAN 2020 $200,00 PD-DEDUCTIBLE REIMB 275765 1/15/2021 HOBBS, KATEY 12/29/2020 HOBBS 2020 $50,00 HRCK/HR-DEDUCTIBLE REIMB 275765 1/15/2021 HOBBS, KATEY 12/29/2020 HOBBS 2020 $50,00 HRCK/HR-DEDUCTIBLE REIMB 275879 1/15/2021 WELSH, STACEY 12/17/2020 WELSH 2O20 $200.00 CD -DEDUCTIBLE REIMBURSEMENT 275790 1/15/2021 MARIANI,ALLESSANDRO 12/22/2020 MARIAM 2020 $200,00 PD-DEDUCTIBLE REIMB 275794 1/15/2021 MOORMAN, JASON 12/22/2020 MOORMAN 2020 $200,00 PKM-DEDUCTIBLE REIMB Page 19 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275708 1/15/2021 ARIWOOLA,ADE 12/21/2020 ARIWOOLA2020 $20000 FI-DEDUCTIBLE REIMBURSEMENT HOUSEHOLD SUPPLIES $12,537.42 275550 12/21/2020 WALTER E NELSON CO., 11/30/2020 786350 $1,139,60 PKM-JANITORIAL SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $869.00 FWCC-BACKBOARDS 275692 12/31/2020 WALTER E NELSON CO., 12/17/2020 788772 $393.67 PKM-JANITORIAL SUPPLIES 275614 12/31/2020 KCDA PURCHASING COOPER12/14/2020 300523939 $455,63 CHB - PD/CITY HALL - PURELL HA 275692 12/31/2020 WALTER E NELSON CO., 12/8/2020 787453 $2,561,68 CHB-JANITORIAL SUPPLIES 275692 12/31/2020 WALTER E NELSON CO,., 12/9/2020 787657 $508.55 CHB-JANITORIAL SUPPLIES 275874 1/15/2021 WALTER E NELSON CO., 12/31/2020 790189 $278•,70 FWCC-JANITORIAL SUPPLIES 275874 1/15/2021 WALTER E NELSON CO., 12/31/2020 790195 $803.11 PKM-JANITORIAL SUPPLIES 275721 1/15/2021 CINTAS CORPORATION NO 2,12/2212020 9114418977 $5,494.50 PKM-HOUSEHOLD SUPPLIES 275864 1/15/2021 TRINITY ACE HARDWARE, 12/29/2020 151531 $32.98 PKM-SUPPLIES HUMAN SERVICES -CATHOLIC COMM I $48,629.75 275717 1/`I5/2021 CATHOLIC COMMUNITY SERV11/30/2020 2020 3RD QTR $7,500,00 CDHS-MOU PAYMENT 275847 1/15/2021 SOUND GENERATIONS, 12/31/2020 2020 4TH QTR $4,590,00 CDHS-MOU PAYMENT 275847 1/15/2021 SOUND GENERATIONS, 12/31/2020 2020 3RD QTR $4,590.00 CDHS-AG19-061 MOU PAYMENT 275717 1/15/2021 CATHOLIC COMMUNITY SERV1/6/2021 2020 4TH QTR $7,500.00 CDHS-MOU PAYMENT 275717 1/15/2021 CATHOLIC COMMUNITY SERV1/4/2021 2020 1ST QTR/4TH QTR $10,835:.05 CDHS-MOU PAYMENT 275717 1/15/2021 CATHOLIC COMMUNITY SERV10/15/2020 2020 3RD QTR $13,614.70 CDHS-MOU PAYMENT IMMUNIZATION CHARGE $103.00 275806 1/15/2021 OCCUPATIONAL HEALTH CEN12/22/2020 69951877 $103.00 HR-WELLNESS SCREENING INSURANCE -STOP LOSS $68,012.90 104203040 1/4/2021 KAISER FOUNDATION HEALTFI/4/2021 JAN 2021 $60,993.96 FI-01/21 ADMIN FEE KAISER HEAL 104213039 1/4/2021 KAISER FOUNDATION HEALTFI/4/2021 JAN 2021 #2 $7,018.94 FI-01/21 ADMIN FEE KAISER HEAL JAIL CS - ISSAQ $90 AG19-068 $41,805.00 275724 1/15/2021 CITY OF ISSAQUAH, 1/6/2021 21000022 $41,805.00 PD-AG19-068 JAIL SVC-INMATE HO JAIL CS - KENT $150 + AG19-133 $48,355.00 275495 12/21/2020 CITY OF KENT, 12/15/2020 RI 60788 $23.875.00 PD-AG19-133 JAIL SVC INMATE HO 275725 1/15/2021 CITY OF KENT, 1/5/2021 RI 61077 $24,480,00 PD-AG19-133 JAIL SVC INMATE HO Page 20 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Descri2tion, AmountGL Total JAIL CS - KING CO $197 + AG13-015 $13,468.67 275778 1/15/2021 KING COUNTY FINANCE DIVIE12/9/2020 3003150 $13,468.67 PD-11120 DAJD OTH CITIES AG13- JAIL CS - PUYALLUP $95 + AG19-069 $5,925.54 275728 1/15/2021 CITY OF PUYALLUP, 11/3012020 AR114050 $2,914.20 PD-11/20 AG1 9-069 JAIL SVC INM 275727 1/15/2021 CITY OF PUYALLUP, 12/31/2020 AR114070 $3,011.34 PD-12/20 AG19-069 JAIL SVC I N M KING COUNTY COVID-19 GRANT- REIN $85,500.00 275673 12/3112020 SOUTH SOUND OUTREACH S12129/2020 AG20-958 $85,500.00 CDHS-AG20-958 FINANCIAL COUNSE LAND $660.60 275598 12/31/2020 FIRST AMERICAN TITLE INSUF7/18/2020 874-4209120894 $660,60 PW-MISC TITLE PROCESSING FEE LEGAL NOTICES $2,551.21 275543 12121/2020 SOUND PUBLISHING INC, 11/27/2020 FWM914236 $103,92 CD -AD ACCT#83722477 275526 12/21/2020 NEWS TRIBUNE, 11/20/2020 104814351-11202020 $34R37 CD-11/20 NEWSPAPER ADS/SUBSCRI 275543 12/2112020 SOUND PUBLISHING INC, 11/6/2020 FWM912987 $165,20 CD -AD ACCT#83722477 275543 12/21/2020 SOUND PUBLISHING INC, 11/612020 FWM913052 $46.60 HRCK-AID ACCT#83722476 275526 12/21/2020 NEWS TRIBUNE, 101912020 104776227,7362&8222 $1,326.86 CD-1 0/20 NEWSPAPER ADS/SUBSCRI 275671 12/31/2020 SOUND PUBLISHING INC, 11/1312020 FWM913317 $269.75 CD -AD ACCT#83722477 275671 12131/2020 SOUND PUBLISHING INC, 11/6/2020 FWM912984 $244,51 FLT-AD ACCT#83722479 275713 1115/2021 BUILDERS EXCHANGE OF, 12/4/2020 1067583 $45.00 FILT-PUBLISH PROJECTS ONLINE LODGING $285.48 1124203793 12/24/2020 US BANK, 12124/2020 NOV 2020 PD VISA $285,48 PD-TRAINING FEE LONG DISTANCE CHARGES $605.2.9 275719 1115/2021 CENTURYLINK, 12/20/2020 181191151 $302.12 IT-12120 FACILITY PHONE SERVIC 275719 1/15/2021 CENTURYLINK, 12/20/2020 181191151 $303,13 IT-12/20 FACILITY PHONE SERVIC MACHINERY & EQUIPMENT $33,138.59 275491 12/21/2020 BELLINGHAM LOCK & SAFE IN1218/2020 292151 $200.00 Freight 275491 12121/2020 BELLINGHAM LOCK& SAFE IM2/8/2020 292151 $1.226,00 Sales Tax 275491 12/21/2020 BELLINGHAM LOCK& SAFE IN121812020 292151 $1,844,00 IT-AVIGILON ES-HD-IR-IP6 IR IL 275491 12/21/2020 BELLINGHAM LOCK& SAFE IIN12/8/2020 292151 $50400 IT-AVIGILON ES-HD-MNT-POLE-LGH 275491 12/2112020 BELLINGHAM LOCK & SAFE IM 21812020 292151 $2,420,00 IT-AVIGILON 3,0C-HD-LP-B1 BOX 275491 12/21/2020 BELLINGHAM LOCK& SAFE IIN12/8/2020 292151 $2,400.00 IT-AVIGILON 1LPR-ACC6 LICENSE Page 21 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Descri tion AmountGLTotaI 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM218/2020 292151 $20600 IT-AVIGILON T91B67 POLE MOUNT 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292151 $1,200,00 IT-AVIGILON IC-ACC7-ENTACC 7 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292151 $110,00 IT-AVIGILON H4AMH-DO-COVR1- SM 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM202020 292151 $110.00 IT-AVIGILON H4AH-AD-PEND1 OUT 275491 12/21/2020 BELLINGHAM LOCK & SAFE I 2/8/2020 292151 $37,00 IT-AVIGILON IRPTZ-MNT-NPTA1 PE 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292151 $1,445.00 IT-AVIGILON 20C-H4A-4MH-360 4X 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/8/2020 292151 $1,784-00 IT-AVIGILON ES-HD-LP-HS HOUSII 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $922.00 IT-PD-AVIGILON ES-HD-iR-IP6 - 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $1,210.00 IT-PD-AVIGILON Box 3MP Camera, 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $892 00 IT-PD-AVIGILON PoE ES-HD-LP-HS 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\12/16/2020 292460 $252,00 IT-PD-AVIGILON ES-HD-MNT-POLE- 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/1612020 292460 $4,335.00 IT-PD-AVIGILON 20C-H4A-4MH-360 275491 12/21/2020 BELLINGHAM LOCK & SAFE I1\12/16/2020 292460 $330,00 T-PD-AVIGILON H4AMH-DO-COVR1- 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $330.00 IT-PD-AVIGILON H4AMH-AD-PEND1 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $111.00 IT-PD-AVIGILON IRPTZ-MNT-NPTA1 275491 12/21/2020 BELLINGHAM LOCK & SAFE Ih12/16/2020 292460 $412,00 tT-PD-AXIS Axis T91 B67 Pole Mo 275491 12/21/2020 BELLINGHAM LOCK & SAFE IN12/16/2020 292460 $1,714.00 IT-PD-AVIGILON 5,OC-H5A-BO2-IR 275491 12/21/2020 BELLINGHAM LOCK & SAFE IN12/16/2020 292460 $124 00 IT-PD-AVIGILON H4-BO-JBOX Back 275491 12/21/2020 BELLINGHAM LOCK & SAFE V2/16/2020 292460 $124.00 IT-PD-AVIGILON H4-MT-POLE1 Pol 275491 12/21/2020 BELLINGHAM LOCK & SAFE IN12/1612020 292460 $2,400.00 IT-PD-AVIGILON 1 LPR-ACC7 LICEN 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $1,600.00 IT-PD-AVIGILON 1C-ACC7-ENTACC 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $345.00 Freight 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2/16/2020 292460 $1,510.10 Sales Tax 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $567,60 PD-GIGS BEAM 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $422.36 PD-UBIOUITI NBEAM 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $656.71 PD-UBIOUITI SWITCH Key Bank Page 22 of 61 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-1,242,33 PWFLT-HOSE & FITTINGS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $64.29 PWFLT-HOSE & FITTINGS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-64.29 PWFLT-HOSE & FITTINGS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $88,20 PWFLT-HOSE GUARDS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-88.20 PWFLT-HOSE GUARDS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $1,242,33 PWFLT-HOSE & FITTINGS 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $88,20 PWFLT-HOSE GUARDS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $64.29 PWFLT-HOSE & FITTINGS 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $1.242,33 PWFLT-HOSE & FITTINGS MECHANICAL PERMITS $806.50 275532 12/21/2020 PACIFIC HEATING & COOLING10/14/2020 20-103982,20-103983 $406,70 CD -REFUND 20-103982 & 20-10398 275485 12/21/2020 AAA HEATING &AC INC, 11/25/2020 CD-104646,647,648 $261-94 CD -REFUND 20-104646, CD-104647 275485 12/21/2020 AAA HEATING & AC INC, 12/1/2020 CD-104710,CD-104711 $137,86 CD -REFUND 20-104710 & CD-10471 MEDICAL SERVICES $2,110.74 275495 12/21/2020 CITY OF KENT, 12/15/2020 RI 60788 $1,405.28 PD-AG19-133 JAIL SVC INMATE HO 275725 1/15/2021 CITY OF KENT, 1/5/2021 RI 61077 $100.00 PD-AG19-133 JAIL SVC INMATE HO 275778 1/15/2021 KING COUNTY FINANCE DIVI.12/9/2020 3003150 $605,46 PD-11/20 DAJD OTH CITIES AG13- MEDICAL SERVICES - CLAIMS $214,022.12 1218207994 12/18/2020 KAISER FOUNDATION HEALTFI2/18/2020 INVSF0007397 $20,471.56 FI-12/08/20-12/14/20 KAISER HE 121820799212/18/2020 KAISER FOUNDATION HEALTF12/18/2020 INVSF0007377 $1,059.79 FI-12/08/20-12/14/20 KAISER HE 1228207428 12/28/2020 KAISER FOUNDATION HEALTFI2/2812020 INVSF0007428 $2,617,24 FI-12/15/20-12/21/20 KAISER HE 122820744212/28/2020 KAISER FOUNDATION HEALTFI2/28/2020 INVSF0007442 $45,134,72 FI-12/15/20-12/21/20 KAISER HE 104217466 1/4/2021 KAISER FOUNDATION HEALTFI/4/2021 INVSF0007466 $1,976.37 FI-12/22/20-12/28/20 KAISER HE 104217478 1/4/2021 KAISER FOUNDATION HEALTF1/4/2020 INVSF0007478 $37.155.70 FI-12/22/20-12/28/20 KAISER HE 108217510 1/8/2021 KAISER FOUNDATION HEALTFI/8/2021 INVSF0007510 $1,364,80 FI-12/29/20-12131/20 KAISER HE 108217530 1/8/2021 KAISER FOUNDATION HEALTF1/8/2021 INVSF0007530 $37,573,81 FI-12/29/20-12/31/20 KAISER HE 115217565 1/15/2021 KAISER FOUNDATION HEALTFI/15/2021 INVSF0007565 $2,597,70 FI-01/01/21-01/11/21 KAISER HE Page 23 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 115217582 1/15/2021 KAISER FOUNDATION HEALTFI/15/2021 INVSF0007582 $64,069.93 FI-01/01/21-01/11/21 KAISER HE MINOR DP EQUIPMENT $1,092.81 1224209491 12/24/2020 US BANK, 12124/2020 NOVEMBER 20 PROCARD $-83,96 IT -REFUND RETURN CREDIT 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $79=74 IT -SUB CABLE 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $648,98 IT-OPER SUPPLIES 275597 12/31/2020 FICHTNER, THOMAS 12/17/2020 FICHTNER 2020 $330,00 IT-MISC EQUIP 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-118,05 IT-USB & HDMI CABLE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $118,05 IT-USB & HDMI CABLE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $116,05 IT-USB & HDMI CABLE MINOR EQUIP-MISC $41,609.85 275504 12/21/2020 G.W., INC, 12/9/2020 1075743 $428,50 PD-GLOCK GEN-5 G19 9MM AMERIGL 275504 12/21/2020 G.W., INC, 12/9/2020 1075743 $25.00 Freight 275504 12/21/2020 G.W., INC, 12/9/2020 1075743 $45.35 Sales Tax 275542 12/21/2020 SELEX ES INC, 12/8/2020 40151 $2,076.00 PD-WARRANTY 275518 12/21/2020 LOWE'S HIW INC, 12/17/2020 23545 $62.68 CHB-MAINT SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $78,,59 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $57S00 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $67,95 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $86.40 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $175,48 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $605.55 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $344,71 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $132.31 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $3,738.11 PD-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $674.00 PD-OFFICE CHAIR 1124203793 12/24/2020 US BANK, 12/2412020 NOV 2020 PD VISA $32.99 PD-HEADPHONES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $186.99 PD-FIREARM SUPPLIES Page 24 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $458-66 PD-FIREARM SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $340.14 PD-MINOR EQUIP 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $1,650,00 PKM-MINOR EQUIP 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $34.98 PD-FIREARM SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $37.80 PD-DU HEATER 1224209491 12/24/2020 US BANK, 12/24/2020 NOVE BER 20 PROCARD $301.61 PKM-MINOR EQUIP 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $924.00 PKM-MAINT PARTS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $1,538,90 F LT-MAI NT PARTS 1224209491 12/24/2020 US BANK, 12124/2020 NOVEMBER 20 PROCARD $42,86 FLT-MAINSPARTS 275659 12/31/2020 PRINCE, DAVID 12118/2020 PRINCE 2020 $85,63 PD-POLE CAM EQUIPMENT 275640 12/31/2020 MORRELL, WILLIAM 12/21/2020 MORRELL 2020 $200.00 PD-EQUIP ALLOW 275662 12/31/2020 ROGERS, AUSTIN 12/2112020 ROGERS 2020 $200.00 PD-EQUIP ALLOWANCE 275600 12/31/2020 FRANCO, RAMON 12/22/2020 FRANCO 2020 $200,00 PD-MINOR EQUIP 275641 12/31/2020 MUNDELL, JEFF 12115/2020 MUNDELL 2020 $40,59 PD-REIMB FOOD & MINOR EQUIP 275623 12/31/2020 KRUSE, CATRIONA 12/15/2020 KRUSE 2020 $583,99 PD-EQUIP ALLOW 275557 12/31/2020 AARDVARK, 11/25/2020 PIN11405 $1,125,00 PD - PROJECT 7/B3X BATTLE BELT 275557 12/31/2020 AARDVARK, 11/25/2020 PIN11405 $1,500.00 PD - PROJECT 7/B3X BATTLE BELT 275557 12/31/2020 AARDVARK, 11/25/2020 PIN11405 $695.00 PD - PROJECT 7/B3X BATTLE BELT 275557 12/31/2020 AARDVARK, 11/25/2020 PIN11405 $295.00 PD - PROJECT 7/133X BATTLE BELT 275557 12/31/2020 AARDVARK, 11/25/2020 PIN11405 $75 00 PD - PROJECT 7/B3X BATTLE BELT 275557 12/31/2020 AARDVARK, 11/25/2020 PIN11405 $378.00 Sales Tax 275557 12/31/2020 AARDVARK, 11/25/2020 PIN11405 $90.00 Freight 275672 12/31/2020 SOUND UNIFORM/BRATWEARI2/2/2020 202012SU507 $1,175.72 PD-UNIFORM/EQUIPMENT 275672 12/31/2020 SOUND UNIFORM/BRATWEARI2/2/2020 202012SU511 $3,520.77 PD-UNIFORMIEQUIPMENT 275672 12/31/2020 SOUND UNIFORM/BRATWEARI2/2/2020 202012SU514 $2,347.18 PD-UNIFORM/EQUIPMENT 275672 12/31/2020 SOUND UNIFORM/BRATWEARI2/2/2020 202012SU515 $2,347.18 PD-UNIFORM/EQUIPMENT Page 25 of 61 Key Bank Check No. Date Vendor -- Invoice Date Invoice Descri tion AmountGL Total 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $2,805.00 PKM-LINER, RUNNING BOARD & TOO 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-2,805.00 PKM-LINER, RUNNING BOARD & TOO 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $2,805.00 PKM-LINER, RUNNING BOARD & TOO 275849 1/15/2021 SOUND UNIFORM/BRATWEAR12/10/2020 202012SU623 $2,347.18 PD-UNIFORM/EQUIPMENT 275734 1/15/2021 DATEC INCORPORATED, 11/23/2020 34848 $2,867.71 PD-IT-SIU CRADLEPOINTS_ 275762 1/15/2021 HICKEY, COLLEEN 12/22/2020 BORDERS 2020 $200.00 PD-CLOTHING ALLOWANCE 275850 1/15/2021 SPECIAL SERVICES GROUP L12/23/2020 13680 $1,320,00 PD-COVERT TRACK RENEWAL 275850 1/15/2021 SPECIAL SERVICES GROUP L12/23/2020 13682 $1,260.00 PD-COVERT TRACK RENEWAL 275785 1/15/2021 LEFEBVRE, JAIMISON 1212912020 LEFEBVRE 2020 $200.00 PD-EQUIPMENT ALLOWANCE 275735 1/15/2021 DAVIS, ERIC 12/29/2020 DAVIS 2020 $200.00 PD-YEARLY ALLOWANCE 275752 1/15/2021 GIGER, JOELL 12/28/2020 GIGER 2020 $200.00 PD-DEDUCTIBLE REIMB 275844 1/15/2021 SKINNER, BILL 12/2812020 SKINNER 2020 $200,00 PD-YEARLY ALLOWANCE 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $26,61 PD-PETTY CAHS # 033194- 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $39.99 PD-PETTY CAHS # 033194-- 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $5A4 PD-PETTY CAHS # 033194- 275813 1/15/2021 PAU, TANNER 1/1/2021 PAU 2020 $200.00 PD-EQUIP ALLOW 275842 1/15/2021 SHAW, BRIAN JOSEPH 12130/2020 SHAW 2020 $173,27 PD-MINOR EQUIP 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $41.03 PD-PETTY CAHS # 033194- MISC PROFESSIONAL SVS-ITERGOV $82,345.47 275513 12/21/2020 KING COUNTY RADIO, 11/30/2020 16521 $12,097.80 IT-11/20 RADIO COMMUNICATION 275617 12/31/2020 KING COUNTY FINANCE DIVIE11/3012020 109133-109140 $286,14 PW-RSD F 109133-109140 275688 12/31/2020 WA STATE DEPT OF ENTERPF11/212020 9512086 $56,000,00 PW-AG17-015 ENERGY/UTILITY CON 275617 12/31/2020 KING COUNTY FINANCE DIVIE10/31/2020 108543-108558 $895,43 PW-RSD F 108543-108558 275689 12/31/2020 WA STATE DEPT OF TRANSPO2/15/2020 RE 41 JZ0247 L024 $968,30 PW-PROJECT JZ0247 FEES 275779 1/15/2021 KING COUNTY RADIO, 12/29/2020 16623 $12,09T80 IT-12/20 RADIO COMMUNICATION ISC SERVICES & CHARGES $202,081.99 275540 12/21/2020 REGIONAL TOXICOLOGYSER11/30/2020 61294113020 $796.70 MC -DRUG TESTS Page 26 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275488 12/21/2020 ALTEC INDUSTRIES INC, 11/16/2020 11521468 $39,18 FLT-SUPPLIES 275499 12/21/2020 D J TROPHY, 12/9/2020 284582 $16.50 PD-SUPPLIES 275501 12/21/2020 FEDERAL WAY INDOOR RANG1218/2020 211 $658,90 PD-INDIVIDUAL RANGE US 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $4.35 PARKS-FACEBOOKAD 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $12,95 PARKS -MARKETING FEE 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $27.20 PD-BDU TRAINING 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $55.00 CD-BULID DEPART RESEARCH 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $4.95 CC-12/20 ONLINE SUB 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $4,95 CC-NOV 2020 ONLINE SUB 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $99,09 PD-PRINTING SVC 1224204759 12/24/2020 US BANK, 12124/2020 NOV 2020 CITY VISA $25,00 FWCC-CEU PETITION FEE 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $180,00 FWCC-MOSSA SUB 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $108,00 FWCC-MOSSA SUB 275642 12/31/2020 MV TOWING LLC, 12/16/2020 18529 $77,00 PD-VEHICLE TOW 275578 12/31/2020 COMPLETE OFFICE, 12/18/2020 2015200-0 $2,941,40 PD-OFFICE SUPPLIES 275690 12/31/2020 WA STATE EMPLOYMENT SEC12/14/2020 20-046757-RDU-D4 $13.50 PD-WORK HISTORY Y. WU 275690 12/31/2020 WA STATE EMPLOYMENT SEC1211412020 20-046758-RDU-D3 $13.50 PD-WORK HISTORY G. LI 275653 12/31/2020 PERFORMING ARTS & EVENT111612020 0000044-IN $391.75 MO -TIME CAPSULE CEREM EVENT 275685 12/31/2020 VERIZON WIRELESS, 11/12/2020 9866885511 $160,04 PD-11/20 WATPACELLULAR SVC AC 275608 12/31/2020 HP INC.:, 12/6/2020 9011054227 $4,309.58 IT-PD HP ZBOOK 15 G7 SERIES, 1 275608 12/31/2020 HP INC., 12/6/2020 9011054227 $430,96 Sales Tax 275655 12/31/2020 PIERCE COUNTY SECURITY 1112/4/2020 385208 $5,992.04 MC -SECURITY SERVICES AG16-023 275583 12/31/2020 DASH MEDICAL GLOVES, 12/912020 INV1222007 $976A7 PD-BLACK MAXX NITRILE EXAM GLO 275648 12/31/2020 NORMED, 12/9/2020 12378-821172 $22112 PD-FIRST AID SUPPLIES 275685 12/31/2020 VERIZON WIRELESS, 12/12/2020 9869000806 $40.01 PD-12120 WATPA CELLULAR SVC AC 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-55,00 CD-TRANSUNION BLDG DEPT RESEAR Page 27 of 61 Key Bank Check No. Date Vendor Invoice Date Invoice Description AmountGLTotal 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $55,00 CD-TRANSUNION BLDG DEPT RESEAR 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $55,00 CD-TRANSUNION BLDG DEPT RESEAR 275815 1/15/2021 PETEK&ASSOCIATES, REIGN12/29/2020 713 $300,00 PD-NOV 2020 PSYCH EVA 275829 1/15/2021 PUBLIC SAFETY TESTING, 12/28/2020 2020-0792 $1,931,00 HR-AG16-017 POLICE OFFICER 275799 1/15/2021 MVTOWINGLLC, 12/26/2020 18565 $77.00 PD-VEHICLE TOW 275850 1/15/2021 SPECIAL SERVICES GROUP L12/23/2020 13681 $660,00 PD-COVERT TRACK RENEWAL 275739 1/15/2021 EQUIFAX CREDIT INFORMATI(12/17/2020 6146476 $157.68 PD-CREDIT REPORTING SVC 275848 1/15/2021 SOUND PUBLISHING INC, 12/18/2020 12182020 $1,150.00 SWR-AD ACCT83733388 275875 1/15/2021 WASHINGTON POLYGRAPH, 12/2/2020 20037 $250,00 PD-POLYGRAPH EXAMINATION 275704 1/15/2021 AMAZON CAPITAL SERVICES 12/5/2020 1PH7-9L39-QLX9 $1,407,84 PD-MASK 275807 1/15/2021 OFFICE DEPOT, 12/9/2020 141052229001 $3659 PD-OFFICE SUPPLIES 275798 1/15/2021 MULTI -SERVICE CENTER, 12/14/2020 2380 $500,00 SWR-FOOD WASTE REDUCTION PACKE 275868 1/15/2021 VERIZON WIRELESS, 12/13/2020 9869138298 $404.64 PD-12/20 CELLULAR SVC ACCT# 275726 1/15/2021 CITY OF LAKEWOOD, 10/6/2020 PD-01546 $21,214.24 FI-09/20 WATPA GRANT REIMB 275823 1/15/2021 PORT OF SEATTLE, 11/16/2020 C-4221 $12,63950 FI-09/27/20-10/31 /20 AUTO TH EF 275726 1/15/2021 CITY OF LAKEWOOD, 11/16/2020 PD-01469 $18,131 99 FI-10/20 WATPA GRANT REIMB 275729 1/15/2021 CITY OF TACOMA POLICE DEF11/1712020 0039 $17,758,98 FI-10/20 WATPA GRANT REIMB 275723 1/15/2021 CITY OF BONNEY LAKE, 10/31/2020 10312020 $13,069.12 FI-10/20 WATPA GRANT AUTO THEF 275722 1/15/2021 CITY OF AUBURN, 9/3/2020 20-035158 $2,91666 FI-09/20 GAME FARM PARK ADMIN 275723 1/15/2021 CITY OF BONNEY LAKE, 9/30/2020 09302020 $13,109,66 FI-09/20 WATPA GRANT AUTO THIEF 275823 1/15/2021 PORT OF SEATTLE, 10/9/2020 CM-4152 $5,325-64 FI-08/30/20-09/26/20 AUTO THEF 275722 1/15/2021 CITY OF AUBURN, 10/13/2020 20-035202 $5,649.42 FI-09/20 MISCELLANEOUS REIMB 275729 1/15/2021 CITY OF TACOMA POLICE DEN 0/14/2020 0038 $12,371,92 FI-08/20 WATPA GRANT REIMB 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $12.09 PD-PETTY CAHS # 033194- 275704 1/15/2021 AMAZON CAPITAL SERVICES 12/31/2020 1D6M-3Q36-1TLY $-1,337,44 PD-RETURN CREDIT FOR MASK 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $74.89 PD-PETTY CAHS # 033194— Page 28 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275883 1/15/2021 WILD WEST INTERNATIONAL 112/30/2020 9996 $12.09 PD-11/20 RANGE FEE 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $12.00 PD-PETTY CAHS # 033194- 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $2&38 PD-PETTY CAHS # 033194- 275821 1/15/2021 PIERCE COUNTY FINANCE DE10/8/2020 CI-293780 $15,917.28 FI-09/20 WATPA GRANT REIMB 275821 1/15/2021 PIERCE COUNTY FINANCE DE11/10/2020 CI-294942 $11,149.48 FI-10/20 WATPA GRANT REIMB 275770 1/15/2021 IRON MOUNTAIN INFORMATIC12/31/2020 DGLD990 $1,470,21 PD-STORAGE SVC 275783 1/15/2021 LACY & PAR INC, 12/31/2020 78355 $2,631,76 SWR-PAINTING SVC 275853 1/15/2021 STAPLES BUSINESS ADVANT/12/31/2020 3465737071 $135.10 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTM2/31/2020 3465737072 $94 88 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANT/12/31/2020 3465737073 $180.39 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTA12/31/2020 3465737074 $135.10 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANT/12/31/2020 3465737076 $33.65 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTA12/31/2020 3465737077 $90,07 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTA12/31/2020 3465737078 $99.10 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTA12/31/2020 3465737068 $33,65 PD-OFFICE SUPPLIES 275873 1/15/2021 WA STATE PATROL, 1/6/2021 121003493 $137„00 PD-BACKGROUND CHECKS 275863 1/15/2021 TRANSUNION RISK&ALTERNI/7/2021 837597 $217,80 PD-12/20 BACKGROUND CHECKS 275818 1/15/2021 PETTY CASH - FI, 1/12/2021 033191 $9.80 PD-CERTIFIED MAILING 275890 1115/2021 CRIME STOPPERS OF PUGET11/1/2020 CSOPS207005 $9,141,08 PD-2021 CRIME STOPPERS ALLOCAT 275895 1/15/2021 GREATER FEDERAL WAY CHAl2/28/2020 15820 $15,000:00 MO-2021 PIVOTAL PARTNER RENEWA 275818 1/15/2021 PETTY CASH - FI, 1/1212021 033191 $78.92 LAW -CERTIFIED COPY 275818 1/15/2021 PETTY CASH - FI, 1/12/2021 033191 $9A9 LAW -CERTIFIED COPY Y BLDG PRT ONBRD FEE $10,000.00 275494 12/21/2020 CITY OF BELLEVUE, 11/4/2020 37553 $10,000.00 IT -AG 20-087 ECITY GOV ONBOARD NATURAL GAS $12.45 275660 12/31/2020 PUGET SOUND ENERGY INC, 12/17/2020 220006213759 $12.45 PKM-12120 726 S 356TH GAS #493 NON GOVT DID SERVICES $735.5E Page 29 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Descrietion, AmountGL Total 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $25,00 IT-PAYPAL ONLINE PERMITTING 1224209491 12/2412020 US BANK, 12/24/2020 NOVEMBER20PROCARD $16.44 IT -EMAIL FORWARDING SVC 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $330.00 IT-INTERNET MGMT SOFTWARE 1123209491 12131/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-330,00 IT-INTERNET MGMT SOFTWARE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $69,95 IT-INTERNET ACCESS TWINLK SUBS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-69.95 IT-INTERNET ACCESS TWINLK SUBS 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $149.00 IT-JINDEX CERT 1123209491 12131/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-149,00 IT-JINDEX CERT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $7995 IT-INTERNET ACCESS TWINLK SUBS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-7995 IT-INTERNET ACCESS TWINLK SUBS 1123209491 12/31/2020 US BANK, 1012612020 NOV 2020 PROCARD $16,44 IT -SEND -GRID MONTHLY COST 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-16,44 IT -SEND -GRID MONTHLY COST 1123209491 12/3112020 US BANK, 10/26/2020 NOV 2020 PROCARD $16A4 IT -SEND -GRID MONTHLY COST 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $69,95 IT-INTERNET ACCESS TWINLK SUBS 1123209491 12/3112020 US BANK, 10/26/2020 NOV 2020 PROCARD $149,00 IT-JINDEX CERT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $79,95 IT-INTERNET ACCESS TWINLK SUBS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $330.00 IT-INTERNET MGMT SOFTWARE 275893 1/15/2021 DMX LLC DBA MOOD MEDIA, 1/112021 55913564 $4878 IT-01/21 MEDIA SERVICES OFFICE SUPPLIES $6,936.74 275528 12/21/2020 OFFICE DEPOT, 11/11/2020 136826275001 $24.18 PD-OFFICE SUPPLIES 275496 12/21/2020 COMPLETE OFFICE, 11/17/2020 2009000-0 $31.73 CD -OFFICE SUPPLIES 275496 1212112020 COMPLETE OFFICE, 11/17/2020 2009000-0 $75.50 CD -OFFICE SUPPLIES 275496 12/21/2020 COMPLETE OFFICE, 11/17/2020 2009000-0 $46,24 CD -OFFICE SUPPLIES 275496 12121/2020 COMPLETE OFFICE, 11/1712020 2009000-0 $154 CD -OFFICE SUPPLIES 275527 12/21/2020 NORTHWEST LOGO PRODUC9/29/2020 20451 $2,121.24 SWR-TUMBLERS 275496 12/21/2020 COMPLETE OFFICE, 11/23/2020 2010186-0 $21.59 LAW -OFFICE SUPPLIES Page 30 of 61 Key Bank Check No Date Vendor Invoice Date Invoice Description - AmountGLTotal 275496 12/21/2020 COMPLETE OFFICE, 11/23/2020 2010186-0 $30.34 LAW -OFFICE SUPPLIES 275496 12/21/2020 COMPLETE OFFICE, 12/3/2020 2012582-0 $21,98 LAW -OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVE BER 20 PROCARD $47.23 SWM-OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $135.29 PKM-OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEBER 20 PROCARD $428.97 PKM-OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $48.30 HR-OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $802-78 IT -CHAIRS 1224209491 12/24/2020 US BANK, 12124/2020 NOVEMBER 20 PROCARD $375,:65 IT-IPHONE CHARGERS 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $41.16 FWCC-OFFICE SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $229,58 PD-THUMB DRIVES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $28.71 FWCC-OFFICE SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $10.54 PD-BATTERIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $-14.29 PD-REFUND RETURN SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $120•99 PD-OFFICE SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $13525 PD-OFFICE SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $62,14 FWCC-OFFICE SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $17,59 FWCC-OFFICE SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $14,29 FWCC-OFFICE SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $351,65 PD-OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $128.44 IT -OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/2412020 NOVEMBER 20 PROCARD $58,07 PKM-OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEBER 20 PROCARD $37.77 CD -OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $13,48 CD -OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVE BER 20 PROCARD $43 40 FLT-EMERGENCY BOOKS 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $-730.84 SWR-REFUND RETURN SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $-361.68 SWR-REFUND RETURN SUPPLIES Key Bank Page 31 of 61 Check No. Date Vendor Invoice Date Invoice Description AmpuntGL Total 1224204759 12/24/2020 US BANK, 12/2412020 NOV 2020 CITY VISA $-171.56 SWR-REFUND RETURN SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $-361.68 SWR-REFUND RETURN SUPPLIES 275578 12/31/2020 COMPLETE OFFICE, 12/11/2020 2014760-0 $42.11 CD -OFFICE SUPPLIES 275578 12/31/2020 COMPLETE OFFICE, 12/11/2020 2014760-0 $92,87 CD -OFFICE SUPPLIES 275578 12/31/2020 COMPLETE OFFICE, 12/11/2020 2014760-0 $71,00 CD -OFFICE SUPPLIES 275578 12/31/2020 COMPLETE OFFICE, 12/11/2020 2014760-0 $17.08 CD -OFFICE SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-100.07 PW-OTTER BOX 2 PHONES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $100.07 PW-OTTER BOX 2 PHONES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-2563 HR-FOLDERS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $25.63 HR-FOLDERS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-434.50 CD-VARIDESK 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $434.50 CD-VARIDESK 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $434.50 CD-VARIDESK 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $100.07 PW-OTTER BOX 2 PHONES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $25.63 HR-FOLDERS 275807 1/15/2021 OFFICE DEPOT, 12/9/2020 141678956001 $16.81 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/9/2020 141680007001 $10,66 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/9/2020 141680008001 $50.58 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/4/2020 140518397001 $20.98 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/312020 139831772001 $2,35 PD-OFFICE SUPPLIES 275807 1115/2021 OFFICE DEPOT, 12/3/2020 139871896001 $6=29 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/3/2020 140807999001 $49.49 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/2/2020 140787966001 $51,97 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/2/2020 140807998001 $17 15 PD-OFFICE SUPPLIES 275807 1/15/2021 OFFICE DEPOT, 12/17/2020 140521663001 $14•29 PD-OFFICE SUPPLIES 275731 1/15/2021 COMPLETE OFFICE, 12/17/2020 2016218-0 $31.09 SWM-OFFICE SUPPLIES Page 32 of 61 Key Bank Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275731 1/15/2021 COMPLETE OFFICE, 12/17/2020 2016218-0 $20A8 SWM-OFFICE SUPPLIES 275775 1/15/2021 KENNEDY. JASON 12122/2020 KENNEDY 2020-2 $181.99 PVVTR-EMPLOYEE REIMB INK CARTRI 275731 1/1512021 COMPLETE OFFICE, 12/22/2020 2017077-0 $59,80 PKM-OFFICE SUPPLIES 275731 1/15/2021 COMPLETE OFFICE, 11/18/2020 2009256-0 $313,50 CD -CHAIR 275819 1/15/2021 PETTY CASH -POLICE DEPT, 1 j/31/2020 033194 $5.49 PD-PETTY CAHS # 033194- 275853 1/15/2021 STAPLES BUSINESS ADVANTM2131/2020 3465737070 $588.89 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTil 2/31/2020 3465737064 $238,63 PD-OFFICE SUPPLIES 275853 1115/2021 STAPLES BUSINESS ADVANT412/31/2020 3465737065 $59.60 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTil2/31/2020 3465737066 $17.15 PD-OFFICE SUPPLIES 275853 1/1512021 STAPLES BUSINESS ADVANTM2/31/2020 3465737067 $21,44 PD-OFFICE SUPPLIES 275853 1115/2021 STAPLES BUSINESS ADVANTA2/31/2020 3465737068 $91 63 PD-OFFICE SUPPLIES 275853 1/1512021 STAPLES BUSINESS ADVANTF12131/2020 3465737079 $25,66 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTA2131/2020 3465737080 $132,48 PD-OFFICE SUPPLIES 275853 1115/2021 STAPLES BUSINESS ADVANTA12/31/2020 3465737076 $11.48 PD-OFFICE SUPPLIES 275853 1/15/2021 STAPLES BUSINESS ADVANTA12131/2020 3465737073 $1731 PD-OFFICE SUPPLIES 275818 1/15/2021 PETTY CASH - FI, 1/12/2021 033191 $27.17 PW-ANCHORSIDRILL BITS 275818 1/15/2021 PETTY CASH - Fl, 1/12/2021 033191 $19.77 PW-MONITOR CABLE 275818 1/15/2021 PETTY CASH - Fl, 1/12/2021 033191 $20.14 PW-PLASTIC DIVIDERS 275818 1/1512021 PETTY CASH - Fl, 1/1212021 033191 $19.77 PW-PHONE CASE/PROTECTORS 275731 111512021 COMPLETE OFFICE, 1/4/2021 2018489-0 $139,87 HRCK-OFFICE SUPPLIES OPERATING RENTALS/LEASES $14,682.72 275507 12/21/2020 HAROLD LEMAY ENTER PRISE1 2/112020 4682252 $68.33 HRCK-SHREDDING SVC 275544 12/21/2020 THE HUMANE SOCIETY FOR, 11/30/2020 IVC0002280 $257,50 PD-AG1 9-094 AGR FOR SHELTER & 275891 1/15/2021 DIM VENTURES FEDERAL WA)1/1/2021 FW 21-01 $4,152,00 IT-WIFI SITE LEASE CENTER BLDG 275909 1/15/2021 TWIN LAKES PLAZA LLC, MAR1 /1 /2021 2390 $655.00 PD-AG19-11 0 TV\flN LAKES SUBSTAT 275770 1/15/2021 IRON MOUNTAIN INFORMATIC12/3112020 DGMB544 $2,350.14 HRCK-STORAGE SVC Key Bank Page 33 of 61 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275855 1/15/2021 THE HUMANE SOCIETY FOR, 12/31/2020 INVO002282 $849,75 PD-AG19-094AGR FOR SHELTER & 275855 1/1512021 THE HUMANE SOCIETY FOR, 12/1/2020 IVC0002278 $6,350.00 PD-AG1 9-094 AGR FOR SHELTER & OTHER DEPT - CLAIMS GL/PL $9,356.64 275503 12/21/2020 FLOYD, PFLUEGER & RINGER12/3/2020 61708 $9,356,64 LAW -LEGAL SVCS AG13-033- OTHER MISC REVENUE $2,312.35 1228203485 12/28/2020 WA STATE REVENUE DEPART12/28/2020 601-223-538 $208.98 FI-11120 REMIT SALES TAX FWCC 1228203485 12/28/2020 WA STATE REVENUE DEPART12/28/2020 601-223-538 $-14,10 FI-11/20 REMIT SALES TAX 1228203485 12128/2020 WA STATE REVENUE DEPART12128/2020 601-223-538 $2,116.47 FI-1 1120 REMIT SALES TAX 1123209491 12/3112020 US BANK, 10/26/2020 NOV 2020 PROCARD $1.00 IT -TEST FOR CREDIT CARD PROCES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-1.00 IT -TEST FOR CREDIT CARD PROCES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $1 00 IT -TEST FOR CREDIT CARD PROCES OTHER MISCELLANEOUS REVENUE $2,002.07 1228203485 12/2812020 WA STATE REVENUE DEPARTI 2/28/2020 601-223-538 $2,002,07 FI-11120 REMIT SALES TAX DBC OTHER OPERATING SUPPLIES $41,837.31 275554 12/2112020 XTREME GRAPHIX INC, 12/4/2020 20-1856 $95.09 PKM-PARK SIGNS AG17-050- 275487 12/21/2020 ALPINE PRODUCTS INC, 12/4/2020 TM-199040 $12595 PW-MAINT SUPPLIES 275554 12/2112020 XTREME GRAPHIX INC, 12/16/2020 20-1950 $46.18 PKM-PARK SIGNS AG17-050- 275496 12/21/2020 COMPLETE OFFICE, 12111/2020 2014749-0 $12.50 MO -OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER20PROCARD $233-07 PWST-OPER SUPPLIES 1224209491 12124/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $59,81 PWST-OPER SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $33.00 PWST-DUMPED APPLIANCE 1224209491 12124/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $63.78 PKM-LIGHTS 1224209491 12124/2020 US BANK, 12124/2020 NOVEMBER 20 PROCARD $83,59 PKDBC-DOORBELL 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $21 .69 CD -OFFICE SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER20PROCARD $110,34 CD-OPER SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $749.10 PKM-OPER SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $36,56 SWR-OPER SUPLIES 1224209491 12124/2020 US BANK, 12/2412020 NOVEMBER20PROCARD $-16A7 SWR-REFUND RETURN SUPPLIES Key Bank Page 34 of 61 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $16.47 SWR-HEADPHONES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $6.59 SWR-OPER SUPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $-411;09 SWR-REFUND RETURN SUPPLIES 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $-411.09 SWR-REFUND RETURN SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $582,11 PD-OPER SUPPLIES 1124203793 12/24/2020 US BANK, 12124/2020 NOV 2020 PD VISA $120:92 PD-OPER SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $50.55 PD-OPER SUPPLIES 1124203793 12/24/2020 US BANK, 1212412020 NOV 2020 PD VISA $69.30 PD-OPER SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $92.30 PD-OPER SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $214,90 PD-OPER SUPPLIES 1124203793 12/24/2020 US BANK, 12124/2020 NOV 2020 PD VISA $50.55 PD-OPER SUPPLIES 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $34.00 PD-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $206.99 MO -PACKAGING FEE FOR TIME CAPS 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $6593 MOED-TRASH CANS 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $22,00 FWCC-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $24:20 PARKS-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $52 76 FWCC-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12124/2020 NOV 2020 CITY VISA $27,16 MO -PHOTO PAPER 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $270,00 PARKS -CENTURY STORAGE SVC 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $6,69 PARKS-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $232,98 CC-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $99.67 PARKS-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $224,80 PARKS-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $266,32 PARKS-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $273.50 CC-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $28,50 PARKS-OPER SUPPLIES Key Bank Page 35 of 61 Check No Date Vendor Invoice Date Invoice Description AmountGL Total 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $21.99 FWCC-OFFICE SUPPLIES 1224204759 12/24/2020 US BANK, 12124/2020 NOV 2020 CITY VISA $10.99 FWCC-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $1,722.26 SWR-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $56.38 SWR-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $73,34 PARKS -WALL CALENDARS 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $19.53 PARKS-OPER SUPPLIES 1224204759 12/24/2020 US BANK, 12124/2020 NOV 2020 CITY VISA $45,52 MO -PACKAGING FEE FOR TIME CAPS 275607 12/31/2020 HOME DEPOT-DEPT 32-25007;12/18/2020 5525003 $36,84 IT -REPAIR & MAINT SUPPLIES 275630 12/31/2020 LOWE'S HIW INC, 12/17/2020 02343 $104.49 PWST-MAINT SUPPLIES 275630 12/31/2020 LOWE'S HIW INC, 12/17/2020 09753 $21.79 PWST-MAINT SUPPLIES 275556 12/31/2020 911 SUPPLY INC, 12/15/2020 INV_2_7290 $613.80 PD-OPER SUPPLIES 275565 12/31/2020 ALPINE PRODUCTS INC, 12110/2020 TM-199138 $47.85 PW-MAINT SUPPLIES 275630 12/31/2020 LOWE'S HIW INC, 12/4/2020 01280 $86.08 PWST-MAINT SUPPLIES 275630 12/31/2020 LOWE'S HIW INC, 12/1/2020 01742 $59.65 PWST-MAINT SUPPLIES 275578 12/31/2020 COMPLETE OFFICE, 11/23/2020 2009000-2 $120-34 CD -OFFICE SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $18:65 IT-UNIVERSALAC/DC ADAPTOR 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $-18.65 IT-UNIVERSALAC/DC ADAPTOR 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-5.39 IT-USB 3.0 F-F 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $5,39 IT-USB 3.0 F-F 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-10„,99 IT-USB ADAPTOR 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $10,99 IT-USB ADAPTOR 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-105,59 SWM-SUPPLIES FOR REPAIR EVENT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $105.59 SWM-SUPPLIES FOR REPAIR EVENT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-180,66 PW GARBAGE BAGS/RUBBER GLOVES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $180.66 PW-GARBAGE BAGS/RUBBER GLOVES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $43.98 PW-TABLE LANDSCAPE OFFICE Key Bank Page 36 of 61 Check No. Date Vendor Invoice Date Invoice Description AmcuntGL Total 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $43,98 PW-TABLE LANDSCAPE OFFICE 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $-90.26 PW-OFFICE SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $9026 PW-OFFICE SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $98,86 CD -RETURN GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-98.86 CD -RETURN GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-90A0 CD -GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $90.40 CD -GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-39.06 CD -GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $39,06 CD -GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $142.75 SWM-SUPPLIES FOR REPAIR EVENT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-142.75 SWM-SUPPLIES FOR REPAIR EVENT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $31.92 SWM-ECO-FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-31.92 SWM-ECO-FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 1012612020 NOV 2020 PROCARD $109.99 SWM-SIT/STAND DESK VAN ORSOW 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-109.99 SWIM-SIT/STAND DESK VAN ORSOW 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-87.98 SWM-CANOPY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $87.98 SWM-CANOPY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-50.58 CD -LED TACTICAL FLASHLIGHT 1123209491 12/31/2020 US BANK, 1012612020 NOV 2020 PROCARD $50.58 CD -LED TACTICAL FLASHLIGHT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-81.06 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $81,06 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-28,19 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $2819 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-28.19 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $2819 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $822.18 SWM-VACUUM SEALER Key Bank Page 37 of 61 Check No, - Date Vendor Invoice Date Invoice Descri tion AmountGLTotal 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-822,18 SWM-VACUUM SEALER 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $77.56 S -WARRANT PLAN VACUUM SEALER 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-77,56 SWM-WARRANT PLAN VACUUM SEALER 1123209491 12/31/2020 US BANK, 1012612020 NOV 2020 PROCARD $-81.06 SWM-RETURN WARRANT PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $81,06 SWM-RETURN WARRANT PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $21.99 SWIM-ECO FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-21,99 SWM-ECO FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $21,99 SWM-ECO FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-2499 SWM-ECO FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-3511 PW-WATER 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $35.11 PW-WATER 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-44.75 PW-COVERALLS 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $44,75 PW-COVERALLS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $86,,90 PW-VACUUM 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-86.90 PW-VACUUM 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $87.98 SWM-CANOPY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $18.65 IT-UNIVERSALAC/DC ADAPTOR 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $10.99 IT-USB ADAPTOR 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $5.39 IT-USB 3.0 F-F 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $142,75 SWIM -SUPPLIES FOR REPAIR EVENT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $31,92 SWM-ECO-FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $105.59 SWM-SUPPLIES FOR REPAIR EVENT 1123209491 12/31/2020 US BANK, 1012612020 NOV 2020 PROCARD $-81.06 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-28.19 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-28 19 SWM-RETURN WARRANTY PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $822A8 SWM-VACUUM SEALER Key Bank Page 38 of 61 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $77.56 SWM-WARRANT PLAN VACUUM SEALER 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $-81.06 SWM-RETURN WARRANT PLAN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $21.99 SWM-ECO FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $21.99 SWM-ECO FRIENDLY GIVEAWAY 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $50.58 CD -LED TACTICAL FLASHLIGHT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-98.86 CD -RETURN GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $90,40 CD -GRAFFITI SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $39.06 CD -GRAFFITI SUPPLIES 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ROGER FREEMAN 20/21 275894 1/15/2021 FIKRE NEGA, 1/12/2021 01/12/21 $250,00 CDHS-REP. ROGER FREEMAN 20/21 275903 1/15/2021 SANCHEZ,AVA MARLENA 1/12/2021 01/12/21 $250.00 CDHS-REP. ROGER FREEMAN 20/21 275907 1/15/2021 TRAN, TIFFANY 1/12/2021 01/12/21 $250.00 CDHS-REP. ROGER FREEMAN 20121 275897 1/15/2021 LARIS, PAULINA 1/12/2021 01/12/21 $250.00 CDHS-REP. ROGER FREEMAN 20/21 275745 1/15/2021 FEDERAL WAY COMMUNITY, 1/11/2021 2020 4TH QTR $5,250 00 CD/CS-AG19-041 RENT ASST & EMR 275862 1/15/2021 TRANSPO GROUP USA INC, 1/6/2021 25761 $10,779.15 PW-AG19-168 VARIABLE LANE USE 275776 1/15/2021 KENT YOUTH & FAMILY SERVI1/6/2021 2020 4TH QTR-2 $1,750.00 CD/CS-AG19-047 WATSON MANOR TR 275885 1/15/2021 WSP USA INC, 1/7/2021 1022642 $951.20 PW-AG20-060 ON -CALL CONST INSP 275759 1/15/2021 HAWKINS & CRAWFORD. PLL(1/712021 20210107 $49,075,94 MO-AG19-109 12/20 PUBLIC DEFEN 275730 1/15/2021 COMMUNITIES IN SCHOOLS, 1/6/2021 2020 4TH Q $2,250.00 CDHS-AG19-102 SCH OUTREACH COO 275730 1/15/2021 COMMUNITIES IN SCHOOLS, 1/6/2021 2020 4TH QTR $2,250.00 CDHS-AG19-101 MENTORING PGM- 275856 1/15/2021 THE WASHINGTON POISON C1/6/2021 2020 4TH QTR $1,250,00 CD/CS-AG19-056 EMERGENCY SERVI 275776 1/15/2021 KENT YOUTH & FAMILY SERVII/612021 2020 4TH QTR $2,000,00 CD/CS-AG19-049 BEHAVIORAL HEAL 275717 1/15/2021 CATHOLIC COMMUNITY SERVI/6/2021 2020 4TH QTR $2,750,00 CD/CS-AG19-062 VOLUNTEER CHORE 275736 1/15/2021 DKSASSOCIATES, 1/5/2021 0075959 $122.25 PW-AG19-216 HORIZONTAL CURVE W Key Bank Page 45 of 61 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275743 1/15/2021 FEDERAL WAY BOYS & GIRLS1/5/2021 10/01120 - 12/31120 $8,652,00 CDHS-AG20-082 EXPANDED LEARNIN 275717 1115/2021 CATHOLIC COMMUNITY SERV114/2021 2020 1ST QTR/4TH QTR $1,885,80 CDHS-AG19-075 EMERGENCYASSIST 275753 1/15/2021 GOLDEN WOOD, LLP, 1/4/2021 15-168 $4,915.00 MO -CONFLICT DEFENDER SVC AG-20 275768 1/15/2021 INSTITUTE FOR FAMILY, 1/4/2021 2020 3RD/4TH QTR $8,000,00 CDHS-AG19-074 PARENTS & CHI LDR 275732 1/15/2021 CONSEJO COUNSELING &, 1/4/2021 2020 4TH QTR $2,498,50 CDHS-AG1 9-100 DOM VIOL ADVOCAC 275767 1/15/2021 HOSPITALITY HOUSE, 1/4/2021 2020 4TH QTR $2,500_00 CDHS-AG19-246 HOSPITALITY HODS 275887 1/15/2021 YWCA SEATTLE- KING COUN11/4/2021 2020 4TH QTR $1,250.00 CDHS-AG19-083 DOMESTIC VIOLENC 275887 1/15/2021 YWCA SEATTLE- KING COUN11/4/2021 2020 4TH QTR-2 $1,250.00 CDHS-AG19-082 C DOMESTIC VIOLS 275791 1115/2021 MARY'S PLACE SEATTLE, 1/512021 2020 4TH QTR $4,250,00 CDHS-AG19-064A PLACE TO CALL 275852 1/15/2021 ST VINCENT DE PAUL SOCIE11/5/2021 2020 4TH QTR $6,000.00 CD/CS-AG19-060 EMERGENCY HUMAN 275867 1/15/2021 VALLEY CITIES COUNSELING,1/5/2021 2020 4TH QTR $6,666,00 CD/CS-AG19-046 MENTAL HEALTH C 275743 1/15/2021 FEDERAL WAY BOYS & GIRLSI/512021 2020 4TH QTR $1,500.00 CDHS-AG19-118 4TH QTR 2020 275831 1/15/2021 PUGET SOUND TRAINING CEI1/5/2021 2020 4TH QTR $1,50000 CD/CS-AG1 9-057 SELF-SUF ADULT 275833 1115/2021 REFUGEE WOMEN'S ALLIANC1/5/2021 2020 4TH QTR $1 ,664,09 CDHS-AG19-242 BASIC NEEDS PGM- 275828 1/15/2021 PUBLIC HEALTH - SEATTLE AM15/2021 2020 4TH QTR $2,000,00 CDHS-AG19-076 SKC MOBILE MEDIC 275839 1115/2021 SCHMITT GRAPHICS AND DEc12/30/2020 3300 $1,727.00 PARKS -UTILITY BOX WRAP 275802 1/15/2021 NAVIA BENEFIT SOLUTIONS, 12/31/2020 10319752 $272.20 HR-12/20 FLEX PLAN ADM SVCS 275769 1/1512021 INTERCOM LANGUAGE SVCS12/31/2020 20-652 $763,25 MC -INTERPRETER SVC 275797 1/15/2021 MULTI -SERVICE CENTER, 12/31/2020 2020 1Q, 2Q, 3Q $31,436.00 CDHS-AG20-973 RENT& EMER ASSI 275811 1/1512021 ORION INDUSTRIES, 12/31/2020 2020 4TH QTR $4,937.50 CDHS-AG20-894 EMPLOYMENT SVC- 275798 1/15/2021 MULTI -SERVICE CENTER, 12/31/2020 2020 4TH QTR $7,500.00 CD/CS-AG19-058 FOOD & CLOTHING 275846 1/15/2021 SOUND, 12/31/2020 2020 4TH QTR $2,250,00 CDHS-AG19-229 PATH PROJECT- 275798 1/15/2021 MULTI -SERVICE CENTER, 12/31/2020 2020 4TH QTR #2 $1.258„63 CDHS-AG20-973 RENT & EMER ASSI 275798 1/1512021 MULTI -SERVICE CENTER, 12/31/2020 2020 4TH QTR-2 $1,988,85 CD/CS-AG19-059 INFANT FEEDING 275738 1/15/2021 EL CENTRO DE LA RAZA, 12/31/2020 2020 Q3 & Q4 $50.00 CDHS-AG20-884 AFTER SCHOOL & S 275858 1/15/2021 THUILLIER, JENNIFER 12/31/2020 202077 $732,00 SWR-ADVERTISING Key Bank Page 46 of 61 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275811 1/15/2021 ORION INDUSTRIES, 12/31/2020 2020 1ST QTR $2500_00 CDHS-AG20-894 EMPLOYMENT SVC- 275811 1115/2021 ORION INDUSTRIES, 12131/2020 2020 2ND QTR $768.75 CDHS-AG20-894 EMPLOYMENT SVC- 275798 1/15/2021 MULTI -SERVICE CENTER, 12/31/2020 2020 2ND QTR $2,158.46 CDHS-AG20-972 YOUTH EMP & EDU 275798 1/15/2021 MULTI -SERVICE CENTER, 12/31/2020 2020 3RD QTR $4,020.39 CDHS-AG20-972 YOUTH EMP & EDU 275811 1/15/2021 ORION INDUSTRIES, 1213112020 2020 3RD QTR $1 ,793.75 CDHS-AG20-894 EMPLOYMENT SVC- 275798 1/15/2021 MULTI -SERVICE CENTER, 12/31/2020 2020 4TH Q $3,241,07 CDHS-AG20-972 YOUTH EMP & EDU 275847 1/15/2021 SOUND GENERATIONS, 12/31/2020 2020 4TH QTR $2,250,00 CDHS-AG19-061 VOLUNTEER TRANSP 275706 1115/2021 AMERICAN TRAFFIC SOLUTIC12/3112020 INV0003345 $28,500,00 PD-12120 RED LIGHT PHOTO AG#15 275845 1/15/2021 SOMALI YOUTH & FAMILY CLL1/1/2021 2020 4TH QTR $1,050.00 CDHS-AG19-207 SYFC SUPPORT PGM 275751 1/15/2021 GERARDO CORBY PENA CHN12/31/2020 NOV-DEC 2020 $800,00 PARKS -TRAFFIC GS ARTWORK 275718 1/15/2021 CENTERSTAGE THEATRE AR112/3112020 OCT 15-25, 2020 $4,166,67 PARKS-AG20-078 THEATRE PRODUCT 275746 1/15/2021 FEDERAL WAY SYMPHONY 011 213112020 OCT 28-19, 2020 $6,250,00 PARKS-AG20-051 CONCERT SERIES- 275711 1/15/2021 BIRTH TO THREE DEVELOPM11/3/2021 2020 4TH QTR $4,750, 00 CDHS-AG19-129 FAMILY SVC PGM- 275827 1/15/2021 PROTECT YOUTH SPORTS, 12/31/2020 835682 $30.00 HR-BACKGROUND CHECKS 275718 1/15/2021 CENTERSTAGE THEATRE AR112/31/2020 DEC 11-28,2020 $4,166.66 PARKS-AG20-078 THEATRE PRODUCT 275795 1/15/2021 MOTHER AFRICA, 1/4/2020 2020 4TH QTR $1,250,00 CD/CS-AG1 9-051 SUSTAINABLE ALL 275722 1/15/2021 CITY OF AUBURN, 2/6/2020 20-034326 $13,000,00 CC-AG19-019 SK HOUSING & HOMEL 275717 1/15/2021 CATHOLIC COMMUNITY SER\110/15/2020 2020 3RD QTR $2,820,00 CDHS-AG1 9-075 EMERGENCY ASSIST 275733 1/15/2021 CORRECTIONS SOFTWARE, c1111/2020 49006 $500.00 MC-12120 PROBATION COMPUTER BY 275880 1115/2021 WESLEY DUNCAN LLC, WESL11/22/2020 11222020 $5,000m MOED-WEBSITE DVM 275858 1/15/2021 THUILLIER, JENNIFER 10/30/2020 202068 $200,00 SWR-ADVERTISING 275722 1/15/2021 CITY OF AUBURN, 12111/2020 20-035319 $13,000.00 CC-AG19-019 SK HOUSING & HOMEL 275772 1/1512021 JIMENEZ PRODUCTIONS, DAV12/1012020 12/10120 $27000 IT-AG20-860 VIDEO PRODUCTION S 275814 1/15/2021 PEDIATRIC INTERIM CARE CE12/5/2020 2020 4TH QTR $1 ,600, 00 CDHS-AG20-928 INFANT WITHDRAWA 275841 1/15/2021 SEMISI-TUPOU, VAIVAO 12/16/2020 12/16/2020 $121.00 MC -INTERPRETER SERVICES 275841 1/1512021 SEMISI-TUPOU, VAIVAO 12/2/2020 12102/2020 $160,00 MC -INTERPRETER SERVICES Key Bank Page 47 of 61 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 275841 1/15/2021 SEMISI-TUPOU, VAIVAO 11/24/2020 11/24/2020 $181,,50 MC -INTERPRETER SERVICES 275761 1/15/2021 HELX DESIGN GROUP INC, 11/30/2020 0000001 $3,460.00 PW-AG20-925 OPT & MAINT FACILI 275782 1/15/2021 KVASNYUK, NIKOLAY 12/1/2020 12/01/20 $121,00 MC -INTERPRETER SVC 275841 1/15/2021 SEMISI-TUPOU, VAIVAO 12/1/2020 12/01/2020 $181,50 MC -INTERPRETER SERVICES 275769 1/15/2021 INTERCOM LANGUAGE SVCS12/23/2020 20-647 $1,860.00 MC -INTERPRETER SVC 275784 1/15/2021 LAKEHAVEN UTILITY DISTRIC'12/16/2020 2322804 $27,18 PAEC-11/20 31510 20 AVE S, IRR 275793 1/15/2021 MILLER, NASH, GRAHAM & DL12/1812020 2152300 $565,50 LAW -AG 18-075 CONDEMNATION LE 275744 1/15/2021 FEDERAL WAY CHORALE, 12/19/2020 12/19/2020 $4,500,00 PARKS-AG20-045 CONCERT SERIES- 275834 1/15/2021 SAFAROVA-DOWNEY, ALMIRA12/29/2020 12/29/20 $121.00 MC -INTERPRETER SVC 275772 1/15/2021 JIMENEZ PRODUCTIONS, DAV12/29/2020 12/29/20 $720,00 CD-AG20-860 2020/2021 MILK COMM 275841 1/15/2021 SEMISI-TUPOU, VAIVAO 12/29/2020 12/29/2020 $151.25 MC -INTERPRETER SERVICES 275841 1/15/2021 SEMISI-TUPOU, VAIVAO 12/29/2020 12/29/2020-2 $151.25 MC -INTERPRETER SERVICES 275841 1/15/2021 SEMISI-TUPOU, VAIVAO 12/28/2020 12/28/2020 $181.50 MC -INTERPRETER SERVICES PUBLIC WORKS - INSPECTION DEPOE $7,114.00 275587 12/31/2020 DONOVAN BROTHERS INC, 12/16/2020 14-101672 $7,114.00 PW-REFUND INSPECTION FEE 14-1 PURCHASE OF RESALE ITEMS $91.49 1224204759 12/24/2020 US BANK, 12/24/2020 NOV 2020 CITY VISA $91 49 FWCC-RESALE SUPPLIES P - CLAIMS GUPL $5,320.42 275503 12/21/2020 FLOYD, PFLUEGER & RINGER1213/2020 61705 $2,131,42 LAW -LEGAL SVCS AG13-033- 275503 12/21/2020 FLOYD, PFLUEGER & RINGER1213/2020 61706 $2,862,00 LAW -LEGAL SVCS AG13-033- 275503 12/21/2020 FLOYD, PFLUEGER & RINGER12/312020 61707 $327.00 LAW -LEGAL SVCS AG13-033- PW - CLAIMS PROPERTY $12,550.90 275511 12/21/2020 KING COUNTY FINANCE DIVIE11/30/2020 109163-109169 $12,550.90 LAW-RSD F 109163-109169 RENTAL OF FUITUREIEQUIP ENT $12,080.79 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $130,99 SWM-EQUIP RENTAL SVC 275632 12/31/2020 MACHINERY POWER & EQUIP11/13/2020 7285300 $4,525.40 SWM-EQUIPMENT RENTAL 275605 12/31/2020 HEAD -QUARTERS PTS, 10/31/2020 36643 $3,299,00 PARKS-AG18-017 SANICAN SERVICE 275684 12/31/2020 UNITED RENTALS (NORTH AM12/812020 188797788-001 $26.40 SWM-EQUIP RENTAL Key Bank Page 48 of 61 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 275605 12/3112020 HEAD -QUARTERS PTS, 9/30/2020 36489 $800.00 PARKS-AG18-017 SANICAN SERVICE 275760 111512021 HEAD -QUARTERS PTS, 12/31/2020 36932 $3,299.00 PARKS-AG18-017 SANICAN SERVICE REPAIR & MAINT SUPPLIES $13,268.67 275531 12/2112020 O'REILLYAUTO PARTS, 12/17/2020 3710-432717 $8.78 PKM-MAINT PARTS 275545 12/21/2020 TRINITYACE HARDWARE, 12114/2020 149380 $54-93 PKM-SUPPLIES 275545 12/2112020 TRINITY ACE HARDWARE, 12/14/2020 149391 $13,18 PKM-SUPPLIES 275545 12/21/2020 TRINITY ACE HARDWARE, 12/1412020 149467 $7.92 PKM-SUPPLIES 275518 1212112020 LOWE'S HIW INC, 12/16/2020 09567 $9,15 CHB-MAINT SUPPLIES 1224209491 12/24/2020 US BANK, 12/2412020 NOVEMBER 20 PROCARD $14,29 PKM-MAINT SUPPLIES 1224209491 1212412020 US BANK, 12/2412020 NOVEMBER 20 PROCARD $33,53 PKM-MAINT SUPPLIES 1224209491 12/24/2020 US BANK, 12124/2020 NOVEMBER20PROCARD $47,86 PKM-MAINT SUPPLIES 275607 12/31/2020 HOME DEPOT-DEPT 32-25007;1218/2020 5615606 $38,48 SWM-MAINT SUPPLIES 275607 12/3112020 HOME DEPOT-DEPT 32-25007;12/10/2020 3620732 $326,63 SWM-MAINT SUPPLIES 275682 12/31/2020 TRINITYACE HARDWARE, 12/10/2020 148602 $21.95 SWM-SUPPLIES 275630 12/31/2020 LOWE'S H IW INC, 12/9/2020 01747 $13,55 PWST-MAINT SUPPLIES 275603 12/31/2020 GRAINGER INC, 12/7/2020 9739034040 $78,58 FLT-FACILITY MAINT SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $18353 SWM-RAGS/CRACKER FILILLER 275682 12/31/2020 TRINITY ACE HARDWARE, 12/18/2020 149997 $3516 PKM-SUPPLIES 275658 1213112020 PRAXAIR DISTRIBUTION INC, 12/17/2020 60711090 $41.47 FLT-MAINT SUPPLIES 275603 12/31/2020 GRAINGER INC, 12118/2020 9752285982 $15,38 FLT-FACILITY MAINT SUPPLIES 1123209491 12131/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $183,53 SWM-RAGS/CRACKER FILILLER 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-183,53 SWM-RAGS/CRACKER FILLLER 1123209491 12131/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $198,30 PKM-PLAYGROUND PARTS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-198.30 PKM-PLAYGROUND PARTS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $378.48 PWFLT-BATTERY CHARGER 1123209491 12131/2020 US BANK, 10/2612020 NOV 2020 PROCARD $-378-48 PWFLT-BATTERY CHARGER Key Bank Page 49 of 61 Check No, Date Vendor Invoice Date Invoice Descri tion AmountGL Total 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $110.52 PWFLT-BATTERY DRILL/BIT KIT 1123209491 12/31/2020 US BANK, 1012612020 NOV 2020 PROCARD $-110.52 PWFLT-BATTERY DRILL/BIT KIT 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-657.53 PW-ELECTRIC CORDS/GAS TANK 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $657,53 PW-ELECTRIC CORDS/GAS TANK 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $198.30 PKM-PLAYGROUND PARTS 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $657.53 PW-ELECTRIC CORDS/GAS TANK 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $378.48 PWFLT-BATTERY CHARGER 1123209491- 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $110,52 PWFLT-BATTERY DRILL/BIT KIT 275824 1/15/2021 PRAXAIR DISTRIBUTION INC, 11/22/2020 60230252 $65,41 FLT-MAINT SUPPLIES 275766 1/15/2021 HOME DEPOT-DEPT 32-25007;12/15/2020 8031390 $32.87 PKM-REPAIR & MAINT SUPPLIES 275809 1/15/2021 ORCA PACIFIC INC, 12116/2020 44354 $1,715,53 PARKS -POOL CHEMICALS AG17-002 275881 1/15/2021 WESTERN EQUIPMENT DISTP12/16/2020 8061590-00 $5,714.46 PKM-MAINT SUPPLIES 275749 1/15/2021 FLOYD EQUIPMENT COMPAN'12/2312020 461168 $44,44 CHB-REPAIR/MAINT SUPPLIES 275822 1/15/2021 PLATT ELECTRIC SUPPLY, 12/24/2020 1D30471 $82.43 CHB-ELECTRICAL SUPPLIES 275864 1/15/2021 TRINITYACE HARDWARE, 12/23/2020 150768 $69.39 PKM-SUPPLIES 275864 1/15/2021 TRINITYACE HARDWARE, 12/22/2020 150609 $16.04 PKM-SUPPLIES 275824 1/15/2021 PRAXAIR DISTRIBUTION INC, 12/22/2020 60770443 $79,97 FLT-MAINT SUPPLIES 275787 1/15/2021 LOWE'S HIW INC, 12/22/2020 02055 $13,57 PKM-MAINT SUPPLIES 275787 1/15/2021 LOWE'S HIW INC, 12/21/2020 23937 $26,11 PKM-MAINT SUPPLIES 275699 1/15/2021 AARO INC DBATHE LOCKSH(12/29/2020 0000031374 $19A7 PWST-DUPLICATE KEYS 275787 1/15/2021 LOWE'S HIW INC, 12/29/2020 01200 $49.83 PKM-MAINT SUPPLIES 275810 1/15/2021 O'REILLYAUTO PARTS, 12/29/2020 3710-434480 $8,68 PKM-MAINT PARTS 275864 1/15/2021 TRINITY ACE HARDWARE, 12/29/2020 151569 $22,53 SWM-SUPPLIES 275864 1/15/2021 TRINITY ACE HARDWARE, 12/29/2020 151575 $10.98 PKM-SUPPLIES 275824 1/15/2021 PRAXAIR DISTRIBUTION INC, 2/22/2020 95008403 $32.04 FLT-MAINT SUPPLIES 275824 1/15/2021 PRAXAIR DISTRIBUTION INC, 3/22/2020 95612805 $30 78 FLT-MAINT SUPPLIES Key Bank Page 50 of 61 Check No, Date Vendor Invoice Date Invoice Description ArnountGl-Total 275824 1115/2021 PRAXAIR DISTRIBUTION INC, 4/2212020 96167411 $32.04 FLT-MAINT SUPPLIES 275824 1/15/2021 PRAXAIR DISTRIBUTION INC, 6122/2020 97274298 $32,04 FLT-MAINT SUPPLIES 275787 1/15/2021 LOWE'S HIW INC, 9/2312020 01322 $13.46 PKM-MAINT SUPPLIES 275787 1115/2021 LOWE'S HIW INC, 10/1512020 01267 $1 ,383,90 SWM-MAINT SUPPLIES 275787 1/15/2021 LOWE'S HIW INC, 8/27/2020 19148 $9.21 PKM-MAINT SUPPLIES 275787 1/15/2021 LOWE'S HIW INC, 8/3112020 01550 $69,94 PKM-MAINT SUPPLIES 275702 1/1512021 AGRISHOP INC, 10/15/2020 6255511 $215,62 PWST-EQUIPMENT PARTS & REPAIRS 275869 1/15/2021 VERMEER NORTHWEST SALE10/1612020 S72559 $285.69 PKM-MAINT SUPPLIES 275824 1/1512021 PRAXAIR DISTRIBUTION INC, 10/22/2020 99630482 $32,37 FLT-MAINT SUPPLIES 275864 1/15/2021 TRINITYACE HARDWARE, 12/30/2020 151664 $24581 SWM-SUPPLIES 275787 1/15/2021 LOWE'S HIW INC, 1213012020 23602 $3447 CHB-MAINT SUPPLIES 275787 111512021 LOWE'S HIW INC, 12130/2020 23606 $31.34 CHB-MAINT SUPPLIES 275766 1/15/2021 HOME DEPOT-DEPT 32-2500712/3012020 3032458 $358.63 SWM-REPAIR & MAINT SUPPLIES 275787 1/15/2021 LOWE'S HIW INC, 12/31/2020 01467 $104,46 SWM-MAINT SUPPLIES 275818 1/15/2021 PETTY CASH - Fl, 1112/2021 033191 $16,06 PKM-CEMENT 275818 1115/2021 PETTY CASH - Fl, 1112/2021 033191 $9,64 PKM-REPAIR SUPPLIES 275908 1/15/2021 TRINITY ACE HARDWARE, 1/7/2021 152761 $55.12 PKM-SUPPLIES 275898 1/15/2021 LOWE'S HIW INC, 1/7/2021 23019 $1514 CHB-MAINT SUPPLIES REPAIR PARTS $1,778,57 1124203793 12/24/2020 US BANK, 1212412020 NOV 2020 PD VISA $434,60 PD-VEHICLE PARTS 275649 1213112020 NORSTAR INDUSTRIES INC, 12/21/2020 58700 $220,69 FLT-MAINT SUPPLIES 275649 12/31/2020 NORSTAR INDUSTRIES INC, 12/21/2020 58701 $2830 FLT-MAINT SUPPLIES 275563 12/3112020 AGRISHOP INC, 12/21/2020 63142/1 $17.52 FLT-EQUIPMENT PARTS & REPAIRS 275562 12131/2020 ADVANCE AUTO PARTS, 12/1612020 13144-415107 $10m FLT-VEHICLE MAINT PARTS 275562 12/31/2020 ADVANCE AUTO PARTS, 12/16/2020 13144-415108 $59,82 FLT-VEHICLE MAINT PARTS 275562 12/31/2020 ADVANCE AUTO PARTS, 12/3/2020 13144-413695 $-24,20 FLT-REDUND RETURN SUPPLIES Key Bank Page 51 of 61 Check No, Date Vendor Invoice Date Invoice Description AmountGL Total 1123209491 12/31/2020 US BANK, 1012612020 NOV 2020 PROCARD $5,29 PWF LT-H OS E 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCA(D $-5.29 PL^tF LT-H OS E 275678 12/31/2020 TACOMA SCREW PRODUCTS 9/2/2020 30130134 $4,43 PKM-MAINT SUPPLIES 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCAGRD $5.29 P101FLT-HOSE 275843 1/15/2021 SIX ROBBLEES` INC, 12/16/2020 2-746682-1 $65518 FLT-VEHICLE MAINT 275800 1/15/2021 NAPA AUTO PARTS, 12/22/2020 045519 $980 FLT-REPAIR & MAINT 275701 1/15/2021 ADVANCE AUTO PARTS, 12/22/2020 13144-415697 $312,53 FLT-VEHICLE MAINT PA 275843 1/15/2021 SIX ROBBLEES' INC, 11/17/2020 2-745320 $44,52 FLT-VEHICLE MAINT REPAIRS AND MAINTENANCE $131,534.96 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12120/2020 1-41267 $42„30 FLT-VEHICLE MAINT 275551 12/21/2020 WASHDUP, LLC, 11/30/2502 408 $134.41 PD'-11/20 CAR WASH SERVICES 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2)8/2020 292148 $69.70 Sales Tax 275525 12/21/2020 NAPAAUTO PARTS, 12M0/2020 045178 $58,94 FLT-REPAIR & MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12f10/2020 1-41219 $120.99 FLT-VEHICLE MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12M1/2020 1-41205 $3,052.03 FLT-VEHICLE MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12112/2020 1-41259 $46.15 FLT-VEHICLE MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12(12/2020 1-41262 $42,30 FLT-VEHICLE MAINT 275500 12/21/2020 EAGLETIRE&AUTOMOTIVE(1211212020 1-41264 $42,30 FLT-VEHICLE MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12112/2020 1-41265 $1,006.71 FLIT -VEHICLE MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (1211212020 1-41269 $46,15 FLT-VEHICLE MAINT 275491 12/21/2020 BELLINGHAM LOCK & SAFE IM2,1812020 292148 $649.00 IT-AVIGILON 4.0C-H5A-D1 CAMERA 275491 12/21/2020 BELLINGHAM LOCK & SAFE II`1218/2020 292148 $28.00 IT-AVIGILON H4A-DD-CLER1 CAMER 275491 12/21/2020 BELLINGHAM LOCK & SAFE IN1218/2020 292148 $20,00 Freight 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12!5/2020 1-41159 $46,68 FLT-VEHICLE MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (1213/2020 1-41143 $2,087.,48 FLT-VEHICLE MAINT 275500 12/21/2020 EAGLE TIRE & AUTOMOTIVE (12(3/2020 1-41154 $46,15 FLT-VEHICLE MAINT Key Bank Page 52 of 61 Check No., Date Vendor Invoice Date Invoice Descri tion AmountGL Total 275547 12/21/2020 UNIVERSAL REFRIGERATION 11120/2020 S104152 $231,00 PD-AG18-054 WALK-IN FREEZER MA 275524 12/21/2020 MV TOWNG LLC, 10/28/2020 21143 $77,00 PD-VEHICLE TOW 1124203793 12/24/2020 US BANK, 12/24/2020 NOV 2020 PD VISA $1,611A5 PD-VEHICLE MAINT 1124203793 12/24/2020 US BANK, 12124/2020 NOV 2020 PD VISA $1,703,68 PD-VEHICLE MAINT 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEBER 20 PROCARD $12.00 FLT-MAINT SVC 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $214,00 FLT-DETAIL TRUCK482541 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $418,00 PWST-BLOWER REPAIR SVC 275654 12/31/2020 PETERSEN BROTHERS INC, 12/3/2020 101148895195 $682,28 PWST-AG#18-079 ON -CALL GUARD R 275679 12/31/2020 TONY LIND PAVING LLC, 12/4/2020 20102202RET $785,59 PWTR-AG20-080 2020-2021 NEIGHB 275630 12/31/2020 LOWE'S HIW INC, 12/4/2020 01154 $135.74 PWST-MAINT SUPPLIES 275589 12/31/2020 EAGLE TIRE & AUTOMOTIVE (12/8/2020 1-41199 $1,410.48 PD-VEHICLE MAINT 275589 12/31/2020 EAGLE TIRE &AUTOMOTIVE (12/8/2020 1-41213 $1,685.59 PD-VEHICLE MAINT 275589 12/31/2020 EAGLE TIRE & AUTOMOTIVE (12/9/2020 1-41212 $1.211,68 PD-VEHICLE MAINT 275589 12/31/2020 EAGLE TIRE &AUTOMOTIVE (12/9/2020 1-41214 $724.34 PD-VEHICLE MAINT 275589 12/31/2020 EAGLE TIRE & AUTOMOTIVE (12/512020 1-41165 $751,34 FLT-VEHICLE MAINT 275676 12/31/2020 SYSTEMS FOR PUBLIC SAFE112/7/2020 37649 $569.13 PD-VEHICLE REPAIR SVC 275676 12/31/2020 SYSTEMS FOR PUBLIC SAFE112/712020 38043 $345.61 PD-VEHICLE REPAIR SVC 275676 12/31/2020 SYSTEMS FOR PUBLIC SAFE1121712020 38103 $345,61 PD-VEHICLE REPAIR SVC 275676 12/31/2020 SYSTEMS FOR PUBLIC SAFE112/7/2020 38124 $344,46 PD-VEHICLE REPAIR SVC 275676 12/31/2020 SYSTEMS FOR PUBLIC SAFE112/9/2020 38858 $812A7 PD-VEHICLE REPAIR SVC 275656 12/31/2020 PIRTEK KENT, 12/10/2020 KE-T00002109 $453,55 FLT-VEHICLE MAINT 275589 12/31/2020 EAGLE TIRE &AUTOMOTIVE (12/1412020 1-41276 $46,15 FLT-VEHICLE MAINT 275657 12/31/2020 PLATT ELECTRIC SUPPLY, 12/9/2020 IC03995 $23.76 CHB-ELECTRICAL SUPPLIES 275631 12/31/2020 MACDONALD MILLER SERVICI2/9/2020 SVC194900 $658.90 CHB/FWCC-AG19-042 HVAC SVC-- 275589 12/31/2020 EAGLETIRE &AUTOMOTIVE (12/10/2020 1-41221 $2,096-58 PD-VEHICLE MAINT 275558 12/31/2020 ACCO ENGINEERED SYSTEM:10/27/2020 20035535-2 $15,180.00 PKM-MERV 13 FILTERS UPGRADE Key Bank Page 53 of 61 Check No Date Vendor Invoice Date Invoice - Description AmountGLTotal 275617 12/31/2020 KING COUNTY FINANCE DIVIEI0/31/2020 108543-108558 $293.79 PW-RSD F 108543-108558 275559 12/31/2020 ACTION SERVICES CORPORA10/31/2020 106910 $5,235.30 SWM-AG19-002, ST SWEEPING- 275660 12/31/2020 PUGET SOUND ENERGY INC, 11/13/2020 400002784405 $260,00 PWST-11/20 TEMPORARY SERVICE 275680 12/31/2020 TOTAL LANDSCAPE CORPORA1/30/2020 80217 $1,267.20 PKDBC-AG19-224 LANDSCAPE MAINT 275559 12/31/2020 ACTION SERVICES CORPORA12/2/2020 107354 $1,470,00 SWM-AG20-056 2020/2021 SWM VAC 275559 12/31/2020 ACTION SERVICES CORPORA12/112020 107356 $1,71225 SWM-AG20-056 2020/2021 SWM VAC 275571 12/31/2020 ARC DOCUMENT SOLUTIONS11/23/2020 2387445 $109,72 IT-11/20 MPS PLOTTER WORK ORDE 275559 12/31/2020 ACTION SERVICES CORPORA1113012020 107352 $1,550,85 SWM-AG20-056 2020/2021 SWM VAC 275589 12/31/2020 EAGLE TIRE &AUTOMOTIVE (12/11/2020 1-41236 $909,84 PD-VEHICLE MAINT 275656 12/31/2020 PIRTEK KENT, 12/14/2020 KE-T00002127 $316.66 FLT-VEHICLE MAINT 275582 12/31/2020 CUMMINS NORTHWEST, 12/17/2020 01-94965 $686.62 PARKS -GENERATOR MAINT AG15-16 275589 12/31/2020 EAGLE TIRE &AUTOMOTIVE (12117/2020 1-41292 $38,45 FLT-VEHICLE MAINT 275589 12/31/2020 EAGLE TIRE & AUTOMOTIVE (12/17/2020 1-41304 $902.78 FLT-VEHICLE MAINT 275647 12/31/2020 NIEMEN GLASS COMPANY, 12/17/2020 21303 $13830 CHB-GLASSES 275590 12/31/2020 EMERALD CITY FENCE RENT/12/21/2020 9450 $423,50 PKM-FENCE RENTAL 275607 12/31/2020 HOME DEPOT-DEPT 32-25007a12/17/2020 6524849 $137.40 PKDBC-MAINT SUPPLIES 275695 12/31/2020 WHIRLWIND SERVICES INC, V'12/18/2020 695322 $30.80 PARKS-AG1B-003 PARKING LOT VAC 275695 12/31/2020 WHIRLWIND SERVICES INC, V'12/18/2020 695323 $20.90 PARKS-AG18-003 PARKING LOT VAC 275695 12/31/2020 WHIRLWIND SERVICES INC, V12/18/2020 695324 $53,90 PARKS-AG18-003 PARKING LOT VAC 275695 12/31/2020 WHIRLWIND SERVICES INC, V'12/18/2020 695327 $326.70 PARKS-AG18-003 PARKING LOT VAC 275695 12/31/2020 WHIRLWIND SERVICES INC, V'1211812020 695329 $93.50 PARKS-AG18-003 PARKING LOT VAC 275695 12/31/2020 WHIRLWIND SERVICES INC, V1211812020 695330 $47.30 PARKS-AG18-003 PARKING LOT VAC 275695 12/31/2020 WHIRLWIND SERVICES INC, V'12/18/2020 695331 $40,70 PARKS-AG18-003 PARKING LOT VAC 275695 12/31/2020 WHIRLWIND SERVICES INC, V'12/18/2020 695332 $64.90 PARKS-AG18-003 PARKING LOT VAC 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $64,00 PWFLT-TITLE & LICENSE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-64,00 PWFLT-TITLE & LICENSE Key Bank Page 54 of 61 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $63.50 PWFLT-=TITLE & LICENSE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-63.50 PWFLT-=TITLE & LICENSE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $64.00 PWFLT-TITLE & LICENSE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-64.00 PWFLT-TITLE & LICENSE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $7.50 PWFLT-POSTAGE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-7.50 PWFLT-POSTAGE 275559 12/31/2020 ACTION SERVICES CORPORP9/30/2020 106660 $12,347,46 SWM-AG19-002, ST SWEEPING- 275590 12/31/2020 EMERALD CITY FENCE RENT/8/21/2020 9531 $917.40 PKM-FENCE RENTAL 275590 12/31/2020 EMERALD CITY FENCE RENT/6112/2020 10146 $220,00 PKM-FENCE RENTAL 275676 12/31/2020 SYSTEMS FOR PUBLIC SAFE110113/2020 38195 $1,56142 PD-VEHICLE REPAIR SVC 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $7.50 PWFLT-POSTAGE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $64.00 PWFLT-TITLE & LICENSE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $63„50 PWFLT-=TITLE & LICENSE 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $64.00 PWFLT-TITLE & LICENSE 275866 1/15/2021 UTILITIES UNDERGROUND, 11/30/2020 0110147 $366.36 SWM-LOCATING SVC AG13-018- 275700 1/15/2021 ACTION SERVICES CORPORA11130/2020 107202 $17,582,76 SWM-AG19-002, ST SWEEPING- 275837 1/15/2021 SCARFF FORD, 12/9/2020 33762 $43445 PD-VEHICLE MAINT SVC 275715 1/15/2021 CAR WASH ENTERPRISES, 12/15/2020 NOVEMBER 2020 $192,00 PD-OCTOBER 2020 VEHICLE WASHES 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12115/2020 1-41279 $2,899,62 PD-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE &AUTOMOTIVE (12/15/2020 1-41289 $402.77 PD-VEHICLE MAINT 275837 1/15/2021 SCARFF FORD, 12/15/2020 34128 $563„41 PD-VEHICLE MAINT SVC 275747 1/15/2021 FLAGS A° FLYING LLC, 12/22/2020 91104 $3,275,20 PKM-MAINT SVC 275854 1/15/2021 SYSTEMS FOR PUBLIC SAFE112/24/2020 38975 $147.13 PD-VEHICLE REPAIR SVC 275854 1/15/2021 SYSTEMS FOR PUBLIC SAFE112/24/2020 39004 $98,09 PD-VEHICLE REPAIR SVC 275757 1/15/2021 GREENPOINT LANDSCAPING 12/25/2020 63772 $275,00 FWCC-AG19-119 LANDSCAPE MAINT 275757 1/15/2021 GREENPOINT LANDSCAPING 12/25/2020 63773 $1,567.51 FWCC-AG19-119 LANDSCAPE MAINT Key Bank Page 55 of 61 Check No Date Vendor- Invoice Date Invoice Descri tion AmountGL Total 275740 1/15/2021 EQUIPMENT EXPERTS INC, 12/23/2020 9483 $384 35 FLT-MAINT SERVICE 275740 1/15/2021 EQUIPMENT EXPERTS INC, 12/23/2020 9486 $653,,09 FLT-MAINT SERVICE 275740 1/15/2021 EQUIPMENT EXPERTS INC, 12/23/2020 9492 $584,12 FLT-MAINT SERVICE 275740 1/15/2021 EQUIPMENT EXPERTS INC, 12/23/2020 9493 $584,12 FLT-MAINT SERVICE 275740 1/15/2021 EQUIPMENT EXPERTS INC, 12/23/2020 9494 $514.80 FLT-MAINT SERVICE 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/1712020 1-41306 $1,645.01 PD-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/1712020 1-41313 $229,07 PD-VEHICLE MAINT 275707 1/15/2021 ARC DOCUMENT SOLUTIONS12121/2020 2396846 $77.43 IT-12/20 MPS PLOTTER WORK ORDE 275737 1/15/2021 EAGLE TIRE &AUTOMOTIVE (12/2112020 1-41344 $1,481.00 PD-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/21/2020 1-41347 $95 70 PD-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE &AUTOMOTIVE (12/21/2020 1-41348 $67.,60 PD-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE &AUTOMOTIVE (12/19/2020 1-41325 $1,360,83 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/19/2020 1-41335 $46,15 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12119/2020 1-41337 $36,25 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE &AUTOMOTIVE (12119/2020 1-41340 $1,794.11 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/18/2020 1-41294 $944.82 PD-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/18/2020 1-41321 $42.30 PD-VEHICLE MAINT 275787 1/15/2021 LOWE'S HIW INC, 12/29/2020 10435 $6.78 PWST-MAINT SUPPLIES 275859 1/15/2021 THUNDERING OAK ENTERPRI12129/2020 10839 $1,567.50 PKM-AG19-115 TREE SVC AGREEMEN 275737 1/15/2021 EAGLE TIRE &AUTOMOTIVE (12/3012020 1-41419 $402,68 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/30/2020 1-41421 $42.30 FLT-VEHICLE MAINT 275787 1/15/2021 LOWE'9 HIW INC, 12/29/2020 01230 $6.78 PWST-MAINT SUPPLIES 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/29/2020 1-41408 $860,46 FLT-VEHICLE MAINT 275789 1/15/2021 MACMOR INC, 12/29/2020 14952 $2,688.14 PWSTIS -LANDSCAPE MAINTAGI7- 275789 1/15/2021 MACMOR INC, 12/29/2020 14952 $2,058.08 PWST/SWR-LANDSCAPE MAINTAGI7- 275771 1/15/2021 JGM TECHNICAL SERVICES IM2128/2020 2331 $374,00 PKM-AG18-004 ON -CALL ELECTRICA Key Bank Page 56 of 61 Check No. Date Vendor" _ Invoice Date Invoice Descdption AmountGLTotal 275825 1/15/2021 PRO TOUCH AUTO INTERIOR 12/28/2020 50977 $176.00 PD-CAR 6323 DETAIL 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/26/2020 1-41381 $834.38 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE &AUTOMOTIVE (12/26/2020 1-41392 $59,35 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/28/2020 1-41395 $42.30 FLT-VEHICLE MAINT 275737 1/15/2021 EAGLE TIRE & AUTOMOTIVE (12/28/2020 1-41396 $791.59 FLT-VEHICLE MAINT 275859 1/15/2021 THUNDERING OAK ENTERPRI12/2812020 10838 $1,947 00 PKM-AG19-115 TREE SVC AGREEMEN 275825 1/15/2021 PRO TOUCH AUTO INTERIOR 11/3/2020 50630 $165,00 PD-CAR 6501 DETAIL 275840 1/15/2021 SECOMA FENCE INC, 11/9/2020 15474 $2,783,00 SWM-REPAIR CHAIN LINK FENCE ON 275740 1/15/2021 EQUIPMENT EXPERTS INC, 10/28/2020 8704 $442,42 FLT-MAINT SERVICE 275740 1/15/2021 EQUIPMENT EXPERTS INC, 10/28/2020 8713 $886.15 FLT-MAINT SERVICE 275825 1/15/2021 PRO TOUCH AUTO INTERIOR 9/8/2020 49819 $165,00 PD-CAR 6334 DETAIL 275825 1/15/2021 PRO TOUCH AUTO INTERIOR 8/19/2020 49715 $165.00 PD-CAR 6561 DETAIL 275817 1/15/2021 PETE'S TOWING SERVICE, 9/25/2020 0430660-IN $150,98 FLT-VEHICLE TOW SVC 275817 1/15/2021 PETE'S TOWING SERVICE, 10/l/2020 0430637-IN $150.98 FLT-VEHICLE TOW SVC 275866 1/15/2021 UTILITIES UNDERGROUND, 12/31/2020 0120147 $365.07 SWIM -LOCATING SVC AG13-018- 275819 1/15/2021 PETTY CASH -POLICE DEPT, 12/31/2020 033194 $43,96 PD-PETTY CAHS # 033194- 275861 1/15/2021 TOTAL LANDSCAPE CORPOR�12131/2020 80517 $792.00 PKDBC-AG19-224 LANDSCAPE MAINT 275710 1/15/2021 AUTOMATED GATES AND, 12/31/2020 228314 $970.75 CHB-GATE MAINT SVC 275906 1/15/2021 THUNDERING OAK ENTERPRI114/2021 10853 $440,00 PKM-AG19-115 TREE SVC AGREEMEN 275893 1/15/2021 DMX LLC DBA MOOD MEDIA, 1/1/2021 55913564 $48,78 IT-01/21 MEDIA SERVICES 275899 1/15/2021 PACIFIC FIRE & SECURITY, 12/28/2020 75837 $726.00 FWCC-ANNUAL CONTRACT BILLING 275825 1/15/2021 PRO TOUCH AUTO INTERIOR 1/5/2021 50985 $176,00 PD-CAR 6471 DETAIL 275771 1/15/2021 JGM TECHNICAL SERVICES IM/4/2021 2333 $1,414,86 PKM-AG18-004 ON -CALL ELECTRICA ROAD SVCStPEITS-INTGVT $242,247.06 275617 12/31/2020 KING COUNTY FINANCE DIVIIz11/30/2020 109133-109140 $1,770,54 PW-RSD F 109133-109140 275617 12/31/2020 KING COUNTY FINANCE DIVIE11130/2020 109133-109140 $715,37 PW RSD F 109133-109140 Key Bank Page 57 of 61 Check No:. Date Vendor Invoice Date Invoice-- Descrition AmountGL Total 275617 12/31/2020 KING COUNTY FINANCE DIVIE11/30/2020 109157 $390,38 PW-RSD FW#109157 275617 12/31/2020 KING COUNTY FINANCE DIVIE11/30/2020 109212-109243 $42,953.24 PW-RSD F 109212-109243 275617 12/31/2020 KING COUNTY FINANCE DIVIEIO/31/2020 108543-108558 $52,473.60 PW-RSD F 108543-108558 275617 12/31/2020 KING COUNTY FINANCE DIVIE10/31/2020 108543-108558 $10,796.07 PW-RSD FW#108543-108558 275617 12/31/2020 KING COUNTY FINANCE DIVISI0/31/2020 108668-108734 $112,557,79 PW-RSD F 108668-108734 275777 1/15/2021 KING COUNTY FINANCE DIVIE11116/2020 108490 $19,952.02 SWM-INTERGOV AGM AWARD#116721 275872 1/15/2021 WA STATE DEPT OF TRANSPCII/16/2020 RE 41 JZ0491 L011 $478,69 PW PROJECT JZ0491 FEES 275872 1/15/2021 WA STATE DEPT OF TRANSPC12/1512020 RE 41 JZ0491 L012 $159,36 PW-PROJECT JZ0491 FEES SALES TAX PAYABLE $-1,899.10 1228203485 12/28/2020 WA STATE REVENUE DEPART12128/2020 601-223-538 $-1,899.10 FI-11/20 REMIT SALES TAX DBC SALES TAX PAYABLE-RECREAT $1,973.35 1228203485 12/28/2020 WA STATE REVENUE DEPART12/28/2020 601-223-538 $1,973.,35 FI-11/20 REMIT SALES TAX FWCC SBCC SURCHARGE $279.00 275549 12/21/2020 WA STATE -STATE REVEN UES,12/17/2020 NOV 2020 $279.00 FI-11/20 STATE PORTION REMIT F SEWER BILLINGS $595.51 275515 12/21/2020 LAKEHAVEN UTILITY DISTRIC1219/2020 460602 $34,,73 PKM-11/20 2645 312TH ST S #143 275515 12/21/2020 LAKEHAVEN UTILITY DISTRIC'12/9/2020 3671801 $34,73 PKM-11/20 31600 20TH AVE S. M# 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12/16/2020 899802 $232.13 PKM-11/20 2410 312TH ST S BEAC 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/16/2020 824102 $62.88 PKM-11/20 30000 14TH AVE S M5 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12116/2020 888103 $120,27 CHB-11/20 31132 28TH AVE S M#9 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/16/2020 888302 $47,89 PKM-11120 31104 28TH AVE S M91 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12/16/2020 101 $31,44 PKM-11120 31132 28TH AVE S #A 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12/16/2020 2426304 $31,44 PAEC-11/20 2141 314 ST. S #08 SMALL OFFICE APPARATUS $1,947.01 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $802.78 IT -CHAIRS 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $269.73 CD -OFFICE CHAIR 275731 1/15/2021 COMPLETE OFFICE, 12/29/2020 2017260-0 $874,50 FI-OFFICE SUPPLIES S ALL TOOLS - SHOP $1,083.26 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $131,15 PW-DEWALT BATTERIES 20V Key Bank Page 58 of 61 Check No. Date Vendor Invoice Date Invoice Description AmountGLTotal 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $131 15 PW-DEWALT BATTERIES 20V 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-131,15 PW-DEWALT BATTERIES 20V 275898 1/15/2021 LOWE'S HIW INC, 1/8/2021 23104 $952-11 PKM-MAINT SUPPLIES STATE COVID-19 GRANT BUSIN REIME $16,000.00 275683 12/31/2020 UBER DRIVER, ATIQULLAH AC12/30/2020 AG20-140 $1,000,00 MOED-AFFIDAVIT FOR CK#273811 275616 12/31/2020 KIMS KITCHEN. ANDREWS R(12/30/2020 AG20-726 $5,000,00 MCED-AFFIDAVIT FOR CK#275078 275914 1/15/2021 WESLEY DUNCAN LLC, WESI-1/4/2021 01042021 $10,00000 MOED-HOSP EDU TRAIN ROM STONE & GRAVEL $5,955.66 275517 12/21/2020 LLOYD ENTERPRISES INC, 12/4/2020 3322595 $79325 PKM-ROCK 275629 12/31/2020 LLOYD ENTERPRISES INC, 12/9/2020 3322683 $1,276,03 SWM-TOPSOIL SUPPLIES 275629 12/3112020 LLOYD ENTERPRISES INC, 12/10/2020 3322713 $1,444,38 SWM-TOPSOIL SUPPLIES 275579 12/31/2020 CORLISS RESOURCES INC, 12/7/2020 290954 $2,442.00 SWIM -CONCRETE SUPPLIES TAXESIASSESSMENTS-INTERGOVT $10,102.61 1228203485 12128/2020 WA STATE REVENUE DEPART12/28/2020 601-223-538 $102,97 FI-11/20 REMIT SALES TAX DBC 1228203485 12/28/2020 WA STATE REVENUE DEPART12/28/2020 601-223-538 $10,102.61 FI-11/20 REMIT SALES TAX SWM 1228203485 12/28/2020 WA STATE REVENUE DEPART12/28/2020 601-223-536 $-102,97 FI-11/20 REMIT SALES TAX DBC TRAFFIC INFRACTIONS $19.00 275596 12/31/2020 FERNEAU, NANCY E 12/11/2020 0992000096527 $19.00 MC -REFUND OVERPAYMENT TRANSPORTATION EQUIPMENT $20,386.85 275533 12/21/2020 PELLIE INC, THE LOCK SHOP 12/10/2020 0000031280 $56,98 FLT-PADLOCK 1224209491 12/24/2020 US BANK, 12/2412020 NOVEMBER 20 PROCARD $57.00 FLT-VEHICLE LIC FOR 9491280 275564 12/31/2020 ALVAN EQUIP NW INC, 1012312020 13806 $12,060.42 FLT-AG20-965 VEHICLE UPFITTING 275564 12/31/2020 AL VAN EQUIP NW INC, 10/30/2020 13847 $5,061.99 FLT-AG20-965 VEHICLE UPFITTING 275667 12/31/2020 SIX ROBBLEES'INC, 12/15/2020 2-746682 $54,75 FLT-VEHICLE MAINT 275646 12/31/2020 NELSON TRUCK EQUIPMENT 10/l/2020 712673 $2,867.81 FLT-MAINT PARTS 275646 12/31/2020 NELSON TRUCK EQUIPMENT 10/6/2020 712800 $119,64 FLT-MAINT PARTS 275818 1/15/2021 PETTY CASH - Fl, 1/1212021 033191 $61.75 PD-TITLE APPLICATIONS 275818 1/15/2021 PETTY CASH - Fl, 1112/2021 033191 $46;51 FLT-STORAGE/SCREWING ITEMS USE TAX PAYABLE $2,694.87 Key Bank Page 59 of 61 Check No. Date Vendor Invoice Date Invoice Description AmountGL Total 1228203485 12/28/2020 WA STATE REVENUE DEPART12/28/2020 601-223-538 $2,694,87 FI-11/20 REMIT SALES TAX WASTE DISPOSAL BILLINGS $22,945.77 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $10.09 SWR-REST GARBAGE ACCTAUDIT 1224209491 12/24/2020 US BANK, 12/24/2020 NOVEMBER 20 PROCARD $27 20 SWR-COMM GARBAGE ACCT AUDIT 275628 12/31/2020 LES SCHWAB TIRE CTRS OF \12/14/2020 37800501811 $14,00 PWST-JUNK TIRES DISPOSAL 275650 12/31/2020 PACIFIC TOPSOILS INC, 10/30/2020 6-TlOO8854 $650.00 SWM TOPSOIL MATERIAL DISP 275650 12/31/2020 PACIFIC TOPSOILS INC, 10/27/2020 6-TlOO8828 $1,300.00 SWM TOPSOIL MATERIAL DISP 275650 12/31/2020 PACIFIC TOPSOILS INC, 10/28/2020 6-TlOO8835 $1,440.00 SWM TOPSOIL MATERIAL DISP 275650 12/31/2020 PACIFIC TOPSOILS INC, 10/26/2020 6-TIO08823 $3,900.00 SWM TOPSOIL MATERIAL DISP 275665 12/31/2020 SEADRUNAR RECYCLING, 12/9/2020 120376 $750,00 SWR-SHREDDING SERVICES FOR 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-181.50 PW-APPLIANCE DISPOSAL 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $181.50 PW-APPLIANCE DISPOSAL 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-99„00 PW-APPLIANCE DISPOSAL 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $99.00 PW-APPLIANCE DISPOSAL 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $3990 SWM-RESIDENTIAL GARBAGE ACCOUN 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $-39,90 SWM-RESIDENTIAL GARBAGE ACCOUN 1123209491 12131/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $27,20 SWM-OCOMMERCIAL GARBAGE ACCOUN 1123209491 12/31/2020 US BANK, 10/2612020 NOV 2020 PROCARD $-27.20 SWM-OCOMMERCIAL GARBAGE ACCOUN 275650 12/31/2020 PACIFIC TOPSOILS INC, 10/21/2020 6-TlOO8800 $3,250;,00 SWM-TOPSOIL MATERIAL DISP 275650 12/31/2020 PACIFIC TOPSOILS INC, 10/22/2020 6-TIO08805 $5,200.00 SWM-TOPSOIL MATERIAL DISP 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $181.50 PW-APPLIANCE DISPOSAL 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $99.00 PW-APPLIANCE DISPOSAL 1123209491 12/31/2020 US BANK, 10/26/2020 NOV 2020 PROCARD $39,90 SWM-RESIDENTIAL GARBAGE ACCOUN 1123209491 12/31/2020 US BANK, 10126/2020 NOV 2020 PROCARD $27.20 S-OCOMMERCIALGARBAGEACCOUN 275703 1/15/2021 ALL BATTERY SALES & SERVI12/29/2020 100-10013952 $176,88 SWR-RESIDENT BATTERY RECYCLING 275812 1/15/2021 PACIFIC TOPSOILS INC, 10/23/2020 6-TIO08816 $5,850.00 SWM-TOPSOIL MATERIAL DISP Key Bank Page 60 of 61 Check No. __Date Vendor Invoice Date Invoice Description AmountGL Total 275786 1/15/2021 LLCYD ENTERPRISES INC, 10/9/2020 3321629 $30,00 SW -DUMP ASPHALT WATER BILLINGS $8,803.89 275515 12/21/2020 LAKEHAVEN UTILITY DISTRIC12/21/2020 2049903 $27.18 PKM-11/20 31531 1STAVES M#59 275515 12/21/2020 LAKEHAVEN UTILITY DISTRIC`12/9/2020 1941803 $284.85 PKM-11/20 31600 20 AVE S M152 275515 12/21/2020 LAKEHAVEN UTILITY DISTRIC 12/9/2020 460602 $170-31 PKM-11/20 2645 312TH ST S 9143 275515 12/21/2020 LAKEHAVEN UTILITY DISTRIC'12/9/2020 3671801 $109,89 PKM-11/20 31600 20TH AVE S. M 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/9/2020 3568101 $911.84 PWST-11/20 30799 PAC HWY IRRIG 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/9/2020 3586001 $68,15 PKM-11/20 31531 1STAVE S M#42 275624 12/31/2020 LAKEHAVEN UTILITY DISTRICI2/9/2020 3621801 $27.18 PWST-11/20 1401 SW 312TH STREE 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/9/2020 482405 $27.18 PWST-11/20 28850 PACIFIC HWY S 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC`1111812020 3042401 $27.18 PWST-10/20 2500 336 ST SW IRR 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC11/18/2020 3278301 $19,03 PWST-10/20 32009 23AVE S IRR 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'11/18/2020 3341801 $27,18 PWST-10/20 35826 16AVE S IRRI 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC11/18/2020 3341901 $241.00 PWST-10/20 1559 S 356 ST IRRIG 275624 12131/2020 LAKEHAVEN UTILITY DISTRIC'11118/2020 3519201 $27,18 PWST-10/20 3570022ND AVE SW IR 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC11/18/2020 3610801 $27A8 PWST-10120 1210 S 356TH ST M 4 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'11/18/2020 3687901 $1,015.78 PWST-10/20 1221 S 352ND ST IRR 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC11/1812020 3715101 $2,564.92 PWST-10120 35700 PACIFIC HWY S 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC`11/18/2020 3715201 $27„18 PWST-10/20 35700 PACIFIC HWY S 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'11/18/2020 3742601 $668,92 PWST-10/20 1218 S 356TH ST IRR 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'11118/2020 3776101 $27 18 PWST-10/20 1510 S 348TH ST #19 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12/16/2020 2426604 $27.18 PAEC-11/20 2141 314 ST. S. IRR 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12/1612020 2446104 $14,,10 PAEC-11/20 2141 314 ST. S. DET 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/16/2020 2814401 $267,06 PKM-11/20 2645 312TH IRR/ANNEX 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC1211612020 2426304 $168.16 PAEC-11/20 2141 314 ST. S. #08 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/16/2020 101 $27.18 PKM-11/20 31132 28TH AVE S #A Key Bank Page 61 of 51 Check No, Date Vendor Invoice Date Invoice Description AmountG L Total 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/16/2020 896402 $2718 PKM-1 1/20 2410 312TH ST #89640 275624 12131/2020 LAKEHAVEN UTILITY DISTRIC12/16/2020 899802 $299,31 PKM-11/20 2410 312TH ST S BEAC 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC'12/16/2020 888302 $37,93 PKM-11/20 31104 28TH AVE S M#1 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12116/2020 888103 $115,45 CH B-1 1/20 31132 28TH AVE S M#9 275624 12/3112020 LAKEHAVEN UTILITY DISTRIC12/16/2020 822402 $491,89 PKM-11/20 30009 16TH AVE S IRR 275624 12131/2020 LAKEHAVEN UTILITY DISTRIC12/1612020 824102 $168,16 PKM-11/20 30000 14TH AVE S M#5 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC12/16/2020 924602 $27A8 PKM-11/20 2301 S 292ND ST IRR 275624 1213112020 LAKEHAVEN UTILITY DISTRIC'8/10/2020 3568101 $27.18 PWST-07/20 30799 PAC HWY IRRIG 275624 12/3112020 LAKEHAVEN UTILITY DISTRICB/10/2020 3621801 $27.18 PWST-07/20 1401 SW 312TH STREE 275624 12/31/2020 LAKEHAVEN UTILITY DISTRIC8/10/2020 482405 $27.18 PWST-07/20 28850 PACIFIC HWY S 275784 1/15/2021 LAKEHAVEN UTILITY DISTRIC*12/21/2020 3033601 $78,99 PKM-12/20 28159 24TH PL S M#97 275784 111512021 LAKEHAVEN UTILITY DISTRIC'12/16/2020 835904 $87,50 PWST-1 1/20 30421 16 AVE S IRR 275784 1/15/2021 LAKEHAVEN UTILITY DISTRIC12/1612020 3088801 $27.18 PWST-11120 2000 312 ST S IRR M 275784 1/15/2021 LAKEHAVEN UTILITY DISTRIC'12/16/2020 3200201 $180,42 PWST-10/20 32001 WEYERHAEUSER 275784 1115/2021 LAKEHAVEN UTILITY DISTRIC1211612020 3642501 $66.00 PWST-11/20 30801 14TH AVE S M# 275784 1/1512021 LAKEHAVEN UTILITY DISTRIC'12/16/2020 3653601 $196,11 PWST-11/20 30801 14TH AVE S M# 275784 1/1512021 LAKEHAVEN UTILITY DISTRIC'12/16/2020 3657701 $27.18 PWST-11/20 1456 S 308TH ST 308 275784 1/15/2021 LAKEHAVEN UTILITY DISTRIC'12/16/2020 3702201 $61.70 PWST-11/20 1119 S DASH POINT R 275784 1/15/2021 LAKEHAVEN UTILITY DISTRIC12/26/2020 3791001 $27.18 PWST-11/20 2139 S 316TH #19211 WORK RELEASE $1,390,00 275697 1/15/2021 2 WATCH MONITORING INC, 11/912020 41032 $1,390,00 PD-DAC GPS EHM PASSIVE Total $3,328,726.13 . I . 01/05/2021 CW-PAYROLL VOUCHERS 12/16-12131 $2,192,247-52 $3,694,533.14 COUNCIL MEETING DATE: February 02,2021 ITEM #: 5d ----- ---------- - -- --- .... .. . ..... ...... ....... ............... ----------- . ..... . CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL . ........ --------- . ..... SUBJECT: NOVEMBER 2020 MONTHLY FINANCIAL REPORT COMMITTEE: Finance, Economic Development and Regional Affairs Committee MEETING DATE:January 26,2021 CATEGORY: 0 Consent E] Ordinance Ej Public Hearing E] City Council Business [:] Resolution El Other STAFF REPORT BY: A& Ariwoola, Finance Director DEPT: Finance Attachments: 0 November 2020 Monthly Financial Report Options Considered: 1. Approve the November 2020 Monthly Financial Report as presented 2. Deny approval of the November 2020 Monthly Financial Report and provide direction to staff. TIM M �? = � MUM COMMITTEE RECOMMENDATION: I move to forward the November 2020 Monthly Financial Report to the February 02, 2021 consent agenda for approval. I —2o MM Committee Chair Co ttee ember Comniittee Member PROPOSED COUNCIL MOTION: "I move approval of the November 2020 Monthly Financial Report. (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: El APPROVED COUNCIL BILL # 11 DENIED I" reading El TABLEDIDEFERRED/NO ACTION Enactment reading El MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/2010 RESOLUTION # C� OF A Federal Way November 2020 Monthly Financial Report - Highlights The following are highlights of the November 2020 Monthly Financial Report. Detailed financial information can be found after the summary report. The 2020 budget was adjusted for the Covid-19 effect. Notable Areas 1. Sales Tax is $0.67M or 5.3% above 2020 year-to-date budget, and $0.14M or 1.0% above 2019 year-to- date collections. The budget was reduced during the budget amendment. 2. CD Permits & Fees is $0.3M or 14.9% below 2020 year-to-date budget and $2.3M or 55.8% below 2019 year-to-date collections. The budget was reduced during the budget amendment. 3. Utility Tax is $0.13M or 1.1% above 2020 year-to-date budget, and $2.82M or 31.3% above 2019 year-to- date collections. 4. Business License Fees are 131K or 29.3% above 2020 year-to-date budget, and $285K or 97.8% above 2019 year-to-date collections. Business licensing has increased due to the City going live with the State system. Fees received for the first year of business licenses is pro -rated to the businesses State anniversary date, and therefore the revenue will grow more evenly throughout the year. General & Street Fund Sunrin Revenues are below the year-to-date budget by $IAM or 3.5%. Property tax, criminal justice sales tax, admissions tax, gambling tax, court and probation revenue, CD permits and fees, passport agency fees, parks and general recreation fees, and interest earnings are primarily responsible for the decrease in revenues. Sales tax, state shared revenue, leasehold tax, PW permits and fees, and business license fees are above the year-to-date budget. Property tax is above 2019 year-to-date actual by $188K or 1.7%, but below 2020 year-to-date budget by $166K or 1.5%. The city received its second major flow of tax revenue in October. Sales tax is above 2019 year-to-date actual by $0.14M or 1.0%, and above 2020 year-to-date budget by $0.67M or 5.3%. The major part of our sales tax revenue is not adversely affected by Covid-19. I hope the Sound Transit construction will positively impact our revenue also. Additionall-�V_c.��ustice sales tax collected county -wide is below 2019 year-to-date actual by CA,222K or 8.7%, and below 2020 year-to-date budget by $lV8K Community Development permits and fees are below the 2019 year-to-date actual by $2.3M or and below 2020 year-to-date budget by $03M or 14.9%. This is primarily due to receiving less large project permit fees in 2020, and construction stopping due to Covid-19. ln 2019, two large permit and review fees were collected in February for Davita and Federal Way premier storage. We do not have as many large projects scheduled in 2020 as 2019. The budget was reduced during the budget amendment process. Court revenue is below 2019 year-to-date actual by $162K or 17.3%, and below 2020 year-to-date budget by $164K or 17.5%. This is primarily due to a decrease in traffic and non -parking infraction enforcement. Probation revenue is below 2019 year-to-date actual by $38K. As of the end of November, probation revenue is $21 IK less than expoenditures although the yrobation division was intended to be self-sufficient. New state law,,trevents the Citw from a, -_ ressive collection of both court and vrobation fees from indigent individuals; most individuals in our courts are identified as indigents. Admissions Tax is bein - - aid monthly and as of the end of November ' the City has collected %♦5K. which is $678K below actuals last year. This is due to the AMC movie theater closing and Covid-19 pandemic. Business License Fees is above 2020 Viear-to-datebudtetbgm�,13IKor29.3% and above 2019 pear -to -date actual by $285Kor 97.8%. The City went live with the State system on October 3, 2019. UsingtheState V city license. We have professionally and aggressively gone after these businesses and it is paying off. Park & General Recreation Fees is below 2020 year-to-date budget by $744K or 71.8%, and $799K or 73.2% below 2019 year-to-date actuals. This is primarily due to parks facilities closing due to Covid-19 on March 12, 2020. Desi-_nqled 0 a F Veratinunds,, Expenditures are below 2020 year-to-date budget by $2.34M or 13.7% and are primarily due to timing of payments in Arterial Streets, Hotel/Motel Lodging Tax, Traffic Safety, Utility Tax Prop 1, Surface Water Management, Federal Way Community Center, and Covid- 19. Utility tax revenues received year-to-date as reported on the monthly financial report totals $11.8M and is $2.82M or 31.3% above 2019 year-to-date actual, and $0.13M or 1.1% above 2020 year-to-date budget. The following is the comparison of 2020 year-to-date actual to 2019 year-to-date actual by category: Electricity — current year-to-date decrease by $75K or 1 .9% Gas — current year-to-date increase by $90K or 8.3% Water/Sewer — received $2.57M year-to-date, with no amount received in 2019 Solid Waste — current year-to-date increase by $419K or 43.4% Cable — current year-to-date decrease by $3 1K or 2.2%. Cellular — current year-to-date decrease by $125K or 17.3%. Federal Way Community Center 2020 year-to-date revenues of $482K is below 2020 year-to-date budget by $599K or 55.4%, and below 2019 year-to-date actual by $LIM or 69.7%. 2020 year-to-date expenditures of $1.28M is below 2020 year-to-date budget by $296K or 18.8%, and below 2019 year-to-date actual by $929K or 42. 1 %. The ending fund balance of $1.43M is below the required reserve fund balance policy of $1.5M. Due to the Covid-19 pandemic the Community Center closed to the public on March 12, 2020. Real estate excise tax 2020 year-to-date revenues of $10M is below 2019 year-to-date actual by $1.2M or 29.4%, and below the 2020 year-to-date budget by $232K or 7.2%. In November, there were 112 taxable residential sales (total sales $48.3M / $239K tax), and 2 commercial sales (total sales $6.9M / $34K AL Federal Way November 2020 Monthly Financial Report - Detail Beginning Fund Balance S 11,662,052 S 11,662,052 $ 11,662,052 $ 11,604,046 $11,604,046 S 11,604,041 n/al ri/t Revenues: I Properly Taxes 11,143,718 10,917,428 10,810,164 11,275,838 11,165,052 -- 70,998,559 (166,492)1 -1.501( Sales Tax 15,555,486 15,908,863 13,313,785 14,457,381 12,779,099 13,451,630 672,532 1 5.3% Criminal Justice Sales Tax 3,027,361 3,056,010 2,549,755 3,027,361 2,525,852 2,327,741 (198,111) -7.8% Admissions Tax 798,312 8-)7,537 742,491 806,513 723,628 64,910 (658,718)� -91.0% Gambling Taxes 213,724 232,942 169,290 195,000 141,716 117,924 (23,792)� - 16.8% State Shared Revenue 3,157,507 3,174,111 2,475,817 3,022,000 2,357,170 2,359,760 2,590 0. 1 -X Leasehold Tax 6,000 5,898 2,243 6,000 2,282 5,256 2,974 1303%, Court Revenue 1,012,742 1,015,193 935,642 1,012,742 937,707 773,669 (164,038)� - 17.5% Probation Revenue 188,459 160,622 151,220 188,459 172,754 113,077 1 (59,677) 34.5% CD Pennits & Fees 3,859,114 4,546,432 4,108,877 2,201,255 2,136,610 1,817,288 (319,3222)1 -14.9% PW Permits & Fees 700,752 1,125,969 980,939 936,571 593,92-9--[ 629,042 35,113 5.90/c Business License Fees 531,491 406,666 291,705 622,000 446,166 576,864 130,698 29.31/C Franchise Fees 1,186,578 1,092,423 890,055 1,198,444 791,101 791,101 0.0 % Lakehaven Franchise Fees 848,580 900,380 750,317 848,580 - 707,150 581,007 (126,143) - 17.8% Passport Agency Fees 68,000 89,645 83,170 68 :5:0]0::- 63:552 19,845 (43,707) -68,8% Park &, General Recreation Fees 1, 112,418 1,105,288 1,091,986 1,050,0001 1,037,363 292,891 (744,472)1 -71.8-,;: Police Services 1,424,766 1,585,141 1,371,022 1,895,586 847,140 847,140 0.0% Adrnin/Cash Management Fees 375,896 375,896 344,571 375,896 344,571 344,571 0 0.0% Interest Earnings 175,616 241,881 169,228 168,216 117,690 59,891 (57,799) -49.1% Miscellaneous/Other/Grants 1,248,537 1,273,177 963,348 1,151,0751 870,959 1,164,077 293,118 33.7% Covid-I 9 Grants - - - 3,079,626 2,500,743 2,500,743 - 0.0% Total Revenues 46,635,058 48,041,503 42,185,625 47,587,043 41,262,235 39,836,987 (1,425,248) -3.5% Expenditures: I City Council 493,462 422,167 384,164 508,211 462,462 422,501 39,961 8.6% Mayor's Office 1,465,673 1,497,282 1,356,655 972,547 891,501 846,914 44,587 5.0% Coinniunity Development 2,699,112 2,546,372 2,390,542 2,773,047 2,603,345 2,271,606 331,739 12.7% Econoinic Development 415,973 340,503 293,519 495,973 454,642 331,147 123,495 F207,311 27.2% Human Services 966,388 871,103 702,531 1,153,524 1,057,397 731,868 325,529 30.8% Finance 1,153,267 1,045,013 954,356 1,269,595 1,159,455 952,144 17.91/. Hurmn Resources/City Clerk 1,171,179 1,113,978 802,957 1,068,865 979,793 755,820 223,973 22,91/o Law 1,550,895 1,607,291 1,470,189 1,685,403 1,541,638 1,406,450 135,188 8.8% Municipal Court 1,384,797 1,403,941 1,278,203 1,461,681 1,339,874 1,239,037 100,837 7.5% Probation 355,508 348,498T 318,492 367,468 335,829 324,372 11,457 3.4% Jail 5,964,972 5,932,095 1 5,408,082 31048,950 2,779,620 1,435,7501 1,343,870 48.3% Police 21,305,693] 21,225,938 1 19,533,560 22,161,963 20,315,133 19,762,815 '- 552,318 23% Parks & Recreation 4,224,351 1 4,231,231 3,775,887 4,313,304 3,630,364 3,348,618 281,746 78% Lakehaven Fire Hydrant/Street Light 955,947 871,984 822,259 955,947 876,285 900,163 (23,878)1 -2.7% Public Works 4,601,609 4,420,751 3,876,1584,509,364�33,855 '9 3,424,736 529,119 13.4% Total Expenditures 48,708,826 47,878,147 745, 42E42,38'1 194 38,153,941 4,227,252 10.0% Revenues over/(under) Expenditures (2,073,768) 163,356 (1,1819929) 841,201 (1,118,959), 1,683,046 2,802,004 250,4% Other Sources Ongoing Transfers In: Traffic Safety for Operations 1,470,333 1,470,333 1,470,333 1,549,087 377,777 377,777 0.0% Utility Tax for Operations 8,058,122 5,713,801 4,777,579 8,030,881 7,287,994 7,287,994 0.0% Other Transfers In 549,199 40,000 40,000 1,361,741 108,000 108,000 0.0% Total Other Financing Sources 10,077.654 7,224,134 1 6.287,912 10.956.380 7.788.442 7.788.442 0.0% Other Uses: I Transfers Out/Other 3,349,243 1,963,898 1 - 990,329 7,938,982 5,746,012 5,746,012 0.0% Non -Departmental Internal Service Charges 5,897,461 5,481,6021 5,354,531 5,940,719 5,445,660 5,445,660 0.0% Total Other Financing Uses 99246,704 1,445,500 1 6,3449860 13,879,701 11,191,672 11,191,672 0.0% Total Ending Fund Balance $10A19,234 $11,604,041 1 $ 10,423,174 $ 9,521,926 $ 7,081,857 $ 9,883.859 Wal n/a Compared to year-to-date 2019 actual, sales tax revenues are above by $138K or 1.0%. Compared to 2020 year-to-date budget, sales tax revenues are above by $673K or 5.3%. There is usually a two month lag in sales tax revenue. The sales tax collected for September 2020 is paid to the City in November 2020. I Fawrable)'(Wavorable) Component 2019 2020 Change from 2019 Group Actual Actual $ to Explanation Retail Trade $ 6,424,649 $ 6,766,372 $ 341,723 53% Up S453K-General Merchandise, Miscellaneous Store Retailers, Gasoline Stations, Food& Beverage, Nonstore, Building Material & Garden, Electronics & Appliances, Sporting Goods/Hobbies, Health & Personal Care DownSIJ1K- Motor Vehicle, Furniture and Borne Furnishings, Clothing& Accessories Services 3,214,457 2,579,222 (635,234i :19,8% Up $97K - Administrative & Support Services Down $732K - Accomodation, Nursing & Residental Care, Educational Services, Ambulatory Health Care Service, Professional, Scientific, & Technology, Amusement & Gambling, Personal & Laundry Services, Performing Arts, Hospitals, Food Services, Drinking Places 'Construct 1,863,017 2,375,528 512,511 275% General Increase Wholesaling 475,576 1 480,390 4,814 1.0% Up $5K - Wholesale Trade Durable & Nondurable goods 'Transp/Utflity 700 3,263 2,564 366,5% General Increase -iformation 543,272 522,552 (20,720) -3,81/o Up $19K - Internet Services, Other Information Services, Broadcasting Down S40K - Teleconrmnications, Publishing, Motion Picture & Sound Recording 7Manufacturing 182,467 119,268 (63,199) -34.6% General Decrease Government 196,307 208,978 12,671 65% General Increase Fin/insurance 342,676 361,659 18,984 5,5% Up $20K Real Estate, Insurance Carriers & Related /Real Estate Down - Credit Intermediation,Rental asmg Services Other 70,666 34,396 (36,270) -51.3% General Decrease LY171) To S 13,313,786 1 S 13,451,629 S 137,843 1.0% Utility Tax (Total 7.75%) The utility taxes year-to-date is $2.82M or 31.3% above 2019 year-to-date actual due to extension of utility tax on water and sewer services, and $0.13M or 1.1% above 2020 year-to-date budget. There is usually a two month lag inutility tax revenue. The utility tax collected by utility companies for September 2020 is paid to the City in November 2020. The City of Federal Way provides a utility tax rebate for qualifying individuals that have paid for Utility bills within the City of Federal Way, who are 65 years or older, disabled/unable to work, and qualify as low income during the affected calendar year. This is an annual program that opens January I" and closes April 30' of each year. The City processed 74 rebates in 2019, for a total of $7,497. The City has processed 53 rebates in 2020, for a total of $5,721. Due to COVID-19 we accepted applications through the end of May instead of April in 2020. tMLXTY TAXES - by Type Year- to thru No%ember Fmrable/(Unfawrable) utility 2019 2020 Change from 2019 s % T�w Actual Actual Electric $ 3,967,104 $ 3,891,697 S (75,407) -1.91%, Gas 1,085,641 1,176,036 90,395 8.3% Water/Sewer 2,567,359 2,567,359 n/a Solid Waste 965,444 1,384,703 419,259 43.4% Cable 1,432,944 1,402,051 (30,893) -2.2% Phone 540,181 487,189 (52,993) -9.8% Cellular 724,500 599,399 --- - ----------- (125,101) -17.3% Pager 65 52 (13) _19.81% SW M 313,397 1 338,869 25,472 8.1% Tax Rebate (7,497)1 (5,721) 1,776 0.01% YFD Total S 9,021,779 1 S 11,841,634 S 2,,819454 31.3% Proposition I Voter Approved Utility Tax 2020 Prop I expenditures year-to-date of $3.33M or 81.7% of the $4. IM annual budget. Current life -to -date Prop 1 Utility tax collections and transfer is $413M and expenditures is $40.3M. ------- --- — - — ---------- - -------- Beginning Balance: OPFRATING REVEqUES .1 February 229,6691 177,223 March 267,871 May September 266,981 179,080 October 237,812 196,974 ill i 1111 1 "T I �November 'December TotalPEM]Revcnues:-� i Transfer in from Utilityj ad OPERATING EXPENDITURES Public Safety Improvement Positions & Costs: Police Services (includes I Records Specialist, 16 Police F 7 Officers, & 2 Lieutenants) 2.258,733 30314,912 Court Services (includes .50 Judge, I Court Clerk, and Pro i Pa�L, Public Defender contract, 1.5 Prosecutorls') _Tem - - -- - ----- ----------- -- ------ - ---------- ------ ------------ Total Public Safety Improvement Costs Community Safely Program Costs: I Code Enforcement # .5 Assistant Ci�y Attorney 1 Parks Maintenance Worker I & Security Total Community Safety hnprowment Costs_____100K3 Indirect Support - HR Analyst SafeCity M&O__ 'Subtotal Ongoing Eipenelitures 1 S a fe C i t y Startup Other Transfer -Prop 1 OT for Police ',Subtotal Other Expenditures Total Prop I Expenditures Real Estate Excise Tax Compared to 2019 year-to-date actuals, collections are below by $1.2M or 29.4%. November's receipt of $273K is below $13K or 4.6%. November 2020 activities include 114 real estate transactions, of which none were tax exempt. There were 112 taxable residential sales (total sales %48.3M / %239K tax� and 2 commercial sales (total sales $6.9M / $34K mzmummz�� Hotel/Motel lodging tax received year-to-date in 2020 is $115K and is below 2019's year-to-date collections by $140K or 54.8%. 2020 year-to- date receiII pts are below year-to- date projections by $147K oy 56.0%. The lodging tax collected for September 2020 is paid to the City in November 2020. MEMME= permit activities are below 2019's year-to-date activity by $2.3M or 55.8%. Compared to year-to-date budget, permit activity is below by $0.3M or 14.9%. WM3 Est= BUILDING & LAND USE PERMITS AND FEES (CD) Year-to-date thru November Favorable/(Unfavorable) 2019 2020 Change from 2019 YrD Actual vs Bu_ftet Month Actual Budget Actual $ % $ % Jan 203,996 171,645 170,936 (33,060) -16.2% (709) -0.4% Feb 371,050 321.145 164,352 (206,697) -55.7% (156,793) -48.8% Mar 217,643 251,596 198,647 (18,996) -8.7% (52,949) -21.0% Apr 510,894 328,862 208,283 (302,610) -59.2%, (120,579) -36.7% May 825,324 416,781 143,034 (682,290) -82.7% (273,748) -65.7% Jun 163,185 240,387 162,861 (325) -0.2% (77,527) -32.3% Jul 1 238,899 84,525 75,894 (163,005) -68.2% (8,632) -10.2% Aug 436,819 85,663 146,947 (289,872) -66.4% 61,284 71.5% Sept 181,193 71,187 236,817 55,623 30.7% 165,630 232.7% Oct 600,317 93,213 132,715 (467,602) -77.9% 39,502 42.4% Nov 359,558 71,605 176,803 (182,754) -50.8% 105,198 146.9% Dec 437,556 64,645 YID Total 4,108,877 2.136,610 $1.817.288 $ (2.291,5891 -55.8% $ L319,3222, -14.9% Annual Total' 4.432 546 _. ; 2,201 ,255 na / --j_ n/a, n/a L .-/a Police Department The total over -time budget of $1.01M consists of $767K for City overtime and $239K for billable time. Compared to 2020 year-to-date budget, City's portion of overtime is $126K or 17.9% above year-to-date projections. Compared to year-to-date 2019 actuals, City's portion of overtime is below by $129. Including the decrease in billable overtime, total overtime decreased by $36K or 3.0% below the same time last year. The November overtime decrease of $ 1 K below 2019 year-to-date actual is primarily due to a decrease in shift -call in and shift extension for special investigations. Jail Services The City discontinued its relationship with SCORE as of December 31, 2019. The City now has multiple contracts with other govermnental agencies for its jail services. The total jail budget is $3.05M and it is for jail services, salaries and wages for a jail coordinator, 2 jail transport officers, and equipment and vehicles needed to transport inmates. MFnrM-_ es &-Benefits M MIAMI= V 9 H I 10111 M 11 IN-0 MMQ 114,830 $ 35,000 1 $ - 335,736 5,817,265 2,540300 - 137,914 718 1 934,390 I �U Intergovernmental jail services in 2018 and 2019 are payments to SCORE 2018 Debt Service of $934K was paid for by SCORE In 2019 SCORE Debt was refinanced and includes debt serNice refinance cos The jail budget was reduced by $380K in the budget adjustment passed in July 2020. The original budget for jail was $4,363 including debt service payments. In addition to the $3.05 million budget above, the City continues to be liable for its portion of the debt service on the SCORE building. The total remaining principal debt the City owes as of 12/31/2019 for SCORE is $10,945,000, and we're servicing this debt by about $0.9 million a year. i 11:1111��Iy 4'JAYJ7?IIP Traffic Safety Red light & school zone enforcement revenues are accounted for in the Traffic Safety Fund to be used for, but not limited to vrevention education. and enforcement efforts related to traffic safetw and the City, including maintenance and operations costs. Traffic Safety Fund pays for 1 Lieutenant, 8 Police Officers, 3 City Traffic positions, Municipal Court security services, red light photo services, Valleycomm emergency communication services, School Zone Enhancements capital improvement projects, and patrol vehicles. Court operation and probation service revenues are $200K or 18.4% below 2019 year-to-date actuals and $224K or 20. 1 % below 2020 year-to-date budget. Federal Way Community Center The Federal Way Community Center Fund was established as a special revenue fund supported by user fees and utility tax transfer. Due to the Covid-19 pandemic this facility closed to the public as of March 1211, 2020 and reopened September 11t, 2020. The Community Center closed again on November 171, 2020. The operating revenue budget includes $1.17M in user fees/program revenues, and $312K contribution from utility tax for operation, and $572K contribution from general fund for operation. Year-to-date operating revenues total $0.5M which is $599K or 55.4% below the 2020 year-to-date budget. In comparison to 2020's year-to-date budget: Daily Drop -in revenues are $129K or it below the projected revenue, and $236K or 77.6% below last year. Revenues are down due to Covid-19 and limited access to amenities to support drop in revenue production. The Community Center closed again on November 17', 2020. Pass Revenues are $168K or 39.3% below the projected revenue, and $425K below last year. The Community Center has implemented a new registration system and membership software system, and we are seeing a significant drop in pass renewals from some of our members. When customers were contacted and asked to provide updated account information, many chose to cancel for various reasons. Staff has implemented new and improved marketing and sales efforts to retain and attract new members and this has been put on hold due to Covid-19. Revenues are also down due to Covid-19 and closing of the Community Center on March 12'h, 2020. The Community Center opened again on September 111, and closed again on November 171, 2020. IN Aquatic Programs/Lessons are $54K or 56.0% below the projected revenue, and $113K below last year. Due to the Covid--19 pandernic the pool was closed between March 12", 2020 and August 31, 2020. Swim lessons began again in October of 2020. The Community Center closed again on November 172020 and lessons were refunded. It Rentals are $122K or 72.6% below the projected revenues, and 177K below last year. Loss of the rental coordinator attributed to the loss of revenue. Rentals remain limited based on the governor's office guidance and safe start reopening allowances. The Community Center closed again on November IT", 2020. Youth Athletic Programs are $17K or 58.7% below the projected revenues. Revenues are also down due to Covid-19 and closing of the Community Center between March 12", 2020 and August 31", 2020. The Community center opened again on September 111, and then closed again on November 17", 2020. Year-to-date operating expenditures total $13M which is $296K or 18.8% below the year-to-date budget. Federal Way Community Center has recovered 37.7% of operating expenditures compared to 72.0% this time last year. The year-to-date budgeted recovery ratio is 68.7%. Personnel Costs are $221K or 19.9% below the projected budget. The facility was closed to the public as of March 121h, 2020, part-time staff hours were furloughed, and 9 full-time employees were placed on inactive status. Full-time employees furloughed and part time staff were brought back in August 2020. The center closed again on November 17t', 2020. Supplies are $41K or 26.4% below the projected budget. The facility closed to the public on March 122020 and buildin�v maintenance supplies have been reduced. it Other Services and Charges are $18K or 14.3% below the projected budget due to Covid-19 and the closer of the facility for five months. The facility has also required major repair and maintenance this year such as air filters, fire hood certification, fire alarm inspections, sand media replacement in pool filters, pool light replacement, and touchless items throughout the facility such as toilets, drinking fountains, and turnstile entry gates. The Community Center opened again on September V, and then closed again on November 17", 2020. - - •6 $r.VMI BIPJAUPOILWIM' St'* Un Dumas Bay Centre Fund year-to-date revenue of $130K is $213K or 62. 1 % below 2020 year-to-date budget of $342K, and $752K or 85.3% below year-to-date 2019 actual. Year-to-date operating expenses total $495K, which is $68K or 12.0% below 2020 year-to-date budget of $563K. Dumas Bay Centre has recovered 26.2 1 % of operating expenditures compared to 112. 00% of the same time last year. Due to the Covid-19 pandemic this facility was closed to the public as of March 12', 2020, and as of the end of November is still not open. 1 201_9 1020 VM Hudmel " Attutd Du e= Day Centre Rend Antund YFD I YM YTD Fmr&bIe/(Lhf&hIe) 0 of] 1130/2020 Huftet Actual A.tud Bull a BudRet ActuA 3 % 1.585.69-9 S L585.695 $ t.585.695 _I 1,601,R56 1.60L056 5 IAOL055 Wa 0a OM_ANIRKAEW_ViTr� M33,91 In-H.... Food S.rvi... 375000 389615 367.119 129.196 __U22_050 8?�_ _jp 1�9 7 5% 537,751 502,R64 480,749 230465 69,W (I SO,4LI -68 39K Kn uteen Fanil,v Theatre 26,000 34.438 8 - 8'068 8'068 n/w 938,75] - �_91 7 881,786 9"' 7'16 3-159.661 '3' 342-3791 129,827 1212-553) -62,1% I�Jiouw Food Services. 396,709, 359,46H 3,73,103 246,309 221,3921 153.392 67,9W 30 Duna, B­ Rt—t Center 551.563 5,41,838 A60307 3Q6, M 3,36%51 N 336.907 (342) -Oil/. XRI,t— E—�v Thetre 7,600 3, FM 3919 7,600 4,97E 4,976 0 (r/I Total 0.... ratin rases 255.372 905.194 787.329*650.087 562332 2_2 495175 67.657 12.0% (17,12 1) L_12,RL 9. , '58 A- 90426 220 53 22 5 g65_,443) 144,895 65,7% Rnow Refie 99.21% 102.29% 112.00% 55.33% '4 6022% 6022% 26.21% nhe n/. i Tmsfcr In Gcn Fund 7 2( Q-171 260 371 Tninsfa In Utility T— 23000 23000 .1. Toldtd Other Sources 23.000 7 293J71 2"�371 2RM71 Punp Stwinn M&O 4000 LL62. L307 4_0DO 293 293 Repairs & Maintcnance 6-5-'Al 65_IA7 n/A Tow Other 1'oes A&OOJ _5.362 1.307 94,000 01 65.934 65234 0% 1,8791 Ilqa6l !3J_50 1163.0-mr1l 1 4304A% IS 1,R97-574 I S 1t01.056 5 1,67SA45 5 !7_1 I-A09,000 I S I �W.- "A il!L495 ;. _9J Self -Insured Health Insurance Fund Self -Insured Health Insurance Fund year-to-date contributed revenue is $4.8M. Currently the revenue is generated from the employee paid contribution (ranges from $34 to $141 per employee per month) and the employer paid contribution (ranges from than 16 weeks of budgeted expenses ($3.0 million) as recommended by our consultant. Self -Insured Health Insurance Fund year-to- date expenditures are $5.3M for prescription services, medical services, stop loss, professional services, and wellness program. The ending fund balance for the program is $3.2M. Our consultant is recommending a premium increase of 4% in the next two years and 8% in 2023. Self Insured Health Insurance Fund - 2020 Description 2017Annual 2018 Annual 2019Annual 2020 Adopted Jan -June Jul Aug Sept Oct Noy YTDActual Actual Actual Actual edgt Beginning Fund Balance 7,020,466 2BN,138 2,940,231 3'667,88 3,657,5981 3,66?'598 1­'leafth Insurance Preiriurn- Ernployer CoritnWbon Revenue 4,238,581 4,284,099 4,392,860 4,400,000 2,135,957 33-8,356 353,472 368,423 366,068 365046 3,927,321 health Insurance Preniurn- Ernplayee Contribution Revenue 216,562 209,6213 222,779 150,000 iO4,750 16,572 17,636 18517 18,408 18,442 114,' Italth Insurance Prenriurn- COBRA 10,026 21,805 34,319 I3,0W 47,845 10,201 - 2-3.359 11,131 11,833 3124 1 76 Stop Loss Recovery Revenue 306,963 482,308 281,299 400,000 257,104 I,W 108,0% - 26,03 200,160 592,735 rnin Interest Eags 13,247 31,992 50,753 10800 11,747 726 630 501 463 381 14,449 Total Reve nue and Transfer in i, _i86,379 5,029.937 4,982,011 i 4,966,800 2AS7,402 i7�197 d79,ffi7i 41%800 422,103 595,863 4,833j99 Prescription Services 461,723 876,391 1,634,143I 800,000 526,786 1 66,085 87,773 1 78,0771 69897 86,678 915,29 Wedical Services 2,944,877 2,747,675 1,656,869 3,300,000 1,454,331 389,492 374,766 248,929 410661 301,332 3,179,511 I'tab insurance - StopLoss 464,184 642,805 567,344 730,000 350,266 67,111 56,395 57,884 � 59902 60,383 641,440 'W.fes Services �&Olher 3B4,922 _�7 71553 6,628 282,325 45,425 49,816 62,2751 53,W 55370 549074 Taxeslassessnnents-interogoverrurent 1,620 260 30,000 260 1,443 1,703 Total Upondituros for Self Insured Iteafth 4,255,707 4,639,743 4,264,644 5,256,726 2,613,969 559,5 748 447,1661 594,322 503,762 5,207,523 Ending fund Balance Z550,11 37 2 23i 3,657,598 3,367,672 3,601,031 (192,36S)l '36,315) (1172,2191 92,100 3,203,274 RMKUIIMMr� i oegirriing Faiance, ana I I I $0.05M or 4.0% above year-to-date budget. Year-to-date operating expenditures total $1.26M, and are $39K or 3.2% above year- to-date budget of $1.22M. Year-to-date $0.87M or 90.6% of $0.96M budgeted operating subsidy has been used and the PAEC Funi has a fund balance of $0. A new management company took over the management of PAEC in August 2018. As of 12/31/2019 the balance of debt service principal was $4,840,000. rVINDIFUMVIT =1 On March 9, 2020 Mayor Ferrell issued a Proclamation of Emergency in order to prevent the spread of coronavirus disease (COVID-19). On March 12, 2020 the Federal Way Community Center, Dumas Bay Centre, and Performing Arts & Event Center were closed to the public. Then, on March 23, 2020, State Gov. Jay Inslee issued statewide two week stay home orders and closed all the businesses except essential services. On April 3, 2020 the stay home orders were extended through May 4". Year-to-date the city has spent $4,421,331 on Covid-19 related expenditures. I &1JI3)X.X4O V W 9 611�� Fund /Fund Name Begin B alance YM YM YM Net Ending Balance RequiredFurid 111/2020 Revenue Expenditares lincomel(loss) 11/30/2020* Balance 001/101 General/Street Fund S 11,604,046 S 49,321,277 51,041,459 (1,720,181) $ 9,883,864 S9,500,000-* Special Revenue Funds: 102 Arterial Street 621,584 2,044,043 1,805,422 238,621 860,205 $100,000 103 Utility Tax(*) 1,569,984 9,290,369 9,360,352 (69,983) 1,500,000 1,500,000 104 Affordable & Supportive Housing Sales Tax - 101,907 - 101,907 101,907 - 106 Solid Waste & Recycling 194,472 461,733 492,785 (31,052) 163,420 107 Special Contracts/Studies Fund 748,927 57,291 6,484 50,807 799,734 - 109 HoteUMotel Lodging Tax 1,329,006 121,061 28,785 92,275 1,421,281 200,000 110 2% forthe Arts - - III Federal Way Community Center 1,208,267 tr 1,366,171 1,192,125 74,046 1,282,313 $1,500,000 112 Traffic Safety Fund 1,389,468 2,195,200 2,504,762 (309,561) 1,079,907 1,200,000 113 Real Estate Excise TaxFund 3,219,094 3,001,483 4,409,7891 (1,408,306) 1,810,778 $2,000,000* 114 Prop I Utility Tax 1,144,644 - 3,185,178 3,329,822 (144,644) 1,000,000 1,000,000 115 Perforrning Arts & Event Or Operations (1-10,.546)[1-1,370,005 1,259,458 110,547 0 - 119CDBG 35,284 446,295 648,545 (202,249) (166,965) 120 Path & Trails F 1,191,4377 293,602 - 293,602 1,485,039 121 Technology 3,013 146,202 991 146,303 149,116 - 188 Strategic Reserve Fund 3,573,900 15,002 3,588,803 3,000,000 189 Parks Reserve Fund 1,080,]794 l'O 0 49,725 - 49,725 1,130,518 1,125,000 Subtotal Special Revenue Funds 17,199,217 24,145,267 25,138,428 (993,161) 16,206,056 $11,625,000 201 Debt Service Fund 3,933,732 2,347,672 679,039 1,668,633 5,602,365 Capital Project Funds: 301 Downtown Redevelopment 2,526,754 851,705 100,Oool 751,705 3,278,459 302 Municipal Facilities 288,595 1,212 - 1,212 289,806 303 Parks 1,741,591 392026 224,973 167,054 1,908,645 304 Surface Water Management 1,925,945 7263 420,585 (413,323) 1,512,622 306 Transportation 4,885,700 5,753,219 5,537,614 215,605 5,101,305 307 Capital Project Reserve Fund 367,936 1,545 - 1,545 369,481 308 PABC Capital Fund - - - - Subtotal Capital Project Funds 11,736,521 7,006,969 6,283,172 723,797 12,460,319 Enterprise Funds: 401 Surface Water Management 3,009,977 4,432,560 3,461,3071 971,252 3,981,229 690,000 402 Durnas Bay Centre Fund 1,601,055 413,198 561,1 (147,911) 1,453,145 1,500,000 Subtotal Enterprise Funds 4,611,033 4,845,757 4,022,416 823,341 5,434,374 2,190,000 Internal Service Funds 501 Risk Managernent 1,502,5291 1,965,138 2,231,070 (265,931) 1,236,598 $600,000* 502 Information Systems 3218,972 2,326,279 2,503,824 (177,545), 3,541,427 503 Mail & Duplication 217,369 128,183 61,710 66,472 283,841 504 Fleet & Equipment 7,808,824 2,234,642 2,645,978 (411,336) 7,397,498 505 Buildings & Furnishings 2,973,258 493,437 604,230 (110,794) 2,862,465 2,000,000 506 Health Selfln-surance Fund 3,657,598 4,833,199 5,287,523 (454,324) 3,203,274 $0***** 507 Unernployrrent Insurance Fund 273,701 1,138 62,742 (61,604) 212,097 250,000 Subtotal Internal Service Funds 20,152,251 11,982,015 13,397,076 (1,4159061) 18,737,190 2,850,000 Total All Funds S 69,236,800 � S 99,648,958 S 100,561,590 5 (912,632) S 68,324,1 i WOW o �0�0 WAV an-7 37reel run I due to receiving second distribution ofproperty tax. ***The Real Estate Excise Tax Fund current ending fund balance as of 1113012020 is $1,810,778, and is below the required fund balance of $2, 000, 000 primarily due to less large real estate sales this year. **** Per resolution 20-795the Risk Management Fund reserve was reducedfrom $1.2 million to $0.60 million. The 2020 budgeted endingfund balance for the fund is $1.2 million, and we are expecting the fund balance to end the year higher than the reserve policy. In the 202112022 Proposed Budget the endingfund balance at the end of 2022 is projected at $0.63 million. *****The Health SelfInsurance Fund will maintain a reserve in an amount not less than 16 weeks ofbudgeted expenses as recommended by our consultant. SUBJECT: PRELIMINARY DECEMBER 2020 MONTHLY FINANCIAL REPORT POLICY QUESTION: Should the Council approve the Preliminary December 2020 Monthly Financial Report? COMMITTEE: Finance, Economic Development and Regional Affairs Committee MEETITE:January 26,2021 CATEGORY: z Consent Ordinance Public Hearing El City Council Business El Resolution El Other STAFF REPORT BY: A& Ariwoola, Finance Director DET: Finance --- - ------- - ---------- -.-- - - ---- - - --------- Attachments: a Preliminary December 2020 Monthly Financial Report Options Considered: 1. Approve the Preliminary December 2020 Monthly Financial Report as presented 2. Deny approval of the Preliminary December 2020 Monthly Financial Report and provide direction to staff. MAYOR'S RECOMMENDATION: Mayor recommends approval of Option 1. MAYOR APPROVAL: COMMITTEE RECOMMENDATION: I move to forward the Preliminary December 2020 Monthly Financial Report to the February 02, 2021 consent agenda far approval. Conunittee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of the Preliminary December 2020 Monthly Financial Report. (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: APPROVED COUNCIL BILL # DENIED 1" reading TABLED/DEFERRED/NO ACTION Enactment reading MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 08/12/20 10 RESOLUTION # C"" 'A Federal Way Preliminary December 2020 Monthly Financial Report - Highlights The following are highlights of the Preliminary December 2020 Monthly Financial Report. Detailed financial information can be found after the summary report. The 2020 budget was adjusted for the Covid-19 effect later in 2020. We will accrue various revenues and expenditures for the 13' period for December, and will bring back a final December 2020 report in February. Notable Areas I . Sales Tax is $0.35M or 2.4% above 2020 year-to-date budget, but $ 1. IM or 7.0% below 2019 year-to-date collections. The budget was reduced during the budget amendment. There is an additional payment that will be accrued for December 2020 in the final December report. 2. CD Permits & Fees is $0.2M or 10.8% below 2020 year-to-date budget and $2.6M or 56.8% below 2019 year-to-date collections. The budget was reduced during the budget amendment. 3. Utility Tax is $1.26M or 8.8% below 2020 year-to-date budget, but $1.93M or 17.4% above 2019 year-to- date collections. There is one more payment to accrue for December 2020. 4. Business License Fees are 22K or 3.5% above 2020 year-to-date budget, and $237K or 58.3% above 2019 year-to-date collections. Business licensing has increased due to the City going live with the State system. General 4, Sweet Fund Sum Revenues are below the year-to-date budget by $4.6M or 9.4%. Property tax, criminal justice sales tax, admissions tax, gambling tax, state shared revenue, court and probation revenue, CD permits and fees, PW permits and fees, franchise fees, passport agency fees, parks and general recreation fees, police services, and interest earnings are primarily responsible for the decrease in revenues. Sales tax, leasehold tax, and business license fees are above thv year-to-date budget. Total General & Street Fund expenditures are below the year-to-date budget by $4.8M or 10.3%. Jail is under year-to-date budget by $1 .37M or 45. 1 % primarily due to having lower average daily population (ADP) of ininat The budgeted ADP is 70, but actual ADP is 38.6 for January, 43.6 for February, 39.8 for March, 29.5 for Ap&il, 20 for May, 18.1 for June, 19.5 for July, 16.0 for August, 21.3 for September, 19.0 for October, and 24.3 for Novemb [9,eceraber ADP will be available for the final December report in February. �1 Property tax is above 2019 year-to-date actual by $158K or 1.4%, but below 2020 year-to-date budget by $20 IK or 1 .8%. Sales tax is below 2019 year-to-date actual by $ 1.1 IM or 7.0%, but above 2020 year-to-date budget by $0.35M or 2.4%. Additionallsm criminal 2,ustice sales tax collected countgi-wide is below 2019 �Lear-to-date actual b $480K or 15.7%, and below 2020 year-to-date budget by $45 1 K or 14.9%. Community Development permits and fees are below the 2019 year-to-date actual by $2.6M or 56.8%, and below 2020 year-to-date budget by $0.2M or 10.8%. This is primarily due to receiving less large project permit fees in 2020, and construction stopping due to Covid-19. In 2019, two large permit and review fees were collected in February for Davita and Federal Way premier storage. We do not have as many large projects in 2020 as 2019. The budget was reduced during the budget amendment process. Court revenue is below 2019 year-to-date actual by $18 IK or 17.9%, and below 2020 year-to-date budget by $179K or 17.7%. This is primarily due to a decrease in traffic and non -parking infraction enforcement. Probation revenue is below 2019 year-to-date actual by $32K. As of the end of December, probation revenue is $228K less than expenditures, although the probation division was intended to be self-sufficient. New state law (crevents the C4j from a�ygressive collection of both court and L#robation fees from indigent individuals, and most individuals in our courts are identified as indigents. Admissions Tax is being paid monthly and as of the end of December, the City has collected $68K, which is $760K below actuals last year. This is due to the AMC movie theater closing and Covia pandemic. Business License Fees is above 2020 year-to-date budget by $22K or 3.5%, and above 2019 year-to-date actual by $237K or 58.3%. The City went live with the State system on October 3, 2019. Using the State city license. We have professionally and aggressively gone after these businesses and it is paying off. Franchise Fees is below 2020 year-to-date budget by $407K or 34.0%, and below 2019 year-to-date actual by $301K or 27.6%. There is one more payment to accrue for December 2020. #"rlerv; L 2019 year-to-date actuals. Approximately $500K of the decrease is due to Federal Way Public Schools closing and not using school resource officer services. Park & General Recreation Fees is below 2020 year-to-date budget by $746K or 71.1%, and $802K or 72.5% below 2019 year-to-date actuals. This is primarily due to parks facilities closing due to Covid-19 on March 12, 2020. Des�gnafed 0 -ating Funds Expenditures are below 2020 year-to-date budget by $3.51M or 16.4% and are primarily due to Arterial Streets, Hotel/Motel Lodging Tax, Traffic Safety, Utility Tax Prop 1, Surface Water Management, Federal Way Community Center, and Covid- 19. Utility tax revenues received year-to-date as reported on the monthly financial report totals $13.0M and is $1 .93M or 17.4% above 2019 year-to-date actual, but $1.26M or 8.8% below 2020 year-to-date budget. The following is the comparison of 2020 year-to-date actual to 2019 year-to-date actual by category: Electricity — current year-to-date decrease by $539K or 11. 1% Gas — current year-to-date decrease by $101K or 7.1% Water/Sewer — received $2.57M year-to-date, with no amount received in 2019 Solid Waste — current year-to-date increase by $516K or 43.8% Cable — current year-to-date decrease by $174K or 10.2%. Cellular — current year-to-date decrease by $23 8K or 25.9%. T"*1771�117n7TU�'- 2020 year-to-date budget by $415K or 23.6%, and below 2019 year-to-date actual by $ 1.1 IM or 45.3%. The ending fund balance of $1.23M is below the required reserve fund balance policy of $1.5M. Due to the Covid-19 pandernic the Community Center closed to the public on March 12, 2020. Real estate excise tax 2020 year-to-date revenues of $4.5M is below 2019 year-to-date actual by $0.7M but above the 2020 year-to-date budget by $816K or 22.4%. In December, there were 124 taxable residential sales (total sales $49.2M / $244K tax), and 7 commercial sales (total sales $247.OM / $1.22M tax). One sale of Club Palisades apartments in the amount of $174M accounts for $0.86M of the tax received. .FFY OF A Federal Way December 2020 Monthly Financial Report - Detail Beginning Fund Balance $11,662,052' $ 11,662,052 $11,662,052 S 11604,046 -$11,604046 1 S 11,604,041 n/a n/a Revenues Property Taxes 11,143,718 10,917,428 10,917,428 11,275,838 11,275,838 11,075,129 (200,708) -1.8% Sales Tax 15,555,486'' 15,908,863 15,908,863 14,457,381 14,457,381 14,802,838 345,457 2.4% CritninalJustice Sales Tax 3,027,361 3,056,010 3,056,010 3,027,361 3,027,361 2,576,488 (450,873) -14.99•0' Admissions Tax 798,312' 827,537 827,537 806,513 806,513 67,716' (738,797)', -91.6°/0 Gambling Taxes 213,724' 232,942 232,942 145,000 195,000 131,722 (63,278), -32.5% State Shared Revenue 3,157,507'' 3,174,I11 3,174,111 3,022,000 3,022,000 2,689,726 (332,274) -11.00/6 Leasehold Tax 6,000' 5,898 5,898 6,000 ; 6,000 6,349 349 5.8% Court Revenue 1,012,742' 1,015,193 1,015,193 1,012,742 1,012,742 833,962' (178,780) -17.7% Probation Revenue 188,459' 160,622 160,622 188,459 188,459 128,604' (59,855)' -31.8% CD Penn is &Fees 3,854,] 14 41546,432 -1 4,546,432 21201,255 2,2011255 1,463,438 (237,8I7) 14.8%° PW Pennits & Fees 700,752 1,125,969 1,125,969 936,571 936,571 701,982 (234,589) -25.0%° Business License Fees 531,491 406,6661 406,666 622,000 622,000 643,856 21,856 3.5% Franchise Fees 1,186,578 1,092,423 1,092,423 1,198,444 1,198,444 791,101 (407,343) -34.0% L.akehaven Franchise Fees 848,580 900,380 900,380 848,580 848,580 581,007 (267,573) -31.5% Passport Agency Fees 68,000 89,645 89,645 68,500 68,500' 19,845 (48,655) -71.0% Park & General Recreation Fees 1,112,418 1,105,288 1,105,288 1,050,000 1,050,000- 303,696 (746,304) , -71.1% Police Services 85,141 1,585,141 1,895,586 1,895,586 881,440 (1,014,146);' -53.5". Adan n/Cash Management FeesE E375,896fES3 75,896 m 375,846 375,896 375,896 375,896 0 0.0% Interest Earnings 175,616 241,881 241,881 168,216 168,216 62,747 : (105,469) -62.70e Miscellaneous/Other/Grants 1,248,537 1,273,177 1,273,177 1,305,501 '' 1,305,501 1,430,675 125,174 9.6% Covid-19 Grants 4,392,800 : 4,392,800 4,392,561 (239) 0.096 Total Revenues 46,6359058 48,041,503 48,041,503 49,054,643 49,054,644 44,460,778 (4,593,865) -9.4%I Expenditures: City Council 493,462 422,167 422,167 508,211 508,211 473,683 34,528 6.K/o Mayor's Office 1,465,673 1,497,282 1,497,282 972,547 972,547 850,454 122,093 12.6% Coirnnunity Development 2,699,112 2,546,372 2,546,372 -2,773,047 2,773,047 2,498,622 274,425 9.91/. Economic Development 415,973 340,503 340,503 1 495,973 495,973 396,983 98,990 20.0% Human Services 966,388 871,103 871,103 1,153,524 1,153,524 851,138 302,386 26.2% Finance 1,153,267 1,045,013 1,045,013 1,269,595 1,269,595 1,021,595 248,000 19.5% Human Resources/City Clerk 1,171,179 1,113,978 1,113,978 1,068,865 1,068,865E1,412,271 235,913 22.1% Laty 1,550,845 1,607,241 1,607,291 1,685,403 1,685,403 158,983 9.4°i� Municipal Court 1,384,797 _. 1,403,941 1,403,941 I,461,681 1,461,681 49,410 3.4% Probation 355,508 348,498 348,498 367,468 367,468 11,097 3.0% Jail 5,964,972 5,932,095 5,932,095 3,048,950 3,048,950 1,674,518 1,374,432 45.1%' Police 21,305,693 21,225,938 21,225,938 22,16I,963 22,161,963 1 21,335,509 826,454 3 7% Parks & Recreation 4,224,351 4,231,231 4,231,231 4,313,304 4,313,304 3,767,897 545,407 116%' Lakehaven Fire Hydrant/Street Light 955,947 871,984 871,984 955,947 955,947 949,809 6,138 0.6% Public Works 4,601,609 4,420,751' 4,420,751 4,509,364 4,509,364 3,961,736 547,628 12.1% Total Expenditures 48,7089826 47,878,147 47,878,147 46,745,842 46,745,842 41,909,958 4,835 884 10.3%® Revenues o`er/(un'` r) Expenditures (2,073,768) 163,356 1 163,356 2,308,801 2,308,802 2,550,820 242,019 -10.5%® Other Sources: Ongoing Transfers In: Traffic Safety for Operations 1,470,333 1,470,333' 1,470,333 1,549,087 1,549,087 457,406 (1,091,681) -70.5% Utility Tax for Operations 8,058,122 5,713,801 5,713,801 8,030,881 8,030,881 7,682,192 (348,689)' -4.3%' Other Transfers In 549,199 40,000 40,000 1,361,741 1,361,741i 108,000 (1,253,741)' -92.19'° Total Other Financing Sources 10,077,654 7,224J134 7J224,134 10,956 380 10,956380 8,262,269 (2769 1111 -24.6% Other Uses; Transfers Out/Other 3,349,243 1,963,8981 1,963,898 9,406,582 9,406,5821 6,976,413 2,430,169 25.8% Non -Departmental Internal Service Charges 5,897,461 5,481,602 5,481,602 5,940,719 5,940,719 5,940,720 (1) 0.0% Total Other Financing Uses 9,2469704' 79445,500 7,445,500 15,347,301 1 15,347,301 12,917,133 2,430;168 15.8% Total Ending Fund Balance $10A19,234 1 $11,604,041 $ 11,604,041 $ 9 421,926 S 9,521,927 $ 9,500,000 n/a n/a Compared to year-to-date 2019 actual, sales tax revenues are below by $1. 1M or 7.0%. Compared to 2020 year-to-date budget, sales tax revenues are above by $345K or 2.4%. There is usually a two month lag in sales tax revenue. The sales tax collected for October 2020 is paid to the City in December 2020. TERM FRAW eel ae) Conipaneut 2019 i i 2020 Change from 2019 Group Ac c S % Eqiamdon Retail Trade 7,695,408 7,462,820 $ (232,589) -3.0% Up $198K - Building Material & Carden, General Merchandise, Miscellaneous Store Retailers Down $43 IK - Motor Vehicle, Furniture and Hour Furnishings, Clothing & Accessories, Gasoline Stations, Food & Beverage, Nonstore, Electronics & Appliances, Sporting Goods/Hobbies, Health & Personal Care Services 3,804,499 2,849,704 (954, NiS) -25, VUp S73K - Administrative & Support Services Down $LOM - Accomodation, Nursing & Residental Care, Educational Services, Ambulatory Health Care Service, Professional, Scientific, & Technology, Amusement & Gambling, Personal & Laundry Services, Performing Arts, Hospitals, Food Services, Drinking Places Construct 2,258,121 2,59.3 3,248 335,127 14-81/al General Increase Wholesaling 570359 525,419 (44,940) -7.91/o Down $45K -Wholesale Trade Durable& Nondurabi zoods ransp/Utifity T ra r 1,001 3,594 2,593 259.1%® General Increase r_ Internist... 649,421 570,717 (78,704) -12.1% Up $16K- Internet Services, Other Information Services, Broadcasting Down OK - Teleconnurfications, Publishing, Motion Picture & Sound Recording Manufacturing 216,128 131,625 (84,503) -39. 1 %1 General Decreas e Govemmont 226,490 226,088 (402) -0.2%® Coneral Decrease Fin/Insurance 408,380 402,518 (5,862) - 1,40/a Up $16K Real Estate, Insurance Carriers & Related ,/Real Estate Down $22K Credit Intermediation, Rental & Leasing Services ,Other 79,056 37,104 (41,952) -53.1%o General Decrease YIED ToW IS 15,908,864S 14,802,837 S(1,106,027), -7.0%j Utility Tax (Total 7.75%) The utility taxes year-to-date is $1.93M or 17.4% above 2019 year-to-date actual due to extension of utility tax to water and sewer services, but $1.26M or 8.8% below 2020 year-to-date budget. There is usually a two month lag in utility tax revenue. The utility tax collected by utility companies for October 2020 is paid to the City in December 2020. The City of Federal Way provides a utility tax rebate for qualifying individuals that have paid for Utility bills within the City of Federal Way, who are 65 years or older, disabled/unable to work, and qualify as low income during the affected calendar year. This is an annual program that opens January 11t and closes April 301 of each year. The City processed 74 rebates in 2019, for a total of$7,497. The City processed 53 rebates in 2020, for a total of $5,721. Due to COVID-19 we accepted applications through the end of May instead of April in 2020. LMLITV TAXES - by T' Te Fear -to -elate turn December 2020 Fa%orabl el(Unfa%orabl e) Utility 2019'' 2020 Change from2019 Type Actual Actual S of Electric S 4,850,487 S 4.311,040 S (5397447)A43.8% Gas 1,425.125 1324.509 (100,616) Water/Sewer 2567,359' 2.567359 Solid Waste 1,177.080 1,693.065' 515,985Cable 1,716,154` 1.541.794' (174,360)Phone 703,938 581.568' (122.371) -174 Cellular 920.666 682.335 (238,331) -25 9% Pager 861 52 (34) -39.5% SW M 316.045 340,914 24,869 7 9% TaxRcbate (7,497) (5,721) 1,776 0.0% YTD Total $11,102,084 S 13,036,915 S 1,934,830 17.41 Real Estate Excise Tax Compared to 2019 year-to-date actuals, collections are below by e - receipt of $1.5M is above December 2020's projections by include December 2020 activities which none were tax exempt. There were 131 real estate transactions, of taxable residential commercial sales (total sales I. uszli 1 +< ,, 1 Building, planning, e zoning permit 1 activities below j� 1� , by $2.6M or 56.8%. Compared to •.te bud activity is below by 1 or i t 44 i - HOTEIJMOTEL LODGING TAX REVENUES Year -to -dare rhrn December` 2020 Favorable/(Unfavorable): 2019 2020 Change from 2019 YIrD Actual Budget Month Actual Budget Actual S % S % Jan Fel➢ 22,862 18,263 20,477 (2,384) -10.4°/a 2,215 121% Mae 17,340 17,615 18,201 861 5.0% 585 3.3% Apr 21,015 21,984 12,425 (81590); -40.9®/® (9,559) -43.5% May 26,343 25,283 6,289 (20,054) -76.1%'' (18,993) -75.1% Jun 21,450 21,466 11,734 (9,716) 45.3% (9,733) -453% Jul 23,485 24,875 5,397 (18,0881' -77.0% (19,478) ,' -78.3% Aug 31,724 32,603 10,228 (21,496) -67.8% (22,375) -68.6% Sept 31,912 35,477' 9,697 (22216) -69.6% (25,780) -72.7% Oct 32,607 36,3481 10,950 (21,657) .49/6 (25,398) -69.9% Nov 26,575 27,969' 9,957 (16,618) -62.5% (18,0I1) -64.4% c 37,672 38,118' 12,109 (25,563) -67.9°/® (26,009)1 -68.2% YID Total S 292,986 S 300,000 S 127A64 S 165.5222 -56.5% S 172,536 -57.� Annual Total S 292 986 S 300,000 n!a BUILDING& LAND USEPERMITS AND F (CD) Year -to -elate thru December 2020 F eora lel(Unfavorable),, 2019 2020 Change from 2019 VTD Actual vs Buget Month Actual Budget Actual $ %' $ and Jan 203,9961 171,645 170,936 (33,060) -16.2% (709) -0.4% Feb 37I,050 321,145 164,352 (206,697) -55.7% (156,793) -48.8%' Mar 217,643 251,596' 198,647 (18,996) -8.7%® (52,949) -21.0% Apr 510,894 328,862 208,283 (302,6I0) -59..2%m (120,579) -36.7%. May 825,324 416,781 143,034 (682,290) -82.7% (273,748) -65.7% Jun 163,185 240,387 162,861 (325) -0.2%a (77,527) -32.3% Jul 238,899 84,525 75,894 (163,005) ' -68.2% (8,632) -10.2% Aug 436,819 85,663 146,947 (289,872) -66.4% 61,284 71.5% Sept 191,193 71,187 236,817 55,623 30.7% 165,630 232.7% Oct 600,317 93,213 132,715 (467,602) -77.9% 39,502 42 4%d Nov 359,558 71,605 ' 176,803 (182,754) -50.$% 105,198 1469%I Dec 437,556 64,645 146,150 (291,405) -66.6% 81,505 126.1% YTD Total' $ 4,546,432 $ 2,201,255 $ 1.961438 $ (2,582,994) -5618% $ (237,817) -10.8% Annual Total S 4t5461432 S 2,201.255 n!a n!a n/a n/a n!a Police Department The total overtime budget of $1.01M consists of $767K for City overtime and $239K for billable time. Compared to 2020 year-to-date budget, City's portion of overtime is $137K or 17.9% above year-to-date projections. Compared to year-to-date 2019 actuals, City's portion of overtime is below by $43K or 4.5%. Including the decrease in billable overtime, total overtime decreased by $95K or 7.1 % below the same time last year. The December overtime decrease of WK below 2019 year-to-date actual is primarily due to a decrease in shift -call in and shift extension for special investigations. Year-to-date thru December 2020 (Favorable)/Unfawrable Change from 2019 YFD Actual is Budget 2019 2020 Nbnth Actual Budget Actual % 58.150 63.246 12Z979 $ 69,829 IM 1% $ 64,733 10241% _Lan _ Feb _I 52,654 _I 59371 101,411 48,757 92,6% - -- ---- ------ 42,041 - 7081/o _Me, 56.669 _55A57 64,125 7,455 112%, 8,667 15.61% Apr 75,2301 59,8M 44,288 _1399 M -41,1%LL15,520) -25, May 85,6691 70,270 66,174 (19,495)1 -22,8% (4,096) -5,8% Jun 90.055 64,846 65-514 (24.5 -273% 669 10% Jul 122545 88,019I 94,915 (27,631 -225% 6,895 7,81/o Aug 83,753 19,635 30,61/. 28,890 -12,478 52,71/.l :$i�67,294 56,36868,846 1,546 T3--/. 22,1% Oct 93,8041 73,193 50,413 (43,3391) -46,3% (22,780) -31,1% Nov 67,610 61,761 66-258 -201/. 4-497 73% Dec 113.705 59.954 70.881 (42824)1 -37.7% 10.9261 18.2% City Portion 947" 767,135 9D055 (42,9541 4,5% 137,400 17,90/c Billable 383,513 238500 331617 (517896) -13-5% 93117 R0% YrD Total I $1,005,655 S1,236.172 94A49 -71 % S 230,517 22.9%1 Billable _11,331,021 I $ 01 $ $ - Annual Total $ ljj],021 [ $ 1,005 6SS ala "/a n Jail Services The City discontinued its relationship with SCORE as of December 31, 2019. The City now has multiple contracts with other governmental agencies for its jail services. The total jail budget is $3.05M and it is for jail services contracts, salaries and wages for a jail coordinator, 2 jail transport officers, and equipment and vehicles needed to transport ininates. Salaries &Benefits I MW NIM. W, IMA M InA MW Intergowrnmental jail serNices in 2018 and2019 are payments to SCORE 2018 DebtService 1f$934K"as paidforbySCORF- ln2019 SCOREDebtwas refinanced and includes debt service refinance costs. The jail budget was reduced by $380K in the budget adjustment passed in July 2020. The original budget for jail was $4,363,3� A including debt service payments. In addition to the $3.05 million budget above, the City continues to be liable for its portion of the debt service on the SCOPE building. The total remaining principal debt the City owes as of 12/31/2020 for SCORE is $10,565,000, and we're servicing this debt by about $0.9 million a year. Traffic Safety Red light & 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. Traffic Safety Fund pays for I Lieutenant, 8 Police Officers, 3 City Traffic positions, Municipal Court security services, red light photo services contract, Valleycomin emergency communication services, School Zone Enhancements capital improvement projects, and patrol vehicles. Court operation and probation service revenues are $213K or 18.1% below 2019 year-to-date actuals and $239K or 19.9% below 2020 year-to-date budget. • Ll- I 'Decernber Probation Fees WAI The Federal Way Community Center Fund was established as a special revenue fund supported by user fees and utility tax transfer. Due to the Covid-19 pandemic this facility closed to the public as of March 12', 2020 and reopened September V, 2020. The Community Center closed again on November 17", 2020. The operating revenue budget includes $1.17M in user fees/program revenues, and $312K contribution from utility tax for operation, and $572K contribution from general fund for operation. The fund balance of $1.23M as of 12/31/2020 is below the required reserve policy of $1.5M Year-to-date operating revenues total $0.5M which is $680K or 57.9% below the 2020 year-to-date budget. In comparison to 2020's year-to-date budget: •Daily Drop -in revenues are $142K or 67.4% below the projected revenue, and $256K or 78.9% below last year. Revenues are down due to Covid-19. The Community Center closed again on November 17,h, 2020. Pass Revenues are $206K or 43.7% below the projected revenue, and $487K below last year. Revenues are also down due to Covid-19 and closing of the Community Center on March 12'h, 2020. The Community Center opened again on September 1", and closed again on November 17'h, 2020. * Aquatic Programs/Lessons are $55K or 56.6% below the projected revenue, and $114K below last year. Due to the Covid- 19 pandemic the pool was closed. * Rentals are $125K or 70.4% below the projected revenues, and 184K below last year. Youth Athletic Programs are $20K or 61.8% below the projected revenues. Revenues are also down due to Covid-19 and closing of the Community Center. Year-to-date operating expenditures total $13M which is $415K or 23.6% below the year-to-date budget. Federal Way Community Center has recovered 36.8% of operating expenditures compared to 71.2% this time last year. The year-to-date budgeted recovery ratio is 66.9%. Personnel Costs are $294K or 24.3% below the projected budget. The facility was closed to the public as of March 12tJ', 2020. Supplies are $74K or 42.8% below the projected budget. The facility closed to the public on March 12`J', 2020 and building maintenance supplies have been reduced. Other Services J Charges are or * . below the projected t due to * * * and the closer of the facility. The facility has also required major repair and maintenance this year such as air filters, fire hood certification, fire alarm inspections, sand media replacement in pool filters, pool light replacement, and touchless items throughout the facility such as toilets, drinking fountains, and turnstile entry gates. • •'t'.. • y s Dumas Bay Centre Fund year-to-date revenue of $126K is $233K or 64.9% below 2020 year-to-date budget of $360K, and $800K or 86.4% below year-to-date 2019 actual. Due to the Covid-19 pandemic this facility was closed to the public on March 12", 2020. The fund balance of $1.4M is below the required reserve policy of $1.5M. 2019 2020 < 1TD Ba 4t vA Aquid Damn Bay Centro Fund Anatud YrD VID VrD Fawauegumrshle)! OF 12131(2020 Budget AauAmv Actin Bu et Bu et Actual S % B lsonnt :Vkned B nnce $ - J,5R5.69s 1 4R.5.695 F 1,SRS 695 F IAMA56 S ::Ifia ,0,56 S.: 1.E91,0i5. N. oFer.AirmlYCAYl8Md31 _ Jn-Housc Food Smiczs... 3T5 (W _ 3RR615 3R8615 139196 i19196 51, 990 (77306k -59,R%'. D— %v Retreat Centcr 537 551.. ?07, %_64 � W 230,465. 2IR46-5: ' .: ]64 16 ',, -712'/ KnutanF Th-irc 16000 34,438 34,438 9068. 8068 ''.. n/a TOW gymiften-es ".: 938751 _ 925 77: 925.917 359.661 359 661 : 126..256 (233.4051 Z 4C9 1. O _reli .Fs nsos.= In Fiause.Fnod ScrvWcc_ 3�.709 c _359.469 .. ..,�,�....,.., 359468 .:::........:...�.�.. 246309 ..-..-...:.-Mm�...,..,-,n. 246309 15$476. .... 8ZR33 .,7, .-3 -. 357°/ , Pauras 83.iv: Wircat Cutllcr 551 567 541 87X 541 R38 35Ye 178 39(,17R 365 939: 30,240 7 6%' . .f hcalri:. 7 600 KnUtzcn fanv. 3 i1RR . a RRR 7 6M 7 &,)D 457. ? 14.1 ', ?R 211 "sand C1rufin.t2aes 455 72 405.1 „ .94. 405,1„44 ,�,. m 650.ORT 6SO.OA7 ' : 529872: �.,„_ 120„2I .., ,».--,.h�,,.n,p :' 185 1 nnes::r/ L�, 1er,}�Fkttses 17.171 2D 72,1 2 'X23 Y90 426 2.9D 426 403616 113.189 9911 1 102.29 f 102.29% 5533% 5'S33 23„83 Is ndm'. ......_.p Taansfar Jn an Fund _.: 260371 762371 260371.. ',. n/a Tr9nsfa:r.J.n i ItlJrtv Taz 23 000 m- 23 01K) 73 W . 13 (im .. Total other sn,®.rces 23 000 _: ,........_. ,.,...ww ,......®.V.....,..®.2A3 371 _ 28.3 7F.m _,. .,�A3 371. Pu Station M&o 4000 536? 5362 '.... 4vW) 4(= 191-. 3707 I: 93 Re . in & Maintenance -. 90 000 90.000 65.678 24 321 n/a ToW Other Q-ts 4 000 5-36:L 5362. F4 000 94 000 65.471 2&029 ::. 30 /: M1i = Net lne J 979 J5.361 J$36J (18Sx.216 i 3$ 161 !1 FiotA I+'unit Balm+ra .S # SAa..574 5 1:6Of A56.I F 1,601A-1,5 S 1400 990 S L500„000 t S 1,414.A40 5 55 161 : -10% Self -Insured Health Insurance Fund Self -Insured Health Insurance Fund year-to-date contributed revenue is $5.4M. Currently the revenue is generated from the employri '91"11 W-MUM-4 MINOR"- I all IN MIM-1 IN-lililillill 5 r. �ag�-M 4 W, I id are $5.8M for prescription services, medical services, stop loss, professional services, and wellness program. The ending fund balance for the program is $32M. Our consultant is recommending a premium increase of 4% in the next two years and 8% in 2023. I Performing Arts & Event Center Operations (PAEC) year-to-date revenue and beginning balance, and transfer in is $1.35M, and is $23K or 1.7% above year-to-date budget. Year-to-date operating expenditures total $1.35M, and are $23K or 1.7% above year-to- date budget of $1.33M. Year-to-date $0.88M or 92.6% of $0.96M budgeted operating subsidy has been used and the PAEC Fund has a ftind balance of $0. As of 12/31/2020 the balance of debt service principal was $4,410,000. Final December report will be provided in February. zuzi = (57,971avirl-s-t 19). On March 12, 2020 the Federal Way Community Center, Dumas Bay Centre, and Performing Arts & Event Center were closed to the public. Then, on March 23, 2020, State Gov. Jay Inslee issued statewide two week stay home orders and closed all the businesses except essential services. On April 3, 2020 the stay home orders were extended through May 4'. Year-to-date the city has spent $4,545,518 on Covid-19 related expenditures. The City received reimbursement from the State in the amount of $4,402,800, and is expected to receive reimbursement for the CDBG grant. The City also received a King County Covid-19 grant in the amount of $149,426, of which $124,187 has been spent. The City will be making another payment in the 13" month, but the Economic Development Director has indicated that we may have to send a small portion back of the King County Covid-19 grant. II"011NTelYip/(li�'&Ioil 100.�'� FYtnd plFund Neme Begin Balance YM YrD VrD Net EndingBalance RequiredFund 1/1/2020Revenue Fxl nditures inco !(Iris) 12/31/2020* Balance 001/101 General/Street Fund $ 11,604,046 S 54,418,890 56,522,936 S (2,104,046) ;S 9,500,000 $9,500,000*' Special Revenue Funds: 102 Arterial Street 621,584 2,137,037 1,935,052 201,985 823,569 $100,000' 103 Utility Tax(*) 1,569,984 10,248,136 9,970,233 277,903 1,847,887 1,500,000' 104 Affordable & Supportive Housing Sales Tax 113,558 - 113,558 113,558 -' 106 Solid Waste &Recycling 194,472 467,229 559,216 (91,988) 102,484 LL' 107 Special Contracts/Studies Fund € 748,927 57,391 - 6,484 50,907 799,835 -- -' 109 Hotel/Motel Lodging Tax 1,329,006 133,348 28,785 104,563 1,433,569 200,000' 1102% for the Arts 111 Federal Way Community Center 1,208,267 1,378,121 1,355,357 22,764 - 1,231,031 $1,500,000 112 Traffic Safety Fund 1,389,468 2,347,184 2,508,081 (160,897) 1,228,571 1,200,000' 113 Real Estate Erise TaxFund 3,219,084 4,469,415 4,409,789 59,626 3,278,710 $2,000,000 114Prop i Utility Tax 1,144,644 3,592,751 3,737,396 (144,644) 1,000,000 1,000,000 7_j 115 Performing Arts & Event"Ctr Operations (110,546) 1,465,075" 1,354,529 110,546 (0) 119 CDBG 35,284 461,212 777,480 (316,269) (280,984) - 120 Path & Trails 1,191,437' 294,678 294,678 1,486,115 121 Technology �' 3,013 158,510 10,099 148,411 151,424 188 Strategic Reserve Fund 3,573,800 15,451 - 15,451 1589,252 3.000,000 189 Parks Reserve Fund 1,080,794 49,866 - 49,866 1,130,660 1,125,000 ,Subtotal Special Revenue Funds 17,199,217 27,388,964 26,652,902 736,462 1 17,935,679 $11,625,000 201 Debt Service Fund 3,933,732 2-348,246 2,715,462 (367,216) 3,566 515 Capital Project Funds: 301 Downtown Redevelopment 21526,754 1,002,689 100,000 902,689 3,429,443 302 Municipal Facilities 288,595 1,248 - 1,248 289,843 303 Parks 1,741,591 342,266 217,269 174,997 1,916,588 304Surface Water Management 1,925,945 17,307 465,128 (447,821)1 1,478,124 W 306 Transportation 4,885,700 5,897,436 6,269,319 (371,883) 4,513,817 307 Capital Project Reserve Fund 367,936 1,591 - 1,591 369,527: 308 PAEC Capital Fund p - Subtotal Capital Project Funds 11,736,521 7,312,536 7,051,716 260,820 11,997,342 -F_nletprise Funds: 401 Surface Water Management 3,009,977 4,475,458 7 3,854,265 621,193 3,631,170' 690,000 402 Dumas Bay Centre Fund 1,601,055 409,627 595,843 (186,216) 1,414,840 1,500,000' ;Subtotal Enterprise Funds 4,611,033 4,885,085 4,450,108 434,977 5,046,010 2,190,000'I Internal Scrvrcc Funds 501 Risk Management 1,502,529 2,092,696 2;322,830 (230,134) 1,272,395 $600,000"#` 502Information Systems 3,718,972 21536,448 2,311,816 224,632 3,943,605 503 Mail & Duplication 217,369 139,547 66,133 73,414 290,783 504 Fleet &Equipment 7,808,824 2,422,014 2,623,338 (201,323) 7,607,500 >" 505 Buildings & Furnishings 2,973,258 534,611 528,405 6,206 2,979,464 2,000,000 506 Health Selflnsurance Fund 3,657,598 5,367,687 5,829,418 (461,731) 3,195,867 S0****' 507Unenployment Insurance Fund ---- 273,701 1,165 62,742 (61,577) 212,124 250,000 .. ;Subtotal Internal Service Funds 20,152,251 13,094,168 13,744,682 (650,513) 19,501,738 2,850,000 Total All Funds ',S 69,236.800 S 109,447,890 1 S 111,137,406 S' (1,689,515) S 67,547,284 *The Fund balance prior to any adjustments or depreciation "The General and Street Fund required fined balance is $9.5M and the current ending.fund balance as of 1213112020 is $9.500,000. ***The FWCC Fund required./und balance is $1.5M and the current ending fund balance as of 1213112020 is $1.2M due to a decrease of revenue from Covid-19 closure of the facility. ****The Dumas Bay Centre Fund required.firnd balance is $1.5Mand the current endingfund balance as of 1213112020 is $1.4Mdue to a decrease of revenue from Covid-19 closure of the facility. *****Per resolution 20-795the Risk Management Fund resen�e was reduced from $1.2 million to $0.60 million. The 2020 budgeted ending fund balance far the find is $1.2 million, and we are expecting the find balance to end the year higher than the resen e policy. In the 202112022 Proposed Budget the ending fund balance at the end of 2022 is projected at $0.63 million. ******The Health Self Insurance Fund will maintain a resen�e in an amount not less than 16 weeks of budgeted expenses as recommended by our consultant. ******The Unemployment Insurance Fund required fund balance is $0.25Mand the current ending.fltnd balance as of 1213112020 is $0.21Mdue to more unemployment insurance claims from temporary layoffs of employees who worked for the facilities that closed due to Covid-19. COUNCIL MEETING DATE: February 2,2021 ITEM 5f CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: NCAA DIVISION III SWIMMING AND DIVING CHAMPIONSHIPS POLICY QUESTION: Should FEDRAC forward the LTAC recommendation of the Tourism Grant Agreement with the Seattle Sports Commission for the event coordination of the202I NCAA Division III Men's and Women's Swimming and Diving Championships? CATEGORY: Z Consent El Ordinance E:1 Public Hearing E] City Council Business El Resolution 0 Other STAFF REPORT BY: Tim Johnson DEPT: Economic Development . . .................. Attachments: 1. Staff Report 2. Agreement/Contract (Seattle Sports Commission) *rptions Considered: 1. Approve the proposed agreement. 2. Do not approve the proposed agreement and provide direction to staff. Option 1. Jr LECTOR APPROVAL:— Z COMMITTEE RECOMMENDATION: "I move to forward the proposed Agreement to the February 2, 2021consent agenda far approval. " IV) �q lmv, m a 7ow Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of the proposed Agreement, and authorize the Mayor to execute said agreement. (BELOW TO BECC MPLETED BYCITY CLEEI'FoFFrcE�..._,,_ COUNCIL ACTION: 11 APPROVED COUNCIL BILL # 11 DENIED First reading TABLED/DEFERRED/NO ACTION Enactment reading MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 11/2019 RESOLUTION 9 DATE: January 15, 2021 TO: FEDRAC ' VIA: Jim Ferrell, Mayor FROM: Tim Johnson, Economic Development/Lodging Tax Advisory Committee SUBJECT: Approval of Seattle Sports Commission for Event Coordination of the 2021 NCAA Division III Men's and Women's Swimming and Diving Championships The contract amount was approved by the City Council in the 2021/2022 Budget. The funds come from the Lodging Tax Advisory Committee Lodging Tax as part of its budget. The use of Lodging Tax dollars under RCW is an allowable under RCW 67.28.1816 (b) The marketing and operations of special events and festivals designed to attract tourists. Should FEDRAC forward the LTAC recommendation of the Tourism Grant Agreement with the Seattle Sports Commission for the event coordination of the2021 NCAA Division III Men's and Women's Swimming and Diving Championships? BACKGROUND The Lodging Tax Advisory Committee, LTAC has, as a function of its budget annually allocated Lodging Tax dollars for the sponsorship of the NCAA Swimming and Diving Championships. This budget item has been approved by the City Council as part of the LTAC budget. In 2018, the City of Federal Way, King county and the Seattle Sports Commission were awarded the bid for hosting the 2021 NCAA Division III Championships. The City of Federal Way previously hosted the NCAA event in 2012. It will host again in 2025. DISCUSSION Tax and Advisory Committee, LTAC as a member of the team that won the bid to host the 2021 NCAA Division III Men's and Women's Swimming and Diving Championships is responsible for assisting in the event, specifically financially contributing $35,000.00 in support of the -9C Center. Additionally, LTAC recommends the sponsorship/grant of $35,000.00. To accommodate this action, the LTAC working with the Finance Department has had a separate line item in their budget every year for this event similar to its budget actions associated with setting aside Lodging Tax dollars for hosting the US Olympic Dive Trials. This budget item was presented to and approved by the City Council as part of the LTAC 2021/22 Budget. ATTACHMENTS ract. Seattle CITY HALL 33325 Sth Avenue South Federal Way, WA 98003-6325 (253) 835-7000 www cityoffederalway com fflmlyp__X�i FOR SEATTLE SPORTS COMMISSION This Tourism Grant Sponsorship Agreement ("Agreement") is made between the City of Federal Way, 7 Washington municipal corporation ("Cityand Seattle Sports Commission, a Washington non-profit corporation ("Grantee"). The City and Grantee (together "Parties") are located and do business at the below addresses which shall be valid for any notice required under this Agreement: Beth Knox 3633 136 TI PL STE 208 Bellevue, WA 98006-1455 i6wo"M Tim Johnson 33325 8th Ave. S. Federal Way, WA 98003-6325 (253) 835-2412 (telephone) (253) 835-2409 (facsimile) 1. TERM. The term of this Agreement shall commence upon the effective date of this Agreement, which shall be the date of mutual execution, and shall continue until the completion of the Work, but in any event no later than April 30, 2021 ("Term"). This Agreement may be extended for additional periods of time upon the mutual written agreement of the City and the Grantee. "1000V3VJXLW 2.1 Event. The Grantee is producing the NCAA Division III Men's and Women's Swimming and (Fiving Championships, which will take place on March 17 through 24 (the "Event"). Grantee shall provide goods, materials, or services and otherwise perform the work more specifically described in Exhibit "A," attached hereto and incorporated by this reference ("Work"), performed to the City's satisfaction at the Event, within the time period prescribed by the City and pursuant to the direction of the Mayor or his or her designee. 2.2 M�arranties. The Grantee warrants that it has the requisite training, skill, and experience necessary to execute the Event and is appropriately accredited and licensed by all applicable agencies and governmental entities, including but not limited to obtaining a City of Federal Way business registration, if required. The Grantee warrants it will provide execute the Event in a manner consistent with the accepted [!,ractices for other similar services within the Puget Sound region in effect at the time those services are - [performed. The Grantee warrants goods are merchantable, are fit for the particular purpose for which they were obtained, and will perform in accordance with their specifications and Grantee's representations to City. The Grantee shall, at its sole cost and expense, correct all Work performed which the City deems to have defects in workmanship and material discovered within one (1) year after the City's final acceptance of the Work. This Agreement is subject to all warranty provisions established under the Uniform Commercial Code, Title 62A RCW. In the event any part of the goods are repaired, only original replacement parts shall be used; rebuilt or used parts are not acceptable. When defects are corrected, the warranty for that portion of the work shall extend for one (1) year from the date such correction is completed and accepted by the City. The Grantee shall begin to correct any defects within seven (7) calendar days of its receipt of notice from the City of the defect. If the Grantee does not accomplish the corrections within a reasonable time as determined by the City, the City may TOURISM GRANT AGREEMENT - 1 - 3/2017 CITY OF P6deral VWky CUTY HALL 33325 8th Avenue South Federal Way, WA 98003-6325 (253) 835-7000 www cityoffederalway com complete the corrections and the Grantee shall pay all costs incurred by the City in order to accomplish the correction. 3. TERMINATION. Either party may terminate this Agreement, with or without cause, upon providing the other party thirty (30) days written notice at its address set forth on the signature block of this Agreement. The City may terminate this Agreement immediately if the Grantee fails to maintain required insurance policies, breaches confidentiality, or materially violates Section 12 and such may result in ineligibility for ftirther City agreements. I SOANK01101 I . Ill-WOM sp)onsorsfii�) To Vie Main I I a11104 IL 110L LO eAcect a I FLUL U11L dQUVDL1119 L* a ram 41f ITIC, 11*4" d delineated in Exhibit "B," attached hereto and incorporated by this reference. The Grantee agrees that any • • flat rate charged • it for its services contracted • herein shall remain locked at the negotiated rate(s) for the Tenn. Except as otherwise provided in Exhibit "B, the Grantee 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. 4.2 Noti-Appropriatibn of Fbhd§. If sufficient funds are not appropriated or allocated for payment under this Agreement • any future fiscal period, the City will not be obligated to make payments for Work • amounts incurred after the end of the current fiscal period, and this Agreement will terminate upon the completion of all remaining Work for which funds are allocated. No penalty or expense shall accrue to the City in the event this provision applies. 4.3 Final Pqyme it: Waiver of Claims. Grantee's acceptance of final payment shall constitute a waiver of any and all claims, except those previously and properly made and identified by Grantee as unsettled at the time request • final payment is made. 5.1 Gtafitee� ffid6innifigation. The Grantee agrees to release indemnify, defend, and hold the City, its elected officials, • employees, agents, representatives, insurers, attorneys, and • harmless from any and all claims, demands, actions, suits, causes of action, arbitrations, mediations, proceedings, judgments, awards, injuries, damages, liabilities, taxes, losses, fines, fees, penalties expenses, attorney's fees, costs, and/or litigation expenses to or by any and all persons or entities, including, without limitation, their respective agents, licensees, or representatives, arising from, resulting from, or in connection with this Agreement or the performance of this Agreement, except for that portion of the claims caused by the City's sole negligence. Should a court of competent jurisdiction determine that this Agreement is subject to RCW 4.24.115, then, in the event of liability for damages arising out of bodily injury to persons or damages to property caused by or resulting from the concurrent negligence of the Grantee and the City, the Grantee's liability hereunder shall be only to the extent of the Grantee's negligence. Grantee shall ensure that each sub -Grantee shall agree to defend and indemnify the City, its elected officials, officers, employees, agents, representatives, insurers, attorneys, and volunteers to the extent and on the same terms and conditions as the Grantee pursuant to this paragraph. The City's inspection or acceptance of any of Grantee's work when completed shall not be grounds to avoid any of these • • indemnification. 5.2 Industrial Insurance Act Waiver. It is specifically and expressly understood that the Grant-vi TOURISM GRANT AGREEMENT - 2 - 3/2017 CITY Of Foderal Aby CITY HALL 33325 8th Avenue South Federal Way, WA 98003-6325 (253) 835-7000 www cityoffederalway coma waives any immunity that may be granted to it under the Washington State industrial insurance act, Title 51 RCW, solely for the purposes of this indemnification. Grantee's indemnification shall not be limited in any way by any limitation on the amount of damages, compensation or benefits payable to or by any third party under workers' compensation acts, disability benefit acts or any other benefits acts or programs. The Parties further acknowledge that they have mutually negotiated this waiver. 5.3 City Indemnification. The City agrees to release, indemnify, defend and hold the Grantee, its officers, directors, shareholders, partners, employees, agents, representatives, and sub- contractors harmless from any and all claims, demands, actions, suits, causes of action, arbitrations, mediations, proceedings, judgments, awards, injuries, damages, liabilities, losses, fines, fees, penalties expenses, attorney's fees, costs, and/or litigation expenses to or by any and all persons or entities, including without limitation, their respective agents, licensees, or representatives, arising from, resulting from or connected with this Agreement to the extenl. solely caused by the negligent acts, errors, or omissions of the City. 5.4 Survival. The provisions of this Section shall survive the expiration or termination of this Agreement with respect to any event occurring prior to such expiration or termination. If,. INSURANCE. The Grantee agrees to carry insurance for liability which may arise from or in connection with the performance of the services or work by the Grantee, their agents, representatives, employees or subcontractors for the duration of the Agreement and thereafter with respect to any event occurring prior to such expiration or termination as follows: 6.1. Minimum Limits. The Grantee agrees to carry as a minimum, the following insurance, in such forms and with such carriers who have a rating that is satisfactory to the City: a. Commercial general liability insurance covering liability arising from premises, operations, independent contractors, products -completed operations, stop gap liability, personal injury, bodily injury, death, property damage, products liability, advertising injury, and liability assumed under an insured contract with limits no less than $1,000,000 for each occurrence and $2,000,000 general aggregate. b. Workers' compensation and employer's liability insurance in amounts sufficient pursuant to the laws of the State of Washington; C. Automobile liability insurance covering all owned, non -owned, hired and leased vehicles with a minimum combined single limit in the minimum amounts required to drive under Washington State law per accident for bodily injury, including personal injury or death, and property damage. 6.2. No Limit of Liability. Grantee's maintenance of insurance as required by the agreement shall not be construed to limit the liability of the Grantee to the coverage provided by such insurance, or otherwise limit the City's recourse to any remedy available at law or in equity. The Grantee's insurance coverage shall be primary insurance as respect the City. Any insurance, self-insurance, or insurance pool coverage maintained by the City shall be excess of the Grantee's insurance and shall not contribute with it. KAJ 1111111120 1 9 6.4 Survival. The provisions of this Section shall survive the expiration or termination of this Agreement. TOURISM GRANT AGREEMENT - 3 - 3/2017 CITY OF AN Federal Woy CITY HALL 33325 Sth Avenue South Federal Way WA 98003-6325 (253) 835-7000 www cityoffederalway cam 7. CONFIDENTIALITY. All information regarding the City obtained by Grantee in performance of this Agreement shall be considered confidential subject to applicable laws. Breach of confidentiality by the Grantee may be grounds for immediate termination. All records submitted by the City to the Grantee will be safeguarded by the Grantee. The Grantee will lully cooperate with the City in identifying, assembling, and providing records in case of any public records disclosure request. 8. WORK PRODUCT. All originals and copies of work product, including plans, sketches, layouts, designs, design specifications, records, files, computer disks, magnetic media or material which may be produced or modified by Grantee while performing the Work shall belong to the City upon delivery. The Grantee shall make such data, document§, and files available to the City and shall deliver all needed ♦.:. contracted for work product upon the City's request. At the expiration or termination of this Agreement, all originals and copies of any such work product remaining in the possession of Grantee shall be delivered to the City. 9. 1400kS AND lk"RDS. The Grantee agrees to maintain books, records, and documents which sufficiently and properly reflect all direct and indirect costs related to the performance of the Work and maintain such accounting procedures and practices as may be deemed necessary by the City to assure proper accounting of all funds paid pursuant to this Agreement. These records shall be subject, at all reasonable times, to inspection, review or audit by the City, its authorized representative, the State Auditor, or other governmental officials authorized by law to monitor this Agreement. 10.1 Independence. The Parties intend that the Grantee shall be an independent contractor and that the Grantee has the ability to control and direct the performance and details of its work, the City being interested only in the results obtained under this Agreement. The City shall be neither liable nor obligated to pay Grantee sick leave, vacation pay or any other benefit of employment, nor to pay any social security, income, or other tax which may arise as an incident of employment, except as specifically provided in Section 4. Industrial or any other insurance that is purchased for the benefit of the City, regardless of whether such may provide a secondary or incidental benefit to the Grantee, shall not be deemed to convert this Agreement to an employment contrzct. 10.2 Safely. Grantee shall take all necessary precautions and shall be responsible for the safety of its employees, agents, and subcontractors at the work site and in the performance • the contract work and shall utilize all protection necessary for that purpose. Grantee shall comply with all applicable provisions of federal, state and municipal safety and health laws and codes, including without limitation, all OSHA/WISHA requirements, Safety and Health Standards for Construction Work (Chapter 296-155 WAC), General Safety and Health Standards (Chapter 296-24 WAC), and General Occupational Health Standards (Chapter 296-62 WAC). Grantee shall erect and properly maintain, at all times, all necessary guards, barricades, signals and other safeguards at all unsafe places at or near the site for the protection of its employees and the public, safe passageways at all road crossings, crosswalks, street intersections, post danger signs warning against known or unusual hazards and do all other things necessary to prevent accident or loss of any kind. Grantee shall protect from damage all water, sewer, gas, steam or other pipes or conduits, and all hydrants and all other property that is likely to become displaced or damaged by the performance of the Work. The Grantee shall, at its own expense, secure and maintain a safe storage place for its materials and equipment and is solely responsible for t.Ve :.•i TOURISM GRANT AGREEMENT -4- 3/2017 4 CITY OF ;Otlemi Wal CITY HALL 33325 8th Avenue South Federal Way, WA 98003-6325 (253) 835-7000 www cayoffederalway cony sole protection and benefit of the Parties hereto. No other person or entity shall have any right of action or interest in this Agreement based on any provision set forth herein. 13.3 CoMplignce_ndftlg��. The Grantee shall comply with and perform the Services in accordance with all applicable federal, state, local, and city laws including, without limitation, all City codes, ordinances, resolutions, regulations, rules, standards and policies, as now existing or hereafter amended, adopted, or made effective. If a violation of the City's Ethics Resolution No. 91-54, as amended, occurs as a result of the formation or performance of this Agreement, this Agreement may be rendered null and void, at the City's option. 13.4 Enforcement. Time is of the essence of this Agreement and each and all of its provisions in which performance is a factor. Adherence to completion dates set forth in the description of the Services is essential to the Grantee's performance of this Agreement. Any notices required to be given by the Parties shall be delivered at the addresses set forth at the beginning of this Agreement. Any notices may be delivered foersonally to the addressee of the notice or may be deposited in the United States mail, postage prepaid, to the - address set forth above. Any notice so posted in the United States mail shall be deemed received three (3) days after the date of mailin"np remedies (%rovided for under the terms of this k1greement are not intended to be exclusive, but shall be cumulative with all other remedies available to the City at law, in equity or by statute. The failure of the City to insist upon strict performance of any of the covenants and agreements contained in this Agreement, or to exercise any option conferred by this Agreement in one or more instances shall not be construed to be a waiver or relinquishment of those covenants, agreements or options, and the same shall be and remain in full force and effect. Failure or delay of the City to declare any breach or default immediately upon occurrence shall not waive such breach or default. Failure of the City to declare one breach or default does not act as a waiver of the City's right to declare another breach or default. This Agreement shall be made in, in accordance with the laws of the State of Washington. If settle any dispute, difference or claim arising from this Agreement, the exclusive means of resolving that dispute, difference, or claim, shall be by filing suit under the venue, rules and jurisdiction of the King County Superior Court, King County, Washington, unless the parties agree in writing to an alternative process. If the King County Superior Court does not have jurisdiction over such a suit, then suit may be filed in any other appropriate court in King County, Washington. Each party consents to the personal jurisdiction of the state and federal courts in King County, Washington and- waives any objection that such courts are an inconvenient forum. If either Party brings any claim or lawsuit arising from this Agreement, each Party shall pay all its legal costs and attorney's fees and expenses incurred in defending or bringing such claim or lawsuit, including all appeals, in addition to any other recovery or award provided by law; provided, however, nothing in this paragraph shall be construed to limit the Parties' rights to indemnification under Section 5 of this Agreement. 13.5 Execution. Each individual executing this Agreement on behalf of the City and Grantee represents and warrants that such individual is duly authorized to execute and deliver this Agreement. This Agreement mWJ be executed in an-p number of counteVaa each of which shall be deemed an original and with the same effect as if all Parties hereto had signed the same document. All such counterparts shall be construed together and shall constitute one instrument, but in making proof hereof it shall only be necessary to produce one such counterpart. The signature and acknowledgment pages from such counterparts may be assembled together to form a single instrument comprised of all pages of this Agreement and a complete set of all signature and acknowledgment pages. The date upon which the last of all of the Parties have executed a counterpart of this Agreement shall be the "date of mutual execution" hereof. M MOM 4S CITY OF A** ,�� Federal My CVTY HALL 33325 Sth Avenue South Federal Way., WA 98003-6325 (253) 835-7000 www cityoffederalway- com IN ITS, the Parties execute this Agreement below, effective the last date written below. CITY OF FEDERAL WAY: ATTEST: Jim Ferrell, Mayor Stephanie Courtney, CMC, City Clerk Lo Title: STATE OF WASHINGTON) ss. COUNTY OF *n this day personally appeared before me I to me known to be the of that executed the foregoing instrument, and acknowledged the said instnunent to be the free and voluntary act and deed of said corporation, L 'or the uses and purposes therein mentioned, and on oath stated that he/she was authorized to execute saiA instrument and that the seal affixed, if any, is the corporate seal of said corporation. GIVEN my hand and official seal this _ day of M Notary's signature Notary's printed name ­....... ....... Not Public in and for the State of Washington. My commission expires__,,_ TOURISM GRANT AGREEMENT .7- 3/2017 CITY OF P6deml My R�, awl"llu"_1 CrrY HALL 33325 8th Avenue South Federal Way, WA 98003-6325 (253) 835-7000 www ctyoffederaWay com The Grantee will act as the local coordinator to help present the NCAA Division III Men's and Women's Swimming and Diving Championships on March 17 through 24. The Grantee shall coordinate the event th will include the following activities: • Event Oversight. • Hiring of Championship Event Manager. • Food Coordinator and Catering. • On -site Crowd Control and Security. • Marketing. • Coordinating with the following Agencies and Organizations: a. NCAA. b. King County Aquatic Center. i. COVID-19 Requirements. ii. Facility Usage. iii. On -site Staffing. iv. Music Coordination. c. Pacific Lutheran University. d. University of Puget Sound. i. Medical Services. ii. Host Services & Hospitality. e. City of Federal Way. All publicity and promotional materials including, but not limited to brochures, press releases, programs, posters, public service announcements, flyers, and advertisements shall credit the City of Federal Way for its support of this project. The Grantee agrees to allow its name and information regarding the professional background and expertise of the Grantee, including titles and information about published works to be used for pre -event marketing and promotional purposes. TOURISM GRANT AGREEMENT -8- 3/2017 CITY OF CITY HALL 33325 8th Avenue South Awk Federal Way Federal Way, WA 98003-5325 (253) 535-7000 w cityoffederatway co 10,144,11 1. T . In consideration of the Grantee producing the event and performing the services, the City agrees to pay the Grantee a sponsorship in an amount not to exceed Thirty -Five Thousand and No/ I Ot Di 111 11 2. Method In consideration of the Contractor performing the Services, the City agrees to pay the Grantee Twenty-Eigh invoice. In addition, - City will pay the Grantee Seven Thousand and i 11 dollars ($7,000.00)•i receipt of the Grantee's invoice detailing completion of the event and receipt of a Grantee's invoice. TOURISM GRANTAGREEMENT -9- 1 ITEM Wffsyi�� SUBJECT: PLANNING COMMISSION APPOINTMENTS COMMITTEE: N/A CATEGORY: El Consent [K City Council Business El Ordinance 0 Public Hearing El Resolution El Other STAFF REPORT BY: Stephanie Courtney City Clerk EPT: Mayor's Office Background: The Planning Commission is comprised of seven (7) members and two (2) alternates who are appointed by the City Council and serve four-year terms (per FWRC 2.90.020). Currently there are three (3) vacant voting positions due to term expirations. Five (5) applications were received in response to the City Clerk's recruitment process. At their February 2, 2021 Special Meeting the City Council interviewed five (5) applicants seeking appointment. Diana Noble-Gulliford and Tim O'Neil are seeking reappointment, Dale Couture is a current alternate in good standing seeking a voting position, and Anna Patrick and Jae So are new applicants. SMUMMeam =0- MAYOR'S RECOMMENDATION: N/A MAYOR APPROVAL: N/A N/A CITY CLERK APPROVAL: Coinmittee Council Initial/Date Initial/Date COMMITTEE RECOMMENDATION: N/A PROPOSED COUNCIL MOTION: "I move appointments to the Planning Commission as follows..;.,: (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: 11 APPROVED COUNCIL BILL # 11 DENIED JIT reading El TABLED/DEFERRED/NO ACTION Enactment reading El MOVED TO SECOND READING (ordinances on1j) ORDINANCE # REVISED — 4/2019 RESOLUTION # COUNCIL MEETING DATE: February 2, 2021 ITEM #: 6b . .. .... .............. . ", . .......... CITY OF FEDERAL WAY CITY COUNCIL AGENDA BILL SUBJECT: ARTS COMMISSION APPOINTMENT — ALTERNATE TO VOTING MEMBER POLICY QUESTION: Should the City Council appoint a current alternate Arts Commission member to fill a voting term? rur1,� CATEGORY: 0 Consent El Ordinance El Public Hearing [K City Council Business 0 Resolution El Other STAFF REPORT Y. _Stephanie Courtney, City Clerk EPT: Mayor's Office ------------ - --- --- --------------- - Background: Per Federal Way Revised Code 2.50.030, the Arts Commission is comprised of nine (9) voting members and two (2) alternate members who are appointed by the City Council. Members serve three (3) year terms without compensation. In accordance with the Council Rules of Procedure 19.10(2), when a position becomes available mid-term the City Council may appoint an alternate commissioner who is serving on that same commission. Alternates who were ed within twelve months of the vacancy being created do not need to be interviewed. Current Options Considered: 1. Appoint Shelley Tsui as a voting member with a to to expire December 31, 2023. 2. Direct the City Clerk to advertise for additional applicants to the Senior Advisory Commission. - ---------- - - - ----- MAYOR'S RECOMMENDATION: N/A MAYOR APPROVAL: N/A N/A CITY CLERK APPROVAL: Committee Council Initial/Date Initial/Date Initial/Date COMMITTEE RECOMMENDATION: N/A PROPOSED COUNCIL MOTION: "I move to appoint Shelley Tsui as a voting member of the Arts Commission for a term to expire December 31, 2023. (BELOW TO BE COMPLETED BY CITY CLERKS OFFICE) COUNCIL ACTION: 11 APPROVED COUNCIL BILL # El DENIED First reading 1:1 TABLED/ DEFERREDINO ACTION Enactment reading El MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED - 4/2019 RESOLUTION # SUBJECT: COPIER & PRINTER MAINTENANCE CONTRACT POLICY QUESTION: Should City Council approve the Copier & Printer Maintenance Contract with Copiers Northwest, Inc.? COMMITTEE: N/A MEETING DATE: N/A CATEGORY: El Consent Ordinance Public Hearing X City Council Business 0 Resolution El Other STAFF REPORT BY: Thomas Fichtner EPT: Information Technology Attachments: 1. Staff Report 2. Copier & Printer Maintenance Contract Options Considered: 1. Approve the proposed agreement. 2. Do not approve the proposed agreement and provide direction to staff. F Committee Chair Committee Member Committee Member PROPOSED COUNCIL MOTION: "I move approval of the proposed Agreement with Copiers Northwest, Inc.fior a sum not to exceed One Hundred Fifty Thousand and 00/100 ($150, 000), and authorize the Mayor to execute said agreement. (BELOW TO BE COMPLETED B,Y CITY CLERKS OFFICE) COUNCIL ACTION: 13 APPROVED COUNCIL BILL # 1:1 DENIED First reading 11 TABLED/DEFERRED/NO ACTION Enactment reading El MOVED TO SECOND READING (ordinances only) ORDINANCE # REVISED — 11/2019 RESOLUTION # In � I MAI �OJINUTLSJ - - - TO: City Council Members VIA: Jim Ferrell, MaJM i � H10111 i � Iffil 1111ill Financial, Inij2acts: The cost to the City of $5#,1140/year fo—rtfie-Uo—ffer and ' includedwithin the approved budget under the Information Technology 502/5031 funds for copier/printer maintenance. The City has a variety of copiers and printers that require supplies and maintenance. The City has had a variety of vendors over the years, but recently has been using Copiers Northwest to supply toner and other supplies as well as maintain the copiers and printers when they need repair. Copiers Northwest has proved over the last contract term since 2017 to be a quality provider of supplies and service for the City's fleet of copiers and printers. The City uses State of Washington contracts when possible and this contract is no exception. The State of Washington maintains a cooperative purchasing contract with the National Association of State Procurement Officials (NASPO) #06619 for Copiers and Managed Print Services. Copiers Northwest is an authorized dealer listed for both the City's Canon and HP equipment. Exhibit "D" is a detailed list of the City's current snapshot of equipment that will be included in this contract, but will change as the City replaces old equipment over the course of this contract. This pricing is based on the NASPO negotiated pricing and is priced "per click" or per page that is printed. This is an industry standard pricing model that works well for the City; when usage increases we pay more, if it decreases (going more paperless) we pay less. Since 2017, the City has had two contracts for this; one for the copiers and another for the printers. This contract will encompass both into one contract for more streamlined management and invoicing. Rev 7/18 CITY HALL 33325 8th Avenue South Federal Way, WA 98003-63 (253) 835-7000 www cifyoffederalway com FOR PVNTER MAINTENACE This Goods and Services Agreement ("Agreement") is made between the City of Federal Way, a Washington municipal corporation ("City"), and Copiers Northwest, a Washington corporation ("Contractor"). The City and Contractor (together "Parties") are located and do business at the below addresses which shall be valid for any notice required under this Agreement: John Hines 601 Dexter Ave. North Seattle, WA 98t09 I ,601 V V&#1 0 a III U X ZNVVJL` Thomas Fichtner 33325 8 1h Ave. S. Federal Way, WA 98003-6325 • 1. TERM. The term of this Agreement shall commence upon the effective date of this Agreement, which i;hall be January 1, 202 1, and shall continue until the completion of the Work, but in any event no later than July 31, 2024 ("Term"). This Agreement may be extended for additional periods of time upon the mutual written ?greement of the City and the Contractor. 2.1 or. The Contractor shall provide goods, materials or services and otherwise perform the work more specifically described in Exhibit "A," attached hereto and incorporated by this reference ("Work"), performed to the City's satisfaction, within the time period prescribed by the City and pursuant to the direction of the Mayor or his or her designee. 2.2 'Warranties. The Contractor warrants that it has the requisite training, skill, and experience necessary to provide the Work and is appropriately accredited and licensed by all applicable agencies and governmental entities, including but not limited to obtaining a City of Federal Way business registration. The Contractor warrants it will provide services in a manner consistent with the accepted practices for other similar services within the Puget Sound region in effect at the time those services are performed. The Contractor warrants goods are merchantable, are fit for the particular purpose for which they were obtained, and will perform in accordance with their specifications and Contractor's representations to City. The Contractor shall, at its sole cost and expense, correct all Work performed which the City deems to have defects in workmanship and material discovered within the term of the Agreement. This Agreement is subject to all warranty provisions established under the Uniform Commercial Code, Title 62A RCW. In the event any part of the goods are repaired, only original replacement parts shall be used; rebuilt or used parts are not acceptable. When defects are corrected, the warranty for that portion of the work shall extend for one (1) year from the date such correction is completed and accepted by the City. The Contractor shall begin to correct any defects within seven (7) calendar days of its receipt of notice from the City of the defect. If the Contractor does not accomplish the corrections within a reasonable time as determined by the City, the City may complete the corrections and the CITY HALL 33325 8th Avenue South (253) 835-70010 wwwalyoffede I Com 2.3 Time. Docufff Work shall begin immediately upon the effective date of this Agreement. Work shall be subject, at all times, to observation and inspection by and with approval of the City, but the making (or failure or delay in making) such inspection or approval shall not relieve Contractor of responsibility for performance of the Work in accordance with this Agreement, notwithstanding the City's knowledge of defective or non -complying performance, its substantiality or the ease of its discovery. 2.4 Clean Up. At any time ordered by the City and immediately after completion of the Work, the Contractor shall, at its own expense, clean up and remove all refuse and unused materials of any kind resulting I from the Work. In the event the Contractor fails to perform the necessary clean up, the City may, but in no event is it obligated to, perform the necessary clean up and the costs thereof shall be iminediately paid by the Contractor to the City and/or the City may deduct its costs from any remaining payments due to the Contractor. 3. Tf�"INAMN. Either party may terminate this Agreement, with or without cause, upon providing the other party thirty (30) days written notice at its address set forth on the signature block of this Agreement. The City may terminate this Agreement immediately if the Contractor fails to maintain required insurance policies, breaches confidentiality, or materially violates Section 12 and such may result in ineligibility for further City agreements. 4.1 Amount. In return for the Work, the City shall pay the Contractor an amount not to exceed a maximum amount and according to a rate or method as delineated in Ext 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) for the Term. Except as otherwise provided in Exhibit "D," 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. 4.2 On a monthly basis, the Contractor shall submit a voucher or invoice in the form specified by the City. The Contractor shall also submit a final bill upon completion of all Work. Payment shall be made on a monthly basis by the City only after the Work has been performed and within thirty (3 ) 0) days after receipt and approval by the appropriate City representative of the voucher or invoice. If the Work does not meet the requirements of this Agreement, the Contractor will correct or modify the work to comply with the Agreement. The City may withhold payment for such work until the work meets the requirements of the Agreement. 4.3 Defective or Unauthorized Work. If any goods, materials, or services provided under this are either defec ive ' unauthorized.. or otherwise do not meet the re,,truirements of this A- -, - - Contractor will correct or modify the work to comply with the Agreement and the City reserves the right to withhold payment from the Contractor until the goods, materials, or services are acceptable to the City. If Contractor is unable, for any reason, to complete any part of this Agreement, the City may obtain the goods, materials or services from other sources, and Contractor shall be liable to the City for any additional costs incurred by the City. "Additional costs" shall mean all reasonable costs, including legal costs and attorney fees, incurred by the City beyond the maximum Agreement price specified above. The City further reserves its right to deduct these additional costs incurred to complete this Agreement with other sources, from any and all amounts due or to become due the Contractor. CITY OF Federal Way CITY HALL 33325 Sth Avenue South )835- 000 iNvatyo ederalwa - C m 4.4 �Non-A gg��Nr tiggri of Fjqk. If sufficient funds are not appropriated or allocated for payment under this Agreement for any future fiscal period, the City will not be obligated to make payments for Work or amounts incurred after the end of the current fiscal period, and this Agreement will terminate upon the completion of all remaining Work for which funds are allocated. No penalty or expense shall accrue to the City in the event this proon applies. 4.5 Final Payment: Waiver of Claims. Contractor's acceptance of final payment shall constitute a waiver of any and all claims, except those previously and properly made and identified by Contractor as unsettled at the time request for final payment is made. 5.1 Contractor Indemnification. The Contractor agrees to release indemnify, defend, and hold the City, its elected officials, officers, employees, agents, representatives, insurers, attorneys, and volunteers harmless from any and all claims, demands, actions, suits, causes of action, arbitrations, mediations, [�)roceedings, judgments, awards, injuries, damages, liabilities, taxes, losses, fines, fees, penalties expenses, attorney's fees, costs, and/or litigation expenses to or by any and all persons or entities, including, without limitation, their respective agents, licensees, or representatives, arising from, resulting from, or in connection with this Agreement or the performance of this Agreement, except for that portion of the claims caused by the City's sole negligence. Should a court of competent jurisdiction determine that this Agreement is subject to RCW 4.24.115, then, in the event of liability for damages arising out of bodily injury to persons or damages to property caused by or resulting from the concurrent negligence of the Contractor and the City, the Contractor's liability hereunder shall be only to the extent of the Contractor's negligence. Contractor shall ensure that each sub -contractor shall agree to defend and indemnify the City, its elected officials, officers, employees, agents, representatives, insurers, attorneys, and volunteers to the extent and on the same terms and conditions as the Contractor pursuant to this paragraph. The City's inspection or acceptance of any of Contractor's work when completed shall not be grounds to avoid any of these covenants of indemnification. 5.2 lhduskW Insurance �A4 MNygj. It is specifically and expressly understood that the Contractor waives any immunity that may be granted to it under the Washington State industrial insurance act, Title 51 RCW, solely for the purposes of this indemnification, except for the negligence by the city related to any claim under this act. Contractor's indemnification shall not be limited in any way by any limitation on the amount of damages, compensation or benefits payable to or by any third party under workers' compensation acts, disability benefit acts or any other benefits acts or programs. The Parties further acknowledge that they have mutually negotiated this waiver. 5.3 Cit),e hidemr�ifiutlon. The City agrees to release, indemnify, defend and hold the Contractor, its officers, directors, shareholders, partners, employees, agents, representatives, and sub- contractors harmless from any and all claims, demands, actions, suits, causes of action, arbitrations, mediations, proceedings, judgments, awards, injuries, damages, liabilities, losses, fines, fees, penalties expenses, attorney's fees, costs, and/or litigation expenses to or by any and all persons or entities, including without limitation, their respective agents, licensees, or representatives, arising from, resulting from or connected with this Agreement except to the extent of the contractor's negligence. 5.4 Survival. The provisions of this Section shall survive the expiration or termination of this Agreement with respect to any event occurring prior to such expiration or termination. In no case shall either party be liable to the other for consequential, incidental, special or indirect damages. GOODS AND SERVICES AGREEMENT 10/2017 CITY OF F6deral VVoy CITY MALL 33325 8th Aivenue South INk J,J 9Q61' wil INAU mfulaww1ratown If). 1��VRANC_k. The Contractor agrees to carry insurance for liability which may arise from or in connection with the perforinance of the services or work by the Contractor, their agents, representatives, employees or subcontractors for the duration of the Agreement and thereafter with respect to any event *ccutring prior to such expiration or termination as follows: 6.1. The Contractor agrees to carry as a minimum, the following insurance, in such forms and with such carriers who have a rating that is satisfactory to the City: a. Commercial general liability insurance covering liability arising from premises, operations, independent contractors, products -completed operations, stop gap liability, personal injury, bodily injury, death, property damage, products liability, advertising injury, and liability assumed under an insured contract with limits no less than $1,000,000 for each occurrence and $2,000,000 general aggregate. b. Workers' compensation and employer's liability insurance in amounts sufficient pursuant to the laws of the State of Washington; C. Automobile liability insurance covering all owned, non -owned, hired and leased vehicles with a minimum combined single limit in the minimum amounts required to drive under Washington State law per accident for bodily injury, including personal injury or death, and property damage. 6.2. No Unit o:f Liability� Contractor's maintenance of insurance as required by the agreement shall not be construed to limit the liability of the Contractor to the coverage provided by such insurance, or otherwise limit the City's recourse to any remedy available at law or in equity. The Contractor's insurance coverage shall be primary insurance as respect the City. Any insurance, self-insurance, or insurance pool coverage maintaine4 by the City shall be excess of the Contractor's insurance and shall not contribute with it. ,i_ 3. Additional fed, Vdifigatiop. The City shall be named as additional insured on all In N TIM] I IRWIN Room p7u7i77 are Maims maue, 111 i C r KIM De T7q 0, Lw�[ CU 111111,11JIU111 f) (3) years from the date this Agreement is actually terminated or upon project completion and acceptance by *rt City. 6.4 Survival. The provisions of this Section shall survive the expiration or termination of this Agreement. 7. CONFIDENTIALITY. All information regarding the City obtained by Contractor in performance of this Agreement shall be considered confidential subject to applicable laws. Breach of confidentiality by the Contractor may be grounds for immediate termination. All records submitted by the City to the Contractor will be safeguarded by the Contractor. The Contractor will fully cooperate with the City in identifying, assembling, and providing records in case of any public records disclosure request. 8. WORK PRODUCT. All originals and copies of work product, including plans, sketches, layouts, designs, design specifications, records, files, computer disks, magnetic media or material which may be produced or modified by Contractor while performing the Work shall belong to the City upon delivery. The Contractor shall make such data, documents, and files available to the City and shall deliver all needed or contracted for work product upon the City's request. At the expiration or termination of this Agreement, all originals and copies of any such work product remaining in the possession of Contractor shall be delivered to the City. 9. BOOKS AND RECORDS. The Contractor agrees to maintain books, records, and documents which I CITY HALL 33325 8th Avenue South A A•J- (253) 835-7000 mww. cityoffederalway- com sufficiently and properly reflect all direct and indirect costs related to the performance of the Work and maintain such accounting procedures and practices as may be deemed necessary by the City to assure proper accounting of all funds paid pursuant to this Agreement. These records shall be subject, at all reasonable times, to inspection, review or audit by the City, its authorized representative, the State Auditor, or other governmental officials authorized by law to monitor this Agreement. 10.1 The Parties intend that the Contractor shall be an independent contractor and that the Contractor has the ability to control and direct the performance and details of its work, the City being interested only in the results obtained under this Agreement. The City shall be neither liable nor obligated to pay Contractor sick leave, vacation pay or any other benefit of employment, nor to pay any social security, income, or other tax which may arise as an incident of employment, except as specifically provided in Section 4. Industrial or any other insurance that is purchased for the benefit of the City, regardless of whether such may provide a secondary or incidental benefit to the Contractor, shall not be deemed to convert this Agreement to an employment contract. If the Contractor is a sole proprietorship or if this Agreement is with an individual, the Contractor agrees to notify the City and complete any required form if the Contractor retired under a State of Washington retirement system and agrees to inderrmify any losses the City may sustain through the Contractor's failure to 4,o so. 10.2 Safety. Contractor shall take all necessary precautions and shall be responsible for the safety of its employees, agents, and subcontractors at the work site and in the performance of the contract work and shall utilize all protection necessary for that purpose. Contractor shall comply with all applicable provisions of federal, state and municipal safety and health laws and codes, including without limitation, all OSHA/WISHA requirements, Safety and Health Standards for Construction Work (Chapter 296-155 WAC), General Safety and Health Standards (Chapter 296-24 WAC), and General Occupational Health Standards (Chapter 296-62 Contractor shall erect and properly maintain, at all times, all necessary guards, barricades, signals and other safeguards at all unsafe places at or near the site for the protection of its employees and the public, safe passageways at all road crossings, crosswalks, street intersections, post danger signs warning against known or unusual hazards and do all other things necessary to prevent accident or loss of any kind. Contractor shall protect from damage all water, sewer, gas, steam or other pipes or conduits, and all hydrants and all other property that is likely to become displaced or damaged by the performance of the Work. The Contractor shall, at its own expense, secure and maintain a safe storage place for its materials and equipment and is solely responsible for the same 10.3 Risk of Work. All work shall be done at Contractor's own risk, and Contractor shall be responsible for any loss of or damage to materials, tools, or other articles used or held for use in connection with the work. Industrial or any other insurance that is purchased for the benefit of the City, regardless of whether such may provide a secondary or incidental benefit to the Contractor, shall not be deemed to convert this Agreement to an employment contract. Even though Contractor is an independent contractor, the work must meet the approval of the City and shall be subject to the City's general right of inspection to secure satisfactory completion 11. CO��XT OF INTMST. It is recognized that Contractor may or will be performing professional services during the Term for other parties; however, such performance of other services shall not conflict with or interfere with Contractor's ability to perform the Services. Contractor agrees to resolve any such conflicts of interest in favor of the City. Contractor confirms that Contractor does not have a business interest or a close family relationship with any City officer or employee who was, is, or will be involved in the Contractor's GOODS AND SERVICES AGREEMENT -5 - 10/2017 CITY OF Fbdexral Xfty CITY HALL _*` MJ i'i98003-63 r 12. EQUAL 0PPMUN11V EMnOYER. In all services, programs, activities, hiring, and employment made possible by or resulting from this Agreement or any subcontract ' there shall be no discrimination by Contractor or its subcontractors of any level, or any of those entities' employees, agents, subcontractors, or representatives against any person because of sex, age (except minimum age and retirement provisions), race, color, religion, creed, national origin, marital status, or the presence of any disability, including sensory, mental or •handicaps,` based upon . bona fide occupational qualification in r` i i to hiring and employment. requirement shallapply to, but notbe limited to, the following:employment, i • layoff or termination, of 1` or other forms of •` • i and selection for training, including apprenticeship. Contractor shall comply with and shall not violate any of the terms of Chapter 49.60 RCW, Title VI of the Civil Rights Act of 1964, the Americans With Disabilities Act, Section 504 of the Rehabilitation Act of 1973, 49 CFR Part 21, 21.5 and 26, or any other applicable federal, state, or local law or regulation regarding non-discrimination. ■ w r 13.1 Lnte . This Agreement, together with any attached Exhibits, contains Mp- all of the agreements of the Parties with respect to any matter covered or mentioned in this Agreement and no prior statements or agreements, whether oral or written, shall be effective for any purpose. Should any language in any Exhibits to this Agreement conflict with any language in this Agreement, the terms of this Agreement shall prevail. The respective captions of the Sections of this Agreement are inserted for convenience of reference only and shall notbe deemed to modify or otherwise affect any of provisions of Agreement. Any • • Agreement thr declared invalid, inoperative,and void, or illegal1 way affect or invalidate any other provision hereof and such other provisions shall remain in full force and effect. Any act done by either Party prior to the effective date of . that is consistent ` authority of the Agreement and compliant with the terms of the Agreement, is hereby ratified as having been performed under the Agreement. No provision of this Agreement, including this provision, may be amended, waived, or modified except by written agreement signed by duly authorized representatives of the Parties. Contractor nor shall*r assign, in whole or in part, any or all of its obligations and rights hereunder without the prior written consent *f the other Party. If the non -assigning party gives its consent to any assignment, the terms of this Agreement intinue in full force and i no further assignment shallbe made without additional consent. . to the foregoing, the rights • i obligations of Parties shallto the benefit i be binding upon their respective successors in interest, heirs and assigns. This Agreement is made and entered into for f` protection ani benefit Parties hereto.No other personor r have any of action or • ` Agreement based on any provision forthherein. 13.3 Comoliance with Laws. The Contractor shall comply with and perform the Services in accordance with all applicable federal, state, local, and city laws including, without limitation, all City codes, ordinances, resolutions, regulations, rules, standards and policies, as now existing or hereafter amended, adopted, or made effective. If a violation of the City's Ethics Resolution No. 91-5 , as amended, occurs as a result of the formation or performance of this Agreement, this Agreement may be rendered null and void, at the City's option. 13.4 Enforcement. ... is of essence of Agreement . and each and all provisions is which performance is a factor. Adherence to completion dates set forth in the description of the Services is GOODS AND * AGREEMENT CITY HALL 33325 Sth Avenue South W,96101 1110 • -q Ifflffiq& [WE, 111101 [agaw-josmal 13.5 Execution. Each individual executing this Agreement on behalf of the City and Contractor represents and warrants that such individual is duly authorized to execute and deliver this Agreement. This Agreement may be executed in any number of counterparts, each of which shall be deemed an original and with the same effect as if all Parties hereto had signed the same document. All such counterparts shall be construed together and shall constitute one instrument, but in making proof hereof it shall only be necessary to produce one such counterpart. The signature and acknowledgment pages from such counterparts may �e assembled together to form a single instrument comprised of all pages of this Agreement and a complete set of all signature and acknowledgment pages. The date upon which the last of all of the Parties have executed-7 counterpart of this Agreement shall be the "date of mutual execution" hereof. aff-EMMOW-MIM GOODS AND SERVICES AGREEMENT -7- 10/2017 n 01 *43 mmum8maim By: Printed Name: Title: DATE: STATE OF WASHINGTON) ) ss, COUNTY OF CWTMALL 33325 8th Avenue South (253) 835-7000 om www. cityoffederalway. c !A 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 • corporation. Notary's signature - Notary's printed name Notary Public in and for the State of Washington. My commission expires____.___ GOODS AND SERVICES AGREEMENT -8- 10/2017 CITY OF fiederal !Nay I WV1 I I H I CITT'?�ALL 33325 8th Avenue South rr _ 1 09" _4W11M. The Contractor shall do or provide the following services for the City's copiers and printers repair, maintenance, support and supplies. 1. Qualifications: 1.1 Contractor must be certified by HPand Canon and able to perform maintenance and repair services on all network attached Copiers and printers listed in Exhibit "D" 1.2 Contractor agrees to maintain an adequate number of certified service technicians to respond to individual requests for maintenance within the maximum response time. 2. Parts/Maintenance: 2.1 All parts necessary to repair and maintain the printers fully farictional will be provided by the Contractor. 2.2 All replacement parts shall be factory authorized parts of make and model of printer. Contractor is responsible for all costs associated with all parts including the part, installation, delivery and disposal. 2.3 Parts include, but are not limited to drums, rollers, fuser, duplex units, and such, whether defective or worn as a result of normal use. 2.4 Contractor shall maintain an adequate inventory of parts recommended by manufactures for all printers listed on Exhibit "D". 2.5 In addition, the technician assigned to the City or the territory of the City is preferred to customize their mobile inventory to meet the needs of the City. 2.6 Contractor shall replace parts and/or defective equipment for the life of the contract. 2.7 Contractor shall provide an online or toll free number for support call/supply order. 3. Supplies/ Consumable: 3.1 All supplies and other consurnables related to the equipment are covered under this agreement except for paper and staples. 3.2 Contractor shall supply all consumables including, but not limited to toner, developer, filters, fuser oil and such in a timely manner. 4. are Toner Supply: 4.1 Contractor agrees to maintain a j ust-in-time inventory of spare toner with each printer under this agreement. 4.2 Contractor agrees to provide the type of toner and other material which does not diminish the quality of the printing and copying. 4.3 City staff representative shall notify the contractor to replenish the spare toner as soon as it is used or copiers or printers will notify Contractor though the automated system. 4.4 Contractor shall provide an online or call in means for designated City staff to order supplies. There will be no charge for ground shipment of supplies, but the cost of expedited requests shall be paid by the City. 5. Response Time: 5.1 Contractor shall respond to all service call within Monday — Friday 8:OOAM — 5:OOPM. 5.2 Contractor guarantees a 4-hour average field response for the City of Federal Way, with a call within one hour to confirm the service request. 5.3 Contractor will be responsible for all repairs and maintenance of equipment. 5.4 Once the technician arrives on -site, contractor's goal for average time for the machine to be fully GOODS AND SERVICES AGREEMENT - 9 - 1/2015 CITY OF CITY HALL 33325 Sth Avenue South Federal Way Federal Way, WA 98003-6325 (253) 835-7000 www cilyoffederalway com functional is 1. 1 hours. 5.5 If repairs cannot be completed on site or within 5 (five) business days, the Contractor's shall provide a loaner printer of similar specification while the unit is being repaired. 5.6 In the event repairs are not completed within 5 days and the contractor has not provided a loner, the City may rent a similar device elsewhere and the contractor shall be responsible for any cost associated with replacement equipment until the equipment is repaired or a loaner is provided. 6.1 Contractor is responsible for the removal, recycling and disposal of all used cartridges and other replaced parts, and material except for paper and staples at their convenience, or City will follow the no charge return shipping instructions through a website portal. 7. Preventive Maintenance: 7.1 Contractor shall perform preventive maintenance as required from manufacturer specification on each device to guarantee maximum uptime and ensure the printers are in sufficient mechanical condition PM shall include, but is not limited to: • Routine cleaning, lubrication, adjustments to the equipment • Replacement of parts due to normal wear and tear • Replacement of unserviceable parts 8. Meter reading/Billing: 8.1 Contractor shall collect and maintain vital data on each printer monthly; The data shall include, but is not limited to page counts, number of repair calls, parts replaced, supplies, WITITO =1- 11121111111 11!11�11111111111 I 1! ", ==11111 1111r 1r 8.2 Meter reading may accrue remotely or through an automated data collection system provided by contractor whereby a City employee will collect and e-mail it monthly. 8.3 Contractor shall provide a monthly invoice indicating each device with; previous month's meter count, recent meter count, total number of prints/copies for the billing cycle, cost per page, and total cost. And a total cost for all devices in that month. 9. Reporting: 9.1 Upon City's request, contractor shall provide equipment usage and performance reports. The contractor performance reports may include the following information: Equipment model Serial number Location of equipment Authorized Purchasers (up to 2 contacts) Number of Machines at Location Average monthly volume Total volume Total amount of supplies used by a printer Types of supplies Total Monthly Rental Cost Tracks all service work done by contractors Response times associated with an account or piece of equipment Call back time Total amount of time spent at a service call What part or supplies where replaced during the service call Total amount of supplies used by a printer Last Preventive Maintenance Perform GOODS AND SERVICES AGREEMENT _10- 1/2015 CITY OF Foderal VVay CITY HALL 33325 Sth Avenue South Federal Way, WA 98003-6325 (253) 835-7000 www-ci(yoffederaMoy.com 10. Equipment condition —Inspection: 10.1 Contractor acknowledges that he has inspected all printers and that all equipment is in good working condition at the time this contract was executed. GOODS AND SERVICES AGREEMENT - 11 - 112015 CITY OF CITY HALL 33325 Sth Avenue South Federal Way Federal Way, WA 98003-6325 (253) 835-7000 www. cityoffederalway com EXHIBIT 661199 1. Total Compensation: In return for the Services, the City shall pay the Contractor an amount not to exceed Hundred Fifty Thousand and 00/ 100 Dollars ($150,000.00). The actual payment shall be based on the actLe,ial num1er o I IaNes (w-rinted and cowded bp each ewuijv�ment and the I er pa�Am-ta-t�L-,—et—in-the-ittachLqelli-il'iyff Federal Way Printer Per Page Rate (Exhibit GOODS AND SERVICES AGREEMENT - 12 - 112015 CITY OF CITY HALL 33325 3th Avenue South Federal Way Federal Way, WA 98003-6325 (23) 835-7000 www cifyoffederalvmycom EXHIBIT sc " INSURANCE GOODS AND SERVICES AGREEMENT — 13 — 11201 CITY HALL 33325 8th Avenue South Way Federal Way,, WA 98003-6325 (253) 835-7000 www cifyoffederalway- com EXHIBIT "D" IN' WIN Swil U-111111., 14 1 USIEUVIIII&M m I I ry-AmKill U rot" 111 1111m g jj CanoniR1435 CanoniR1435 CanoniR1435 Eta CanoniR1435 Canon iR-ADV 6265 26.03 Canon iR-ADV 6565 56.12 Canon iR-ADV 6575 11113.20 Canon iR-ADV C5240 54.06 RRD15910 b.r17 1 ky, re Canon iR-ADV C5250 58.02 Canon iR-ADV C7260 46.68 lut Canon iR-ADV C7565 27.12 0.0474 a 11ffAW§Fi66n-9-0—j `•+ r rr 0.0474 HP Color LaserJet FlowMFP M577 A HP Color LaserJet Pro MFP M479fdw JM:1005FASI 0.0827 HP LaserJet 4050 Series so# HP LaserJet 5200 60 MIMS KAI ijg HP LaserJet 8150 Series 0.00 2• EmMIUREMN all, 0 Q.10 .10 10 hp LaserJet 9050 GOODS AND SERVICES AGREEMENT - 14 - 1/2015 CITY OF CUTY HALL 33325 3th Avenue South Federal Way Federal Way, WA 98003-6325 :> 'd (253) 335-7000 `v pnv. eftyoftedereatt.l>ay. com GOODS S AND SERVICES AGREEMENT - 15 - 1/2015