Legislation Details

File #: HIST-22605    Version: 1 Subject:
Type: Historical Status: Joint Consent
In control: City Council Meeting Agenda
On agenda: 7/8/2013 Final action: 7/8/2013
Title: JOINT CITY COUNCIL/CULVER CITY HOUSING AUTHORITY/SUCCESSOR AGENCY TO THE CULVER CITY REDEVELOPMENT AGENCY AGENDA ITEM: Cash Disbursements for June 15, 2013 – June 28, 2013.
Attachments: 1. JOINT CITY COUNCIL/CULVER CITY HOUSING AUTHORITY/S - Check Registers-07.08.13.pdf
City of Culver City INTER-OFFICE CORRESPONDENCE Date: To: From: Subject: July 8, 2013 Honorable Mayor and City Counc Jeff Muir, Chief Financial Officer City, Section 8, Successor Agency/and Housing Authority Registers Attached are the following check registers for June 15, 2013 -June 28, 2013: :CITY Date I Check Number J # of Checks' Check Amount EFT Chk Nbr I # of EFTs EFT Amount 1 Total Amount 6/19/2013 1 ; 6/20/2013 1 6/20/2013 1 6/26/2013 1 6/26/2013 ; 264367-264502 1 136 ; 34-35 WIRES : 2 264503 7264529 ! 27 264530-264636 1 107 2646377264669 1 33 1$ 664,091.09 1 , 1$ 582,314.49 1 ; ; i $ 789,995.44 1 1 $ 418,016.84 1 , ; $ 23,075.56 1 . - . : $ 664,091.09 1 , 1 i 1$ 582,314.49 9781-9787 1 7 1$ 8,998.28 1$ 798,993.72 9788-9790 i 3 1$ 10,978.02 1$ 428,994.86 : , 9791-10266 1 476 : $ 296,654.80 I $ 319,730.36 TOTAL TOTAL I TcrrA4 Tg7.44: TOTAL i 305 $ 2,477,493.42 1 i 486 , 316,631.10 $ 2,794,124.52 SECTION 8 Date Check Number # of Checks Check Amount EFT Chk Nbr I # of EFTs f EFT Amount Total Amount 6/19/2013 1 6/26/2013 ; 6/27/2013 85917 1 85918 1 85919-86012 i 94 1$ 4,038.89 1 1 $ 813.00 i , I $ 134,007.74 1 i 4,038.89 : i : $ 813.00 : 1$ 134,007.74 : I TOTAL I TOTAL I TOTAL ' TOTAL TOTAL i 96 1 $ 138,859.63 1 i 138,859.63 SUCCESSOR AGENCY Date I Check Number I # of Checks' Check Amount EFT Chk Nbr # of EFTS EFT Amount Total Amount 6/19/2013 1 6/26/2013 : 400080-400081 1 2 I $ 15,274.71 i 400082-400083 1 2 i $ 141,323.77 I: • i ; 1$ 1$ 15,274.71 141,323.77 TOTAL I TOM, I I TOTAL 1 TOTAL TOTAL : . 4 i $ 156,598.48 1 - . 1 . $ 156,598.48 'HOUSING AUTHORITY „ Date I Check Number # of Checks' Check Amount EFT Chk Nbr # of EFTs J EFT Amount Total Amount 6/19/2013 1 6/26/2013 1 6/27/2013 1 700922-700923 12 700924-700925 I 2 700926-700969 1 44 , 7,310.18 1 $ 1,108.00 1 1$ 51,840.00 1 I $ 7,310.18 - .; . i $ 1,108.00 , :- . i 51,840.00 TOTAL, I: TOTAL TOTAL TOTAL TOTAL , 48 ; $ 60,258.18 1 1 60,258.18 Grand Total 3,149,840431 WE HEREBY RECEIVE AND FILE WARRANTS #34-35, #264367-264669, #9781-10266, #85917-86012, #400080-400083, AND #700922-700969 ALL IN THE AMOUNT OF $3,149,840.81. By: Finance and Judiciary Committee ii 06/19/2013 15:19 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264367 06/19/2013 PRTD 107756 5 Star Elevator Service Inc 1605 06/01/2013 061913CC 1,970.00 Invoice: 1605 Citywide Elevator Service Maintenance-June 2013 1,090.00 10160230 619800 Other Contractual Services 450.00 48155380 600100 R&M - Building 150.00 48155580 600100 R&M - Building 150.00 47555310 600100 R&M - Building 130.00 48155440 600100 R&M - Building CHECK 264367 TOTAL: 1,970.00 264368 06/19/2013 PRTD 107689 Accountemps 38080218 06/05/2013 061913CC 932.40 Invoice: 38080218 Riley, Aaron-Week Ended 05/31/13 932.40 10114200 411200 Part-Time Salaries CHECK 264368 TOTAL: 932.40 264369 06/19/2013 PRTD 100008 Advanced Battery Systems 294752 06/10/2013 21302430 061913CC 167.40 Invoice: 294752 Parts 167.40 31014600 600900 Central Stores CHECK 264369 TOTAL: 167.40 264370 06/19/2013 PRTD 101261 Aerotek OE00928515 05/23/2013 061913CC 1,100.00 Invoice: OE00928515 McClain, Kevin-Period Ending 05/11/13 1,100.00 10160230 619800 Other Contractual Services Aerotek OE00930523 05/30/2013 061913CC 900.00 Invoice: OE00930523 McClain, Kevin-Period Ending 05/18/13 900.00 10160230 619800 Other Contractual Services CHECK 264370 TOTAL: 2,000.00 264371 06/19/2013 PRTD 100012 Airport Marina Ford 447582 06/08/2013 21302415 061913CC 298.49 Invoice: 447582 Parts 298.49 31014600 600900 Central Stores Airport Marina Ford 447704 06/12/2013 21302415 061913CC 79.57 Invoice: 447704 Parts 79.57 31014600 600900 Central Stores Airport Marina Ford 447787 06/13/2013 21302415 061913CC 48.06 Invoice: 447787 Parts 48.06 31014600 600900 Central Stores Airport Marina Ford 447849 06/15/2013 21302415 061913CC 117.80 Invoice: 447849 Parts 117.80 31014600 600900 Central Stores 06/19/2013 15:19 |CULVER CITY |PG 2 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264371 TOTAL: 543.92 264372 06/19/2013 PRTD 100904 Alex's Window Tinting 1178 06/05/2013 21303400 061913CC 150.00 Invoice: 1178 Window Tinting - Unit: 2093 150.00 30870400 600200 R&M - Equipment CHECK 264372 TOTAL: 150.00 264373 06/19/2013 PRTD 100020 American Machinery and Blade Inc 100630 05/16/2013 21303380 061913CC 29.74 Invoice: 100630 Part - Bolt 29.74 30870400 600200 R&M - Equipment CHECK 264373 TOTAL: 29.74 264374 06/19/2013 PRTD 101759 APD Consultants Inc 818 06/01/2013 061913CC 2,999.50 Invoice: 818 Re: Sawtelle Bl and Washinton Pl Resurfacing 2,999.50 41880000 730100PZ965 Improvements other than Bldg CHECK 264374 TOTAL: 2,999.50 264375 06/19/2013 PRTD 100025 Aqua-Flo Supply 449056 05/01/2013 21303415 061913CC 24.04 Invoice: 449056 Irrigation Supplies 24.04 42080000 730100PZ612 Improvements other than Bldg Aqua-Flo Supply 460809 05/28/2013 21303415 061913CC 82.14 Invoice: 460809 Irrigation Supplies 82.14 42080000 730100PZ612 Improvements other than Bldg CHECK 264375 TOTAL: 106.18 264376 06/19/2013 PRTD 100994 Aramark Uniform Services 502-7909901 06/04/2013 061913CC 33.53 Invoice: 502-7909901 Uniform and Apparel Rental Pro 33.53 10140200 600200 R&M - Equipment Aramark Uniform Services 502-7842730 05/07/2013 061913CC 24.19 Invoice: 502-7842730 Uniform and Apparel Rental Pro 24.19 10114500 440000 Uniform Allowance Aramark Uniform Services 502-7859496 05/14/2013 061913CC 17.80 Invoice: 502-7859496 Uniform and Apparel Rental Pro 17.80 10114500 440000 Uniform Allowance Aramark Uniform Services 502-7876320 05/21/2013 061913CC 13.55 Invoice: 502-7876320 Uniform and Apparel Rental Pro 13.55 10114500 440000 Uniform Allowance Aramark Uniform Services 502-7893159 05/28/2013 061913CC 13.5506/19/2013 15:19 |CULVER CITY |PG 3 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 502-7893159 Uniform and Apparel Rental Pro 13.55 10114500 440000 Uniform Allowance Aramark Uniform Services 502-7926676 06/11/2013 061913CC 30.49 Invoice: 502-7926676 Uniform and Apparel Rental Pro 30.49 20260410 440000 Uniform Allowance Aramark Uniform Services 502-7926677 06/11/2013 061913CC 177.26 Invoice: 502-7926677 Uniform and Apparel Rental Pro 177.26 20260400 440000 Uniform Allowance CHECK 264376 TOTAL: 310.37 264377 06/19/2013 PRTD 101358 ASAP Lock and Key Corp 53325 06/10/2013 21303430 061913CC 17.99 Invoice: 53325 Keys - Shop - Unit: 20123 17.99 30870400 600200 R&M - Equipment CHECK 264377 TOTAL: 17.99 264378 06/19/2013 PRTD 105060 ASC Telecom 79777 04/10/2013 21303268 061913CC 1,361.00 Invoice: 79777 Software Maintenance Agreemt SMA 1,361.00 20370200 619800 Other Contractual Services CHECK 264378 TOTAL: 1,361.00 264379 06/19/2013 PRTD 100596 Avipro Inc 14960 04/30/2013 061913CC 95.00 Invoice: 14960 Monthly Pigeon Control-Apr 2013 95.00 10160230 619800 Other Contractual Services CHECK 264379 TOTAL: 95.00 264380 06/19/2013 PRTD 100030 Bagge & Son 35798 06/07/2013 21303431 061913CC 82.00 Invoice: 35798 Wheel Alignment - Unit: 1756 82.00 30870400 600200 R&M - Equipment CHECK 264380 TOTAL: 82.00 264381 06/19/2013 PRTD 101080 Becnel Uniforms 67711 05/29/2013 21300152 061913CC 349.86 Invoice: 67711 Bus Operator Uniforms 349.86 20370200 440000 Uniform Allowance Becnel Uniforms 67712 05/29/2013 21300152 061913CC 283.23 Invoice: 67712 Bus Operator Uniforms 283.23 20370200 440000 Uniform Allowance Becnel Uniforms 67675 05/24/2013 21300152 061913CC 349.78 Invoice: 67675 Bus Operator Uniforms 06/19/2013 15:19 |CULVER CITY |PG 4 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 349.78 20370200 440000 Uniform Allowance Becnel Uniforms 67666 05/24/2013 21300152 061913CC 118.98 Invoice: 67666 Bus Operator Uniforms 118.98 20370200 440000 Uniform Allowance Becnel Uniforms 67665 05/24/2013 21300152 061913CC 21.75 Invoice: 67665 Bus Operator Uniforms 21.75 20370200 440000 Uniform Allowance Becnel Uniforms 67668 05/24/2013 21300152 061913CC 100.23 Invoice: 67668 Bus Operator Uniforms 100.23 20370200 440000 Uniform Allowance Becnel Uniforms 67667 05/24/2013 21300152 061913CC 118.27 Invoice: 67667 Bus Operator Uniforms 118.27 20370200 440000 Uniform Allowance Becnel Uniforms 67753 05/31/2013 21300152 061913CC 577.60 Invoice: 67753 Bus Operator Uniforms 577.60 20370200 440000 Uniform Allowance CHECK 264381 TOTAL: 1,919.70 264382 06/19/2013 PRTD 107644 Beyond Basics Youth Sports 040813RE 04/08/2013 061913CC 1,325.10 Invoice: 040813RE Spanish Preschool Classes-Winter 1,325.10 10130250 619800 Other Contractual Services CHECK 264382 TOTAL: 1,325.10 264383 06/19/2013 PRTD 101205 Beyond Pre-K in Spanish 060313 06/03/2013 061913CC 7,910.00 Invoice: 060313 Spanish Preschool Classes-May 7,910.00 10130250 619800 Other Contractual Services CHECK 264383 TOTAL: 7,910.00 264384 06/19/2013 PRTD 100932 Bound Tree Medical 81101844 06/01/2013 21300249 061913CC 781.49 Invoice: 81101844 First Aid Supplies 781.49 10145300 514100 Departmental Special Supplies Bound Tree Medical 81103503 06/03/2013 21300249 061913CC 164.25 Invoice: 81103503 First Aid Supplies 164.25 10145300 514100 Departmental Special Supplies CHECK 264384 TOTAL: 945.7406/19/2013 15:19 |CULVER CITY |PG 5 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264385 06/19/2013 PRTD 103120 Broadway Gymnastic School Inc 060313 06/03/2013 061913CC 1,030.40 Invoice: 060313 Gymnastic Classes-Spring 1,030.40 10130250 619800 Other Contractual Services CHECK 264385 TOTAL: 1,030.40 264386 06/19/2013 PRTD 101755 Hollywood Hospital at Brotman 500062753-0001 05/24/2013 061913CC 230.00 Invoice: 500062753-0001 Ermergency room visit/pre-book 230.00 10140200 619800 Other Contractual Services Hollywood Hospital at Brotman 500063226-0001 05/28/2013 061913CC 400.00 Invoice: 500063226-0001 Ermergency room visit/pre-book 400.00 10140200 619800 Other Contractual Services CHECK 264386 TOTAL: 630.00 264387 06/19/2013 PRTD 100886 C and S Nursery Inc 63305 06/04/2013 21303426 061913CC 28.78 Invoice: 63305 Plants 28.78 10130300 514100 Departmental Special Supplies CHECK 264387 TOTAL: 28.78 264388 06/19/2013 PRTD 100055 California Vision Service MAY13ADM0012 05/31/2013 061913CC 335.00 Invoice: MAY13ADM0012 May 2013 Retiree Adm Fees 0012 335.00 101 202330 Vision Premium Payable California Vision Service MAY13ADM0008 05/01/2013 061913CC 2,510.00 Invoice: MAY13ADM0008 May 2013 Adm Fees 0008 2,510.00 101 202330 Vision Premium Payable California Vision Service MAY13ADM0010 04/01/2013 061913CC 40.00 Invoice: MAY13ADM0010 May 2013 Cobra Adm Fees 0010 40.00 101 202330 Vision Premium Payable California Vision Service MAY13CLAIMS0007 05/30/2013 061913CC 6,259.60 Invoice: MAY13CLAIMS0007 May 2013 Claims 0007 6,259.60 101 202330 Vision Premium Payable California Vision Service MAY13CLAIMS0011 05/30/2013 061913CC 1,090.41 Invoice: MAY13CLAIMS0011 May 2013 Retiree Claims 0011 1,090.41 101 202330 Vision Premium Payable CHECK 264388 TOTAL: 10,235.01 264389 06/19/2013 PRTD 100258 CalPERS 100000014023668 05/09/2013 21303502 061913CC 500.00 Invoice: 100000014023668 Employer Pension Enrollment - Jose Serna 500.00 10116100 433000 Retirement - Employer 06/19/2013 15:19 |CULVER CITY |PG 6 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CalPERS 100000014023670 05/09/2013 21303502 061913CC 9,045.14 Invoice: 100000014023670 Arrears Contributions - Jose Serna 9,045.14 10116100 433000 Retirement - Employer CalPERS 100000014026045 05/14/2013 21303502 061913CC 500.00 Invoice: 100000014026045 Employer Pension Enrollment - Charles Gutierrez 500.00 10116100 433000 Retirement - Employer CalPERS 100000014026047 05/14/2013 21303502 061913CC 1,858.20 Invoice: 100000014026047 Arrears Contributions - Charles Gutierrez 1,858.20 10116100 433000 Retirement - Employer CalPERS 100000014030461 05/18/2013 21303502 061913CC 500.00 Invoice: 100000014030461 Employer Pension Enrollment - John Finau 500.00 10116100 433000 Retirement - Employer CalPERS 100000014030463 05/18/2013 21303502 061913CC 1,850.50 Invoice: 100000014030463 Arrears Contributions - John Finau 1,850.50 10116100 433000 Retirement - Employer CalPERS 100000014030485 05/18/2013 21303502 061913CC 500.00 Invoice: 100000014030485 Employer Pension Enrollment - Hubert Miller 500.00 10116100 433000 Retirement - Employer CalPERS 100000014030487 05/18/2013 21303502 061913CC 9,118.70 Invoice: 100000014030487 Arrears Contributions - Hubert Miller 9,118.70 10116100 433000 Retirement - Employer CalPERS 100000014030722 05/20/2013 21303502 061913CC 500.00 Invoice: 100000014030722 Employer Pension Enrollment - Paul Finau 500.00 10116100 433000 Retirement - Employer CalPERS 100000014030724 05/20/2013 21303502 061913CC 9,055.80 Invoice: 100000014030724 Arrears Contributions - Paul Finau 9,055.80 10116100 433000 Retirement - Employer CalPERS 100000014034959 05/22/2013 21303502 061913CC 500.00 Invoice: 100000014034959 Employer Pension Enrollment - Victor Despaigne 500.00 10116100 433000 Retirement - Employer CalPERS 100000014034961 05/22/2013 21303502 061913CC 2,191.07 Invoice: 100000014034961 Arrears Contributions - Victor Despaigne 2,191.07 10116100 433000 Retirement - Employer CHECK 264389 TOTAL: 36,119.41 264390 06/19/2013 PRTD 107589 Caroline Muller Antunes 060413 06/04/2013 061913CC 1,309.00 Invoice: 060413 Fitness Classes-Spring 1,309.00 10130250 619800 Other Contractual Services 06/19/2013 15:19 |CULVER CITY |PG 7 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264390 TOTAL: 1,309.00 264391 06/19/2013 PRTD 101691 Catalina Pacific Concrete 91836503 05/30/2013 21300169 061913CC 787.09 Invoice: 91836503 CONCRETE MATERIAL 787.09 10160210 514100 Departmental Special Supplies CHECK 264391 TOTAL: 787.09 264392 06/19/2013 PRTD 100066 Chemsearch 1096923 05/08/2013 21303369 061913CC 167.54 Invoice: 1096923 Equipment and Supplies: Sanit 167.54 20260410 600100 R&M - Building Chemsearch 1099855 05/10/2013 21303369 061913CC 171.44 Invoice: 1099855 Equipment and Supplies: Sanit 171.44 20260410 600100 R&M - Building CHECK 264392 TOTAL: 338.98 264393 06/19/2013 PRTD 103698 Chiquita Canyon Inc 5063 05/31/2013 061913CC 45,977.11 Invoice: 5063 Landfill - Waste Disposal 45,977.11 20260410 615100 Refuse Disp Services - Trash CHECK 264393 TOTAL: 45,977.11 264394 06/19/2013 PRTD 106268 Manuel Cid PAD627 05/14/2013 21303276 061913CC 450.00 Invoice: PAD627 Tuition Reimbursement PAD627 450.00 10140200 516100 Training & Education Manuel Cid PAD622 04/08/2013 21303274 061913CC 450.00 Invoice: PAD622 Tuition PAD622 450.00 10140200 516100 Training & Education Manuel Cid PAD620 04/08/2013 21303273 061913CC 450.00 Invoice: PAD620 Tuition PAD620 450.00 10140200 516100 Training & Education CHECK 264394 TOTAL: 1,350.00 264395 06/19/2013 PRTD 105418 City Cycle Center 0530132 05/30/2013 21303152 061913CC 24,566.32 Invoice: 0530132 Undercover Vehicle -GMC 24,566.32 41640454 732100 Auto-Rolling Stock & Equipment City Cycle Center 05301313 05/30/2013 061913CC 547.50 Invoice: 05301313 Re: Skip Clark 547.50 41640454 732100 Auto-Rolling Stock & Equipment06/19/2013 15:19 |CULVER CITY |PG 8 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264395 TOTAL: 25,113.82 264396 06/19/2013 PRTD 100713 City of Culver City June2013Petty 06/18/2013 061913CC 248.59 Invoice: June2013Petty SANITATION-Petty Cash 3.00 10160460 512100 Office Expense 3.00 10160460 512100 Office Expense 6.00 10160460 512100 Office Expense 3.00 10160460 512100 Office Expense 7.50 10160460 512100 Office Expense 4.00 10160460 512100 Office Expense 4.00 10160460 512100 Office Expense 11.00 20260430 512100 Office Expense 39.00 20260430 512100 Office Expense 11.00 20260430 512100 Office Expense 1.00 20260430 512100 Office Expense 15.50 20260430 512100 Office Expense 15.50 20260430 512100 Office Expense 15.50 20260430 512100 Office Expense 30.00 20260430 512100 Office Expense 30.00 20260430 512100 Office Expense 19.59 20260430 512100 Office Expense 30.00 20260430 512100 Office Expense CHECK 264396 TOTAL: 248.59 264397 06/19/2013 PRTD 104385 City of Los Angeles 1238612HERBERTST613 06/25/2013 21303435 061913CC 34.04 Invoice: 1238612HERBERTST613 4-43-42278-12386-50-0000-0-01 34.04 10116100 513000 Utilities City of Los Angeles 4307MCCONNELLBL613 06/25/2013 21303435 061913CC 47.19 Invoice: 4307MCCONNELLBL613 4-56-58140-04307-00-0000-0-01 47.19 10116100 513000 Utilities City of Los Angeles 4162WADEST0513 05/21/2013 21303435 061913CC 771.32 Invoice: 4162WADEST0513 4-56-89268-04162-00-0000-3-01 771.32 10116100 513000 Utilities City of Los Angeles 12700WASHBL0513 05/21/2013 21303435 061913CC 153.18 Invoice: 12700WASHBL0513 4-56-89721-12700-00-0000-0-01 153.18 10116100 513000 Utilities City of Los Angeles 3800CANFIELDAV0613 06/05/2013 21302831 061913CC 328.30 Invoice: 3800CANFIELDAV0613 4-45-15413-03800-00-0000-1-01 328.30 48155100 513000 Utilities CHECK 264397 TOTAL: 1,334.0306/19/2013 15:19 |CULVER CITY |PG 9 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264398 06/19/2013 PRTD 104385 City of Los Angeles 74CO130000249 05/22/2013 21303137 061913CC 705.25 Invoice: 74CO130000249 CSTRM#14530 705.25 10160240 600200 R&M - Equipment CHECK 264398 TOTAL: 705.25 264399 06/19/2013 PRTD 101167 Clean Energy CE11454115 05/31/2013 21303406 061913CC 26.33 Invoice: CE11454115 CNG Fuel Purchase - Unit: 1563 26.33 30870400 520120 Petroleum Products - Natural G CHECK 264399 TOTAL: 26.33 264400 06/19/2013 PRTD 100078 Completes Plus 01QU3784 06/12/2013 21302413 061913CC 91.23 Invoice: 01QU3784 Parts 91.23 31014600 600900 Central Stores CHECK 264400 TOTAL: 91.23 264401 06/19/2013 PRTD 105551 Copy Service Express, Inc 11212 05/22/2013 21303374 061913CC 621.25 Invoice: 11212 Office Supplies-Printer Toner 621.25 10140200 512200 Printing and Binding CHECK 264401 TOTAL: 621.25 264402 06/19/2013 PRTD 102702 Costar Group Inc 102110590 06/03/2013 061913CC 399.03 Invoice: 102110590 Electronic database service 399.03 10116100 619800 Other Contractual Services CHECK 264402 TOTAL: 399.03 264403 06/19/2013 PRTD 100707 County of Los Angeles 134285WC 05/09/2013 21303373 061913CC 588.75 Invoice: 134285WC Food Svc 4/1/2013-4/30/2013 588.75 10140200 514100 Departmental Special Supplies CHECK 264403 TOTAL: 588.75 264404 06/19/2013 PRTD 104770 CPRS 061113 06/01/2013 21303417 061913CC 1,365.00 Invoice: 061113 GARY VILLAROS 1,365.00 10130300 516100 Training & Education CHECK 264404 TOTAL: 1,365.0006/19/2013 15:19 |CULVER CITY |PG 10 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264405 06/19/2013 PRTD 105268 CR and R Inc 256389 06/01/2013 061913CC 19,595.52 Invoice: 256389 Refuse Transportation 19,595.52 20260410 619800 Other Contractual Services CHECK 264405 TOTAL: 19,595.52 264406 06/19/2013 PRTD 100093 Culver City Industrial Hardware 27588 06/12/2013 21303424 061913CC 304.43 Invoice: 27588 Parts 304.43 31014600 600900 Central Stores Culver City Industrial Hardware 27609 06/14/2013 21303492 061913CC 52.51 Invoice: 27609 Tape Caution Yellow 3" 52.51 31014600 600900 Central Stores Culver City Industrial Hardware 27535 06/10/2013 21302426 061913CC 108.93 Invoice: 27535 Parts 108.93 31014600 600900 Central Stores Culver City Industrial Hardware 27614 06/14/2013 21302426 061913CC 13.32 Invoice: 27614 Parts 13.32 31014600 600900 Central Stores CHECK 264406 TOTAL: 479.19 264407 06/19/2013 PRTD 100133 Daniel P Gallagher JUNE13 06/05/2013 21300867 061913CC 50.00 Invoice: JUNE13 CSC Monthly Meeting 50.00 10122100 517000 City Commission Expenses CHECK 264407 TOTAL: 50.00 264408 06/19/2013 PRTD 100099 Dapper Tire Co 901342143 06/12/2013 21302412 061913CC 959.99 Invoice: 901342143 Parts 959.99 31014600 600900 Central Stores CHECK 264408 TOTAL: 959.99 264409 06/19/2013 PRTD 100102 Delta Care PMI MAY2013 06/13/2013 061913CC 4,141.17 Invoice: MAY2013 Dental Deductions, May 2013 2,172.71 101 202320 Dental Premium Payable 352.56 202 202320 Dental Premium Payable 1,175.20 203 202320 Dental Premium Payable 58.76 204 202320 Dental Premium Payable 352.56 308 202320 Dental Premium Payable 29.38 414 202320 Dental Premium Payable 06/19/2013 15:19 |CULVER CITY |PG 11 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264409 TOTAL: 4,141.17 264410 06/19/2013 PRTD 101718 Delta Dental of California BE000568768C 05/31/2013 061913CC 34,822.15 Invoice: BE000568768C May 2013 Claims 34,822.15 101 202320 Dental Premium Payable Delta Dental of California BE000568768A 05/31/2013 061913CC 4,126.98 Invoice: BE000568768A May 2013 Admin Fees 4,126.98 101 202320 Dental Premium Payable CHECK 264410 TOTAL: 38,949.13 264411 06/19/2013 PRTD 100512 Eddings Bros Auto Parts Inc 555338 06/12/2013 21302424 061913CC 512.42 Invoice: 555338 Parts 512.42 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 555060 06/10/2013 21302424 061913CC 55.70 Invoice: 555060 Parts 55.70 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 555206 06/11/2013 21302424 061913CC 1,242.08 Invoice: 555206 Parts 1,242.08 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 554728 06/07/2013 21302424 061913CC 80.01 Invoice: 554728 Parts 80.01 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 555723 06/14/2013 21302424 061913CC 9.07 Invoice: 555723 Parts 9.07 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 556172 06/18/2013 21302424 061913CC 42.28 Invoice: 556172 Parts 42.28 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 556095 06/18/2013 21302424 061913CC 72.88 Invoice: 556095 Parts 72.88 31014600 600900 Central Stores CHECK 264411 TOTAL: 2,014.44 264412 06/19/2013 PRTD 100123 Federal Express Corp 227535215 05/17/2013 21300034 061913CC 82.07 Invoice: 227535215 FexEx Express Services 82.07 10124200 512300 Postage Federal Express Corp 229699658 06/07/2013 21300034 061913CC 171.85 Invoice: 229699658 FexEx Express Services 171.85 10124200 512300 Postage 06/19/2013 15:19 |CULVER CITY |PG 12 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Federal Express Corp 226752559 05/10/2013 21303270 061913CC 65.79 Invoice: 226752559 FexEx Express Services 65.79 20370200 512300 Postage CHECK 264412 TOTAL: 319.71 264413 06/19/2013 PRTD 100129 Franklin Truck Parts LB136565 06/12/2013 21302422 061913CC 1,451.95 Invoice: LB136565 Parts 1,451.95 31014600 600900 Central Stores Franklin Truck Parts LB136558 06/11/2013 21302422 061913CC 218.70 Invoice: LB136558 Parts 218.70 31014600 600900 Central Stores CHECK 264413 TOTAL: 1,670.65 264414 06/19/2013 PRTD 101504 GMS Autoglass I199158 05/21/2013 21303378 061913CC 204.14 Invoice: I199158 Windshield Parts & Repair - Un 204.14 30870400 600200 R&M - Equipment CHECK 264414 TOTAL: 204.14 264415 06/19/2013 PRTD 100740 Gold Coast K9 CCPD-243 05/30/2013 061913CC 900.00 Invoice: CCPD-243 Weekly K9 Training 900.00 10140200 516100 Training & Education CHECK 264415 TOTAL: 900.00 264416 06/19/2013 PRTD 101418 Golden State Water Company 82814100002-0613 05/16/2013 061913CC 332.30 Invoice: 82814100002-0613 8281410000-2 332.30 10116100 513000 Utilities Golden State Water Company 84814100008-0613 05/16/2013 061913CC 759.50 Invoice: 84814100008-0613 8481410000-8 759.50 10116100 513000 Utilities Golden State Water Company 81948400007-0613 05/16/2013 061913CC 231.61 Invoice: 81948400007-0613 8194840000-7 231.61 10116100 513000 Utilities Golden State Water Company 80814100006-0613 05/16/2013 061913CC 176.05 Invoice: 80814100006-0613 8081410000-6 176.05 10116100 513000 Utilities Golden State Water Company 79714100009-0613 05/16/2013 061913CC 294.14 Invoice: 79714100009-0613 7971410000-9 294.14 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 13 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Golden State Water Company 72814100003-0613 05/16/2013 061913CC 58.48 Invoice: 72814100003-0613 7281410000-3 58.48 10116100 513000 Utilities Golden State Water Company 71814100005-0613 05/16/2013 061913CC 176.05 Invoice: 71814100005-0613 7181410000-5 176.05 10116100 513000 Utilities Golden State Water Company 69714100000-0613 05/16/2013 061913CC 144.76 Invoice: 69714100000-0613 6971410000-0 144.76 10116100 513000 Utilities Golden State Water Company 64814100000-0613 05/16/2013 061913CC 453.89 Invoice: 64814100000-0613 6481410000-0 453.89 10116100 513000 Utilities Golden State Water Company 62814100004-0613 05/16/2013 061913CC 1,176.25 Invoice: 62814100004-0613 6281410000-4 1,176.25 10116100 513000 Utilities Golden State Water Company 61814100006-0613 05/16/2013 061913CC 242.05 Invoice: 61814100006-0613 6181410000-6 242.05 10116100 513000 Utilities Golden State Water Company 59731200008-0613 05/16/2013 061913CC 110.03 Invoice: 59731200008-0613 5973120000-8 110.03 10116100 513000 Utilities Golden State Water Company 54814100001-0613 05/16/2013 061913CC 245.51 Invoice: 54814100001-0613 5481410000-1 245.51 10116100 513000 Utilities Golden State Water Company 52814100005-0613 05/16/2013 061913CC 207.31 Invoice: 52814100005-0613 5281410000-5 207.31 10116100 513000 Utilities Golden State Water Company 52441200004-0613 05/16/2013 061913CC 155.17 Invoice: 52441200004-0613 5244120000-4 155.17 10116100 513000 Utilities Golden State Water Company 51814100007-0613 05/16/2013 061913CC 301.07 Invoice: 51814100007-0613 5181410000-7 301.07 10116100 513000 Utilities Golden State Water Company 50814100009-0613 05/16/2013 061913CC 79.32 Invoice: 50814100009-0613 5081410000-9 79.32 10116100 513000 Utilities Golden State Water Company 49710200004-0613 05/16/2013 061913CC 55.01 Invoice: 49710200004-0613 4971020000-4 55.01 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 14 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Golden State Water Company 48731200001-0613 05/16/2013 061913CC 110.03 Invoice: 48731200001-0613 4873120000-1 110.03 10116100 513000 Utilities Golden State Water Company 44814100002-0613 05/16/2013 061913CC 53.29 Invoice: 44814100002-0613 4481410000-2 53.29 10116100 513000 Utilities Golden State Water Company 42814100006-0613 05/16/2013 061913CC 93.21 Invoice: 42814100006-0613 4281410000-6 93.21 10116100 513000 Utilities Golden State Water Company 42177100007-0613 05/16/2013 061913CC 123.92 Invoice: 42177100007-0613 4217710000-7 123.92 10116100 513000 Utilities Golden State Water Company 40814100000-0613 05/16/2013 061913CC 1,627.74 Invoice: 40814100000-0613 4081410000-0 1,627.74 10116100 513000 Utilities Golden State Water Company 32814100007-0613 05/16/2013 061913CC 1,561.75 Invoice: 32814100007-0613 3281410000-7 1,561.75 10116100 513000 Utilities Golden State Water Company 31814100009-0613 05/16/2013 061913CC 627.53 Invoice: 31814100009-0613 3181410000-9 627.53 10116100 513000 Utilities Golden State Water Company 27928300006-0613 05/16/2013 061913CC 22.03 Invoice: 27928300006-0613 2792830000-6 22.03 10116100 513000 Utilities Golden State Water Company 24814100004-0613 05/16/2013 061913CC 696.99 Invoice: 24814100004-0613 2481410000-4 696.99 10116100 513000 Utilities Golden State Water Company 21814100000-0613 05/16/2013 061913CC 2,227.18 Invoice: 21814100000-0613 2181410000-0 2,227.18 10116100 513000 Utilities Golden State Water Company 20814100002-0613 05/16/2013 061913CC 55.01 Invoice: 20814100002-0613 2081410000-2 55.01 10116100 513000 Utilities Golden State Water Company 20105300006-0613 05/16/2013 061913CC 20.30 Invoice: 20105300006-0613 2010530000-6 20.30 10116100 513000 Utilities Golden State Water Company 14388687056-0613 05/16/2013 061913CC 188.00 Invoice: 14388687056-0613 1438868705-6 188.00 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 15 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Golden State Water Company 13814100007-0613 05/16/2013 061913CC 262.87 Invoice: 13814100007-0613 1381410000-7 262.87 10116100 513000 Utilities Golden State Water Company 12814100009-0613 05/16/2013 061913CC 110.03 Invoice: 12814100009-0613 1281410000-9 110.03 10116100 513000 Utilities Golden State Water Company 10814100003-0613 05/16/2013 061913CC 224.68 Invoice: 10814100003-0613 1081410000-3 224.68 10116100 513000 Utilities Golden State Water Company 03814100008-0613 05/16/2013 061913CC 981.77 Invoice: 03814100008-0613 0381410000-8 981.77 10116100 513000 Utilities Golden State Water Company 03441200007-0613 05/16/2013 061913CC 30.45 Invoice: 03441200007-0613 0344120000-7 30.45 10116100 513000 Utilities Golden State Water Company 02814100000-0613 05/16/2013 061913CC 176.05 Invoice: 02814100000-0613 0281410000-0 176.05 10116100 513000 Utilities Golden State Water Company 01814100002-0613 05/16/2013 061913CC 235.09 Invoice: 01814100002-0613 0181410000-2 235.09 10116100 513000 Utilities Golden State Water Company 00814100004-0613 05/16/2013 061913CC 200.36 Invoice: 00814100004-0613 0081410000-4 200.36 10116100 513000 Utilities Golden State Water Company 26419200006-0613 05/16/2013 061913CC 195.13 Invoice: 26419200006-0613 2641920000-6 195.13 10116100 513000 Utilities Golden State Water Company 16419200007-0613 05/16/2013 061913CC 30.45 Invoice: 16419200007-0613 1641920000-7 30.45 10116100 513000 Utilities Golden State Water Company 06419200008-0613 05/16/2013 061913CC 514.62 Invoice: 06419200008-0613 0641920000-8 514.62 10116100 513000 Utilities Golden State Water Company 87055100009-0613 05/20/2013 061913CC 189.95 Invoice: 87055100009-0613 8705510000-9 189.95 10116100 513000 Utilities Golden State Water Company 99714100007-0613 05/16/2013 061913CC 179.52 Invoice: 99714100007-0613 9971410000-7 179.52 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 16 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Golden State Water Company 92814100001-0613 05/16/2013 061913CC 391.37 Invoice: 92814100001-0613 9281410000-1 391.37 10116100 513000 Utilities Golden State Water Company 91814100003-0613 05/16/2013 061913CC 176.05 Invoice: 91814100003-0613 9181410000-3 176.05 10116100 513000 Utilities Golden State Water Company 90814100005-0613 05/16/2013 061913CC 55.01 Invoice: 90814100005-0613 9081410000-5 55.01 10116100 513000 Utilities Golden State Water Company 89714100005-0613 05/16/2013 061913CC 189.91 Invoice: 89714100005-0613 8971410000-8 189.91 10116100 513000 Utilities Golden State Water Company 36639100001-0613 05/16/2013 061913CC 631.00 Invoice: 36639100001-0613 3663910000-1 631.00 10116100 513000 Utilities Golden State Water Company 56531500009-0613 06/04/2013 061913CC 167.67 Invoice: 56531500009-0613 5653150000-9 167.67 10116100 513000 Utilities Golden State Water Company 52956100003-0613 05/06/2013 061913CC 200.32 Invoice: 52956100003-0613 5295610000-3 200.32 10116100 513000 Utilities Golden State Water Company 61956100004-0613 05/06/2013 061913CC 224.68 Invoice: 61956100004-0613 6195610000-4 224.68 10116100 513000 Utilities Golden State Water Company 97055100008-0613 05/14/2013 061913CC 248.98 Invoice: 97055100008-0613 9705510000-8 248.98 10116100 513000 Utilities Golden State Water Company 9871410000-062013 05/16/2013 061913CC 804.64 Invoice: 9871410000-062013 9871410000-9 804.64 10116100 513000 Utilities Golden State Water Company 8771410000-062013 05/16/2013 061913CC 202.78 Invoice: 8771410000-062013 8771410000-2 202.78 10116100 513000 Utilities Golden State Water Company 8445050000-062013 05/16/2013 061913CC 505.98 Invoice: 8445050000-062013 8445050000-8 505.98 10116100 513000 Utilities Golden State Water Company 8181410000-062013 05/16/2013 061913CC 481.67 Invoice: 8181410000-062013 8181410000-4 481.67 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 17 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Golden State Water Company 7771410000-062013 05/16/2013 061913CC 20.30 Invoice: 7771410000-062013 7777141000-3 20.30 10116100 513000 Utilities Golden State Water Company 7081410000-062013 05/16/2013 061913CC 200.36 Invoice: 7081410000-062013 7081410000-7 200.36 10116100 513000 Utilities Golden State Water Company 6871410000-062013 05/16/2013 061913CC 238.57 Invoice: 6871410000-062013 6871410000-2 238.57 10116100 513000 Utilities Golden State Water Company 6122040000-062013 05/16/2013 061913CC 259.40 Invoice: 6122040000-062013 6122040000-8 259.40 10116100 513000 Utilities Golden State Water Company 5871410000-062013 05/16/2013 061913CC 1,334.79 Invoice: 5871410000-062013 5871410000-3 1,334.79 10116100 513000 Utilities Golden State Water Company 5771410000-062013 05/16/2013 061913CC 165.59 Invoice: 5771410000-062013 5771410000-5 165.59 10116100 513000 Utilities Golden State Water Company 5478040000-062013 05/16/2013 061913CC 526.77 Invoice: 5478040000-062013 5478040000-5 526.77 10116100 513000 Utilities Golden State Water Company 5329640000-062013 05/16/2013 061913CC 20.30 Invoice: 5329640000-062013 5329640000-4 20.30 10116100 513000 Utilities Golden State Water Company 4971410000-062013 05/16/2013 061913CC 1,404.37 Invoice: 4971410000-062013 4971410000-2 1,404.37 10116100 513000 Utilities Golden State Water Company 4771410000-062013 05/16/2013 061913CC 419.15 Invoice: 4771410000-062013 4771410000-6 419.15 10116100 513000 Utilities Golden State Water Company 3971410000-062013 05/16/2013 061913CC 25.50 Invoice: 3971410000-062013 3971410000-3 25.50 10116100 513000 Utilities Golden State Water Company 3871410000-062013 05/16/2013 061913CC 526.82 Invoice: 3871410000-062013 3871410000-5 526.82 10116100 513000 Utilities Golden State Water Company 3771410000-062013 05/16/2013 061913CC 283.70 Invoice: 3771410000-062013 3771410000-7 283.70 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 18 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Golden State Water Company 1871410000-062013 05/16/2013 061913CC 221.20 Invoice: 1871410000-062013 1871410000-7 221.20 10116100 513000 Utilities Golden State Water Company 0871410000-062013 05/16/2013 061913CC 269.82 Invoice: 0871410000-062013 0871410000-8 269.82 10116100 513000 Utilities Golden State Water Company 1181410000-062013 05/16/2013 061913CC 55.01 Invoice: 1181410000-062013 1181410000-1 55.01 10116100 513000 Utilities Golden State Water Company 3874210000-062013 05/16/2013 061913CC 487.65 Invoice: 3874210000-062013 3874210000-1 487.65 10116100 513000 Utilities Golden State Water Company 8954340000-062013 05/16/2013 061913CC 255.93 Invoice: 8954340000-062013 8954340000-9 255.93 10116100 513000 Utilities Golden State Water Company 1525340000-062013 05/16/2013 061913CC 30.45 Invoice: 1525340000-062013 1525340000-4 30.45 10116100 513000 Utilities Golden State Water Company 0064340000-062013 05/16/2013 061913CC 82.79 Invoice: 0064340000-062013 0064340000-5 82.79 10116100 513000 Utilities Golden State Water Company 2381410000-062013 05/16/2013 061913CC 30.45 Invoice: 2381410000-062013 2381410000-6 30.45 10116100 513000 Utilities Golden State Water Company 9461120000-062013 05/16/2013 061913CC 22.03 Invoice: 9461120000-062013 9461120000-0 22.03 10116100 513000 Utilities Golden State Water Company 6771410000-062013 05/16/2013 061913CC 501.29 Invoice: 6771410000-062013 3771410000-4 501.29 10116100 513000 Utilities Golden State Water Company 62119100006-52013 05/16/2013 061913CC 55.01 Invoice: 62119100006-52013 9211910000-6 55.01 20460300 513000 Utilities Golden State Water Company 83836100004-052013 05/16/2013 061913CC 46.33 Invoice: 83836100004-052013 8383610000-4 46.33 20460300 513000 Utilities Golden State Water Company 4181410000-52013 06/06/2013 061913CC 182.99 Invoice: 4181410000-52013 4181410000-8 182.99 20460300 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 19 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Golden State Water Company 27457400003-0613 06/05/2013 061913CC 229.87 Invoice: 27457400003-0613 2745740000-3 229.87 10116100 513000 Utilities Golden State Water Company 52956100003/0613 06/05/2013 061913CC 267.36 Invoice: 52956100003/0613 5295610000-3 267.36 10116100 513000 Utilities Golden State Water Company 61956100004-613 06/05/2013 061913CC 237.64 Invoice: 61956100004-613 6195610000-4 237.64 10116100 513000 Utilities Golden State Water Company 94814100007/513 05/16/2013 061913CC 217.73 Invoice: 94814100007/513 9481410000-7 217.73 20460300 513000 Utilities Golden State Water Company 83836100004-0613 06/11/2013 061913CC 55.09 Invoice: 83836100004-0613 8383610000-4 55.09 20460300 513000 Utilities Golden State Water Company 6211910000/613 06/11/2013 061913CC 56.44 Invoice: 6211910000/613 6211910000-6 56.44 20460300 513000 Utilities Golden State Water Company 3522320003-0613 06/06/2013 061913CC 40.60 Invoice: 3522320003-0613 3522320000-3 5.68 10116100 513000 Utilities 24.36 30870400 513000 Utilities 10.56 20370200 513000 Utilities Golden State Water Company 05223200006/613 05/15/2013 061913CC 503.86 Invoice: 05223200006/613 0522320000-6 70.54 10116100 513000 Utilities 302.32 30870400 513000 Utilities 131.00 20370200 513000 Utilities Golden State Water Company 19714100005/613 05/16/2013 061913CC 245.51 Invoice: 19714100005/613 1971410000-5 245.51 20260400 513000 Utilities Golden State Water Company 70628100003-613 05/16/2013 061913CC 384.43 Invoice: 70628100003-613 7062810000-3 375.24 10116100 513000 Utilities 2.00 20460300 513000 Utilities 7.19 20260410 513000 Utilities Golden State Water Company 29714100004-0613 05/16/2013 061913CC 20.30 Invoice: 29714100004-0613 2971410000-4 20.30 20260410 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 20 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264416 TOTAL: 30,141.91 264417 06/19/2013 PRTD 100139 Goodyear Tire and Rubber Co 0076100189 05/28/2013 061913CC 520.00 Invoice: 0076100189 Goodyear Tires - Tire Lease/April 2013 520.00 20370200 732120 Departmental Special Equipment Goodyear Tire and Rubber Co 0076100188 05/28/2013 061913CC 7,823.02 Invoice: 0076100188 Goodyear Tires - Mileage/April 2013 7,823.02 20370200 732120 Departmental Special Equipment CHECK 264417 TOTAL: 8,343.02 264418 06/19/2013 PRTD 105210 GST Inc COI309171 05/28/2013 21303127 061913CC 167.58 Invoice: COI309171 Memorex 16x DVD+R Light Scribe 167.58 20370200 514100 Departmental Special Supplies GST Inc COI309183 06/03/2013 21303190 061913CC 1,626.58 Invoice: COI309183 SOFTWARE 1,626.58 20370200 732120 Departmental Special Equipment CHECK 264418 TOTAL: 1,794.16 264419 06/19/2013 PRTD 105344 Hanson Bridgett LLP 1099128 05/30/2013 21200017 061913CC 1,093.50 Invoice: 1099128 Legal Services - Employee Benefits 1,093.50 10114100 619800 Other Contractual Services CHECK 264419 TOTAL: 1,093.50 264420 06/19/2013 PRTD 102164 Haynes Building Services LLC 00026233 06/01/2013 061913CC 6,864.20 Invoice: 00026233 CC Public Works - CC Senior Center 6,864.20 41460903 619800 Other Contractual Services Haynes Building Services LLC 00026596 02/25/2013 061913CC 6,864.20 Invoice: 00026596 Re: CC Public Works February 2013 6,864.20 41460903 619800 Other Contractual Services Haynes Building Services LLC 00026401 01/31/2013 061913CC 6,864.20 Invoice: 00026401 Re: CC Public Works/Senior Center -January 2013 6,864.20 41460903 619800 Other Contractual Services Haynes Building Services LLC 00026405 01/31/2013 061913CC 2,655.26 Invoice: 00026405 Re: CC Public Works/Pool Bldg-January 2013 2,655.26 10160230 619800 Other Contractual Services Haynes Building Services LLC 00026400 01/31/2013 061913CC 9,019.62 Invoice: 00026400 Re: CC City Hall-January 2013 9,019.62 10160230 619800 Other Contractual Services 06/19/2013 15:19 |CULVER CITY |PG 21 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Haynes Building Services LLC 00026397 01/31/2013 061913CC 2,746.88 Invoice: 00026397 Re: CC Public Works-January 2013 2,746.88 10160230 619800 Other Contractual Services Haynes Building Services LLC 00026403 01/31/2013 061913CC 5,632.10 Invoice: 00026403 Re: Vets Memorial Complex-January 2013 5,632.10 10160230 619800 Other Contractual Services Haynes Building Services LLC 00026594 02/25/2013 061913CC 5,632.10 Invoice: 00026594 Re: CC Public Works-February 2013 5,632.10 10160230 619800 Other Contractual Services Haynes Building Services LLC 00026404 01/31/2013 061913CC 2,655.26 Invoice: 00026404 Re: CC Public Works Pool Bldg-November 2012 2,655.26 10160230 619800 Other Contractual Services Haynes Building Services LLC 00026227 01/28/2013 061913CC 9,019.62 Invoice: 00026227 Re: City Hall-November 2012 9,019.62 10160230 619800 Other Contractual Services Haynes Building Services LLC 00026229 01/28/2013 061913CC 2,746.88 Invoice: 00026229 Re: CC Public Works-November 2012 2,746.88 10160230 619800 Other Contractual Services Haynes Building Services LLC 00026228 01/28/2013 061913CC 5,632.10 Invoice: 00026228 Re: Veterans Memorial Complex-November 2012 5,632.10 10160230 619800 Other Contractual Services CHECK 264420 TOTAL: 66,332.42 264421 06/19/2013 PRTD 101422 Image IV Systems Inc 333378 06/03/2013 061913CC 45.15 Invoice: 333378 Lease 45.15 20370200 600200 R&M - Equipment CHECK 264421 TOTAL: 45.15 264422 06/19/2013 PRTD 100612 Independent Cities Association JULY11-14, 2013 05/02/2013 21303432 061913CC 650.00 Invoice: JULY11-14, 2013 SEMINAR REGISTRATION 650.00 10110000 516500 Conferences & Conventions CHECK 264422 TOTAL: 650.00 264423 06/19/2013 PRTD 107805 Insituform Technologies LLC 176130 05/31/2013 061913CC 12,345.25 Invoice: 176130 Ref: Job #200185/PH II & III, P-906, P-984 12,345.25 20480000 730100PZ906 Improvements other than Bldg CHECK 264423 TOTAL: 12,345.2506/19/2013 15:19 |CULVER CITY |PG 22 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264424 06/19/2013 PRTD 101177 Jasmine Car Wash 1012 06/06/2013 21303429 061913CC 944.92 Invoice: 1012 Car Washes: May 2013 944.92 30870400 600200 R&M - Equipment CHECK 264424 TOTAL: 944.92 264425 06/19/2013 PRTD 101478 Jeffrey Greathouse 060313 06/04/2013 061913CC 1,240.40 Invoice: 060313 Ceramic Classes-Spring 1,240.40 10130250 619800 Other Contractual Services CHECK 264425 TOTAL: 1,240.40 264426 06/19/2013 PRTD 104126 John Heyl 06032013 06/03/2013 061913CC 616.00 Invoice: 06032013 Karate Classes-May 616.00 10130250 619800 Other Contractual Services CHECK 264426 TOTAL: 616.00 264427 06/19/2013 PRTD 100852 John J Chittum 060313 06/04/2013 061913CC 376.60 Invoice: 060313 Scandinavian Dance Classes-Spring 376.60 10130250 619800 Other Contractual Services CHECK 264427 TOTAL: 376.60 264428 06/19/2013 PRTD 100461 Keyser Marston Associates Inc 0026065 05/06/2013 061913CC 700.00 Invoice: 0026065 RA99-25 City's portion 700.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0025640 11/09/2012 061913CC 140.00 Invoice: 0025640 RA99-25 City's portion 140.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0025641 11/09/2012 061913CC 140.00 Invoice: 0025641 RA99-25 City's 140.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0025666 12/05/2012 061913CC 560.00 Invoice: 0025666 RA99-25 City's portion 560.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0025791 01/10/2013 061913CC 2,800.00 Invoice: 0025791 RA99-25 City's portion 2,800.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0025792 01/10/2013 061913CC 70.00 Invoice: 0025792 RA99-25 City's portion 70.00 10150120 619800 Other Contractual Services 06/19/2013 15:19 |CULVER CITY |PG 23 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Keyser Marston Associates Inc 0025819BAL 02/07/2013 061913CC 560.00 Invoice: 0025819BAL RA99-25 City's 560.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0025820 02/04/2013 061913CC 1,120.00 Invoice: 0025820 RA99-25 City's portion 1,120.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0025909 03/08/2013 061913CC 1,120.00 Invoice: 0025909 RA99-25 City's portion 1,120.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 002597Bal 04/04/2013 061913CC 140.00 Invoice: 002597Bal RA99-25 City's portion 140.00 10150120 619800 Other Contractual Services Keyser Marston Associates Inc 0026066 05/06/2013 061913CC 757.50 Invoice: 0026066 RA99-25 City's portion 757.50 10150120 619800 Other Contractual Services CHECK 264428 TOTAL: 8,107.50 264429 06/19/2013 PRTD 103798 Kimball Midwest 2853126 02/26/2013 21303395 061913CC 45.77 Invoice: 2853126 Parts - Tool 45.77 30870400 600200 R&M - Equipment CHECK 264429 TOTAL: 45.77 264430 06/19/2013 PRTD 102037 KOA Corporation JB21087x2 06/07/2013 061913CC 12,069.82 Invoice: JB21087x2 Ref: Project JB21087 12,069.82 42080000 730100PZ599 Improvements other than Bldg CHECK 264430 TOTAL: 12,069.82 264431 06/19/2013 PRTD 101068 Lawrence Roll Up Doors Inc 1323324 04/29/2013 21302623 061913CC 9,463.20 Invoice: 1323324 Installed Rolling Steel Doors 9,463.20 20260400 732120 Departmental Special Equipment CHECK 264431 TOTAL: 9,463.20 264432 06/19/2013 PRTD 104212 Lawson Products Inc 9301688555 05/30/2013 21303381 061913CC 480.05 Invoice: 9301688555 Hardware/Supplies 480.05 30870400 600200 R&M - Equipment CHECK 264432 TOTAL: 480.0506/19/2013 15:19 |CULVER CITY |PG 24 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264433 06/19/2013 PRTD 100198 League of California Cities 2418 04/04/2013 21303427 061913CC 35.00 Invoice: 2418 Los Angeles County Division Meeting 35.00 10110000 516500 Conferences & Conventions CHECK 264433 TOTAL: 35.00 264434 06/19/2013 PRTD 104171 LexisNexis Risk Data Management 1008329-20130531 05/31/2013 061913CC 756.90 Invoice: 1008329-20130531 May 2013 Services 756.90 10140200 619800 Other Contractual Services LexisNexis Risk Data Management 1008329-20130430 04/30/2013 061913CC 749.15 Invoice: 1008329-20130430 April 2013 Services 749.15 10140200 619800 Other Contractual Services CHECK 264434 TOTAL: 1,506.05 264435 06/19/2013 PRTD 100193 LN Curtis and Sons 6039918-00 05/29/2013 21302486 061913CC 193.82 Invoice: 6039918-00 Anchor Assembly Kit and bumper 193.82 10145200 514600 Small Tools & Equipment CHECK 264435 TOTAL: 193.82 264436 06/19/2013 PRTD 106249 Los Angeles Freightliner WP1022262 06/11/2013 21302408 061913CC 57.61 Invoice: WP1022262 Parts 57.61 31014600 600900 Central Stores CHECK 264436 TOTAL: 57.61 264437 06/19/2013 PRTD 105042 Luis Canche 060313 06/03/2013 061913CC 80.50 Invoice: 060313 Spring 80.50 10130250 619800 Other Contractual Services CHECK 264437 TOTAL: 80.50 264438 06/19/2013 PRTD 107919 Malak Automation & Controls 1424 05/17/2013 21303410 061913CC 400.00 Invoice: 1424 CNG Hours update 400.00 20370200 600100 R&M - Building CHECK 264438 TOTAL: 400.00 264439 06/19/2013 PRTD 103672 Marina Landscape Inc 8561051300 05/31/2013 061913CC 13,736.00 Invoice: 8561051300 Landscape Services-May 2013 13,736.00 10130300 619800 Other Contractual Services 06/19/2013 15:19 |CULVER CITY |PG 25 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264439 TOTAL: 13,736.00 264440 06/19/2013 PRTD 101568 Michael E Whitaker JUNE13 06/05/2013 21300870 061913CC 50.00 Invoice: JUNE13 CSC Monthly Meeting 50.00 10122100 517000 City Commission Expenses CHECK 264440 TOTAL: 50.00 264441 06/19/2013 PRTD 100195 Michael Lanahan 06032013 06/03/2013 061913CC 1,554.00 Invoice: 06032013 Tennis Classes-April 1,554.00 10130250 619800 Other Contractual Services CHECK 264441 TOTAL: 1,554.00 264442 06/19/2013 PRTD 100232 Mity-Lite Inc IN-537263 04/18/2013 21302064 061913CC 56,398.16 Invoice: IN-537263 EQUIPMENT AND SUPPLIES: PARKS 13,894.39 42080000 730100pz876 Improvements other than Bldg 32,098.71 42080000 730100PZ876 Improvements other than Bldg 3,711.85 42080000 730100pz876 Improvements other than Bldg 3,340.21 42080000 730100PZ876 Improvements other than Bldg 96.91 42080000 730100pz876 Improvements other than Bldg 3,256.09 42080000 730100PZ876 Improvements other than Bldg CHECK 264442 TOTAL: 56,398.16 264443 06/19/2013 PRTD 100235 Morrison Management Specialist 1884520135310114 05/31/2013 061913CC 10,414.37 Invoice: 1884520135310114 Re: Senior Meal Program 7,873.55 41430410 619800 Other Contractual Services 2,540.82 41430415 619800 Other Contractual Services CHECK 264443 TOTAL: 10,414.37 264444 06/19/2013 PRTD 106623 Terry Murphy MPA610/630 01/10/2013 21303277 061913CC 600.00 Invoice: MPA610/630 Tuition MPA610 & MPA630 600.00 10140200 516100 Training & Education CHECK 264444 TOTAL: 600.00 264445 06/19/2013 PRTD 103866 Napa Auto Parts Culver City 130797 06/14/2013 21302407 061913CC 7.17 Invoice: 130797 Parts 7.17 31014600 600900 Central Stores CHECK 264445 TOTAL: 7.1706/19/2013 15:19 |CULVER CITY |PG 26 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264446 06/19/2013 PRTD 100705 Natural Gas Systems Inc 2672 06/03/2013 061913CC 1,440.00 Invoice: 2672 Maintenance-May 2013 1,440.00 20370200 619800 Other Contractual Services CHECK 264446 TOTAL: 1,440.00 264447 06/19/2013 PRTD 100000 Rashan Mines 2002923.004 06/08/2013 061913CC 50.00 Invoice: 2002923.004 Refundable Deposit 50.00 10130110 365730 Meeting Room Rental CHECK 264447 TOTAL: 50.00 264448 06/19/2013 PRTD 100000 Mevlut Alkani 2002924.004 06/08/2013 061913CC 100.00 Invoice: 2002924.004 Global Cultural Connections 100.00 10130110 365710 Senior Center Rental CHECK 264448 TOTAL: 100.00 264449 06/19/2013 PRTD 100000 Gary Gray 84469 06/07/2013 061913CC 285.95 Invoice: 84469 Refunding fee per C. Lugo 274.95 10150150 324000 Plumbing and Heating 11.00 41250150 321100 Other License & Permits - Bldg CHECK 264449 TOTAL: 285.95 264450 06/19/2013 PRTD 100000 Jose Cortes 2002915.004 06/08/2013 061913CC 300.00 Invoice: 2002915.004 Venice Family Clinic-EHS 300.00 10130110 365730 Meeting Room Rental CHECK 264450 TOTAL: 300.00 264451 06/19/2013 PRTD 100000 Liz Cohen 2002918.004 06/08/2013 061913CC 300.00 Invoice: 2002918.004 Refundable Deposit 300.00 10130110 365730 Meeting Room Rental CHECK 264451 TOTAL: 300.00 264452 06/19/2013 PRTD 100000 Caroline Eckert-Sullivan 2002917.004 06/08/2013 061913CC 300.00 Invoice: 2002917.004 Transamerica Financial Advisors 300.00 10130110 365730 Meeting Room Rental CHECK 264452 TOTAL: 300.0006/19/2013 15:19 |CULVER CITY |PG 27 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264453 06/19/2013 PRTD 100000 Devereux Foundation 2002921.004 06/08/2013 061913CC 300.00 Invoice: 2002921.004 Attn: Debi Mahler Refundable Deposit 300.00 10130110 365730 Meeting Room Rental CHECK 264453 TOTAL: 300.00 264454 06/19/2013 PRTD 100000 Nene Ogbechie 2002926.004 06/08/2013 061913CC 300.00 Invoice: 2002926.004 Playworks Southern California 300.00 10130110 365730 Meeting Room Rental CHECK 264454 TOTAL: 300.00 264455 06/19/2013 PRTD 100000 Rita Black 2002920.004 06/08/2013 061913CC 300.00 Invoice: 2002920.004 Shift Kids 300.00 10130110 365730 Meeting Room Rental CHECK 264455 TOTAL: 300.00 264456 06/19/2013 PRTD 100000 Robin Collins 2002919.004 06/08/2013 061913CC 300.00 Invoice: 2002919.004 Didi Hirsch 300.00 10130110 365730 Meeting Room Rental CHECK 264456 TOTAL: 300.00 264457 06/19/2013 PRTD 100000 Toni Packard 2002916.004 06/08/2013 061913CC 300.00 Invoice: 2002916.004 Didi Hirsch 300.00 10130110 365730 Meeting Room Rental CHECK 264457 TOTAL: 300.00 264458 06/19/2013 PRTD 100000 Rick Shaffer 2002914.004 06/06/2013 061913CC 500.00 Invoice: 2002914.004 Culver City Rock & Mineral Club 500.00 10130110 365730 Meeting Room Rental CHECK 264458 TOTAL: 500.00 264459 06/19/2013 PRTD 100000 Terese McKinney 2002922.004 06/04/2013 061913CC 505.50 Invoice: 2002922.004 Emerson Middle School 505.50 10130110 365740 Auditorium Rental CHECK 264459 TOTAL: 505.5006/19/2013 15:19 |CULVER CITY |PG 28 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264460 06/19/2013 PRTD 100000 Sabrina Jones 82197 06/04/2013 061913CC 608.47 Invoice: 82197 Change in Work 563.55 10150150 321000 Building Permits 2.00 10150150 321010 Bldg Standards Admin Surcharge 42.92 41250150 321100 Other License & Permits - Bldg CHECK 264460 TOTAL: 608.47 264461 06/19/2013 PRTD 106417 Otto Environmental System LLC ELOY14930 04/22/2013 21302616 061913CC 4,872.75 Invoice: ELOY14930 95 Gallon Blue Recycle Carts 4,872.75 20260400 732120 Departmental Special Equipment CHECK 264461 TOTAL: 4,872.75 264462 06/19/2013 PRTD 101326 Pacific Alarm Systems Inc 2236669 06/01/2013 061913CC 42.00 Invoice: 2236669 Alarm Service-C#74158, Jun 2013 42.00 10160230 600100 R&M - Building Pacific Alarm Systems Inc 2236612 06/01/2013 061913CC 31.50 Invoice: 2236612 Alarm Service-C#73464, Jun 2013 31.50 10160230 600100 R&M - Building Pacific Alarm Systems Inc 2236675 06/01/2013 061913CC 26.25 Invoice: 2236675 Alarm Service-C#74239, Jun 2013 26.25 10160230 600100 R&M - Building Pacific Alarm Systems Inc 2236708 06/01/2013 061913CC 31.00 Invoice: 2236708 Alarm Service-C#78085, Jun 2013 31.00 10160230 600100 R&M - Building CHECK 264462 TOTAL: 130.75 264463 06/19/2013 PRTD 100270 Phillips Steel Co 170611 05/29/2013 21303379 061913CC 471.95 Invoice: 170611 Welding Supplies 471.95 30870400 600200 R&M - Equipment CHECK 264463 TOTAL: 471.95 264464 06/19/2013 PRTD 101405 Pintsize Fitness and Sports 060313 06/04/2013 061913CC 2,447.20 Invoice: 060313 Children's Fitness Classes-Spring 2,447.20 10130250 619800 Other Contractual Services CHECK 264464 TOTAL: 2,447.2006/19/2013 15:19 |CULVER CITY |PG 29 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264465 06/19/2013 PRTD 101081 Plumbers Depot Inc PD-21274 06/04/2013 21303334 061913CC 7,064.94 Invoice: PD-21274 SEWER VEHICLE ATTACHMENTS 7,064.94 20460300 600200 R&M - Equipment Plumbers Depot Inc PD-21274DISC 06/04/2013 21303334 061913CC -322.60 Invoice: PD-21274DISC Discounts applied to invoice -322.60 20460300 600200 R&M - Equipment Plumbers Depot Inc PD-21366 06/04/2013 21303384 061913CC 209.42 Invoice: PD-21366 SEWER VEHICLE ATTACHMENTS 209.42 20460300 600200 R&M - Equipment Plumbers Depot Inc PD-21375 06/05/2013 21303302 061913CC 178.50 Invoice: PD-21375 EQUIPMENT AND SUPPLIES: GENERA 178.50 20460300 600200 R&M - Equipment CHECK 264465 TOTAL: 7,130.26 264466 06/19/2013 PRTD 100288 Red Wing Shoe Store 5692 04/17/2013 21303367 061913CC 218.72 Invoice: 5692 SHOES 218.72 20260400 440000 Uniform Allowance CHECK 264466 TOTAL: 218.72 264467 06/19/2013 PRTD 101096 Refrigeration Supplies Distributo 56115411-00 05/22/2013 21303439 061913CC 55.37 Invoice: 56115411-00 Office equipment - Fire Statio 55.37 10160230 619800 Other Contractual Services CHECK 264467 TOTAL: 55.37 264468 06/19/2013 PRTD 107601 Regents of University of Californ 10151520 05/21/2013 21303364 061913CC 299.46 Invoice: 10151520 COMSVC-00036507 299.46 10113100 514400 Legal-Suplmt & Pocket Part CHECK 264468 TOTAL: 299.46 264469 06/19/2013 PRTD 102923 Richard C Ochoa JUNE13 06/05/2013 21300868 061913CC 50.00 Invoice: JUNE13 CSC Monthly Meeting 50.00 10122100 517000 City Commission Expenses CHECK 264469 TOTAL: 50.00 264470 06/19/2013 PRTD 101069 Rocket Smog Inc 52862 06/03/2013 21303383 061913CC 30.00 Invoice: 52862 Smog Check - Unit: 1065 30.00 30870400 600200 R&M - Equipment 06/19/2013 15:19 |CULVER CITY |PG 30 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264470 TOTAL: 30.00 264471 06/19/2013 PRTD 101328 Sandra Stivers JUNE13 06/05/2013 21300869 061913CC 50.00 Invoice: JUNE13 CSC Monthly Meeting 50.00 10122100 517000 City Commission Expenses CHECK 264471 TOTAL: 50.00 264472 06/19/2013 PRTD 100311 Sectran Security Inc 13060306 06/01/2013 061913CC 393.26 Invoice: 13060306 Armored Transportation Services-Jun 2013 393.26 20370200 619800 Other Contractual Services CHECK 264472 TOTAL: 393.26 264473 06/19/2013 PRTD 103494 Security America 1471 12/01/2012 21303371 061913CC 1,008.00 Invoice: 1471 2012 Fiesta La Ballona Security 1,008.00 10130285 619800 Other Contractual Services CHECK 264473 TOTAL: 1,008.00 264474 06/19/2013 PRTD 100264 Servicon Systems Inc 23449 06/13/2013 21303416 061913CC 100.87 Invoice: 23449 Parts 100.87 31014600 600900 Central Stores Servicon Systems Inc 23389 06/10/2013 21302418 061913CC 1,525.34 Invoice: 23389 Parts 1,525.34 31014600 600900 Central Stores CHECK 264474 TOTAL: 1,626.21 264475 06/19/2013 PRTD 105851 Damian Skinner FY11/12BAL 06/07/2013 21303405 061913CC 55.51 Invoice: FY11/12BAL Health Wellness Reimbursement FY11/12BAL 55.51 20260400 437000 Mgt Health Ben Damian Skinner FY12/13 06/07/2013 21303405 061913CC 500.00 Invoice: FY12/13 Health Wellness Reimbursement FY12/13 500.00 20260400 437000 Mgt Health Ben CHECK 264475 TOTAL: 555.51 264476 06/19/2013 PRTD 100328 South Coast Air Quality Mgmt Dist 2609225 05/20/2013 21303421 061913CC 116.61 Invoice: 2609225 AQMD Fee July 2012 through June 2013 116.61 20460300 600200 R&M - Equipment South Coast Air Quality Mgmt Dist 2610053 05/20/2013 21303420 061913CC 116.61 Invoice: 2610053 AQMD Fee July 2012 through June 2013 06/19/2013 15:19 |CULVER CITY |PG 31 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 116.61 10160230 600100 R&M - Building South Coast Air Quality Mgmt Dist 2614567 05/30/2013 21303437 061913CC 117.87 Invoice: 2614567 Flat Fee for Last Fiscal Year Emissions 117.87 10160230 619800 Other Contractual Services South Coast Air Quality Mgmt Dist 2613175 05/29/2013 21303437 061913CC 317.07 Invoice: 2613175 ICE (50-500) EM ELEC GEN-DIESEL 317.07 10160230 619800 Other Contractual Services CHECK 264476 TOTAL: 668.16 264477 06/19/2013 PRTD 100328 South Coast Air Quality Mgmt Dist 82734-2013 06/05/2013 21303363 061913CC 982.67 Invoice: 82734-2013 Rule2202 ID#82734 982.67 41470600 517700 Ride Share Program CHECK 264477 TOTAL: 982.67 264478 06/19/2013 PRTD 100331 Southern California Edison 2024535429-0613 06/04/2013 061913CC 47.19 Invoice: 2024535429-0613 2-02-453-5429 47.19 10116100 513000 Utilities Southern California Edison 2024509705-0613 06/04/2013 061913CC 39.60 Invoice: 2024509705-0613 2-02-450-9705 39.60 10116100 513000 Utilities Southern California Edison 2198573032-0613 06/05/2013 061913CC 1,651.89 Invoice: 2198573032-0613 2-19-857-3032 1,651.89 10116100 513000 Utilities Southern California Edison 2024536310-0613 06/04/2013 061913CC 44.17 Invoice: 2024536310-0613 2-02-453-6310 44.17 10116100 513000 Utilities Southern California Edison 2333092344-0613 06/04/2013 061913CC 197.49 Invoice: 2333092344-0613 2-33-309-2344 197.49 10116100 513000 Utilities Southern California Edison 2024535247-0613 06/04/2013 061913CC 39.96 Invoice: 2024535247-0613 2-02-452-5247 39.96 10116100 513000 Utilities Southern California Edison 2024536096-0613 06/04/2013 061913CC 42.35 Invoice: 2024536096-0613 2-02-453-6096 42.35 10116100 513000 Utilities Southern California Edison 2024538621-0613 06/04/2013 061913CC 395.34 Invoice: 2024538621-0613 2-02-453-8621 395.34 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 32 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Southern California Edison 2194669719-0613 06/04/2013 061913CC 34.41 Invoice: 2194669719-0613 2-19-466-9719 34.41 10116100 513000 Utilities Southern California Edison 2293324570-0613 06/04/2013 061913CC 267.37 Invoice: 2293324570-0613 2-29-332-4570 267.37 10116100 513000 Utilities Southern California Edison 2024535841-0613 06/04/2013 061913CC 66.41 Invoice: 2024535841-0613 2-02-453-5841 66.41 10116100 513000 Utilities Southern California Edison 2024508095-0613 06/04/2013 061913CC 47.54 Invoice: 2024508095-0613 2-02-450-8095 47.54 10116100 513000 Utilities Southern California Edison 2024508459-0613 06/04/2013 061913CC 82.54 Invoice: 2024508459-0613 2-02-450-8459 82.54 10116100 513000 Utilities Southern California Edison 2024508632-0613 06/04/2013 061913CC 28.33 Invoice: 2024508632-0613 2-02-450-8632 28.33 10116100 513000 Utilities Southern California Edison 2277568762-0613 06/04/2013 061913CC 112.47 Invoice: 2277568762-0613 2-27-756-8762 112.47 10116100 513000 Utilities Southern California Edison 2024537219-0613 06/04/2013 061913CC 120.08 Invoice: 2024537219-0613 2-02-453-7219 120.08 10116100 513000 Utilities Southern California Edison 2024535585-0613 06/04/2013 061913CC 44.30 Invoice: 2024535585-0613 2-02-453-5585 44.30 10116100 513000 Utilities Southern California Edison 2024535650-0613 06/04/2013 061913CC 44.91 Invoice: 2024535650-0613 2-02-453-5650 44.91 10116100 513000 Utilities Southern California Edison 2345093959-0613 05/09/2013 061913CC 282.07 Invoice: 2345093959-0613 2-34-509-3959 282.07 10116100 513000 Utilities Southern California Edison 2024507816-0613 05/30/2013 061913CC 50.88 Invoice: 2024507816-0613 2-02-450-7816 50.88 10116100 513000 Utilities Southern California Edison 2024535973-0613 06/01/2013 061913CC 69.42 Invoice: 2024535973-0613 2-02-453-5973 69.42 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 33 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Southern California Edison 2024538720-0613 06/01/2013 061913CC 117.14 Invoice: 2024538720-0613 2-02-453-8720 117.14 10116100 513000 Utilities Southern California Edison 2024571267-0613 06/01/2013 061913CC 28.95 Invoice: 2024571267-0613 2-02-457-1267 28.95 10116100 513000 Utilities Southern California Edison 2024509259-0613 05/30/2013 061913CC 59.91 Invoice: 2024509259-0613 2-02-450-9259 59.91 10116100 513000 Utilities Southern California Edison 2024507717-0613 05/29/2013 061913CC 33.84 Invoice: 2024507717-0613 2-02-450-7717 33.84 10116100 513000 Utilities Southern California Edison 2200443406-0613 05/31/2013 061913CC 39.65 Invoice: 2200443406-0613 2-20-044-3406 39.65 10116100 513000 Utilities Southern California Edison 2353509243-0613 06/04/2013 061913CC 276.50 Invoice: 2353509243-0613 2-35-350-9243 276.50 10116100 513000 Utilities Southern California Edison 12-2013 06/04/2013 21303382 061913CC 9,583.90 Invoice: 12-2013 2-20-044-3471 9,583.90 30870400 520125 Petroleum Prod-CNG Electricity Southern California Edison 2024508962-0513 05/30/2013 21303399 061913CC 261.92 Invoice: 2024508962-0513 2-02-450-8962 261.92 20460300 513000 Utilities CHECK 264478 TOTAL: 14,110.53 264479 06/19/2013 PRTD 100333 Sparkletts Water Co 4681308060113 06/01/2013 21300235 061913CC 862.01 Invoice: 4681308060113 Water and Supplies 862.01 10116100 513000 Utilities Sparkletts Water Co 4681405052513 05/25/2013 21300235 061913CC 179.07 Invoice: 4681405052513 Water and Supplies 179.07 10116100 513000 Utilities Sparkletts Water Co 4681436052613 05/26/2013 21300235 061913CC 466.49 Invoice: 4681436052613 Water and Supplies 466.49 10116100 513000 Utilities Sparkletts Water Co 4681467053113 05/31/2013 21300235 061913CC 60.23 Invoice: 4681467053113 Water and Supplies 60.23 10116100 513000 Utilities Sparkletts Water Co 4503938052613 05/26/2013 21300235 061913CC 3.5006/19/2013 15:19 |CULVER CITY |PG 34 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 4503938052613 Water and Supplies 3.50 10116100 513000 Utilities CHECK 264479 TOTAL: 1,571.30 264480 06/19/2013 PRTD 100334 SPCA 2013-0531 06/01/2013 061913CC 2,452.00 Invoice: 2013-0531 Animal Services-May 2013 2,452.00 10140400 619800 Other Contractual Services CHECK 264480 TOTAL: 2,452.00 264481 06/19/2013 PRTD 104518 Spring Cleaners 129 06/01/2013 061913CC 954.36 Invoice: 129 May 2013 Services 954.36 10140200 550120 Laundry CHECK 264481 TOTAL: 954.36 264482 06/19/2013 PRTD 100340 Board of Equalization Jan-Dec2012 08/01/2012 21303460 061913CC 14,436.00 Invoice: Jan-Dec2012 Ref: A/C#58-400091 14,436.00 30870400 520190 Petroleum Products-Other CHECK 264482 TOTAL: 14,436.00 264483 06/19/2013 PRTD 100451 Stephen Whipple 88-04-013 05/20/2013 061913CC 3,280.00 Invoice: 88-04-013 Farmer Market Management Services-Apr 2013 3,280.00 10150120 619800 Other Contractual Services Stephen Whipple 04-2013 05/20/2013 061913CC 1,372.00 Invoice: 04-2013 Farmer Market Labor Assistance Reimb-Apr 2013 1,372.00 10150120 619800 Other Contractual Services CHECK 264483 TOTAL: 4,652.00 264484 06/19/2013 PRTD 101381 Steve Gill FY12/13 06/18/2013 21303499 061913CC 500.00 Invoice: FY12/13 MOU Health Benefit FY 2012-2013 500.00 10114100 437000 Mgt Health Ben CHECK 264484 TOTAL: 500.00 264485 06/19/2013 PRTD 100346 Sully-Miller Contracting Company 9877 05/16/2013 061913CC 66,010.32 Invoice: 9877 Ref: Job #10132621 40,276.53 41880000 730100PZ853 Improvements other than Bldg 25,733.79 41880000 730100PZ684 Improvements other than Bldg 06/19/2013 15:19 |CULVER CITY |PG 35 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264485 TOTAL: 66,010.32 264486 06/19/2013 PRTD 107682 Superior Water Service & Sales CCTD1017C 06/04/2013 21303366 061913CC 757.80 Invoice: CCTD1017C Coconut Shell Carbon 757.80 20370200 732120 Departmental Special Equipment CHECK 264486 TOTAL: 757.80 264487 06/19/2013 PRTD 104346 Texas Refinery Corp 905441 04/02/2013 21303401 061913CC 166.23 Invoice: 905441 Lubricant - WED-129 166.23 30870400 600200 R&M - Equipment CHECK 264487 TOTAL: 166.23 264488 06/19/2013 PRTD 100490 The Gas Company 12620321005-062013 05/24/2013 061913CC 21.29 Invoice: 12620321005-062013 126-203-2100-5 21.29 10116100 513000 Utilities The Gas Company 19137612164-062013 05/24/2013 061913CC 251.96 Invoice: 19137612164-062013 191-376-1216-5 251.96 10116100 513000 Utilities The Gas Company 16400337008-062013 05/24/2013 061913CC 25.06 Invoice: 16400337008-062013 164-003-3700-8 25.06 10116100 513000 Utilities The Gas Company 03170346005-062013 05/24/2013 061913CC 111.90 Invoice: 03170346005-062013 031-703-4600-5 111.90 10116100 513000 Utilities The Gas Company 11790352006-062013 05/24/2013 061913CC 746.86 Invoice: 11790352006-062013 117-903-5200-6 746.86 10116100 513000 Utilities The Gas Company 16210401002-062013 05/24/2013 061913CC 126.89 Invoice: 16210401002-062013 162-104-0100-2 126.89 10116100 513000 Utilities The Gas Company 04430346009-062013 05/24/2013 061913CC 2,160.33 Invoice: 04430346009-062013 044-303-4600-9 2,160.33 10116100 513000 Utilities The Gas Company 04314718422-062013 05/24/2013 061913CC 30.15 Invoice: 04314718422-062013 043-147-1842-2 30.15 10116100 513000 Utilities The Gas Company 15870283007-062013 05/24/2013 061913CC 109.33 Invoice: 15870283007-062013 158-702-8300-7 109.33 10116100 513000 Utilities 06/19/2013 15:19 |CULVER CITY |PG 36 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ The Gas Company 03590346007-062013 05/24/2013 061913CC 31.92 Invoice: 03590346007-062013 035-903-4600-4 31.92 10116100 513000 Utilities The Gas Company 12-2013GC 06/06/2013 21303433 061913CC 47,702.30 Invoice: 12-2013GC 191-380-2684-4 47,702.30 30870400 520120 Petroleum Products - Natural G CHECK 264488 TOTAL: 51,317.99 264489 06/19/2013 PRTD 100207 The Light House Inc 0876291 06/05/2013 21302404 061913CC 13.79 Invoice: 0876291 Parts 13.79 31014600 600900 Central Stores The Light House Inc 0878056 06/11/2013 21302404 061913CC 117.50 Invoice: 0878056 Parts 117.50 31014600 600900 Central Stores The Light House Inc 0878546 06/12/2013 21302404 061913CC 11,764.77 Invoice: 0878546 Parts 11,764.77 31014600 600900 Central Stores CHECK 264489 TOTAL: 11,896.06 264490 06/19/2013 PRTD 100356 Time Clock Sales and Service Co I F134080.1 05/28/2013 21303245 061913CC 150.00 Invoice: F134080.1 TIME CLOCK MAINTENANCE CP5000 150.00 10160260 600200 R&M - Equipment CHECK 264490 TOTAL: 150.00 264491 06/19/2013 PRTD 103180 Time Warner Cable 052213-062113TRANS 05/21/2013 21303269 061913CC 170.85 Invoice: 052213-062113TRANS Acct#8448300520048478 170.85 20370200 512400 Communications CHECK 264491 TOTAL: 170.85 264492 06/19/2013 PRTD 105182 TRUKSPECT, INC 12396 05/17/2013 21303370 061913CC 632.26 Invoice: 12396 DRIVER TRAINING 632.26 20260400 619800 Other Contractual Services CHECK 264492 TOTAL: 632.26 264493 06/19/2013 PRTD 100369 Underground Service Alert 5201300195 06/01/2013 21301024 061913CC 198.00 Invoice: 5201300195 CUL01 NEW TICKET CHARGES 198.00 20460300 619800 Other Contractual Services 06/19/2013 15:19 |CULVER CITY |PG 37 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264493 TOTAL: 198.00 264494 06/19/2013 PRTD 100371 United Parcel Service 8E5651233 06/08/2013 21300482 061913CC 300.00 Invoice: 8E5651233 Control ID#H333 300.00 10124200 512310 Delivery Charges CHECK 264494 TOTAL: 300.00 264495 06/19/2013 PRTD 100372 United States Postal Service POBOX507 06/12/2013 21300803 061913CC 1,656.00 Invoice: POBOX507 Box #507 1,656.00 10124200 512300 Postage CHECK 264495 TOTAL: 1,656.00 264496 06/19/2013 PRTD 101554 United Taxi of the South-West Inc 12280 05/20/2013 061913CC 129.00 Invoice: 12280 Re: CC Taxicab Coupon Program 129.00 41470420 619800 Other Contractual Services CHECK 264496 TOTAL: 129.00 264497 06/19/2013 PRTD 100598 Vicki Daly Redholtz JUNE2013 06/05/2013 21300866 061913CC 50.00 Invoice: JUNE2013 CSC Monthly Meeting 50.00 10122100 517000 City Commission Expenses CHECK 264497 TOTAL: 50.00 264498 06/19/2013 PRTD 106239 Lisa Ann Vidra 05/07-05/10/13Reimb 06/03/2013 21303257 061913CC 1,086.68 Invoice: 05/07-05/10/13Reimb League of CA Cities Annual Conf-Napa, CA 895.00 10113100 516100 Training & Education 191.68 41640454 516500 Conferences & Conventions CHECK 264498 TOTAL: 1,086.68 264499 06/19/2013 PRTD 100382 Warren Supply Co 674881 06/13/2013 21302416 061913CC 50.46 Invoice: 674881 Parts 50.46 31014600 600900 Central Stores CHECK 264499 TOTAL: 50.46 264500 06/19/2013 PRTD 100395 Willdan Associates 00411587 02/14/2013 061913CC 2,398.75 Invoice: 00411587 Ref: Client # P-881/Sepulveda Widening St 2,398.75 42380000 730100PZ881 Improvements other than Bldg 06/19/2013 15:19 |CULVER CITY |PG 38 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264500 TOTAL: 2,398.75 264501 06/19/2013 PRTD 103254 York Medical Physics 516 05/30/2013 21302014 061913CC 1,783.00 Invoice: 516 Service/Calibration for Radiol 1,783.00 10145300 514600 Small Tools & Equipment CHECK 264501 TOTAL: 1,783.00 264502 06/19/2013 PRTD 100406 Zee Medical Service Inc 0140515249 06/06/2013 061913CC 46.12 Invoice: 0140515249 First Aid Supplies 46.12 10145100 514100 Departmental Special Supplies Zee Medical Service Inc 014051543 05/07/2013 061913CC 69.80 Invoice: 014051543 Supplies 69.80 10130100 514100 Departmental Special Supplies Zee Medical Service Inc 0140515288 06/07/2013 061913CC 94.00 Invoice: 0140515288 First Aid Supplies 94.00 20260410 514100 Departmental Special Supplies CHECK 264502 TOTAL: 209.92 NUMBER OF CHECKS 136 *** CASH ACCOUNT TOTAL *** 664,091.09 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 136 664,091.09 *** GRAND TOTAL *** 664,091.0906/20/2013 10:21 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 34 06/20/2013 WIRE 107868 United States Department of Treas 000000031847 06/20/2013 062013PR 477,606.39 Invoice: 000000031847 Payroll Run 1 - Warrant 061613 138,474.84 101 202410 FICA-Oasdi Taxes Payable 54,178.42 101 202420 FICA-Medicare Payable 284,953.13 101 202710 Federal Tax W/H Payable CHECK 34 TOTAL: 477,606.39 35 06/20/2013 WIRE 107869 State of California - Franchise T 000000031848 06/20/2013 062013PR 104,708.10 Invoice: 000000031848 Payroll Run 1 - Warrant 061613 7,983.68 101 202450 State Disability Ins Payable 96,724.42 101 202720 State Tax W/H Payable CHECK 35 TOTAL: 104,708.10 9781 06/20/2013 EFT 107843 Ann Bissic 000000031845 06/20/2013 062013PR 425.00 Invoice: 000000031845 Warrant 061613 425.00 101 202150 Payroll Pyble-Garnishments CHECK 9781 TOTAL: 425.00 9782 06/20/2013 EFT 105836 Culver City Employees Association 000000031829 06/20/2013 062013PR 3,490.00 Invoice: 000000031829 Payroll Run 1 - Warrant 061613 3,490.00 101 202160 Payroll Pybl-Union Dues CHECK 9782 TOTAL: 3,490.00 9783 06/20/2013 EFT 105837 Culver City Fire Management 000000031830 06/20/2013 062013PR 105.00 Invoice: 000000031830 Payroll Run 1 - Warrant 061613 105.00 101 202160 Payroll Pybl-Union Dues CHECK 9783 TOTAL: 105.00 9784 06/20/2013 EFT 105839 Culver City Management Group 000000031831 06/20/2013 062013PR 494.00 Invoice: 000000031831 Payroll Run 1 - Warrant 061613 494.00 101 202160 Payroll Pybl-Union Dues CHECK 9784 TOTAL: 494.00 9785 06/20/2013 EFT 107417 Cindy Eckert 000000031834 06/20/2013 062013PR 222.00 Invoice: 000000031834 Warrant 061613 222.00 101 202150 Payroll Pyble-Garnishments CHECK 9785 TOTAL: 222.0006/20/2013 10:21 |CULVER CITY |PG 2 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9786 06/20/2013 EFT 107643 US Bank Institutional Trust-Weste 000000031835 06/20/2013 062013PR 3,312.28 Invoice: 000000031835 Payroll Run 1 - Warrant 061613 3,312.28 101 202250 PARS Payable CHECK 9786 TOTAL: 3,312.28 9787 06/20/2013 EFT 105609 Yvonne M Newton 000000031827 06/20/2013 062013PR 950.00 Invoice: 000000031827 Warrant 061613 950.00 101 202150 Payroll Pyble-Garnishments CHECK 9787 TOTAL: 950.00 264503 06/20/2013 PRTD 100569 American Cancer Society, Inc 000000031818 06/20/2013 062013PR 19.00 Invoice: 000000031818 Payroll Run 1 - Warrant 061613 19.00 101 202500 Charity Contribution Payable CHECK 264503 TOTAL: 19.00 264504 06/20/2013 PRTD 107826 Ameriflex LLC 000000031836 06/20/2013 062013PR 5,752.23 Invoice: 000000031836 Payroll Run 1 - Warrant 061613 5,554.23 101 202855 Sect 125-Medical 198.00 101 202860 Sect 125-Dependent Care CHECK 264504 TOTAL: 5,752.23 264505 06/20/2013 PRTD 101393 Amy Morgan Teel 000000031822 06/20/2013 062013PR 573.00 Invoice: 000000031822 Warrant 061613 573.00 101 202150 Payroll Pyble-Garnishments CHECK 264505 TOTAL: 573.00 264506 06/20/2013 PRTD 107827 CalPERS 000000031837 06/20/2013 062013PR 411.20 Invoice: 000000031837 Payroll Run 1 - Warrant 061613 411.20 101 202950 Special Insururance Payable CHECK 264506 TOTAL: 411.20 264507 06/20/2013 PRTD 107871 CalPERS 000000031849 06/20/2013 062013PR 547,595.21 Invoice: 000000031849 Payroll Run 1 - Warrant 061613 547,595.21 101 202210 PERS Payable CHECK 264507 TOTAL: 547,595.2106/20/2013 10:21 |CULVER CITY |PG 3 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264508 06/20/2013 PRTD 105142 Cindy M Diaz 000000031825 06/20/2013 062013PR 382.50 Invoice: 000000031825 Warrant 061613 382.50 101 202150 Payroll Pyble-Garnishments CHECK 264508 TOTAL: 382.50 264509 06/20/2013 PRTD 100090 Culver City Credit Union 000000031814 06/20/2013 062013PR 89,014.70 Invoice: 000000031814 Payroll Run 1 - Warrant 061613 89,014.70 101 202130 Payroll Pyble-Credit Union CHECK 264509 TOTAL: 89,014.70 264510 06/20/2013 PRTD 100092 Culver City Firefighters #1927 000000031815 06/20/2013 062013PR 3,020.77 Invoice: 000000031815 Payroll Run 1 - Warrant 061613 2,403.00 101 202160 Payroll Pybl-Union Dues 617.77 101 202960 Union Insurance Payable CHECK 264510 TOTAL: 3,020.77 264511 06/20/2013 PRTD 105841 Culver City Police Association 000000031832 06/20/2013 062013PR 8,792.90 Invoice: 000000031832 Payroll Run 1 - Warrant 061613 5,791.50 101 202160 Payroll Pybl-Union Dues 3,001.40 101 202960 Union Insurance Payable CHECK 264511 TOTAL: 8,792.90 264512 06/20/2013 PRTD 105842 Culver City Police Management Gro 000000031833 06/20/2013 062013PR 275.00 Invoice: 000000031833 Payroll Run 1 - Warrant 061613 275.00 101 202160 Payroll Pybl-Union Dues CHECK 264512 TOTAL: 275.00 264513 06/20/2013 PRTD 100113 Earth Share of California 000000031816 06/20/2013 062013PR 5.00 Invoice: 000000031816 Payroll Run 1 - Warrant 061613 5.00 101 202500 Charity Contribution Payable CHECK 264513 TOTAL: 5.00 264514 06/20/2013 PRTD 101291 Edelmira De La Garza Williams 000000031821 06/20/2013 062013PR 237.50 Invoice: 000000031821 Warrant 061613 237.50 101 202150 Payroll Pyble-Garnishments CHECK 264514 TOTAL: 237.5006/20/2013 10:21 |CULVER CITY |PG 4 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264515 06/20/2013 PRTD 107829 ICMA Retirement Trust - 457 000000031839 06/20/2013 062013PR 97,129.14 Invoice: 000000031839 Payroll Run 1 - Warrant 061613 97,129.14 101 202140 Payroll Pyble-Def Comp CHECK 264515 TOTAL: 97,129.14 264516 06/20/2013 PRTD 107830 ICMA Retirement Trust - 457 000000031840 06/20/2013 062013PR 24,550.00 Invoice: 000000031840 Payroll Run 1 - Warrant 061613 24,550.00 101 202170 Payroll Pybl-RHS Plan CHECK 264516 TOTAL: 24,550.00 264517 06/20/2013 PRTD 107834 Internal Revenue Service 000000031841 06/20/2013 062013PR 175.00 Invoice: 000000031841 Payroll Run 1 - Warrant 061613 175.00 101 202150 Payroll Pyble-Garnishments CHECK 264517 TOTAL: 175.00 264518 06/20/2013 PRTD 107828 Los Angeles County Sheriff's Depa 000000031838 06/20/2013 062013PR 132.79 Invoice: 000000031838 Payroll Run 1 - Warrant 061613 132.79 101 202150 Payroll Pyble-Garnishments CHECK 264518 TOTAL: 132.79 264519 06/20/2013 PRTD 105693 Anne E. Larson 000000031828 06/20/2013 062013PR 2,069.00 Invoice: 000000031828 Warrant 061613 2,069.00 101 202150 Payroll Pyble-Garnishments CHECK 264519 TOTAL: 2,069.00 264520 06/20/2013 PRTD 101519 Mieah Edwards 000000031823 06/20/2013 062013PR 11.00 Invoice: 000000031823 Warrant 061613 11.00 101 202150 Payroll Pyble-Garnishments CHECK 264520 TOTAL: 11.00 264521 06/20/2013 PRTD 107911 Minnesota Child Support Payment C 000000031850 06/20/2013 062013PR 233.40 Invoice: 000000031850 Warrant 061613 233.40 101 202150 Payroll Pyble-Garnishments CHECK 264521 TOTAL: 233.4006/20/2013 10:21 |CULVER CITY |PG 5 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264522 06/20/2013 PRTD 105552 Miriam Gutierrez 000000031826 06/20/2013 062013PR 188.00 Invoice: 000000031826 Warrant 061613 188.00 101 202150 Payroll Pyble-Garnishments CHECK 264522 TOTAL: 188.00 264523 06/20/2013 PRTD 100570 Salvation Army 000000031819 06/20/2013 062013PR 5.00 Invoice: 000000031819 Payroll Run 1 - Warrant 061613 5.00 101 202500 Charity Contribution Payable CHECK 264523 TOTAL: 5.00 264524 06/20/2013 PRTD 107836 State of California 000000031842 06/20/2013 062013PR 1,108.35 Invoice: 000000031842 Payroll Run 1 - Warrant 061613 1,108.35 101 202150 Payroll Pyble-Garnishments CHECK 264524 TOTAL: 1,108.35 264525 06/20/2013 PRTD 107837 State of California 000000031843 06/20/2013 062013PR 180.00 Invoice: 000000031843 Payroll Run 1 - Warrant 061613 180.00 101 202150 Payroll Pyble-Garnishments CHECK 264525 TOTAL: 180.00 264526 06/20/2013 PRTD 107838 State of California 000000031844 06/20/2013 062013PR 7,440.33 Invoice: 000000031844 Payroll Run 1 - Warrant 061613 7,440.33 101 202150 Payroll Pyble-Garnishments CHECK 264526 TOTAL: 7,440.33 264527 06/20/2013 PRTD 100373 United Way Inc 000000031817 06/20/2013 062013PR 40.25 Invoice: 000000031817 Payroll Run 1 - Warrant 061613 40.25 101 202500 Charity Contribution Payable CHECK 264527 TOTAL: 40.25 264528 06/20/2013 PRTD 104990 Virginia Lynn Lay 000000031824 06/20/2013 062013PR 625.00 Invoice: 000000031824 Warrant 061613 625.00 101 202150 Payroll Pyble-Garnishments CHECK 264528 TOTAL: 625.0006/20/2013 10:21 |CULVER CITY |PG 6 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264529 06/20/2013 PRTD 100944 YMCA 000000031820 06/20/2013 062013PR 29.17 Invoice: 000000031820 Payroll Run 1 - Warrant 061613 29.17 101 202500 Charity Contribution Payable CHECK 264529 TOTAL: 29.17 NUMBER OF CHECKS 36 *** CASH ACCOUNT TOTAL *** 1,381,308.21 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 27 789,995.44 TOTAL WIRE TRANSFERS 2 582,314.49 TOTAL EFT'S 7 8,998.28 *** GRAND TOTAL *** 1,381,308.2106/26/2013 15:06 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9788 06/26/2013 EFT 100716 Bond Logistix LLC 41612-4925/052213 05/22/2013 062613CC 2,250.00 Invoice: 41612-4925/052213 Prep of Interim Arbitrage Reba 2,250.00 20370200 619800 Other Contractual Services CHECK 9788 TOTAL: 2,250.00 9789 06/26/2013 EFT 100716 BLX Group LLC 41612-7007/051013 05/10/2013 062613CC 2,250.00 Invoice: 41612-7007/051013 Prep of Interim Arbitrage Reba 2,250.00 20370200 619800 Other Contractual Services CHECK 9789 TOTAL: 2,250.00 9790 06/26/2013 EFT 100236 Motorola 91278330 05/09/2013 21303456 062613CC 737.15 Invoice: 91278330 Cable Remote Mount 737.15 10145700 600200 R&M - Equipment Motorola 76585784 05/24/2013 21303455 062613CC 400.47 Invoice: 76585784 Motorola Radio Support 400.47 10145700 600200 R&M - Equipment Motorola 91293971 05/31/2013 21303446 062613CC 866.53 Invoice: 91293971 Radio Equipment 866.53 10145700 600200 R&M - Equipment Motorola 76588929 06/07/2013 21303445 062613CC 400.47 Invoice: 76588929 Motorola Radio Support 400.47 10145700 600200 R&M - Equipment Motorola 91300578 06/07/2013 21303458 062613CC 164.25 Invoice: 91300578 Programming Cable 164.25 10145700 600200 R&M - Equipment Motorola 91300388 06/07/2013 21303473 062613CC 3,909.15 Invoice: 91300388 Motorola Radio Batteries 3,909.15 10145700 600200 R&M - Equipment CHECK 9790 TOTAL: 6,478.02 264530 06/26/2013 PRTD 101268 1st Class Preparatory Inc 06172013 06/17/2013 062613CC 2,520.00 Invoice: 06172013 Preschool Classes-June 2,520.00 10130250 619800 Other Contractual Services CHECK 264530 TOTAL: 2,520.00 264531 06/26/2013 PRTD 103623 A T S Upholstery 612 06/18/2013 21303516 062613CC 275.00 Invoice: 612 Upholstery - Repair & Recover 275.00 30870400 600200 R&M - Equipment 06/26/2013 15:06 |CULVER CITY |PG 2 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264531 TOTAL: 275.00 264532 06/26/2013 PRTD 100566 A W Direct Inc 1019532305 05/14/2013 21303129 062613CC 35.19 Invoice: 1019532305 Parts 35.19 31014600 600900 Central Stores CHECK 264532 TOTAL: 35.19 264533 06/26/2013 PRTD 101168 Adamson Police Products INV105611 06/04/2013 21303155 062613CC 7,533.84 Invoice: INV105611 Bulletproof vests 7,533.84 10140200 514600 Small Tools & Equipment Adamson Police Products INV106064 06/10/2013 21303156 062613CC 7,662.02 Invoice: INV106064 Reserves-Bulletproof vests 7,662.02 10140200 517900 Reserve Program Adamson Police Products INV105214 05/30/2013 21303393 062613CC 854.97 Invoice: INV105214 Parts 854.97 31014600 600900 Central Stores Adamson Police Products INV105146 05/30/2013 21303248 062613CC 396.76 Invoice: INV105146 Firearm Suppressors 396.76 10140200 514100 Departmental Special Supplies CHECK 264533 TOTAL: 16,447.59 264534 06/26/2013 PRTD 100766 Adolph Kiefer and Associates 279373 05/02/2013 21302982 062613CC 43.09 Invoice: 279373 EQUIPMENT AND SUPPLIES: PARKS 46.57 10130400 514100 Departmental Special Supplies CHECK 264534 TOTAL: 43.09 264535 06/26/2013 PRTD 100008 Advanced Battery Systems 295025 06/17/2013 21302430 062613CC 3,672.84 Invoice: 295025 Parts 3,672.84 31014600 600900 Central Stores CHECK 264535 TOTAL: 3,672.84 264536 06/26/2013 PRTD 101261 Aerotek OE00932559 06/06/2013 062613CC 1,100.00 Invoice: OE00932559 McClain, Kevin-Period Ending 05/25/13 1,100.00 10160230 619800 Other Contractual Services CHECK 264536 TOTAL: 1,100.0006/26/2013 15:06 |CULVER CITY |PG 3 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264537 06/26/2013 PRTD 100012 Airport Marina Ford 447785 06/13/2013 21302415 062613CC 213.39 Invoice: 447785 Parts 213.39 31014600 600900 Central Stores Airport Marina Ford 447877 06/17/2013 21302415 062613CC 53.56 Invoice: 447877 Parts 53.56 31014600 600900 Central Stores Airport Marina Ford 447947 06/18/2013 21302415 062613CC 895.46 Invoice: 447947 Parts 895.46 31014600 600900 Central Stores CHECK 264537 TOTAL: 1,162.41 264538 06/26/2013 PRTD 101488 Akiko Miyoshi 06172013 06/17/2013 062613CC 84.00 Invoice: 06172013 Jazzercise Class-June 84.00 10130250 619800 Other Contractual Services CHECK 264538 TOTAL: 84.00 264539 06/26/2013 PRTD 101701 Aleshire and Wynder LLP 24292 06/18/2013 062613CC 768.00 Invoice: 24292 Legal Svcs thru 06/18/13 768.00 10113100 611600 Legal Services - Miscellaneous CHECK 264539 TOTAL: 768.00 264540 06/26/2013 PRTD 102667 Amano McGann Inc INVC010452 02/17/2013 062613CC 5,231.50 Invoice: INVC010452 Qtrly Billing 10/1/12-12/31/12-9099 Washington Bl 5,231.50 48155380 600100 R&M - Building Amano McGann Inc INVC010458 02/17/2013 062613CC 5,231.50 Invoice: INVC010458 Qtrly Billing 01/01/13-03/31/13-9099 Washington Bl 5,231.50 48155380 600100 R&M - Building Amano McGann Inc INVC010451 02/17/2013 062613CC 2,615.75 Invoice: INVC010451 Qtrly Billing 10/1/12-12/31/12 - 3844 Watseka 2,615.75 48155580 600100 R&M - Building Amano McGann Inc INVC010457 02/17/2013 062613CC 2,615.75 Invoice: INVC010457 Qtrly Billing 01/01/13-03/31/13 - 3844 Watseka 2,615.75 48155580 600100 R&M - Building Amano McGann Inc INVC010450 02/17/2013 062613CC 2,615.75 Invoice: INVC010450 Qtrly Billing 10/1/12-12/31/12 -3846 Cardiff Ave 2,615.75 47555310 600200 R&M - Equipment Amano McGann Inc INVC010592 03/30/2013 062613CC 5,231.50 Invoice: INVC010592 Qtrly Billing 04/01/13-06/30/13-9099 Washington Bl06/26/2013 15:06 |CULVER CITY |PG 4 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 5,231.50 48155380 600100 R&M - Building Amano McGann Inc SVC078188CM 06/11/2013 062613CC -317.00 Invoice: SVC078188CM Credit Memo-9099 Washington Bl -317.00 48155380 600100 R&M - Building Amano McGann Inc INVC010591 03/30/2013 062613CC 2,615.75 Invoice: INVC010591 Qtrly Billing 04/01/13-06/30/13-3844 Watseka Ave 2,615.75 48155580 600100 R&M - Building Amano McGann Inc SVC078194CM 06/10/2013 062613CC -231.00 Invoice: SVC078194CM Credit Memo-3844 Watseka Ave -231.00 48155580 600100 R&M - Building Amano McGann Inc SVC079514CM 06/11/2013 062613CC -1,285.08 Invoice: SVC079514CM Credit Memo-3844 Watseka Ave -1,285.08 48155580 600100 R&M - Building Amano McGann Inc SVC079537CM 06/11/2013 062613CC -309.97 Invoice: SVC079537CM Credit Memo-3844 Watseka Ave -309.97 48155580 600100 R&M - Building CHECK 264540 TOTAL: 24,014.45 264541 06/26/2013 PRTD 100023 Amrep Inc 238631 06/14/2013 21302414 062613CC 431.28 Invoice: 238631 Parts 431.28 31014600 600900 Central Stores Amrep Inc 238674 06/17/2013 21302414 062613CC 30.31 Invoice: 238674 Parts 30.31 31014600 600900 Central Stores CHECK 264541 TOTAL: 461.59 264542 06/26/2013 PRTD 100673 Aqua Fit 06172013 06/17/2013 062613CC 1,863.40 Invoice: 06172013 Deep Water Aerobics Classes-May 1,863.40 10130220 619800 Other Contractual Services CHECK 264542 TOTAL: 1,863.40 264543 06/26/2013 PRTD 100994 Aramark Uniform Services 502-7943513 06/18/2013 062613CC 30.49 Invoice: 502-7943513 Uniform and Apparel Rental Pro 30.49 20260410 440000 Uniform Allowance Aramark Uniform Services 502-7943514 06/18/2013 062613CC 181.31 Invoice: 502-7943514 Uniform and Apparel Rental Pro 181.31 20260400 440000 Uniform Allowance Aramark Uniform Services 502-7926692 06/11/2013 062613CC 33.5306/26/2013 15:06 |CULVER CITY |PG 5 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 502-7926692 Uniform and Apparel Rental Pro 33.53 10140200 600200 R&M - Equipment Aramark Uniform Services 502-7943529 06/18/2013 062613CC 33.53 Invoice: 502-7943529 Uniform and Apparel Rental Pro 33.53 10140200 600200 R&M - Equipment Aramark Uniform Services 502-7943517 06/18/2013 062613CC 35.80 Invoice: 502-7943517 Uniform and Apparel Rental Pro 35.80 10160230 440000 Uniform Allowance Aramark Uniform Services 502-7926680 06/11/2013 062613CC 35.80 Invoice: 502-7926680 Uniform and Apparel Rental Pro 35.80 10160230 440000 Uniform Allowance Aramark Uniform Services 502-7909889 06/04/2013 062613CC 35.80 Invoice: 502-7909889 Uniform and Apparel Rental Pro 35.80 10160230 440000 Uniform Allowance Aramark Uniform Services 502-7893149 05/28/2013 062613CC 35.80 Invoice: 502-7893149 Uniform and Apparel Rental Pro 35.80 10160230 440000 Uniform Allowance Aramark Uniform Services 502-7842720 05/07/2013 062613CC 35.80 Invoice: 502-7842720 Uniform and Apparel Rental Pro 35.80 10160230 440000 Uniform Allowance Aramark Uniform Services 502-7943526 06/18/2013 062613CC 25.00 Invoice: 502-7943526 Uniform and Apparel Rental Pro 25.00 10160250 440000 Uniform Allowance Aramark Uniform Services 502-7926689 06/11/2013 062613CC 25.00 Invoice: 502-7926689 Uniform and Apparel Rental Pro 25.00 10160250 440000 Uniform Allowance Aramark Uniform Services 502-7909898 06/04/2013 062613CC 25.00 Invoice: 502-7909898 Uniform and Apparel Rental Pro 25.00 10160250 440000 Uniform Allowance Aramark Uniform Services 502-7893158 05/28/2013 062613CC 44.70 Invoice: 502-7893158 Uniform and Apparel Rental Pro 44.70 10160250 440000 Uniform Allowance Aramark Uniform Services 502-7842729 05/07/2013 062613CC 25.00 Invoice: 502-7842729 Uniform and Apparel Rental Pro 25.00 10160250 440000 Uniform Allowance Aramark Uniform Services 502-7943521 06/18/2013 062613CC 20.98 Invoice: 502-7943521 Uniform and Apparel Rental 20.98 10160240 440000 Uniform Allowance Aramark Uniform Services 502-7926684 06/11/2013 062613CC 20.9806/26/2013 15:06 |CULVER CITY |PG 6 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 502-7926684 Uniform and Apparel Rental 20.98 10160240 440000 Uniform Allowance Aramark Uniform Services 502-7909893 06/04/2013 062613CC 38.23 Invoice: 502-7909893 Uniform and Apparel Rental 38.23 10160240 440000 Uniform Allowance Aramark Uniform Services 502-7893153 05/28/2013 062613CC 20.98 Invoice: 502-7893153 Uniform and Apparel Rental 20.98 10160230 440000 Uniform Allowance Aramark Uniform Services 502-7842724 05/07/2013 062613CC 38.23 Invoice: 502-7842724 Uniform and Apparel Rental 38.23 10160230 440000 Uniform Allowance Aramark Uniform Services 502-7943525 06/18/2013 062613CC 22.65 Invoice: 502-7943525 Uniform and Apparel Rental Pro 22.65 10160230 600100 R&M - Building Aramark Uniform Services 502-7926688 06/11/2013 062613CC 22.65 Invoice: 502-7926688 Uniform and Apparel Rental Pro 22.65 10160230 600100 R&M - Building Aramark Uniform Services 502-7909897 06/04/2013 062613CC 22.65 Invoice: 502-7909897 Uniform and Apparel Rental Pro 22.65 10160230 600100 R&M - Building Aramark Uniform Services 502-7893157 05/28/2013 062613CC 22.65 Invoice: 502-7893157 Uniform and Apparel Rental Pro 22.65 10160230 600100 R&M - Building Aramark Uniform Services 502-7842728 05/07/2013 062613CC 22.65 Invoice: 502-7842728 Uniform and Apparel Rental Pro 22.65 10160230 600100 R&M - Building Aramark Uniform Services 502-7943523 06/18/2013 062613CC 30.30 Invoice: 502-7943523 Uniform and Apparel Rental Pro 30.30 10160230 600100 R&M - Building Aramark Uniform Services 502-7926686 06/11/2013 062613CC 30.30 Invoice: 502-7926686 Uniform and Apparel Rental Pro 30.30 10160230 600100 R&M - Building Aramark Uniform Services 502-7909895 06/04/2013 062613CC 30.30 Invoice: 502-7909895 Uniform and Apparel Rental Pro 30.30 10160230 600100 R&M - Building Aramark Uniform Services 502-7893155 05/28/2013 062613CC 30.30 Invoice: 502-7893155 Uniform and Apparel Rental Pro 30.30 10160230 600100 R&M - Building Aramark Uniform Services 502-7842726 05/07/2013 062613CC 30.3006/26/2013 15:06 |CULVER CITY |PG 7 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 502-7842726 Uniform and Apparel Rental Pro 30.30 10160230 600100 R&M - Building CHECK 264543 TOTAL: 1,006.71 264544 06/26/2013 PRTD 107647 Lauren Perelmuter 061713 06/17/2013 062613CC 273.70 Invoice: 061713 Spring 273.70 10130250 619800 Other Contractual Services CHECK 264544 TOTAL: 273.70 264545 06/26/2013 PRTD 101391 B and M Lawn and Garden Inc 115309 06/11/2013 21303442 062613CC 242.14 Invoice: 115309 Parts 242.14 31014600 600900 Central Stores CHECK 264545 TOTAL: 242.14 264546 06/26/2013 PRTD 101477 Bartel Associates LLC 13-305 06/11/2013 062613CC 2,000.00 Invoice: 13-305 Actuarial Consulting Services 2,000.00 10114100 619100 Fiscal Services CHECK 264546 TOTAL: 2,000.00 264547 06/26/2013 PRTD 100485 Bodyworks Equipment Inc 27383 06/17/2013 21302427 062613CC 818.27 Invoice: 27383 Parts 818.27 31014600 600900 Central Stores Bodyworks Equipment Inc 27388 06/17/2013 21302427 062613CC 174.00 Invoice: 27388 Parts 174.00 31014600 600900 Central Stores CHECK 264547 TOTAL: 992.27 264548 06/26/2013 PRTD 104558 Bosco Legal Services Inc 130877 06/12/2013 062613CC 167.59 Invoice: 130877 Scanning, Bus Lic Apps/Renewals 167.59 10114100 619700 Micrographic Services Bosco Legal Services Inc 130197 06/06/2013 062613CC 134.27 Invoice: 130197 Scanning, Bus Lic Apps/Renewals 134.27 10114100 619700 Micrographic Services CHECK 264548 TOTAL: 301.86 264549 06/26/2013 PRTD 100932 Bound Tree Medical 81109119 06/07/2013 21300249 062613CC 926.23 Invoice: 81109119 First Aid Supplies 926.23 10145300 514100 Departmental Special Supplies 06/26/2013 15:06 |CULVER CITY |PG 8 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Bound Tree Medical 81107603 06/10/2013 21300249 062613CC 16.20 Invoice: 81107603 First Aid Supplies 16.20 10145300 514100 Departmental Special Supplies CHECK 264549 TOTAL: 942.43 264550 06/26/2013 PRTD 101755 Hollywood Hospital at Brotman 500064163-0001 06/07/2013 062613CC 400.00 Invoice: 500064163-0001 Ermergency room visit/pre-book 400.00 10140200 619800 Other Contractual Services Hollywood Hospital at Brotman 500063818-0001 06/04/2013 062613CC 400.00 Invoice: 500063818-0001 Ermergency room visit/pre-book 400.00 10140200 619800 Other Contractual Services Hollywood Hospital at Brotman 500062453-0001 05/22/2013 062613CC 400.00 Invoice: 500062453-0001 Ermergency room visit/pre-book 400.00 10140200 619800 Other Contractual Services CHECK 264550 TOTAL: 1,200.00 264551 06/26/2013 PRTD 107560 Buchalter Nemer 749097-001 05/31/2013 062613CC 1,703.57 Invoice: 749097-001 Re: LAX Airport 1,703.57 10113100 611600 Legal Services - Miscellaneous Buchalter Nemer 749097-002 05/31/2013 062613CC 2,525.21 Invoice: 749097-002 Re: LAX Spas 2,525.21 10113100 611600 Legal Services - Miscellaneous CHECK 264551 TOTAL: 4,228.78 264552 06/26/2013 PRTD 102040 Burlington Safety Lab 33739 06/07/2013 21303447 062613CC 48.00 Invoice: 33739 Testing of Rubber Gloves 50.80 10145200 514100 Departmental Special Supplies CHECK 264552 TOTAL: 48.00 264553 06/26/2013 PRTD 102605 California Power Vac CPV 213-0426 06/26/2013 062613CC 19,305.00 Invoice: 213-0426 Job Location: CC City Hall 19,305.00 42080000 730100PZ132 Improvements other than Bldg CHECK 264553 TOTAL: 19,305.00 264554 06/26/2013 PRTD 107648 California Professional Engineeri 13-1859 05/17/2013 062613CC 14,625.00 Invoice: 13-1859 Installation of Loops at various locations 14,625.00 42080000 730100PZ429 Improvements other than Bldg 06/26/2013 15:06 |CULVER CITY |PG 9 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264554 TOTAL: 14,625.00 264555 06/26/2013 PRTD 107793 Carvajal Trucking & Tractor, Inc. CT2977 05/17/2013 062613CC 25,988.85 Invoice: CT2977 CDBG Sidewalk Replacemt Project 25,988.85 42880000 730100PZ963 Improvements other than Bldg CHECK 264555 TOTAL: 25,988.85 264556 06/26/2013 PRTD 100691 CDW Government Inc CM10508 05/23/2013 21303221 062613CC 190.00 Invoice: CM10508 IT Supplies 190.00 41440915 732150 IT Equipment - Hardware CDW Government Inc CM07275 05/23/2013 21303215 062613CC 706.80 Invoice: CM07275 IT Supplies 706.80 10140200 514100 Departmental Special Supplies CDW Government Inc CM12662 05/23/2013 21303219 062613CC 227.58 Invoice: CM12662 IT Supplies 227.58 41440915 732150 IT Equipment - Hardware CDW Government Inc CM08100 05/23/2013 21303216 062613CC 524.28 Invoice: CM08100 IT Supplies 524.28 41440915 732150 IT Equipment - Hardware CDW Government Inc CM07363 05/23/2013 21303222 062613CC 111.36 Invoice: CM07363 IT Supplies 111.36 41440915 732150 IT Equipment - Hardware CDW Government Inc CM07128 05/23/2013 21303212 062613CC 836.11 Invoice: CM07128 EQUIPMENT AND SUPPLIES: IT AND 836.11 41440915 732150 IT Equipment - Hardware CDW Government Inc CT69734 06/10/2013 21303398 062613CC 568.07 Invoice: CT69734 EQUIPMENT AND SUPPLIES: IT AND 568.07 10140200 514100 Departmental Special Supplies CDW Government Inc CM05897 05/23/2013 21303200 062613CC 356.16 Invoice: CM05897 IT Supplies 356.16 41440915 732150 IT Equipment - Hardware CDW Government Inc CM06657 05/23/2013 21303211 062613CC 669.63 Invoice: CM06657 IT Supplies 669.63 41440915 732150 IT Equipment - Hardware CDW Government Inc CM12071 05/23/2013 21303217 062613CC 545.31 Invoice: CM12071 IT Supplies 545.31 41440915 732150 IT Equipment - Hardware CDW Government Inc CP69260 05/31/2013 21303214 062613CC 554.97 Invoice: CP69260 IT Supplies 06/26/2013 15:06 |CULVER CITY |PG 10 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 554.97 41440915 732150 IT Equipment - Hardware CDW Government Inc CN09544 05/28/2013 21303213 062613CC 196.66 Invoice: CN09544 IT supplies 196.66 41440915 732150 IT Equipment - Hardware CDW Government Inc CT59515 06/10/2013 21303220 062613CC 157.24 Invoice: CT59515 IT Supplies 157.24 41440915 732150 IT Equipment - Hardware CDW Government Inc CM06729 05/23/2013 21303218 062613CC 196.57 Invoice: CM06729 IT Supplies 196.57 41440915 732150 IT Equipment - Hardware CHECK 264556 TOTAL: 5,840.74 264557 06/26/2013 PRTD 104326 Center Sinai Animal Hospital 539799 06/11/2013 062613CC 54.00 Invoice: 539799 Animal/Hospital services 54.00 10140400 619800 Other Contractual Services Center Sinai Animal Hospital 539958 06/12/2013 062613CC 40.50 Invoice: 539958 Animal/Hospital services 40.50 10140400 619800 Other Contractual Services CHECK 264557 TOTAL: 94.50 264558 06/26/2013 PRTD 100066 Chemsearch 1131404 06/09/2013 062613CC 278.75 Invoice: 1131404 ECOFLOW BIOAMP PROGRAM 278.75 20480000 730100PZ521 Improvements other than Bldg Chemsearch 1131247 06/08/2013 21303532 062613CC 167.54 Invoice: 1131247 Equipment and Supplies: Sanit 167.54 20260410 600100 R&M - Building Chemsearch 1132584 06/10/2013 21303532 062613CC 171.44 Invoice: 1132584 Equipment and Supplies: Sanit 171.44 20260410 600100 R&M - Building CHECK 264558 TOTAL: 617.73 264559 06/26/2013 PRTD 100548 Chicago Printing and Embossing Co 43735 05/14/2013 21303436 062613CC 266.13 Invoice: 43735 Business Cards 266.13 10110000 512100 Office Expense CHECK 264559 TOTAL: 266.1306/26/2013 15:06 |CULVER CITY |PG 11 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264560 06/26/2013 PRTD 100713 City of Culver City 062113Petty 06/21/2013 062613CC 785.61 Invoice: 062113Petty FINANCE-Petty Cash 27.50 10150150 516600 Special Events & Meetings 10.77 10150150 518300 Auto Mileage Reimbursement 13.60 10111100 514100 Departmental Special Supplies 25.00 10114200 516100 Training & Education 35.00 10113100 512100 Office Expense 35.00 10113100 512100 Office Expense 35.00 10113100 512100 Office Expense 10.98 10122100 610300 Personnel Services 40.00 10150150 516600 Special Events & Meetings 73.90 10150250 514100 Departmental Special Supplies 6.00 10113100 512100 Office Expense 20.99 10150150 514600 Small Tools & Equipment 42.31 10114400 512100 Office Expense 25.00 481 211100 Customer Deposits 40.68 10124100 516500 Conferences & Conventions 67.37 10150100 512100 Office Expense 27.50 10150150 516600 Special Events & Meetings 10.76 10150150 518300 Auto Mileage Reimbursement 55.00 10150150 516600 Special Events & Meetings 10.77 10150150 518300 Auto Mileage Reimbursement 16.48 10160150 512100 Office Expense 25.00 10160150 516600 Special Events & Meetings 25.00 481 211100 Customer Deposits 75.00 481 211100 Customer Deposits 30.00 10114400 335100 Committee on Permits & License 1.00 10124100 516100 Training & Education CHECK 264560 TOTAL: 785.61 264561 06/26/2013 PRTD 100078 Completes Plus 01QV1113 06/19/2013 21302413 062613CC 215.16 Invoice: 01QV1113 Parts 215.16 31014600 600900 Central Stores CHECK 264561 TOTAL: 215.16 264562 06/26/2013 PRTD 100079 Compressed Air Specialties Inc 00021639 05/06/2013 21303463 062613CC 1,201.16 Invoice: 00021639 Air Compressor Equipment & Lab 1,201.16 10145200 600200 R&M - Equipment CHECK 264562 TOTAL: 1,201.16 264563 06/26/2013 PRTD 101988 Contra-tiempo 7444RE 08/21/2012 062613CC 2,500.00 Invoice: 7444RE Interactive free dance performances 2,500.00 41350600 619800PZ614 Other Contractual Services 06/26/2013 15:06 |CULVER CITY |PG 12 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264563 TOTAL: 2,500.00 264564 06/26/2013 PRTD 100093 Culver City Industrial Hardware 27578 06/12/2013 21302426 062613CC 5.07 Invoice: 27578 Parts 5.07 31014600 600900 Central Stores Culver City Industrial Hardware 27489 06/07/2013 21302426 062613CC 2.76 Invoice: 27489 Parts 2.76 31014600 600900 Central Stores Culver City Industrial Hardware 27627 06/14/2013 21303492 062613CC 105.01 Invoice: 27627 Parts 105.01 31014600 600900 Central Stores Culver City Industrial Hardware 27648 06/15/2013 21302426 062613CC 94.45 Invoice: 27648 Parts 94.45 31014600 600900 Central Stores Culver City Industrial Hardware 27280 05/28/2013 21302426 062613CC 15.77 Invoice: 27280 Parts 15.77 31014600 600900 Central Stores Culver City Industrial Hardware 27310 05/29/2013 21302426 062613CC 18.39 Invoice: 27310 Parts 18.39 31014600 600900 Central Stores Culver City Industrial Hardware 27344 05/30/2013 21302426 062613CC 24.86 Invoice: 27344 Parts 24.86 31014600 600900 Central Stores Culver City Industrial Hardware 27418 06/04/2013 21302426 062613CC 108.09 Invoice: 27418 Parts 108.09 31014600 600900 Central Stores Culver City Industrial Hardware 27431 06/05/2013 21302426 062613CC 7.86 Invoice: 27431 Parts 7.86 31014600 600900 Central Stores Culver City Industrial Hardware 27422 06/05/2013 21302426 062613CC 29.80 Invoice: 27422 Parts 29.80 31014600 600900 Central Stores Culver City Industrial Hardware 27442 06/05/2013 21302426 062613CC 254.05 Invoice: 27442 Parts 254.05 31014600 600900 Central Stores Culver City Industrial Hardware 27445 06/05/2013 21302426 062613CC 97.67 Invoice: 27445 Parts 97.67 31014600 600900 Central Stores Culver City Industrial Hardware 27450 06/05/2013 21302426 062613CC 44.0006/26/2013 15:06 |CULVER CITY |PG 13 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 27450 Parts 44.00 31014600 600900 Central Stores Culver City Industrial Hardware 27484 06/07/2013 21302426 062613CC 15.09 Invoice: 27484 Parts 15.09 31014600 600900 Central Stores Culver City Industrial Hardware 27519 06/10/2013 21302426 062613CC 21.01 Invoice: 27519 Parts 21.01 31014600 600900 Central Stores Culver City Industrial Hardware 27560 06/11/2013 21302426 062613CC 78.80 Invoice: 27560 Parts 78.80 31014600 600900 Central Stores Culver City Industrial Hardware 27570 06/12/2013 21302426 062613CC 10.94 Invoice: 27570 Parts 10.94 31014600 600900 Central Stores Culver City Industrial Hardware 27571 06/12/2013 21302426 062613CC 7.86 Invoice: 27571 Parts 7.86 31014600 600900 Central Stores Culver City Industrial Hardware 27618 06/14/2013 21302426 062613CC 47.72 Invoice: 27618 Parts 47.72 31014600 600900 Central Stores Culver City Industrial Hardware 27676 06/17/2013 21302426 062613CC 53.81 Invoice: 27676 Parts 53.81 31014600 600900 Central Stores Culver City Industrial Hardware 27669 06/17/2013 21302426 062613CC 35.02 Invoice: 27669 Parts 35.02 31014600 600900 Central Stores Culver City Industrial Hardware 27689 06/18/2013 21302426 062613CC 94.45 Invoice: 27689 Parts 94.45 31014600 600900 Central Stores Culver City Industrial Hardware 27686 06/18/2013 21302426 062613CC 72.71 Invoice: 27686 Parts 72.71 31014600 600900 Central Stores Culver City Industrial Hardware 27723 06/19/2013 21302426 062613CC 65.36 Invoice: 27723 Parts 65.36 31014600 600900 Central Stores Culver City Industrial Hardware 27713 06/19/2013 21302426 062613CC 12.24 Invoice: 27713 Parts 12.24 31014600 600900 Central Stores Culver City Industrial Hardware 27720 06/19/2013 21302426 062613CC 12.2506/26/2013 15:06 |CULVER CITY |PG 14 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 27720 Parts 12.25 31014600 600900 Central Stores Culver City Industrial Hardware 27741 06/20/2013 21302426 062613CC 2.37 Invoice: 27741 Parts 2.37 31014600 600900 Central Stores Culver City Industrial Hardware 27765 06/21/2013 21302426 062613CC 3.49 Invoice: 27765 Parts 3.49 31014600 600900 Central Stores CHECK 264564 TOTAL: 1,340.90 264565 06/26/2013 PRTD 104345 Culver Palms Animal Hospital 25250 06/05/2013 062613CC 50.00 Invoice: 25250 Animal/hospital services 50.00 10140400 619800 Other Contractual Services CHECK 264565 TOTAL: 50.00 264566 06/26/2013 PRTD 105051 Culver Pool & Spa Supply 26003 05/03/2013 21303484 062613CC 229.02 Invoice: 26003 Pool Chemicals and Supplies 229.02 10160230 514100 Departmental Special Supplies Culver Pool & Spa Supply 26097 05/05/2013 21303484 062613CC 162.94 Invoice: 26097 Pool Chemicals and Supplies 162.94 10160230 514100 Departmental Special Supplies Culver Pool & Spa Supply 26150 05/07/2013 21303484 062613CC 162.94 Invoice: 26150 Pool Chemicals and Supplies 162.94 10160230 514100 Departmental Special Supplies Culver Pool & Spa Supply 26289 05/10/2013 21303484 062613CC 343.83 Invoice: 26289 Pool Chemicals and Supplies 343.83 10160230 514100 Departmental Special Supplies Culver Pool & Spa Supply 26481 05/14/2013 21303484 062613CC 324.34 Invoice: 26481 Pool Chemicals and Supplies 324.34 10160230 514100 Departmental Special Supplies Culver Pool & Spa Supply 26935 05/23/2013 21303484 062613CC 338.95 Invoice: 26935 Pool Chemicals and Supplies 338.95 10160230 514100 Departmental Special Supplies CHECK 264566 TOTAL: 1,562.02 264567 06/26/2013 PRTD 101464 Cummins Cal Pacific LLC 008-65338 05/21/2013 21303459 062613CC 496.04 Invoice: 008-65338 Insite Subscription Renewal 496.04 30870400 600200 R&M - Equipment 06/26/2013 15:06 |CULVER CITY |PG 15 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Cummins Cal Pacific LLC 008-68613 06/04/2013 21302425 062613CC 718.91 Invoice: 008-68613 Parts 718.91 31014600 600900 Central Stores Cummins Cal Pacific LLC 008-69046 06/05/2013 21302425 062613CC 20.66 Invoice: 008-69046 Parts 20.66 31014600 600900 Central Stores Cummins Cal Pacific LLC 008-69833 06/07/2013 21302425 062613CC 244.72 Invoice: 008-69833 Parts 244.72 31014600 600900 Central Stores Cummins Cal Pacific LLC 008-70230 06/10/2013 21302425 062613CC 144.28 Invoice: 008-70230 Parts 144.28 31014600 600900 Central Stores CHECK 264567 TOTAL: 1,624.61 264568 06/26/2013 PRTD 100764 Dapeer Rosenblit and Litvak LLP 7055 04/30/2013 062613CC 10,490.60 Invoice: 7055 Legal Services - Pappas 10,490.60 10113100 611600 Legal Services - Miscellaneous Dapeer Rosenblit and Litvak LLP 7172 05/31/2013 062613CC 17,311.34 Invoice: 7172 Legal Services - Pappas 17,311.34 10113100 611600 Legal Services - Miscellaneous Dapeer Rosenblit and Litvak LLP 7054 04/30/2013 062613CC 3,124.60 Invoice: 7054 Municipal Code Enf.- Photo Citations 3,124.60 10113100 611600 Legal Services - Miscellaneous Dapeer Rosenblit and Litvak LLP 7171 05/31/2013 062613CC 3,406.42 Invoice: 7171 Municipal Code Enf. - Photo Citations 3,406.42 10113100 611600 Legal Services - Miscellaneous Dapeer Rosenblit and Litvak LLP 7012 04/30/2013 062613CC 151.56 Invoice: 7012 Municipal Code Enf. 151.56 10113100 611600 Legal Services - Miscellaneous Dapeer Rosenblit and Litvak LLP 7170 05/31/2013 062613CC 3,426.32 Invoice: 7170 Municipal Code Enf. 3,426.32 10113100 611600 Legal Services - Miscellaneous CHECK 264568 TOTAL: 37,910.84 264569 06/26/2013 PRTD 100747 Donald H Maynor Professiona Law C DHM6067 06/11/2013 062613CC 3,831.25 Invoice: DHM6067 Professional Legal Services/Apr-Jun 2013 3,831.25 10114400 610100 Audit Services 06/26/2013 15:06 |CULVER CITY |PG 16 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264569 TOTAL: 3,831.25 264570 06/26/2013 PRTD 100512 Eddings Bros Auto Parts Inc 556263 06/19/2013 21302424 062613CC 18.66 Invoice: 556263 Parts 18.66 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 556283 06/19/2013 21302424 062613CC 122.04 Invoice: 556283 Parts 122.04 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 556665 06/21/2013 21302424 062613CC 252.07 Invoice: 556665 Parts 252.07 31014600 600900 Central Stores Eddings Bros Auto Parts Inc 556697 06/21/2013 21302424 062613CC 515.88 Invoice: 556697 Parts 515.88 31014600 600900 Central Stores CHECK 264570 TOTAL: 908.65 264571 06/26/2013 PRTD 100116 Entenmann-Rovin Co 0090216-IN 05/31/2013 21303496 062613CC 55.33 Invoice: 0090216-IN SUPPLIES 55.33 10150250 514100 Departmental Special Supplies CHECK 264571 TOTAL: 55.33 264572 06/26/2013 PRTD 101925 Erasure Co 250-052913 05/30/2013 062613CC 80.85 Invoice: 250-052913 Graffiti removal at Watseka Parking Structure 80.85 48155580 600100 R&M - Building Erasure Co 249-052913 05/30/2013 062613CC 135.00 Invoice: 249-052913 Graffiti removal at Cardiff Parking Structure 135.00 47555310 600100 R&M - Building CHECK 264572 TOTAL: 215.85 264573 06/26/2013 PRTD 100465 Express Pipe and Supply S4750649.001 05/31/2013 21302411 062613CC 2,932.28 Invoice: S4750649.001 Parts 2,932.28 31014600 600900 Central Stores CHECK 264573 TOTAL: 2,932.28 264574 06/26/2013 PRTD 100222 FireMaster 0000074284 04/18/2013 062613CC 716.22 Invoice: 0000074284 Fire Extinguisher Service 716.22 10160230 600100 R&M - Building FireMaster 0000086903 06/07/2013 062613CC 118.1606/26/2013 15:06 |CULVER CITY |PG 17 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 0000086903 Fire Extinguisher Service 118.16 10160230 600100 R&M - Building FireMaster 0000086902 06/07/2013 062613CC 113.23 Invoice: 0000086902 Fire Extinguisher Service 113.23 10160230 600100 R&M - Building FireMaster 0000086904 06/07/2013 062613CC 142.49 Invoice: 0000086904 Fire Extinguisher Service 142.49 10160230 600100 R&M - Building CHECK 264574 TOTAL: 1,090.10 264575 06/26/2013 PRTD 107880 Steve Chute, SSC Property Investm APR232013INV 04/23/2013 21303443 062613CC 217.50 Invoice: APR232013INV Elevator Rescue Tools 217.50 10145200 514600 Small Tools & Equipment CHECK 264575 TOTAL: 217.50 264576 06/26/2013 PRTD 105006 Fishnet Security Inc I0073472 03/20/2013 21302468 062613CC 11,130.00 Invoice: I0073472 Two Yrs. Maint Trend Micro 11,130.00 10124100 600200 R&M - Equipment CHECK 264576 TOTAL: 11,130.00 264577 06/26/2013 PRTD 102642 Chevron & Texaco Business Card Sv 38237252 06/06/2013 21303501 062613CC 3,109.50 Invoice: 38237252 CCPD Fuel 3,109.50 10140200 600800 Equip Maint Charges CHECK 264577 TOTAL: 3,109.50 264578 06/26/2013 PRTD 100884 Flint Trading Inc 157598 06/04/2013 21303285 062613CC 3,649.23 Invoice: 157598 HOT TAPE FOR BIKE PATHS 3,649.23 10160210 514100 Departmental Special Supplies CHECK 264578 TOTAL: 3,649.23 264579 06/26/2013 PRTD 100740 Gold Coast K9 CCPD-244 06/07/2013 062613CC 1,716.00 Invoice: CCPD-244 Re: Police K9 Bite Suit 1,716.00 10140200 516100 Training & Education CHECK 264579 TOTAL: 1,716.00 264580 06/26/2013 PRTD 103378 Goodwill Secure Shredding 0015823 06/01/2013 062613CC 48.00 Invoice: 0015823 Secure Shredding Services-May 2013 48.00 10114100 512100 Office Expense 06/26/2013 15:06 |CULVER CITY |PG 18 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264580 TOTAL: 48.00 264581 06/26/2013 PRTD 100142 Graingers 9159614370 06/05/2013 21302410 062613CC 73.75 Invoice: 9159614370 Parts 73.75 31014600 600900 Central Stores Graingers 9159765628 06/05/2013 21302410 062613CC 11.27 Invoice: 9159765628 Parts 11.27 31014600 600900 Central Stores Graingers 9159765636 06/05/2013 21302410 062613CC 61.84 Invoice: 9159765636 Parts 61.84 31014600 600900 Central Stores Graingers 9159296251 06/05/2013 21302410 062613CC 368.18 Invoice: 9159296251 Parts 368.18 31014600 600900 Central Stores Graingers 9161083465 06/06/2013 21302410 062613CC 105.25 Invoice: 9161083465 Parts 105.25 31014600 600900 Central Stores Graingers 9155102594 05/30/2013 21302410 062613CC 64.21 Invoice: 9155102594 Parts 64.21 31014600 600900 Central Stores Graingers 9155102586 05/30/2013 21302410 062613CC 85.40 Invoice: 9155102586 Parts 85.40 31014600 600900 Central Stores Graingers 9156325038 05/31/2013 21302410 062613CC 620.32 Invoice: 9156325038 Parts 620.32 31014600 600900 Central Stores Graingers 9157570475 06/03/2013 21302410 062613CC 59.87 Invoice: 9157570475 Parts 59.87 31014600 600900 Central Stores Graingers 9162283155 06/07/2013 21302410 062613CC 413.25 Invoice: 9162283155 Parts 413.25 31014600 600900 Central Stores Graingers 9117554445CM 04/16/2013 21302410 062613CC -937.67 Invoice: 9117554445CM Credit Memo -937.67 31014600 600900 Central Stores Graingers 9103824661CM 03/29/2013 21302410 062613CC -.41 Invoice: 9103824661CM Credit Memo -.41 31014600 600900 Central Stores 06/26/2013 15:06 |CULVER CITY |PG 19 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Graingers 9142369173CM 05/15/2013 21302410 062613CC -44.80 Invoice: 9142369173CM Credit Memo -44.80 31014600 600900 Central Stores CHECK 264581 TOTAL: 880.46 264582 06/26/2013 PRTD 106030 Haaker Equipment Company C95767 06/12/2013 21303247 062613CC 1,595.01 Invoice: C95767 SEWER MAINTENANCE: MINIMIZER P 1,595.01 20460300 514600 Small Tools & Equipment CHECK 264582 TOTAL: 1,595.01 264583 06/26/2013 PRTD 102164 Haynes Building Services LLC 401 05/30/2013 062613CC 974.96 Invoice: 401 Re: Senior Ctr 05/06-12/13 974.96 10130110 619800 Other Contractual Services Haynes Building Services LLC 402 05/30/2013 062613CC 974.96 Invoice: 402 Re: Senior Ctr 05/13-19/13 974.96 10130110 619800 Other Contractual Services Haynes Building Services LLC 403 05/30/2013 062613CC 2,507.04 Invoice: 403 Re: Vets Memorial 05/06-12/13 2,507.04 10130110 619800 Other Contractual Services Haynes Building Services LLC 404 05/30/2013 062613CC 2,794.31 Invoice: 404 Re: Vets Memorial 05/13-19/13 2,794.31 10130110 619800 Other Contractual Services CHECK 264583 TOTAL: 7,251.27 264584 06/26/2013 PRTD 106052 Hoffman Mgmt & Const. Corp 291 06/17/2013 062613CC 2,073.60 Invoice: 291 Gym Room Wall Extension - Transportation 2,073.60 20370200 600100 R&M - Building CHECK 264584 TOTAL: 2,073.60 264585 06/26/2013 PRTD 107724 J&G Sweeping Inc. 0002928-IN 04/30/2013 062613CC 300.00 Invoice: 0002928-IN Re: 9099 Washington Blvd - April 2013 300.00 48155380 612300 Property Management Services J&G Sweeping Inc. 0002927-IN 04/30/2013 062613CC 300.00 Invoice: 0002927-IN Re: 3846 Cardiff - April 2013 300.00 47555310 612300 Property Management Services J&G Sweeping Inc. 0002926-IN 04/30/2013 062613CC 200.00 Invoice: 0002926-IN Re: 3488 Watseka Ave-April 2013 200.00 48155580 612300 Property Management Services 06/26/2013 15:06 |CULVER CITY |PG 20 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ J&G Sweeping Inc. 0002931-IN 05/10/2013 062613CC 9,250.00 Invoice: 0002931-IN Re: 9099 Washington Blvd -May 2013 9,250.00 48155380 612300 Property Management Services J&G Sweeping Inc. 0002930-IN 05/10/2013 062613CC 4,250.00 Invoice: 0002930-IN Re: 3846 Cardiff Ave - May 2013 4,250.00 47555310 612300 Property Management Services J&G Sweeping Inc. 0002929-IN 05/10/2013 062613CC 3,950.00 Invoice: 0002929-IN Re: 3844 Watseka Ave - May 2013 3,950.00 48155580 612300 Property Management Services J&G Sweeping Inc. 0002970-IN 05/23/2013 062613CC 300.00 Invoice: 0002970-IN Re: Monthly Power Wash -9099 Washington/May 2013 300.00 48155380 612300 Property Management Services J&G Sweeping Inc. 0002969-IN 05/23/2013 062613CC 300.00 Invoice: 0002969-IN Re: Monthly Power Wash-3846 Cardiff Ave-May 2013 300.00 47555310 612300 Property Management Services J&G Sweeping Inc. 0002968-IN 05/23/2013 062613CC 200.00 Invoice: 0002968-IN Re: Monthly Power Wash-3844 Watseka Ave-May 2013 200.00 48155580 612300 Property Management Services CHECK 264585 TOTAL: 19,050.00 264586 06/26/2013 PRTD 104126 John Heyl 06172013 06/17/2013 062613CC 577.50 Invoice: 06172013 Shotokan Karate Classes-June 577.50 10130250 619800 Other Contractual Services CHECK 264586 TOTAL: 577.50 264587 06/26/2013 PRTD 100471 Judy Sherman 6/7/13 06/07/2013 062613CC 324.00 Invoice: 6/7/13 Re: Adjudication Hearing Svcs 324.00 10140200 619800 Other Contractual Services CHECK 264587 TOTAL: 324.00 264588 06/26/2013 PRTD 100180 Kane Ballmer and Berkman 19172City 06/06/2013 062613CC 70.00 Invoice: 19172City Ref: CC & CC Red Ag vs. Pascarella-UGO's Cafe 70.00 10113100 611600 Legal Services - Miscellaneous CHECK 264588 TOTAL: 70.00 264589 06/26/2013 PRTD 101362 Kids Time Preschool 06172013 06/17/2013 062613CC 2,306.50 Invoice: 06172013 Preschool Classes-June 2,306.50 10130250 619800 Other Contractual Services 06/26/2013 15:06 |CULVER CITY |PG 21 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264589 TOTAL: 2,306.50 264590 06/26/2013 PRTD 100977 KJ Services Environmental Consult 7831 04/15/2013 062613CC 2,395.00 Invoice: 7831 NPDES Consulting Services 2,395.00 42080000 730100PZ497 Improvements other than Bldg CHECK 264590 TOTAL: 2,395.00 264591 06/26/2013 PRTD 101229 Kristi Callan 9403 06/13/2013 062613CC 330.00 Invoice: 9403 Meeting Minute Transcription 330.00 10111100 610400 Consulting Services Kristi Callan 9397 06/06/2013 062613CC 450.00 Invoice: 9397 Meeting Minute Transcription 450.00 10111100 610400 Consulting Services Kristi Callan 9400 06/11/2013 062613CC 330.00 Invoice: 9400 Meeting Minute Transcription 330.00 10111100 610400 Consulting Services Kristi Callan 9401 06/11/2013 062613CC 540.00 Invoice: 9401 Meeting Minute Transcription 540.00 10111100 610400 Consulting Services CHECK 264591 TOTAL: 1,650.00 264592 06/26/2013 PRTD 100206 Liebert Cassidy and Whitmore 165789 05/31/2013 062613CC 26.00 Invoice: 165789 Professional Svcs thru 05/31/13 26.00 10113100 611200 Legal Services - Personnel Gri CHECK 264592 TOTAL: 26.00 264593 06/26/2013 PRTD 106249 Los Angeles Freightliner WP1023521 06/18/2013 21302408 062613CC 12.42 Invoice: WP1023521 Parts 12.42 31014600 600900 Central Stores Los Angeles Freightliner WP1021532 06/06/2013 21302408 062613CC 35.15 Invoice: WP1021532 Parts 35.15 31014600 600900 Central Stores CHECK 264593 TOTAL: 47.57 264594 06/26/2013 PRTD 104924 Los Angeles Women's Theatre Festi 041513 04/15/2013 062613CC 1,500.00 Invoice: 041513 Theatre Program on March 27, 2013 1,500.00 41350600 619800PZ614 Other Contractual Services 06/26/2013 15:06 |CULVER CITY |PG 22 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264594 TOTAL: 1,500.00 264595 06/26/2013 PRTD 100228 M-G Lawnmower Shop 18097 06/13/2013 21303485 062613CC 1,811.34 Invoice: 18097 Maintenance Equipment 1,811.34 10130300 514100 Departmental Special Supplies CHECK 264595 TOTAL: 1,811.34 264596 06/26/2013 PRTD 103672 Marina Landscape Inc 8561051300-1 05/31/2013 062613CC 200.00 Invoice: 8561051300-1 Landscape Services-May 2013 200.00 42516510 619800 Other Contractual Services Marina Landscape Inc 8561051300-2 05/31/2013 062613CC 330.00 Invoice: 8561051300-2 Landscape Services-May 2013 330.00 42516520 619800 Other Contractual Services CHECK 264596 TOTAL: 530.00 264597 06/26/2013 PRTD 102349 Masakazu Tazaki 06182013 06/17/2013 062613CC 84.00 Invoice: 06182013 Pre-K Classes-June 84.00 10130250 619800 Other Contractual Services CHECK 264597 TOTAL: 84.00 264598 06/26/2013 PRTD 106374 Milton McKinnon 7/13/13-9/16/13 06/04/2013 21301432 062613CC 1,050.00 Invoice: 7/13/13-9/16/13 FBI Academy Session 254 1,050.00 10140200 516100 Training & Education CHECK 264598 TOTAL: 1,050.00 264599 06/26/2013 PRTD 101066 Modern Parking Inc 15727 05/31/2013 062613CC 26,895.15 Invoice: 15727 Parking Operations-May 2013 26,895.15 48155380 612300 Property Management Services Modern Parking Inc 15714 05/31/2013 062613CC 2,706.02 Invoice: 15714 Non Budgeted Labor-May 2013 2,706.02 48155380 612300 Property Management Services Modern Parking Inc 15726 05/31/2013 062613CC 9,970.27 Invoice: 15726 Parking Operations-May 2013 9,970.27 48155580 612300 Property Management Services Modern Parking Inc 15713 05/31/2013 062613CC 584.92 Invoice: 15713 Non Budgeted Labor-May 2013 584.92 48155580 612300 Property Management Services Modern Parking Inc 15725 05/31/2013 062613CC 11,281.2206/26/2013 15:06 |CULVER CITY |PG 23 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 15725 Parking Operations-May 2013 11,281.22 47555310 612300 Property Management Services Modern Parking Inc 15712 05/31/2013 062613CC 951.83 Invoice: 15712 Non Budgeted Labor-May 2013 951.83 47555310 612300 Property Management Services Modern Parking Inc 15723 05/31/2013 062613CC 1,992.50 Invoice: 15723 Parking Operations-May 2013 1,992.50 48155560 612300 Property Management Services Modern Parking Inc 15724 05/31/2013 062613CC 255.87 Invoice: 15724 Parking Operations-May 2013 255.87 48155100 612300 Property Management Services CHECK 264599 TOTAL: 54,637.78 264600 06/26/2013 PRTD 100238 Municipal Maintenance Equipment I 0082643-IN 06/11/2013 21303291 062613CC 646.63 Invoice: 0082643-IN Parts 646.63 31014600 600900 Central Stores CHECK 264600 TOTAL: 646.63 264601 06/26/2013 PRTD 103031 MuniServices LLC 0000030910 06/07/2013 062613CC 11,493.75 Invoice: 0000030910 UUT- Fixed Fee- CA 11,493.75 10114400 610100 Audit Services CHECK 264601 TOTAL: 11,493.75 264602 06/26/2013 PRTD 100239 Mutual Propane 127618 06/12/2013 21303513 062613CC 41.18 Invoice: 127618 Propane Fuel Purchase 41.18 30870400 520150 Petroleum Products-PropaneFuel CHECK 264602 TOTAL: 41.18 264603 06/26/2013 PRTD 103866 Napa Auto Parts Culver City 131387 06/21/2013 21302407 062613CC 19.85 Invoice: 131387 Parts 19.85 31014600 600900 Central Stores Napa Auto Parts Culver City 131420 06/22/2013 21302407 062613CC 144.35 Invoice: 131420 Parts 144.35 31014600 600900 Central Stores Napa Auto Parts Culver City 131455 06/22/2013 21302407 062613CC 44.94 Invoice: 131455 Parts 44.94 31014600 600900 Central Stores 06/26/2013 15:06 |CULVER CITY |PG 24 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264603 TOTAL: 209.14 264604 06/26/2013 PRTD 100253 New Flyer of America 9206787 06/04/2013 21302420 062613CC 306.93 Invoice: 9206787 Parts 306.93 31014600 600900 Central Stores New Flyer of America 9207293 06/05/2013 21302420 062613CC 1,004.98 Invoice: 9207293 Parts 1,004.98 31014600 600900 Central Stores New Flyer of America 9210485 06/13/2013 21302420 062613CC 104.07 Invoice: 9210485 Parts 104.07 31014600 600900 Central Stores New Flyer of America 9210493 06/13/2013 21302420 062613CC 147.01 Invoice: 9210493 Parts 147.01 31014600 600900 Central Stores New Flyer of America 9210513 06/13/2013 21302420 062613CC 37.34 Invoice: 9210513 Parts 37.34 31014600 600900 Central Stores CHECK 264604 TOTAL: 1,600.33 264605 06/26/2013 PRTD 101326 Pacific Alarm Systems Inc 2236687 06/01/2013 062613CC 49.61 Invoice: 2236687 Alarm Service-C#77004, Jun 2013 49.61 41460903 600100 R&M - Building CHECK 264605 TOTAL: 49.61 264606 06/26/2013 PRTD 103896 PetData Inc 2911 05/31/2013 062613CC 701.95 Invoice: 2911 Animal Licensing Services-May 2013 701.95 10140400 619800 Other Contractual Services CHECK 264606 TOTAL: 701.95 264607 06/26/2013 PRTD 101081 Plumbers Depot Inc PD-21548 06/18/2013 21303505 062613CC 233.02 Invoice: PD-21548 SEWER VEHICLE ATTACHMENTS 233.02 20460300 514100 Departmental Special Supplies Plumbers Depot Inc PD-20125 01/15/2013 21303515 062613CC 1,183.81 Invoice: PD-20125 Repair - Unit: 3203 1,183.81 30870400 600200 R&M - Equipment CHECK 264607 TOTAL: 1,416.8306/26/2013 15:06 |CULVER CITY |PG 25 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264608 06/26/2013 PRTD 100808 Praxair Distribution Inc 46149331 05/20/2013 21303471 062613CC 392.86 Invoice: 46149331 Oxygen 392.86 10145300 514100 Departmental Special Supplies Praxair Distribution Inc 45865970 04/18/2013 21303472 062613CC 733.54 Invoice: 45865970 Oxygen 733.54 10145300 514100 Departmental Special Supplies CHECK 264608 TOTAL: 1,126.40 264609 06/26/2013 PRTD 106455 PSC Environmental Services 43600676070 04/25/2013 062613CC 2,025.00 Invoice: 43600676070 Hazardous Waste Disposal Fees/Labor Charges 2,025.00 10116100 619800 Other Contractual Services CHECK 264609 TOTAL: 2,025.00 264610 06/26/2013 PRTD 102321 Psomas 89111 06/13/2013 062613CC 450.00 Invoice: 89111 Ref: Project #2CUL020302 450.00 20480000 730100PZ874 Improvements other than Bldg CHECK 264610 TOTAL: 450.00 264611 06/26/2013 PRTD 101567 Roadline Products Inc USA 9779 06/05/2013 21303295 062613CC 1,912.43 Invoice: 9779 RED TRAFFIC PAINT 1,912.43 10160210 514100 Departmental Special Supplies Roadline Products Inc USA 9785 06/14/2013 21303295 062613CC 1,912.43 Invoice: 9785 RED TRAFFIC PAINT 1,912.43 10160210 514100 Departmental Special Supplies CHECK 264611 TOTAL: 3,824.86 264612 06/26/2013 PRTD 100299 S and S Arts and Crafts 7736461 06/05/2013 21303296 062613CC 392.11 Invoice: 7736461 Favorite Games Set - 392.11 10130212 514100 Departmental Special Supplies S and S Arts and Crafts 7738765 06/06/2013 21303337 062613CC 194.41 Invoice: 7738765 Crafts 194.41 10130212 514100 Departmental Special Supplies CHECK 264612 TOTAL: 586.52 264613 06/26/2013 PRTD 104309 Safeguard Business Systems 028789610 04/19/2013 21303511 062613CC 2,184.54 Invoice: 028789610 CCPD Printed Letterhead 2,184.54 10140200 512200 Printing and Binding 06/26/2013 15:06 |CULVER CITY |PG 26 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264613 TOTAL: 2,184.54 264614 06/26/2013 PRTD 105068 SASSAS 061713 06/17/2013 062613CC 3,250.00 Invoice: 061713 Performing Arts Grant 3,250.00 41350600 619800PZ614 Other Contractual Services CHECK 264614 TOTAL: 3,250.00 264615 06/26/2013 PRTD 105779 Carol Schwab 050713-051013REIMB 06/24/2013 21303563 062613CC 1,325.19 Invoice: 050713-051013REIMB League of CA Cities- Napa, CA 1,125.19 10113100 516100 Training & Education 200.00 41640454 516500 Conferences & Conventions CHECK 264615 TOTAL: 1,325.19 264616 06/26/2013 PRTD 105807 Chris Sellers MAY20-232013REIMB 06/06/2013 21303468 062613CC 1,123.44 Invoice: MAY20-232013REIMB ICIS event- Washington D.C. 1,123.44 10145100 516500 Conferences & Conventions CHECK 264616 TOTAL: 1,123.44 264617 06/26/2013 PRTD 101017 Sherwin Williams Paints 6615-3 06/14/2013 21302891 062613CC 281.85 Invoice: 6615-3 Parts 281.85 31014600 600900 Central Stores Sherwin Williams Paints 7457-1 06/13/2013 21302891 062613CC 56.37 Invoice: 7457-1 Parts 56.37 31014600 600900 Central Stores CHECK 264617 TOTAL: 338.22 264618 06/26/2013 PRTD 100321 Sims Welding Supply Co 00573130 06/13/2013 21303514 062613CC 107.95 Invoice: 00573130 Welding Supplies 107.95 30870400 600200 R&M - Equipment CHECK 264618 TOTAL: 107.95 264619 06/26/2013 PRTD 100333 Sparkletts Water Co 4681786060613 06/06/2013 21300235 062613CC 168.39 Invoice: 4681786060613 EQUIPMENT AND SUPPLIES: BUILDI 168.39 10116100 513000 Utilities CHECK 264619 TOTAL: 168.3906/26/2013 15:06 |CULVER CITY |PG 27 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264620 06/26/2013 PRTD 100346 Blue Diamond Materials 350185 05/29/2013 21300128 062613CC 81.47 Invoice: 350185 ASPHALT MATERIAL 81.47 10160210 514100 Departmental Special Supplies Blue Diamond Materials 350585 06/03/2013 21300128 062613CC 347.29 Invoice: 350585 ASPHALT MATERIAL 347.29 10160210 514100 Departmental Special Supplies Blue Diamond Materials 350634 06/04/2013 21300128 062613CC 366.80 Invoice: 350634 ASPHALT MATERIAL 366.80 10160210 514100 Departmental Special Supplies Blue Diamond Materials 350694 06/05/2013 21300128 062613CC 223.69 Invoice: 350694 ASPHALT MATERIAL 223.69 10160210 514100 Departmental Special Supplies Blue Diamond Materials 350833 06/06/2013 21300128 062613CC 292.26 Invoice: 350833 ASPHALT MATERIAL 292.26 10160210 514100 Departmental Special Supplies Blue Diamond Materials 350834 06/06/2013 21300128 062613CC 293.68 Invoice: 350834 ASPHALT MATERIAL 293.68 10160210 514100 Departmental Special Supplies CHECK 264620 TOTAL: 1,605.19 264621 06/26/2013 PRTD 101197 Susan Porter 060313 06/03/2013 062613CC 2,951.90 Invoice: 060313 Preschool Music Classes-Spring 2,951.90 10130250 619800 Other Contractual Services CHECK 264621 TOTAL: 2,951.90 264622 06/26/2013 PRTD 100173 The Janek Corp 84001 05/16/2013 21303528 062613CC 490.50 Invoice: 84001 Parts 490.50 31014600 600900 Central Stores CHECK 264622 TOTAL: 490.50 264623 06/26/2013 PRTD 100207 The Light House Inc 0875450 06/03/2013 21302404 062613CC 1,224.85 Invoice: 0875450 Parts 1,224.85 31014600 600900 Central Stores CHECK 264623 TOTAL: 1,224.85 264624 06/26/2013 PRTD 100356 Time Clock Sales and Service Co I PA50221.1 05/23/2013 21303396 062613CC 441.64 Invoice: PA50221.1 TIME CLOCK: TRANSPORTATION FAC 441.64 10160260 600200 R&M - Equipment 06/26/2013 15:06 |CULVER CITY |PG 28 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264624 TOTAL: 441.64 264625 06/26/2013 PRTD 107730 Total Administrative Services Cor 0613267 06/02/2013 062613CC 397.60 Invoice: 0613267 Benefit Continuation Administr 397.60 10114100 619100 Fiscal Services CHECK 264625 TOTAL: 397.60 264626 06/26/2013 PRTD 100368 Turbo Data Systems Inc 20266 06/05/2013 21303177 062613CC 87.20 Invoice: 20266 Parking Battery 87.20 10140200 514100 Departmental Special Supplies Turbo Data Systems Inc 20202 05/31/2013 062613CC 6,591.40 Invoice: 20202 Citation Processing 6,591.40 10140200 619800 Other Contractual Services CHECK 264626 TOTAL: 6,678.60 264627 06/26/2013 PRTD 105452 Tyler Technologies, Inc 045-88957 05/31/2013 21303497 062613CC 275.00 Invoice: 045-88957 Signature Change AP/Payroll 275.00 10114300 512100 Office Expense Tyler Technologies, Inc 045-88350 05/10/2013 062613CC 22,720.95 Invoice: 045-88350 Disaster Recovery Contract 22,720.95 42080000 600200PZ636 R&M - Equipment CHECK 264627 TOTAL: 22,995.95 264628 06/26/2013 PRTD 105022 Vidacare Corporation 85835 06/07/2013 21303469 062613CC 1,147.27 Invoice: 85835 Needle Set Sterile Pack 1,147.27 10145300 514100 Departmental Special Supplies CHECK 264628 TOTAL: 1,147.27 264629 06/26/2013 PRTD 101048 Vox Femina Los Angeles 260 04/30/2013 062613CC 4,000.00 Invoice: 260 Ref: April 28, 2013 Performance/CC Presbyterian 4,000.00 41350600 619800PZ614 Other Contractual Services CHECK 264629 TOTAL: 4,000.00 264630 06/26/2013 PRTD 100382 Warren Supply Co 246013CM 05/20/2013 21302416 062613CC -62.54 Invoice: 246013CM Credit Memo -62.54 31014600 600900 Central Stores Warren Supply Co 248299CM 05/22/2013 21302416 062613CC -354.7606/26/2013 15:06 |CULVER CITY |PG 29 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 248299CM Credit Memo -354.76 31014600 600900 Central Stores Warren Supply Co 248409CM 05/22/2013 21302416 062613CC -316.28 Invoice: 248409CM Credit Memo -316.28 31014600 600900 Central Stores Warren Supply Co 255072CM 05/31/2013 21302416 062613CC -124.26 Invoice: 255072CM Credit Memo -124.26 31014600 600900 Central Stores Warren Supply Co 674968 06/13/2013 21302416 062613CC 63.20 Invoice: 674968 Parts 63.20 31014600 600900 Central Stores Warren Supply Co 675022 06/14/2013 21302416 062613CC 37.11 Invoice: 675022 Parts 37.11 31014600 600900 Central Stores Warren Supply Co 676328 06/19/2013 21302416 062613CC 40.65 Invoice: 676328 Parts 40.65 31014600 600900 Central Stores Warren Supply Co 676372 06/19/2013 21302416 062613CC 139.15 Invoice: 676372 Parts 139.15 31014600 600900 Central Stores Warren Supply Co 676151 06/19/2013 21302416 062613CC 92.20 Invoice: 676151 Parts 92.20 31014600 600900 Central Stores Warren Supply Co 676485 06/20/2013 21302416 062613CC 614.77 Invoice: 676485 Parts 614.77 31014600 600900 Central Stores Warren Supply Co 676987 06/22/2013 21302416 062613CC 242.32 Invoice: 676987 Parts 242.32 31014600 600900 Central Stores Warren Supply Co 677007 06/22/2013 21302416 062613CC 303.52 Invoice: 677007 Parts 303.52 31014600 600900 Central Stores CHECK 264630 TOTAL: 675.08 264631 06/26/2013 PRTD 105577 Waterous Company P2H1214001 05/24/2013 21303362 062613CC 1,827.05 Invoice: P2H1214001 Parts 1,827.05 31014600 600900 Central Stores Waterous Company P402792001CM 05/30/2013 21303362 062613CC -134.83 Invoice: P402792001CM Re: Error on Debit Memo P601556 06/26/2013 15:06 |CULVER CITY |PG 30 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ -134.83 31014600 600900 Central Stores CHECK 264631 TOTAL: 1,692.22 264632 06/26/2013 PRTD 100383 Waxie Sanitary Supply 73972109 06/04/2013 21303272 062613CC 2,318.19 Invoice: 73972109 Parts 2,318.19 31014600 600900 Central Stores CHECK 264632 TOTAL: 2,318.19 264633 06/26/2013 PRTD 100388 West Coast Arborists Inc 88478 05/31/2013 062613CC 22,985.60 Invoice: 88478 Tree Maintenance Services 22,985.60 10160220 619800 Other Contractual Services West Coast Arborists Inc 88480 05/31/2013 062613CC 1,399.20 Invoice: 88480 Tree Maintenance Services 1,399.20 10160220 619800 Other Contractual Services West Coast Arborists Inc 88479 05/31/2013 062613CC 3,558.50 Invoice: 88479 Tree Maintenance Services 3,558.50 42080000 730100PZ754 Improvements other than Bldg CHECK 264633 TOTAL: 27,943.30 264634 06/26/2013 PRTD 102937 Western Pacific Signal LLC 17411 05/24/2013 21303019 062613CC 4,171.25 Invoice: 17411 Traffic Lighting equipment 4,171.25 10160240 600200 R&M - Equipment CHECK 264634 TOTAL: 4,171.25 264635 06/26/2013 PRTD 100406 Zee Medical Service Inc 0140515302 06/12/2013 062613CC 91.66 Invoice: 0140515302 First Aid Supplies 91.66 30870400 514100 Departmental Special Supplies CHECK 264635 TOTAL: 91.66 264636 06/26/2013 PRTD 100408 Zumar Industries 0146106 06/11/2013 21303397 062613CC 1,891.50 Invoice: 0146106 TRAFFIC SIGNS 1,891.50 10160210 514100 Departmental Special Supplies Zumar Industries 0145693 05/24/2013 21303387 062613CC 106.82 Invoice: 0145693 TRAFFIC SIGNS 106.82 10160210 514100 Departmental Special Supplies Zumar Industries 0145961 06/04/2013 21303512 062613CC 147.97 Invoice: 0145961 Signage 147.97 10130300 514100 Departmental Special Supplies 06/26/2013 15:06 |CULVER CITY |PG 31 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 264636 TOTAL: 2,146.29 NUMBER OF CHECKS 110 *** CASH ACCOUNT TOTAL *** 428,994.86 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 107 418,016.84 TOTAL EFT'S 3 10,978.02 *** GRAND TOTAL *** 428,994.8606/26/2013 17:10 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9791 06/26/2013 EFT 106698 William C Agnew 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10160150 435500 Retiree Insurance CHECK 9791 TOTAL: 625.86 9792 06/26/2013 EFT 107186 Raziya Al-Nafis 13-Jul-01 07/01/2013 062713HR 389.21 Invoice: 13-Jul-01 Pers Retiree Reimb 389.21 10130400 435500 Retiree Insurance CHECK 9792 TOTAL: 389.21 9793 06/26/2013 EFT 106715 Ann Alexander 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10110000 435500 Retiree Insurance CHECK 9793 TOTAL: 255.43 9794 06/26/2013 EFT 106718 Jorge Alonzo 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 20260410 435500 Retiree Insurance CHECK 9794 TOTAL: 387.40 9795 06/26/2013 EFT 106739 Mark Ambrozich 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 10114200 435500 Retiree Insurance CHECK 9795 TOTAL: 964.95 9796 06/26/2013 EFT 107102 Antonio Amido 13-Jul-01 07/01/2013 062713HR 407.64 Invoice: 13-Jul-01 Pers Retiree Reimb 407.64 30870400 435500 Retiree Insurance CHECK 9796 TOTAL: 407.64 9797 06/26/2013 EFT 107221 Douglas L. Andersen 13-Jul-01 07/01/2013 062713HR 1,394.91 Invoice: 13-Jul-01 Pers Retiree Reimb 1,394.91 10145200 435500 Retiree Insurance CHECK 9797 TOTAL: 1,394.91 9798 06/26/2013 EFT 106740 Thomas Andrews 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10160240 435500 Retiree Insurance 06/26/2013 17:10 |CULVER CITY |PG 2 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 9798 TOTAL: 461.74 9799 06/26/2013 EFT 106707 Cecelia Angel 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 10160210 435500 Retiree Insurance CHECK 9799 TOTAL: 146.32 9800 06/26/2013 EFT 107103 Philip Angel 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160210 435500 Retiree Insurance CHECK 9800 TOTAL: 255.43 9801 06/26/2013 EFT 107142 William Aparicio 13-Jul-01 07/01/2013 062713HR 839.56 Invoice: 13-Jul-01 Pers Retiree Reimb 839.56 10160210 435500 Retiree Insurance CHECK 9801 TOTAL: 839.56 9802 06/26/2013 EFT 107104 James Ardizzone 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 10145200 435500 Retiree Insurance CHECK 9802 TOTAL: 964.95 9803 06/26/2013 EFT 107234 Manuel. L Ariza 13-Jul-01 07/01/2013 062713HR 436.95 Invoice: 13-Jul-01 Pers Retiree Reimb 436.95 10140200 435500 Retiree Insurance CHECK 9803 TOTAL: 436.95 9804 06/26/2013 EFT 106747 Barbara Arnold 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9804 TOTAL: 255.43 9805 06/26/2013 EFT 106779 David Ashcraft 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 20370100 435500 Retiree Insurance 06/26/2013 17:10 |CULVER CITY |PG 3 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 9805 TOTAL: 964.95 9806 06/26/2013 EFT 106722 Gary J Audet 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10160100 435500 Retiree Insurance CHECK 9806 TOTAL: 210.74 9807 06/26/2013 EFT 106780 Frank Augusta 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10140200 435500 Retiree Insurance CHECK 9807 TOTAL: 536.48 9808 06/26/2013 EFT 107105 Pedro R Ayala 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10114200 435500 Retiree Insurance CHECK 9808 TOTAL: 461.74 9809 06/26/2013 EFT 106781 Patricia M Bagge 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10122100 435500 Retiree Insurance CHECK 9809 TOTAL: 536.48 9810 06/26/2013 EFT 107190 Lyndon Barber 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 20370200 435500 Retiree Insurance CHECK 9810 TOTAL: 1,125.93 9811 06/26/2013 EFT 107143 Janet Barfield 13-Jul-01 07/01/2013 062713HR 601.50 Invoice: 13-Jul-01 Pers Retiree Reimb 601.50 10140300 435500 Retiree Insurance CHECK 9811 TOTAL: 601.50 9812 06/26/2013 EFT 106725 Willie Barfield 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160240 435500 Retiree Insurance CHECK 9812 TOTAL: 255.4306/26/2013 17:10 |CULVER CITY |PG 4 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9813 06/26/2013 EFT 106782 Gerald P Barnes 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 20370200 435500 Retiree Insurance CHECK 9813 TOTAL: 964.95 9814 06/26/2013 EFT 106729 Ronald J Barnett 13-Jul-01 07/01/2013 062713HR 144.30 Invoice: 13-Jul-01 Pers Retiree Reimb 144.30 10140200 435500 Retiree Insurance CHECK 9814 TOTAL: 144.30 9815 06/26/2013 EFT 106731 Kenneth Barrett 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 9815 TOTAL: 210.74 9816 06/26/2013 EFT 106785 Jose Barrios 13-Jul-01 07/01/2013 062713HR 407.64 Invoice: 13-Jul-01 Pers Retiree Reimb 407.64 30870400 435500 Retiree Insurance CHECK 9816 TOTAL: 407.64 9817 06/26/2013 EFT 107690 Edward Baughan 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10140200 435500 Retiree Insurance CHECK 9817 TOTAL: 918.60 9818 06/26/2013 EFT 106732 Ann Behrens 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10130100 435500 Retiree Insurance CHECK 9818 TOTAL: 255.43 9819 06/26/2013 EFT 106787 Susan Berg 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10150120 435500 Retiree Insurance CHECK 9819 TOTAL: 210.7406/26/2013 17:10 |CULVER CITY |PG 5 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9820 06/26/2013 EFT 106802 Charles Bernard 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 20370200 435500 Retiree Insurance CHECK 9820 TOTAL: 461.74 9821 06/26/2013 EFT 106789 Ernest Berry 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10130300 435500 Retiree Insurance CHECK 9821 TOTAL: 210.74 9822 06/26/2013 EFT 107182 Juan J. Betancourt 13-Jul-01 07/01/2013 062713HR 1,195.95 Invoice: 13-Jul-01 Pers Retiree Reimb 1,195.95 10160210 435500 Retiree Insurance CHECK 9822 TOTAL: 1,195.95 9823 06/26/2013 EFT 107742 William J. Bischoff 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10145200 435500 Retiree Insurance CHECK 9823 TOTAL: 1,125.93 9824 06/26/2013 EFT 107220 Cerris Black 13-Jul-01 07/01/2013 062713HR 436.95 Invoice: 13-Jul-01 Pers Retiree Reimb 436.95 10140200 435500 Retiree Insurance CHECK 9824 TOTAL: 436.95 9825 06/26/2013 EFT 106748 Sandra Blaeser 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9825 TOTAL: 255.43 9826 06/26/2013 EFT 106804 Robert L Blair, Jr 13-Jul-01 07/01/2013 062713HR 415.75 Invoice: 13-Jul-01 Pers Retiree Reimb 415.75 20370200 435500 Retiree Insurance CHECK 9826 TOTAL: 415.7506/26/2013 17:10 |CULVER CITY |PG 6 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9827 06/26/2013 EFT 106791 Marlene Blauner 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 30922200 435500 Retiree Insurance CHECK 9827 TOTAL: 210.74 9828 06/26/2013 EFT 106805 Sharon Blawn 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10140200 435500 Retiree Insurance CHECK 9828 TOTAL: 173.37 9829 06/26/2013 EFT 107222 Craig Bloor 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 9829 TOTAL: 1,197.90 9830 06/26/2013 EFT 107166 Leslie Brandes 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10130400 435500 Retiree Insurance CHECK 9830 TOTAL: 1,336.03 9831 06/26/2013 EFT 107789 Robert D. Brann 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 9831 TOTAL: 1,197.90 9832 06/26/2013 EFT 106717 Margie L. Brice 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10145200 435500 Retiree Insurance CHECK 9832 TOTAL: 173.37 9833 06/26/2013 EFT 107199 Kathleen Brier 13-Jul-01 07/01/2013 062713HR 194.45 Invoice: 13-Jul-01 Pers Retiree Reimb 194.45 10130400 435500 Retiree Insurance CHECK 9833 TOTAL: 194.4506/26/2013 17:10 |CULVER CITY |PG 7 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9834 06/26/2013 EFT 106809 Mary J Bruce 13-Jul-01 07/01/2013 062713HR 534.78 Invoice: 13-Jul-01 Pers Retiree Reimb 534.78 10160100 435500 Retiree Insurance CHECK 9834 TOTAL: 534.78 9835 06/26/2013 EFT 106794 Robert A Bruce 13-Jul-01 07/01/2013 062713HR 466.00 Invoice: 13-Jul-01 Pers Retiree Reimb 466.00 10145600 435500 Retiree Insurance CHECK 9835 TOTAL: 466.00 9836 06/26/2013 EFT 106812 Elywnn J Brunelle 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 9836 TOTAL: 536.48 9837 06/26/2013 EFT 106795 Wayne E Bueltel 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10145200 435500 Retiree Insurance CHECK 9837 TOTAL: 1,412.40 9838 06/26/2013 EFT 106813 William L Burck 13-Jul-01 07/01/2013 062713HR 889.80 Invoice: 13-Jul-01 Pers Retiree Reimb 889.80 10140100 435500 Retiree Insurance CHECK 9838 TOTAL: 889.80 9839 06/26/2013 EFT 106719 Justine Burleson 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 9839 TOTAL: 255.43 9840 06/26/2013 EFT 106796 James E Cagle 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 10140200 435500 Retiree Insurance CHECK 9840 TOTAL: 964.9506/26/2013 17:10 |CULVER CITY |PG 8 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9841 06/26/2013 EFT 106814 Philamer E Caliboso 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 30870400 435500 Retiree Insurance CHECK 9841 TOTAL: 173.37 9842 06/26/2013 EFT 106797 Georgina Cals 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10114300 435500 Retiree Insurance CHECK 9842 TOTAL: 255.43 9843 06/26/2013 EFT 106752 Deloris Cameron 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9843 TOTAL: 255.43 9844 06/26/2013 EFT 106799 Brenda R Caninson 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10150120 435500 Retiree Insurance CHECK 9844 TOTAL: 210.74 9845 06/26/2013 EFT 106815 Roosevelt Cannon 13-Jul-01 07/01/2013 062713HR 977.21 Invoice: 13-Jul-01 Pers Retiree Reimb 977.21 20260400 435500 Retiree Insurance CHECK 9845 TOTAL: 977.21 9846 06/26/2013 EFT 106801 Lee R Cantrell 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10140200 435500 Retiree Insurance CHECK 9846 TOTAL: 625.86 9847 06/26/2013 EFT 104053 Kevin Carlson 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10145200 435500 Retiree Insurance CHECK 9847 TOTAL: 1,125.9306/26/2013 17:10 |CULVER CITY |PG 9 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9848 06/26/2013 EFT 106934 Gianni G Carpani 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 20260400 435500 Retiree Insurance CHECK 9848 TOTAL: 146.32 9849 06/26/2013 EFT 106943 Kenneth L Carpenter 13-Jul-01 07/01/2013 062713HR 1,264.95 Invoice: 13-Jul-01 Pers Retiree Reimb 1,264.95 10145600 435500 Retiree Insurance CHECK 9849 TOTAL: 1,264.95 9850 06/26/2013 EFT 106936 David Castaneda 13-Jul-01 07/01/2013 062713HR 1,417.48 Invoice: 13-Jul-01 Pers Retiree Reimb 1,417.48 20260400 435500 Retiree Insurance CHECK 9850 TOTAL: 1,417.48 9851 06/26/2013 EFT 106944 Louis C Castle 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10140200 435500 Retiree Insurance CHECK 9851 TOTAL: 173.37 9852 06/26/2013 EFT 106723 Sadie Cerda 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160210 435500 Retiree Insurance CHECK 9852 TOTAL: 255.43 9853 06/26/2013 EFT 107126 Julie Cerra 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160150 435500 Retiree Insurance CHECK 9853 TOTAL: 255.43 9854 06/26/2013 EFT 106945 Juanita M Chafin 13-Jul-01 07/01/2013 062713HR 415.75 Invoice: 13-Jul-01 Pers Retiree Reimb 415.75 10113100 435500 Retiree Insurance CHECK 9854 TOTAL: 415.7506/26/2013 17:10 |CULVER CITY |PG 10 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9855 06/26/2013 EFT 107144 Mary S. Chang 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10110100 435500 Retiree Insurance CHECK 9855 TOTAL: 1,001.17 9856 06/26/2013 EFT 106946 Pierre G Chiabaudo 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10140200 435500 Retiree Insurance CHECK 9856 TOTAL: 625.86 9857 06/26/2013 EFT 106938 Agnes V Christensen 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10111100 435500 Retiree Insurance CHECK 9857 TOTAL: 255.43 9858 06/26/2013 EFT 107145 Muriel Clark 13-Jul-01 07/01/2013 062713HR 910.95 Invoice: 13-Jul-01 Pers Retiree Reimb 910.95 10110100 435500 Retiree Insurance CHECK 9858 TOTAL: 910.95 9859 06/26/2013 EFT 106947 Victor A Clay 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 20370200 435500 Retiree Insurance CHECK 9859 TOTAL: 536.48 9860 06/26/2013 EFT 106939 Patrick J Cleary 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10140200 435500 Retiree Insurance CHECK 9860 TOTAL: 461.74 9861 06/26/2013 EFT 106948 Robert Cline 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145600 435500 Retiree Insurance CHECK 9861 TOTAL: 536.4806/26/2013 17:10 |CULVER CITY |PG 11 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9862 06/26/2013 EFT 107146 Julie H. Cobb 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10130400 435500 Retiree Insurance CHECK 9862 TOTAL: 1,336.03 9863 06/26/2013 EFT 106949 Carolyn J Cole 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10130400 435500 Retiree Insurance CHECK 9863 TOTAL: 536.48 9864 06/26/2013 EFT 107201 Mark Coleman 13-Jul-01 07/01/2013 062713HR 893.43 Invoice: 13-Jul-01 Pers Retiree Reimb 893.43 20370200 435500 Retiree Insurance CHECK 9864 TOTAL: 893.43 9865 06/26/2013 EFT 106724 Rachel Cons 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160210 435500 Retiree Insurance CHECK 9865 TOTAL: 255.43 9866 06/26/2013 EFT 107107 Michael L Conzachi 13-Jul-01 07/01/2013 062713HR 1,474.38 Invoice: 13-Jul-01 Pers Retiree Reimb 1,474.38 10140200 435500 Retiree Insurance CHECK 9866 TOTAL: 1,474.38 9867 06/26/2013 EFT 106951 Elwin E Cooke 13-Jul-01 07/01/2013 062713HR 1,341.30 Invoice: 13-Jul-01 Pers Retiree Reimb 1,341.30 10140100 435500 Retiree Insurance CHECK 9867 TOTAL: 1,341.30 9868 06/26/2013 EFT 106728 Virginia Cordova 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160240 435500 Retiree Insurance CHECK 9868 TOTAL: 173.3706/26/2013 17:10 |CULVER CITY |PG 12 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9869 06/26/2013 EFT 107147 Alan Corlin 13-Jul-01 07/01/2013 062713HR 443.09 Invoice: 13-Jul-01 Pers Retiree Reimb 443.09 10110000 435500 Retiree Insurance CHECK 9869 TOTAL: 443.09 9870 06/26/2013 EFT 107743 Omar Corrales 13-Jul-01 07/01/2013 062713HR 860.16 Invoice: 13-Jul-01 Pers Retiree Reimb 860.16 10140200 435500 Retiree Insurance CHECK 9870 TOTAL: 860.16 9871 06/26/2013 EFT 106952 Michael A Courtney 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 10150150 435500 Retiree Insurance CHECK 9871 TOTAL: 146.32 9872 06/26/2013 EFT 106942 James R Crader 13-Jul-01 07/01/2013 062713HR 1,262.97 Invoice: 13-Jul-01 Pers Retiree Reimb 1,262.97 10160230 435500 Retiree Insurance CHECK 9872 TOTAL: 1,262.97 9873 06/26/2013 EFT 107148 Stephen C. Cunningham 13-Jul-01 07/01/2013 062713HR 1,318.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,318.00 20370100 435500 Retiree Insurance CHECK 9873 TOTAL: 1,318.00 9874 06/26/2013 EFT 106768 Armen Dadaian 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 20260400 435500 Retiree Insurance CHECK 9874 TOTAL: 255.43 9875 06/26/2013 EFT 106840 Dale R Meyer 13-Jul-01 07/01/2013 062713HR 1,619.28 Invoice: 13-Jul-01 Pers Retiree Reimb 1,619.28 10140200 435500 Retiree Insurance CHECK 9875 TOTAL: 1,619.2806/26/2013 17:10 |CULVER CITY |PG 13 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9876 06/26/2013 EFT 106954 Jerry M Dalven 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9876 TOTAL: 255.43 9877 06/26/2013 EFT 107131 Barbara Daniels-Dier 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 9877 TOTAL: 255.43 9878 06/26/2013 EFT 107223 Henry Davies 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 9878 TOTAL: 1,197.90 9879 06/26/2013 EFT 106969 James S Davis 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160100 435500 Retiree Insurance CHECK 9879 TOTAL: 255.43 9880 06/26/2013 EFT 106955 Kathy Davis 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 10160100 435500 Retiree Insurance CHECK 9880 TOTAL: 387.40 9881 06/26/2013 EFT 106970 Miles T Davis 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20370200 435500 Retiree Insurance CHECK 9881 TOTAL: 173.37 9882 06/26/2013 EFT 107745 Robert De La Puente 13-Jul-01 07/01/2013 062713HR 1,265.61 Invoice: 13-Jul-01 Pers Retiree Reimb 1,265.61 10145200 435500 Retiree Insurance CHECK 9882 TOTAL: 1,265.6106/26/2013 17:10 |CULVER CITY |PG 14 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9883 06/26/2013 EFT 106956 Jewel A Deadmon 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20370200 435500 Retiree Insurance CHECK 9883 TOTAL: 173.37 9884 06/26/2013 EFT 106971 Joan J Dean 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10114100 435500 Retiree Insurance CHECK 9884 TOTAL: 210.74 9885 06/26/2013 EFT 106958 Loran D Decker 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145700 435500 Retiree Insurance CHECK 9885 TOTAL: 255.43 9886 06/26/2013 EFT 107179 Manfred Deimel 13-Jul-01 07/01/2013 062713HR 443.09 Invoice: 13-Jul-01 Pers Retiree Reimb 443.09 10150500 435500 Retiree Insurance CHECK 9886 TOTAL: 443.09 9887 06/26/2013 EFT 106972 Carol L Delay 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10150200 435500 Retiree Insurance CHECK 9887 TOTAL: 536.48 9888 06/26/2013 EFT 107128 Maria Desouza 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10150150 435500 Retiree Insurance CHECK 9888 TOTAL: 210.74 9889 06/26/2013 EFT 107132 Kay Deveux 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 9889 TOTAL: 210.7406/26/2013 17:10 |CULVER CITY |PG 15 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9890 06/26/2013 EFT 106973 Robert W Dewberry 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10145200 435500 Retiree Insurance CHECK 9890 TOTAL: 973.00 9891 06/26/2013 EFT 107149 Joi Ana Dickerson 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10140200 435500 Retiree Insurance CHECK 9891 TOTAL: 1,336.03 9892 06/26/2013 EFT 106964 Gilda T Dimalanta 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10114400 435500 Retiree Insurance CHECK 9892 TOTAL: 173.37 9893 06/26/2013 EFT 106975 Clarence J Dixon Jr 13-Jul-01 07/01/2013 062713HR 675.77 Invoice: 13-Jul-01 Pers Retiree Reimb 675.77 10130110 435500 Retiree Insurance CHECK 9893 TOTAL: 675.77 9894 06/26/2013 EFT 106966 Dan Dodd 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 20370200 435500 Retiree Insurance CHECK 9894 TOTAL: 625.86 9895 06/26/2013 EFT 106976 John R Dodt 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9895 TOTAL: 255.43 9896 06/26/2013 EFT 106987 Peter J Donohue 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10150150 435500 Retiree Insurance CHECK 9896 TOTAL: 536.4806/26/2013 17:10 |CULVER CITY |PG 16 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9897 06/26/2013 EFT 106978 Keith B Dorrity 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10114400 435500 Retiree Insurance CHECK 9897 TOTAL: 1,412.40 9898 06/26/2013 EFT 106988 Willie G Duncan 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10140200 435500 Retiree Insurance CHECK 9898 TOTAL: 536.48 9899 06/26/2013 EFT 106979 Wallace E Duval 13-Jul-01 07/01/2013 062713HR 1,267.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,267.00 10140200 435500 Retiree Insurance CHECK 9899 TOTAL: 1,267.00 9900 06/26/2013 EFT 107224 Jeffry I. Eastman 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10145200 435500 Retiree Insurance CHECK 9900 TOTAL: 1,197.90 9901 06/26/2013 EFT 107553 Ebert , Glenn L 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10145200 435500 Retiree Insurance CHECK 9901 TOTAL: 461.74 9902 06/26/2013 EFT 106980 Eiko Ebesu 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10150200 435500 Retiree Insurance CHECK 9902 TOTAL: 536.48 9903 06/26/2013 EFT 106989 Billie Eddings 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 20370200 435500 Retiree Insurance CHECK 9903 TOTAL: 146.3206/26/2013 17:10 |CULVER CITY |PG 17 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9904 06/26/2013 EFT 106981 Bob Edwards 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 20260410 435500 Retiree Insurance CHECK 9904 TOTAL: 210.74 9905 06/26/2013 EFT 106990 Colleen Egbert 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10150120 435500 Retiree Insurance CHECK 9905 TOTAL: 210.74 9906 06/26/2013 EFT 106982 Arnold C Egle 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 9906 TOTAL: 255.43 9907 06/26/2013 EFT 106991 Alan S Elias 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10140200 435500 Retiree Insurance CHECK 9907 TOTAL: 798.20 9908 06/26/2013 EFT 106775 Alison Ellner 13-Jul-01 07/01/2013 062713HR 466.00 Invoice: 13-Jul-01 Pers Retiree Reimb 466.00 10140200 435500 Retiree Insurance CHECK 9908 TOTAL: 466.00 9909 06/26/2013 EFT 106983 Don H Ericsson 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9909 TOTAL: 255.43 9910 06/26/2013 EFT 106992 Rufino R Escarcega 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160230 435500 Retiree Insurance CHECK 9910 TOTAL: 173.3706/26/2013 17:10 |CULVER CITY |PG 18 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9911 06/26/2013 EFT 106984 Susan B Evanns 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9911 TOTAL: 255.43 9912 06/26/2013 EFT 107120 Susan R Evans 13-Jul-01 07/01/2013 062713HR 822.04 Invoice: 13-Jul-01 Pers Retiree Reimb 822.04 10150100 435500 Retiree Insurance CHECK 9912 TOTAL: 822.04 9913 06/26/2013 EFT 106994 Edward Evans 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 10145200 435500 Retiree Insurance CHECK 9913 TOTAL: 964.95 9914 06/26/2013 EFT 107746 Carl Everett 13-Jul-01 07/01/2013 062713HR 860.16 Invoice: 13-Jul-01 Pers Retiree Reimb 860.16 10140200 435500 Retiree Insurance CHECK 9914 TOTAL: 860.16 9915 06/26/2013 EFT 106985 Deborah A Fancett 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10110100 435500 Retiree Insurance CHECK 9915 TOTAL: 798.20 9916 06/26/2013 EFT 106995 George E Farias 13-Jul-01 07/01/2013 062713HR 810.00 Invoice: 13-Jul-01 Pers Retiree Reimb 810.00 10145200 435500 Retiree Insurance CHECK 9916 TOTAL: 810.00 9917 06/26/2013 EFT 106986 Douglas P Fein 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10145200 435500 Retiree Insurance CHECK 9917 TOTAL: 973.0006/26/2013 17:10 |CULVER CITY |PG 19 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9918 06/26/2013 EFT 106996 Robert J Finch 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10145200 435500 Retiree Insurance CHECK 9918 TOTAL: 625.86 9919 06/26/2013 EFT 107681 John Fisanotti 13-Jul-01 07/01/2013 062713HR 839.56 Invoice: 13-Jul-01 Pers Retiree Reimb 839.56 10150120 435500 Retiree Insurance CHECK 9919 TOTAL: 839.56 9920 06/26/2013 EFT 107747 Brian J. Fitzpatrick 13-Jul-01 07/01/2013 062713HR 1,160.16 Invoice: 13-Jul-01 Pers Retiree Reimb 1,160.16 10140200 435500 Retiree Insurance CHECK 9920 TOTAL: 1,160.16 9921 06/26/2013 EFT 107004 Seth D Fogel 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10140200 435500 Retiree Insurance CHECK 9921 TOTAL: 1,412.40 9922 06/26/2013 EFT 107822 Gong Fong 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 9922 TOTAL: 1,197.90 9923 06/26/2013 EFT 107150 Gary D. Ford 13-Jul-01 07/01/2013 062713HR 637.47 Invoice: 13-Jul-01 Pers Retiree Reimb 637.47 10130300 435500 Retiree Insurance CHECK 9923 TOTAL: 637.47 9924 06/26/2013 EFT 106997 James C Forte 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145600 435500 Retiree Insurance CHECK 9924 TOTAL: 536.4806/26/2013 17:10 |CULVER CITY |PG 20 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9925 06/26/2013 EFT 107005 Mark O Foss 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10160220 435500 Retiree Insurance CHECK 9925 TOTAL: 461.74 9926 06/26/2013 EFT 106998 Paul E Francis 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145600 435500 Retiree Insurance CHECK 9926 TOTAL: 536.48 9927 06/26/2013 EFT 107006 William S Frazier 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10145200 435500 Retiree Insurance CHECK 9927 TOTAL: 173.37 9928 06/26/2013 EFT 107007 Carl D Friend 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 9928 TOTAL: 255.43 9929 06/26/2013 EFT 107109 Brian Fujita 13-Jul-01 07/01/2013 062713HR 889.80 Invoice: 13-Jul-01 Pers Retiree Reimb 889.80 30870400 435500 Retiree Insurance CHECK 9929 TOTAL: 889.80 9930 06/26/2013 EFT 107176 Jerry Fulwood 13-Jul-01 07/01/2013 062713HR 1,087.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,087.40 10110100 435500 Retiree Insurance CHECK 9930 TOTAL: 1,087.40 9931 06/26/2013 EFT 107212 Mildred Gadlin 13-Jul-01 07/01/2013 062713HR 636.23 Invoice: 13-Jul-01 Pers Retiree Reimb 636.23 20370200 435500 Retiree Insurance CHECK 9931 TOTAL: 636.2306/26/2013 17:10 |CULVER CITY |PG 21 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9932 06/26/2013 EFT 107009 Linda Gaisford 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9932 TOTAL: 255.43 9933 06/26/2013 EFT 107001 Ricki E Galgano 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10113100 435500 Retiree Insurance CHECK 9933 TOTAL: 461.74 9934 06/26/2013 EFT 107225 Richard Gallagher 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10145600 435500 Retiree Insurance CHECK 9934 TOTAL: 1,001.17 9935 06/26/2013 EFT 107151 Marie Galli 13-Jul-01 07/01/2013 062713HR 443.09 Invoice: 13-Jul-01 Pers Retiree Reimb 443.09 10140200 435500 Retiree Insurance CHECK 9935 TOTAL: 443.09 9936 06/26/2013 EFT 107002 James V Gatlin 13-Jul-01 07/01/2013 062713HR 690.31 Invoice: 13-Jul-01 Pers Retiree Reimb 690.31 10140200 435500 Retiree Insurance CHECK 9936 TOTAL: 690.31 9937 06/26/2013 EFT 107010 Mark H Gauerke 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 20260400 435500 Retiree Insurance CHECK 9937 TOTAL: 461.74 9938 06/26/2013 EFT 107134 Leslie Geriminsky 13-Jul-01 07/01/2013 062713HR 436.95 Invoice: 13-Jul-01 Pers Retiree Reimb 436.95 10140200 435500 Retiree Insurance CHECK 9938 TOTAL: 436.9506/26/2013 17:10 |CULVER CITY |PG 22 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9939 06/26/2013 EFT 106776 Carolyn Germind 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10145200 435500 Retiree Insurance CHECK 9939 TOTAL: 210.74 9940 06/26/2013 EFT 107127 Lois E Gibson 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 9940 TOTAL: 255.43 9941 06/26/2013 EFT 107152 Elaine Gil de Leon 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10150120 435500 Retiree Insurance CHECK 9941 TOTAL: 1,001.17 9942 06/26/2013 EFT 107012 James L Gilbert 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10145200 435500 Retiree Insurance CHECK 9942 TOTAL: 625.86 9943 06/26/2013 EFT 107013 James S Gillette 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10140200 435500 Retiree Insurance CHECK 9943 TOTAL: 461.74 9944 06/26/2013 EFT 107027 Helen K Golbin 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10110100 435500 Retiree Insurance CHECK 9944 TOTAL: 173.37 9945 06/26/2013 EFT 106777 Luciano Gonzales 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 20260400 435500 Retiree Insurance CHECK 9945 TOTAL: 387.4006/26/2013 17:10 |CULVER CITY |PG 23 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9946 06/26/2013 EFT 107014 Kenneth D Good 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 10130400 435500 Retiree Insurance CHECK 9946 TOTAL: 146.32 9947 06/26/2013 EFT 107554 Goodwin, Phyllis V 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160210 435500 Retiree Insurance CHECK 9947 TOTAL: 173.37 9948 06/26/2013 EFT 107600 Emery Gordon 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 20370200 435500 Retiree Insurance CHECK 9948 TOTAL: 1,001.17 9949 06/26/2013 EFT 107153 Rosalie Sederoff Gotz 13-Jul-01 07/01/2013 062713HR 432.90 Invoice: 13-Jul-01 Pers Retiree Reimb 432.90 10130400 435500 Retiree Insurance CHECK 9949 TOTAL: 432.90 9950 06/26/2013 EFT 107226 Kieran Graner 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10145200 435500 Retiree Insurance CHECK 9950 TOTAL: 1,197.90 9951 06/26/2013 EFT 107796 Willie B. Griffin 13-Jul-01 07/01/2013 062713HR 860.16 Invoice: 13-Jul-01 Pers Retiree Reimb 860.16 10140200 435500 Retiree Insurance CHECK 9951 TOTAL: 860.16 9952 06/26/2013 EFT 107030 Susie M Grimaldi 13-Jul-01 07/01/2013 062713HR 1,338.27 Invoice: 13-Jul-01 Pers Retiree Reimb 1,338.27 10140200 435500 Retiree Insurance CHECK 9952 TOTAL: 1,338.2706/26/2013 17:10 |CULVER CITY |PG 24 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9953 06/26/2013 EFT 107180 Carol Gross 13-Jul-01 07/01/2013 062713HR 194.45 Invoice: 13-Jul-01 Pers Retiree Reimb 194.45 10110000 435500 Retiree Insurance CHECK 9953 TOTAL: 194.45 9954 06/26/2013 EFT 107016 Jose Gutierrez 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160210 435500 Retiree Insurance CHECK 9954 TOTAL: 255.43 9955 06/26/2013 EFT 107017 Mark R Hagen 13-Jul-01 07/01/2013 062713HR 1,172.86 Invoice: 13-Jul-01 Pers Retiree Reimb 1,172.86 10140200 435500 Retiree Insurance CHECK 9955 TOTAL: 1,172.86 9956 06/26/2013 EFT 107031 Bert Haggerty 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 20260400 435500 Retiree Insurance CHECK 9956 TOTAL: 461.74 9957 06/26/2013 EFT 106753 Jewel Hall 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10145200 435500 Retiree Insurance CHECK 9957 TOTAL: 210.74 9958 06/26/2013 EFT 107018 Kevin K Hall 13-Jul-01 07/01/2013 062713HR 1,267.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,267.00 10140200 435500 Retiree Insurance CHECK 9958 TOTAL: 1,267.00 9959 06/26/2013 EFT 107154 Steven Handshaw 13-Jul-01 07/01/2013 062713HR 194.45 Invoice: 13-Jul-01 Pers Retiree Reimb 194.45 20370200 435500 Retiree Insurance CHECK 9959 TOTAL: 194.4506/26/2013 17:10 |CULVER CITY |PG 25 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9960 06/26/2013 EFT 107155 Kathryn E. Haney 13-Jul-01 07/01/2013 062713HR 496.73 Invoice: 13-Jul-01 Pers Retiree Reimb 496.73 10130200 435500 Retiree Insurance CHECK 9960 TOTAL: 496.73 9961 06/26/2013 EFT 107032 Thomas H Haney 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10145200 435500 Retiree Insurance CHECK 9961 TOTAL: 173.37 9962 06/26/2013 EFT 107021 John J Hanna 13-Jul-01 07/01/2013 062713HR 472.46 Invoice: 13-Jul-01 Pers Retiree Reimb 472.46 10140200 435500 Retiree Insurance CHECK 9962 TOTAL: 472.46 9963 06/26/2013 EFT 107823 Paul K. Harada 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10140200 435500 Retiree Insurance CHECK 9963 TOTAL: 918.60 9964 06/26/2013 EFT 106727 Mary A. Harrington 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10160210 435500 Retiree Insurance CHECK 9964 TOTAL: 625.86 9965 06/26/2013 EFT 107033 Walter Harris 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10110100 435500 Retiree Insurance CHECK 9965 TOTAL: 625.86 9966 06/26/2013 EFT 107181 Cynthia Hart 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10114200 435500 Retiree Insurance CHECK 9966 TOTAL: 362.2806/26/2013 17:10 |CULVER CITY |PG 26 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9967 06/26/2013 EFT 107034 Harry Hartinian 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 9967 TOTAL: 255.43 9968 06/26/2013 EFT 107035 Kurt H Hathaway 13-Jul-01 07/01/2013 062713HR 946.50 Invoice: 13-Jul-01 Pers Retiree Reimb 946.50 10145300 435500 Retiree Insurance CHECK 9968 TOTAL: 946.50 9969 06/26/2013 EFT 106784 Charles Hayes 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 10140200 435500 Retiree Insurance CHECK 9969 TOTAL: 387.40 9970 06/26/2013 EFT 107748 Ray Hendrick 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10145200 435500 Retiree Insurance CHECK 9970 TOTAL: 918.60 9971 06/26/2013 EFT 107047 Eduard T Henneberque 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10140200 435500 Retiree Insurance CHECK 9971 TOTAL: 973.00 9972 06/26/2013 EFT 107038 Floyd G Hensman 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10140200 435500 Retiree Insurance CHECK 9972 TOTAL: 625.86 9973 06/26/2013 EFT 107048 Ruben T Heredia 13-Jul-01 07/01/2013 062713HR 946.50 Invoice: 13-Jul-01 Pers Retiree Reimb 946.50 20460300 435500 Retiree Insurance CHECK 9973 TOTAL: 946.5006/26/2013 17:10 |CULVER CITY |PG 27 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9974 06/26/2013 EFT 107039 Michael L Hewitt 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160210 435500 Retiree Insurance CHECK 9974 TOTAL: 173.37 9975 06/26/2013 EFT 107156 Elaine Hirohama 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10113100 435500 Retiree Insurance CHECK 9975 TOTAL: 1,336.03 9976 06/26/2013 EFT 107049 Michael R Hodge 13-Jul-01 07/01/2013 062713HR 1,778.19 Invoice: 13-Jul-01 Pers Retiree Reimb 1,778.19 30922200 435500 Retiree Insurance CHECK 9976 TOTAL: 1,778.19 9977 06/26/2013 EFT 107050 Douglas G Holiday 13-Jul-01 07/01/2013 062713HR 466.00 Invoice: 13-Jul-01 Pers Retiree Reimb 466.00 10140200 435500 Retiree Insurance CHECK 9977 TOTAL: 466.00 9978 06/26/2013 EFT 107184 Stanley B. Holland 13-Jul-01 07/01/2013 062713HR 839.56 Invoice: 13-Jul-01 Pers Retiree Reimb 839.56 20370200 435500 Retiree Insurance CHECK 9978 TOTAL: 839.56 9979 06/26/2013 EFT 107041 Terry M Holt 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10145200 435500 Retiree Insurance CHECK 9979 TOTAL: 798.20 9980 06/26/2013 EFT 107723 Kenneth L. Hoover 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10145200 435500 Retiree Insurance CHECK 9980 TOTAL: 1,197.9006/26/2013 17:10 |CULVER CITY |PG 28 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9981 06/26/2013 EFT 107051 Gary V Hoover 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 9981 TOTAL: 536.48 9982 06/26/2013 EFT 107042 David E Hopkins 13-Jul-01 07/01/2013 062713HR 1,059.92 Invoice: 13-Jul-01 Pers Retiree Reimb 1,059.92 10160240 435500 Retiree Insurance CHECK 9982 TOTAL: 1,059.92 9983 06/26/2013 EFT 107197 Ida R. Hosey 13-Jul-01 07/01/2013 062713HR 601.50 Invoice: 13-Jul-01 Pers Retiree Reimb 601.50 10140200 435500 Retiree Insurance CHECK 9983 TOTAL: 601.50 9984 06/26/2013 EFT 107052 Terry J Houlihan 13-Jul-01 07/01/2013 062713HR 1,059.92 Invoice: 13-Jul-01 Pers Retiree Reimb 1,059.92 30870400 435500 Retiree Insurance CHECK 9984 TOTAL: 1,059.92 9985 06/26/2013 EFT 107053 Curtis F Hull 13-Jul-01 07/01/2013 062713HR 1,341.30 Invoice: 13-Jul-01 Pers Retiree Reimb 1,341.30 10145200 435500 Retiree Insurance CHECK 9985 TOTAL: 1,341.30 9986 06/26/2013 EFT 106733 Wilma Hurley 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 9986 TOTAL: 255.43 9987 06/26/2013 EFT 107110 Gerald A Ichien 13-Jul-01 07/01/2013 062713HR 1,195.95 Invoice: 13-Jul-01 Pers Retiree Reimb 1,195.95 10150120 435500 Retiree Insurance CHECK 9987 TOTAL: 1,195.9506/26/2013 17:10 |CULVER CITY |PG 29 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9988 06/26/2013 EFT 107174 Lillian Ikeda 13-Jul-01 07/01/2013 062713HR 752.54 Invoice: 13-Jul-01 Pers Retiree Reimb 752.54 10150500 435500 Retiree Insurance CHECK 9988 TOTAL: 752.54 9989 06/26/2013 EFT 107043 Michael A Iler 13-Jul-01 07/01/2013 062713HR 505.49 Invoice: 13-Jul-01 Pers Retiree Reimb 505.49 10145200 435500 Retiree Insurance CHECK 9989 TOTAL: 505.49 9990 06/26/2013 EFT 107054 Gerry Inai 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 30870400 435500 Retiree Insurance CHECK 9990 TOTAL: 387.40 9991 06/26/2013 EFT 107044 Danny E Irvin 13-Jul-01 07/01/2013 062713HR 1,104.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,104.00 10140200 435500 Retiree Insurance CHECK 9991 TOTAL: 1,104.00 9992 06/26/2013 EFT 107055 Stanley L Isbell 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10145200 435500 Retiree Insurance CHECK 9992 TOTAL: 461.74 9993 06/26/2013 EFT 107056 Paul A Jacobs 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10110000 435500 Retiree Insurance CHECK 9993 TOTAL: 625.86 9994 06/26/2013 EFT 107057 Herman L Jamar 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 30870400 435500 Retiree Insurance CHECK 9994 TOTAL: 387.4006/26/2013 17:10 |CULVER CITY |PG 30 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 9995 06/26/2013 EFT 107064 Juan J Jaure 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 20260400 435500 Retiree Insurance CHECK 9995 TOTAL: 625.86 9996 06/26/2013 EFT 107191 Burt Johnson 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 20370200 435500 Retiree Insurance CHECK 9996 TOTAL: 1,125.93 9997 06/26/2013 EFT 107202 William Johnson 13-Jul-01 07/01/2013 062713HR 601.50 Invoice: 13-Jul-01 Pers Retiree Reimb 601.50 20260400 435500 Retiree Insurance CHECK 9997 TOTAL: 601.50 9998 06/26/2013 EFT 106736 Bernice Jones 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 20370200 435500 Retiree Insurance CHECK 9998 TOTAL: 210.74 9999 06/26/2013 EFT 107111 Darryl Jones 13-Jul-01 07/01/2013 062713HR 415.75 Invoice: 13-Jul-01 Pers Retiree Reimb 415.75 10140200 435500 Retiree Insurance CHECK 9999 TOTAL: 415.75 10000 06/26/2013 EFT 107157 Camille Jones 13-Jul-01 07/01/2013 062713HR 144.30 Invoice: 13-Jul-01 Pers Retiree Reimb 144.30 10130400 435500 Retiree Insurance CHECK 10000 TOTAL: 144.30 10001 06/26/2013 EFT 107058 Carolyn E Jones 13-Jul-01 07/01/2013 062713HR 415.75 Invoice: 13-Jul-01 Pers Retiree Reimb 415.75 10150200 435500 Retiree Insurance CHECK 10001 TOTAL: 415.7506/26/2013 17:10 |CULVER CITY |PG 31 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10002 06/26/2013 EFT 107065 Harry D Jones 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10110100 435500 Retiree Insurance CHECK 10002 TOTAL: 625.86 10003 06/26/2013 EFT 107059 James W Jones 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 20370200 435500 Retiree Insurance CHECK 10003 TOTAL: 210.74 10004 06/26/2013 EFT 107158 Sherry J. Jordan 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10150200 435500 Retiree Insurance CHECK 10004 TOTAL: 362.28 10005 06/26/2013 EFT 107066 Anthony Joubert 13-Jul-01 07/01/2013 062713HR 1,341.30 Invoice: 13-Jul-01 Pers Retiree Reimb 1,341.30 10140200 435500 Retiree Insurance CHECK 10005 TOTAL: 1,341.30 10006 06/26/2013 EFT 107187 Sonia Karroum 13-Jul-01 07/01/2013 062713HR 636.23 Invoice: 13-Jul-01 Pers Retiree Reimb 636.23 10150250 435500 Retiree Insurance CHECK 10006 TOTAL: 636.23 10007 06/26/2013 EFT 107067 Elisabeth Kassan 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10130400 435500 Retiree Insurance CHECK 10007 TOTAL: 255.43 10008 06/26/2013 EFT 107060 Joan Z Kassan 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10110100 435500 Retiree Insurance CHECK 10008 TOTAL: 625.8606/26/2013 17:10 |CULVER CITY |PG 32 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10009 06/26/2013 EFT 107068 Jo A Kaufman 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 10009 TOTAL: 210.74 10010 06/26/2013 EFT 107069 John Kendra Jr 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10145200 435500 Retiree Insurance CHECK 10010 TOTAL: 625.86 10011 06/26/2013 EFT 106772 Theresa Kennedy 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 10140200 435500 Retiree Insurance CHECK 10011 TOTAL: 613.15 10012 06/26/2013 EFT 106761 Marjory Kinderman 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 10012 TOTAL: 255.43 10013 06/26/2013 EFT 101082 Sharon King 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10114300 435500 Retiree Insurance CHECK 10013 TOTAL: 1,125.93 10014 06/26/2013 EFT 107061 David R Kinninger 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 10014 TOTAL: 536.48 10015 06/26/2013 EFT 107236 Kevin J. Kinnon 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10145200 435500 Retiree Insurance CHECK 10015 TOTAL: 1,197.9006/26/2013 17:10 |CULVER CITY |PG 33 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10016 06/26/2013 EFT 107062 Welton U Knadle 13-Jul-01 07/01/2013 062713HR 407.64 Invoice: 13-Jul-01 Pers Retiree Reimb 407.64 10140200 435500 Retiree Insurance CHECK 10016 TOTAL: 407.64 10017 06/26/2013 EFT 107072 Mary D Knight 13-Jul-01 07/01/2013 062713HR 256.89 Invoice: 13-Jul-01 Pers Retiree Reimb 256.89 10150200 435500 Retiree Insurance CHECK 10017 TOTAL: 256.89 10018 06/26/2013 EFT 107063 Donald M Konishi 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 30870400 435500 Retiree Insurance CHECK 10018 TOTAL: 625.86 10019 06/26/2013 EFT 107074 Nikolas A Kontaratos 13-Jul-01 07/01/2013 062713HR 1,559.22 Invoice: 13-Jul-01 Pers Retiree Reimb 1,559.22 10140200 435500 Retiree Insurance CHECK 10019 TOTAL: 1,559.22 10020 06/26/2013 EFT 107075 Joyce R Kotler 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10122100 435500 Retiree Insurance CHECK 10020 TOTAL: 625.86 10021 06/26/2013 EFT 107085 Ted N Krauss 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10140200 435500 Retiree Insurance CHECK 10021 TOTAL: 536.48 10022 06/26/2013 EFT 107076 Richard J Krekemeyer 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10124100 435500 Retiree Insurance CHECK 10022 TOTAL: 210.7406/26/2013 17:10 |CULVER CITY |PG 34 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10023 06/26/2013 EFT 107086 Sydney Kronenthal 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10130100 435500 Retiree Insurance CHECK 10023 TOTAL: 173.37 10024 06/26/2013 EFT 107749 Martin Kutylo 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10145200 435500 Retiree Insurance CHECK 10024 TOTAL: 1,197.90 10025 06/26/2013 EFT 107077 Roy G Lackey 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 20370200 435500 Retiree Insurance CHECK 10025 TOTAL: 461.74 10026 06/26/2013 EFT 107121 Frank LaFlamme 13-Jul-01 07/01/2013 062713HR 881.00 Invoice: 13-Jul-01 Pers Retiree Reimb 881.00 10140200 435500 Retiree Insurance CHECK 10026 TOTAL: 881.00 10027 06/26/2013 EFT 106734 Carol Laford 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10160210 435500 Retiree Insurance CHECK 10027 TOTAL: 210.74 10028 06/26/2013 EFT 107087 Lorraine J Lane 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10124200 435500 Retiree Insurance CHECK 10028 TOTAL: 210.74 10029 06/26/2013 EFT 107203 Claude Lanier 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 20370200 435500 Retiree Insurance CHECK 10029 TOTAL: 1,125.9306/26/2013 17:10 |CULVER CITY |PG 35 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10030 06/26/2013 EFT 107178 William LaPointe 13-Jul-01 07/01/2013 062713HR 893.43 Invoice: 13-Jul-01 Pers Retiree Reimb 893.43 10130100 435500 Retiree Insurance CHECK 10030 TOTAL: 893.43 10031 06/26/2013 EFT 107141 Naomi R Lathrop 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160150 435500 Retiree Insurance CHECK 10031 TOTAL: 173.37 10032 06/26/2013 EFT 107088 James Lavery 13-Jul-01 07/01/2013 062713HR 1,059.92 Invoice: 13-Jul-01 Pers Retiree Reimb 1,059.92 10114100 435500 Retiree Insurance CHECK 10032 TOTAL: 1,059.92 10033 06/26/2013 EFT 102219 Grace M. Lawrence 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10114300 435500 Retiree Insurance CHECK 10033 TOTAL: 362.28 10034 06/26/2013 EFT 107079 Al L Lawrence 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 10140200 435500 Retiree Insurance CHECK 10034 TOTAL: 613.15 10035 06/26/2013 EFT 107089 Richard H Lebsock 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 30870400 435500 Retiree Insurance CHECK 10035 TOTAL: 173.37 10036 06/26/2013 EFT 107080 Karl Lee 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10124100 435500 Retiree Insurance CHECK 10036 TOTAL: 625.8606/26/2013 17:10 |CULVER CITY |PG 36 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10037 06/26/2013 EFT 107160 Margarita M. Lee 13-Jul-01 07/01/2013 062713HR 752.54 Invoice: 13-Jul-01 Pers Retiree Reimb 752.54 10114500 435500 Retiree Insurance CHECK 10037 TOTAL: 752.54 10038 06/26/2013 EFT 107090 Philip K Lee 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10150200 435500 Retiree Insurance CHECK 10038 TOTAL: 536.48 10039 06/26/2013 EFT 107081 Juan H Lelcesona 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20370200 435500 Retiree Insurance CHECK 10039 TOTAL: 173.37 10040 06/26/2013 EFT 107161 Heustace Lewis 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10160200 435500 Retiree Insurance CHECK 10040 TOTAL: 1,125.93 10041 06/26/2013 EFT 107091 Alice Lieberman 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10114400 435500 Retiree Insurance CHECK 10041 TOTAL: 255.43 10042 06/26/2013 EFT 107082 Andrea E Liedtke 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10124200 435500 Retiree Insurance CHECK 10042 TOTAL: 255.43 10043 06/26/2013 EFT 106793 Linda Bonfiglio-Sutton 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10150200 435500 Retiree Insurance CHECK 10043 TOTAL: 798.2006/26/2013 17:10 |CULVER CITY |PG 37 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10044 06/26/2013 EFT 107083 Edward A Linder 13-Jul-01 07/01/2013 062713HR 977.21 Invoice: 13-Jul-01 Pers Retiree Reimb 977.21 10130400 435500 Retiree Insurance CHECK 10044 TOTAL: 977.21 10045 06/26/2013 EFT 107093 Margaret M Liu 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10150120 435500 Retiree Insurance CHECK 10045 TOTAL: 1,412.40 10046 06/26/2013 EFT 107084 Joseph Loggia 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10140200 435500 Retiree Insurance CHECK 10046 TOTAL: 1,412.40 10047 06/26/2013 EFT 106786 Eva A. Lopez 13-Jul-01 07/01/2013 062713HR 1,209.33 Invoice: 13-Jul-01 Pers Retiree Reimb 1,209.33 30870400 435500 Retiree Insurance CHECK 10047 TOTAL: 1,209.33 10048 06/26/2013 EFT 107204 Vinh Low 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10150250 435500 Retiree Insurance CHECK 10048 TOTAL: 1,001.17 10049 06/26/2013 EFT 107122 Sarah Lowery 13-Jul-01 07/01/2013 062713HR 675.77 Invoice: 13-Jul-01 Pers Retiree Reimb 675.77 20260400 435500 Retiree Insurance CHECK 10049 TOTAL: 675.77 10050 06/26/2013 EFT 107094 Joe B Mabrie 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10130300 435500 Retiree Insurance CHECK 10050 TOTAL: 173.3706/26/2013 17:10 |CULVER CITY |PG 38 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10051 06/26/2013 EFT 106699 Hellen Mabry-Matlock 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10114400 435500 Retiree Insurance CHECK 10051 TOTAL: 173.37 10052 06/26/2013 EFT 106700 Fredrick R Machado Jr 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20260400 435500 Retiree Insurance CHECK 10052 TOTAL: 173.37 10053 06/26/2013 EFT 106808 Manuel Madrid 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10130300 435500 Retiree Insurance CHECK 10053 TOTAL: 173.37 10054 06/26/2013 EFT 106702 Michael Maggio 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10140200 435500 Retiree Insurance CHECK 10054 TOTAL: 973.00 10055 06/26/2013 EFT 106810 Barry L Major 13-Jul-01 07/01/2013 062713HR 1,123.94 Invoice: 13-Jul-01 Pers Retiree Reimb 1,123.94 10160150 435500 Retiree Insurance CHECK 10055 TOTAL: 1,123.94 10056 06/26/2013 EFT 106811 Richard L Manuel 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10145200 435500 Retiree Insurance CHECK 10056 TOTAL: 798.20 10057 06/26/2013 EFT 107177 Martha Manzano 13-Jul-01 07/01/2013 062713HR 133.25 Invoice: 13-Jul-01 Pers Retiree Reimb 133.25 10150250 435500 Retiree Insurance CHECK 10057 TOTAL: 133.2506/26/2013 17:10 |CULVER CITY |PG 39 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10058 06/26/2013 EFT 106759 Ronald L Marcuse 13-Jul-01 07/01/2013 062713HR 732.32 Invoice: 13-Jul-01 Pers Retiree Reimb 732.32 10145200 435500 Retiree Insurance CHECK 10058 TOTAL: 732.32 10059 06/26/2013 EFT 107797 Douglas Marks 13-Jul-01 07/01/2013 062713HR 860.16 Invoice: 13-Jul-01 Pers Retiree Reimb 860.16 10140200 435500 Retiree Insurance CHECK 10059 TOTAL: 860.16 10060 06/26/2013 EFT 107218 Don Marquardt 13-Jul-01 07/01/2013 062713HR 158.95 Invoice: 13-Jul-01 Pers Retiree Reimb 158.95 10130300 435500 Retiree Insurance CHECK 10060 TOTAL: 158.95 10061 06/26/2013 EFT 107196 Santos D. Marquez 13-Jul-01 07/01/2013 062713HR 893.43 Invoice: 13-Jul-01 Pers Retiree Reimb 893.43 10160240 435500 Retiree Insurance CHECK 10061 TOTAL: 893.43 10062 06/26/2013 EFT 106816 John R Marshall 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10140200 435500 Retiree Insurance CHECK 10062 TOTAL: 625.86 10063 06/26/2013 EFT 106763 Gary B Martin 13-Jul-01 07/01/2013 062713HR 889.80 Invoice: 13-Jul-01 Pers Retiree Reimb 889.80 10140200 435500 Retiree Insurance CHECK 10063 TOTAL: 889.80 10064 06/26/2013 EFT 106822 Victoria A Martinez 13-Jul-01 07/01/2013 062713HR 407.64 Invoice: 13-Jul-01 Pers Retiree Reimb 407.64 10150200 435500 Retiree Insurance CHECK 10064 TOTAL: 407.6406/26/2013 17:10 |CULVER CITY |PG 40 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10065 06/26/2013 EFT 106766 Vilma R Martinez 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10130400 435500 Retiree Insurance CHECK 10065 TOTAL: 625.86 10066 06/26/2013 EFT 107135 Melody Massey 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 10066 TOTAL: 1,197.90 10067 06/26/2013 EFT 106824 Russell N Matheson 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10145200 435500 Retiree Insurance CHECK 10067 TOTAL: 625.86 10068 06/26/2013 EFT 106754 Vivian Matheson 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 10068 TOTAL: 255.43 10069 06/26/2013 EFT 106798 Sue Matsuda 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 30922200 435500 Retiree Insurance CHECK 10069 TOTAL: 536.48 10070 06/26/2013 EFT 107162 Matsuura Family Trust 13-Jul-01 07/01/2013 062713HR 158.95 Invoice: 13-Jul-01 Pers Retiree Reimb 158.95 10130300 435500 Retiree Insurance CHECK 10070 TOTAL: 158.95 10071 06/26/2013 EFT 106800 Sue A McCabe 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10114400 435500 Retiree Insurance CHECK 10071 TOTAL: 461.7406/26/2013 17:10 |CULVER CITY |PG 41 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10072 06/26/2013 EFT 107219 David McCarthy 13-Jul-01 07/01/2013 062713HR 944.83 Invoice: 13-Jul-01 Pers Retiree Reimb 944.83 10113100 435500 Retiree Insurance CHECK 10072 TOTAL: 944.83 10073 06/26/2013 EFT 106827 Jimmie R McCullough 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 10140200 435500 Retiree Insurance CHECK 10073 TOTAL: 387.40 10074 06/26/2013 EFT 106828 Harry R McDonald 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10145200 435500 Retiree Insurance CHECK 10074 TOTAL: 625.86 10075 06/26/2013 EFT 106788 Michael McEwen 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 10140200 435500 Retiree Insurance CHECK 10075 TOTAL: 613.15 10076 06/26/2013 EFT 107163 Jenelsie A. McLendon 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10113100 435500 Retiree Insurance CHECK 10076 TOTAL: 362.28 10077 06/26/2013 EFT 107227 James McPhillips 13-Jul-01 07/01/2013 062713HR 1,046.47 Invoice: 13-Jul-01 Pers Retiree Reimb 1,046.47 10145300 435500 Retiree Insurance CHECK 10077 TOTAL: 1,046.47 10078 06/26/2013 EFT 106806 Don A Meisenbach 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 10078 TOTAL: 255.4306/26/2013 17:10 |CULVER CITY |PG 42 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10079 06/26/2013 EFT 107164 Mary Anne Mendel 13-Jul-01 07/01/2013 062713HR 503.91 Invoice: 13-Jul-01 Pers Retiree Reimb 503.91 10130300 435500 Retiree Insurance CHECK 10079 TOTAL: 503.91 10080 06/26/2013 EFT 106836 Jan C Mennig 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10140200 435500 Retiree Insurance CHECK 10080 TOTAL: 625.86 10081 06/26/2013 EFT 106870 Dorothy H Meyer 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10130200 435500 Retiree Insurance CHECK 10081 TOTAL: 255.43 10082 06/26/2013 EFT 106871 Charles Miller 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 10082 TOTAL: 536.48 10083 06/26/2013 EFT 106842 Diane L Miller 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10114200 435500 Retiree Insurance CHECK 10083 TOTAL: 255.43 10084 06/26/2013 EFT 107193 Frank Miranda 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160210 435500 Retiree Insurance CHECK 10084 TOTAL: 173.37 10085 06/26/2013 EFT 106843 Roy A Mitchell 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10145200 435500 Retiree Insurance CHECK 10085 TOTAL: 461.7406/26/2013 17:10 |CULVER CITY |PG 43 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10086 06/26/2013 EFT 107165 Miguel J. Molina 13-Jul-01 07/01/2013 062713HR 432.90 Invoice: 13-Jul-01 Pers Retiree Reimb 432.90 10160250 435500 Retiree Insurance CHECK 10086 TOTAL: 432.90 10087 06/26/2013 EFT 106844 Paul G Moncur 13-Jul-01 07/01/2013 062713HR 810.00 Invoice: 13-Jul-01 Pers Retiree Reimb 810.00 10140200 435500 Retiree Insurance CHECK 10087 TOTAL: 810.00 10088 06/26/2013 EFT 106882 Miguel Monjaraz Jr 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 20260400 435500 Retiree Insurance CHECK 10088 TOTAL: 625.86 10089 06/26/2013 EFT 106845 John A Montanio 13-Jul-01 07/01/2013 062713HR 466.00 Invoice: 13-Jul-01 Pers Retiree Reimb 466.00 10140100 435500 Retiree Insurance CHECK 10089 TOTAL: 466.00 10090 06/26/2013 EFT 106883 Elliot J Montes 13-Jul-01 07/01/2013 062713HR 675.77 Invoice: 13-Jul-01 Pers Retiree Reimb 675.77 10114400 435500 Retiree Insurance CHECK 10090 TOTAL: 675.77 10091 06/26/2013 EFT 107112 Michael A Montes 13-Jul-01 07/01/2013 062713HR 889.80 Invoice: 13-Jul-01 Pers Retiree Reimb 889.80 20370200 435500 Retiree Insurance CHECK 10091 TOTAL: 889.80 10092 06/26/2013 EFT 107652 Joseph Montoya 13-Jul-01 07/01/2013 062713HR 552.73 Invoice: 13-Jul-01 Pers Retiree Reimb 552.73 10150200 435500 Retiree Insurance CHECK 10092 TOTAL: 552.7306/26/2013 17:10 |CULVER CITY |PG 44 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10093 06/26/2013 EFT 106846 Thomas H Morgan 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 10140200 435500 Retiree Insurance CHECK 10093 TOTAL: 387.40 10094 06/26/2013 EFT 107136 Chester Morimoto 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10140200 435500 Retiree Insurance CHECK 10094 TOTAL: 918.60 10095 06/26/2013 EFT 106885 Willard F Morton 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10145200 435500 Retiree Insurance CHECK 10095 TOTAL: 173.37 10096 06/26/2013 EFT 106847 Ray R Moselle 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 10096 TOTAL: 255.43 10097 06/26/2013 EFT 106886 Jennifer M Moss 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 20370200 435500 Retiree Insurance CHECK 10097 TOTAL: 613.15 10098 06/26/2013 EFT 106888 William T Mount 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10145200 435500 Retiree Insurance CHECK 10098 TOTAL: 1,412.40 10099 06/26/2013 EFT 107736 Ernst Mulder 13-Jul-01 07/01/2013 062713HR 1,195.95 Invoice: 13-Jul-01 Pers Retiree Reimb 1,195.95 30870400 435500 Retiree Insurance CHECK 10099 TOTAL: 1,195.9506/26/2013 17:10 |CULVER CITY |PG 45 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10100 06/26/2013 EFT 107228 Thomas P. Murphy 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10145200 435500 Retiree Insurance CHECK 10100 TOTAL: 918.60 10101 06/26/2013 EFT 106778 Mark A Nance 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10145200 435500 Retiree Insurance CHECK 10101 TOTAL: 1,412.40 10102 06/26/2013 EFT 106790 Barmha Nand 13-Jul-01 07/01/2013 062713HR 407.64 Invoice: 13-Jul-01 Pers Retiree Reimb 407.64 30870400 435500 Retiree Insurance CHECK 10102 TOTAL: 407.64 10103 06/26/2013 EFT 106908 John Nantroup Jr 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10140200 435500 Retiree Insurance CHECK 10103 TOTAL: 973.00 10104 06/26/2013 EFT 106895 Lewis Nealey 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 10160230 435500 Retiree Insurance CHECK 10104 TOTAL: 387.40 10105 06/26/2013 EFT 106770 Sam Ella Neisler 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160150 435500 Retiree Insurance CHECK 10105 TOTAL: 255.43 10106 06/26/2013 EFT 106909 Marilyn J Nenadov 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10130400 435500 Retiree Insurance CHECK 10106 TOTAL: 536.4806/26/2013 17:10 |CULVER CITY |PG 46 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10107 06/26/2013 EFT 106910 Alfonso F Neri 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 20260400 435500 Retiree Insurance CHECK 10107 TOTAL: 536.48 10108 06/26/2013 EFT 106900 Stephen G Nettle 13-Jul-01 07/01/2013 062713HR 677.07 Invoice: 13-Jul-01 Pers Retiree Reimb 677.07 10140200 435500 Retiree Insurance CHECK 10108 TOTAL: 677.07 10109 06/26/2013 EFT 106902 Stephen H Newton 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160230 435500 Retiree Insurance CHECK 10109 TOTAL: 173.37 10110 06/26/2013 EFT 107173 Marlyss Nicholson 13-Jul-01 07/01/2013 062713HR 1,265.61 Invoice: 13-Jul-01 Pers Retiree Reimb 1,265.61 10130200 435500 Retiree Insurance CHECK 10110 TOTAL: 1,265.61 10111 06/26/2013 EFT 107527 Michael E. Nickerson 13-Jul-01 07/01/2013 062713HR 443.09 Invoice: 13-Jul-01 Pers Retiree Reimb 443.09 10124100 435500 Retiree Insurance CHECK 10111 TOTAL: 443.09 10112 06/26/2013 EFT 106912 Vernon L Nickerson 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10160150 435500 Retiree Insurance CHECK 10112 TOTAL: 625.86 10113 06/26/2013 EFT 106903 Jose M Nieto 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10160150 435500 Retiree Insurance CHECK 10113 TOTAL: 536.4806/26/2013 17:10 |CULVER CITY |PG 47 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10114 06/26/2013 EFT 107229 Jeffrey O. Nisbet 13-Jul-01 07/01/2013 062713HR 1,318.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,318.00 10145200 435500 Retiree Insurance CHECK 10114 TOTAL: 1,318.00 10115 06/26/2013 EFT 106913 Yayeko K Nishina 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10130110 435500 Retiree Insurance CHECK 10115 TOTAL: 173.37 10116 06/26/2013 EFT 106904 Alan C Noot 13-Jul-01 07/01/2013 062713HR 1,778.19 Invoice: 13-Jul-01 Pers Retiree Reimb 1,778.19 10140200 435500 Retiree Insurance CHECK 10116 TOTAL: 1,778.19 10117 06/26/2013 EFT 106755 Irene Norquist 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10114100 435500 Retiree Insurance CHECK 10117 TOTAL: 210.74 10118 06/26/2013 EFT 106738 Maria Nunez 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 20260400 435500 Retiree Insurance CHECK 10118 TOTAL: 387.40 10119 06/26/2013 EFT 106914 Laurie A Ochwat 13-Jul-01 07/01/2013 062713HR 472.46 Invoice: 13-Jul-01 Pers Retiree Reimb 472.46 10110100 435500 Retiree Insurance CHECK 10119 TOTAL: 472.46 10120 06/26/2013 EFT 106773 Ruth Ogle 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10113100 435500 Retiree Insurance CHECK 10120 TOTAL: 173.3706/26/2013 17:10 |CULVER CITY |PG 48 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10121 06/26/2013 EFT 107524 Aram Ohanesian 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10111100 435500 Retiree Insurance CHECK 10121 TOTAL: 1,336.03 10122 06/26/2013 EFT 106915 Alice T Ohta 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10150200 435500 Retiree Insurance CHECK 10122 TOTAL: 210.74 10123 06/26/2013 EFT 107113 Jesus Olivo 13-Jul-01 07/01/2013 062713HR 1,264.95 Invoice: 13-Jul-01 Pers Retiree Reimb 1,264.95 10140200 435500 Retiree Insurance CHECK 10123 TOTAL: 1,264.95 10124 06/26/2013 EFT 106916 Johnny L Olk 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 10124 TOTAL: 536.48 10125 06/26/2013 EFT 107556 Olson, Michael L 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10145200 435500 Retiree Insurance CHECK 10125 TOTAL: 461.74 10126 06/26/2013 EFT 106926 Delfino Orozco 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 20260400 435500 Retiree Insurance CHECK 10126 TOTAL: 461.74 10127 06/26/2013 EFT 106918 Alida A Ostler-Brundo 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10114400 435500 Retiree Insurance CHECK 10127 TOTAL: 798.2006/26/2013 17:10 |CULVER CITY |PG 49 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10128 06/26/2013 EFT 106927 Richard J Ostler 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 10128 TOTAL: 210.74 10129 06/26/2013 EFT 106928 Jessie Oyler 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10150500 435500 Retiree Insurance CHECK 10129 TOTAL: 210.74 10130 06/26/2013 EFT 106919 John D Oyler 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160210 435500 Retiree Insurance CHECK 10130 TOTAL: 173.37 10131 06/26/2013 EFT 106929 Maxmillian G Paetzold 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10160150 435500 Retiree Insurance CHECK 10131 TOTAL: 625.86 10132 06/26/2013 EFT 107125 Monika Palmer 13-Jul-01 07/01/2013 062713HR 256.89 Invoice: 13-Jul-01 Pers Retiree Reimb 256.89 10145200 435500 Retiree Insurance CHECK 10132 TOTAL: 256.89 10133 06/26/2013 EFT 107238 David J. Paroda 13-Jul-01 07/01/2013 062713HR 466.00 Invoice: 13-Jul-01 Pers Retiree Reimb 466.00 10140200 435500 Retiree Insurance CHECK 10133 TOTAL: 466.00 10134 06/26/2013 EFT 106921 Michael G Paul 13-Jul-01 07/01/2013 062713HR 1,107.60 Invoice: 13-Jul-01 Pers Retiree Reimb 1,107.60 10145200 435500 Retiree Insurance CHECK 10134 TOTAL: 1,107.6006/26/2013 17:10 |CULVER CITY |PG 50 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10135 06/26/2013 EFT 106930 Barbara Y Payne 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160240 435500 Retiree Insurance CHECK 10135 TOTAL: 173.37 10136 06/26/2013 EFT 106923 Trinidad Perez 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10130300 435500 Retiree Insurance CHECK 10136 TOTAL: 461.74 10137 06/26/2013 EFT 106932 Carlene Perfetto 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 10137 TOTAL: 210.74 10138 06/26/2013 EFT 107138 Ronald E Perkins 13-Jul-01 07/01/2013 062713HR 1,274.65 Invoice: 13-Jul-01 Pers Retiree Reimb 1,274.65 10140200 435500 Retiree Insurance CHECK 10138 TOTAL: 1,274.65 10139 06/26/2013 EFT 106925 Donald R Perlick 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10114200 435500 Retiree Insurance CHECK 10139 TOTAL: 536.48 10140 06/26/2013 EFT 106935 Bobby M Petel 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 30870400 435500 Retiree Insurance CHECK 10140 TOTAL: 536.48 10141 06/26/2013 EFT 106817 Joan Peterson 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 10141 TOTAL: 536.4806/26/2013 17:10 |CULVER CITY |PG 51 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10142 06/26/2013 EFT 106829 Neil Petzing 13-Jul-01 07/01/2013 062713HR 1,059.92 Invoice: 13-Jul-01 Pers Retiree Reimb 1,059.92 10145200 435500 Retiree Insurance CHECK 10142 TOTAL: 1,059.92 10143 06/26/2013 EFT 106818 Dan L. Phy 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 10143 TOTAL: 536.48 10144 06/26/2013 EFT 106741 Ellen Plach 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20260400 435500 Retiree Insurance CHECK 10144 TOTAL: 173.37 10145 06/26/2013 EFT 106830 Douglas Popson 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10160210 435500 Retiree Insurance CHECK 10145 TOTAL: 210.74 10146 06/26/2013 EFT 107888 Michael J. Poulin 13-Jul-01 07/01/2013 062713HR 1,160.16 Invoice: 13-Jul-01 Pers Retiree Reimb 1,160.16 10140200 435500 Retiree Insurance CHECK 10146 TOTAL: 1,160.16 10147 06/26/2013 EFT 106820 James J Rada Jr 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10145200 435500 Retiree Insurance CHECK 10147 TOTAL: 625.86 10148 06/26/2013 EFT 106833 William Randolph 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10114200 435500 Retiree Insurance CHECK 10148 TOTAL: 536.4806/26/2013 17:10 |CULVER CITY |PG 52 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10149 06/26/2013 EFT 107114 Robert D Randolph 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10140200 435500 Retiree Insurance CHECK 10149 TOTAL: 973.00 10150 06/26/2013 EFT 107230 Maureen Rankin 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10145200 435500 Retiree Insurance CHECK 10150 TOTAL: 1,336.03 10151 06/26/2013 EFT 106821 Dale H Ranney 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10145200 435500 Retiree Insurance CHECK 10151 TOTAL: 625.86 10152 06/26/2013 EFT 106834 Karin Reagan 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 10152 TOTAL: 210.74 10153 06/26/2013 EFT 106823 Dorothy Rebenstorf 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10130400 435500 Retiree Insurance CHECK 10153 TOTAL: 625.86 10154 06/26/2013 EFT 106835 Clarencetta Reedy 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160210 435500 Retiree Insurance CHECK 10154 TOTAL: 255.43 10155 06/26/2013 EFT 107115 Dorothy L Reynolds 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20260400 435500 Retiree Insurance CHECK 10155 TOTAL: 173.3706/26/2013 17:10 |CULVER CITY |PG 53 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10156 06/26/2013 EFT 107175 Robert Lloyd Reynolds 13-Jul-01 07/01/2013 062713HR 636.23 Invoice: 13-Jul-01 Pers Retiree Reimb 636.23 10124200 435500 Retiree Insurance CHECK 10156 TOTAL: 636.23 10157 06/26/2013 EFT 107501 Carlos Reynosa 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10140200 435500 Retiree Insurance CHECK 10157 TOTAL: 918.60 10158 06/26/2013 EFT 107239 John Richo 13-Jul-01 07/01/2013 062713HR 752.54 Invoice: 13-Jul-01 Pers Retiree Reimb 752.54 10124100 435500 Retiree Insurance CHECK 10158 TOTAL: 752.54 10159 06/26/2013 EFT 106825 Richard Rigali 13-Jul-01 07/01/2013 062713HR 415.75 Invoice: 13-Jul-01 Pers Retiree Reimb 415.75 10140200 435500 Retiree Insurance CHECK 10159 TOTAL: 415.75 10160 06/26/2013 EFT 106838 Sean Roberts 13-Jul-01 07/01/2013 062713HR 1,264.95 Invoice: 13-Jul-01 Pers Retiree Reimb 1,264.95 10140200 435500 Retiree Insurance CHECK 10160 TOTAL: 1,264.95 10161 06/26/2013 EFT 106826 Norman Robinson 13-Jul-01 07/01/2013 062713HR 763.18 Invoice: 13-Jul-01 Pers Retiree Reimb 763.18 20370200 435500 Retiree Insurance CHECK 10161 TOTAL: 763.18 10162 06/26/2013 EFT 107167 Pamela C. Robinson 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10130200 435500 Retiree Insurance CHECK 10162 TOTAL: 362.2806/26/2013 17:10 |CULVER CITY |PG 54 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10163 06/26/2013 EFT 106764 Mary Lou Rodriguez 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 10130300 435500 Retiree Insurance CHECK 10163 TOTAL: 146.32 10164 06/26/2013 EFT 107116 Samuel Rodriguez 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 20370200 435500 Retiree Insurance CHECK 10164 TOTAL: 146.32 10165 06/26/2013 EFT 106839 Donald Rogers 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10130100 435500 Retiree Insurance CHECK 10165 TOTAL: 461.74 10166 06/26/2013 EFT 106848 Marvin Rogers 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 30870400 435500 Retiree Insurance CHECK 10166 TOTAL: 173.37 10167 06/26/2013 EFT 106857 Michael Romano 13-Jul-01 07/01/2013 062713HR 1,264.95 Invoice: 13-Jul-01 Pers Retiree Reimb 1,264.95 20260400 435500 Retiree Insurance CHECK 10167 TOTAL: 1,264.95 10168 06/26/2013 EFT 106849 Marsha Rood 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10150100 435500 Retiree Insurance CHECK 10168 TOTAL: 255.43 10169 06/26/2013 EFT 106858 Kenneth Rose 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10145200 435500 Retiree Insurance CHECK 10169 TOTAL: 173.3706/26/2013 17:10 |CULVER CITY |PG 55 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10170 06/26/2013 EFT 107188 Steven J. Rose 13-Jul-01 07/01/2013 062713HR 144.30 Invoice: 13-Jul-01 Pers Retiree Reimb 144.30 10110000 435500 Retiree Insurance CHECK 10170 TOTAL: 144.30 10171 06/26/2013 EFT 106756 Barbara H. Ross 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 10171 TOTAL: 255.43 10172 06/26/2013 EFT 106850 Michael Roth 13-Jul-01 07/01/2013 062713HR 1,267.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,267.00 10140200 435500 Retiree Insurance CHECK 10172 TOTAL: 1,267.00 10173 06/26/2013 EFT 106859 Charles Rowsell 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10140200 435500 Retiree Insurance CHECK 10173 TOTAL: 973.00 10174 06/26/2013 EFT 106851 Donald Ruetz 13-Jul-01 07/01/2013 062713HR 466.00 Invoice: 13-Jul-01 Pers Retiree Reimb 466.00 10140200 435500 Retiree Insurance CHECK 10174 TOTAL: 466.00 10175 06/26/2013 EFT 106852 Peter Salgado 13-Jul-01 07/01/2013 062713HR 675.77 Invoice: 13-Jul-01 Pers Retiree Reimb 675.77 10140200 435500 Retiree Insurance CHECK 10175 TOTAL: 675.77 10176 06/26/2013 EFT 107194 Alberto G. Sanchez 13-Jul-01 07/01/2013 062713HR 1,340.86 Invoice: 13-Jul-01 Pers Retiree Reimb 1,340.86 10160230 435500 Retiree Insurance CHECK 10176 TOTAL: 1,340.8606/26/2013 17:10 |CULVER CITY |PG 56 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10177 06/26/2013 EFT 106853 Thomas Sanders 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 10145200 435500 Retiree Insurance CHECK 10177 TOTAL: 964.95 10178 06/26/2013 EFT 106862 Joan Satt 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 20260430 435500 Retiree Insurance CHECK 10178 TOTAL: 210.74 10179 06/26/2013 EFT 107526 Anita D. Savage 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10114400 435500 Retiree Insurance CHECK 10179 TOTAL: 362.28 10180 06/26/2013 EFT 107240 Ray Scheu 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 10180 TOTAL: 1,197.90 10181 06/26/2013 EFT 106854 Sondra Schwartz 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10130400 435500 Retiree Insurance CHECK 10181 TOTAL: 536.48 10182 06/26/2013 EFT 106745 Gennie Schwarz 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 20370200 435500 Retiree Insurance CHECK 10182 TOTAL: 255.43 10183 06/26/2013 EFT 106855 Helen Seid 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10114400 435500 Retiree Insurance CHECK 10183 TOTAL: 461.7406/26/2013 17:10 |CULVER CITY |PG 57 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10184 06/26/2013 EFT 107168 Shigeko Lisa Seno 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10130100 435500 Retiree Insurance CHECK 10184 TOTAL: 362.28 10185 06/26/2013 EFT 106864 Robert Sepulveda 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160210 435500 Retiree Insurance CHECK 10185 TOTAL: 255.43 10186 06/26/2013 EFT 107737 Michael Serleto 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10145200 435500 Retiree Insurance CHECK 10186 TOTAL: 1,197.90 10187 06/26/2013 EFT 107169 Douglas B. Shannon 13-Jul-01 07/01/2013 062713HR 601.50 Invoice: 13-Jul-01 Pers Retiree Reimb 601.50 30870400 435500 Retiree Insurance CHECK 10187 TOTAL: 601.50 10188 06/26/2013 EFT 106865 Eric Shapiro 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10114100 435500 Retiree Insurance CHECK 10188 TOTAL: 210.74 10189 06/26/2013 EFT 106792 Frankie T Shepherd 13-Jul-01 07/01/2013 062713HR 791.70 Invoice: 13-Jul-01 Pers Retiree Reimb 791.70 30870400 435500 Retiree Insurance CHECK 10189 TOTAL: 791.70 10190 06/26/2013 EFT 106856 Molly Shore 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10150120 435500 Retiree Insurance CHECK 10190 TOTAL: 255.4306/26/2013 17:10 |CULVER CITY |PG 58 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10191 06/26/2013 EFT 107231 Richard W. Siler 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10145200 435500 Retiree Insurance CHECK 10191 TOTAL: 1,125.93 10192 06/26/2013 EFT 107170 Katherine Simmons 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10140200 435500 Retiree Insurance CHECK 10192 TOTAL: 362.28 10193 06/26/2013 EFT 107189 Linda Simmons 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10150120 435500 Retiree Insurance CHECK 10193 TOTAL: 1,001.17 10194 06/26/2013 EFT 106866 Simon Simonian 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10114200 435500 Retiree Insurance CHECK 10194 TOTAL: 536.48 10195 06/26/2013 EFT 107924 Nancy Sims 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 10195 TOTAL: 255.43 10196 06/26/2013 EFT 107183 Mary E. Sly 13-Jul-01 07/01/2013 062713HR 133.25 Invoice: 13-Jul-01 Pers Retiree Reimb 133.25 10114500 435500 Retiree Insurance CHECK 10196 TOTAL: 133.25 10197 06/26/2013 EFT 106868 Jozelle Smith 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10110000 435500 Retiree Insurance CHECK 10197 TOTAL: 625.8606/26/2013 17:10 |CULVER CITY |PG 59 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10198 06/26/2013 EFT 106884 Robbin Smith 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10145200 435500 Retiree Insurance CHECK 10198 TOTAL: 536.48 10199 06/26/2013 EFT 107117 Arthur J Solis 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 10130400 435500 Retiree Insurance CHECK 10199 TOTAL: 964.95 10200 06/26/2013 EFT 106765 Fran Spencer 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10145200 435500 Retiree Insurance CHECK 10200 TOTAL: 173.37 10201 06/26/2013 EFT 107207 Denee Stallworth 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 20370200 435500 Retiree Insurance CHECK 10201 TOTAL: 362.28 10202 06/26/2013 EFT 106873 Michael Starr 13-Jul-01 07/01/2013 062713HR 1,417.48 Invoice: 13-Jul-01 Pers Retiree Reimb 1,417.48 20260410 435500 Retiree Insurance CHECK 10202 TOTAL: 1,417.48 10203 06/26/2013 EFT 106874 Dennis Steinbacher 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10145200 435500 Retiree Insurance CHECK 10203 TOTAL: 798.20 10204 06/26/2013 EFT 106893 Norman Steiner 13-Jul-01 07/01/2013 062713HR 810.00 Invoice: 13-Jul-01 Pers Retiree Reimb 810.00 10145200 435500 Retiree Insurance CHECK 10204 TOTAL: 810.0006/26/2013 17:10 |CULVER CITY |PG 60 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10205 06/26/2013 EFT 106876 Elizabeth Stevenson 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 10205 TOTAL: 255.43 10206 06/26/2013 EFT 107824 Diana L. Stone 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 10206 TOTAL: 255.43 10207 06/26/2013 EFT 107171 Joyce R. Straky 13-Jul-01 07/01/2013 062713HR 752.54 Invoice: 13-Jul-01 Pers Retiree Reimb 752.54 10114100 435500 Retiree Insurance CHECK 10207 TOTAL: 752.54 10208 06/26/2013 EFT 106767 Clara Suarez 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10130110 435500 Retiree Insurance CHECK 10208 TOTAL: 255.43 10209 06/26/2013 EFT 106896 George Sweeny 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10145200 435500 Retiree Insurance CHECK 10209 TOTAL: 461.74 10210 06/26/2013 EFT 107825 Jason M. Tabach 13-Jul-01 07/01/2013 062713HR 436.95 Invoice: 13-Jul-01 Pers Retiree Reimb 436.95 10140200 435500 Retiree Insurance CHECK 10210 TOTAL: 436.95 10211 06/26/2013 EFT 106878 Louis Talamantes 13-Jul-01 07/01/2013 062713HR 1,412.40 Invoice: 13-Jul-01 Pers Retiree Reimb 1,412.40 10145200 435500 Retiree Insurance CHECK 10211 TOTAL: 1,412.4006/26/2013 17:10 |CULVER CITY |PG 61 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10212 06/26/2013 EFT 107208 Rudy Tan 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10160240 435500 Retiree Insurance CHECK 10212 TOTAL: 1,001.17 10213 06/26/2013 EFT 107903 Dave Tankenson 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10140200 435500 Retiree Insurance CHECK 10213 TOTAL: 1,125.93 10214 06/26/2013 EFT 106897 Edwin Taylor 13-Jul-01 07/01/2013 062713HR 113.57 Invoice: 13-Jul-01 Pers Retiree Reimb 113.57 20260400 435500 Retiree Insurance CHECK 10214 TOTAL: 113.57 10215 06/26/2013 EFT 106744 Sarah Teutimez 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10150150 435500 Retiree Insurance CHECK 10215 TOTAL: 255.43 10216 06/26/2013 EFT 106879 Michael Thompson 13-Jul-01 07/01/2013 062713HR 964.95 Invoice: 13-Jul-01 Pers Retiree Reimb 964.95 10110100 435500 Retiree Insurance CHECK 10216 TOTAL: 964.95 10217 06/26/2013 EFT 106901 Alford Toliver 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20260400 435500 Retiree Insurance CHECK 10217 TOTAL: 173.37 10218 06/26/2013 EFT 106957 Robert Tompkins 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 10114200 435500 Retiree Insurance CHECK 10218 TOTAL: 613.1506/26/2013 17:10 |CULVER CITY |PG 62 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10219 06/26/2013 EFT 107029 Ralph Torres 13-Jul-01 07/01/2013 062713HR 1,172.86 Invoice: 13-Jul-01 Pers Retiree Reimb 1,172.86 10145300 435500 Retiree Insurance CHECK 10219 TOTAL: 1,172.86 10220 06/26/2013 EFT 106758 Myrtle Travis 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 10220 TOTAL: 255.43 10221 06/26/2013 EFT 107192 Barbara Tyler 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 20370200 435500 Retiree Insurance CHECK 10221 TOTAL: 362.28 10222 06/26/2013 EFT 107557 Ullrich, Connie 13-Jul-01 07/01/2013 062713HR 1,778.19 Invoice: 13-Jul-01 Pers Retiree Reimb 1,778.19 10122100 435500 Retiree Insurance CHECK 10222 TOTAL: 1,778.19 10223 06/26/2013 EFT 106959 Bruce Unoura 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 10140200 435500 Retiree Insurance CHECK 10223 TOTAL: 613.15 10224 06/26/2013 EFT 107172 Jan K. Unoura 13-Jul-01 07/01/2013 062713HR 443.09 Invoice: 13-Jul-01 Pers Retiree Reimb 443.09 10114400 435500 Retiree Insurance CHECK 10224 TOTAL: 443.09 10225 06/26/2013 EFT 107210 Ramiro Urenda 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10160220 435500 Retiree Insurance CHECK 10225 TOTAL: 1,125.9306/26/2013 17:10 |CULVER CITY |PG 63 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10226 06/26/2013 EFT 106750 Teresa Valdez 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20260400 435500 Retiree Insurance CHECK 10226 TOTAL: 173.37 10227 06/26/2013 EFT 107070 Margarita Valenzuela 13-Jul-01 07/01/2013 062713HR 528.93 Invoice: 13-Jul-01 Pers Retiree Reimb 528.93 10140200 435500 Retiree Insurance CHECK 10227 TOTAL: 528.93 10228 06/26/2013 EFT 101296 Ela Valladares 13-Jul-01 07/01/2013 062713HR 443.09 Invoice: 13-Jul-01 Pers Retiree Reimb 443.09 10111100 435500 Retiree Insurance CHECK 10228 TOTAL: 443.09 10229 06/26/2013 EFT 107232 James Van Cleave 13-Jul-01 07/01/2013 062713HR 436.95 Invoice: 13-Jul-01 Pers Retiree Reimb 436.95 10145200 435500 Retiree Insurance CHECK 10229 TOTAL: 436.95 10230 06/26/2013 EFT 107118 Barbara L Vande Bogart 13-Jul-01 07/01/2013 062713HR 146.32 Invoice: 13-Jul-01 Pers Retiree Reimb 146.32 10150500 435500 Retiree Insurance CHECK 10230 TOTAL: 146.32 10231 06/26/2013 EFT 107123 Timothy Varney 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 20260400 435500 Retiree Insurance CHECK 10231 TOTAL: 461.74 10232 06/26/2013 EFT 107185 Jose R. Velasco 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10160220 435500 Retiree Insurance CHECK 10232 TOTAL: 1,125.9306/26/2013 17:10 |CULVER CITY |PG 64 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10233 06/26/2013 EFT 106746 Elena Velasquez 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10160210 435500 Retiree Insurance CHECK 10233 TOTAL: 255.43 10234 06/26/2013 EFT 107216 Joanne Venuti 13-Jul-01 07/01/2013 062713HR 194.45 Invoice: 13-Jul-01 Pers Retiree Reimb 194.45 10150200 435500 Retiree Insurance CHECK 10234 TOTAL: 194.45 10235 06/26/2013 EFT 107095 Marco Verbon 13-Jul-01 07/01/2013 062713HR 625.86 Invoice: 13-Jul-01 Pers Retiree Reimb 625.86 10160210 435500 Retiree Insurance CHECK 10235 TOTAL: 625.86 10236 06/26/2013 EFT 106965 Maurice Vidican 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 10236 TOTAL: 210.74 10237 06/26/2013 EFT 107096 Robert Villa 13-Jul-01 07/01/2013 062713HR 1,150.68 Invoice: 13-Jul-01 Pers Retiree Reimb 1,150.68 10160210 435500 Retiree Insurance CHECK 10237 TOTAL: 1,150.68 10238 06/26/2013 EFT 107020 Keith Wachalec 13-Jul-01 07/01/2013 062713HR 1,341.30 Invoice: 13-Jul-01 Pers Retiree Reimb 1,341.30 10140200 435500 Retiree Insurance CHECK 10238 TOTAL: 1,341.30 10239 06/26/2013 EFT 107097 Kenneth Walker 13-Jul-01 07/01/2013 062713HR 973.00 Invoice: 13-Jul-01 Pers Retiree Reimb 973.00 10140200 435500 Retiree Insurance CHECK 10239 TOTAL: 973.0006/26/2013 17:10 |CULVER CITY |PG 65 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10240 06/26/2013 EFT 107022 Linda Wamre 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10150120 435500 Retiree Insurance CHECK 10240 TOTAL: 536.48 10241 06/26/2013 EFT 107839 Darlene Wasertheur 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 10241 TOTAL: 255.43 10242 06/26/2013 EFT 107099 John Weaver 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10140200 435500 Retiree Insurance CHECK 10242 TOTAL: 255.43 10243 06/26/2013 EFT 107026 Donna Weiss 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10145200 435500 Retiree Insurance CHECK 10243 TOTAL: 255.43 10244 06/26/2013 EFT 107028 Lawrence Wells 13-Jul-01 07/01/2013 062713HR 889.80 Invoice: 13-Jul-01 Pers Retiree Reimb 889.80 20370200 435500 Retiree Insurance CHECK 10244 TOTAL: 889.80 10245 06/26/2013 EFT 107101 Robert W West 13-Jul-01 07/01/2013 062713HR 1,778.19 Invoice: 13-Jul-01 Pers Retiree Reimb 1,778.19 10140200 435500 Retiree Insurance CHECK 10245 TOTAL: 1,778.19 10246 06/26/2013 EFT 106701 Webster West 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10140200 435500 Retiree Insurance CHECK 10246 TOTAL: 210.7406/26/2013 17:10 |CULVER CITY |PG 66 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10247 06/26/2013 EFT 107139 Kenneth D Wheat 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10140200 435500 Retiree Insurance CHECK 10247 TOTAL: 918.60 10248 06/26/2013 EFT 106708 William D. White 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10145200 435500 Retiree Insurance CHECK 10248 TOTAL: 210.74 10249 06/26/2013 EFT 107124 Beatrice Whitmore 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 20370200 435500 Retiree Insurance CHECK 10249 TOTAL: 173.37 10250 06/26/2013 EFT 106709 Lawrence L Wiley 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10160200 435500 Retiree Insurance CHECK 10250 TOTAL: 536.48 10251 06/26/2013 EFT 106703 Robert A. Williams 13-Jul-01 07/01/2013 062713HR 536.48 Invoice: 13-Jul-01 Pers Retiree Reimb 536.48 10140200 435500 Retiree Insurance CHECK 10251 TOTAL: 536.48 10252 06/26/2013 EFT 106710 Steven K. Williams 13-Jul-01 07/01/2013 062713HR 1,267.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,267.00 10140200 435500 Retiree Insurance CHECK 10252 TOTAL: 1,267.00 10253 06/26/2013 EFT 107498 Tivia Williams 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 20370200 435500 Retiree Insurance CHECK 10253 TOTAL: 362.2806/26/2013 17:10 |CULVER CITY |PG 67 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10254 06/26/2013 EFT 107233 Dean W. Williams 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 10254 TOTAL: 1,197.90 10255 06/26/2013 EFT 107140 Robin L. Williams 13-Jul-01 07/01/2013 062713HR 1,747.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,747.90 10140200 435500 Retiree Insurance CHECK 10255 TOTAL: 1,747.90 10256 06/26/2013 EFT 106760 Durlah Williamson 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 10130100 435500 Retiree Insurance CHECK 10256 TOTAL: 387.40 10257 06/26/2013 EFT 107241 Timothy T. Wilson 13-Jul-01 07/01/2013 062713HR 918.60 Invoice: 13-Jul-01 Pers Retiree Reimb 918.60 10145200 435500 Retiree Insurance CHECK 10257 TOTAL: 918.60 10258 06/26/2013 EFT 106711 James T. Wimbley 13-Jul-01 07/01/2013 062713HR 443.95 Invoice: 13-Jul-01 Pers Retiree Reimb 443.95 20370200 435500 Retiree Insurance CHECK 10258 TOTAL: 443.95 10259 06/26/2013 EFT 106705 Mark H. Winogrond 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 10110100 435500 Retiree Insurance CHECK 10259 TOTAL: 255.43 10260 06/26/2013 EFT 107217 Dan Winters 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 20370200 435500 Retiree Insurance CHECK 10260 TOTAL: 1,125.9306/26/2013 17:10 |CULVER CITY |PG 68 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 10261 06/26/2013 EFT 106712 Paul W. Wolford 13-Jul-01 07/01/2013 062713HR 1,002.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,002.90 10140200 435500 Retiree Insurance CHECK 10261 TOTAL: 1,002.90 10262 06/26/2013 EFT 106713 Clarence A. Yamamoto 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 30870400 435500 Retiree Insurance CHECK 10262 TOTAL: 461.74 10263 06/26/2013 EFT 107211 Susan Yousefi 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10114400 435500 Retiree Insurance CHECK 10263 TOTAL: 1,125.93 10264 06/26/2013 EFT 106751 B G Zenarosa 13-Jul-01 07/01/2013 062713HR 387.40 Invoice: 13-Jul-01 Pers Retiree Reimb 387.40 10140200 435500 Retiree Insurance CHECK 10264 TOTAL: 387.40 10265 06/26/2013 EFT 107242 Thomas Zielinski 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10145200 435500 Retiree Insurance CHECK 10265 TOTAL: 1,001.17 10266 06/26/2013 EFT 106706 Mark R. Zierten 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10130100 435500 Retiree Insurance CHECK 10266 TOTAL: 461.74 264637 06/26/2013 PRTD 107235 Harvey Bailey 13-Jul-01 07/01/2013 062713HR 1,001.17 Invoice: 13-Jul-01 Pers Retiree Reimb 1,001.17 10140200 435500 Retiree Insurance CHECK 264637 TOTAL: 1,001.1706/26/2013 17:10 |CULVER CITY |PG 69 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264638 06/26/2013 PRTD 107198 Helen Bing 13-Jul-01 07/01/2013 062713HR 133.25 Invoice: 13-Jul-01 Pers Retiree Reimb 133.25 10150250 435500 Retiree Insurance CHECK 264638 TOTAL: 133.25 264639 06/26/2013 PRTD 107200 Ronald Carter 13-Jul-01 07/01/2013 062713HR 133.25 Invoice: 13-Jul-01 Pers Retiree Reimb 133.25 10160230 435500 Retiree Insurance CHECK 264639 TOTAL: 133.25 264640 06/26/2013 PRTD 106941 Yvette D Countee 13-Jul-01 07/01/2013 062713HR 415.75 Invoice: 13-Jul-01 Pers Retiree Reimb 415.75 10140200 435500 Retiree Insurance CHECK 264640 TOTAL: 415.75 264641 06/26/2013 PRTD 106953 Jay B Cunningham 13-Jul-01 07/01/2013 062713HR 822.04 Invoice: 13-Jul-01 Pers Retiree Reimb 822.04 10150200 435500 Retiree Insurance CHECK 264641 TOTAL: 822.04 264642 06/26/2013 PRTD 107108 Joseph F D'anjou 13-Jul-01 07/01/2013 062713HR 1,150.68 Invoice: 13-Jul-01 Pers Retiree Reimb 1,150.68 10140300 435500 Retiree Insurance CHECK 264642 TOTAL: 1,150.68 264643 06/26/2013 PRTD 106968 James Dade 13-Jul-01 07/01/2013 062713HR 1,059.92 Invoice: 13-Jul-01 Pers Retiree Reimb 1,059.92 10140200 435500 Retiree Insurance CHECK 264643 TOTAL: 1,059.92 264644 06/26/2013 PRTD 107777 Wistano Del Real 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 20260400 435500 Retiree Insurance CHECK 264644 TOTAL: 1,125.9306/26/2013 17:10 |CULVER CITY |PG 70 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264645 06/26/2013 PRTD 106749 Jacqueline Derx 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10140200 435500 Retiree Insurance CHECK 264645 TOTAL: 173.37 264646 06/26/2013 PRTD 107008 Thomas A Gabor 13-Jul-01 07/01/2013 062713HR 1,059.92 Invoice: 13-Jul-01 Pers Retiree Reimb 1,059.92 10140200 435500 Retiree Insurance CHECK 264646 TOTAL: 1,059.92 264647 06/26/2013 PRTD 106730 Antonia Garcia 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 20370200 435500 Retiree Insurance CHECK 264647 TOTAL: 255.43 264648 06/26/2013 PRTD 107499 Stanley Griggs 13-Jul-01 07/01/2013 062713HR 769.26 Invoice: 13-Jul-01 Pers Retiree Reimb 769.26 20370200 435500 Retiree Insurance CHECK 264648 TOTAL: 769.26 264649 06/26/2013 PRTD 107025 Ali S Hasan 13-Jul-01 07/01/2013 062713HR 1,559.22 Invoice: 13-Jul-01 Pers Retiree Reimb 1,559.22 20370200 435500 Retiree Insurance CHECK 264649 TOTAL: 1,559.22 264650 06/26/2013 PRTD 107130 Diana Hawk 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 10160150 435500 Retiree Insurance CHECK 264650 TOTAL: 613.15 264651 06/26/2013 PRTD 107129 Theresa Kollios 13-Jul-01 07/01/2013 062713HR 255.43 Invoice: 13-Jul-01 Pers Retiree Reimb 255.43 20370200 435500 Retiree Insurance CHECK 264651 TOTAL: 255.4306/26/2013 17:10 |CULVER CITY |PG 71 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264652 06/26/2013 PRTD 107500 Luis Larios 13-Jul-01 07/01/2013 062713HR 636.23 Invoice: 13-Jul-01 Pers Retiree Reimb 636.23 20260400 435500 Retiree Insurance CHECK 264652 TOTAL: 636.23 264653 06/26/2013 PRTD 107237 Christopher Maddox 13-Jul-01 07/01/2013 062713HR 1,125.93 Invoice: 13-Jul-01 Pers Retiree Reimb 1,125.93 10140200 435500 Retiree Insurance CHECK 264653 TOTAL: 1,125.93 264654 06/26/2013 PRTD 107502 David Scott Malsin 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10110000 435500 Retiree Insurance CHECK 264654 TOTAL: 1,336.03 264655 06/26/2013 PRTD 107205 Kathleen McCann 13-Jul-01 07/01/2013 062713HR 1,336.03 Invoice: 13-Jul-01 Pers Retiree Reimb 1,336.03 10140200 435500 Retiree Insurance CHECK 264655 TOTAL: 1,336.03 264656 06/26/2013 PRTD 106737 Elaine McMahan 13-Jul-01 07/01/2013 062713HR 613.15 Invoice: 13-Jul-01 Pers Retiree Reimb 613.15 10150500 435500 Retiree Insurance CHECK 264656 TOTAL: 613.15 264657 06/26/2013 PRTD 107965 Meyer Meyerson 13-Jul-01 07/01/2013 062713HR 346.74 Invoice: 13-Jul-01 Pers Retiree Reimb 346.74 10140200 435500 Retiree Insurance CHECK 264657 TOTAL: 346.74 264658 06/26/2013 PRTD 106875 Richard G Momii 13-Jul-01 07/01/2013 062713HR 798.20 Invoice: 13-Jul-01 Pers Retiree Reimb 798.20 10145600 435500 Retiree Insurance CHECK 264658 TOTAL: 798.2006/26/2013 17:10 |CULVER CITY |PG 72 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264659 06/26/2013 PRTD 107137 Lawrence Moroso 13-Jul-01 07/01/2013 062713HR 1,197.90 Invoice: 13-Jul-01 Pers Retiree Reimb 1,197.90 10140200 435500 Retiree Insurance CHECK 264659 TOTAL: 1,197.90 264660 06/26/2013 PRTD 106892 Jack M Nakanishi 13-Jul-01 07/01/2013 062713HR 675.77 Invoice: 13-Jul-01 Pers Retiree Reimb 675.77 10130240 435500 Retiree Insurance CHECK 264660 TOTAL: 675.77 264661 06/26/2013 PRTD 106898 Donna Neola 13-Jul-01 07/01/2013 062713HR 472.46 Invoice: 13-Jul-01 Pers Retiree Reimb 472.46 10150150 435500 Retiree Insurance CHECK 264661 TOTAL: 472.46 264662 06/26/2013 PRTD 106905 Richard G Ogden 13-Jul-01 07/01/2013 062713HR 461.74 Invoice: 13-Jul-01 Pers Retiree Reimb 461.74 10145700 435500 Retiree Insurance CHECK 264662 TOTAL: 461.74 264663 06/26/2013 PRTD 107215 Aida Perez 13-Jul-01 07/01/2013 062713HR 173.37 Invoice: 13-Jul-01 Pers Retiree Reimb 173.37 10160240 435500 Retiree Insurance CHECK 264663 TOTAL: 173.37 264664 06/26/2013 PRTD 107206 Gary Silbiger 13-Jul-01 07/01/2013 062713HR 752.54 Invoice: 13-Jul-01 Pers Retiree Reimb 752.54 10110000 435500 Retiree Insurance CHECK 264664 TOTAL: 752.54 264665 06/26/2013 PRTD 106774 Melissa Smith 13-Jul-01 07/01/2013 062713HR 466.00 Invoice: 13-Jul-01 Pers Retiree Reimb 466.00 10140200 435500 Retiree Insurance CHECK 264665 TOTAL: 466.0006/26/2013 17:10 |CULVER CITY |PG 73 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104550 Cash - Retirees HRA CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 264666 06/26/2013 PRTD 106887 Yvette Smith 13-Jul-01 07/01/2013 062713HR 1,267.00 Invoice: 13-Jul-01 Pers Retiree Reimb 1,267.00 10140200 435500 Retiree Insurance CHECK 264666 TOTAL: 1,267.00 264667 06/26/2013 PRTD 106872 Adele Somers 13-Jul-01 07/01/2013 062713HR 210.74 Invoice: 13-Jul-01 Pers Retiree Reimb 210.74 10130400 435500 Retiree Insurance CHECK 264667 TOTAL: 210.74 264668 06/26/2013 PRTD 107209 Alisha Thompson 13-Jul-01 07/01/2013 062713HR 315.68 Invoice: 13-Jul-01 Pers Retiree Reimb 315.68 20370200 435500 Retiree Insurance CHECK 264668 TOTAL: 315.68 264669 06/26/2013 PRTD 107840 Michael Webb 13-Jul-01 07/01/2013 062713HR 362.28 Invoice: 13-Jul-01 Pers Retiree Reimb 362.28 10140200 435500 Retiree Insurance CHECK 264669 TOTAL: 362.28 NUMBER OF CHECKS 509 *** CASH ACCOUNT TOTAL *** 319,730.36 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 33 23,075.56 TOTAL EFT'S 476 296,654.80 *** GRAND TOTAL *** 319,730.3606/19/2013 15:20 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85917 06/19/2013 PRTD 101329 St Joseph Center 2013-11-FSS 06/10/2013 061913S8 4,038.89 Invoice: 2013-11-FSS Summary Invoice: May 2013 4,038.89 42650510 618120 Family Self-Sufficiency Progra CHECK 85917 TOTAL: 4,038.89 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 4,038.89 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 1 4,038.89 *** GRAND TOTAL *** 4,038.8906/26/2013 15:06 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85918 06/26/2013 PRTD 100381 Margaret Wahlrab 13-Jun-02RE 06/01/2013 062613S8 813.00 Invoice: 13-Jun-02RE 527-M. Escobedo 813.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85918 TOTAL: 813.00 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 813.00 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 1 813.00 *** GRAND TOTAL *** 813.0006/27/2013 14:02 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85919 06/27/2013 PRTD 101027 11020 Venice LLC 13-Jul 07/01/2013 062713S8 821.00 Invoice: 13-Jul 554-R. De La Torre Sant 821.00 42650510 618520 Rent Subsidy Pmts-Voucher 11020 Venice LLC 13-Jul-02 07/01/2013 062713S8 1,240.00 Invoice: 13-Jul-02 509-N.Romant 1,240.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85919 TOTAL: 2,061.00 85920 06/27/2013 PRTD 101310 3836 College Avenue LLC 13-Jul-03 07/01/2013 062713S8 939.00 Invoice: 13-Jul-03 415-Marian Abdi 939.00 42650510 618520 Rent Subsidy Pmts-Voucher 3836 College Avenue LLC 13-Jul-04 07/01/2013 062713S8 804.00 Invoice: 13-Jul-04 377-James Bayne 804.00 42650510 618520 Rent Subsidy Pmts-Voucher 3836 College Avenue LLC 13-Jul-05 07/01/2013 062713S8 822.00 Invoice: 13-Jul-05 309-Bienstock 822.00 42650510 618520 Rent Subsidy Pmts-Voucher 3836 College Avenue LLC 13-Jul-06 07/01/2013 062713S8 948.00 Invoice: 13-Jul-06 491-V. Morgan 948.00 42650510 618520 Rent Subsidy Pmts-Voucher 3836 College Avenue LLC 13-Jul-07 07/01/2013 062713S8 1,109.00 Invoice: 13-Jul-07 541-T. Malone 1,109.00 42650510 618520 Rent Subsidy Pmts-Voucher 3836 College Avenue LLC 13-Jul-08 07/01/2013 062713S8 747.00 Invoice: 13-Jul-08 413-Mengistu-Habtemikael 747.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85920 TOTAL: 5,369.00 85921 06/27/2013 PRTD 104605 9612-9622 Lucerne LLC 13-Jul-03 07/01/2013 062713S8 576.00 Invoice: 13-Jul-03 450- M. Alonso 576.00 42650510 618520 Rent Subsidy Pmts-Voucher 9612-9622 Lucerne LLC 13-Jul-04 07/01/2013 062713S8 1,155.00 Invoice: 13-Jul-04 819-Barbara Nesmith 1,155.00 42650510 618520 Rent Subsidy Pmts-Voucher 9612-9622 Lucerne LLC 13-Jul-05 07/01/2013 062713S8 1,247.00 Invoice: 13-Jul-05 828-Alice Williams 1,247.00 42650510 618520 Rent Subsidy Pmts-Voucher 9612-9622 Lucerne LLC 13-Jul-06 07/01/2013 062713S8 838.00 Invoice: 13-Jul-06 C-378-Doil Jarnegan 06/27/2013 14:02 |CULVER CITY |PG 2 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 838.00 42650510 618520 Rent Subsidy Pmts-Voucher 9612-9622 Lucerne LLC 13-Jul-07 07/01/2013 062713S8 1,312.00 Invoice: 13-Jul-07 307-Lekefee Collins 1,312.00 42650510 618520 Rent Subsidy Pmts-Voucher 9612-9622 Lucerne LLC 13-Jul-08 07/01/2013 062713S8 639.00 Invoice: 13-Jul-08 453-Darwin Dawson 639.00 42650510 618520 Rent Subsidy Pmts-Voucher 9612-9622 Lucerne LLC 13-Jul-09 07/01/2013 062713S8 834.00 Invoice: 13-Jul-09 517-Rhoda Dobson 834.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85921 TOTAL: 6,601.00 85922 06/27/2013 PRTD 101026 Ahmed Patail 13-Jul 07/01/2013 062713S8 1,081.00 Invoice: 13-Jul 983-O. Manzanares 1,081.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85922 TOTAL: 1,081.00 85923 06/27/2013 PRTD 101508 Andre/Jette;Eric Cavin 13-Jul 07/01/2013 062713S8 940.00 Invoice: 13-Jul 824-Najarro 940.00 42650510 618520 Rent Subsidy Pmts-Voucher Andre/Jette;Eric Cavin 13-Jul-02 07/01/2013 062713S8 943.00 Invoice: 13-Jul-02 421-Pedro 943.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85923 TOTAL: 1,883.00 85924 06/27/2013 PRTD 100762 Angelique Henry 13-Jul 07/01/2013 062713S8 942.00 Invoice: 13-Jul 815-Donna Favia 942.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85924 TOTAL: 942.00 85925 06/27/2013 PRTD 100031 Anita Bamford 13-Jul 07/01/2013 062713S8 .00 Invoice: 13-Jul 866-Rosa De Leon .00 42650510 618520 Rent Subsidy Pmts-Voucher Anita Bamford 13-Jul-02 07/01/2013 062713S8 368.00 Invoice: 13-Jul-02 435-Lugo/Beato 368.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 3 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 85925 TOTAL: 368.00 85926 06/27/2013 PRTD 100109 Aroon Doshi 13-Jul 07/01/2013 062713S8 413.00 Invoice: 13-Jul 516- Cheryl Waterford 413.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85926 TOTAL: 413.00 85927 06/27/2013 PRTD 103526 Barbara L Helgeson 13-Jul 07/01/2013 062713S8 724.00 Invoice: 13-Jul 821-Evelyn-Christian 724.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85927 TOTAL: 724.00 85928 06/27/2013 PRTD 104650 BessDrust 13-Jul 07/01/2013 062713S8 811.00 Invoice: 13-Jul 565-Silvia Barajas 811.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85928 TOTAL: 811.00 85929 06/27/2013 PRTD 100698 Cara Eisenberg 13-Jul 07/01/2013 062713S8 575.00 Invoice: 13-Jul 323-Rosa Castillo 575.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85929 TOTAL: 575.00 85930 06/27/2013 PRTD 100441 Carolyn Lee 13-Jul 07/01/2013 062713S8 991.00 Invoice: 13-Jul 928-Julie Pyo 991.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85930 TOTAL: 991.00 85931 06/27/2013 PRTD 101601 Century View LLC 13-Jul 07/01/2013 062713S8 855.00 Invoice: 13-Jul 538-A.Reyes 855.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85931 TOTAL: 855.00 85932 06/27/2013 PRTD 107937 Christopher Yang 13-Jul 07/01/2013 062713S8 939.00 Invoice: 13-Jul 394-Terry Wells 939.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85932 TOTAL: 939.0006/27/2013 14:02 |CULVER CITY |PG 4 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85933 06/27/2013 PRTD 105584 City of Baldwin Park 13-Jul 07/01/2013 062713S8 518.00 Invoice: 13-Jul Johnnie M. Johnson 518.00 42650510 618520 Rent Subsidy Pmts-Voucher City of Baldwin Park 13-Jul-02 07/01/2013 062713S8 63.37 Invoice: 13-Jul-02 9192-Johnnie M. Johnson 63.37 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85933 TOTAL: 581.37 85934 06/27/2013 PRTD 100071 City of Inglewood 13-Jul-02 07/01/2013 062713S8 63.37 Invoice: 13-Jul-02 2268-Victoya L. Trotter 63.37 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85934 TOTAL: 63.37 85935 06/27/2013 PRTD 100071 City of Inglewood 13-Jul 07/01/2013 062713S8 1,171.00 Invoice: 13-Jul Victoya L. Trotter 1,171.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85935 TOTAL: 1,171.00 85936 06/27/2013 PRTD 100412 Cy Pierce 13-Jul 07/01/2013 062713S8 765.00 Invoice: 13-Jul 322 - Genet Mengistu 765.00 42650510 618520 Rent Subsidy Pmts-Voucher Cy Pierce 13-Jul-02 07/01/2013 062713S8 949.00 Invoice: 13-Jul-02 322 - Genet Mengistu 949.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85936 TOTAL: 1,714.00 85937 06/27/2013 PRTD 105034 D and M Properties 13-Jul 07/01/2013 062713S8 1,366.00 Invoice: 13-Jul 353-Sybil Parks 1,366.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85937 TOTAL: 1,366.00 85938 06/27/2013 PRTD 103230 David Dung T Dang 13-Jul 07/01/2013 062713S8 1,088.00 Invoice: 13-Jul 839-L. Dang 1,088.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85938 TOTAL: 1,088.0006/27/2013 14:02 |CULVER CITY |PG 5 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85939 06/27/2013 PRTD 100684 Debi Lee 13-Jul 07/01/2013 062713S8 1,135.00 Invoice: 13-Jul 405-D&E Fernandez 1,135.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85939 TOTAL: 1,135.00 85940 06/27/2013 PRTD 100251 Debi Nayak 13-Jul 07/01/2013 062713S8 760.00 Invoice: 13-Jul 351-Sonia Cervantes 760.00 42650510 618520 Rent Subsidy Pmts-Voucher Debi Nayak 13-Jul-02 07/01/2013 062713S8 1,260.00 Invoice: 13-Jul-02 381-April Merlin 1,260.00 42650510 618520 Rent Subsidy Pmts-Voucher Debi Nayak 13-Jul-03 07/01/2013 062713S8 1,367.00 Invoice: 13-Jul-03 412-N. Love 1,367.00 42650510 618520 Rent Subsidy Pmts-Voucher Debi Nayak 13-Jul-04 07/01/2013 062713S8 2.00 Invoice: 13-Jul-04 281-Vanessa Griffin 2.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85940 TOTAL: 3,389.00 85941 06/27/2013 PRTD 100446 Donna M Horst 13-Jul 07/01/2013 062713S8 1,396.00 Invoice: 13-Jul 442-Nelly Escoto 1,396.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85941 TOTAL: 1,396.00 85942 06/27/2013 PRTD 100397 Dr Jacquelyn Williams 13-Jul 07/01/2013 062713S8 183.00 Invoice: 13-Jul 343-S. Johnson 183.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85942 TOTAL: 183.00 85943 06/27/2013 PRTD 105994 Gary Duboff 13-Jul-02 07/01/2013 062713S8 1,241.00 Invoice: 13-Jul-02 546-Emma Guedes 1,241.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85943 TOTAL: 1,241.00 85944 06/27/2013 PRTD 103231 DW Properties 13-Jul-02 07/01/2013 062713S8 746.00 Invoice: 13-Jul-02 441-Mumtaz Ahmed 746.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 6 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ DW Properties 13-Jul-03 07/01/2013 062713S8 284.00 Invoice: 13-Jul-03 357-Barbara Dixon 284.00 42650510 618520 Rent Subsidy Pmts-Voucher DW Properties 13-Jul-04 07/01/2013 062713S8 687.00 Invoice: 13-Jul-04 368-Debra Jackson 687.00 42650510 618520 Rent Subsidy Pmts-Voucher DW Properties 13-Jul-05 07/01/2013 062713S8 19.00 Invoice: 13-Jul-05 935-Arturo Lepe 19.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85944 TOTAL: 1,736.00 85945 06/27/2013 PRTD 103231 DW Properties/Tuller 13-Jul-06 07/01/2013 062713S8 217.00 Invoice: 13-Jul-06 338-McCready 217.00 42650510 618520 Rent Subsidy Pmts-Voucher DW Properties/Tuller 13-Jul-07 07/01/2013 062713S8 1,075.00 Invoice: 13-Jul-07 425-Clark 1,075.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85945 TOTAL: 1,292.00 85946 06/27/2013 PRTD 104621 EGL Properties 13-Jul 07/01/2013 062713S8 603.00 Invoice: 13-Jul 416-P. Coria 603.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85946 TOTAL: 603.00 85947 06/27/2013 PRTD 100137 Eileen Goodman 13-Jul 07/01/2013 062713S8 577.00 Invoice: 13-Jul 524-S. Goodman 577.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85947 TOTAL: 577.00 85948 06/27/2013 PRTD 100380 Elliot Vaupen 13-Jul 07/01/2013 062713S8 672.00 Invoice: 13-Jul C-330-Larry Tremaine 672.00 42650510 618520 Rent Subsidy Pmts-Voucher Elliot Vaupen 13-Jul-02 07/01/2013 062713S8 1,035.00 Invoice: 13-Jul-02 512-Neena Vyas 1,035.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85948 TOTAL: 1,707.0006/27/2013 14:02 |CULVER CITY |PG 7 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85949 06/27/2013 PRTD 104497 Evelyn J Quinn 13-Jul 07/01/2013 062713S8 615.00 Invoice: 13-Jul 562-M.Bermudez 615.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85949 TOTAL: 615.00 85950 06/27/2013 PRTD 101015 Fayvette Necole Goings 13-Jul 07/01/2013 062713S8 79.00 Invoice: 13-Jul 443-Y. Gomez 79.00 42650510 618520 Rent Subsidy Pmts-Voucher Fayvette Necole Goings 13-Jul-02 07/01/2013 062713S8 1,046.00 Invoice: 13-Jul-02 822-Stephanie Heredia 1,046.00 42650510 618520 Rent Subsidy Pmts-Voucher Fayvette Necole Goings 13-Jul-03 07/01/2013 062713S8 1,215.00 Invoice: 13-Jul-03 436-Margarat Pate 1,215.00 42650510 618520 Rent Subsidy Pmts-Voucher Fayvette Necole Goings 13-Jul-04 07/01/2013 062713S8 1,066.00 Invoice: 13-Jul-04 324-Cynthia Garcia 1,066.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85950 TOTAL: 3,406.00 85951 06/27/2013 PRTD 101215 Fernando Rodriguez 13-Jul 07/01/2013 062713S8 437.00 Invoice: 13-Jul 301-A. De La Cerda 437.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85951 TOTAL: 437.00 85952 06/27/2013 PRTD 100717 Fidel Carreno 13-Jul 07/01/2013 062713S8 748.00 Invoice: 13-Jul 572-Hadzic 748.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85952 TOTAL: 748.00 85953 06/27/2013 PRTD 101353 Frank Perez 13-Jul-02 07/01/2013 062713S8 645.00 Invoice: 13-Jul-02 C-344-Ana Pinzon 645.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85953 TOTAL: 645.00 85954 06/27/2013 PRTD 100130 Freeman Property Management 13-Jul-02 07/01/2013 062713S8 548.00 Invoice: 13-Jul-02 C352-Eddie Pitts 548.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 8 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Freeman Property Management 13-Jul-03 07/01/2013 062713S8 654.00 Invoice: 13-Jul-03 C-584-L. Galarza 654.00 42650510 618520 Rent Subsidy Pmts-Voucher Freeman Property Management 13-Jul-04 07/01/2013 062713S8 644.00 Invoice: 13-Jul-04 C-465-Nilda Nazario 644.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85954 TOTAL: 1,846.00 85955 06/27/2013 PRTD 100125 Gandolfo Fiore 13-Jul 07/01/2013 062713S8 958.00 Invoice: 13-Jul C-557-Susanne Rivera 958.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85955 TOTAL: 958.00 85956 06/27/2013 PRTD 100385 Gary or Diana Weber 13-Jul-04 07/01/2013 062713S8 923.00 Invoice: 13-Jul-04 833-Jill Burwick 923.00 42650510 618520 Rent Subsidy Pmts-Voucher Gary or Diana Weber 13-Jul-05 07/01/2013 062713S8 894.00 Invoice: 13-Jul-05 C-313-Dorothy Bowles 894.00 42650510 618520 Rent Subsidy Pmts-Voucher Gary or Diana Weber 13-Jul-06 07/01/2013 062713S8 1,133.00 Invoice: 13-Jul-06 385-Svetlana Kharybina 1,133.00 42650510 618520 Rent Subsidy Pmts-Voucher Gary or Diana Weber 13-Jul-07 07/01/2013 062713S8 923.00 Invoice: 13-Jul-07 475-Selam Alem 923.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85956 TOTAL: 3,873.00 85957 06/27/2013 PRTD 100404 George Young 13-Jul-02 07/01/2013 062713S8 953.00 Invoice: 13-Jul-02 865- C. Favacho 953.00 42650510 618520 Rent Subsidy Pmts-Voucher George Young 13-Jul-03 07/01/2013 062713S8 815.00 Invoice: 13-Jul-03 C-545-Emilia Ortiz 815.00 42650510 618520 Rent Subsidy Pmts-Voucher George Young 13-Jul-04 07/01/2013 062713S8 839.00 Invoice: 13-Jul-04 C-339-Gonzales 839.00 42650510 618520 Rent Subsidy Pmts-Voucher George Young 13-Jul-05 07/01/2013 062713S8 806.00 Invoice: 13-Jul-05 C-561-G. Bogantes 806.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 9 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 85957 TOTAL: 3,413.00 85958 06/27/2013 PRTD 101647 German Esparza 13-Jul-03 07/01/2013 062713S8 955.00 Invoice: 13-Jul-03 v-303 R. Steinbach 955.00 42650510 618520 Rent Subsidy Pmts-Voucher German Esparza 13-Jul-04 07/01/2013 062713S8 737.00 Invoice: 13-Jul-04 V-863 R. Grammatico 737.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85958 TOTAL: 1,692.00 85959 06/27/2013 PRTD 104567 Glenn Pineda 13-Jul 07/01/2013 062713S8 748.00 Invoice: 13-Jul 489-Laura Ruiz 748.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85959 TOTAL: 748.00 85960 06/27/2013 PRTD 102668 Grace D Gonzales 13-Jul 07/01/2013 062713S8 1,247.00 Invoice: 13-Jul 856-Hicks 1,247.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85960 TOTAL: 1,247.00 85961 06/27/2013 PRTD 101032 Green Valley Circle 13-Jul-02 07/01/2013 062713S8 947.00 Invoice: 13-Jul-02 361-Opie Jackson 947.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85961 TOTAL: 947.00 85962 06/27/2013 PRTD 100186 H Kita 13-Jul 07/01/2013 062713S8 1,226.00 Invoice: 13-Jul 375-Nancy Jimenez 1,226.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85962 TOTAL: 1,226.00 85963 06/27/2013 PRTD 103232 Hauge Properties Ltd Partnership 13-Jul-02 07/01/2013 062713S8 881.00 Invoice: 13-Jul-02 418-V. Embree 881.00 42650510 618520 Rent Subsidy Pmts-Voucher Hauge Properties Ltd Partnership 13-Jul-03 07/01/2013 062713S8 865.00 Invoice: 13-Jul-03 392T-Willie King 865.00 42650510 618520 Rent Subsidy Pmts-Voucher Hauge Properties Ltd Partnership 13-Jul-04 07/01/2013 062713S8 667.0006/27/2013 14:02 |CULVER CITY |PG 10 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Invoice: 13-Jul-04 314-A. Elmore 667.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85963 TOTAL: 2,413.00 85964 06/27/2013 PRTD 100181 Howard or MarilynKaplan 13-Jul-02 07/01/2013 062713S8 811.00 Invoice: 13-Jul-02 404-Cordova 811.00 42650510 618520 Rent Subsidy Pmts-Voucher Howard or MarilynKaplan 13-Jul-03 07/01/2013 062713S8 732.00 Invoice: 13-Jul-03 476-Ernest Ptashne 732.00 42650510 618520 Rent Subsidy Pmts-Voucher Howard or MarilynKaplan 13-Jul-04 07/01/2013 062713S8 692.00 Invoice: 13-Jul-04 488-Julio Cuadra 692.00 42650510 618520 Rent Subsidy Pmts-Voucher Howard or MarilynKaplan 13-Jul-05 07/01/2013 062713S8 661.00 Invoice: 13-Jul-05 831-Gloria Cuellar-Orellana 661.00 42650510 618520 Rent Subsidy Pmts-Voucher Howard or MarilynKaplan 13-Jul-06 07/01/2013 062713S8 624.00 Invoice: 13-Jul-06 473-Audrey LeBruce 624.00 42650510 618520 Rent Subsidy Pmts-Voucher Howard or MarilynKaplan 13-Jul-07 07/01/2013 062713S8 810.00 Invoice: 13-Jul-07 358-Weeks 810.00 42650510 618520 Rent Subsidy Pmts-Voucher Howard or MarilynKaplan 13-Jul-08 07/01/2013 062713S8 797.00 Invoice: 13-Jul-08 493- C. Landeros 797.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85964 TOTAL: 5,127.00 85965 06/27/2013 PRTD 100448 Hy Cohen or Thomas A Ledsam 13-Jul 07/01/2013 062713S8 1,820.00 Invoice: 13-Jul 495-Cynthia Rodgers 1,820.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85965 TOTAL: 1,820.00 85966 06/27/2013 PRTD 101675 Irison L Jones 13-Jul 07/01/2013 062713S8 1,172.00 Invoice: 13-Jul 906-J. De La Hoya 1,172.00 42650510 618520 Rent Subsidy Pmts-Voucher Irison L Jones 13-Jul-02 07/01/2013 062713S8 864.00 Invoice: 13-Jul-02 472-Sims 864.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 11 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Irison L Jones 13-Jul-03 07/01/2013 062713S8 943.00 Invoice: 13-Jul-03 490 - T. Marasco 943.00 42650510 618520 Rent Subsidy Pmts-Voucher Irison L Jones 13-Jul-04 07/01/2013 062713S8 1,017.00 Invoice: 13-Jul-04 500-Martha Sandoval 1,017.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85966 TOTAL: 3,996.00 85967 06/27/2013 PRTD 100064 Isabel Cervi 13-Jul 07/01/2013 062713S8 838.00 Invoice: 13-Jul 363-D.Rodriguez 838.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85967 TOTAL: 838.00 85968 06/27/2013 PRTD 100447 Isabelle Ashodian 13-Jul-04 07/01/2013 062713S8 1,230.00 Invoice: 13-Jul-04 503-Ghenet Luul 1,230.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85968 TOTAL: 1,230.00 85969 06/27/2013 PRTD 105232 Jacqueline Cogdell Djedje 13-Jul 07/01/2013 062713S8 1,198.00 Invoice: 13-Jul 551-Mona Williams 1,198.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85969 TOTAL: 1,198.00 85970 06/27/2013 PRTD 100892 Jagdishwar/Mohan;Sarita Brijmohan 13-Jul 07/01/2013 062713S8 999.00 Invoice: 13-Jul 553-Celida Padron 999.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85970 TOTAL: 999.00 85971 06/27/2013 PRTD 100202 James E Lennon 13-Jul 07/01/2013 062713S8 1,061.00 Invoice: 13-Jul 396-J&K Hodges 1,061.00 42650510 618520 Rent Subsidy Pmts-Voucher James E Lennon 13-Jul-02 07/01/2013 062713S8 908.00 Invoice: 13-Jul-02 542-J. Fung 908.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85971 TOTAL: 1,969.0006/27/2013 14:02 |CULVER CITY |PG 12 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85972 06/27/2013 PRTD 100976 James Lin 13-Jul 07/01/2013 062713S8 1,069.00 Invoice: 13-Jul 336-Robin Deane 1,069.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85972 TOTAL: 1,069.00 85973 06/27/2013 PRTD 100359 Janet Torres 13-Jul 07/01/2013 062713S8 1,024.00 Invoice: 13-Jul 871-Beatrice Hernandez 1,024.00 42650510 618520 Rent Subsidy Pmts-Voucher Janet Torres 13-Jul-02 07/01/2013 062713S8 1,414.00 Invoice: 13-Jul-02 321-Mussie Berhe 1,414.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85973 TOTAL: 2,438.00 85974 06/27/2013 PRTD 100115 Jean Enns 13-Jul 07/01/2013 062713S8 949.00 Invoice: 13-Jul C-456- Mario Mendoza 949.00 42650510 618520 Rent Subsidy Pmts-Voucher Jean Enns 13-Jul-02 07/01/2013 062713S8 921.00 Invoice: 13-Jul-02 382-Blasa Serna 921.00 42650510 618520 Rent Subsidy Pmts-Voucher Jean Enns 13-Jul-03 07/01/2013 062713S8 953.00 Invoice: 13-Jul-03 410-Kathleen Sweeney 953.00 42650510 618520 Rent Subsidy Pmts-Voucher Jean Enns 13-Jul-04 07/01/2013 062713S8 546.00 Invoice: 13-Jul-04 478-Shawn McLendon 546.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85974 TOTAL: 3,369.00 85975 06/27/2013 PRTD 100405 John Zarakowski 13-Jul 07/01/2013 062713S8 861.00 Invoice: 13-Jul 809-Nancy Husid 861.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85975 TOTAL: 861.00 85976 06/27/2013 PRTD 101386 Karen E. Coyle/Cheryl A. Bevingto 13-Jul 07/01/2013 062713S8 984.00 Invoice: 13-Jul 422-Beulah Affue 984.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85976 TOTAL: 984.0006/27/2013 14:02 |CULVER CITY |PG 13 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85977 06/27/2013 PRTD 102110 Kate Yoak 13-Jul 07/01/2013 062713S8 654.00 Invoice: 13-Jul 521-Talmazan 654.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85977 TOTAL: 654.00 85978 06/27/2013 PRTD 100449 Ken McClung 13-Jul 07/01/2013 062713S8 479.00 Invoice: 13-Jul C-376-Ronald Mass 479.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85978 TOTAL: 479.00 85979 06/27/2013 PRTD 100152 Kenneth Higa 13-Jul 07/01/2013 062713S8 530.00 Invoice: 13-Jul 556-Maricela Barrera 530.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85979 TOTAL: 530.00 85980 06/27/2013 PRTD 105219 Keswick Pacific LLC 13-Jul-03 07/01/2013 062713S8 155.00 Invoice: 13-Jul-03 492-Tameko Taylor 155.00 42650510 618520 Rent Subsidy Pmts-Voucher Keswick Pacific LLC 13-Jul-04 07/01/2013 062713S8 1,243.00 Invoice: 13-Jul-04 492-Tameko Taylor 1,243.00 42650510 618520 Rent Subsidy Pmts-Voucher Keswick Pacific LLC 13-Jul-05 07/01/2013 062713S8 1,193.00 Invoice: 13-Jul-05 311-Yvette Ward 1,193.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85980 TOTAL: 2,591.00 85981 06/27/2013 PRTD 100185 Kinston Ltd 13-Jul 07/01/2013 062713S8 543.00 Invoice: 13-Jul 391-Petra Velasco 543.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85981 TOTAL: 543.00 85982 06/27/2013 PRTD 100421 Lateef Sholebo 13-Jul-02 07/01/2013 062713S8 1,041.00 Invoice: 13-Jul-02 360-Frank Howard 1,041.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85982 TOTAL: 1,041.0006/27/2013 14:02 |CULVER CITY |PG 14 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85983 06/27/2013 PRTD 100752 Laurette Lanier 13-Jul 07/01/2013 062713S8 1,014.00 Invoice: 13-Jul 496-Kevin Davis 1,014.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85983 TOTAL: 1,014.00 85984 06/27/2013 PRTD 107780 Lazaro Jesus Gonzalez 13-Jul 07/01/2013 062713S8 906.00 Invoice: 13-Jul 393-Sofia Hernandez 906.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85984 TOTAL: 906.00 85985 06/27/2013 PRTD 100760 Life Steps Foundation Inc 13-Jul 07/01/2013 062713S8 642.00 Invoice: 13-Jul 494-Ismael A. Ponce 642.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85985 TOTAL: 642.00 85986 06/27/2013 PRTD 103604 Lucerne Apartments 13-Jul 07/01/2013 062713S8 1,058.00 Invoice: 13-Jul 553-Carrie Russell 1,058.00 42650510 618520 Rent Subsidy Pmts-Voucher Lucerne Apartments 13-Jul-02 07/01/2013 062713S8 1,342.00 Invoice: 13-Jul-02 559-N. Hassan 1,342.00 42650510 618520 Rent Subsidy Pmts-Voucher Lucerne Apartments 13-Jul-03 07/01/2013 062713S8 932.00 Invoice: 13-Jul-03 576-Carrie Pringle 932.00 42650510 618520 Rent Subsidy Pmts-Voucher Lucerne Apartments 13-Jul-04 07/01/2013 062713S8 890.00 Invoice: 13-Jul-04 868-S. Saad 890.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85986 TOTAL: 4,222.00 85987 06/27/2013 PRTD 101349 Luis M Luna 13-Jul-03 07/01/2013 062713S8 993.00 Invoice: 13-Jul-03 837-Eugenia Ortiz 993.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85987 TOTAL: 993.00 85988 06/27/2013 PRTD 100344 Maida Sulejmanagic 13-Jul 07/01/2013 062713S8 949.00 Invoice: 13-Jul C-379-N. Oskollai 949.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 15 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 85988 TOTAL: 949.00 85989 06/27/2013 PRTD 100381 Margaret Wahlrab 13-Jul-02 07/01/2013 062713S8 813.00 Invoice: 13-Jul-02 527-M. Escobedo 813.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85989 TOTAL: 813.00 85990 06/27/2013 PRTD 107341 Marhow Real Estate II, LLC 13-Jul 07/01/2013 062713S8 891.00 Invoice: 13-Jul 567-Maria Espinoza 891.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85990 TOTAL: 891.00 85991 06/27/2013 PRTD 100428 McGowan Family Trust 13-Jul-02 07/01/2013 062713S8 823.00 Invoice: 13-Jul-02 C-419 Y.Hearns 823.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85991 TOTAL: 823.00 85992 06/27/2013 PRTD 100435 Minerva Gonzalez 13-Jul 07/01/2013 062713S8 934.00 Invoice: 13-Jul 834-Barbara Jackson 934.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85992 TOTAL: 934.00 85993 06/27/2013 PRTD 100445 SC Real Estate Investments 13-Jul 07/01/2013 062713S8 828.00 Invoice: 13-Jul 480-M. Johnson 828.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85993 TOTAL: 828.00 85994 06/27/2013 PRTD 100440 Only US Inc 13-Jul 07/01/2013 062713S8 698.00 Invoice: 13-Jul 395-Rosa Cavalieri 698.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85994 TOTAL: 698.00 85995 06/27/2013 PRTD 100806 Parvez Commissariat 13-Jul 07/01/2013 062713S8 743.00 Invoice: 13-Jul 300-Angel Galli 743.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85995 TOTAL: 743.0006/27/2013 14:02 |CULVER CITY |PG 16 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 85996 06/27/2013 PRTD 102297 Patricia L Simpson 13-Jul 07/01/2013 062713S8 1,200.00 Invoice: 13-Jul 814-Sawyer 1,200.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85996 TOTAL: 1,200.00 85997 06/27/2013 PRTD 103430 Ray and Eleonore Meline 13-Jul 07/01/2013 062713S8 1,233.00 Invoice: 13-Jul 583-Suarez 1,233.00 42650510 618520 Rent Subsidy Pmts-Voucher Ray and Eleonore Meline 13-Jul-02 07/01/2013 062713S8 723.00 Invoice: 13-Jul-02 929- G. Salazar 723.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85997 TOTAL: 1,956.00 85998 06/27/2013 PRTD 104734 Richard McGinnis 13-Jul-02 07/01/2013 062713S8 955.00 Invoice: 13-Jul-02 858-G. Nunez 955.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85998 TOTAL: 955.00 85999 06/27/2013 PRTD 103669 Rita Pollak 13-Jul 07/01/2013 062713S8 1,291.00 Invoice: 13-Jul 497-T. Johnson 1,291.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 85999 TOTAL: 1,291.00 86000 06/27/2013 PRTD 103413 Rona Barsoum 13-Jul 07/01/2013 062713S8 991.00 Invoice: 13-Jul 475-Iraida Echevarria 991.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86000 TOTAL: 991.00 86001 06/27/2013 PRTD 100234 Sabas or Elizabeth Moreno 13-Jul 07/01/2013 062713S8 943.00 Invoice: 13-Jul 816-Hoa Huynh 943.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86001 TOTAL: 943.00 86002 06/27/2013 PRTD 101374 Scott E Chestnut 13-Jul 07/01/2013 062713S8 742.00 Invoice: 13-Jul 402-Mejano-Mejia 742.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 17 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 86002 TOTAL: 742.00 86003 06/27/2013 PRTD 102077 Tameika Gardner 13-Jul 07/01/2013 062713S8 1,567.00 Invoice: 13-Jul 526-Cathy Gambrell 1,567.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86003 TOTAL: 1,567.00 86004 06/27/2013 PRTD 101642 The Wade Apartments 13-Jul 07/01/2013 062713S8 1,107.00 Invoice: 13-Jul 860-C&R Helms 1,107.00 42650510 618520 Rent Subsidy Pmts-Voucher The Wade Apartments 13-Jul-02 07/01/2013 062713S8 1,029.00 Invoice: 13-Jul-02 438-Maria Castillo 1,029.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86004 TOTAL: 2,136.00 86005 06/27/2013 PRTD 104835 Thomas & Janice Szujewski 13-Jul-02 07/01/2013 062713S8 821.00 Invoice: 13-Jul-02 817-Josefa Garcia Padron 821.00 42650510 618520 Rent Subsidy Pmts-Voucher Thomas & Janice Szujewski 13-Jul-03 07/01/2013 062713S8 837.00 Invoice: 13-Jul-03 434-Richardson 837.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86005 TOTAL: 1,658.00 86006 06/27/2013 PRTD 102004 Venice Blvd Apartments 13-Jul 07/01/2013 062713S8 943.00 Invoice: 13-Jul 466-M. Kean 943.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86006 TOTAL: 943.00 86007 06/27/2013 PRTD 100040 Wallyne M Boone 13-Jul 07/01/2013 062713S8 837.00 Invoice: 13-Jul 447-Choudhry 837.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86007 TOTAL: 837.00 86008 06/27/2013 PRTD 100273 Wayne or Elsie Pon 13-Jul 07/01/2013 062713S8 661.00 Invoice: 13-Jul 305-Gudnara Gonzalez 661.00 42650510 618520 Rent Subsidy Pmts-Voucher 06/27/2013 14:02 |CULVER CITY |PG 18 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 86008 TOTAL: 661.00 86009 06/27/2013 PRTD 104571 William A Bragg Living Trust 13-Jul 07/01/2013 062713S8 1,350.00 Invoice: 13-Jul 315-Tamiko Cade 1,350.00 42650510 618520 Rent Subsidy Pmts-Voucher William A Bragg Living Trust 13-Jul-02 07/01/2013 062713S8 864.00 Invoice: 13-Jul-02 337-Yvette Hughley 864.00 42650510 618520 Rent Subsidy Pmts-Voucher William A Bragg Living Trust 13-Jul-03 07/01/2013 062713S8 320.00 Invoice: 13-Jul-03 921-Joan Palmer 320.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86009 TOTAL: 2,534.00 86010 06/27/2013 PRTD 101235 William Bruce Moore 13-Jul 07/01/2013 062713S8 547.00 Invoice: 13-Jul 429-Underwood 547.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86010 TOTAL: 547.00 86011 06/27/2013 PRTD 100840 Zeferino Montenegro 13-Jul 07/01/2013 062713S8 717.00 Invoice: 13-Jul 343-I. De La Fuente 717.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86011 TOTAL: 717.00 86012 06/27/2013 PRTD 100553 Zofia Wiacek 13-Jul 07/01/2013 062713S8 1,068.00 Invoice: 13-Jul 838-Frank Crespin 1,068.00 42650510 618520 Rent Subsidy Pmts-Voucher CHECK 86012 TOTAL: 1,068.00 NUMBER OF CHECKS 94 *** CASH ACCOUNT TOTAL *** 134,007.74 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 94 134,007.74 *** GRAND TOTAL *** 134,007.7406/19/2013 15:20 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105410 Cash - Successor Agency CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 400080 06/19/2013 PRTD 100180 Kane Ballmer and Berkman 19075 05/09/2013 061913SA 655.71 Invoice: 19075 Legal Svcs thru 04/30/13 655.71 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 19084 05/06/2013 061913SA 21.50 Invoice: 19084 Re: Combined Properties Inc DDA 21.50 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 19085 05/06/2013 061913SA 519.00 Invoice: 19085 Ref: Rush Pacifica LLC vs CCRD 519.00 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 19088 05/06/2013 061913SA 360.00 Invoice: 19088 Ref: Project III/Parcel B 360.00 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 18995 04/04/2013 061913SA 8,443.50 Invoice: 18995 Ref: SA Operations 8,443.50 59190000 619800 Other Contractual Services CHECK 400080 TOTAL: 9,999.71 400081 06/19/2013 PRTD 100834 US Bank 3404633 05/24/2013 21303440 061913SA 3,000.00 Invoice: 3404633 Admin Fees Acct. 785395000 3,000.00 56855010 820300 Fiscal Agent Bond Fees US Bank 3403962 05/24/2013 21303440 061913SA 2,275.00 Invoice: 3403962 Admin Fees Acct. 94434910 2,275.00 56855010 820300 Fiscal Agent Bond Fees CHECK 400081 TOTAL: 5,275.00 NUMBER OF CHECKS 2 *** CASH ACCOUNT TOTAL *** 15,274.71 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 2 15,274.71 *** GRAND TOTAL *** 15,274.7106/26/2013 15:07 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105410 Cash - Successor Agency CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 400082 06/26/2013 PRTD 100180 Kane Ballmer and Berkman 19087 05/07/2013 062613SA 21,409.76 Invoice: 19087 Ref: SA Operations 21,409.76 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19161 06/10/2013 062613SA 732.86 Invoice: 19161 Legal Services thru 05/31/13 732.86 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19170 06/07/2013 062613SA 17,504.75 Invoice: 19170 Ref: SA Operations 17,504.75 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19172 06/06/2013 062613SA 70.00 Invoice: 19172 Ref: CC & CC Red Ag vs. Pascarella-UGO's CAFE 70.00 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19173 06/06/2013 062613SA 8,834.87 Invoice: 19173 Ref: RPTTF Litigation Reduction 8,834.87 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 18999 04/04/2013 062613SA 14,525.75 Invoice: 18999 Ref: RPTTF Litigation Reduction 14,525.75 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19090 05/06/2013 062613SA 26,802.28 Invoice: 19090 Ref: RPTTF Litigation Reduction 26,802.28 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19086 05/06/2013 062613SA 2,055.00 Invoice: 19086 Ref: Washington National 2,055.00 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 19169 06/06/2013 062613SA 2,132.00 Invoice: 19169 Ref: Washington National 2,132.00 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 19241 06/18/2013 062613SA 6,131.50 Invoice: 19241 Ref: Washington National 6,131.50 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 18905 03/07/2013 062613SA 9,707.00 Invoice: 18905 Ref: RPTTF Litigation Reduction 9,707.00 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19171 06/06/2013 062613SA 9,117.00 Invoice: 19171 Ref: OFA DDR Litigation 9,117.00 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19242 06/20/2013 062613SA 1,900.00 Invoice: 19242 Ref: SA Operations 1,900.00 59190000 619800 Other Contractual Services 06/26/2013 15:07 |CULVER CITY |PG 2 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105410 Cash - Successor Agency CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ Kane Ballmer and Berkman 19244 06/18/2013 062613SA 19,003.00 Invoice: 19244 Ref: OFA DDR Litigation 19,003.00 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19246 06/18/2013 062613SA 164.00 Invoice: 19246 Ref: RPTTF Litigation Reduction 164.00 59190000 619800 Other Contractual Services Kane Ballmer and Berkman 19243 06/18/2013 062613SA 300.00 Invoice: 19243 Ref: Project III/Parcel B 300.00 59190010 611600 Legal Services - Miscellaneous Kane Ballmer and Berkman 19245 06/18/2013 062613SA 784.00 Invoice: 19245 Ref: CC & CC Red Ag vs Pascarella 784.00 59190010 611600 Legal Services - Miscellaneous CHECK 400082 TOTAL: 141,173.77 400083 06/26/2013 PRTD 101229 Kristi Callan 9389 06/11/2013 062613SA 150.00 Invoice: 9389 Meeting Minute Transcription 150.00 59190000 517000 City Commission Expenses CHECK 400083 TOTAL: 150.00 NUMBER OF CHECKS 2 *** CASH ACCOUNT TOTAL *** 141,323.77 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 2 141,323.77 *** GRAND TOTAL *** 141,323.7706/19/2013 15:20 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 700922 06/19/2013 PRTD 101730 Language Line Services Inc 3168296 05/31/2013 21302195 061913HA 51.95 Invoice: 3168296 GENERAL SERVICES 51.95 47650710 619800 Other Contractual Services CHECK 700922 TOTAL: 51.95 700923 06/19/2013 PRTD 101329 St Joseph Center 2013-11-HO 06/10/2013 061913HA 7,258.23 Invoice: 2013-11-HO Summary Invoice: May 2013 7,258.23 47650710 619800 Other Contractual Services CHECK 700923 TOTAL: 7,258.23 NUMBER OF CHECKS 2 *** CASH ACCOUNT TOTAL *** 7,310.18 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 2 7,310.18 *** GRAND TOTAL *** 7,310.1806/26/2013 15:07 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 700924 06/26/2013 PRTD 101229 Kristi Callan 9390 06/11/2013 062613HA 150.00 Invoice: 9390 Meeting Minute Transcription 150.00 47650710 517000 City Commission Expenses CHECK 700924 TOTAL: 150.00 700925 06/26/2013 PRTD 100381 Margaret Wahlrab 13-JunRE 06/01/2013 062613HA 958.00 Invoice: 13-JunRE 041-Chambers 958.00 47650720 618200 Rap Grants CHECK 700925 TOTAL: 958.00 NUMBER OF CHECKS 2 *** CASH ACCOUNT TOTAL *** 1,108.00 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 2 1,108.00 *** GRAND TOTAL *** 1,108.0006/27/2013 14:01 |CULVER CITY |PG 1 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 700926 06/27/2013 PRTD 102517 10054 Culver LLC 13-Jul 07/01/2013 062713HA 760.00 Invoice: 13-Jul 049-Pamela Ross 760.00 47650720 618200 Rap Grants CHECK 700926 TOTAL: 760.00 700927 06/27/2013 PRTD 101310 3836 College Avenue LLC 13-Jul 07/01/2013 062713HA 845.00 Invoice: 13-Jul 007-J. Rosa 845.00 47650720 618200 Rap Grants 3836 College Avenue LLC 13-Jul-02 07/01/2013 062713HA 947.00 Invoice: 13-Jul-02 040-Bairu 947.00 47650720 618200 Rap Grants CHECK 700927 TOTAL: 1,792.00 700928 06/27/2013 PRTD 104605 9612-9622 Lucerne LLC 13-Jul 07/01/2013 062713HA 1,163.00 Invoice: 13-Jul 94-Johnson 1,163.00 47650720 618200 Rap Grants 9612-9622 Lucerne LLC 13-Jul-02 07/01/2013 062713HA 788.00 Invoice: 13-Jul-02 84-Logsdon 788.00 47650720 618200 Rap Grants CHECK 700928 TOTAL: 1,951.00 700929 06/27/2013 PRTD 104283 Asela Jumao-As 13-Jul 07/01/2013 062713HA 916.00 Invoice: 13-Jul 093-Omoye Ogbeiwi 916.00 47650720 618200 Rap Grants CHECK 700929 TOTAL: 916.00 700930 06/27/2013 PRTD 104041 Conte Family Trust 13-Jul 07/01/2013 062713HA 791.00 Invoice: 13-Jul 44-Lewis 791.00 47650720 618200 Rap Grants CHECK 700930 TOTAL: 791.00 700931 06/27/2013 PRTD 103001 Dan Milder 13-Jul 07/01/2013 062713HA 786.00 Invoice: 13-Jul 76-Sharon Finch 786.00 47650720 618200 Rap Grants Dan Milder 13-Jul-02 07/01/2013 062713HA 652.00 Invoice: 13-Jul-02 069-Wendy Taylor 652.00 47650720 618200 Rap Grants 06/27/2013 14:01 |CULVER CITY |PG 2 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 700931 TOTAL: 1,438.00 700932 06/27/2013 PRTD 104702 Daniel W. Austin 13-Jul 07/01/2013 062713HA 650.00 Invoice: 13-Jul 105-Ryan Porter 650.00 47650720 618200 Rap Grants CHECK 700932 TOTAL: 650.00 700933 06/27/2013 PRTD 105994 Gary Duboff 13-Jul 07/01/2013 062713HA 866.00 Invoice: 13-Jul 61 Caruso 866.00 47650720 618200 Rap Grants CHECK 700933 TOTAL: 866.00 700934 06/27/2013 PRTD 103231 DW Properties 13-Jul 07/01/2013 062713HA 206.00 Invoice: 13-Jul 33-Tapia & Diaz 206.00 47650720 618200 Rap Grants CHECK 700934 TOTAL: 206.00 700935 06/27/2013 PRTD 100925 Eugene A Tkachenko, Trustee 13-Jul 07/01/2013 062713HA 1,200.00 Invoice: 13-Jul 34-Ball 1,200.00 47650720 618200 Rap Grants Eugene A Tkachenko, Trustee 13-Jul-02 07/01/2013 062713HA 568.00 Invoice: 13-Jul-02 031- Jaele Davis 568.00 47650720 618200 Rap Grants Eugene A Tkachenko, Trustee 13-Jul-03 07/01/2013 062713HA 807.00 Invoice: 13-Jul-03 081- A. Hill 807.00 47650720 618200 Rap Grants Eugene A Tkachenko, Trustee 13-Jul-04 07/01/2013 062713HA 718.00 Invoice: 13-Jul-04 51-Millard 718.00 47650720 618200 Rap Grants Eugene A Tkachenko, Trustee 13-Jul-05 07/01/2013 062713HA 414.00 Invoice: 13-Jul-05 67-Sata 414.00 47650720 618200 Rap Grants CHECK 700935 TOTAL: 3,707.00 700936 06/27/2013 PRTD 103353 Ezie Isaac 13-Jul 07/01/2013 062713HA 1,839.00 Invoice: 13-Jul 70-Manjra 1,839.00 47650720 618200 Rap Grants 06/27/2013 14:01 |CULVER CITY |PG 3 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 700936 TOTAL: 1,839.00 700937 06/27/2013 PRTD 100306 Francisca Saunders 13-Jul 07/01/2013 062713HA 792.00 Invoice: 13-Jul 011-Lawrence Perez 792.00 47650720 618200 Rap Grants CHECK 700937 TOTAL: 792.00 700938 06/27/2013 PRTD 101353 Frank Perez 13-Jul 07/01/2013 062713HA 561.00 Invoice: 13-Jul 019-Soto 561.00 47650720 618200 Rap Grants CHECK 700938 TOTAL: 561.00 700939 06/27/2013 PRTD 100130 Freeman Property Management 13-Jul 07/01/2013 062713HA 648.00 Invoice: 13-Jul 89-Juarez 648.00 47650720 618200 Rap Grants CHECK 700939 TOTAL: 648.00 700940 06/27/2013 PRTD 100385 Gary or Diana Weber 13-Jul 07/01/2013 062713HA 961.00 Invoice: 13-Jul 095-De Leon 961.00 47650720 618200 Rap Grants Gary or Diana Weber 13-Jul-02 07/01/2013 062713HA 950.00 Invoice: 13-Jul-02 027-Kristen Hooks 950.00 47650720 618200 Rap Grants Gary or Diana Weber 13-Jul-03 07/01/2013 062713HA 639.00 Invoice: 13-Jul-03 077-O. Iverson 639.00 47650720 618200 Rap Grants CHECK 700940 TOTAL: 2,550.00 700941 06/27/2013 PRTD 100404 George Young 13-Jul 07/01/2013 062713HA 846.00 Invoice: 13-Jul 064-Rosa Sanchez 846.00 47650720 618200 Rap Grants CHECK 700941 TOTAL: 846.00 700942 06/27/2013 PRTD 101647 German Esparza 13-Jul 07/01/2013 062713HA 431.00 Invoice: 13-Jul 104-Gonzalez 431.00 47650720 618200 Rap Grants German Esparza 13-Jul-02 07/01/2013 062713HA 947.00 Invoice: 13-Jul-02 17-Corcoran 06/27/2013 14:01 |CULVER CITY |PG 4 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 947.00 47650720 618200 Rap Grants CHECK 700942 TOTAL: 1,378.00 700943 06/27/2013 PRTD 107451 Arnoldo Adrian Gonzalez 13-Jul 07/01/2013 062713HA 802.00 Invoice: 13-Jul 056- Chanda Free 802.00 47650720 618200 Rap Grants CHECK 700943 TOTAL: 802.00 700944 06/27/2013 PRTD 101032 Green Valley Circle 13-Jul 07/01/2013 062713HA 911.00 Invoice: 13-Jul 021-J.Jenkins 911.00 47650720 618200 Rap Grants CHECK 700944 TOTAL: 911.00 700945 06/27/2013 PRTD 103232 Hauge Properties Ltd Partnership 13-Jul 07/01/2013 062713HA 848.00 Invoice: 13-Jul 25-Valdievieso 848.00 47650720 618200 Rap Grants CHECK 700945 TOTAL: 848.00 700946 06/27/2013 PRTD 100181 Howard or MarilynKaplan 13-Jul 07/01/2013 062713HA 452.00 Invoice: 13-Jul 109 - C. Reyna 452.00 47650720 618200 Rap Grants CHECK 700946 TOTAL: 452.00 700947 06/27/2013 PRTD 105141 Humberta Garde Wade Apts 13-Jul 07/01/2013 062713HA 1,020.00 Invoice: 13-Jul 053-Carlene Harris 1,020.00 47650720 618200 Rap Grants CHECK 700947 TOTAL: 1,020.00 700948 06/27/2013 PRTD 100447 Isabelle Ashodian 13-Jul 07/01/2013 062713HA 959.00 Invoice: 13-Jul 009-Mario Arguelles 959.00 47650720 618200 Rap Grants Isabelle Ashodian 13-Jul-02 07/01/2013 062713HA 847.00 Invoice: 13-Jul-02 112 June Badon 847.00 47650720 618200 Rap Grants Isabelle Ashodian 13-Jul-03 07/01/2013 062713HA 827.00 Invoice: 13-Jul-03 63-Linda St. Julien 827.00 47650720 618200 Rap Grants 06/27/2013 14:01 |CULVER CITY |PG 5 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 700948 TOTAL: 2,633.00 700949 06/27/2013 PRTD 105219 Keswick Pacific LLC 13-Jul 07/01/2013 062713HA 1,396.00 Invoice: 13-Jul 080-Arlisha Adkison 1,396.00 47650720 618200 Rap Grants Keswick Pacific LLC 13-Jul-02 07/01/2013 062713HA 811.00 Invoice: 13-Jul-02 022-C. Hawthorne 811.00 47650720 618200 Rap Grants CHECK 700949 TOTAL: 2,207.00 700950 06/27/2013 PRTD 100421 Lateef Sholebo 13-Jul 07/01/2013 062713HA 1,317.00 Invoice: 13-Jul 055-T. Barona 1,317.00 47650720 618200 Rap Grants CHECK 700950 TOTAL: 1,317.00 700951 06/27/2013 PRTD 101349 Luis M Luna 13-Jul 07/01/2013 062713HA 986.00 Invoice: 13-Jul 074-Canete 986.00 47650720 618200 Rap Grants Luis M Luna 13-Jul-02 07/01/2013 062713HA 659.00 Invoice: 13-Jul-02 114-De La Fuente 659.00 47650720 618200 Rap Grants CHECK 700951 TOTAL: 1,645.00 700952 06/27/2013 PRTD 107879 MAGIJ, LLC 13-Jul 07/01/2013 062713HA 901.00 Invoice: 13-Jul 038- Looie Wheaton 901.00 47650720 618200 Rap Grants CHECK 700952 TOTAL: 901.00 700953 06/27/2013 PRTD 100381 Margaret Wahlrab 13-Jul 07/01/2013 062713HA 958.00 Invoice: 13-Jul 041-Chambers 958.00 47650720 618200 Rap Grants CHECK 700953 TOTAL: 958.00 700954 06/27/2013 PRTD 100428 McGowan Family Trust 13-Jul 07/01/2013 062713HA 465.00 Invoice: 13-Jul 072-Lillian Mitchell 465.00 47650720 618200 Rap Grants 06/27/2013 14:01 |CULVER CITY |PG 6 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ CHECK 700954 TOTAL: 465.00 700955 06/27/2013 PRTD 101201 Michael Sarlo 13-Jul 07/01/2013 062713HA 921.00 Invoice: 13-Jul 030-Louise Martin 921.00 47650720 618200 Rap Grants CHECK 700955 TOTAL: 921.00 700956 06/27/2013 PRTD 101241 Mohammad S Hanafi 13-Jul 07/01/2013 062713HA 861.00 Invoice: 13-Jul 073--R. Thomas 861.00 47650720 618200 Rap Grants CHECK 700956 TOTAL: 861.00 700957 06/27/2013 PRTD 101022 Nahil Chaghouri 13-Jul 07/01/2013 062713HA 1,681.00 Invoice: 13-Jul 89-Ferrand 1,681.00 47650720 618200 Rap Grants CHECK 700957 TOTAL: 1,681.00 700958 06/27/2013 PRTD 104734 Richard McGinnis 13-Jul 07/01/2013 062713HA 947.00 Invoice: 13-Jul 113-L. Bessette 947.00 47650720 618200 Rap Grants CHECK 700958 TOTAL: 947.00 700959 06/27/2013 PRTD 104781 Richard Stern 13-Jul 07/01/2013 062713HA 918.00 Invoice: 13-Jul 071-Brenda Brooks 918.00 47650720 618200 Rap Grants CHECK 700959 TOTAL: 918.00 700960 06/27/2013 PRTD 100312 Rosalind Sein 13-Jul 07/01/2013 062713HA 860.00 Invoice: 13-Jul 052-Vanessa Dulac 860.00 47650720 618200 Rap Grants CHECK 700960 TOTAL: 860.00 700961 06/27/2013 PRTD 105121 Saunders & Saunders 13-Jul 07/01/2013 062713HA 838.00 Invoice: 13-Jul 102-Irving Miller 838.00 47650720 618200 Rap Grants CHECK 700961 TOTAL: 838.0006/27/2013 14:01 |CULVER CITY |PG 7 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 700962 06/27/2013 PRTD 100032 Sheri Barber 13-Jul 07/01/2013 062713HA 1,642.00 Invoice: 13-Jul 029-Gia Edwards 1,642.00 47650720 618200 Rap Grants CHECK 700962 TOTAL: 1,642.00 700963 06/27/2013 PRTD 105637 Stanley West 13-Jul 07/01/2013 062713HA 947.00 Invoice: 13-Jul 086-K. Ramsey 947.00 47650720 618200 Rap Grants CHECK 700963 TOTAL: 947.00 700964 06/27/2013 PRTD 103425 Stephanie De Menezes 13-Jul 07/01/2013 062713HA 966.00 Invoice: 13-Jul 3- Gigi Edwards 966.00 47650720 618200 Rap Grants CHECK 700964 TOTAL: 966.00 700965 06/27/2013 PRTD 100345 Subha Suleman 13-Jul 07/01/2013 062713HA 1,268.00 Invoice: 13-Jul 084-S. McClelland 1,268.00 47650720 618200 Rap Grants CHECK 700965 TOTAL: 1,268.00 700966 06/27/2013 PRTD 104835 Thomas & Janice Szujewski 13-Jul 07/01/2013 062713HA 1,050.00 Invoice: 13-Jul 107- S. Pinkard 1,050.00 47650720 618200 Rap Grants CHECK 700966 TOTAL: 1,050.00 700967 06/27/2013 PRTD 100647 Timothy/Guadalupe Freitas 13-Jul 07/01/2013 062713HA 478.00 Invoice: 13-Jul 092-Eady 478.00 47650720 618200 Rap Grants CHECK 700967 TOTAL: 478.00 700968 06/27/2013 PRTD 103352 Vishesh M Sharma 13-Jul 07/01/2013 062713HA 1,247.00 Invoice: 13-Jul 23-Mosa 1,247.00 47650720 618200 Rap Grants CHECK 700968 TOTAL: 1,247.0006/27/2013 14:01 |CULVER CITY |PG 8 mary.noller |A/P CASH DISBURSEMENTS JOURNAL |apcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET INVOICE DTL DESC ____________________________________________________________________________________________________________________________________ 700969 06/27/2013 PRTD 101225 Welcome Incorporated 13-Jul 07/01/2013 062713HA 1,366.00 Invoice: 13-Jul 005-Kathleen McTeague 1,366.00 47650720 618200 Rap Grants CHECK 700969 TOTAL: 1,366.00 NUMBER OF CHECKS 44 *** CASH ACCOUNT TOTAL *** 51,840.00 COUNT AMOUNT ______ _________________ TOTAL PRINTED CHECKS 44 51,840.00 *** GRAND TOTAL *** 51,840.00