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9b Staff Report - Ratify Accounts Payable July 2008~pW H 0f DATE: AUGUST 12, 2008 MEETING DATE: 08/18/08 ITEM NO: AGENCY AGENDA REPORT TO: CHAIR AND MEMBERS OF THE REDEVELOPMENT AGENCY FROM: GREG LARSON, EXECUTIVE DIRECTOR SUBJECT: RATIFY ACCOUNTS PAYABLE FOR JULY, 2008 RECOMMENDATION: Ratify the accompanying check registers for accounts payable invoices paid for the month of July 2008. DISCUSSION: The accounts payable check registers listed below reflect payments for approved expenses: Check Register - July 03, 2008 Check Register - July 11, 2008 Check Register - July 18, 2008 Check Register - July 25, 2008 Total July Check Registers $ 4,367.74 $ 20,863.96 $ 69.00 $ 393,218.24 $ 418,518.94 Items of significance or individual expenditures exceeding $50,000 are as follows: Check No. Pam Description Amount 98428 The Bank of New York Trust Co. Bondholder Payment $ 354,435.29 PREPARED BY: Steve Conway, Finance and Administrative Services Director NAFINANCEIAP Council ReportsVFY2008-200MDA AGENCY REPORTS1200807JL)L-RDACouncilreport.doc - Reviewed by: Assistant Town Manager/Deputy Director Town Attorney/General Counsel Clerk Administrator/Secretary Finance -SP Community Development PAGE 2 MAYOR AND TOWN COUNCIL/CHAIR AND MEMBERS OF THE REDEVELOPMENT AGENCY SUBJECT: RATIFY ACCOUNTS PAYABLE FOR JULY, 2008 AUGUST 12, 2008 AttarlimenN, Attaclunent 1 - Check Register July 03, 2008 Attachment 2 Check Register July 11, 2008 Attaclunent 3 - Check Register July 18, 2008 Attaclunent 4 - Check Register July 25, 2008 TOWN OF LOS GATOS CHECK REGISTER - RDA JULY 03, 2008 CHECK NO. PAYEE DESCRIPTION AMOUNT 98106 GOLDFARB & LIPMAN RDA LEGAL FEES $ 903.00 98130 SEIFEL CONSULTING, INC. RDA ADVISORY SERVICES 1,824.00 98132 STAUBACH BAY AREA, INC. PROJECT MANAGEMENT-NEW PD BUILDING 1,640.74 TOTAL CHECK REGISTER $ 4,367.74 1 of 1 Attachment 1 TOWN OF LOS GATOS CHECK REGISTER - RDA JULY 11, 2008 CHECK NO. PAYEE DESCRIPTION AMOUNT 98229 ROSSDRULISCUSENBERY ARCHITECTURE ARCHITECTURAL SRVCS-NEW PD BLDG $ 20,775.98 98241 DANIELLE SURDIN MILEAGE REIMB-TRAINING 87.98 TOTAL CHECK REGISTER $ 20,863.96 1 of I Attachment 2 TOWN OF LOS GATOS CHECK REGISTER - RDA JULY 18, 2008 CHECK PAYEE DESCRIPTION AMOUNT NO. 98344 PSWRC -NAHRO MEMBERSHIPS $ 69.00 TOTAL CHECK REGISTER $ 69.00 1 of I Attachment 3 TOWN OF LOS GATOS CHECK REGISTER - RDA JULY 25, 2008 CHECK NO. PAYEE DESCRIPTION AMOUNT 98348 JOSEPH J ALBANESE, INC. CORE DRILL STREET REPAIR $ 1,920.00 98353 CAL-WEST LIGHTING & SIGNAL MAINT. NSC STREETLIGHT FIXTURES PROJECT 13,500.00 98408 WEST COAST CODE CONSULTANTS, INC. PLAN CHECK SERVICES 1,381.93 98427 US BANK - CORPORATE TRUST SERVICES LEASE PAYMENT 20,159.34 98428 THE BANK OF NEW YORK TRUST COMPANY BONDHOLDER PAYMENT 356,256.97 TOTAL CHECK REGISTER $ 393,218.24 1 of 1 Attachment 4