Legislation Details

File #: HIST-20426    Version: 1 Subject:
Type: Historical Status: Consent Agenda
In control: Housing Authority Board
On agenda: 8/13/2012 Final action: 8/13/2012
Title: JOINT CITY COUNCIL/CULVER CITY HOUSING AUTHORITY/SUCCESSOR AGENCY TO THE CULVER CITY REDEVELOPMENT AGENCY AGENDA ITEM: Cash Disbursements for July 14, 2012 - August 3, 2012.
Attachments: 1. JOINT CITY COUNCIL/CULVER CITY HOUSING AUTHORITY/S - JC-1__12-08-13 Cash Disbursements Registers.pdf
City of Culver City INTER-OFFICE CORRESPONDENCE Date: To: From: Subject: August 13, 2012 Honorable Mayor and City Council Jeff Muir, Chief Financial Officer City, Section 8, CCRDA Successor Agency and CC Housing Authority Registers Attached are the following check registers: • CITY dates from July 14, 2012 to August 3, 2012; check #1s 256447-256932 & Direct Deposit Ws 5001-5402 • SECTION 8 dates from July 14, 2012 to August 3, 2012; check #'s 84763-84858 • CCRDA SUCCESSOR AGENCY dates from July 14, 2012 to August 3, 2012; check #'s 400034-400035 • CC HOUSING AUTHORITY dates from July 14, 2012 to August 3, 2012; check #'s 700303-700352 Notes: 1) The EFT register and check register dated 07/30/12 are combined. See separate total for checks and EFT's on pg. 43. WE HEREBY RECEIVE ANT) PILE WARRANTS #256447-256932, #5001-5402, #84763-84858,400034 400035 AND #700303-700352 ALL IN TEE AMOUNT OF 84,995,457.33 By: Finance and Judiciary Committee ig Culver City Employees take pride in effectively providing the highest levels of service to enrich the quality of life for the community by building on our tradition of more than ninety years of public service, by our present commitment, and by our dedication to meet the challenges of the future. PRINTED ON RECYCLED PAPER IPG 1 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET 0E00835107 0E00835108 06/30/2012 21200193 071812CC 06/30/2012 21200289 071812CC CHECK 256447 TOTAL: 1,975.00 1,150.00 3,125.00 0710 06/30/2012 21200065 071812CC 587.50 CHECK 256448 TOTAL: 587.50 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256447 07/18/2012 PRTD 101261 Aerotek Aerotek 256448 07/18/2012 PRTD 103318 Aeryn Donnelly 256449 07/18/2012 PRTD 100994 Aramark uniform Services Aramark Uniform Services Aramark uniform Services Aramark Uniform Services Aramark Uniform Services Aramark uniform Services Aramark Uniform Services Aramark uniform Services Aramark Uniform Services Aramark Uniform Services Aramark uniform Services Aramark Uniform Services Aramark uniform Services Aramark Uniform Services Aramark uniform Services 502-6757687 502-7024992 502-7043410 502-6757684 502-7024989 502-7043407 502-6757685 502-7024990 502-7043408 502-6757686 502-7024991 502-7043409 502-6757688 502-7024993 502-7043411 03/13/2012 06/19/2012 06/26/2012 03/13/2012 06/19/2012 06/26/2012 03/13/2012 06/19/2012 06/26/2012 03/13/2012 06/19/2012 06/26/2012 03/13/2012 06/19/2012 06/26/2012 21200290 21200290 21200290 21200206 21200206 21200206 21200265 21200265 21200265 21200213 21200213 21200213 21200213 21200213 21200213 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC CHECK 256449 TOTAL: 25.00 25.00 25.00 40.55 40.55 43.55 20.97 20.97 20.97 22.65 22.65 22.65 30.30 30.30 30.30 421.41 256450 07/18/2012 PRTD 101436 Barry Kurtz, PE BK063012 06/30/2012 21200142 071812CC 3,600.00 CHECK 256450 TOTAL: 3,600.00 07/18/2012 16:01 ICULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 2 Iapcshdsb NET 256451 07/18/2012 PRTD 101080 Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Becnel Uniforms uniforms Uniforms uniforms Uniforms Uniforms uniforms Uniforms uniforms Uniforms uniforms Uniforms Uniforms uniforms Uniforms uniforms Uniforms uniforms uniforms Uniforms uniforms Uniforms uniforms Uniforms Uniforms 60072 60084 60125 60124 60124CR 60214 60214CR 60296 60296CR 60329 60329CR 60330 60357 60359 60359CR 60358 60371 60372 60383 60383CR 60382 60382CR 60384 60385 60385CR 06/18/2012 21200345 071812CC 06/19/2012 21200345 071812CC 06/21/2012 21200345 071812CC 06/21/2012 21200345 071812CC 06/21/2012 21200345 071812CC 06/23/2012 21200345 071812CC 06/23/2012 21200345 071812CC 06/26/2012 21200345 071812CC 06/26/2012 21200345 071812CC 06/27/2012 21200345 071812CC 06/27/2012 21200345 071812CC 06/27/2012 21200345 071812CC 06/28/2012 21200345 071812CC 06/28/2012 21200345 071812CC 06/28/2012 21200345 071812CC 06/28/2012 21200345 071812CC 06/29/2012 21200345 071812CC 06/29/2012 21200345 071812CC 06/30/2012 21200345 071812CC 06/30/2012 21200345 071812CC 06/30/2012 21200345 071812CC 06/30/2012 21200345 071812CC 06/30/2012 21200345 071812CC 06/30/2012 21200345 071812CC 06/30/2012 21200345 071812CC 160.36 207.66 515.26 363.18 -13.18 171.56 -57.10 99.40 -1.05 515.32 -1.15 287.80 260.62 70.58 -5.61 271.11 52.09 85.76 290.26 -.18 111.47 -.23 202.12 326.26 -.06 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 3 lapcshdsb NET CHECK 256451 TOTAL: 3,912.25 256452 07/18/2012 FRTD 104558 Bosco Legal Services Inc Bosco Legal Services Inc Bosco Legal Services Inc 256453 07/18/2012 FRTD 100932 Bound Tree medical Bound Tree Medical Bound Tree medical 99431 100733 101276 80793206 80796532 80799130 06/12/2012 21200015 071812CC 06/27/2012 21200015 071812CC 06/30/2012 21200015 071812CC CHECK 256452 TOTAL: 06/11/2012 21200110 071812CC 06/13/2012 21200110 071812CC 06/15/2012 21200107 071812CC CHECK 256453 TOTAL: 116.35 368.55 370.58 855.48 86.78 86.78 276.12 449.68 256454 07/18/2012 PRTD 106346 Michael Bowden 256455 07/18/2012 PRTD 106504 Roger Braum 256456 07/18/2012 PRTD 105887 Derek Brown 256457 07/18/2012 PRTD 107257 Cascade Fire Equipment Co 256458 07/18/2012 PRTD 100077 Complete Coach works Complete Coach Works Complete Coach works Complete Coach Works Complete Coach Works Complete Coach works 60228 05/18/2012 21200686 071812CC CHECK 256454 TOTAL: 60000 05/18/2012 21200687 071812CC CHECK 256455 TOTAL: HSm305 05/18/2012 21200706 071812CC CHECK 256456 TOTAL: 44651 06/14/2012 21200618 071812CC CHECK 256457 TOTAL: 59118 06/18/2012 21200357 071812CC 59122 06/19/2012 21200357 071812CC 59135 06/19/2012 21200357 071812CC 59167 06/25/2012 21200357 071812CC 59205 06/30/2012 21200357 071812CC 59216 06/30/2012 21200357 071812CC 125.00 125.00 150.00 150.00 300.00 300.00 1,113.92 1,113.92 10,858.65 10,858.65 10,858.65 10,858.65 10,858.65 10,858.65 INVOICE INV DATE PO CHECK RUN NET 59235 06/30/2012 21200357 071812CC CHECK 256458 TOTAL: 659 06/30/2012 21200378 071812CC CHECK 256459 TOTAL: 10,858.65 76,010.55 4,800.00 4,800.00 256460 07/18/2012 PRTD 100486 Culver City Downtown Business Ass 07102012 071812CC 12,378.60 12,378.60 CHECK 256460 TOTAL: 05/30/2012 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME Complete Coach Works 256459 07/18/2012 PRTD 102231 Creelman and Associates 256461 07/18/2012 PRTD 101779 Davis Fluorescent Davis Fluorescent 256463 07/18/2012 PRTD 103108 Ecko Green USA 256464 07/18/2012 PRTD 100498 Ecolab Inc 256465 07/18/2012 PRTD 101925 Erasure Co Erasure Co Erasure Co 256466 07/18/2012 PRTD 100593 Fleetpride 06/29/2012 21200523 071812CC CHECK 256462 TOTAL: 06/25/2012 21200691 071812CC CHECK 256464 TOTAL: 06/11/2012 21200491 071812CC 06/11/2012 21200491 071812CC 06/11/2012 21200491 071812CC CHECK 256465 TOTAL: 06/26/2012 21200694 071812CC CHECK 256466 TOTAL: 39.15 119.62 158.77 13,847.78 13,847.78 1,435.34 1,435.34 963.32 963.32 126.55 237.52 155.62 519.69 1,017.79 1,017.79 30213 06/27/2012 21200273 071812CC 30199 06/26/2012 21200273 071812CC CHECK 256461 TOTAL: 9028810 221-061012A 221-061012B 221-061012C 48539536 256462 07/18/2012 PRTD 101435 Deloitte Financial Advisory Servi 8001697012 IPG 4 lapcshdsb 15975 06/27/2012 21200693 071812CC CHECK 256463 TOTAL: 07/18/2012 16:01 ICuLvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256467 07/18/2012 PRTD 102306 Fleming Environmental Inc IPG 5 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET 8051 06/28/2012 21200105 071812CC 270.00 CHECK 256467 TOTAL: 270.00 256468 07/18/2012 PRTD 100134 Galls Galls Galls Galls Retail Retail Retail Retail Lock Box Lock Box Lock Box Lock Box 247284 248181 250117 250983 06/13/2012 21200095 071812CC 06/14/2012 21200095 071812CC 06/26/2012 21200095 071812CC 06/29/2012 21200095 071812CC CHECK 256468 TOTAL: 163.11 141.36 141.36 141.36 587.19 256469 07/18/2012 PRTD 101418 Golden Golden Golden Golden State Water State Water State water State Water Company Company Company Company 0064340000/0712 1525340000/0712 8954340000/0712 4381410000/0712 06/21/2012 06/21/2012 06/21/2012 06/21/2012 CHECK 071812CC 071812Cc 071812CC 071812CC 256469 TOTAL: 109.23 30.45 246.90 734.55 1,121.13 781.07 781.07 256470 07/18/2012 PRTD 104069 Graffiti Removal Inc 19473 06/27/2012 21200254 071812CC CHECK 256470 TOTAL: 256471 07/18/2012 PRTD 100142 Graingers Graingers Graingers Graingers Graingers Graingers Graingers 9852456293 9852661405 9857972971 9858690572 9862708030 9863735537 9866203723 06/13/2012 21200162 06/13/2012 21200162 06/20/2012 21200162 06/21/2012 21200162 06/26/2012 21200162 06/27/2012 21200162 06/29/2012 21200162 071812Cc 071812CC 071812CC 071812Cc 071812CC 071812Cc 071812CC 1,446.58 1,189.77 2,469.59 1,137.87 78.18 223.68 3.76 6,549.43 CHECK 256471 TOTAL: IPG 6 lapcshdsb INVOICE INV DATE PO CHECK RUN NET 06/30/2012 21200442 071812CC 04/13/2012 21200344 071812CC CHECK 256472 TOTAL: 06/11/2012 21200695 071812CC 06/25/2012 21200695 071812CC 06/25/2012 21200695 071812CC CHECK 256474 TOTAL: 5,754.88 727.54 6,482.42 6,461.77 6,461.77 993.82 74.93 92.82 1,161.57 COI308660 COI 308517 L529206 L530164 L530249 S006791770.001 06/19/2012 21200229 071812CC CHECK 256473 TOTAL: 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256472 07/18/2012 PRTD 105210 GST Inc GST Inc 256473 07/18/2012 PRTD 100146 Hajoca Corp 256474 07/18/2012 PRTD 100157 Howard Industries Howard Industries Howard Industries 256475 07/18/2012 PRTD 101815 Independent Medical Sales and Ser 2012081 256476 07/18/2012 PRTD 100180 Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman 06/28/2012 21200098 071812CC 1,265.75 1,265.75 1,680.00 123.50 336.00 670.00 4,683.50 7,493.00 CHECK 256475 TOTAL: 18155 06/30/2012 21200546 071812CC 18130 06/14/2012 21200561 071812CC 18133 06/19/2012 21200561 071812CC 18151 06/30/2012 21200575 071812CC 18153 06/30/2012 21200577 071812CC CHECK 256476 TOTAL: 256477 07/18/2012 PRTD 100461 Keyser Marston Associates Inc 0025243 06/30/2012 21200522 071812CC 280.00 CHECK 256477 TOTAL: 280.00 256478 07/18/2012 PRTD 105470 Kimley-Horn and Associates, Inc 4817206 05/31/2012 21200570 071812CC 6,202.75 CHECK 256478 TOTAL: 6,202.75 256480 07/18/2012 PRTD 100193 LN Curtis LN Curtis LN Curtis LN Curtis LN Curtis and Sons and Sons and Sons and Sons and Sons 6034978-01 6035237-00 6035276-03 6035276-00 6033827-01 256482 07/18/2012 PRTD 103672 marina Landscape Inc Marina Landscape Inc Marina Landscape Inc marina Landscape Inc Marina Landscape Inc marina Landscape Inc Marina Landscape Inc 8574061200-3 8574061200-1 8574061200-4 8574061200-5 8574061200-7 8574061200-8 8574061200-9 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256479 07/18/2012 PRTD 102037 KOA Corporation KOA Corporation IPG 7 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET JB11167X6 05/31/2012 21200548 071812CC 2,995.50 JB11077x3 05/31/2012 21200578 071812CC 4,600.00 CHECK 256479 TOTAL: 7,595.50 06/08/2012 21200096 071812CC 06/25/2012 21200100 071812CC 06/27/2012 21200096 071812CC 06/29/2012 21200096 071812CC 06/30/2012 21200096 071812CC CHECK 256480 TOTAL: 06/27/2012 21200671 071812CC CHECK 256481 TOTAL: 06/30/2012 21200520 071812CC 06/30/2012 21200500 071812CC 06/30/2012 21200532 071812CC 06/30/2012 21200547 071812CC 06/30/2012 21200560 071812CC 06/30/2012 21200545 071812CC 06/30/2012 21200540 071812CC CHECK 256482 TOTAL: 219.17 770.02 345.83 1,390.70 139.20 2,864.92 398.34 398.34 329.00 47.00 560.00 208.25 94.00 300.00 188.00 1,726.25 256481 07/18/2012 PRTD 106579 Solve Loken 06272012 256483 07/18/2012 PRTD 106649 Travis Marshall 050412 06/12/2012 21200660 071812CC 96.98 CHECK 256483 TOTAL: 96.98 256484 07/18/2012 PRTD 101221 Michelle Johnson Springl2Paralega133 02/09/2012 21200672 071812CC 214.19 Michelle Johnson Springl2Paralegall9 06/30/2012 21200673 071812CC 211.98 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 8 lapcshdsb NET CHECK 256484 TOTAL: 426.17 256485 07/18/2012 PRTD 104640 Monica Bradley 256486 07/18/2012 PRTD 100236 Motorola 256487 07/18/2012 PRTD 100705 Natural Gas Systems Inc 256488 07/18/2012 PRTD 100253 New Flyer of America 256489 07/18/2012 PRTD 105375 O'Rorke, Inc O'Rorke, Inc June5-6REIM 05/18/2012 21200688 071812CC CHECK 256485 TOTAL: 91012649 06/25/2012 21200117 071812CC CHECK 256486 TOTAL: 2314 06/30/2012 21200351 071812CC CHECK 256487 TOTAL: 9085465 06/27/2012 21200192 071812CC CHECK 256488 TOTAL: 5559 03/31/2012 21200753 071812CC 5584 04/30/2012 21200753 071812CC CHECK 256489 TOTAL: 299.00 299.00 16,269.00 16,269.00 1,310.00 1,310.00 134.08 134.08 9,181.08 2,982.50 12,163.58 256490 07/18/2012 PRTD 100000 June Doy 071012 06/30/2012 071812CC 75.00 CHECK 256490 TOTAL: 75.00 256491 07/18/2012 PRTD 101326 Pacific Alarm Systems Inc Pacific Alarm Systems Inc 256492 07/18/2012 PRTD 100270 Phillips Steel Co 2204193 2204305 138794 06/22/2012 21200529 071812CC 06/29/2012 21200529 071812CC CHECK 256491 TOTAL: 06/14/2012 21200697 071812CC CHECK 256492 TOTAL: 250.00 230.00 480.00 383.67 383.67 256493 07/18/2012 PRTD 102158 Quinn company PC810595648 06/13/2012 21200698 071812CC 897.51 CHECK 256493 TOTAL: 897.51 07/18/2012 16:01 ICULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256494 07/18/2012 PRTD 104454 RAPCO Industries Inc IPG 9 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET 057438 06/07/2012 21200181 071812CC 1,565.18 CHECK 256494 TOTAL: 1,565.18 256495 07/18/2012 PRTD 105250 Ray Gaskin Service 26008 06/18/2012 21200699 071812CC 543.75 CHECK 256495 TOTAL: 543.75 256496 07/18/2012 PRTD 101096 Refrigeration Supplies Distributo 56099290-00 03/05/2012 21200269 071812CC 171.18 Refrigeration Supplies Distributo 56103168-00 06/27/2012 21200269 071812CC 8.00 CHECK 256496 TOTAL: 179.18 256497 07/18/2012 PRTD 104238 Regency Testing Inc 53074 06/13/2012 21200722 071812CC 435.00 CHECK 256497 TOTAL: 435.00 256498 07/18/2012 PRTD 101227 RTI Consulting Inc CCPW012-04 06/20/2012 21200303 071812CC 11,617.95 CHECK 256498 TOTAL: 11,617.95 05/18/2012 21200711 071812CC 05/18/2012 21200712 071812CC 05/18/2012 21200715 071812CC 05/18/2012 21200714 071812CC CHECK 256499 TOTAL: 04/05/2012 21200472 071812CC 04/05/2012 21200448 071812CC CHECK 256500 TOTAL: 185.00 125.00 180.00 125.00 615.00 8,185.30 10,537.93 18,723.23 256499 07/18/2012 PRTD 105757 Brian Savage 59438 Brian Savage 64250 Brian Savage C110898 Brian Savage 59440 256500 07/18/2012 PRTD 106549 Sequel Contractors Inc P-428-RET Sequel Contractors Inc P-428-RET-BAL 256501 07/18/2012 PRTD 106272 Marcos Simental 60002 05/18/2012 21200685 071812CC 190.00 CHECK 256501 TOTAL: 190.00 2277568788/0712 2184454916/0712 2024512824/0712 2331227504/0712 2024511198/0712 2024507576/0712 2065617490/0712 2024534117/0712 2024507410/0712 2260885306/0712 2024503336/0712 2249611773/0712 2250388113/0712 2024538308/0712 2325840270/0712 2024539066/0712 2024535734/0712 2024534521/0712 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256502 07/18/2012 PRTD 107508 Sit N Sleep 256503 07/18/2012 PRTD 100328 South Coast Air Quality Mgmt Dist 2501906 South Coast Air Quality mgmt Dist 2504887 South Coast Air Quality Mgmt Dist 2495791 South Coast Air Quality mgmt Dist 2497716 256504 07/18/2012 PRTD 100331 Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison IPG 10 lapcshdsb NET 9,000.24 9,000.24 310.85 115.56 310.85 115.56 852.82 98.51 318.66 107.16 34.55 285.93 58.25 73.21 4,268.65 180.76 66.92 40.54 242.58 17.63 78.55 53.49 47.16 40.66 481.16 CHECK 256502 TOTAL: 06/21/2012 21200720 071812CC 06/21/2012 21200720 071812CC 06/05/2012 21200528 071812CC 06/05/2012 21200528 071812CC CHECK 256503 TOTAL: INVOICE INV DATE PO CHECK RUN 111662670 05/27/2012 21200616 071812CC 07/18/2012 16:01 'CULVER CITY 'PG 11 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET Southern California Edison Southern California Edison southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison 2024529695/0712 2024521734/0712 2024523227/0712 2024506792/0712 2024506081/0712 2024508335/0712 2024506446/0712 2024519647/0712 2024523714/0712 2024523490/0712 2024504664/0712 2314237264/0712 2241777838/0712 2024505844/0712 2024504185/0712 2024519456/0712 2024522872/0712 2024507212/0712 2024506222/0712 2024522336/0712 2024506628/0712 2024512394/0712 2024517971/0712 2024518318/0712 2024524191/0712 2024524480/0712 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 071812Cc 071812CC 071812cc 071812CC 071812cc 071812CC 071812CC 071812cc 071812CC 071812cc 071812CC 071812CC 071812Cc 071812CC 071812cc 071812CC 071812cc 071812CC 071812CC 071812cc 071812CC 071812cc 071812CC 071812cc 071812Cc 071812CC 45.16 16.78 91.92 69.62 42.59 30.11 44.43 18.95 42.66 38.32 230.39 1,433.31 4,629.47 51.00 34.49 333.13 52.50 191.76 40.86 132.68 24.44 44.27 116.11 39.49 313.10 16.75 07/18/2012 16:01 'CULVER CITY 'PG 12 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET Southern California Edison Southern California Edison southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison southern California Edison Southern California Edison southern California Edison Southern California Edison Southern California Edison 2099144701/0712 2250388253/0712 2024511863/0712 2024513715/0712 2024518888/0712 2346049943/0712 2024509416/0712 2024527657/0712 2327856522/0712 2327856233/0712 2327855557/0712 2327855458/0712 2024532657/0712 2024533028/0712 2277802096/0712 2096636527/0712 2011991999/0712 2325780898/0712 2115779035/0712 2024539330/0712 2198573032/0712 2024530115/0712 2253253561/0712 2011992005/0712 2028573038/0712 2024530321/0712 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 06/23/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 071812cc 071812CC 071812cc 071812CC 071812cc 071812CC 071812CC 071812cc 071812CC 071812cc 071812CC 071812CC 071812cc 071812CC 071812cc 071812CC 071812cc 071812CC 071812CC 071812cc 071812CC 071812cc 071812CC 071812cc 071812cc 071812CC 14.15 293.02 45.33 59.25 34.00 161.19 93.13 39.90 36.58 58.27 78.23 47.88 96.64 1,418.50 92.84 24.98 2,817.52 25.67 39.84 48.97 2,190.13 38.31 42.48 34,486.05 32.37 42.25 07/18/2012 16:01 'CULVER CITY 'PG 13 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison 2024530875/0712 2024538498/0712 2261260301/0712 2024532186/0712 2024532285/0712 2024538720/0712 2024538621/0712 2024533168/0712 2024532830/0712 2024535650/0712 2024535429/0712 2024537219/0712 2024536310/0712 2024535585/0712 2333092344/0712 2293324570/0712 2024535841/0712 2024520017/0712 2024520405/0712 2024520835/0712 2024522021/0712 2024527376/0712 2024538837/0712 2024539926/0712 2024531105/0712 2024521254/0712 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 07/07/2012 071812Cc 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812Cc 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812CC 071812Cc 071812CC 44.35 36.44 84.14 40.06 132.63 525.77 308.01 57.41 41.27 40.14 42.45 110.00 39.60 39.69 62.12 344.43 61.02 44.49 38.30 46.60 36.16 24.42 53.19 2,873.59 41.10 44.07 2024505034/0712 2023582255/0712 916458 06/30/2012 21200713 071812CC 07/07/2012 07/07/2012 CHECK 071812Cc 071812CC 256504 TOTAL: CHECK RUN INV DATE PO INVOICE 256510 07/18/2012 PRTD 100490 The The The The The The The The Gas company Gas Company Gas Company Gas Company Gas Company Gas Company Gas Company Gas Company IPG 14 Iapcshdsb NET 33.93 130.76 62,352.28 5,469.00 5,469.00 303.46 303.46 675.93 675.93 2,568.85 2,568.85 483.09 483.09 170.38 27.69 142.37 89.21 16.51 1,514.47 803.35 21.67 2,785.65 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME Southern California Edison Southern California Edison 256505 07/18/2012 PRTD 100340 State of California 256506 07/18/2012 PRTD 100340 State of California 256507 07/18/2012 PRTD 107522 The Supply Cache 256508 07/18/2012 PRTD 107521 Tako Tyko Signs & Lighting 256509 07/18/2012 PRTD 100352 Talley Communications Corp CHECK 256505 TOTAL: 23374 06/15/2012 21200668 071812CC CHECK 256506 TOTAL: T6567 005.14228 10093302 0317034600/0712 1640033700/0712 1913761216/0712 1621040100/0712 1262032100/0712 0443034600/0712 1179035200/0712 0359034600/0712 06/25/2012 06/25/2012 06/25/2012 06/25/2012 06/25/2012 06/25/2012 06/25/2012 06/25/2012 CHECK 071812Cc 071812CC 071812CC 071812CC 071812CC 071812Cc 071812CC 071812Cc 256510 TOTAL: 06/13/2012 21200647 071812CC CHECK 256507 TOTAL: 05/31/2012 21200645 071812CC CHECK 256508 TOTAL: 06/08/2012 21200130 071812CC CHECK 256509 TOTAL: 07/18/2012 16:01 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 15 lapcshdsb NET 256511 07/18/2012 PRTD 107278 Turner & Sons Co 256512 07/18/2012 PRTD 105452 Tyler Technologies, Inc Tyler Technologies, Inc Tyler Technologies, Inc Tyler Technologies, Inc Tyler Technologies, Inc Tyler Technologies, Inc 256513 07/18/2012 PRTD 101729 US Healthworks US HealthWorks US HealthWorks 256514 07/18/2012 PRTD 100406 Zee Medical Service Inc zee medical Service Inc 100258-01 045-67879 045-67880 045-67881 045-68380 045-68250 045-69148 2104958-CA 2101898-CA 2108430-CA 0140344654 0140344653 NUMBER OF CHECKS 68 05/17/2012 21200643 071812CC CHECK 256511 TOTAL: 06/07/2012 21200440 071812CC 06/08/2012 21200440 071812CC 06/08/2012 21200440 071812CC 06/18/2012 21200440 071812CC 06/14/2012 21200440 071812CC 06/27/2012 21200440 071812CC CHECK 256512 TOTAL: 06/15/2012 21200101 071812CC 06/08/2012 21200101 071812CC 06/22/2012 21200101 071812CC CHECK 256513 TOTAL: 06/20/2012 21200209 071812CC 06/20/2012 21200143 071812CC CHECK 256514 TOTAL: 2,900.00 2,900.00 8,833.05 4,198.83 5,231.32 5,547.05 2,892.30 13,800.00 40,502.55 200.00 909.00 144.00 1,253.00 77.12 61.32 138.44 *** CASH ACCOUNT TOTAL *** 372,702.76 COUNT AMOUNT TOTAL PRINTED CHECKS 68 372,702.76 *** GRAND TOTAL *** 372,702.76 NET IPG 1 Iapcshdsb INVOICE CHECK RUN INV DATE PO 07/18/2012 16:01 ICULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 07/16/2012 21300044 071813CC 07/17/2012 21300044 071813CC CHECK 256515 TOTAL: 07/02/2012 21300023 071813CC 1,215.89 322.26 1,538.15 127,685.00 256516 07/18/2012 PRTD 100053 California Transit Insurance Pool CAL2012-0010 256515 07/18/2012 PRTD 100008 Advanced Battery Systems Advanced Battery Systems 285066 285207 07/11/2012 21300043 071813CC 07/10/2012 21300043 071813CC CHECK 256517 TOTAL: 16149 207.02 51.75 258.77 16115 507651 507832 507932 508210 508431 1,410.96 9.72 17.39 30.44 4.79 1,473.30 07/06/2012 21300051 071813CC 07/07/2012 21300051 071813CC 07/09/2012 21300051 071813CC 07/10/2012 21300051 071813CC 07/11/2012 21300051 071813CC CHECK 256518 TOTAL: 07/09/2012 21300047 071813CC 07/16/2012 21300047 071813CC CHECK 256519 TOTAL: 9.48 27.72 37.20 LB126171 LB126390 7/23/2012-7/27/2012 07/18/2012 21300074 071813CC CHECK 256520 TOTAL: 396.52 396.52 CHECK 256516 TOTAL: 127,685.00 256517 07/18/2012 PRTD 103108 Ecko Green USA Ecko Green USA 256518 07/18/2012 PRTD 100512 Eddings Bros Auto Parts Inc Eddings Bros Auto Parts Inc Eddings Bros Auto Parts Inc Eddings Bros Auto Parts Inc Eddings Bros Auto Parts Inc 256519 07/18/2012 PRTD 100129 Franklin Truck Parts Franklin Truck Parts 256520 07/18/2012 PRTD 106146 Johnnie Griffing 256521 07/18/2012 PRTD 100578 Peter Hernandez 756.66 CHECK 256521 TOTAL: 8/6/12-8/8/12 07/05/2012 21300025 071813CC 756.66 07/18/2012 16:01 'CULVER CITY 'PG 2 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb NUMBER OF CHECKS 7 *** CASH ACCOUNT TOTAL *** 132,145.60 COUNT AMOUNT TOTAL PRINTED CHECKS 7 132,145.60 *** GRAND TOTAL *** 132,145.60 07/19/2012 13:48 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 lapcshdsb NET 256522 07/19/2012 PRTD 100503 AT and T 3406151 06/30/2012 071912cc 11,717.17 CHECK 256522 TOTAL: 11,717.17 256523 07/19/2012 PRTD 100503 AT and T 256524 07/19/2012 PRTD 100503 AT and T 256525 07/19/2012 PRTD 101070 AT and T mobility AT and T mobility AT and T mobility 256526 07/19/2012 PRTD 104385 city of Los Angeles City of Los Angeles City of Los Angeles City of Los Angeles City of Los Angeles 256527 07/19/2012 PRTD 101418 Golden State water Company Golden state water company Golden State water Company Golden state water company 06/30/2012 21200718 071912cc 06/30/2012 21200657 071912CC 06/30/2012 21200719 071912cc CHECK 256525 TOTAL: 07/19/2012 21200665 071912cc 07/19/2012 21200663 071912CC 07/19/2012 071912cc 06/30/2012 21200759 071912CC 06/30/2012 21200670 071912CC CHECK 256526 TOTAL: 06/30/2012 21200702 071912CC 06/30/2012 21200757 071912cc 06/30/2012 21200755 071912CC 06/30/2012 21200756 071912cc CHECK 256527 TOTAL: 3482168 06/30/2012 21200776 071912cc 353.09 CHECK 256523 TOTAL: 353.09 3102046933/712 06/30/2012 21200707 071912cc 111.84 CHECK 256524 TOTAL: 111.84 829477976x06192012 870459777x06162012 993189474x06192012 12850wA5HIBL712 12475wAsHINBL712 4307mccoNNELLBL/712 9070VENICEBLB/712 133761/4wASH.BL712 0438840000/712 3480120000/712 6204320000/712 6402010000/712 111.74 36.36 36.13 184.23 89.10 120.56 23.61 160.74 123.32 517.33 4.63 32.07 30.45 116.54 183.69 256528 07/19/2012 PRTD 100161 icmA Retirement Trust-457 11133 06/30/2012 071912cc 553.30 07/19/2012 13:48 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 2 lapcshdsb NET CHECK 256528 TOTAL: 553.30 256529 07/19/2012 PRTD 103468 Pacific Telemanagement Services 407914 06/30/2012 071912CC 436.62 CHECK 256529 TOTAL: 436.62 CHECK 256530 TOTAL: 256530 07/19/2012 PRTD 100331 Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison 2136655313/712 2249399965/0712 2194274395/712 2200932283/712 2237261987/712 2024503617/712 2024506958/712 2024539736/712 2024508962/712 2251812707/712 2024510331/712 2208468447/712 06/30/2012 06/30/2012 06/30/2012 06/30/2012 07/19/2012 06/30/2012 06/30/2012 06/30/2012 06/30/2012 06/30/2012 06/30/2012 06/30/2012 3,006.16 4,488.55 2,301.57 2,371.92 53.58 58.70 354.97 964.91 451.66 23.46 1,604.35 7,946.72 23,626.55 21200727 071912CC 21200709 071912CC 21200704 071912CC 21200703 071912CC 21200705 071912CC 21200674 071912CC 21200674 071912CC 21200674 071912CC 21200674 071912CC 21200717 071912CC 21200721 071912CC 21200710 071912CC 256531 07/19/2012 PRTD 101674 verizon 3101970631/0712 06/30/2012 071912CC 1,513.82 CHECK 256531 TOTAL: 1,513.82 NUMBER OF CHECKS 10 *** CASH ACCOUNT TOTAL *** 39,197.64 COUNT AMOUNT TOTAL PRINTED CHECKS 10 39,197.64 *** GRAND TOTAL *** 39,197.64 07/19/2012 13:48 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 lapcshdsb NET 256532 07/19/2012 PRTD 100715 AmeriFlex LLC PYDY072012 07/19/2012 071913CC 6,243.74 CHECK 256532 TOTAL: 6,243.74 256533 07/19/2012 PRTD 101393 Amy Morgan Teel 256534 07/19/2012 PRTD 100143 Bonita Jean Lewis 256535 07/19/2012 PRTD 100258 Cal PERS 256536 07/19/2012 PRTD 105142 Cindy M Diaz 256537 07/19/2012 PRTD 100707 County of Los Angeles County of Los Angeles ALLEMP10202617 07/20/2012 071913CC CHECK 256533 TOTAL: ALLEMP1020262 07/20/2012 071913CC CHECK 256534 TOTAL: 8824980 07/19/2012 071913CC CHECK 256535 TOTAL: ALLEMP10202661 07/20/2012 071913CC CHECK 256536 TOTAL: ALLEMP1020264 07/20/2012 071913CC ALLEmP1020265 07/20/2012 071913CC CHECK 256537 TOTAL: 573.00 573.00 106.25 106.25 486.01 486.01 382.50 382.50 608.61 73.55 682.16 256538 07/19/2012 PRTD 100090 Culver City Credit union PYDY072012 07/19/2012 071913CC 95,868.58 CHECK 256538 TOTAL: 95,868.58 256539 07/19/2012 PRTD 105836 Culver City Employees Association PYDY072012 07/19/2012 071913CC 3,500.00 CHECK 256539 TOTAL: 3,500.00 256540 07/19/2012 PRTD 105837 Culver City Fire Management PYDY072012 07/19/2012 071913CC 105.00 CHECK 256540 TOTAL: 105.00 256541 07/19/2012 PRTD 100092 Culver City Firefighters #1927 PYDY072012 07/19/2012 071913CC 3,292.02 CHECK 256541 TOTAL: 3,292.02 1-KmA 7/15/12 2-ICMA 7/15/12 3-ICMA 7/15/12 4-ICmA 7/15/12 5-ICMA 7/15/12 6-ICmA 7/15/12 7-ICMA 7/15/12 8-ICmA 7/15/12 9-ICMA 7/15/12 10-ICMA 7/15/12 11-ICmA 7/15/12 12-ICMA 7/15/12 13-ICmA 7/15/12 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 275.00 259.50 259.50 237.50 237.50 40,477.13 450.00 34,258.50 753.00 1,255.04 810.75 292.25 21,289.08 2,606.00 6,002.00 337.00 13,395.00 112.00 CHECK 256544 TOTAL: ALLEmP10202667 07/20/2012 ALLEmP10202616 07/20/2012 CHECK 256545 TOTAL: CHECK 256546 TOTAL: 07/19/2012 13:48 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 2 lapcshdsb NET 256542 07/19/2012 PRTD 105839 Culver City Management Group PYDY072012 256543 07/19/2012 PRTD 105841 Culver City Police Association PYDY072012 256544 07/19/2012 PRTD 105842 Culver City Police Management Gro PYDY072012 256545 07/19/2012 PRTD 107417 Cindy Eckert 256546 07/19/2012 PRTD 101291 Edelmira De La Garza Williams 256547 07/19/2012 PRTD 100161 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICmA Retirement Trust-457 ICMA Retirement Trust-457 ICmA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICmA Retirement Trust-457 ICMA Retirement Trust-457 ID% Retirement Trust-457 07/19/2012 071913CC 559.00 CHECK 256542 TOTAL: 559.00 07/19/2012 071913CC 9,311.33 CHECK 256543 TOTAL: 9,311.33 07/19/2012 071913CC 275.00 07/19/2012 13:48 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN 'PG 3 lapcshdsb NET ICMA Retirement Trust-457 ICMA Retirement ICMA Retirement ICMA Retirement ICMA Retirement ICMA Retirement ICMA Retirement ICMA Retirement Trust-457 Trust-457 Trust-457 Trust-457 Trust-457 Trust-457 Trust-457 14-ICMA 15-ICMA 16-ICMA 17-ICMA 18-ICMA 19-ICMA 20-ICMA 21-ICMA 7/15/12 7/15/12 7/15/12 7/15/12 7/15/12 7/15/12 7/15/12 7/15/12 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 07/19/2012 CHECK 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 256547 TOTAL: 198.00 1,535.81 2,580.31 669.23 5,096.10 501.00 1,430.70 1,923.07 135,971.97 256548 07/19/2012 PRTD 104182 Internal Revenue Service 256549 07/19/2012 PRTD 104182 Internal Revenue Service 256550 07/19/2012 PRTD 104182 Internal Revenue Service 256551 07/19/2012 PRTD 105693 Anne E. Larson 256552 07/19/2012 PRTD 101420 Maria Summers 256553 07/19/2012 PRTD 101519 Mieah Edwards 256554 07/19/2012 PRTD 105552 Miriam Gutierrez Miriam Gutierrez ALLEMP10202659 07/20/2012 071913CC CHECK 256548 TOTAL: ALLEMP10202615 07/20/2012 071913CC CHECK 256549 TOTAL: ALLEMP10202619 07/20/2012 071913CC CHECK 256550 TOTAL: ALLEMP10202666 07/20/2012 071913CC CHECK 256551 TOTAL: ALLEMP10202618 07/20/2012 071913CC CHECK 256552 TOTAL: ALLEMP10202621 07/20/2012 071913CC CHECK 256553 TOTAL: ALLEMP10202664 07/20/2012 071913CC ALLEMP10202662 07/20/2012 071913CC 125.00 125.00 125.00 125.00 50.00 50.00 1,939.50 1,939.50 400.00 400.00 11.00 11.00 61.00 127.00 II-II 11- II-: 07/20/2012 071913CC CHECK 256555 TOTAL: 07/19/2012 21300070 071913CC 07/19/2012 21300070 071913CC 07/19/2012 21300070 071913CC 07/19/2012 21300035 071913CC CHECK 256556 TOTAL: 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 CHECK 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 256557 TOTAL: 07/19/2012 13:48 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 4 Iapcshdsb NET Miriam Gutierrez ALLEMP10202663 07/20/2012 071913CC 10.00 256555 07/19/2012 PRTD 100084 Sharon Renee Courtney 256556 07/19/2012 PRTD 100331 Southern California Edison Southern California Edison Southern California Edison Southern California Edison 256557 07/19/2012 PRTD 100340 State of California State of California State of California State of California State of California State of California State of California State of California State of California 256558 07/19/2012 PRTD 100340 State of California 256559 07/19/2012 PRTD 100340 State of California State of California ALLEMP1020261 2337782874/712 2123086019/712 2024537573/712 1-2013 ALLEmP10202613 ALLEMP10202614 ALLEmP1020266 ALLEMP10202610 ALLEMP10202611 ALLEmP10202612 ALLEMP1020267 ALLEmP1020268 ALLEMP1020269 ALLEMP10202658 ALLEmP10202655 198.00 332.50 332.50 2,573.31 2.71 318.75 9,832.22 12,726.99 35.00 395.89 150.00 37.50 140.00 534.16 478.50 150.00 50.00 1,971.05 396.58 396.58 192.00 49.93 07/20/2012 071913CC 07/20/2012 071913CC ALLEMP10202620 07/20/2012 071913CC CHECK 256558 TOTAL: 07/19/2012 13:48 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 5 lapcshdsb NET State of California ALLEMP10202656 07/20/2012 071913CC 257.00 State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California ALLEmP10202657 ALLEMP10202652 ALLEMP10202653 ALLEmP10202654 ALLEMP10202649 ALLEmP10202650 ALLEMP10202651 ALLEmP10202646 ALLEMP10202647 ALLEMP10202648 ALLEmP10202643 ALLEMP10202644 ALLEmP10202645 ALLEMP10202640 ALLEMP10202641 ALLEmP10202642 ALLEMP10202637 ALLEmP10202638 ALLEMP10202639 ALLEmP10202634 ALLEMP10202635 ALLEMP10202636 ALLEmP10202631 ALLEMP10202632 ALLEmP10202633 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 93.75 44.75 64.00 4.48 222.00 13.43 4.48 160.62 273.50 162.50 500.00 200.00 261.50 255.00 426.00 109.00 46.61 324.50 169.50 207.69 277.38 240.00 92.31 350.00 231.00 07/19/2012 13:48 ICULvER CITY IPG 6 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET State of California State of California State of California State of California State of California State of California State of California State of California State of California 256560 07/19/2012 PRTD 100490 The Gas Company 256561 07/19/2012 PRTD 100183 Traci 0 Kellum ALLEMP10202628 ALLEmP10202629 ALLEMP10202630 ALLEMP10202625 ALLEmP10202626 ALLEMP10202627 ALLEmP10202622 ALLEMP10202623 ALLEmP10202624 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 07/20/2012 CHECK 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 071913CC 256559 TOTAL: 299.50 134.00 312.50 492.50 269.53 300.50 44.65 405.69 715.38 8,207.18 33,749.44 33,749.44 516.00 516.00 1-2013GC 07/19/2012 21300057 071913CC CHECK 256560 TOTAL: ALLEmP1020263 07/20/2012 071913CC CHECK 256561 TOTAL: 256562 07/19/2012 PRTD 102117 union Bank of California NA 256563 07/19/2012 PRTD 104990 Virginia Lynn Lay 256564 07/19/2012 PRTD 105609 Yvonne M Newton 256565 07/19/2012 PRTD 105777 Carmen zarate PYDY072012 07/19/2012 071913CC 4,678.80 CHECK 256562 TOTAL: 4,678.80 ALLEmP10202660 07/20/2012 071913CC 625.00 CHECK 256563 TOTAL: 625.00 ALLEmP10202665 07/20/2012 071913CC 950.00 CHECK 256564 TOTAL: 950.00 FY12/13 07/19/2012 21300026 071913CC 500.00 CHECK 256565 TOTAL: 500.00 07/19/2012 13:48 'CULVER CITY 'PG 7 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb NUMBER OF CHECKS 34 *** CASH ACCOUNT TOTAL *** 325,355.60 COUNT AMOUNT TOTAL PRINTED CHECKS 34 325,355.60 *** GRAND TOTAL *** 325,355.60 NET IPG 1 Iapcshdsb INVOICE CHECK RUN INV DATE PO 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 10394 06/12/2012 21200745 072512CC 256566 07/25/2012 PRTD 101489 21st Century Lock and Key 50.95 50.95 CHECK 256566 TOTAL: 06/19/2012 21200744 072512CC 256567 07/25/2012 PRTD 103623 A T S Culver City Auto Trim 45.00 INV4198 45.00 CHECK 256567 TOTAL: 06/07/2012 21200752 072512CC 06/11/2012 21200283 072512CC CHECK 256568 TOTAL: 256568 07/25/2012 PRTD 100624 AAA Flag and Banner MFG Co Inc 5949512 AAA Flag and Banner MFG Co Inc 5949721 538.31 350.00 888.31 06/30/2012 21200193 072512CC 06/21/2012 21200342 072512CC CHECK 256569 TOTAL: 256569 07/25/2012 PRTD 101261 Aerotek Aerotek 1,800.00 364.25 2,164.25 0E00837134 0005864909 05/29/2012 21200735 072512CC 06/20/2012 21200751 072512CC CHECK 256570 TOTAL: 1047 892.13 4,007.84 4,899.97 1057 256570 07/25/2012 PRTD 107275 All Fleet Collision All Fleet Collision 256571 07/25/2012 PRTD 102667 Amano McGann Inc 256572 07/25/2012 PRTD 107515 Ameron Pole Products 256573 07/25/2012 PRTD 100994 Aramark uniform Services Aramark Uniform Services Aramark uniform Services Aramark Uniform Services Aramark Uniform Services 50071222 502-6776629 502-7025001 502-7043419 502-7061822 502-7061823 05/07/2012 21200635 072512CC CHECK 256572 TOTAL: 03/20/2012 21200675 072512CC 06/19/2012 21200675 072512CC 06/26/2012 21200675 072512CC 06/30/2012 21200317 072512CC 06/30/2012 21200724 072512CC 2,615.75 2,615.75 5,600.67 5,600.67 17.80 17.80 17.80 23.84 140.14 INVC006546WATSEKA 09/19/2011 21200517 072512CC CHECK 256571 TOTAL: 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN 'PG 2 lapcshdsb NET CHECK 256573 TOTAL: 217.38 256574 07/25/2012 PRTD 101358 ASAP Lock and Key Corp 50042 09/28/2011 21200764 072512CC 30.00 CHECK 256574 TOTAL: 30.00 256575 07/25/2012 PRTD 105717 Baker Commodities dba The Grease 201444 04/03/2012 21200216 072512CC 200.00 CHECK 256575 TOTAL: 200.00 256576 07/25/2012 PRTD 100037 Beverly Hills Cab Co JUN-12 Beverly Hills Cab Co JUN-12-A 256577 07/25/2012 PRTD 101565 California Panther Security Inc 72605 06/30/2012 21200314 072512CC 06/30/2012 21200314 072512CC CHECK 256576 TOTAL: 06/30/2012 21200353 072512CC CHECK 256577 TOTAL: 24.00 29.00 53.00 4,050.00 4,050.00 256578 07/25/2012 PRTD 100060 Carlos Guzman Inc Carlos Guzman Inc 256579 07/25/2012 PRTD 100855 Cedars-Sinai Medical Center 256580 07/25/2012 PRTD 103698 Chiquita Canyon Inc 256581 07/25/2012 PRTD 104385 City of Los Angeles 256582 07/25/2012 PRTD 100989 CleanStreet cleanstreet 24191 04/03/2012 21200774 072512CC 24192 04/03/2012 21200773 072512CC CHECK 256578 TOTAL: 201 06/30/2012 21200021 072512CC CHECK 256579 TOTAL: 3706 06/30/2012 21200328 072512CC CHECK 256580 TOTAL: 3800CANFIELD AV/712 06/26/2012 21200732 072512CC CHECK 256581 TOTAL: 67811 06/30/2012 21200312 072512CC 67812 06/30/2012 21200312 072512CC 1,848.41 1,229.00 3,077.41 6,472.56 6,472.56 45,781.09 45,781.09 519.32 519.32 1,220.00 23,973.24 NET IPG 3 lapcshdsb INVOICE CHECK RUN INv DATE PO 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK No CHK DATE TYPE VENDOR NAME 25,193.24 CHECK 256582 TOTAL: 256583 07/25/2012 PRTD 102442 Control Inc 77793 06/27/2012 21200692 072512CC CHECK 256583 TOTAL: 332.17 332.17 256584 07/25/2012 PRTD 100707 County of Los Angeles June2012 256585 07/25/2012 PRTD 101060 Culver City Observer Inc Culver city Observer Inc Culver City Observer Inc Culver city Observer Inc 10232 10233 10234 10235 256586 07/25/2012 PRTD 100478 Dell marketing LP Dell marketing LP Dell marketing LP XFTF4PPT5 xFTD23C14 XFT97F583 256587 07/25/2012 PRTD 105405 DF Polygraph 2012/1 256589 07/25/2012 PRTD 101108 Enterprise Security Inc 11928 06/28/2012 21200258 072512CC 3,313.31 CHECK 256589 TOTAL: 3,313.31 06/30/2012 21200587 072512CC CHECK 256584 TOTAL: 06/26/2012 21200754 072512CC 06/26/2012 21200754 072512CC 06/26/2012 21200754 072512CC 06/26/2012 21200754 072512CC CHECK 256585 TOTAL: 06/30/2012 21200386 072512CC 06/30/2012 21200388 072512CC 06/30/2012 21200387 072512CC CHECK 256586 TOTAL: 06/26/2012 21200767 072512CC CHECK 256587 TOTAL: 06/27/2012 21200019 072512CC 06/27/2012 21200397 072512CC CHECK 256588 TOTAL: 256588 07/25/2012 PRTD 100800 Eagle sports and Awards company 9320 Eagle Sports and Awards Company 9319 2,487.16 2,487.16 345.00 345.00 345.00 345.00 1,380.00 5,147.75 10,123.76 4,849.74 20,121.25 200.00 200.00 253.50 1,383.32 1,636.82 06/21/2012 21200237 072512CC 06/21/2012 21200743 072512CC 06/13/2012 21200701 072512CC CHECK 256592 TOTAL: 601.03 3,456.08 322.54 3,778.62 147.02 738.19 214.71 1,099.92 CHECK 256590 TOTAL: 23260 06/18/2012 21200749 072512CC 23281 06/29/2012 21200741 072512CC CHECK 256591 TOTAL: 121379251 121379254 121378644 CHECK 256593 TOTAL: 8050 06/28/2012 21200763 072512CC CHECK 256594 TOTAL: 6195610000/712 5295610000/712 2745740000/712 8383610000/712 5653150000/712 9461120000/712 2641920000/712 1641920000/712 0641920000/712 8705510000/712 07/06/2012 07/06/2012 07/06/2012 07/06/2012 07/06/2012 07/06/2012 07/06/2012 07/06/2012 07/06/2012 07/06/2012 072512CC 072512Cc 072512CC 072512Cc 072512CC 072512CC 072512Cc 072512CC 072512Cc 072512CC 07/25/2012 16:15 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 4 Iapcshdsb NET 256590 07/25/2012 PRTD 100489 Fire Service Specification and Su 7054 256591 07/25/2012 PRTD 100126 Firefighters' Safety Center Firefighters' Safety Center 256592 07/25/2012 PRTD 100222 Firemaster FireMaster Firemaster 256593 07/25/2012 PRTD 102642 Chevron & Texaco Business Card Sv 34919561 256594 07/25/2012 PRTD 102306 Fleming Environmental Inc 256595 07/25/2012 PRTD 101418 Golden State water Company Golden State Water Company Golden State water Company Golden State Water Company Golden State water Company Golden State Water Company Golden State Water Company Golden State water Company Golden State Water Company Golden State water Company 06/30/2012 21200742 072512CC 601.03 06/30/2012 21200770 072512CC 2,097.23 2,097.23 270.00 270.00 257.13 215.57 223.00 98.09 68.27 21.82 163.38 29.41 454.53 188.85 NET IPG 5 lapcshdsb INVOICE CHECK RUN INV DATE PO 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 07/06/2012 07/06/2012 CHECK 072512CC 072512CC 256595 TOTAL: Golden State Water Company Golden State Water Company 256596 07/25/2012 PRTD 105225 Govplace 256597 07/25/2012 PRTD 106556 Sharon Guidry 256598 07/25/2012 PRTD 105109 Handy Maintenance 256599 07/25/2012 PRTD 102164 Haynes Building Services LLC 256600 07/25/2012 PRTD 106192 Kenneth Hoover 256601 07/25/2012 PRTD 107293 Kamyar Ghazimorad 256602 07/25/2012 PRTD 100184 King Fence Inc 256603 07/25/2012 PRTD 100510 Knorr Systems Inc 256604 07/25/2012 PRTD 101068 Lawrence Roll Up Doors Inc Lawrence Roll Up Doors Inc Lawrence Roll Up Doors Inc 1181410000/712 2381410000/712 PSI004947 ACC280 91238 00023674 FY11/12 2012-35 26824 SI137045 C22600 C22613 C22599 06/19/2012 21200024 072512CC CHECK 256596 TOTAL: 06/26/2012 21200676 072512CC CHECK 256597 TOTAL: 05/14/2012 21200794 072512CC CHECK 256598 TOTAL: 06/30/2012 21200400 072512CC CHECK 256599 TOTAL: 06/30/2012 21200775 072512CC CHECK 256600 TOTAL: 06/30/2012 21200731 072512CC CHECK 256601 TOTAL: 06/12/2012 21200519 072512CC CHECK 256602 TOTAL: 06/22/2012 21200422 072512CC CHECK 256603 TOTAL: 06/29/2012 21200778 072512CC 06/29/2012 21200778 072512CC 06/29/2012 21200778 072512CC 382.71 382.71 395.00 395.00 45.33 45.33 4,815.26 4,815.26 271.80 271.80 650.00 650.00 1,139.85 1,139.85 4,775.26 4,775.26 3,000.00 345.64 2,500.00 54.61 30.45 1,805.11 INVOICE INv DATE PO CHECK RUN NET C22632 603876 604617 360.00 6,205.64 469.33 2,734.88 3,204.21 06/29/2012 21200778 072512CC CHECK 256604 TOTAL: 06/30/2012 21200738 072512CC 06/30/2012 21200108 072512CC CHECK 256605 TOTAL: 256606 07/25/2012 PRTD 100083 Los Angeles Sanitation District # JUNE2012 06/15/2012 21200747 072512CC 200657 06/30/2012 21200648 072512CC 3642044 8561061200 8561061200-1 30105466 06/30/2012 21200064 072512CC 06/30/2012 21200064 072512CC CHECK 256609 TOTAL: 06/25/2012 21200696 072512CC CHECK 256610 TOTAL: 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK No CHK DATE TYPE VENDOR NAME Lawrence Roll Up Doors Inc 256605 07/25/2012 PRTD 100544 Life Assist Inc Life Assist Inc 256607 07/25/2012 PRTD 103796 Madden Corporation 256608 07/25/2012 PRTD 107505 Mallory Safety & Supply 256609 07/25/2012 PRTD 103672 Marina Landscape Inc Marina Landscape Inc 256610 07/25/2012 PRTD 100223 mcmaster-Carr Supply co 256611 07/25/2012 PRTD 101066 modern Parking Inc 06/30/2012 21200331 072512CC 256612 07/25/2012 PRTD 100235 Morrison Management Specialist 18845201263001 06/30/2012 21200790 072512CC 10,130.57 CHECK 256612 TOTAL: 10,130.57 IPG 6 lapcshdsb 7,746.53 7,746.53 205.60 205.60 6,184.07 6,184.07 12,871.00 400.00 13,271.00 181.59 181.59 31,252.27 31,252.27 CHECK 256606 TOTAL: CHECK 256607 TOTAL: CHECK 256608 TOTAL: 14151 06/30/2012 21200531 072512CC CHECK 256611 TOTAL: IPG 7 lapcshdsb INVOICE INv DATE PO CHECK RUN NET 88050 0057397-IN 2230 36988 06/19/2012 21200739 072512CC CHECK 256613 TOTAL: 06/07/2012 21200350 072512CC CHECK 256614 TOTAL: 05/09/2012 21200348 072512CC CHECK 256615 TOTAL: 06/19/2012 21200746 072512CC 35.65 35.65 3,650.55 3,650.55 6,037.88 6,037.88 94.61 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256613 07/25/2012 PRTD 100239 Mutual Propane 256614 07/25/2012 PRTD 100241 N/S Corporation 256615 07/25/2012 PRTD 100705 Natural Gas Systems Inc 256616 07/25/2012 PRTD 100683 Neilmarq Corporation CHECK 256616 TOTAL: 94.61 06/26/2012 072512CC 06/26/2012 072512CC 06/26/2012 072512CC 06/30/2012 072512CC 06/30/2012 21200803 072512CC 05/30/2012 21200805 072512CC 05/30/2012 21200804 072512CC 06/30/2012 21200346 072512CC 06/30/2012 21200346 072512CC 06/30/2012 21200346 072512CC 06/30/2012 21200346 072512CC CHECK 256617 TOTAL: 86.53 12.24 39.97 45.68 515.85 41.76 448.38 11,133.28 935.32 157.19 788.44 14,204.64 256617 07/25/2012 PRTD 101264 Officemax 008652 OfficeMax 903000 OfficeMax 338035 Officemax 197131 OfficeMax 186267 Officemax 103959 OfficeMax 966416 Officemax 286332 Officemax 359397 OfficeMax 268749 Officemax 268750 256618 07/25/2012 PRTD 101684 On-Site CPR Training JUNE142012 06/14/2012 21200740 072512CC 44.00 CHECK 256618 TOTAL: 44.00 CHECK 256628 TOTAL: 463.98 NET IPG 8 lapcshdsb INVOICE CHECK RUN INV DATE PO 07/25/2012 16:15 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME 112.80 112.80 19,157.37 19,157.37 595.41 595.41 773.21 773.21 365.40 365.40 435.87 435.87 790.00 790.00 621.04 621.04 2,857.51 2,857.51 06/30/2012 21200102 072512Cc CHECK 256619 TOTAL: 06/15/2012 21200555 072512CC CHECK 256620 TOTAL: 06/25/2012 21200308 072512CC CHECK 256621 TOTAL: 06/30/2012 21200737 072512CC CHECK 256622 TOTAL: 06/30/2012 21200736 072512CC CHECK 256623 TOTAL: 06/09/2012 21200761 072512CC CHECK 256624 TOTAL: 04/23/2012 21200284 072512CC CHECK 256625 TOTAL: 06/30/2012 21200106 072512CC CHECK 256626 TOTAL: 06/26/2012 21200163 072512CC CHECK 256627 TOTAL: 256619 07/25/2012 PRTD 100263 Pacific Toxicology Laboratories 256620 07/25/2012 PRTD 106419 Padilla Paving 256621 07/25/2012 PRTD 100259 PFI Inc 256622 07/25/2012 PRTD 101650 Philips medical Systems 256623 07/25/2012 PRTD 101650 Philips medical Systems 256624 07/25/2012 PRTD 100270 Phillips Steel Co 256625 07/25/2012 PRTD 102760 Picnic Design 256626 07/25/2012 PRTD 100808 Praxair Distribution Inc 256627 07/25/2012 PRTD 100833 Quality Equipment Rentals 256628 07/25/2012 PRTD 107530 Rachelle Adkins 15120/201206-0 2011-235 23867 924464344 924473245 138346 6741 43424437 QE515822 FY11/12 06/26/2012 21200728 072512CC 463.98 INVOICE INV DATE PO CHECK RUN NET 256630 07/25/2012 PRTD 101096 Refrigeration Supplies Distributo 56102925-00 06/20/2012 21200269 072512CC 34.31 34.31 CHECK 256630 TOTAL: 06/25/2012 21200174 072512CC 256631 07/25/2012 PRTD 103388 RLS Services Inc 74.77 083848 07/25/2012 16:15 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME 256629 07/25/2012 PRTD 100288 Red wing shoe store Red wing Shoe Store Red wing shoe store Red wing Shoe Store CHECK 256631 TOTAL: 42873 06/18/2012 21200680 072512CC 42932 06/20/2012 21200680 072512cc 42969 06/21/2012 21200680 072512CC 43184 06/29/2012 21200680 072512cc CHECK 256632 TOTAL: INV-BBK12003947 06/28/2012 21200275 072512cc CHECK 256633 TOTAL: 112-071827 05/31/2012 21200758 072512cc CHECK 256634 TOTAL: JUNE2012 06/26/2012 21200748 072512cc CHECK 256635 TOTAL: 6665004182 06/15/2012 21200026 072512cc 5,105.11 'PG 9 Iapcshdsb 5134 06/30/2012 21200678 072512Cc 5138 06/30/2012 21200716 072512CC 5136 06/30/2012 21200733 072512cc 5135 06/30/2012 21200733 072512CC CHECK 256629 TOTAL: 682.07 359.66 448.28 322.68 1,812.69 256632 07/25/2012 PRTD 101069 Rocket Smog Inc Rocket smog Inc Rocket Smog Inc Rocket smog Inc 256633 07/25/2012 PRTD 104849 Russell sigler Inc 256634 07/25/2012 PRTD 106530 SAFARILAND LLC 256635 07/25/2012 PRTD 107531 santa Monica superior court 256636 07/25/2012 PRTD 104474 SAP Public Services Inc 74.77 30.00 30.00 30.00 30.00 120.00 258.78 258.78 713.34 713.34 34,672.00 34,672.00 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 07/13/2012 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 072512CC 5,105.11 857.56 857.56 414.00 414.00 105.06 105.06 225.84 292.92 59.03 65.61 276.62 51.27 140.60 303.23 286.42 16.69 36.80 38.35 22.91 33.58 17.16 54.54 69.77 CHECK 256636 TOTAL: 06/30/2012 21200233 072512CC CHECK 256637 TOTAL: 06/21/2012 21200772 072512CC CHECK 256638 TOTAL: 03/15/2012 21200260 072512CC CHECK 256639 TOTAL: 06/26/2012 21200782 072512CC 06/26/2012 21200780 072512CC 07/25/2012 16:15 ICULvER CITY IPG 10 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 256637 07/25/2012 PRTD 100483 Sea-Clear Pools Inc 256638 07/25/2012 PRTD 107529 Sheri E. Ross 256639 07/25/2012 PRTD 100321 Sims Welding Supply Co 256640 07/25/2012 PRTD 100331 Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison 12-2788 CC1-2012 00515693 2331382846/712 2336904339/712 2305983074/0712 2024545790/0712 2024545113/0712 2024522525/0712 2024537391/0712 2024546731/0712 2249611773/072012 2250388113/072012 2024518888/072012 2024538167/0712 2024538001/0712 2024537904/0712 2024505596/0712 2190655175/0712 2128994472/0712 southern California Edison Southern southern Southern Southern southern Southern southern Southern Southern Southern Southern southern Southern California California California California California California California California California California California California California Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison 07/25/2012 16:15 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 11 Iapcshdsb NET 2096636683/0712 07/13/2012 2024547093/0712 07/13/2012 2024531873/0712 07/13/2012 2024531683/0712 07/13/2012 2039115761/0712 07/13/2012 2024509564/0712 07/13/2012 2024530803/0712 07/13/2012 2024532426/0712 07/13/2012 2105083760/0712 07/13/2012 2250388253/072012 07/13/2012 2024540064/0712 07/13/2012 2107528689/0712 07/13/2012 2099144701/072012 07/13/2012 2345092787/0712 07/13/2012 CHECK 072512cc 072512CC 072512cc 072512CC 072512CC 072512cc 072512CC 072512cc 072512CC 072512CC 072512Cc 072512CC 072512cc 072512CC 256640 TOTAL: 35.44 92.55 51.64 42.11 22.39 49.09 96.59 51.04 186.15 396.06 144.25 53.27 50.74 82.59 3,345.25 256641 07/25/2012 PRTD 100333 Sparkletts water Co 4681786070512 06/30/2012 21200584 072512CC 184.70 sparkletts water co 4681308070112 06/30/2012 21200584 072512cc 652.77 CHECK 256641 TOTAL: 837.47 902093618 916462 06302012 256642 07/25/2012 PRTD 107288 stanley security solutions Inc 256643 07/25/2012 PRTD 100340 state of California 256644 07/25/2012 PRTD 100340 state of California 06/19/2012 21200638 072512cc 643.26 CHECK 256642 TOTAL: 643.26 06/26/2012 21200729 072512cc 1,419.00 CHECK 256643 TOTAL: 1,419.00 06/26/2012 21200760 072512cc 20.00 NET IPG 12 lapcshdsb INVOICE CHECK RUN INv DATE PO 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 20.00 CHECK 256644 TOTAL: 400.00 400.00 800.00 25.95 25.95 6,869.74 6,869.74 4,857.81 4,857.81 730.00 730.00 730.00 2,190.00 8,276.40 7,449.20 15,725.60 5,528.68 5,528.68 106.95 680.26 457.16 256645 07/25/2012 PRTD 100307 Susan Saxe-Clifford PhD Susan Saxe-Clifford PhD 256646 07/25/2012 PRTD 100207 The Light House Inc 256647 07/25/2012 PRTD 103593 Trane Equipment 256648 07/25/2012 PRTD 100368 Turbo Data Systems Inc 256649 07/25/2012 PRTD 100677 UCLA Medical Group UCLA Medical Group UCLA Medical Group 256650 07/25/2012 PRTD 100388 West Coast Arborists Inc west Coast Arborists Inc 256651 07/25/2012 PRTD 100399 Wittman Enterprises 256652 07/25/2012 PRTD 100408 Zumar Industries Zumar Industries Zumar Industries 06/29/2012 21200768 072512CC 06/29/2012 21200768 072512CC CHECK 256645 TOTAL: 06/14/2012 21200700 072512CC CHECK 256646 TOTAL: 06/30/2012 21200282 072512CC CHECK 256647 TOTAL: 06/30/2012 21200090 072512CC CHECK 256648 TOTAL: 06/08/2012 21200769 072512CC 06/08/2012 21200769 072512CC 06/08/2012 21200769 072512CC CHECK 256649 TOTAL: 06/07/2012 21200204 072512CC 06/15/2012 21200204 072512CC CHECK 256650 TOTAL: 06/30/2012 21200750 072512CC CHECK 256651 TOTAL: 06/29/2012 21200169 072512CC 06/29/2012 21200169 072512CC 06/29/2012 21200169 072512CC 12-0629-9 12-0629-14 0255524 6618285R1 19045 71927248 71926956 71927080 0139080 0139081 0139084 1206010 80962-A 81280 IPG 13 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET 0138810 0139082 0139083 0138819 06/19/2012 21200169 072512cc 06/29/2012 21200169 072512cc 06/29/2012 21200169 072512cc 06/20/2012 21200169 072512cc CHECK 256652 TOTAL: 305.88 2,010.21 1,771.13 14,742.56 20,074.15 07/25/2012 16:15 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME Zumar Industries zumar Industries Zumar Industries Zumar Industries NUMBER OF CHECKS 87 *** CASH ACCOUNT TOTAL *** 388,582.66 COUNT AMOUNT TOTAL PRINTED CHECKS 87 388,582.66 *** GRAND TOTAL *** 388,582.66 INVOICE 285209 02160628 07/17/2012 21300044 072513CC CHECK 256653 TOTAL: 07/11/2012 21300056 072513CC INv DATE PO CHECK RUN 07/23/2012 072513CC 572,699.54 CHECK 256657 TOTAL: 572,699.54 06/07/2012 06/07/2012 06/07/2012 CHECK 81050 81049 81053 072513CC 072513CC 072513CC 256658 TOTAL: 07/11/2012 21300061 072513CC LAFC012-13 07/25/2012 16:16 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256653 07/25/2012 PRTD 100008 Advanced Battery Systems 256654 07/25/2012 PRTD 101051 American Moving Parts 256655 07/25/2012 PRTD 100485 Bodyworks Equipment Inc 256656 07/25/2012 PRTD 100045 C and W Enterprises 256657 07/25/2012 PRTD 100258 Cal PERS 256658 07/25/2012 PRTD 100082 Continental Time Clock Co Continental Time Clock Co Continental Time Clock Co 256659 07/25/2012 PRTD 100707 County of Los Angeles 256660 07/25/2012 PRTD 100093 Culver City Industrial Hardware 21541 Culver City Industrial Hardware 21641 Culver City Industrial Hardware 21428 Culver City Industrial Hardware 21479 Culver City Industrial Hardware 21507 IPG 1 lapcshdsb CHECK 256659 TOTAL: 07/10/2012 21300046 072513CC 07/16/2012 21300046 072513CC 07/03/2012 21300046 072513CC 07/06/2012 21300046 072513CC 07/09/2012 21300046 072513CC CHECK 256660 TOTAL: 106.00 212.00 106.00 424.00 2,684.37 2,684.37 1.84 4.08 15.64 76.11 3.47 101.14 CHECK 256654 TOTAL: 26000 07/03/2012 21300050 072513CC CHECK 256655 TOTAL: 10266 07/03/2012 21300042 072513CC CHECK 256656 TOTAL: PYDY072012 NET 607.95 607.95 271.88 271.88 1,314.41 1,314.41 478.50 478.50 NET IPG 2 lapcshdsb INVOICE CHECK RUN INv DATE PO 07/25/2012 16:16 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 07/10/2012 21300080 072513CC 07/10/2012 21300080 072513CC CHECK 256665 TOTAL: 8497384 8568598 256662 07/25/2012 PRTD 100133 Daniel P Gallagher 256663 07/25/2012 PRTD 106433 Paul Davis 256664 07/25/2012 PRTD 106134 John Chuck Dominguez 256665 07/25/2012 PRTD 100931 DSL Extreme.com DSL Extreme.com 256666 07/25/2012 PRTD 100685 EMS Personnel Fund EMS Personnel Fund 256667 07/25/2012 PRTD 100123 Federal Express Corp Federal Express Corp Federal Express Corp Federal Express Corp Federal Express Corp 07/12/2012 21300054 072513CC 07/02/2012 21300054 072513CC 07/02/2012 21300054 072513CC 07/03/2012 21300054 072513CC 07/05/2012 21300054 072513CC CHECK 256661 TOTAL: 07/08/2012 21300082 072513CC 08/31/2012 21300083 072513CC CHECK 256666 TOTAL: 07/24/2012 21300034 072513CC 07/24/2012 21300034 072513CC 07/24/2012 21300034 072513CC 07/24/2012 21300034 072513CC 07/24/2012 21300034 072513CC 563.19 1,503.11 66.10 4,816.35 37.81 6,986.56 50.00 50.00 200.00 200.00 894.45 894.45 102.83 102.83 205.66 200.00 200.00 400.00 48.04 87.04 274.80 138.46 63.24 256661 07/25/2012 PRTD 101464 Cummins Cal Pacific LLC **NEW** 007-26108 Cummins Cal Pacific LLC **NEW** 007-25855 Cummins Cal Pacific LLC **NEW** 007-25856 Cummins Cal Pacific LLC **NEW** 008-89714 Cummins Cal Pacific LLC **NEW** 008-89996 791418280 792165619 792947899 793689954 794409431 P26539 P28790 JULY12 07/11/2012 21300040 072513CC CHECK 256662 TOTAL: P23784/12 03/20/2012 21300081 072513CC CHECK 256663 TOTAL: 8/12/12-8/17/12 07/18/2012 21300077 072513CC CHECK 256664 TOTAL: RHS-PPE7/15/12EM 07/25/2012 072513CC 650.00 CHECK 256670 TOTAL: 650.00 RHS-PPE7/15/12 07/25/2012 072513CC 24,200.00 CHECK 256671 TOTAL: 24,200.00 06/04/2012 06/16/2012 07/04/2012 CHECK 072513CC 072513CC 072513CC 256672 TOTAL: 757.61 748.55 1,047.41 2,553.57 1,317.75 1,317.75 221319126 221391090 221610849 2000 06/15/2012 21300135 072513CC CHECK 256673 TOTAL: 056581 07/11/2012 21300087 072513CC 971.84 07/25/2012 16:16 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 3 lapcshdsb NET Federal Express Corp 795085750 07/24/2012 21300034 072513CC 62.93 CHECK 256667 TOTAL: 674.51 256668 07/25/2012 PRTD 100593 Fleetpride 48631396 07/02/2012 21300053 072513CC 1,282.14 CHECK 256668 TOTAL: 1,282.14 256669 07/25/2012 PRTD 102164 Haynes Building Services LLC Haynes Building Services LLC Haynes Building Services LLC Haynes Building Services LLC 00024010 00023970 00023997 00023998 07/10/2012 07/10/2012 07/10/2012 07/10/2012 CHECK 072513CC 072513CC 072513CC 072513CC 256669 TOTAL: 2,856.76 9,380.40 5,857.39 7,138.77 25,233.32 256670 07/25/2012 PRTD 100161 ICMA Retirement Trust-457 256671 07/25/2012 PRTD 100161 ICMA Retirement Trust-457 256672 07/25/2012 PRTD 100189 Konica Business Machines Konica Business Machines Konica Business Machines 256673 07/25/2012 PRTD 100198 League of California Cities 256674 07/25/2012 PRTD 100214 Luminator CHECK 256674 TOTAL: 971.84 07/25/2012 16:16 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 4 lapcshdsb NET 256675 07/25/2012 PRTD 101297 Merrimac Energy Group 2121290 07/05/2012 21300058 072513CC 11,998.30 Merrimac Energy Group 2121291 07/05/2012 21300059 072513CC 12,971.76 Merrimac Energy Group 2121292 07/05/2012 21300060 072513CC 3,243.76 CHECK 256675 TOTAL: 28,213.82 256676 07/25/2012 PRTD 101568 Michael E Whitaker JULY12 07/11/2012 21300037 072513CC 50.00 CHECK 256676 TOTAL: 50.00 256677 07/25/2012 PRTD 100253 New Flyer of America 9086846 07/02/2012 21300062 072513CC 154.01 New Flyer of America 9089603 07/11/2012 21300062 072513CC 104.94 CHECK 256677 TOTAL: 258.95 256678 07/25/2012 PRTD 100000 Ozuah Renee Boykins CP100378 07/05/2012 072513CC 25.00 CHECK 256678 TOTAL: 25.00 256679 07/25/2012 PRTD 100000 Kristina Mouzakis 74003866 07/13/2012 072513CC 60.00 CHECK 256679 TOTAL: 60.00 256680 07/25/2012 PRTD 100000 Ricky Gamble 256681 07/25/2012 PRTD 100000 Matthew Gibson 256682 07/25/2012 PRTD 103506 Owl System Inc 256683 07/25/2012 PRTD 101326 Pacific Alarm Systems Inc Pacific Alarm Systems Inc Pacific Alarm Systems Inc 11-29699 07/17/2012 072513CC 134.00 CHECK 256680 TOTAL: 134.00 CP106365/CP102325 07/11/2012 072513CC 246.00 CHECK 256681 TOTAL: 246.00 3321 07/02/2012 21300094 072513CC 45.61 CHECK 256682 TOTAL: 45.61 2202963 07/01/2012 072513CC 126.00 2202974 07/01/2012 072513CC 42.00 2202994 07/01/2012 072513CC 26.25 07/25/2012 16:16 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 5 lapcshdsb NET Pacific Alarm Systems Inc 2202801 07/01/2012 072513CC 31.50 Pacific Alarm Systems Inc 2203385 07/01/2012 072513CC 31.00 Pacific Alarm Systems Inc 2203328 07/01/2012 072513CC 236.25 CHECK 256683 TOTAL: 493.00 256684 07/25/2012 PRTD 105810 Christine Parra 256685 07/25/2012 PRTD 101399 Pirtek Commerce South 256686 07/25/2012 PRTD 101081 Plumbers Depot Inc 256687 07/25/2012 PRTD 103837 Print City USA 256688 07/25/2012 PRTD 101093 PTO Sales and Service 256689 07/25/2012 PRTD 103894 Pure Power! Incorporated 256690 07/25/2012 PRTD 100288 Red wing Shoe Store 256691 07/25/2012 PRTD 102923 Richard C Ochoa 07022012 51643228.001 PD-18924 12326 1221880014 525468 5180 JuLY12 07/02/2012 21300085 072513CC 219.73 CHECK 256684 TOTAL: 219.73 07/02/2012 21300091 072513CC 128.74 CHECK 256685 TOTAL: 128.74 07/18/2012 21300073 072513CC 1,094.21 CHECK 256686 TOTAL: 1,094.21 07/11/2012 21300069 072513CC 501.17 CHECK 256687 TOTAL: 501.17 07/06/2012 21300090 072513CC 12.13 CHECK 256688 TOTAL: 12.13 07/05/2012 21300095 072513CC 4,485.52 CHECK 256689 TOTAL: 4,485.52 07/11/2012 21300065 072513CC 328.14 CHECK 256690 TOTAL: 328.14 07/11/2012 21300039 072513CC 50.00 CHECK 256691 TOTAL: 50.00 07/25/2012 16:16 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256692 07/25/2012 PRTD 100573 Rush Truck Centers 256693 07/25/2012 PRTD 101328 Sandra Stivers 256694 07/25/2012 PRTD 104474 SAP America Inc 256695 07/25/2012 PRTD 100483 Sea-Clear Pools Inc IPG 6 Iapcshdsb INV DATE PO CHECK RUN NET INVOICE S-1343820 JULY12 6665004167 12-2802 07/11/2012 21300052 072513CC 88.54 CHECK 256692 TOTAL: 88.54 07/11/2012 21300038 072513CC 50.00 CHECK 256693 TOTAL: 50.00 06/15/2012 072513CC 1,278.54 CHECK 256694 TOTAL: 1,278.54 07/09/2012 21300096 072513CC 976.64 CHECK 256695 TOTAL: 976.64 06/08/2012 21300033 072513CC 160.75 CHECK 256696 TOTAL: 160.75 256696 07/25/2012 PRTD 100328 South Coast Air Quality mgmt Dist JUL-DEC2012 256697 07/25/2012 PRTD 106586 Sprint Solutions Inc 256698 07/25/2012 PRTD 103821 Tire Centers LLC 256699 07/25/2012 PRTD 100368 Turbo Data Systems Inc 256700 07/25/2012 PRTD 102020 USA mobility 256701 07/25/2012 PRTD 100598 vicki Daly Redholtz 600098097-047 8650158528 19036 v795729G JULY12 07/12/2012 21300075 072513CC 504.17 CHECK 256697 TOTAL: 504.17 07/09/2012 21300063 072513CC 3,507.75 CHECK 256698 TOTAL: 3,507.75 06/11/2012 21300068 072513CC 500.00 CHECK 256699 TOTAL: 500.00 07/01/2012 21300079 072513CC 18.38 CHECK 256700 TOTAL: 18.38 07/11/2012 21300041 072513CC 50.00 CHECK 256701 TOTAL: 50.00 07/25/2012 16:16 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 7 Iapcshdsb NET 256702 07/25/2012 PRTD 100382 Warren warren Warren warren Warren Supply Co Supply Co Supply Co Supply Co Supply Co 596534 599160 599443 599481 600071 07/02/2012 21300049 072513CC 07/12/2012 21300049 072513CC 07/13/2012 21300049 072513CC 07/14/2012 21300049 072513CC 07/17/2012 21300049 072513CC CHECK 256702 TOTAL: 20.77 59.78 161.70 12.66 128.16 383.07 256703 07/25/2012 PRTD 100407 Zep Manufacturing Co 53512702 07/12/2012 21300088 072513CC NUMBER OF CHECKS 51 CASH ACCOUNT T *** COUNT AMOUNT TOTAL PRINTED CHECKS 51 688,165.10 *** 688,165.10 *** GRAND TOTAL *** 688,165.10 CHECK 256703 TOTAL: 99.65 99.65 IPG 41 Iapcshdsb 'CULVER CITY IA/P CASH DISBURSEMENTS JOURNAL 07/30/2012 15:24 mary.noller CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET Aug-12 Aug-1Z Aug-12 Aug-12 Aug-1Z Aug-12 Aug-12 Aug-12 Aug-12 256704 07/30/2012 PRTD 107235 Harvey Bailey 256705 07/30/2012 PRTD 107198 Helen Bing 256706 07/30/2012 PRTD 107200 Ronald Carter 256707 07/30/2012 PRTD 106953 Jay B Cunningham 256708 07/30/2012 PRTD 107108 Joseph F D'anjou 256709 07/30/2012 PRTD 106730 Antonia Garcia 256710 07/30/2012 PRTD 107213 Isaac Godinez 256711 07/30/2012 PRTD 107499 Stanley Griggs 256712 07/30/2012 PRTD 107025 Ali S Hasan 073012CC CHECK 256704 TOTAL: 073012CC CHECK 256705 TOTAL: 073012CC CHECK 256706 TOTAL: 073012CC CHECK 256707 TOTAL: 073012CC CHECK 256708 TOTAL: 073012CC CHECK 256709 TOTAL: 073012CC CHECK 256710 TOTAL: 073012CC CHECK 256711 TOTAL: 073012CC CHECK 256712 TOTAL: 848.70 848.70 209.09 209.09 209.09 209.09 797.63 797.63 1,080.45 1,080.45 320.43 320.43 1,136.91 1,136.91 738.25 738.25 1,405.36 1,405.36 256713 07/30/2012 PRTD 107236 Kevin J. Kinnon Aug-12 073012CC 1,144.85 CHECK 256713 TOTAL: 1,144.85 073012CC CHECK 256714 TOTAL: 073012CC CHECK 256715 TOTAL: 073012CC CHECK 256716 TOTAL: 073012CC CHECK 256717 TOTAL: 073012CC CHECK 256718 TOTAL: 073012CC CHECK 256719 TOTAL: 073012CC CHECK 256720 TOTAL: 073012CC CHECK 256721 TOTAL: 073012CC 320.43 320.43 1,038.11 1,038.11 1,136.91 1,136.91 1,136.91 1,136.91 574.01 574.01 777.07 777.07 631.44 631.44 393.63 393.63 443.62 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256714 07/30/2012 PRTD 107129 Theresa Kollios 256715 07/30/2012 PRTD 107237 Christopher Maddox 256716 07/30/2012 PRTD 107502 David Scott Malsin 256717 07/30/2012 PRTD 107205 Kathleen McCann 256718 07/30/2012 PRTD 106737 Elaine McMahan 256719 07/30/2012 PRTD 106875 Richard G Momii 256720 07/30/2012 PRTD 106892 Jack M Nakanishi 256721 07/30/2012 PRTD 106898 Donna Neola 256722 07/30/2012 PRTD 106905 Richard G Ogden IPG 42 lapcshdsb INVOICE INV DATE PO CHECK RUN NET CHECK 256722 TOTAL: 443.62 256723 07/30/2012 PRTD 107215 Aida Perez Aug-12 073012CC 165.81 CHECK 256723 TOTAL: 165.81 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256724 07/30/2012 PRTD 107501 Carlos Reynosa 256725 07/30/2012 PRTD 107206 Gary Silbiger IPG 43 lapcshdsb INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 876.95 CHECK 256724 TOTAL: 876.95 Aug-12 073012CC 732.62 CHECK 256725 TOTAL: 732.62 256726 07/30/2012 PRTD 106774 Melissa Smith 256727 07/30/2012 PRTD 106872 Adele Somers 256728 07/30/2012 PRTD 107209 Alisha Thompson 256729 07/30/2012 PRTD 107242 Thomas Zielinski Aug-12 Aug-12 Aug-12 Aug-12 NUMBER OF CHECKS 426 TOTAL PRINTED CHECKS TOTAL EFT'S 073012CC 444.00 CHECK 256726 TOTAL: 444.00 073012CC 271.44 CHECK 256727 TOTAL: 271.44 073012CC 305.29 CHECK 256728 TOTAL: 305.29 073012CC 848.70 CHECK 256729 TOTAL: 848.70 *** CASH ACCOUNT TOTAL *** 1,911,699.54 COUNT AMOUNT 26 17,987.70 400 1,893,711.84 *** GRAND TOTAL *** 1,911,699.54 08/01/2012 13:43 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 Iapcshdsb NET 256730 08/01/2012 PRTD 106968 James Dade Aug-2012 08/01/2012 080113C 899.26 CHECK 256730 TOTAL: 899.26 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 899.26 COUNT AMOUNT TOTAL PRINTED CHECKS 1 899.26 *** GRAND TOTAL *** 899.26 08/01/2012 15:51 'CULVER CITY 'PG 1 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 256731 08/01/2012 PRTD 107209 Alisha Thompson AUG 2012 REIMB. 08/01/2012 080113RC 305.29 CHECK 256731 TOTAL: 305.29 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 305.29 COUNT AMOUNT TOTAL PRINTED CHECKS 1 305.29 *** GRAND TOTAL *** 305.29 256732 08/01/2012 PRTD 100624 AAA Flag and Banner MFG co Inc 5950124 AAA Flag and Banner MFG Co Inc 5950125 INv DATE PO CHECK RUN INVOICE 06/30/2012 21200048 080112CC 06302012 05/22/2012 21200765 080112CC 06/19/2012 21200765 080112CC 502-6950691 502-7025002 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME 256733 08/01/2012 PRTD 100766 Adolph Kiefer and Associates Adolph Kiefer and Associates Adolph Kiefer and Associates 256734 08/01/2012 PRTD 101261 Aerotek Aerotek 256735 08/01/2012 PRTD 101306 Amireh Sewer Contractor Amireh sewer Contractor 256736 08/01/2012 PRTD 101515 Amtech Elevator Services 256737 08/01/2012 PRTD 101759 APD consultants Inc APD consultants Inc APD consultants Inc 256738 08/01/2012 PRTD 100673 Aqua Fit 256739 08/01/2012 PRTD 100994 Aramark Uniform Services Aramark Uniform Services IPG 1 lapcshdsb NET 1,050.00 1,050.00 2,100.00 683.99 151.24 288.80 1,124.03 900.00 517.00 1,417.00 5,500.00 4,000.00 9,500.00 116.25 116.25 15,105.00 540.00 10,000.00 25,645.00 3,621.80 3,621.80 253.30 253.30 06/15/2012 21200785 080112CC 06/15/2012 21200785 080112CC CHECK 256732 TOTAL: 06/28/2012 21200047 080112CC 06/30/2012 21200047 080112CC 06/30/2012 21200047 080112CC CHECK 256733 TOTAL: 06/30/2012 21200289 080112CC 06/14/2012 21200342 080112CC CHECK 256734 TOTAL: 05/15/2012 21200786 080112CC 06/12/2012 21200786 080112CC CHECK 256735 TOTAL: 06/28/2012 21200792 080112CC CHECK 256736 TOTAL: 196056 198373 201836 0E00837135 0005846529 DVL20935001 713 06/30/2012 21200410 080112CC 700 04/24/2012 21200430 080112CC 712 06/30/2012 21200409 080112CC CHECK 256737 TOTAL: CHECK 256738 TOTAL: 610 700 08/01/2012 15:50 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IFG 2 lapcshdsb NET Aramark uniform Services 502-7043420 06/26/2012 21200765 080112Cc CHECK 256739 TOTAL: 103002 06/27/2012 21200335 080112CC CHECK 256740 TOTAL: 13711 06/30/2012 21200253 080112CC CHECK 256741 TOTAL: 60123 06/21/2012 21200345 080112CC 60123CR 06/21/2012 21200345 080112CC CHECK 256742 TOTAL: 256740 08/01/2012 PRTD 105467 Arcadia Reclamation, Inc 256741 08/01/2012 FRT0 100596 Avipro Inc 256742 08/01/2012 PRTD 101080 Becnel uniforms Becnel uniforms 240.25 746.85 140.00 140.00 95.00 95.00 168.40 -1.41 166.99 256743 08/01/2012 PRTD 100726 Bestway Building Maintenance Inc 070512 06/30/2012 21200337 080112CC 450.00 CHECK 256743 TOTAL: 450.00 256744 08/01/2012 PRTD 105519 Carl warren & Company Carl warren & Company 256745 08/01/2012 PRTD 100586 City of Long Beach/sERRF 256746 08/01/2012 PRTD 104385 City of Los Angeles City of Los Angeles 1399523 1399522 74=20000241 74C0130000021 06/29/2012 21200352 080112CC 06/29/2012 21200111 080112CC CHECK 256744 TOTAL: 06/30/2012 21200799 080112CC 06/30/2012 21200799 080112CC CHECK 256746 TOTAL: 20120702-105-4329 06/30/2012 21200334 080112CC CHECK 256745 TOTAL: 2,260.00 1,325.00 3,585.00 8,406.42 8,406.42 692.30 692.30 1,384.60 256747 08/01/2012 PRTD 101167 Clean Energy cE11328081 06/12/2012 21200734 080112cc 46.75 CHECK 256747 TOTAL: 46.75 NET IPG 3 Iapcshdsb INVOICE CHECK RUN INV DATE PO 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256748 08/01/2012 PRTD 100707 County of Los Angeles County of Los Angeles 256749 08/01/2012 PRTD 100707 County of Los Angeles County of Los Angeles 256750 08/01/2012 PRTD 100478 Dell Marketing LP 256751 08/01/2012 PRTD 105826 Columbus Dillard 256752 08/01/2012 PRTD 100118 Excel Paving Co 256753 08/01/2012 PRTD 100222 FireMaster Firemaster 256754 08/01/2012 PRTD 105225 Govplace 256755 08/01/2012 PRTD 106052 Hoffman Mgmt & Const. Corp 256756 08/01/2012 PRTD 105017 IPS Group 06/30/2012 21200730 080112CC 06/30/2012 21200730 080112CC CHECK 256748 TOTAL: 06/30/2012 21200725 080112CC 06/30/2012 21200811 080112CC CHECK 256749 TOTAL: 06/21/2012 21200605 080112CC CHECK 256750 TOTAL: 06/30/2012 21200807 080112CC CHECK 256751 TOTAL: 05/31/2012 21200407 080112CC CHECK 256752 TOTAL: 06/20/2012 21200492 080112CC 06/20/2012 21200541 080112CC CHECK 256753 TOTAL: 06/15/2012 21200445 080112CC CHECK 256754 TOTAL: 06/30/2012 21200460 080112CC CHECK 256755 TOTAL: 06/30/2012 21200464 080112CC CHECK 256756 TOTAL: 135.30 4,146.18 4,281.48 1,206.77 1,143.84 2,350.61 5,608.83 5,608.83 550.00 550.00 39,575.98 39,575.98 111.00 160.97 271.97 181.10 181.10 3,126.77 3,126.77 2,670.43 2,670.43 RE-PW-12041609448 RE-Pw-12041609948 may2012Waste June2012Waste XFTC4MDC1 062112Di11ard R-21395 121379074 121379073 PS1004927 P-931-006 9160 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 4 lapcshdsb NET 108 06/30/2012 21200398 080112CC CHECK 256757 TOTAL: 410 06/30/2012 21200640 080112CC CHECK 256758 TOTAL: FY11/12 06/30/2012 21200781 080112CC CHECK 256759 TOTAL: 18152 06/30/2012 21200552 080112CC 18156 06/30/2012 21200561 080112CC CHECK 256760 TOTAL: 256757 08/01/2012 PRTD 101177 Jasmine Car Wash 256758 08/01/2012 PRTD 107518 JDC Inc 256759 08/01/2012 PRTD 104477 John M Nachbar 256760 08/01/2012 PRTD 100180 Kane Ballmer and Berkman Kane Ballmer and Berkman 1,632.93 1,632.93 84,142.92 84,142.92 500.00 500.00 6,229.64 120.00 6,349.64 256761 08/01/2012 PRTD 100461 Keyser Marston Associates Inc 0025242 06/30/2012 21200551 080112CC 1,120.00 CHECK 256761 TOTAL: 1,120.00 256762 08/01/2012 PRTD 101362 Kids Time Preschool 026812 06/28/2012 21200051 080112CC 2,380.00 CHECK 256762 TOTAL: 2,380.00 256763 08/01/2012 PRTD 104986 Kling Consulting Group Inc 32574 06/30/2012 21200475 080112CC 2,180.50 CHECK 256763 TOTAL: 2,180.50 256764 08/01/2012 PRTD 104171 LexisNexis Occ. Health Solutions 674620 06/30/2012 21200103 080112CC 56.00 CHECK 256764 TOTAL: 56.00 256765 08/01/2012 PRTD 107541 Lucio Sheet Metal Inc LU41112 06/30/2012 21200793 080112CC 1,680.00 CHECK 256765 TOTAL: 1,680.00 256766 08/01/2012 PRTD 103672 Marina Landscape Inc 8561041200-3 04/30/2012 21200784 080112CC 300.00 Marina Landscape Inc 8561061200-3 06/30/2012 21200784 080112CC 300.00 06/29/2012 21200368 080112cc 06/30/2012 21200544 080112CC CHECK 256768 TOTAL: 61200308 61200352 06/30/2012 06/25/2012 CHECK 256769 08/01/2012 PRTD 101264 Officemax Officemax 534.95 382.74 917.69 080112CC 080112cc 256769 TOTAL: 298760 296765 06/25/2012 080112cc 50.00 50.00 CHECK 256770 TOTAL: 06/28/2012 080112cc 50.00 50.00 CHECK 256771 TOTAL: 06/29/2012 080112cc 56.00 56.00 CHECK 256772 TOTAL: 080112cc 80.00 06/20/2012 08/01/2012 15:50 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME Marina Landscape Inc 256767 08/01/2012 PRTD 101066 Modern Parking Inc modern Parking Inc Modern parking Inc Modern Parking Inc modern Parking Inc Modern Parking Inc 256768 08/01/2012 FRTo 103569 NBs Government Finance Group NBS Government Finance Group 256770 08/01/2012 PRTD 100000 Luz Madera 256771 08/01/2012 PRTD 100000 Harry Chang 256772 08/01/2012 PRTD 100000 Rebecca Brooks 256773 08/01/2012 PRTD 100000 Sean Newman 2006236.001 2006231.001 20062222.001 2006203.001 IPG 5 Iapcshdsb NET 204.32 804.32 1,176.20 9,706.94 438.20 10,390.50 2,646.98 3,696.00 28,054.82 19,353.00 3,137.73 22,490.73 INVOICE 8574051201 INV DATE PO CHECK RUN 06/08/2012 21200532 080112CC CHECK 256766 TOTAL: 14132 06/30/2012 21200499 080112CC 14149 06/30/2012 21200498 080112CC 14133 06/30/2012 21200539 080112CC 14150 06/30/2012 21200539 080112CC 14134 06/30/2012 21200531 080112CC 14152 06/30/2012 21200533 080112cc CHECK 256767 TOTAL: 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK No CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 6 lapcshdsb NET 256774 08/01/2012 PRTD 100000 Toni Captain 2006214.001 256775 08/01/2012 PRTD 100000 Salvador Ochoa 2006206.001 256776 08/01/2012 PRTD 100000 Lauren miller 2006232.001 256777 08/01/2012 PRTD 100000 Henry Brandon 2006224.001 256778 08/01/2012 PRTD 100000 Greg Ginter 2006230.001 256779 08/01/2012 PRTD 100000 Luz Madera 2006235.001 256780 08/01/2012 PRTD 100000 Anthony Adlet 315062 256781 08/01/2012 PRTD 100000 Heidi Gamble 2006209.001 CHECK 256773 TOTAL: 06/25/2012 080112CC CHECK 256774 TOTAL: 06/20/2012 080112CC CHECK 256775 TOTAL: 06/28/2012 080112CC CHECK 256776 TOTAL: 06/27/2012 080112CC CHECK 256777 TOTAL: 06/28/2012 080112CC CHECK 256778 TOTAL: 06/29/2012 080112Cc CHECK 256779 TOTAL: 06/30/2012 080112Cc CHECK 256780 TOTAL: 06/21/2012 080112Cc CHECK 256781 TOTAL: 80.00 93.00 93.00 100.00 100.00 100.00 100.00 135.00 135.00 146.00 146.00 150.00 150.00 150.84 150.84 159.00 159.00 256782 08/01/2012 PRTD 100000 Ahlam Lachgar 2006196.001 06/18/2012 080112Cc 168.00 CHECK 256782 TOTAL: 168.00 256783 08/01/2012 PRTD 100000 c/o universal City studios 314354 06/30/2012 080112Cc 171.94 NET IPG 7 lapcshdsb INVOICE CHECK RUN INv DATE PO 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK No CHK DATE TYPE VENDOR NAME 171.94 CHECK 256783 TOTAL: 080112CC 183.00 06/29/2012 183.00 200.00 200.00 200.00 200.00 208.00 208.00 208.00 208.00 208.00 208.00 237.60 237.60 250.00 250.00 292.00 292.00 CHECK 256784 TOTAL: CHECK 256785 TOTAL: CHECK 256786 TOTAL: CHECK 256787 TOTAL: CHECK 256788 TOTAL: CHECK 256789 TOTAL: CHECK 256790 TOTAL: CHECK 256791 TOTAL: CHECK 256792 TOTAL: 06/29/2012 080112CC 06/25/2012 080112CC 06/27/2012 080112CC 06/27/2012 080112CC 06/20/2012 080112Cc 06/20/2012 080112Cc 06/20/2012 080112Cc 06/27/2012 080112Cc 256784 08/01/2012 PRTD 100000 Cira Garcia 256785 08/01/2012 PRTD 100000 Rene Robles 256786 08/01/2012 PRTD 100000 Jean Hsi 256787 08/01/2012 PRTD 100000 Harini Neelakkantan 256788 08/01/2012 PRTD 100000 Jami Bachrad 256789 08/01/2012 PRTD 100000 Monique Mitchell 256790 08/01/2012 PRTD 100000 Julie Bustrum 256791 08/01/2012 PRTD 100000 Rachelle Conte 256792 08/01/2012 PRTD 100000 Leigh miller 256793 08/01/2012 PRTD 100000 Patricia Valverde 2006237.001 2006234.001 2006217.001 2006227.001 2006226.001 2006201.001 2006202.001 2006200.001 2006225.001 2006204.001 06/20/2012 080112Cc 360.00 NET IPG 8 Iapcshdsb INVOICE CHECK RUN INV DATE PO 08/01/2012 15:50 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 360.00 CHECK 256793 TOTAL: 080112CC 06/20/2012 080112CC 06/20/2012 256802 08/01/2012 PRTD 100340 State of California 06/30/2012 21200726 080112CC 22.22 HG EF 036-018713 256794 08/01/2012 PRTD 100000 David Metzler 256795 08/01/2012 PRTD 100000 Scott mosher 256796 08/01/2012 PRTD 100270 Phillips Steel Co 256797 08/01/2012 PRTD 100808 Praxair Distribution Inc 256798 08/01/2012 PRTD 103722 PRP Engineering Inc 256799 08/01/2012 PRTD 100299 S and S Arts and Crafts S and S Arts and Crafts 256801 08/01/2012 PRTD 100331 Southern California Edison Southern California Edison CHECK 256794 TOTAL: CHECK 256795 TOTAL: 06/14/2012 21200800 080112CC CHECK 256796 TOTAL: 06/20/2012 21200106 080112CC CHECK 256797 TOTAL: 04/16/2012 21200358 080112CC CHECK 256798 TOTAL: 06/09/2012 21200049 080112CC 06/19/2012 21200049 080112CC CHECK 256799 TOTAL: 06/30/2012 21200810 080112CC 06/30/2012 21200806 080112CC CHECK 256800 TOTAL: 06/30/2012 21200795 080112CC 06/30/2012 21200813 080112CC CHECK 256801 TOTAL: 315969-211231 2024509416712 256800 08/01/2012 PRTD 100328 South Coast Air Quality mgmt Dist 2504952 South Coast Air Quality Mgmt Dist 2501971 945.00 945.00 969.00 2006208.001 2006205.001 138793 43262010 REV. 19 7364452 10740701 969.00 229.46 229.46 310.48 310.48 3,008.72 3,008.72 1,522.59 152.24 1,674.83 115.56 494.65 610.21 51.45 324.52 375.97 08/01/2012 15:50 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 9 lapcshdsb NET CHECK 256802 TOTAL: 22.22 256803 08/01/2012 PRTD 100451 Stephen Whipple 78-05/06-012 06/30/2012 21200542 080112CC 6,640.00 Stephen Whipple 05/06-2012 06/30/2012 21200542 080112cc 2,079.00 CHECK 256803 TOTAL: 8,719.00 256804 08/01/2012 PRTD 101423 The Nickerson company The Nickerson Company The Nickerson company The Nickerson company The Nickerson Company The Nickerson company 201207-P900-1 201207-P900-2 201207-P900-3 201204-1705R 201205-2905 201206-0506 06/30/2012 21200432 06/30/2012 21200432 06/30/2012 21200432 05/29/2012 21200832 05/29/2012 21200832 06/05/2012 21200832 080112cc 080112CC 080112cc 080112CC 080112CC 080112cc 350.00 1,690.00 12,980.00 1,042.00 10,285.00 6,460.00 32,807.00 CHECK 256804 TOTAL: 256805 08/01/2012 PRTD 101554 United Taxi of the south-West Inc 12000 06/30/2012 21200319 080112CC 70.00 CHECK 256805 TOTAL: 70.00 256806 08/01/2012 PRTD 100375 Universal Reprographics Inc Universal Reprographics Inc Universal Reprographics Inc Universal Reprographics Inc RB00405817 RB00405823 co00612921 RB00405894 05/21/2012 21200787 080112CC 05/22/2012 21200787 080112CC 05/21/2012 21200787 080112cc 05/25/2012 21200787 080112CC CHECK 256806 TOTAL: 92.22 92.22 572.03 58.18 814.65 256807 08/01/2012 PRTD 100928 utility Systems Science and Softw C8000-16 06/30/2012 21200390 080112CC 24,265.00 Utility systems science and softw C2011-5 06/30/2012 21200390 080112cc 14,316.00 Utility Systems Science and Softw C2011-6 06/30/2012 21200390 080112CC 4,772.00 CHECK 256807 TOTAL: 43,353.00 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 10 lapcshdsb NET 256808 08/01/2012 PRTD 101736 Westchester Medical Group 256809 08/01/2012 PRTD 100407 Zep Manufacturing Co CH078-6080 53508243 NUMBER OF CHECKS 78 TOTAL PRINTED CHECKS 06/30/2012 21200802 080112CC CHECK 256808 TOTAL: 06/20/2012 21200801 080112CC CHECK 256809 TOTAL: 800.00 800.00 590.95 590.95 *** CASH ACCOUNT TOTAL *** 368,729.28 COUNT AMOUNT 78 368,729.28 *** GRAND TOTAL *** 368,729.28 CHECK 256819 TOTAL: 40,000.00 256818 08/01/2012 PRTD 100548 Chicago Printing and Embossing Co 43353 Chicago Printing and Embossing Co 43372 INVOICE INV DATE PO CHECK RUN 285295 07/23/2012 21300044 080113CC 080113CC 06/01/2012 080113CC 06/01/2012 080113CC 06/01/2012 07/09/2012 21300097 080113CC GLN0000005101 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256810 08/01/2012 PRTD 100008 Advanced Battery Systems 256812 08/01/2012 PRTD 101070 AT and T Mobility 256813 08/01/2012 PRTD 105675 Andrew Bass 256814 08/01/2012 PRTD 100484 Boulevard Music 256815 08/01/2012 PRTD 100484 Boulevard Music 256816 08/01/2012 PRTD 100484 Boulevard Music 256817 08/01/2012 PRTD 105916 Ed Chauff 256819 08/01/2012 PRTD 101514 City of Glendale 256811 08/01/2012 PRTD 100021 American Public Transit Assn 190810 IPG 1 lapcshdsb NET 689.65 689.65 20,966.00 20,966.00 32.83 32.83 600.00 600.00 1,000.00 1,000.00 1,400.00 1,400.00 1,800.00 1,800.00 976.50 976.50 46.36 46.36 92.72 40,000.00 CHECK 256810 TOTAL: 07/01/2012 21300117 080113CC CHECK 256817 TOTAL: 07/19/2012 21300188 080113CC 07/19/2012 21300161 080113CC CHECK 256818 TOTAL: CHECK 256811 TOTAL: 870459777X07162012 07/17/2012 21300140 080113CC CHECK 256812 TOTAL: 8/5/12-8/8/12 2012-5 2012-3 2012-4 8/5/12-8/8/12 07/25/2012 21300149 080113CC CHECK 256813 TOTAL: CHECK 256814 TOTAL: CHECK 256815 TOTAL: CHECK 256816 TOTAL: 07/25/2012 21300148 080113CC NET IPG 2 Iapcshdsb INVOICE CHECK RUN INV DATE PO 08/01/2012 15:50 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256820 08/01/2012 PRTD 104385 City of Los Angeles 256821 08/01/2012 PRTD 104385 City of Los Angeles 256822 08/01/2012 PRTD 104385 City of Los Angeles 256823 08/01/2012 PRTD 104385 City of Los Angeles 256824 08/01/2012 PRTD 106338 medardo Cortez 256826 08/01/2012 PRTD 101060 Culver City Observer Inc 256827 08/01/2012 PRTD 100512 Eddings Bros Auto Parts Inc Eddings Bros Auto Parts Inc 256828 08/01/2012 PRTD 101418 Golden State Water Company Golden State water Company Golden State Water Company Golden State Water Company Golden State water Company 1,427.00 1,427.00 5,563.92 5,563.92 35,329.24 35,329.24 45,366.85 45,366.85 1,000.00 1,000.00 225.00 225.00 195.00 195.00 39.65 1,149.79 1,189.44 922.94 270.80 223.00 267.37 128.00 256825 08/01/2012 PRTD 105838 Culver City High School Booster C SEP-DEC2012 20120640 PW-JAN/FEB-2011. PW-MAR/APR-2012 Pw-N0v/DEC-2011 07/10/2012 21300151 080113CC CHECK 256820 TOTAL: 07/31/2012 21300027 080113CC CHECK 256821 TOTAL: 07/31/2012 21300027 080113CC CHECK 256822 TOTAL: 07/31/2012 21300027 080113CC CHECK 256823 TOTAL: cortez.recognition 07/20/2012 21300173 080113CC CHECK 256824 TOTAL: 07/31/2012 21300176 080113CC CHECK 256825 TOTAL: 10284 07/31/2012 21300177 080113CC CHECK 256826 TOTAL: 509776 510811 3663910000/0812 0871410000/0812 1871410000/0812 3771410000/0812 3871410000/0812 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 080113CC 080113CC 080113CC 080113CC 080113CC 07/20/2012 21300051 080113CC 07/27/2012 21300051 080113CC CHECK 256827 TOTAL: Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company State Water State water State Water State water State Water State Water State water State Water State water State Water State water State Water State Water State water State Water State water State Water State water State water State Water State water State Water State water State Water State Water State water 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE 3971410000/0812 4771410000/0812 5329640000/0812 5478040000/0812 5771410000/0812 5871410000/0812 6122040000/0812 6771410000/0812 6871410000/0812 7081410000/0812 7771410000/0812 7871410000/0812 8181410000/0812 8445050000/0812 9481410000/0812 9871410000/0812 0081410000/0812 0281410000/0812 0381410000/0812 1081410000/0812 1381410000/0812 2010530000/0812 2081410000/0812 2181410000/0812 2481410000/0812 2792830000/0812 INv DATE PO 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 CHECK RUN 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC IPG 3 lapcshdsb NET 32.07 444.93 20.30 710.65 222.40 2,640.53 257.13 506.55 253.72 199.09 20.30 54.25 277.62 236.33 175.19 697.60 223.00 175.19 1,073.71 223.00 369.81 20.30 85.33 4,133.25 629.30 21.82 IPG 4 Iapcshdsb 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Golden Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company Company 3281410000/0812 3181410000/0812 4081410000/0812 4217710000/0812 4281410000/0812 4481410000/0812 4873120000/0812 4971020000/0812 5081410000/0812 5181410000/0812 5244120000/0812 5281410000/0812 5481410000/0812 5973120000/0812 6081410000/0812 6181410000/0812 6281410000/0812 6481410000/0812 6971410000/0812 7181410000/0812 7281410000/0812 7971410000/0812 8081410000/0812 8194840000/0812 8281410000/0812 8481410000/0812 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 07/17/2012 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 080113CC 1,517.05 800.02 1,937.01 109.72 109.23 62.79 113.14 85.33 78.51 175.19 73.65 202.50 226.41 109.72 54.61 287.86 851.25 711.24 130.20 178.61 54.61 294.71 212.74 328.84 280.44 1,175.60 State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State Water State water State Water State Water State Water State Water State Water State Water State Water State Water 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 5 lapcshdsb NET Golden State Water Company Golden State Water Company Golden State Water Company 256829 08/01/2012 PRTD 106211 Kyle Houck 8971410000/0812 9181410000/0812 9281410000/0812 8/5/12-8/8/12 07/17/2012 080113CC 178.01 07/17/2012 080113CC 175.19 07/17/2012 080113CC 366.38 CHECK 256828 TOTAL: 26,396.04 07/25/2012 21300147 080113CC 976.50 CHECK 256829 TOTAL: 976.50 07/09/2012 21300036 080113CC 180.00 CHECK 256830 TOTAL: 180.00 256830 08/01/2012 PRTD 104140 KNR Firm Support Attorney Service 1157 256831 08/01/2012 PRTD 100198 League of California Cities 1947 06/11/2012 21300136 080113CC 35.00 CHECK 256831 TOTAL: 35.00 256832 08/01/2012 PRTD 103866 Napa Auto Parts Culver City Napa Auto Parts Culver City Napa Auto Parts Culver City Napa Auto Parts Culver City 256833 08/01/2012 PRTD 100000 Hannah Geddis 256834 08/01/2012 PRTD 100000 Alisha Smith 256835 08/01/2012 PRTD 100000 Juan Ruiz 105616 105490 105488 106587 2006293.001 2006272.001 2006275.001 07/17/2012 21300132 080113CC 07/14/2012 21300132 080113CC 07/14/2012 21300132 080113CC 07/27/2012 21300132 080113CC CHECK 256832 TOTAL: 07/17/2012 080113CC CHECK 256833 TOTAL: 07/09/2012 080113CC CHECK 256834 TOTAL: 07/09/2012 080113CC 20.90 3.68 114.88 413.60 553.06 40.64 40.64 50.00 50.00 50.00 CHECK 256835 TOTAL: 50.00 08/01/2012 15:50 ICULVER CITY IPG 6 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 256836 08/01/2012 PRTD 100000 Meryy Astor 256837 08/01/2012 PRTD 100000 Julie s Lee 256838 08/01/2012 PRTD 100000 Lydie Marie 256839 08/01/2012 PRTD 100000 Albert Bartulis 256840 08/01/2012 PRTD 100000 Edward McGee 256841 08/01/2012 PRTD 100000 Ms Denina 256842 08/01/2012 PRTD 100000 Julio Dlimpio 256843 08/01/2012 PRTD 100000 Marilou Goldfarb 256844 08/01/2012 PRTD 100000 Mary Magdalene meC 256845 08/01/2012 PRTD 100000 David Rodriguez 71013768 2006299.001 2006290.001 2006296.001 2006240.001 2006255.001 2006249.001 2006253.001 2006242.001 2006277.001 07/19/2012 080113Cc CHECK 256836 TOTAL: 07/19/2012 080113CC CHECK 256837 TOTAL: 07/16/2012 080113CC CHECK 256838 TOTAL: 07/17/2012 080113CC CHECK 256839 TOTAL: 07/09/2012 080113CC CHECK 256840 TOTAL: 07/05/2012 080113CC CHECK 256841 TOTAL: 07/03/2012 080113CC CHECK 256842 TOTAL: 07/05/2012 080113CC CHECK 256843 TOTAL: 07/09/2012 080113CC CHECK 256844 TOTAL: 07/09/2012 080113CC 55.00 55.00 55.60 55.60 61.00 61.00 61.00 61.00 61.00 61.00 62.00 62.00 66.00 66.00 70.00 70.00 72.00 72.00 75.00 CHECK 75.00 256845 TOTAL: CHECK 256855 TOTAL: 112.63 NET IPG 7 Iapcshdsb INVOICE CHECK RUN INV DATE PO 08/01/2012 15:50 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME 080113Cc 07/09/2012 080113CC 07/09/2012 080113CC 07/19/2012 080113CC 07/09/2012 080113CC 07/17/2012 080113CC 07/09/2012 080113CC 07/17/2012 080113CC 07/06/2012 080113CC 07/03/2012 080113CC 07/17/2012 256846 08/01/2012 PRTD 100000 Gabriela Jacome 256847 08/01/2012 PRTD 100000 David Daily 256848 08/01/2012 PRTD 100000 Barbara Robertson 256849 08/01/2012 PRTD 100000 Lana Negrete 256850 08/01/2012 PRTD 100000 Melissa Hall 256851 08/01/2012 PRTD 100000 Chistina zeleuandia 256852 08/01/2012 PRTD 100000 Stuart Lager 256853 08/01/2012 PRTD 100000 Linda Chism 256854 08/01/2012 PRTD 100000 Getachew Gevrewahed 256855 08/01/2012 PRTD 100000 Taylor Spill 2006268.001 2006276.001 80006329 2006246.001 2006297.001 2006273.001 2006252.001 2006257.001 2006245.001 2006292.001 CHECK 256846 TOTAL: CHECK 256847 TOTAL: CHECK 256848 TOTAL: CHECK 256849 TOTAL: CHECK 256850 TOTAL: CHECK 256851 TOTAL: CHECK 256852 TOTAL: CHECK 256853 TOTAL: CHECK 256854 TOTAL: 80.00 80.00 80.00 80.00 80.00 80.00 85.00 85.00 88.00 88.00 92.00 92.00 100.00 100.00 100.00 100.00 103.00 103.00 112.63 CHECK 256865 TOTAL: 222.00 NET IPG 8 lapcshdsb INVOICE CHECK RUN INv DATE PO 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 080113CC 114.00 07/13/2012 114.00 115.00 115.00 129.90 129.90 148.43 148.43 156.00 156.00 159.00 159.00 166.00 166.00 166.00 166.00 208.00 208.00 CHECK 256856 TOTAL: CHECK 256857 TOTAL: CHECK 256858 TOTAL: CHECK 256859 TOTAL: CHECK 256860 TOTAL: CHECK 256861 TOTAL: CHECK 256862 TOTAL: CHECK 256863 TOTAL: CHECK 256864 TOTAL: 07/19/2012 080113CC 07/12/2012 080113CC 07/19/2012 080113CC 07/09/2012 080113CC 07/03/2012 080113CC 07/19/2012 080113CC 07/10/2012 080113CC 07/12/2012 080113CC 256856 08/01/2012 PRTD 100000 Deborah Weinrauch 256857 08/01/2012 PRTD 100000 Leisha Neal 256858 08/01/2012 PRTD 100000 Taeko Ota 256859 08/01/2012 PRTD 100000 Evan Dimitroff 256860 08/01/2012 PRTD 100000 Kimberly Marshall 256861 08/01/2012 PRTD 100000 Rania Daily 256862 08/01/2012 PRTD 100000 Marisela Gonzalez 256863 08/01/2012 PRTD 100000 Irma Escobar 256864 08/01/2012 PRTD 100000 Hannibal Martinez 256865 08/01/2012 PRTD 100000 Monica Swanson 2006285.001 CP106255 2006283.001 2006294.001 2006271.001 2006248.001 2006303.001 2006279.001 2006282.001 2006291.001 07/16/2012 080113CC 222.00 NET IPG 9 lapcshdsb INVOICE CHECK RUN INv DATE PO 08/01/2012 15:50 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME 07/07/2012 080113CC CHECK 256866 TOTAL: 07/06/2012 080113CC CHECK 256867 TOTAL: 07/01/2012 080113CC CHECK 256868 TOTAL: 06/26/2012 080113CC CHECK 256869 TOTAL: 07/13/2012 080113CC CHECK 256870 TOTAL: 07/16/2012 080113CC CHECK 256871 TOTAL: 07/11/2012 21300116 080113CC CHECK 256872 TOTAL: 07/13/2012 21300115 080113CC CHECK 256873 TOTAL: 2006267.001 2006260.001 2006301.001 E12-0258 2006284.001 2006288.001 5171 43619 256866 08/01/2012 PRTD 100000 Shufang Liu 256867 08/01/2012 PRTD 100000 Alexandria Mott 256868 08/01/2012 PRTD 100000 Oliva Herrera 256869 08/01/2012 PRTD 100000 mattucci Plumbing 256870 08/01/2012 PRTD 100000 Norman Antonio 256871 08/01/2012 PRTD 100000 Josh Blanchard 256872 08/01/2012 PRTD 100288 Red wing Shoe Store 256873 08/01/2012 PRTD 101069 Rocket Smog Inc 256874 08/01/2012 PRTD 100264 Servicon Systems Inc Servicon Systems Inc Servicon Systems Inc 15417 07/17/2012 21300141 080113CC 15489 07/19/2012 21300121 080113CC 15559 07/24/2012 21300105 080113CC CHECK 256874 TOTAL: 250.00 250.00 255.00 255.00 280.00 280.00 312.00 312.00 360.00 360.00 975.00 975.00 337.38 337.38 30.00 30.00 39.43 958.96 1,109.73 2,108.12 08/01/2012 15:50 ICULvER CITY IPG 10 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET 256875 08/01/2012 PRTD 100331 Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison Southern California Edison 2024503617072012 22084684470712 2024524639/0812 2024524480/0812 2024524191/0812 2024524993/0812 2024526451/0812 2024539512/0812 2024546202/0812 2024513715/0812 2024518631/0812 2024518318/0812 2024517971/0812 2260885306/0812 2199082371/0812 2024503336/0812 2024512204/0812 2024525396/0812 2024525859/0812 2024528119/0812 2024539066/0812 2024533523/0812 2024535734/0812 2024508459/0812 2024507410/0812 2024534240/0812 07/17/2012 21300139 080113CC 07/17/2012 21300145 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 07/19/2012 080113CC 64.81 10,144.85 913.77 15.72 547.39 37.47 39.23 3,921.04 76.26 130.43 48.54 42.24 124.29 80.62 13,670.45 38.11 46.22 41.57 58.15 36.80 91.71 41.75 38.24 26.77 169.98 6,164.65 Southern Southern southern Southern southern Southern Southern Southern Southern southern Southern Southern Southern Southern southern California California California California California California California California California California California California California California California Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison Edison 08/01/2012 15:50 'CULVER CITY IPG 11 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 256876 08/01/2012 PRTD 100490 The Gas Company The Gas Company 2024529695/0812 07/19/2012 080113Cc 2024534117/0812 07/19/2012 080113CC 2024539231/0812 07/19/2012 080113cc 2024521734/0812 07/19/2012 080113CC 2024571317/0812 07/19/2012 080113cc 2325840270/0812 07/19/2012 080113CC 2024510844/0812 07/19/2012 080113CC 2024512394/0812 07/19/2012 080113cc 2024523714/0812 07/19/2012 080113CC 2024523227/0812 07/19/2012 080113cc 2024519456/0812 07/19/2012 080113CC 2024523490/0812 07/19/2012 080113CC 2024519647/0812 07/19/2012 080113Cc 2346049943/0812 07/19/2012 080113CC 2251812707/0812 07/19/2012 21300174 080113cc CHECK 256875 TOTAL: 166103370072012 07/17/2012 21300175 080113cc 1410526403072012 07/17/2012 21300138 080113CC CHECK 256876 TOTAL: 42.11 5,952.33 708.05 16.93 45.43 51.70 42.22 41.89 45.09 101.07 325.08 41.45 20.41 311.36 22.20 44,378.38 25.11 185.00 210.11 08/01/2012 15:50 'CULVER CITY IPG 12 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb NUMBER OF CHECKS 67 *** CASH ACCOUNT TOTAL *** 238,774.94 COUNT AMOUNT TOTAL PRINTED CHECKS 67 238,774.94 *** GRAND TOTAL *** 238,774.94 INv DATE PO CHECK RUN NET 08/01/2012 6,243.74 6,243.74 CHECK 256879 TOTAL: 080213CC IPG 1 lapcshdsb 08/01/2012 21300184 080213CC CHECK 256877 TOTAL: 08/01/2012 21300185 080213CC CHECK 256878 TOTAL: 338.00 338.00 395.56 395.56 CHECK 256883 TOTAL: 07/01/2012 21300031 080213CC CHECK 256884 TOTAL: 07/12/2012 21300169 080213CC CHECK 256885 TOTAL: 07/08/2012 21300189 080213CC 07/10/2012 21300189 080213CC CHECK 256886 TOTAL: 486.01 190.00 190.00 678.26 678.26 171.39 172.38 343.77 080213CC CHECK 256880 TOTAL: 080213CC CHECK 256881 TOTAL: 08/01/2012 21300183 080213CC CHECK 256882 TOTAL: 080213CC 08/03/2012 08/03/2012 07/16/2012 573.00 573.00 106.25 106.25 554.69 554.69 486.01 08/02/2012 12:59 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME 256877 08/02/2012 PRTD 100016 Altec Industries Inc 256878 08/02/2012 PRTD 100020 American Machinery and Blade Inc 97961 256879 08/02/2012 PRTD 100715 AmeriFlex LLC 256880 08/02/2012 PRTD 101393 Amy Morgan Teel 256881 08/02/2012 PRTD 100143 Bonita Jean Lewis 256882 08/02/2012 PRTD 100045 C and w Enterprises 256883 08/02/2012 PRTD 100258 calpERs 256884 08/02/2012 PRTD 100796 CAPRCBm 256885 08/02/2012 PRTD 101691 Catalina Pacific Concrete 256886 08/02/2012 PRTD 100066 Chemsearch Chemsearch INVOICE 4983396 PYDY080312 ALLEMP8552217 ALLEMP855222 10270 8868068 CARPBm1213 91595619 781460 782806 080213CC 08/03/2012 08/01/2012 080213CC 08/02/2012 080213CC 080213CC 080213CC 256891 TOTAL: 080213cc 08/03/2012 08/03/2012 CHECK 08/03/2012 080213cc 08/01/2012 382.50 382.50 200.76 200.76 552.61 552.61 .43 62.22 62.65 185.99 185.99 95,906.58 95,906.58 CHECK 256892 TOTAL: CHECK 256893 TOTAL: CHECK 256888 TOTAL: CHECK 256889 TOTAL: CHECK 256890 TOTAL: 08/02/2012 12:59 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 2 Iapcshdsb NET 256887 08/02/2012 PRTD 100548 Chicago Printing and Embossing co 43371 07/15/2012 21300158 080213cc 46.36 CHECK 256887 TOTAL: 46.36 256888 08/02/2012 PRTD 105142 Cindy m Diaz 256889 08/02/2012 PRTD 100713 City of Culver city 256890 08/02/2012 PRTD 100713 City of Culver city 256891 08/02/2012 PRTD 100707 County of Los Angeles County of Los Angeles 256892 08/02/2012 PRTD 105466 county of Sacramento 256893 08/02/2012 PRTD 100090 Culver city credit union ALLEmP8552262 July Petty June Petty ALLEMP855224 ALLEmP855225 ALLEMP8552263 PYDY080312 256894 08/02/2012 PRTD 105836 Culver city Employees Association PYDY080312 08/01/2012 080213cc 3,550.00 CHECK 256894 TOTAL: 3,550.00 256895 08/02/2012 PRTD 105837 Culver city Fire Management PYDY080312 08/01/2012 080213cc 105.00 CHECK 256895 TOTAL: 105.00 256896 08/02/2012 PRTD 100092 Culver city Firefighters #1927 PYDY080312 08/01/2012 080213cc 3,292.02 NET IPG 3 lapcshdsb INVOICE CHECK RUN INv DATE PO 08/02/2012 12:59 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 08/01/2012 080213CC 08/01/2012 080213CC 08/01/2012 080213CC 08/03/2012 080213CC 08/03/2012 080213CC 256900 08/02/2012 PRTD 107417 Cindy Eckert 256901 08/02/2012 PRTD 101291 Edelmira De La Garza Williams 256902 08/02/2012 PRTD 101504 GMS Autoglass GMS Autoglass 256903 08/02/2012 PRTD 100529 Hanson Aggregates west Inc Hanson Aggregates West Inc 256904 08/02/2012 PRTD 102164 Haynes Building Services LLC Haynes Building Services LLC 256905 08/02/2012 PRTD 100161 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ALLEMP8552269 ALLEMP8552216 1187815 1187610 1282222 1282223 00023996 00023994 RHS-PPE7/29/12EM RHS-PPE7/29/12 3,292.02 546.00 546.00 9,174.30 9,174.30 275.00 275.00 259.50 259.50 237.50 237.50 200.92 354.27 555.19 661.46 273.20 934.66 2,761.47 4,815.26 7,576.73 650.00 24,400.00 256897 08/02/2012 PRTD 105839 Culver City Management Group PYDY080312 256898 08/02/2012 PRTD 105841 Culver City Police Association PYDY080312 256899 08/02/2012 PRTD 105842 Culver City Police Management Gro PYDY080312 CHECK 256896 TOTAL: CHECK 256897 TOTAL: CHECK 256898 TOTAL: CHECK 256899 TOTAL: CHECK 256900 TOTAL: CHECK 256901 TOTAL: 07/17/2012 21300162 080213CC 07/12/2012 21300178 080213CC CHECK 256902 TOTAL: 07/11/2012 21300168 080213CC 07/11/2012 21300168 080213CC CHECK 256903 TOTAL: 07/10/2012 07/10/2012 CHECK 08/02/2012 08/02/2012 080213CC 080213CC 256904 TOTAL: 080213CC 080213CC ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 ICMA Retirement Trust-457 1-IcmA 7/29/12 2-KmA 7/29/12 3-IcmA 7/29/12 4-KmA 7/29/12 5-IcmA 7/29/12 6-ICMA 7/29/12 7-xmA 7/29/12 8-IcmA 7/29/12 9-IcmA 7/29/12 10-ICMA 7/29/12 11-xmA 7/29/12 12-ICMA 7/29/12 13-IcmA 7/29/12 14-xmA 7/29/12 15-IcmA 7/29/12 16-KmA 7/29/12 17-IcmA 7/29/12 18-xmA 7/29/12 19-xmA 7/29/12 20-IcmA 7/29/12 21-KmA 7/29/12 08/02/2012 12:59 'CULVER CITY IPG 4 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 080213cc 080213CC 080213cc 080213CC 080213cc 080213CC 080213CC 080213cc 080213CC 080213cc 080213CC 080213CC 080213cc 080213CC 080213cc 080213CC 080213cc 080213CC 080213CC 080213cc 080213CC 256905 TOTAL: 39,927.13 450.00 25,924.54 753.00 1,255.04 1,310.89 292.25 21,112.08 2,606.00 6,263.00 337.00 4,763.00 112.00 198.00 1,535.81 2,580.31 1,530.96 669.23 1,750.00 501.00 1,923.07 140,844.31 256906 08/02/2012 PRTD 104182 Internal Revenue service ALLEmP8552260 08/03/2012 080213CC 125.00 CHECK 256906 TOTAL: 125.00 11.00 CHECK 256914 TOTAL: INVOICE INV DATE PO CHECK RUN NET 08/03/2012 ALLEMP8552215 ALLEMP8552219 9329 CHECK 256907 TOTAL: 080213CC 080213CC CHECK 256908 TOTAL: 080213CC 08/03/2012 07/15/2012 125.00 125.00 50.00 50.00 180.00 080213CC 08/03/2012 080213CC 08/03/2012 080213CC 08/03/2012 08/02/2012 12:59 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256907 08/02/2012 PRTD 104182 Internal Revenue Service 256908 08/02/2012 PRTD 104182 Internal Revenue Service 256909 08/02/2012 PRTD 101229 Kristi Callan 256910 08/02/2012 PRTD 105284 L & 7 Auto Body and Paint L & J Auto Body and Paint L & J Auto Body and Paint L & J Auto Body and Paint L & J Auto Body and Paint L & J AutO Body and Paint 256911 08/02/2012 PRTD 105693 Anne E. Larson 256912 08/02/2012 PRTD 104212 Lawson Products Inc 256913 08/02/2012 PRTD 101420 Maria Summers 256914 08/02/2012 PRTD 101519 mieah Edwards IPG 5 lapcshdsb ALLEMP8552268 9300978558 ALLEMP8552218 ALLEmP8552221 CHECK 256911 TOTAL: 08/01/2012 21300187 080213CC CHECK 256912 TOTAL: CHECK 256913 TOTAL: 180.00 1,426.25 1,163.38 1,950.05 200.00 600.00 600.00 5,939.68 1,939.50 1,939.50 472.95 472.95 400.00 400.00 11.00 CHECK 256909 TOTAL: 21396 08/01/2012 21300153 080213CC 21393 08/01/2012 21300118 080213CC 21403 08/01/2012 21300155 080213CC 21397 08/01/2012 21300157 080213CC 21398 08/01/2012 21300156 080213CC 21394 08/01/2012 21300119 080213CC CHECK 256910 TOTAL: 08/03/2012 080213CC 127.00 08/03/2012 080213CC 3.00 08/03/2012 080213CC 61.00 CHECK 256915 TOTAL: 191.00 07/01/2012 080213CC 42.00 07/01/2012 080213CC 30.98 CHECK 256916 TOTAL: 72.98 07/07/2012 21300160 080213CC 08/01/2012 21300180 080213CC 08/01/2012 21300179 080213CC CHECK 256917 TOTAL: 07/01/2012 21300181 080213CC CHECK 256918 TOTAL: 108.75 205.67 41.87 356.29 680.00 680.00 08/02/2012 12:59 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 6 lapcshdsb NET 256915 08/02/2012 PRTD 105552 Miriam Gutierrez Miriam Gutierrez Miriam Gutierrez 256916 08/02/2012 PRTD 101326 Pacific Alarm Systems Inc Pacific Alarm Systems Inc 256917 08/02/2012 PRTD 100270 Phillips Steel Co Phillips Steel Co Phillips Steel Co ALLEMP8552264 ALLEmP8552265 ALLEMP8552266 2202977 2202978 140509 141514 141335 256918 08/02/2012 PRTD 105403 Reliable Monitoring Services 2012-6298 256919 08/02/2012 PRTD 100318 Richard Sidebotham Richard Sidebotham Richard Sidebotham 256920 08/02/2012 PRTD 100294 Road America Inc 07/01/2012 080213CC 385.00 07/06/2012 080213CC 117.45 08/01/2012 080213CC 385.00 CHECK 256919 TOTAL: 887.45 08227 08202 08238 27445 08/01/2012 21300182 080213CC 661.27 CHECK 256920 TOTAL: 661.27 256921 08/02/2012 PRTD 100084 Sharon Renee Courtney ALLEmP855221 08/03/2012 080213CC 332.50 CHECK 256921 TOTAL: 332.50 08/02/2012 12:59 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 7 Iapcshdsb NET 256922 08/02/2012 PRTD 100321 Sims Welding Supply Co 00529837 08/01/2012 21300159 080213CC 74.74 CHECK 256922 TOTAL: 74.74 256923 08/02/2012 PRTD 101165 Standard Insurance Company JUL2012 08/02/2012 080213CC 6,792.65 CHECK 256923 TOTAL: 6,792.65 256924 08/02/2012 PRTD 100340 State of California State of California State of California State of California State of California State of California State of California State of California State of California 256925 08/02/2012 PRTD 100340 State of California 256926 08/02/2012 PRTD 100340 State of California State of California State of California State of California State of California State of California State of California State of California ALLEMP855227 ALLEmP855228 ALLEMP855229 ALLEmP8552213 ALLEMP8552214 ALLEmP855226 ALLEMP8552210 ALLEMP8552211 ALLEmP8552212 ALLEmP8552220 ALLEmP8552258 ALLEMP8552259 ALLEmP8552255 ALLEMP8552256 ALLEmP8552257 ALLEMP8552252 ALLEMP8552253 ALLEmP8552254 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 CHECK 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 256924 TOTAL: 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 476.44 150.00 50.00 35.00 370.54 150.00 37.50 140.00 515.20 1,924.68 396.58 396.58 93.75 192.00 3.53 39.44 257.00 3.53 35.33 50.52 CHECK 256925 TOTAL: IPG 8 Iapcshdsb 08/02/2012 12:59 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California State of California ALLEMP8552249 ALLEmP8552250 ALLEMP8552251 ALLEmP8552246 ALLEMP8552247 ALLEMP8552248 ALLEmP8552243 ALLEMP8552244 ALLEmP8552245 ALLEMP8552240 ALLEmP8552241 ALLEMP8552242 ALLEMP8552237 ALLEmP8552238 ALLEMP8552239 ALLEmP8552234 ALLEMP8552235 ALLEmP8552236 ALLEmP8552231 ALLEMP8552232 ALLEmP8552233 ALLEMP8552228 ALLEmP8552229 ALLEMP8552230 ALLEMP8552225 ALLEmP8552226 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 08/03/2012 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 080213CC 162.50 222.00 10.60 261.50 160.62 273.50 109.00 500.00 200.00 169.50 255.00 426.00 240.00 46.61 324.50 231.00 207.69 277.38 312.50 92.31 350.00 300.50 299.50 134.00 715.38 492.50 08/03/2012 08/03/2012 08/03/2012 08/03/2012 CHECK 08/03/2012 080213Cc 080213CC 080213cc 080213CC 256926 TOTAL: 080213CC 269.53 150.00 44.65 405.69 8,319.06 516.00 516.00 CHECK 256927 TOTAL: 08/01/2012 080213CC 5,110.07 CHECK 256928 TOTAL: 5,110.07 07/13/2012 080213CC 254.00 CHECK 256929 TOTAL: 254.00 08/03/2012 080213CC 625.00 CHECK 256930 TOTAL: 625.00 08/03/2012 080213CC 950.00 CHECK 256931 TOTAL: 950.00 55 *** CASH ACCOUNT TOTAL *** 311,984.34 08/02/2012 12:59 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 9 Iapcshdsb NET State of California State of California State of California State of California 256927 08/02/2012 PBT0 100183 Traci 0 Kellum 256928 08/02/2012 PRTD 102117 union Bank of California NA 256929 08/02/2012 PRTD 101729 US Healthworks 256930 08/02/2012 PRTD 104990 Virginia Lynn Lay 256931 08/02/2012 PRTD 105609 Yvonne M Newton ALLEMP8552227 ALLEMP8552222 ALLEmP8552223 ALLEMP8552224 ALLEmP855223 PY0Y080312 2120350-CA ALLEmP8552261 ALLEmP8552267 NUMBER OF CHECKS COUNT AMOUNT TOTAL PRINTED CHECKS 55 311,984.34 *** GRAND TOTAL *** 311,984.34 08/02/2012 16:10 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 lapcshdsb NET 256932 08/02/2012 PRTD 107130 Diana Hawk Aug-2012 08/02/2012 080213RC 1,186.32 CHECK 256932 TOTAL: 1,186.32 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 1,186.32 COUNT AMOUNT TOTAL PRINTED CHECKS 1 1,186.32 *** GRAND TOTAL *** 1,186.32 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 Iapcshdsb NET 5001 07/30/2012 EFT 6698 William C Agnew Aug-12 CHECK 073012CC 5001 TOTAL: 752.N 752.86 Aug-12 Aug-12 Aug-12 Aug-1Z Aug-12 Aug-1Z Aug-12 Aug-1Z 5002 07/30/2012 EFT 107186 Raziya Al-Nafis 5003 07/30/2012 EFT 106715 Ann Alexander 5004 07/30/2012 EFT 106718 Jorge Alonzo 5005 07/30/2012 EFT 106739 Mark Ambrozich 5006 07/30/2012 EFT 107102 Antonio Amido 5007 07/30/2012 EFT 107221 Douglas L. Andersen 5008 07/30/2012 EFT 106740 Thomas Andrews 5009 07/30/2012 EFT 106707 Cecelia Angel 073012CC CHECK 5002 TOTAL: 073012CC CHECK 5003 TOTAL: 073012CC CHECK 5004 TOTAL: 073012CC CHECK 5005 TOTAL: 073012CC CHECK 5006 TOTAL: 073012CC CHECK 5007 TOTAL: 073012CC CHECK 5008 TOTAL: 073012CC 373.18 373.18 320.43 320.43 353.63 353.63 1,186.32 1,186.32 563.98 563.98 1,187.69 1,187.69 631.44 631.44 225.99 CHECK 5009 TOTAL: 225.99 5010 07/30/2012 EFT 107103 Philip Angel Aug-12 073012CC 320.43 CHECK 5010 TOTAL: 320.43 07/30/2012 15:24 'CULVER CITY 'PG 2 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 5011 07/30/2012 EFT 107142 William Aparicio 5012 07/30/2012 EFT 107104 James Ardizzone 5013 07/30/2012 EFT 107234 Manuel. L Ariza 5014 07/30/2012 EFT 106779 David Ashcraft 5015 07/30/2012 EFT 106722 Gary J Audet 5016 07/30/2012 EFT 106780 Frank Augusta 5017 07/30/2012 EFT 107105 Pedro R Ayala 5018 07/30/2012 EFT 106781 Patricia M Bagge 5019 07/30/2012 EFT 107106 Pamela L Baird 073012Cc CHECK 5011 TOTAL: 073012CC CHECK 5012 TOTAL: 073012CC CHECK 5013 TOTAL: 073012CC CHECK 5014 TOTAL: 073012CC CHECK 5015 TOTAL: 073012CC CHECK 5016 TOTAL: 073012CC CHECK 5017 TOTAL: 073012CC CHECK 5018 TOTAL: 073012CC CHECK 5019 TOTAL: 772.70 772.70 920.60 920.60 416.20 416.20 920.60 920.60 271.44 271.44 654.88 654.88 443.62 443.62 654.88 654.88 1,098.64 1,098.64 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 5020 07/30/2012 EFT 107190 Lyndon Barber Aug-12 073012CC 1,038.11 CHECK 5020 TOTAL: 1,038.11 1,149.48 1,149.48 CHECK 5029 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5021 TOTAL: 073012CC 5022 TOTAL: 073012CC 5023 TOTAL: 073012CC 5024 TOTAL: 073012CC 5025 TOTAL: 073012CC 5026 TOTAL: 073012CC 5027 TOTAL: 073012CC 5028 TOTAL: 271.44 271.44 504.70 504.70 920.60 920.60 563.98 563.98 320.43 320.43 271.44 271.44 443.62 443.62 271.44 271.44 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5021 07/30/2012 EFT 107143 Janet Barfield 5022 07/30/2012 EFT 106725 Willie Barfield 5023 07/30/2012 EFT 106782 Gerald P Barnes 5024 07/30/2012 EFT 106785 Jose Barrios 5025 07/30/2012 EFT 106732 Ann Behrens 5026 07/30/2012 EFT 106787 Susan Berg 5027 07/30/2012 EFT 106802 Charles Bernard 5028 07/30/2012 EFT 106789 Ernest Berry 5029 07/30/2012 EFT 107182 Juan J. Betancourt IPG 3 lapcshdsb INVOICE INV DATE PO CHECK RUN NET 5030 07/30/2012 EFT 107220 Cerris Black Aug-12 073012CC 416.20 CHECK 5030 TOTAL: 416.20 CHECK 5040 TOTAL: 444.00 INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 909.44 CHECK 5031 TOTAL: 073012CC CHECK 5032 TOTAL: 909.44 271.44 271.44 Aug-12 Aug-12 073012CC 165.81 Aug-12 Aug-12 165.81 1,144.85 1,144.85 1,136.91 1,136.91 CHECK 5033 TOTAL: CHECK 5034 TOTAL: 073012CC CHECK 5035 TOTAL: 073012CC Aug-12 073012CC 165.81 CHECK 5036 TOTAL: 165.81 Aug-12 073012CC 165.81 CHECK 5037 TOTAL: 073012CC CHECK 5038 TOTAL: 073012CC 165.81 252.27 252.27 447.25 Aug-12 Aug-12 CHECK 5039 TOTAL: 073012CC 447.25 444.00 5040 07/30/2012 EFT 106794 Robert A Bruce Aug-12 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5031 07/30/2012 EFT 106804 Robert L Blair, Jr 5032 07/30/2012 EFT 106791 Marlene Blauner 5033 07/30/2012 EFT 106805 Sharon Blawn 5034 07/30/2012 EFT 107222 Craig Bloor 5035 07/30/2012 EFT 107166 Leslie Brandes 5036 07/30/2012 EFT 106807 Shermon Branson 5037 07/30/2012 EFT 106717 Margie L. Brice 5038 07/30/2012 EFT 107199 Kathleen Brier 5039 07/30/2012 EFT 106809 Mary J Bruce IPG 4 lapcshdsb 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5041 07/30/2012 EFT 106812 Elywnn J Brunelle INVOICE Aug-12 INV DATE PO CHECK CHECK RUN 073012CC 5041 TOTAL: IPG 5 Iapcshdsb NET 654.88 654.88 5042 07/30/2012 EFT 106795 Wayne E Bueltel Aug-12 073012CC 1,202.64 CHECK 5042 TOTAL: 1,202.64 5043 07/30/2012 EFT 106813 William L Burck Aug-12 073012CC 819.26 CHECK 5043 TOTAL: 819.26 5044 07/30/2012 EFT 106719 Justine Burleson Aug-12 073012CC 320.43 CHECK 5044 TOTAL: 320.43 5045 07/30/2012 EFT 106814 Philamer E Caliboso Aug-12 073012CC 165.81 CHECK 5045 TOTAL: 165.81 Aug-12 5046 07/30/2012 EFT 106797 Georgina Cals 5047 07/30/2012 EFT 106799 Brenda R Caninson 5048 07/30/2012 EFT 106815 Roosevelt Cannon 5049 07/30/2012 EFT 106934 Gianni G Carpani 073012CC CHECK 5046 TOTAL: 073012CC CHECK 5047 TOTAL: 073012CC CHECK 5048 TOTAL: 073012CC 320.43 320.43 271.44 271.44 1,098.64 1,098.64 891.86 Aug-12 Aug-12 Aug-12 CHECK 5049 TOTAL: 891.86 5050 07/30/2012 EFT 106943 Kenneth L Carpenter Aug-12 073012CC 1,211.00 CHECK 5050 TOTAL: 1,211.00 07/30/2012 15:24 ICULVER CITY IPG 6 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 5051 07/30/2012 EFT 106936 David castaneda Aug-12 073012cc 1,310.10 CHECK 5051 TOTAL: 1,310.10 5052 07/30/2012 EFT 106723 Sadie cerda Aug-12 073012CC 320.43 CHECK 5052 TOTAL: 320.43 5053 07/30/2012 EFT 107126 Julie Cerra Aug-12 073012CC 320.43 CHECK 5053 TOTAL: 320.43 5054 07/30/2012 EFT 106945 Juanita M Chafin 5055 07/30/2012 EFT 107144 Mary S. Chang 5056 07/30/2012 EFT 106938 Agnes v Christensen 5057 07/30/2012 EFT 107145 Muriel Clark 5058 07/30/2012 EFT 106947 Victor A Clay 5059 07/30/2012 EFT 107232 James van Cleave Aug-12 073012CC 398.72 CHECK 5054 TOTAL: 398.72 Aug-12 073012CC 848.70 CHECK 5055 TOTAL: 848.70 Aug-12 073012CC 320.43 CHECK 5056 TOTAL: 320.43 Aug-12 073012CC 868.97 CHECK 5057 TOTAL: 868.97 Aug-12 073012CC 654.88 CHECK 5058 TOTAL: 654.88 Aug-12 073012CC 416.20 CHECK 5059 TOTAL: 416.20 5060 07/30/2012 EFT 106948 Robert Cline Aug-12 073012CC 654.88 CHECK 5060 TOTAL: 654.88 1,136.91 1,136.91 CHECK 5061 TOTAL: 073012CC Aug-12 1,186.32 1,186.32 CHECK 5065 TOTAL: 073012CC Aug-12 1,277.87 1,277.87 CHECK 5069 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5062 TOTAL: 073012CC 5063 TOTAL: 073012CC 5064 TOTAL: Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5066 TOTAL: 073012CC 5067 TOTAL: 073012CC 5068 TOTAL: 654.88 654.88 858.37 858.37 320.43 320.43 165.81 165.81 368.35 368.35 225.99 225.99 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5061 07/30/2012 EFT 107146 Julie H. Cobb 5062 07/30/2012 EFT 106949 Carolyn J Cole 5063 07/30/2012 EFT 107201 Mark Coleman 5064 07/30/2012 EFT 106724 Rachel Cons 5065 07/30/2012 EFT 106951 Elwin E Cooke 5066 07/30/2012 EFT 106728 virginia Cordova 5067 07/30/2012 EFT 107147 Alan Corlin 5068 07/30/2012 EFT 106952 Michael A Courtney 5069 07/30/2012 EFT 106942 James R Grader IPG 7 lapcshdsb INVOICE INV DATE PO CHECK RUN NET 5070 07/30/2012 EFT 107148 Stephen C. Cunningham Aug-12 073012CC 1,121.40 CHECK 5070 TOTAL: 1,121.40 07/30/2012 15:24 ICULvER CITY IPG 8 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET 5071 07/30/2012 EFT 106768 Armen Dadaian Aug-12 073012CC 320.43 CHECK 5071 TOTAL: 320.43 5072 07/30/2012 EFT 106968 James Dade Aug-12 073012CC 899.26 CHECK 5072 TOTAL: 899.26 5073 07/30/2012 EFT 106840 Dale R Meyer Aug-12 073012CC 1,380.79 CHECK 5073 TOTAL: 1,380.79 5074 07/30/2012 EFT 106954 Jerry m Dalven Aug-12 073012CC 320.43 CHECK 5074 TOTAL: 320.43 5075 07/30/2012 EFT 107131 Barbara Daniels-Dier Aug-12 073012CC 320.43 CHECK 5075 TOTAL: 320.43 5076 07/30/2012 EFT 107223 Henry Davies Aug-12 073012CC 1,144.85 CHECK 5076 TOTAL: 1,144.85 5077 07/30/2012 EFT 106969 James S Davis Aug-12 073012CC 752.86 CHECK 5077 TOTAL: 752.86 5078 07/30/2012 EFT 106955 Kathy Davis Aug-12 073012CC 353.63 CHECK 5078 TOTAL: 353.63 5079 07/30/2012 EFT 106970 Miles T Davis Aug-12 073012CC 353.63 CHECK 5079 TOTAL: 353.63 5080 07/30/2012 EFT 106956 Jewel A Deadmon Aug-12 073012CC 165.81 CHECK 5080 TOTAL: 165.81 1,136.91 1,136.91 CHECK 5087 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK 073012CC 5088 TOTAL: 073012CC 5089 TOTAL: 165.81 165.81 631.44 631.44 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5081 TOTAL: 073012CC 5082 TOTAL: 073012CC 5083 TOTAL: 073012CC 5084 TOTAL: 073012CC 5085 TOTAL: 073012CC 5086 TOTAL: 271.44 271.44 320.43 320.43 368.35 368.35 271.44 271.44 271.44 271.44 929.00 929.00 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5081 07/30/2012 EFT 106971 Joan J Dean 5082 07/30/2012 EFT 106958 Loran D Decker 5083 07/30/2012 EFT 107179 Manfred Deimel 5084 07/30/2012 EFT 106972 Carol L Delay 5085 07/30/2012 EFT 107128 Maria Desouza 5086 07/30/2012 EFT 106973 Robert w Dewberry 5087 07/30/2012 EFT 107149 Joi Ana Dickerson 5088 07/30/2012 EFT 106964 Gilda T Dimalanta 5089 07/30/2012 EFT 106975 Clarence J Dixon Jr IPG 9 lapcshdsb INVOICE INV DATE PO CHECK RUN NET 5090 07/30/2012 EFT 106966 Dan Dodd Aug-12 073012CC 752.86 CHECK 5090 TOTAL: 752.86 Aug-12 CHECK 073012CC 5091 TOTAL: 654.88 654.88 1,202.64 1,202.64 CHECK 5092 TOTAL: 073012CC Aug-12 Aug-12 CHECK 073012CC 5093 TOTAL: 654.88 654.88 1,211.00 1,211.00 1,136.91 1,136.91 CHECK 5094 TOTAL: 073012CC CHECK 5095 TOTAL: 073012CC Aug-12 Aug-12 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5096 TOTAL: 073012CC 5097 TOTAL: 073012CC 5098 TOTAL: 073012CC 5099 TOTAL: 443.62 443.62 654.88 654.88 930.68 930.68 654.88 654.88 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5091 07/30/2012 EFT 106987 Peter J Donohue 5092 07/30/2012 EFT 106978 Keith B Dorrity 5093 07/30/2012 EFT 106988 Willie G Duncan 5094 07/30/2012 EFT 106979 wallace E Duval 5095 07/30/2012 EFT 107224 Jeffry I. Eastman 5096 07/30/2012 EFT 107553 Ebert , Glenn L 5097 07/30/2012 EFT 106980 Eiko Ebesu 5098 07/30/2012 EFT 106989 Billie Eddings 5099 07/30/2012 EFT 106981 Bob Edwards IPG 10 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET 5100 07/30/2012 EFT 106990 Colleen Egbert Aug-12 073012CC 271.44 CHECK 5100 TOTAL: 271.44 07/30/2012 15:24 'CULVER CITY IPG 11 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 5101 07/30/2012 EFT 106982 Arnold C Egle 5102 07/30/2012 EFT 106991 Alan S Elias 5103 07/30/2012 EFT 106983 Don H Ericsson 5104 07/30/2012 EFT 106992 Rufino R Escarcega 5105 07/30/2012 EFT 106984 Susan R Evanns 5106 07/30/2012 EFT 107120 Susan R Evans 5107 07/30/2012 EFT 106994 Edward Evans 5108 07/30/2012 EFT 106985 Deborah A Fancett 5109 07/30/2012 EFT 106995 George E Farias Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 320.43 320.43 777.07 777.07 320.43 320.43 165.81 165.81 320.43 320.43 797.63 797.63 920.60 920.60 777.07 777.07 929.00 929.00 073012CC 5101 TOTAL: 073012CC 5102 TOTAL: 073012CC 5103 TOTAL: 073012CC 5104 TOTAL: 073012CC 5105 TOTAL: 073012CC 5106 TOTAL: 073012CC 5107 TOTAL: 073012CC 5108 TOTAL: 073012CC 5109 TOTAL: 5110 07/30/2012 EFT 106986 Douglas P Fein Aug-12 073012CC 929.00 CHECK 5110 TOTAL: 929.00 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5111 07/30/2012 EFT 106996 Robert J Finch 5112 07/30/2012 EFT 107004 Seth D Fogel 5113 07/30/2012 EFT 107150 Gary D. Ford 5114 07/30/2012 EFT 106997 James C Forte 5115 07/30/2012 EFT 107005 Mark 0 Foss 5116 07/30/2012 EFT 106998 Paul E Francis 5117 07/30/2012 EFT 107006 william S Frazier 5118 07/30/2012 EFT 107007 Carl D Friend 5119 07/30/2012 EFT 107109 Brian Fujita IPG 12 lapcshdsb INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 752.86 CHECK 5111 TOTAL: 752.86 Aug-12 073012CC 1,202.64 CHECK 5112 TOTAL: 1,202.64 Aug-12 073012CC 694.27 CHECK 5113 TOTAL: 694.27 Aug-12 073012CC 654.88 CHECK 5114 TOTAL: 654.88 Aug-12 073012CC 443.62 CHECK 5115 TOTAL: 443.62 Aug-12 073012CC 654.88 CHECK 5116 TOTAL: 654.88 Aug-12 073012CC 165.81 CHECK 5117 TOTAL: 165.81 Aug-12 073012CC 320.43 CHECK 5118 TOTAL: 320.43 Aug-12 073012CC 819.26 CHECK 5119 TOTAL: 819.26 5120 07/30/2012 EFT 107176 Jerry Fulwood Aug-12 1 073012CC ,020.83 CHECK 5120 TOTAL: 1,020.83 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5121 07/30/2012 EFT 106999 Paul C Furden 5122 07/30/2012 EFT 107212 Mildred Gadlin 5123 07/30/2012 EFT 107001 Ricki E Galgano 5124 07/30/2012 EFT 107225 Richard Gallagher 5125 07/30/2012 EFT 107151 Marie Galli 5126 07/30/2012 EFT 107010 mark H Gauerke 5127 07/30/2012 EFT 106776 Carolyn Germind 5128 07/30/2012 EFT 107127 Lois E Gibson 5129 07/30/2012 EFT 107152 Elaine Gil de Leon IPG 13 lapcshdsb INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 165.81 CHECK 5121 TOTAL: 165.81 Aug-12 073012CC 772.70 CHECK 5122 TOTAL: 772.70 Aug-12 073012CC 443.62 CHECK 5123 TOTAL: 443.62 Aug-12 073012CC 848.70 CHECK 5124 TOTAL: 848.70 Aug-12 073012CC 368.35 CHECK 5125 TOTAL: 368.35 Aug-12 073012CC 443.62 CHECK 5126 TOTAL: 443.62 Aug-12 073012CC 271.44 CHECK 5127 TOTAL: 271.44 Aug-12 073012CC 320.43 CHECK 5128 TOTAL: 320.43 Aug-12 073012CC 848.70 CHECK 5129 TOTAL: 848.70 5130 07/30/2012 EFT 107012 James L Gilbert Aug-12 073012CC 752.86 CHECK 5130 TOTAL: 752.86 CHECK 5140 TOTAL: 271.44 INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 165.81 Aug-12 Aug-12 165.81 819.26 819.26 225.99 225.99 CHECK 5131 TOTAL: 073012CC CHECK 5132 TOTAL: 073012CC CHECK 5133 TOTAL: Aug-12 073012CC 165.81 CHECK CHECK 073012CC 5138 TOTAL: 073012CC 5139 TOTAL: 073012CC 271.44 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME 5131 07/30/2012 EFT 107027 Helen K Golbin 5132 07/30/2012 EFT 106777 Luciano Gonzales 5133 07/30/2012 EFT 107014 Kenneth D Good 5134 07/30/2012 EFT 107554 Goodwin, Phyllis v 5135 07/30/2012 EFT 107153 Rosalie sederoff Gotz 5136 07/30/2012 EFT 107226 Kieran Graner 5137 07/30/2012 EFT 107180 Carol Gross 5138 07/30/2012 EFT 107016 Jose Gutierrez 5139 07/30/2012 EFT 107031 Bert Haggerty 5140 07/30/2012 EFT 106753 Jewel Hall Aug-12 IPG 14 lapcshdsb CHECK 5134 TOTAL: 073012CC CHECK 5135 TOTAL: 073012CC CHECK 5136 TOTAL: 073012CC CHECK 5137 TOTAL: 165.81 415.84 415.84 1,144.85 1,144.85 252.27 252.27 320.43 320.43 443.62 443.62 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5141 07/30/2012 EFT 107019 Ervin Hampton Jr 5142 07/30/2012 EFT 107154 Steven Handshaw 5143 07/30/2012 EFT 107155 Kathryn E. Haney 5144 07/30/2012 EFT 107032 Thomas H Haney 5145 07/30/2012 EFT 106727 mary A. Harrington 5146 07/30/2012 EFT 107033 walter Harris 5147 07/30/2012 EFT 107023 Albert E Hart 5148 07/30/2012 EFT 107181 Cynthia Hart 5149 07/30/2012 EFT 107035 Kurt H Hathaway IPG 15 lapcshdsb INVOICE INv DATE PO CHECK RUN NET Aug-12 073012CC 165.81 CHECK 5141 TOTAL: 165.81 Aug-12 073012CC 252.27 CHECK 5142 TOTAL: 252.27 Aug-12 073012CC 442.42 CHECK 5143 TOTAL: 442.42 Aug-12 073012CC 165.81 CHECK 5144 TOTAL: 165.81 Aug-12 073012CC 752.86 CHECK 5145 TOTAL: 752.86 Aug-12 073012CC 752.86 CHECK 5146 TOTAL: 752.86 Aug-12 073012CC 320.43 CHECK 5147 TOTAL: 320.43 Aug-12 073012CC 330.35 CHECK 5148 TOTAL: 330.35 Aug-12 073012CC 909.44 CHECK 5149 TOTAL: 909.44 5150 07/30/2012 EFT 106784 Charles Hayes Aug-12 073012CC 353.63 CHECK 5150 TOTAL: 353.63 07/30/2012 15:24 'CULVER CITY 'PG 16 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 5160 07/30/2012 EFT 107042 David E Hopkins Aug-12 5151 07/30/2012 EFT 107046 Jerry Haywood III 5152 07/30/2012 EFT 107037 Doris Henderson 5153 07/30/2012 EFT 107048 Ruben T Heredia 5154 07/30/2012 EFT 107039 michael L Hewitt 5155 07/30/2012 EFT 107156 Elaine Hirohama 5156 07/30/2012 EFT 107049 Michael R Hodge 5157 07/30/2012 EFT 107184 Stanley R. Holland 5158 07/30/2012 EFT 107041 Terry m Holt 5159 07/30/2012 EFT 107051 Gary v Hoover 073012CC CHECK 5151 TOTAL: 073012CC CHECK 5152 TOTAL: 073012CC CHECK 5153 TOTAL: 073012CC CHECK 5154 TOTAL: 073012CC CHECK 5155 TOTAL: 073012CC CHECK 5156 TOTAL: 073012CC CHECK 5157 TOTAL: 073012CC CHECK 5158 TOTAL: 073012CC CHECK 5159 TOTAL: 073012CC 913.52 913.52 443.62 443.62 909.44 909.44 165.81 165.81 1,136.91 1,136.91 1,575.82 1,575.82 970.37 970.37 777.07 777.07 920.60 920.60 899.26 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 CHECK 5160 TOTAL: 899.26 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 17 lapcshdsb NET Aug-12 5161 07/30/2012 EFT 107197 Ida R. Hosey 5162 07/30/2012 EFT 107052 Terry J Houlihan 5163 07/30/2012 EFT 107053 Curtis F Hull 5164 07/30/2012 EFT 106733 wilma Hurley 5165 07/30/2012 EFT 107110 Gerald A ichien 5166 07/30/2012 EFT 107174 Lillian Ikeda 5167 07/30/2012 EFT 107043 Michael A iler 5168 07/30/2012 EFT 107054 Gerry mai 073012CC CHECK 5161 TOTAL: 073012CC CHECK 5162 TOTAL: 073012CC CHECK 5163 TOTAL: 073012CC CHECK 5164 TOTAL: 073012CC CHECK 5165 TOTAL: 073012CC CHECK 5166 TOTAL: 073012CC CHECK 5167 TOTAL: 073012CC CHECK 5168 TOTAL: 368.35 368.35 899.26 899.26 1,260.02 1,260.02 320.43 320.43 1,149.48 1,149.48 848.70 848.70 422.10 422.10 353.63 353.63 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 5169 07/30/2012 EFT 100436 Independent Cities Risk Mgmt Auth ICRMA-2013-0005 07/03/2012 073012CC 1,658,307.00 CHECK 5169 TOTAL: 1,658,307.00 5170 07/30/2012 EFT 107055 Stanley L Isbell Aug-12 073012CC 443.62 CHECK 5170 TOTAL: 443.62 1,038.11 1,038.11 CHECK 5174 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5171 TOTAL: 073012CC 5172 TOTAL: 073012CC 5173 TOTAL: Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5175 TOTAL: 073012CC 5176 TOTAL: 073012CC 5177 TOTAL: 073012CC 5178 TOTAL: 073012CC 5179 TOTAL: 752.86 752.86 819.26 819.26 752.86 752.86 504.70 504.70 271.44 271.44 190.70 190.70 398.72 398.72 752.86 752.86 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5171 07/30/2012 EFT 107056 Paul A Jacobs 5172 07/30/2012 EFT 107057 Herman L Jamar 5173 07/30/2012 EFT 107064 Juan J Jaure 5174 07/30/2012 EFT 107191 Burt Johnson 5175 07/30/2012 EFT 107202 william Johnson 5176 07/30/2012 EFT 106736 Bernice Jones 5177 07/30/2012 EFT 107157 Camille Jones 5178 07/30/2012 EFT 107058 Carolyn E Jones 5179 07/30/2012 EFT 107065 Harry D Jones IPG 18 lapcshdsb INVOICE INV DATE PO CHECK RUN NET 5180 07/30/2012 EFT 107059 James W Jones Aug-12 073012CC 271.44 CHECK 5180 TOTAL: 271.44 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5181 07/30/2012 EFT 107158 Sherry J. Jordan 5182 07/30/2012 EFT 107187 Sonia Karroum 5183 07/30/2012 EFT 107067 Elisabeth Kassan 5184 07/30/2012 EFT 107060 Joan z Kassan 5185 07/30/2012 EFT 107068 Jo A Kaufman 5186 07/30/2012 EFT 107069 John Kendra Jr 5187 07/30/2012 EFT 106761 Marjory Kinderman 5188 07/30/2012 EFT 107061 David R Kinninger 5189 07/30/2012 EFT 107159 Victor K. Kishimoto IPG 19 lapcshdsb INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 330.35 CHECK 5181 TOTAL: 330.35 Aug-12 073012CC 594.27 CHECK 5182 TOTAL: 594.27 Aug-12 073012CC 320.43 CHECK 5183 TOTAL: 320.43 Aug-12 073012CC 752.86 CHECK 5184 TOTAL: 752.86 Aug-12 073012CC 271.44 CHECK 5185 TOTAL: 271.44 Aug-12 073012CC 752.86 CHECK 5186 TOTAL: 752.86 Aug-12 073012CC 320.43 CHECK 5187 TOTAL: 320.43 Aug-12 073012CC 654.88 CHECK 5188 TOTAL: 654.88 Aug-12 073012CC 415.84 CHECK 5189 TOTAL: 415.84 5190 07/30/2012 EFT 107072 Mary D Knight Aug-12 073012CC 254.87 CHECK 5190 TOTAL: 254.87 1,038.11 1,038.11 CHECK 5199 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5191 TOTAL: 073012CC 5192 TOTAL: 073012CC 5193 TOTAL: 073012CC 5194 TOTAL: 073012CC 5195 TOTAL: 073012CC 5196 TOTAL: 073012CC 5197 TOTAL: 073012CC 5198 TOTAL: 752.86 752.86 752.86 752.86 654.88 654.88 271.44 271.44 165.81 165.81 443.62 443.62 271.44 271.44 271.44 271.44 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5191 07/30/2012 EFT 107063 Donald M Konishi 5192 07/30/2012 EFT 107075 Joyce R Kotler 5193 07/30/2012 EFT 107085 Ted N Krauss 5194 07/30/2012 EFT 107076 Richard J Krekemeyer 5195 07/30/2012 EFT 107086 Sydney Kronenthal 5196 07/30/2012 EFT 107077 Roy G Lackey 5197 07/30/2012 EFT 106734 Carol Laford 5198 07/30/2012 EFT 107087 Lorraine J Lane 5199 07/30/2012 EFT 107203 Claude Lanier IPG 20 lapcshdsb INVOICE INv DATE PO CHECK RUN NET 5200 07/30/2012 EFT 107178 William LaPointe Aug-12 1 073012CC ,121.40 CHECK 1,121.40 5200 TOTAL: 07/30/2012 15:24 ICULvER CITY IPG 21 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET 5201 07/30/2012 EFT 107141 Naomi R Lathrop 5202 07/30/2012 EFT 107088 James Lavery 5203 07/30/2012 EFT 107079 Al L Lawrence 5204 07/30/2012 EFT 107089 Richard H Lebsock 5205 07/30/2012 EFT 107080 Karl Lee Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 165.81 5201 TOTAL: 165.81 073012CC 899.26 5202 TOTAL: 899.26 073012CC 537.16 5203 TOTAL: 537.16 073012CC 165.81 5204 TOTAL: 165.81 073012CC 752.86 5205 TOTAL: 752.86 5206 07/30/2012 EFT 107160 Margarita M. Lee 5207 07/30/2012 EFT 107090 Philip K Lee 5208 07/30/2012 EFT 107081 Juan H Lelcesona 5209 07/30/2012 EFT 107161 Heustace Lewis 073012CC 5206 TOTAL: 073012CC 5207 TOTAL: 073012CC 5208 TOTAL: 073012CC CHECK 5209 TOTAL: 848.70 848.70 654.88 654.88 165.81 165.81 1,038.11 1,038.11 Aug-12 Aug-12 Aug-12 Aug-12 CHECK CHECK CHECK 5210 07/30/2012 EFT 107091 Alice Lieberman Aug-12 073012CC 320.43 CHECK 5210 TOTAL: 320.43 1,202.64 1,202.64 1,226.82 1,226.82 CHECK 5214 TOTAL: 073012CC CHECK 5215 TOTAL: 073012CC Aug-12 Aug-12 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5211 TOTAL: 073012CC 5212 TOTAL: 073012CC 5213 TOTAL: Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5216 TOTAL: 073012CC 5217 TOTAL: 073012CC 5218 TOTAL: 073012CC 5219 TOTAL: 320.43 320.43 777.07 777.07 910.82 910.82 848.70 848.70 631.44 631.44 165.81 165.81 165.81 165.81 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5211 07/30/2012 EFT 107082 Andrea E Liedtke 5212 07/30/2012 EFT 106793 LInda Bonfiglio-Sutton 5213 07/30/2012 EFT 107083 Edward A Linder 5214 07/30/2012 EFT 107093 Margaret M Liu 5215 07/30/2012 EFT 106786 Eva A. Lopez 5216 07/30/2012 EFT 107204 vinh Low 5217 07/30/2012 EFT 107122 Sarah Lowery 5218 07/30/2012 EFT 107094 Joe B mabrie 5219 07/30/2012 EFT 106699 Hellen Mabry-Matlock IPG 22 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET 5220 07/30/2012 EFT 106700 Fredrick R Machado Jr Aug-12 073012CC 165.81 CHECK 5220 TOTAL: 165.81 07/30/2012 15:24 ICULvER CITY IPG 23 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET 5221 07/30/2012 EFT 106808 Manuel Madrid Aug-12 073012CC 165.81 CHECK 5221 TOTAL: 165.81 5222 07/30/2012 EFT 106810 Barry L major Aug-12 073012CC 1,160.51 CHECK 5222 TOTAL: 1,160.51 5223 07/30/2012 EFT 106811 Richard L Manuel Aug-12 073012CC 1,080.45 CHECK 5223 TOTAL: 1,080.45 5224 07/30/2012 EFT 107177 Martha manzano 5225 07/30/2012 EFT 106759 Ronald L Marcuse 5226 07/30/2012 EFT 107218 Don Marquardt 5227 07/30/2012 EFT 107196 Santos D. Marquez 5228 07/30/2012 EFT 106763 Gary B martin 5229 07/30/2012 EFT 106822 Victoria A Martinez Aug-12 073012CC 209.09 CHECK 5224 TOTAL: 209.09 Aug-12 073012CC 678.57 CHECK 5225 TOTAL: 678.57 Aug-12 073012CC 151.92 CHECK 5226 TOTAL: 151.92 Aug-12 073012CC 858.37 CHECK 5227 TOTAL: 858.37 Aug-12 073012CC 819.26 CHECK 5228 TOTAL: 819.26 Aug-12 073012CC 563.98 CHECK 5229 TOTAL: 563.98 5230 07/30/2012 EFT 106766 vilma R Martinez Aug-12 073012CC 752.86 CHECK 5230 TOTAL: 752.86 IPG 24 Iapcshdsb ICULvER CITY IA/P CASH DISBURSEMENTS JOURNAL 07/30/2012 15:24 mary.noller CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET 5231 07/30/2012 EFT 106824 Russell N Matheson Aug-12 073012CC 752.86 CHECK 5231 TOTAL: 752.86 5232 07/30/2012 EFT 106754 Vivian Matheson Aug-1Z 073012CC 320.43 CHECK 5232 TOTAL: 320.43 5233 07/30/2012 EFT 106798 Sue Matsuda Aug-12 073012CC 654.88 CHECK 5233 TOTAL: 654.88 5234 07/30/2012 EFT 107162 matsuura Family Trust Aug-12 073012CC 151.92 CHECK 5234 TOTAL: 151.92 5235 07/30/2012 EFT 106800 Sue A McCabe Aug-1Z 073012CC 443.62 CHECK 5235 TOTAL: 443.62 5236 07/30/2012 EFT 107219 David McCarthy Aug-12 073012GC 1,136.91 CHECK 5236 TOTAL: 1,136.91 5237 07/30/2012 EFT 106828 Harry R mcDonald 5238 07/30/2012 EFT 107163 Jenelsie A. mcLendon 5239 07/30/2012 EFT 107227 James mcPhillips Aug-12 073012CC 752.86 CHECK 5237 TOTAL: 752.86 Aug-12 073012CC 330.35 CHECK 5238 TOTAL: 330.35 Aug-12 073012CC 887.76 CHECK 5239 TOTAL: 887.76 5240 07/30/2012 EFT 106806 Don A meisenbach Aug-12 073012CC 320.43 CHECK 320.43 5240 TOTAL: 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5241 07/30/2012 EFT 107164 Mary Anne Mendel 5242 07/30/2012 EFT 106836 Jan C Mennig 5243 07/30/2012 EFT 106870 Dorothy H Meyer 5244 07/30/2012 EFT 106841 Alice Meyerson 5245 07/30/2012 EFT 106871 Charles Miller 5246 07/30/2012 EFT 106842 Diane L Miller 5247 07/30/2012 EFT 107193 Frank Miranda 5248 07/30/2012 EFT 106843 Roy A mitchell 5249 07/30/2012 EFT 107165 Miguel J. Molina IPG 25 lapcshdsb INVOICE INv DATE PO CHECK RUN NET Aug-12 073012CC 616.54 CHECK 5241 TOTAL: 616.54 Aug-12 073012CC 752.86 CHECK 5242 TOTAL: 752.86 Aug-12 073012CC 320.43 CHECK 5243 TOTAL: 320.43 Aug-12 073012CC 443.62 CHECK 5244 TOTAL: 443.62 Aug-12 073012CC 654.88 CHECK 5245 TOTAL: 654.88 Aug-12 073012CC 320.43 CHECK 5246 TOTAL: 320.43 Aug-12 073012CC 165.81 CHECK 5247 TOTAL: 165.81 Aug-12 073012CC 631.44 CHECK 5248 TOTAL: 631.44 Aug-12 073012CC 751.04 CHECK 5249 TOTAL: 751.04 5250 07/30/2012 EFT 106844 Paul G moncur Aug-12 073012CC 791.00 CHECK 5250 TOTAL: 791.00 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5251 07/30/2012 EFT 106882 Miguel monjaraz Jr 5252 07/30/2012 EFT 106845 John A Montanio 5253 07/30/2012 EFT 106883 Elliot J Montes 5254 07/30/2012 EFT 107112 Michael A montes 5255 07/30/2012 EFT 106885 Willard F Morton 5256 07/30/2012 EFT 106847 Ray R Moselle 5257 07/30/2012 EFT 106886 Jennifer m Moss 5258 07/30/2012 EFT 106888 William T Mount 5259 07/30/2012 EFT 107228 Thomas P. Murphy IPG 26 Iapcshdsb INVOICE INv DATE PO CHECK RUN NET Aug-12 073012CC 752.86 CHECK 5251 TOTAL: 752.86 Aug-12 073012CC 444.00 CHECK 5252 TOTAL: 444.00 Aug-12 073012CC 631.44 CHECK 5253 TOTAL: 631.44 Aug-12 073012CC 819.26 CHECK 5254 TOTAL: 819.26 Aug-12 073012CC 165.81 CHECK 5255 TOTAL: 165.81 Aug-12 073012CC 320.43 CHECK 5256 TOTAL: 320.43 Aug-12 073012CC 574.01 CHECK 5257 TOTAL: 574.01 Aug-12 073012CC 1,202.64 CHECK 5258 TOTAL: 1,202.64 Aug-12 073012CC 1,144.85 CHECK 5259 TOTAL: 1,144.85 5260 07/30/2012 EFT 106778 Mark A Nance Aug-12 073012CC 1,202.64 CHECK 5260 TOTAL: 1,202.64 IPG 27 lapcshdsb 'CULVER CITY IA/P CASH DISBURSEMENTS JOURNAL 07/30/2012 15:24 mary.noller CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 5261 07/30/2012 EFT 106790 Barmha Nand 5262 07/30/2012 EFT 106895 Lewis Nealey 5263 07/30/2012 EFT 106770 Sam Ella Neisler 5264 07/30/2012 EFT 106909 Marilyn J Nenadov 5265 07/30/2012 EFT 106910 Alfonso F Neri 5266 07/30/2012 EFT 106911 011ie Newell 5267 07/30/2012 EFT 106902 Stephen H Newton 5268 07/30/2012 EFT 107173 Marlyss Nicholson 5269 07/30/2012 EFT 107527 Michael E. Nickerson Aug-12 CHECK Aug-1Z CHECK Aug-12 CHECK Aug-12 CHECK Aug-1Z CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 563.98 563.98 353.63 353.63 320.43 320.43 654.88 654.88 654.88 654.88 271.44 271.44 165.81 165.81 1,154.52 1,154.52 752.86 752.86 073012CC 5261 TOTAL: 073012CC 5262 TOTAL: 073012CC 5263 TOTAL: 073012CC 5264 TOTAL: 073012CC 5265 TOTAL: 073012CC 5266 TOTAL: 073012CC 5267 TOTAL: 073012CC 5268 TOTAL: 073012CC 5269 TOTAL: 5270 07/30/2012 EFT 106903 Jose M Nieto Aug-12 073012CC 654.88 CHECK 5270 TOTAL: 654.88 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 28 lapcshdsb NET 5271 07/30/2012 EFT 107229 Jeffrey 0. Nisbet Aug-12 073012CC 1,121.40 CHECK 5271 TOTAL: 1,121.40 5272 07/30/2012 EFT 106913 Yayeko K Nishina 5273 07/30/2012 EFT 106755 Irene Norquist 5274 07/30/2012 EFT 106738 Maria Nunez 5275 07/30/2012 EFT 106914 Laurie A Ochwat 5276 07/30/2012 EFT 106773 Ruth Ogle 5277 07/30/2012 EFT 106915 Alice T Ohta 5278 07/30/2012 EFT 106916 Johnny L Olk 5279 07/30/2012 EFT 107556 Olson, michael L Aug-12 CHECK Aug-12 CHECK Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 CHECK 165.81 165.81 271.44 271.44 819.26 819.26 393.63 393.63 165.81 165.81 271.44 271.44 654.88 654.88 443.62 443.62 073012CC 5272 TOTAL: 073012CC 5273 TOTAL: 073012CC 5274 TOTAL: 073012CC 5275 TOTAL: 073012CC 5276 TOTAL: 073012CC 5277 TOTAL: 073012CC 5278 TOTAL: 073012CC 5279 TOTAL: CHECK CHECK CHECK CHECK CHECK 5280 07/30/2012 EFT 106926 °elfin° Orozco Aug-12 073012CC 443.62 CHECK 5280 TOTAL: 443.62 07/30/2012 15:24 ICULvER CITY IPG 29 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 103110 Cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET 5281 07/30/2012 EFT 106918 Alida A ostler-Brundo 5282 07/30/2012 EFT 106927 Richard J Ostler 5283 07/30/2012 EFT 106928 Jessie Oyler 5284 07/30/2012 EFT 106919 John D oyler 5285 07/30/2012 EFT 106929 Maxmillian G Paetzold 5286 07/30/2012 EFT 107125 monika Palmer 5287 07/30/2012 EFT 107238 David J. Paroda 5288 07/30/2012 EFT 106921 Michael G Paul 5289 07/30/2012 EFT 106930 Barbara Y Payne Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 777.07 777.07 271.44 271.44 271.44 271.44 165.81 165.81 752.86 752.86 254.87 254.87 444.00 444.00 940.38 940.38 165.81 165.81 073012CC 5281 TOTAL: 073012CC 5282 TOTAL: 073012CC 5283 TOTAL: 073012CC 5284 TOTAL: 073012CC 5285 TOTAL: 073012CC 5286 TOTAL: 073012CC 5287 TOTAL: 073012CC 5288 TOTAL: 073012CC 5289 TOTAL: 5290 07/30/2012 EFT 106923 Trinidad Perez Aug-12 073012CC 443.62 CHECK 5290 TOTAL: 443.62 IPG 30 Iapcshdsb 'CULVER CITY IA/P CASH DISBURSEMENTS JOURNAL 07/30/2012 15:24 mary.noller CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 5291 07/30/2012 EFT 106932 Carlene Perfetto 5292 07/30/2012 EFT 106933 Barbara J Perkins 5293 07/30/2012 EFT 106925 Donald R Perlick 5294 07/30/2012 EFT 106935 Bobby m Petel 5295 07/30/2012 EFT 106817 Joan Peterson 5296 07/30/2012 EFT 106829 Neil Petzing Aug-12 CHECK Aug-1Z CHECK Aug-12 CHECK Aug-12 CHECK Aug-1Z CHECK Aug-12 CHECK 073012CC 271.44 5291 TOTAL: 271.44 073012CC 320.43 5292 TOTAL: 320.43 073012CC 654.88 5293 TOTAL: 654.88 073012CC 920.60 5294 TOTAL: 920.60 073012CC 654.88 5295 TOTAL: 654.88 073012CC 899.26 5296 TOTAL: 899.26 5297 07/30/2012 EFT 106818 Dan L. Phy 5298 07/30/2012 EFT 106741 Ellen Plach 5299 07/30/2012 EFT 106830 Douglas Popson Aug-12 073012CC 654.88 CHECK 5297 TOTAL: 654.88 Aug-12 073012CC 165.81 CHECK 5298 TOTAL: 165.81 Aug-12 073012CC 271.44 CHECK 5299 TOTAL: 271.44 5300 07/30/2012 EFT 106820 James J Rada Jr Aug-12 073012CC 752.86 CHECK 5300 TOTAL: 752.86 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5301 07/30/2012 EFT 106833 William Randolph 5302 07/30/2012 EFT 107230 Maureen Rankin 5303 07/30/2012 EFT 106821 Dale H Ranney 5304 07/30/2012 EFT 106823 Dorothy Rebenstorf 5305 07/30/2012 EFT 106835 Clarencetta Reedy 5306 07/30/2012 EFT 107115 Dorothy L Reynolds 5307 07/30/2012 EFT 107175 Robert Lloyd Reynolds 5308 07/30/2012 EFT 107239 John Richo 5309 07/30/2012 EFT 106826 Norman Robinson IPG 31 lapcshdsb INVOICE INv DATE PO CHECK RUN NET Aug-12 073012CC 654.88 CHECK 5301 TOTAL: 654.88 Aug-12 073012CC 1,136.91 CHECK 5302 TOTAL: 1,136.91 Aug-12 073012CC 752.86 CHECK 5303 TOTAL: 752.86 Aug-12 073012CC 752.86 CHECK 5304 TOTAL: 752.86 Aug-12 073012CC 574.01 CHECK 5305 TOTAL: 574.01 Aug-12 073012CC 165.81 CHECK 5306 TOTAL: 165.81 Aug-12 073012CC 594.27 CHECK 5307 TOTAL: 594.27 Aug-12 073012CC 732.62 CHECK 5308 TOTAL: 732.62 Aug-12 073012CC 723.00 CHECK 5309 TOTAL: 723.00 5310 07/30/2012 EFT 107167 Pamela C. Robinson Aug-12 073012CC 330.35 CHECK 5310 TOTAL: 330.35 07/30/2012 15:24 'CULVER CITY IPG 32 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 103110 cash - City Main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 5311 07/30/2012 EFT 106764 Mary Lou Rodriguez Aug-12 073012CC 225.99 CHECK 5311 TOTAL: 225.99 5312 07/30/2012 EFT 107116 Samuel Rodriguez Aug-12 073012CC 225.99 CHECK 5312 TOTAL: 225.99 5313 07/30/2012 EFT 106839 Donald Rogers Aug-12 073012CC 443.62 CHECK 5313 TOTAL: 443.62 5314 07/30/2012 EFT 106848 Marvin Rogers Aug-12 073012CC 165.81 CHECK 5314 TOTAL: 165.81 5315 07/30/2012 EFT 106857 Michael Romano Aug-12 073012CC 1,215.87 CHECK 5315 TOTAL: 1,215.87 5316 07/30/2012 EFT 106849 Marsha Rood 5317 07/30/2012 EFT 106858 Kenneth Rose 5318 07/30/2012 EFT 107188 Steven J. Rose 5319 07/30/2012 EFT 106756 Barbara H. Ross Aug-12 073012CC 320.43 CHECK 5316 TOTAL: 320.43 Aug-12 073012CC 165.81 CHECK 5317 TOTAL: 165.81 Aug-12 073012CC 190.70 CHECK 5318 TOTAL: 190.70 Aug-12 073012CC 320.43 CHECK 5319 TOTAL: 320.43 5320 07/30/2012 EFT 106851 Donald Ruetz Aug-12 073012CC 444.00 CHECK 5320 TOTAL: 444.00 CHECK 5330 TOTAL: 320.43 INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 631.44 CHECK 5321 TOTAL: 631.44 Aug-12 073012CC 165.81 CHECK 5322 TOTAL: CHECK 5323 TOTAL: 073012CC 165.81 1,239.00 1,239.00 Aug-12 Aug-12 073012CC 920.60 CHECK 5324 TOTAL: 920.60 Aug-12 Aug-12 Aug-12 271.44 271.44 330.35 330.35 1,144.85 1,144.85 073012CC CHECK 5325 TOTAL: 073012CC CHECK 5326 TOTAL: CHECK 5327 TOTAL: 073012CC Aug-12 073012CC 654.88 CHECK 5328 TOTAL: 073012CC 654.88 320.43 Aug-12 CHECK 5329 TOTAL: 073012CC 320.43 320.43 5330 07/30/2012 EFT 107133 Bette Sederling Aug-12 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5321 07/30/2012 EFT 106852 Peter Salgado 5322 07/30/2012 EFT 106861 Francisco Sanchez 5323 07/30/2012 EFT 107194 Alberto G. Sanchez 5324 07/30/2012 EFT 106853 Thomas Sanders 5325 07/30/2012 EFT 106862 Joan Satt 5326 07/30/2012 EFT 107526 Anita D. Savage 5327 07/30/2012 EFT 107240 Ray Scheu 5328 07/30/2012 EFT 106854 Sondra Schwartz 5329 07/30/2012 EFT 106745 Gennie Schwarz IPG 33 Iapcshdsb 07/30/2012 15:24 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5331 07/30/2012 EFT 106855 Helen Seid 5332 07/30/2012 EFT 107168 Shigeko Lisa Seno 5333 07/30/2012 EFT 106864 Robert Sepulveda 5334 07/30/2012 EFT 107169 Douglas B. Shannon 5335 07/30/2012 EFT 106865 Eric Shapiro 5336 07/30/2012 EFT 106792 Frankie T Shepherd 5337 07/30/2012 EFT 106856 molly Shore 5338 07/30/2012 EFT 107231 Richard W. Siler 5339 07/30/2012 EFT 107170 Katherine Simmons IPG 34 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 443.62 CHECK 5331 TOTAL: 443.62 Aug-12 073012CC 330.35 CHECK 5332 TOTAL: 330.35 Aug-12 073012CC 320.43 CHECK 5333 TOTAL: 320.43 Aug-12 073012CC 504.70 CHECK 5334 TOTAL: 504.70 Aug-12 073012CC 271.44 CHECK 5335 TOTAL: 271.44 Aug-12 073012CC 766.50 CHECK 5336 TOTAL: 766.50 Aug-12 073012CC 320.43 CHECK 5337 TOTAL: 320.43 Aug-12 073012CC 1,038.11 CHECK 5338 TOTAL: 1,038.11 Aug-12 073012CC 330.35 CHECK 5339 TOTAL: 330.35 5340 07/30/2012 EFT 107189 Linda Simmons Aug-12 073012CC 848.70 CHECK 5340 TOTAL: 848.70 INVOICE INv DATE PO CHECK RUN NET 073012CC 654.88 Aug-12 654.88 5341 TOTAL: CHECK 073012CC 752.86 Aug-12 5342 TOTAL: 752.86 CHECK 073012CC 209.09 Aug-12 5343 TOTAL: 209.09 CHECK 073012CC 752.86 Aug-12 752.86 5344 TOTAL: CHECK 073012CC 654.88 Aug-12 654.88 5345 TOTAL: CHECK 073012CC 920.60 Aug-12 5346 TOTAL: 920.60 CHECK 073012CC 320.43 Aug-12 320.43 5347 TOTAL: CHECK 073012CC 165.81 Aug-12 5348 TOTAL: 165.81 CHECK 073012CC 330.35 Aug-12 5349 TOTAL: 330.35 CHECK 5350 07/30/2012 EFT 106873 Michael Starr Aug-12 073012CC 1,310.10 CHECK 5350 TOTAL: 1,310.10 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5341 07/30/2012 EFT 106866 Simon Simonian 5342 07/30/2012 EFT 106867 Leonard Sims 5343 07/30/2012 EFT 107183 Mary E. Sly 5344 07/30/2012 EFT 106868 Jozelle Smith 5345 07/30/2012 EFT 106884 Robbin Smith 5346 07/30/2012 EFT 107117 Arthur J Solis 5347 07/30/2012 EFT 106743 Coletta Soto 5348 07/30/2012 EFT 106765 Fran Spencer 5349 07/30/2012 EFT 107207 Denee Stallworth IPG 35 lapcshdsb CHECK 5360 TOTAL: 320.43 INVOICE INV DATE PO CHECK RUN NET Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 777.07 777.07 791.00 791.00 320.43 320.43 732.62 732.62 320.43 320.43 443.62 443.62 1,202.64 1,202.64 073012CC CHECK 5351 TOTAL: 073012CC CHECK 5352 TOTAL: 073012CC CHECK 5353 TOTAL: 073012CC CHECK 5354 TOTAL: 073012CC CHECK 5355 TOTAL: 073012CC CHECK 5356 TOTAL: 073012CC CHECK 5357 TOTAL: Aug-12 073012CC 848.70 CHECK 5358 TOTAL: 848.70 Aug-12 073012CC 165.81 CHECK 5359 TOTAL: 073012CC 165.81 320.43 5360 07/30/2012 EFT 106744 Sarah Teutimez Aug-12 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5351 07/30/2012 EFT 106874 Dennis Steinbacher 5352 07/30/2012 EFT 106893 Norman Steiner 5353 07/30/2012 EFT 106876 Elizabeth Stevenson 5354 07/30/2012 EFT 107171 Joyce R. Straky 5355 07/30/2012 EFT 106767 Clara Suarez 5356 07/30/2012 EFT 106896 George Sweeny 5357 07/30/2012 EFT 106878 Louis Talamantes 5358 07/30/2012 EFT 107208 Rudy Tan 5359 07/30/2012 EFT 106897 Edwin Taylor IPG 36 Iapcshdsb INVOICE INv DATE PO CHECK RUN NET 1,186.32 1,186.32 CHECK 5361 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK 073012CC 5362 TOTAL: 073012CC 5363 TOTAL: 165.81 165.81 537.16 537.16 1,055.20 1,055.20 CHECK 5364 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK 073012CC 5365 TOTAL: 073012CC 5366 TOTAL: 320.43 320.43 330.35 330.35 1,575.82 1,575.82 CHECK 5367 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK 073012CC 5368 TOTAL: 073012CC 5369 TOTAL: 574.01 574.01 368.35 368.35 5370 07/30/2012 EFT 107210 Ramiro urenda Aug-12 073012CC 1,038.11 CHECK 5370 TOTAL: 1,038.11 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5361 07/30/2012 EFT 106879 Michael Thompson 5362 07/30/2012 EFT 106901 Alford Toliver 5363 07/30/2012 EFT 106957 Robert Tompkins 5364 07/30/2012 EFT 107029 Ralph Torres 5365 07/30/2012 EFT 106758 Myrtle Travis 5366 07/30/2012 EFT 107192 Barbara Tyler 5367 07/30/2012 EFT 107557 Ullrich, Connie 5368 07/30/2012 EFT 106959 Bruce unoura 5369 07/30/2012 EFT 107172 Jan K. unoura IPG 37 lapcshdsb 1,038.11 1,038.11 CHECK 5375 TOTAL: 073012CC Aug-12 1,080.45 1,080.45 CHECK 5379 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5371 TOTAL: 073012CC 5372 TOTAL: 073012CC 5373 TOTAL: 073012CC 5374 TOTAL: Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5376 TOTAL: 073012CC 5377 TOTAL: 073012CC 5378 TOTAL: 165.81 165.81 471.60 471.60 225.99 225.99 443.62 443.62 320.43 320.43 252.27 252.27 752.86 752.86 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5371 07/30/2012 EFT 106750 Teresa Valdez 5372 07/30/2012 EFT 107070 Margarita Valenzuela 5373 07/30/2012 EFT 107118 Barbara L Vande Bogart 5374 07/30/2012 EFT 107123 Timothy Varney 5375 07/30/2012 EFT 107185 Jose R. Velasco 5376 07/30/2012 EFT 106746 Elena velasquez 5377 07/30/2012 EFT 107216 Joanne venuti 5378 07/30/2012 EFT 107095 Marco verbon 5379 07/30/2012 EFT 107096 Robert villa IPG 38 Iapcshdsb INVOICE INV DATE PO CHECK RUN NET 5380 07/30/2012 EFT 107022 Linda wamre Aug-12 073012CC 654.88 CHECK 5380 TOTAL: 654.88 CHECK CHECK 073012CC 5388 TOTAL: 073012CC 5389 TOTAL: Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 073012CC 5381 TOTAL: 073012CC 5382 TOTAL: 073012CC 5383 TOTAL: 073012CC 5384 TOTAL: 073012CC 5385 TOTAL: 073012CC 5386 TOTAL: Aug-12 Aug-12 Aug-12 073012CC CHECK 5387 TOTAL: 1,211.00 1,211.00 1,144.85 1,144.85 1,127.77 1,127.77 320.43 320.43 819.26 819.26 271.44 271.44 271.44 271.44 165.81 165.81 654.88 654.88 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5381 07/30/2012 EFT 107026 Donna Weiss 5382 07/30/2012 EFT 107028 Lawrence Wells 5383 07/30/2012 EFT 106701 Webster West 5384 07/30/2012 EFT 106708 william D. white 5385 07/30/2012 EFT 107124 Beatrice whitmore 5386 07/30/2012 EFT 106709 Lawrence L wiley 5387 07/30/2012 EFT 106710 Steven K. williams 5388 07/30/2012 EFT 107233 Dean w. williams 5389 07/30/2012 EFT 107140 Robin L. williams IPG 39 lapcshdsb INVOICE INV DATE PO CHECK RUN NET 5390 07/30/2012 EFT 107498 Tivia Williams Aug-12 073012CC 330.35 CHECK 5390 TOTAL: 330.35 CHECK 5400 TOTAL: 443.62 INVOICE INV DATE PO CHECK RUN NET 353.63 353.63 876.95 876.95 400.76 400.76 320.43 320.43 073012CC 5391 TOTAL: 073012CC 5392 TOTAL: 073012CC 5393 TOTAL: 073012CC 5394 TOTAL: Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK Aug-12 CHECK 1,038.11 1,038.11 CHECK 5395 TOTAL: 073012CC Aug-12 Aug-12 CHECK 073012CC 5396 TOTAL: 443.62 443.62 1,038.11 1,038.11 CHECK 5397 TOTAL: 073012CC Aug-12 Aug-12 CHECK Aug-12 CHECK 073012CC 5398 TOTAL: 073012CC 5399 TOTAL: 353.63 353.63 225.99 225.99 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 5391 07/30/2012 EFT 106760 Durlah Williamson 5392 07/30/2012 EFT 107241 Timothy T. Wilson 5393 07/30/2012 EFT 106711 James T. Wimbley 5394 07/30/2012 EFT 106705 mark H. winogrond 5395 07/30/2012 EFT 107217 Dan winters 5396 07/30/2012 EFT 106713 Clarence A. Yamamoto 5397 07/30/2012 EFT 107211 Susan Yousefi 5398 07/30/2012 EFT 106751 B G zenarosa 5399 07/30/2012 EFT 106714 Theodore J. ziegler 5400 07/30/2012 EFT 106706 mark R. Zierten Aug-12 073012CC 443.62 IPG 40 Iapcshdsb IPG 41 Iapcshdsb 'CULVER CITY IA/P CASH DISBURSEMENTS JOURNAL 07/30/2012 15:24 mary.noller CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET Aug-12 Aug-1Z Aug-12 Aug-12 Aug-1Z Aug-12 Aug-12 Aug-12 Aug-12 256704 07/30/2012 PRTD 107235 Harvey Bailey 256705 07/30/2012 PRTD 107198 Helen Bing 256706 07/30/2012 PRTD 107200 Ronald Carter 256707 07/30/2012 PRTD 106953 Jay B Cunningham 256708 07/30/2012 PRTD 107108 Joseph F D'anjou 256709 07/30/2012 PRTD 106730 Antonia Garcia 256710 07/30/2012 PRTD 107213 Isaac Godinez 256711 07/30/2012 PRTD 107499 Stanley Griggs 256712 07/30/2012 PRTD 107025 Ali S Hasan 073012CC CHECK 256704 TOTAL: 073012CC CHECK 256705 TOTAL: 073012CC CHECK 256706 TOTAL: 073012CC CHECK 256707 TOTAL: 073012CC CHECK 256708 TOTAL: 073012CC CHECK 256709 TOTAL: 073012CC CHECK 256710 TOTAL: 073012CC CHECK 256711 TOTAL: 073012CC CHECK 256712 TOTAL: 848.70 848.70 209.09 209.09 209.09 209.09 797.63 797.63 1,080.45 1,080.45 320.43 320.43 1,136.91 1,136.91 738.25 738.25 1,405.36 1,405.36 256713 07/30/2012 PRTD 107236 Kevin J. Kinnon Aug-12 073012CC 1,144.85 CHECK 256713 TOTAL: 1,144.85 073012CC CHECK 256714 TOTAL: 073012CC CHECK 256715 TOTAL: 073012CC CHECK 256716 TOTAL: 073012CC CHECK 256717 TOTAL: 073012CC CHECK 256718 TOTAL: 073012CC CHECK 256719 TOTAL: 073012CC CHECK 256720 TOTAL: 073012CC CHECK 256721 TOTAL: 073012CC 320.43 320.43 1,038.11 1,038.11 1,136.91 1,136.91 1,136.91 1,136.91 574.01 574.01 777.07 777.07 631.44 631.44 393.63 393.63 443.62 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 Aug-12 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256714 07/30/2012 PRTD 107129 Theresa Kollios 256715 07/30/2012 PRTD 107237 Christopher Maddox 256716 07/30/2012 PRTD 107502 David Scott Malsin 256717 07/30/2012 PRTD 107205 Kathleen McCann 256718 07/30/2012 PRTD 106737 Elaine McMahan 256719 07/30/2012 PRTD 106875 Richard G Momii 256720 07/30/2012 PRTD 106892 Jack M Nakanishi 256721 07/30/2012 PRTD 106898 Donna Neola 256722 07/30/2012 PRTD 106905 Richard G Ogden IPG 42 lapcshdsb INVOICE INV DATE PO CHECK RUN NET CHECK 256722 TOTAL: 443.62 256723 07/30/2012 PRTD 107215 Aida Perez Aug-12 073012CC 165.81 CHECK 256723 TOTAL: 165.81 07/30/2012 15:24 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 Cash - City Main Checking CHECK NO CHK DATE TYPE VENDOR NAME 256724 07/30/2012 PRTD 107501 Carlos Reynosa 256725 07/30/2012 PRTD 107206 Gary Silbiger IPG 43 lapcshdsb INVOICE INV DATE PO CHECK RUN NET Aug-12 073012CC 876.95 CHECK 256724 TOTAL: 876.95 Aug-12 073012CC 732.62 CHECK 256725 TOTAL: 732.62 256726 07/30/2012 PRTD 106774 Melissa Smith 256727 07/30/2012 PRTD 106872 Adele Somers 256728 07/30/2012 PRTD 107209 Alisha Thompson 256729 07/30/2012 PRTD 107242 Thomas Zielinski Aug-12 Aug-12 Aug-12 Aug-12 NUMBER OF CHECKS 426 TOTAL PRINTED CHECKS TOTAL EFT'S 073012CC 444.00 CHECK 256726 TOTAL: 444.00 073012CC 271.44 CHECK 256727 TOTAL: 271.44 073012CC 305.29 CHECK 256728 TOTAL: 305.29 073012CC 848.70 CHECK 256729 TOTAL: 848.70 *** CASH ACCOUNT TOTAL *** 1,911,699.54 COUNT AMOUNT 26 17,987.70 400 1,893,711.84 *** GRAND TOTAL *** 1,911,699.54 07/31/2012 10:10 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 103110 cash - city main checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 Iapcshdsb NET 5401 07/31/2012 EFT 107195 Isaac Ninojosa Aug-12 07/31/2012 073112cc 1,136.91 CHECK 5401 TOTAL: 1,136.91 5402 07/31/2012 EFT 106912 vernon L Nickerson Aug-12 07/31/2012 073112cc 752.86 CHECK 5402 TOTAL: 752.86 NUMBER OF CHECKS 2 *** CASH ACCOUNT TOTAL *** 1,889.77 COUNT AMOUNT TOTAL EFT'S 2 1,889.77 *** GRAND TOTAL *** 1,889.77 07/31/2012 15:45 'CULVER CITY mary.noller 1A/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN 1PG 1 lapcshdsb NET 84763 07/31/2012 PRTD 101027 11020 Venice LLC 11020 Venice LLC 84764 07/31/2012 PRTD 101310 3836 College Avenue LLC 3836 College Avenue LLC 3836 College Avenue LLC 3836 College Avenue LLC 3836 College Avenue LLC 3836 College Avenue LLC 84765 07/31/2012 PRTD 104605 9612-9622 Lucerne LLC 9612-9622 Lucerne LLC 9612-9622 Lucerne LLC 9612-9622 Lucerne LLC 9612-9622 Lucerne LLC 9612-9622 Lucerne LLC 9612-9622 Lucerne LLC Aug-12/1 Aug-12/2 Aug-12/121 Aug-12/122 Aug-12/123 Aug-12/124 Aug-12/125 Aug-12/126 Aug-12/17 Aug-12/18 Aug-12/19 Aug-12/20 Aug-12/21 Aug-12/22 Aug-12/23 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 07311358 07311358 84763 TOTAL: 07311358 07311358 07311358 07311358 07311358 07311358 84764 TOTAL: 07311358 07311358 07311358 07311358 07311358 07311358 07311358 84765 TOTAL: 1,114.00 1,245.00 2,359.00 949.00 804.00 860.00 951.00 789.00 869.00 5,222.00 828.00 1,162.00 1,251.00 837.00 1,287.00 822.00 927.00 7,114.00 569.00 569.00 1,086.00 1,086.00 1,028.00 972.00 84766 07/31/2012 PRTD 100938 Adam Salazar 84767 07/31/2012 PRTD 101026 Ahmed Patail 84768 07/31/2012 PRTD 101508 Andre/Jette;Eric Cavin Andre/Jette;Eric Cavin Aug-12/120 Aug-12/112 Aug-12/25 Aug-12/26 08/01/2012 07311358 CHECK 84766 TOTAL: 08/01/2012 07311358 CHECK 84767 TOTAL: 08/01/2012 07311358 08/01/2012 07311358 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 2 Iapcshdsb NET CHECK 84768 TOTAL: 2,000.00 84769 07/31/2012 PRTD 100762 Angelique Henry 84770 07/31/2012 PRTD 100031 Anita Bamford Anita Bamford Anita Bamford Aug-12/72 Aug-12/8 Aug-12/9 Aug-12/10 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 07311358 07311358 07311358 07311358 84770 TOTAL: CHECK 84769 TOTAL: 947.00 947.00 668.00 619.00 416.00 1,703.00 1,096.00 1,096.00 552.00 552.00 728.00 728.00 815.00 815.00 866.00 866.00 999.00 999.00 84771 07/31/2012 PRTD 100208 Antonio Linares 84772 07/31/2012 PRTD 100109 Aroon Doshi 84773 07/31/2012 PRTD 103526 Barbara L Helgeson 84774 07/31/2012 PRTD 104650 BessDrust 84775 07/31/2012 PRTD 100698 Cara Eisenberg 84776 07/31/2012 PRTD 100441 Carolyn Lee 84777 07/31/2012 PRTD 101601 Century View LLC Aug-12/95 Aug-12/36 Aug-12/71 Aug-12/44 Aug-12/46 Aug-12/91 Aug-12/28 08/01/2012 07311358 CHECK 84771 TOTAL: 08/01/2012 07311358 CHECK 84772 TOTAL: 08/01/2012 07311358 CHECK 84773 TOTAL: 08/01/2012 07311358 CHECK 84774 TOTAL: 08/01/2012 07311358 CHECK 84775 TOTAL: 08/01/2012 07311358 CHECK 84776 TOTAL: 08/01/2012 07311358 684.00 08/01/2012 08/01/2012 CHECK 08/01/2012 07311358 07311358 84778 TOTAL: 07311358 63.37 526.00 589.37 879.00 879.00 CHECK 84779 TOTAL: 08/01/2012 07311358 1,366.00 CHECK 84780 TOTAL: 1,366.00 08/01/2012 07311358 1,088.00 CHECK 84781 TOTAL: 1,088.00 08/01/2012 07311358 1,141.00 CHECK 84782 TOTAL: 1,141.00 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 07311358 07311358 07311358 07311358 84783 TOTAL: 1,057.00 1,168.00 1,201.00 466.00 3,892.00 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 3 lapcshdsb NET CHECK 84777 TOTAL: 684.00 84778 07/31/2012 PRTD 105584 City of Baldwin Park City of Baldwin Park 84779 07/31/2012 PRTD 100412 Cy Pierce 84780 07/31/2012 PRTD 105034 D and M Properties 84781 07/31/2012 PRTD 103230 David Dung T Dang 84782 07/31/2012 PRTD 100684 Debi Lee 84783 07/31/2012 PRTD 100251 Debi Nayak Debi Nayak Debi Nayak Debi Nayak 12-Aug Aug-12/7 Aug-12/114 Aug-12/35 Aug-12/34 Aug-12/92 Aug-12/107 Aug-12/108 Aug-12/109 Aug-12/110 84784 07/31/2012 PRTD 100446 Donna m Horst Aug-12/74 08/01/2012 07311358 1,423.00 CHECK 84784 TOTAL: 1,423.00 84785 07/31/2012 PRTD 100397 Dr Jacquelyn Williams Aug-12/146 08/01/2012 07311358 532.00 CHECK 84785 TOTAL: 532.00 07/31/2012 15:45 ICULvER CITY IPG 4 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 84786 07/31/2012 PRTD 105994 Gary Duboff Aug-12/45 08/01/2012 07311358 1,244.00 CHECK 84786 TOTAL: 1,244.00 84787 07/31/2012 PRTD 103231 DW Properties DW Properties DW Properties DW Properties DW Properties DW Properties 84788 07/31/2012 PRTD 104621 EGL Properties 84789 07/31/2012 PRTD 100137 Eileen Goodman 84790 07/31/2012 PRTD 100380 Elliot Vaupen Elliot Vaupen 84791 07/31/2012 PRTD 104497 Evelyn J Quinn 84792 07/31/2012 PRTD 101015 Fayvette Necole Goings Fayvette Necole Goings Fayvette Necole Goings 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 07311358 07311358 07311358 07311358 07311358 07311358 84787 TOTAL: 07311358 07311358 07311358 07311358 84790 TOTAL: 07311358 07311358 07311358 07311358 84792 TOTAL: Aug-12/37 Aug-12/38 Aug-12/39 Aug-12/40 Aug-12/41 Aug-12/42 Aug-12/3 Aug-12/66 Aug-12/135 Aug-12/136 Aug-12/118 Aug-12/61 Aug-12/62 Aug-12/63 CHECK 84788 TOTAL: CHECK 84789 TOTAL: CHECK 84791 TOTAL: 756.00 509.00 689.00 31.00 949.00 1,075.00 4,009.00 625.00 625.00 582.00 582.00 664.00 964.00 1,628.00 619.00 619.00 712.00 1,252.00 1,219.00 3,183.00 07/31/2012 15:45 ICULvER CITY 'PG 5 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 84793 07/31/2012 PRTD 101215 Fernando Rodriguez Aug-12/119 84794 07/31/2012 PRTD 100717 Fidel Carreno Aug-12/24 84795 07/31/2012 PRTD 101353 Frank Perez Aug-12/111 84796 07/31/2012 PRTD 100130 Freeman Property Management Aug-12/57 Freeman Property Management Aug-12/58 Freeman Property Management Aug-12/59 84797 07/31/2012 PRTD 100125 Gandolfo Fiore Aug-12/56 84798 07/31/2012 PRTD 100385 Gary or Diana Weber Aug-12/141 Gary or Diana Weber Aug-12/142 Gary or Diana Weber Aug-12/143 Gary or Diana Weber Aug-12/144 84799 07/31/2012 PRTD 100404 George Young Aug-12/148 George Young Aug-12/149 George Young Aug-12/150 George Young Aug-12/151 George Young Aug-12/152 07311358 480.00 480.00 07311358 748.00 748.00 07311358 634.00 634.00 07311358 554.00 07311358 656.00 07311358 648.00 84796 TOTAL: 1,858.00 07311358 925.00 925.00 07311358 933.00 07311358 894.00 07311358 1,149.00 07311358 927.00 84798 TOTAL: 3,903.00 07311358 456.00 07311358 960.00 07311358 856.00 07311358 819.00 07311358 810.00 CHECK 84793 TOTAL: CHECK 84794 TOTAL: CHECK 84795 TOTAL: CHECK 84797 TOTAL: NET IPG 6 lapcshdsb INVOICE CHECK RUN INv DATE PO 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME 3,901.00 CHECK 84799 TOTAL: 07311358 08/01/2012 07311358 08/01/2012 07311358 08/01/2012 07311358 08/01/2012 07311358 08/01/2012 07311358 08/01/2012 07311358 07311358 07311358 84806 TOTAL: 08/01/2012 08/01/2012 08/01/2012 CHECK 84800 07/31/2012 PRTD 101647 German Esparza 84801 07/31/2012 PRTD 100269 Gino Petrella 84802 07/31/2012 PRTD 104567 Glenn Pineda 84803 07/31/2012 PRTD 102668 Grace D Gonzales 84804 07/31/2012 PRTD 101032 Green Valley Circle 84805 07/31/2012 PRTD 100186 H Kita Aug-12/54 Aug-12/113 Aug-12/115 Aug-12/129 Aug-12/67 Aug-12/89 CHECK 84800 TOTAL: CHECK 84801 TOTAL: CHECK 84802 TOTAL: CHECK 84803 TOTAL: CHECK 84804 TOTAL: CHECK 84805 TOTAL: 84806 07/31/2012 PRTD 103232 Hauge Properties Ltd Partnership Aug-12/68 Hauge Properties Ltd Partnership Aug-12/69 Hauge Properties Ltd Partnership Aug-12/70 985.00 985.00 19.00 19.00 748.00 920.00 84807 07/31/2012 PRTD 100181 Howard or MarilynKaplan Howard or MarilynKaplan Howard or MarilynKaplan Howard or MarilynKaplan Howard or MarilynKaplan Aug-12/78 Aug-12/79 Aug-12/80 Aug-12/81 Aug-12/82 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 07311358 07311358 07311358 07311358 07311358 818.00 495.00 570.00 634.00 630.00 748.00 1,251.00 1,251.00 920.00 1,214.00 1,214.00 881.00 870.00 825.00 2,576.00 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 7 Iapcshdsb NET Aug-12/83 Aug-12/84 Howard or MarilynKaplan Howard or marilynKaplan 84808 07/31/2012 PRTD 100448 Hy Cohen or Thomas A Ledsam 84809 07/31/2012 PRTD 101675 irison L Jones Irison L Jones irison L Jones 84810 07/31/2012 PRTD 100064 Isabel Cervi 84811 07/31/2012 PRTD 100447 Isabelle Ashodian 84812 07/31/2012 PRTD 105232 Jacqueline Cogdell Djedje 08/01/2012 07311358 878.00 08/01/2012 07311358 800.00 CHECK 84807 TOTAL: 4,825.00 08/01/2012 07311358 1,368.00 CHECK 84808 TOTAL: 1,368.00 08/01/2012 07311358 1,347.00 08/01/2012 07311358 1,366.00 08/01/2012 07311358 1,060.00 CHECK 84809 TOTAL: 3,773.00 08/01/2012 07311358 844.00 CHECK 84810 TOTAL: 844.00 08/01/2012 07311358 1,235.00 CHECK 84811 TOTAL: 1,235.00 08/01/2012 07311358 1,366.00 CHECK 84812 TOTAL: 1,366.00 Aug-12/31 Aug-12/75 Aug-12/76 Aug-12/77 Aug-12/29 Aug-12/6 Aug-12/43 84813 07/31/2012 PRTD 100892 Jagdishwar/mohan;Sarita Brijmohan Aug-12/103 08/01/2012 07311358 1,006.00 CHECK 84813 TOTAL: 1,006.00 84814 07/31/2012 PRTD 100202 James E Lennon Aug-12/93 08/01/2012 07311358 979.00 CHECK 84814 TOTAL: 979.00 84815 07/31/2012 PRTD 100976 James Lin Aug-12/96 08/01/2012 07311358 1,185.00 CHECK 84815 TOTAL: 1,185.00 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 8 lapcshdsb NET 84816 07/31/2012 PRTD 100359 Janet Torres Janet Torres 84817 07/31/2012 PRTD 100115 Jean Enns Jean Enns Jean Enns Jean Enns 84818 07/31/2012 PRTD 100405 John Zarakowski 84820 07/31/2012 PRTD 102110 Kate Yoak 84821 07/31/2012 PRTD 100449 Ken McClung 84822 07/31/2012 PRTD 100152 Kenneth Higa 84823 07/31/2012 PRTD 105219 Keswick Pacific LLC Keswick Pacific LLC Keswick Pacific LLC Aug-12/133 Aug-12/134 Aug-12/47 Aug-12/48 Aug-12/49 Aug-12/50 Aug-12/153 Aug-12/147 Aug-12/98 Aug-12/73 Aug-12/85 Aug-12/86 Aug-12/87 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 07311358 07311358 84816 TOTAL: 07311358 07311358 07311358 07311358 84817 TOTAL: 07311358 07311358 07311358 07311358 07311358 07311358 07311358 07311358 1,029.00 1,414.00 2,443.00 960.00 865.00 960.00 802.00 3,587.00 876.00 876.00 999.00 999.00 661.00 661.00 491.00 491.00 989.00 989.00 1,348.00 933.00 1,368.00 84819 07/31/2012 PRTD 101386 Karen E/Bevington;Cheryl A Coyle Aug-12/33 CHECK 84818 TOTAL: CHECK 84819 TOTAL: CHECK 84820 TOTAL: CHECK 84821 TOTAL: CHECK 84822 TOTAL: 844.00 CHECK 84832 TOTAL: NET IPG 9 lapcshdsb INVOICE CHECK RUN INV DATE PO 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME CHECK 84823 TOTAL: 3,649.00 07311358 533.00 08/01/2012 07311358 08/01/2012 07311358 08/01/2012 07311358 08/01/2012 07311358 08/01/2012 07311358 07311358 07311358 84829 TOTAL: 07311358 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 07311358 08/01/2012 84824 07/31/2012 PRTD 100185 Kinston Ltd 84825 07/31/2012 PRTD 100421 Lateef Sholebo 84826 07/31/2012 PRTD 100752 Laurette Lanier 84827 07/31/2012 PRTD 100984 Lazaro Gonzalez 84828 07/31/2012 PRTD 100760 Life Steps Foundation Inc 84829 07/31/2012 PRTD 103604 Lucerne Apartments Lucerne Apartments Lucerne Apartments 84830 07/31/2012 PRTD 101349 Luis m Luna 84831 07/31/2012 PRTD 100344 Maida Sulejmanagic 84832 07/31/2012 PRTD 100381 Margaret Wahlrab Aug-12/88 Aug-12/127 Aug-12/90 Aug-12/64 Aug-12/94 Aug-12/51 Aug-12/52 Aug-12/53 Aug-12/97 Aug-12/130 Aug-12/140 CHECK 84824 TOTAL: CHECK 84825 TOTAL: CHECK 84826 TOTAL: CHECK 84827 TOTAL: CHECK 84828 TOTAL: CHECK 84830 TOTAL: CHECK 84831 TOTAL: 08/01/2012 07311358 844.00 533.00 724.00 724.00 1,021.00 1,021.00 810.00 810.00 647.00 647.00 1,066.00 942.00 920.00 2,928.00 1,000.00 1,000.00 946.00 946.00 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 10 lapcshdsb NET 84833 07/31/2012 PRTD 107341 Marhow Real Estate II, LLC 84834 07/31/2012 PRTD 100428 McGowan Family Trust 84835 07/31/2012 PRTD 100435 Minerva Gonzalez 84836 07/31/2012 PRTD 100445 Norberto Amata 84837 07/31/2012 PRTD 100440 Only US Inc 84838 07/31/2012 PRTD 100806 Parvez Commissariat 84839 07/31/2012 PRTD 102297 Patricia L Simpson 84840 07/31/2012 PRTD 103430 Ray and Eleonore meline Ray and Eleonore Meline 84841 07/31/2012 PRTD 104734 Richard McGinnis Aug-12/5 Aug-12/100 Aug-12/65 Aug-12/4 Aug-12/27 Aug-12/32 Aug-12/128 Aug-12/101 Aug-12/102 Aug-12/99 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 07311358 07311358 07311358 84840 TOTAL: 07311358 455.00 455.00 734.00 734.00 939.00 939.00 851.00 851.00 614.00 614.00 752.00 752.00 1,203.00 1,203.00 1,242.00 765.00 2,007.00 953.00 CHECK 84833 TOTAL: 08/01/2012 07311358 CHECK 84834 TOTAL: 08/01/2012 07311358 CHECK 84835 TOTAL: 08/01/2012 07311358 CHECK 84836 TOTAL: 08/01/2012 07311358 CHECK 84837 TOTAL: 08/01/2012 07311358 CHECK 84838 TOTAL: 08/01/2012 07311358 CHECK 84839 TOTAL: CHECK 84841 TOTAL: 953.00 84842 07/31/2012 PRTD 103669 Rita Pollak Aug-12/117 08/01/2012 07311358 1,550.00 CHECK 84845 TOTAL: 748.00 998.00 CHECK 84843 TOTAL: 998.00 919.00 CHECK 84844 TOTAL: 919.00 748.00 08/01/2012 08/01/2012 08/01/2012 07311358 07311358 07311358 AUg-12/11 Aug-12/106 Aug-12/30 07/31/2012 15:45 ICULvER CITY IPG 11 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET CHECK 84842 TOTAL: 1,550.00 84843 07/31/2012 PRTD 103413 Rona Barsoum 84844 07/31/2012 PRTD 100234 Sabas or Elizabeth Moreno 84845 07/31/2012 PRTD 101374 Scott E Chestnut 84846 07/31/2012 PRTD 102077 Tameika Gardner Aug-12/60 08/01/2012 07311358 1,524.00 CHECK 84846 TOTAL: 1,524.00 84847 07/31/2012 PRTD 101642 The Wade Apartments The Wade Apartments 84848 07/31/2012 PRTD 104835 Thomas & Janice Szejewski Thomas & Janice Szejewski Aug-12/138 Aug-12/139 Aug-12/131 Aug-12/132 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 CHECK 07311358 07311358 84847 TOTAL: 07311358 07311358 84848 TOTAL: 597.00 344.00 941.00 825.00 837.00 1,662.00 84849 07/31/2012 PRTD 100975 Thomas and Reba Baumgartner Aug-12/12 08/01/2012 07311358 1,029.00 CHECK 84849 TOTAL: 1,029.00 84850 07/31/2012 PRTD 102004 Venice Blvd Apartments Aug-12/137 08/01/2012 07311358 943.00 CHECK 84850 TOTAL: 943.00 84851 07/31/2012 PRTD 100040 Wallyne M Boone Aug-12/13 08/01/2012 07311358 818.00 CHECK 84851 TOTAL: 818.00 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 07311358 07311358 07311358 07311358 84853 TOTAL: 07311358 07311358 07311358 CHECK 84852 TOTAL: CHECK 84854 TOTAL: CHECK 84855 TOTAL: CHECK 84856 TOTAL: 664.00 664.00 1,367.00 1,154.00 659.00 3,180.00 553.00 553.00 637.00 637.00 735.00 735.00 08/01/2012 07311358 1,079.00 CHECK 84857 TOTAL: 1,079.00 *** CASH ACCOUNT TOTAL *** 135,919.37 COUNT AMOUNT 95 135,919.37 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 104100 Cash - Section 8 Checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 12 Iapcshdsb NET 84852 07/31/2012 PRTD 100273 Wayne or Elsie Pon 84853 07/31/2012 PRTD 104571 William A Bragg Living Trust William A Bragg Living Trust William A Bragg Living Trust 84854 07/31/2012 PRTD 101235 William Bruce Moore 84855 07/31/2012 PRTD 100117 Zachary Esprabens 84856 07/31/2012 PRTD 100840 Zeferino Montenegro 84857 07/31/2012 PRTD 100553 Zofia Wiacek Aug-12/116 Aug-12/14 Aug-12/15 Aug-12/16 Aug-12/105 Aug-12/55 Aug-12/104 Aug-12/145 NUMBER OF CHECKS 95 TOTAL PRINTED CHECKS *** GRAND TOTAL *** 135,919.37 08/02/2012 12:59 'CULVER CITY 'PG 1 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 104100 cash - section 8 checking CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 84858 08/02/2012 PRTo 101165 standard Insurance Company JUL2012BAL 08/02/2012 08021358 10.75 CHECK 84858 TOTAL: 10.75 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 10.75 COUNT AMOUNT TOTAL PRINTED CHECKS 1 10.75 *** GRAND TOTAL *** 10.75 07/18/2012 15:58 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 105410 Cash - Successor Agency CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 Iapcshdsb NET 400034 07/18/2012 PRTD 100180 Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman Kane Ballmer and Berkman NUMBER OF CHECKS 1 06/19/2012 21200723 071812SA 06/11/2012 21200723 071812SA 06/11/2012 21200723 071812SA 06/11/2012 21200723 071812SA 06/14/2012 21200723 071812SA 06/30/2012 21200723 071812SA 06/30/2012 21200723 071812SA 06/30/2012 21200723 071812SA 06/30/2012 21200723 071812SA CHECK 400034 TOTAL: *** CASH ACCOUNT TOTAL *** 18067 18078 18059 18102 18131 18150 18154 18160 18058 6,580.00 519.72 5.88 9,756.66 384.00 60.00 688.00 992.00 1,168.00 20,154.26 20,154.26 COUNT AMOUNT TOTAL PRINTED CHECKS 1 20,154.26 *** GRAND TOTAL *** 20,154.26 IPG 1 lapcshdsb INVOICE INV DATE PO CHECK RUN NET 18059-JUN12 06/30/2012 21200723 072512SA 132.85 07/25/2012 16:17 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 105410 Cash - Successor Agency CHECK NO CHK DATE TYPE VENDOR NAME 400035 07/25/2012 PRTD 100180 Kane Ballmer and Berkman CHECK 400035 TOTAL: 132.85 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 132.85 COUNT AMOUNT TOTAL PRINTED CHECKS 1 132.85 *** GRAND TOTAL *** 132.85 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 1 Iapcshdsb NET 700303 07/31/2012 PRTD 102517 10054 Culver LLC 700304 07/31/2012 PRTD 101310 3836 College Avenue LLC 3836 College Avenue LLC 700305 07/31/2012 PRTD 104605 9612-9622 Lucerne LLC 9612-9622 Lucerne LLC 700306 07/31/2012 PRTD 104283 Asela Jumao-As 700307 07/31/2012 PRTD 104041 Conte Family Trust 700308 07/31/2012 PRTD 103432 Creating Community LLC 700309 07/31/2012 PRTD 105034 D and M Properties 700310 07/31/2012 PRTD 103001 Dan Milder Dan milder 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 CHECK 073113HA 073113HA 073113HA 700304 TOTAL: 073113HA 073113HA 700305 TOTAL: 073113HA 073113HA 073113HA 700310 TOTAL: 760.00 760.00 831.00 954.00 1,785.00 1,065.00 745.00 1,810.00 1,056.00 1,056.00 783.00 783.00 705.00 705.00 760.00 760.00 786.00 660.00 1,446.00 Aug-12/11 Aug-12/54 Aug-12/55 Aug-12/6 Aug-12/7 Aug-12/31 Aug-12/9 Aug-12/10 Aug-12/13 Aug-12/43 Aug-12/44 CHECK 700303 TOTAL: CHECK 700306 TOTAL: 08/01/2012 073113HA CHECK 700307 TOTAL: 08/01/2012 073113HA CHECK 700308 TOTAL: 08/01/2012 073113HA CHECK 700309 TOTAL: 700311 07/31/2012 PRTD 104702 Daniel W. Austin Aug-12/4 08/01/2012 073113HA 834.00 CHECK 700311 TOTAL: 834.00 Aug-12/12 08/01/2012 073113HA CHECK 700312 TOTAL: Aug-12/14 08/01/2012 073113HA Aug-12/15 08/01/2012 073113HA CHECK 700313 TOTAL: Aug-12/30 08/01/2012 073113HA CHECK 700314 TOTAL: Aug-12/16 Aug-12/17 Aug-12/18 Aug-12/19 Aug-12/20 08/01/2012 08/01/2012 08/01/2012 08/01/2012 08/01/2012 CHECK 073113HA 073113HA 073113HA 073113HA 073113HA 700315 TOTAL: 07/31/2012 15:45 ICULvER CITY IPG 2 mary.noller IA/P CASH DISBURSEMENTS JOURNAL Iapcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN NET 700312 07/31/2012 PRTD 105994 Gary Duboff 700313 07/31/2012 PRTD 103231 DW Properties DW Properties 700314 07/31/2012 PRTD 100177 Ella R Jones 700315 07/31/2012 PRTD 100925 Eugene A Tkachenko, Trustee Eugene A Tkachenko, Trustee Eugene A Tkachenko, Trustee Eugene A Tkachenko, Trustee Eugene A Tkachenko, Trustee 651.00 651.00 1,050.00 215.00 1,265.00 811.00 811.00 866.00 630.00 822.00 720.00 390.00 3,428.00 1,820.00 1,820.00 800.00 800.00 596.00 596.00 655.00 08/01/2012 073113HA CHECK 700316 TOTAL: 08/01/2012 073113HA CHECK 700317 TOTAL: 08/01/2012 073113HA CHECK 700318 TOTAL: 08/01/2012 073113HA 700316 07/31/2012 PRTD 103353 Ezie Isaac Aug-12/46 700317 07/31/2012 PRTD 100306 Francisca Saunders Aug-12/50 700318 07/31/2012 PRTD 101353 Frank Perez Aug-12/47 700319 07/31/2012 PRTD 100130 Freeman Property Management Aug-12/24 CHECK 700319 TOTAL: 655.00 NET IPG 3 lapcshdsb INVOICE CHECK RUN INV DATE PO 07/31/2012 15:45 'CULVER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME 700327 07/31/2012 PRTD 105141 Humberta Garde Wade Apts 073113HA 1,090.00 1,090.00 CHECK 700327 TOTAL: 08/01/2012 Aug-12/59 Aug-12/1 Aug-12/2 Aug-12/3 08/01/2012 08/01/2012 08/01/2012 700328 07/31/2012 PRTD 100447 Isabelle Ashodian Isabelle Ashodian Isabelle Ashodian 855.00 855.00 835.00 073113HA 073113HA 073113HA 700320 07/31/2012 PRTD 100385 Gary or Diana Weber Gary or Diana Weber 700321 07/31/2012 PRTD 100404 George Young 700322 07/31/2012 PRTD 101647 German Esparza German Esparza 700323 07/31/2012 PRTD 107451 Arnoldo Adrian Gonzalez 700324 07/31/2012 PRTD 101032 Green Valley Circle 700326 07/31/2012 PRTD 100181 Howard or marilynKaplan 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 073113HA 073113HA 700320 TOTAL: 073113HA 073113HA 073113HA 700322 TOTAL: 073113HA 073113HA 073113HA 073113HA 966.00 950.00 1,916.00 850.00 850.00 418.00 945.00 1,363.00 810.00 810.00 869.00 869.00 848.00 848.00 627.00 627.00 Aug-12/25 Aug-12/27 Aug-12/32 700325 07/31/2012 PRTD 103232 Hauge Properties Ltd Partnership Aug-12/29 CHECK 700321 TOTAL: CHECK 700323 TOTAL: CHECK 700324 TOTAL: CHECK 700325 TOTAL: CHECK 700326 TOTAL: Aug-12/61 Aug-12/62 Aug-12/65 Aug-12/22 Aug-12/23 07/31/2012 15:45 ICULvER CITY IPG 4 mary.noller IA/P CASH DISBURSEMENTS JOURNAL lapcshdsb CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 700328 TOTAL: 2,545.00 700329 07/31/2012 PRTD 105219 Keswick Pacific LLC Aug-12/36 08/01/2012 073113HA 1,180.00 Keswick Pacific LLC Aug-12/37 08/01/2012 073113HA 1,120.00 CHECK 700329 TOTAL: 2,300.00 700330 07/31/2012 PRTD 100421 Lateef Sholebo Aug-12/53 08/01/2012 073113HA 1,317.00 CHECK 700330 TOTAL: 1,317.00 700331 07/31/2012 PRTD 103604 Lucerne Apartments Aug-12/33 08/01/2012 073113HA 1,232.00 CHECK 700331 TOTAL: 1,232.00 700332 07/31/2012 PRTD 101349 Luis M Luna Luis M Luna 700333 07/31/2012 PRTD 100381 Margaret Wahlrab 700334 07/31/2012 PRTD 100428 McGowan Family Trust 700335 07/31/2012 PRTD 101201 Michael Sarlo 700336 07/31/2012 PRTD 104956 Milton Schwartz 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 073113HA 073113HA 700332 TOTAL: 073113HA 073113HA 073113HA 073113HA 073113HA Aug-12/34 Aug-12/35 Aug-12/60 Aug-12/42 Aug-12/48 Aug-12/38 700337 07/31/2012 PRTD 101241 Mohammad S Hanafi Aug-12/28 08/01/2012 CHECK 700333 TOTAL: CHECK 700334 TOTAL: CHECK 700335 TOTAL: CHECK 700336 TOTAL: 947.00 666.00 1,613.00 935.00 935.00 451.00 451.00 926.00 926.00 893.00 893.00 816.00 CHECK 700337 TOTAL: 816.00 08/01/2012 08/01/2012 CHECK 08/01/2012 08/01/2012 08/01/2012 08/01/2012 073113HA 073113HA 700340 TOTAL: 073113HA 073113HA 073113HA 073113HA 952.00 1,001.00 1,953.00 763.00 763.00 801.00 801.00 811.00 811.00 843.00 843.00 CHECK 700341 TOTAL: CHECK 700342 TOTAL: CHECK 700343 TOTAL: CHECK 700344 TOTAL: 08/01/2012 073113HA 1,247.00 CHECK 700345 TOTAL: 1,247.00 08/01/2012 073113HA 1,059.00 CHECK 700346 TOTAL: 1,059.00 08/01/2012 073113HA 966.00 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN IPG 5 lapcshdsh NET 700338 07/31/2012 PRTD 101022 Nahil Chaghouri Aug-12/8 08/01/2012 073113HA 1,752.00 CHECK 700338 TOTAL: 1,752.00 700339 07/31/2012 PRTD 100227 Raul M Merlino Aug-12/39 08/01/2012 073113HA 432.00 CHECK 700339 TOTAL: 432.00 700340 07/31/2012 PRTD 104734 Richard McGinnis Richard McGinnis 700341 07/31/2012 PRTD 104781 Richard Stern 700342 07/31/2012 PRTD 104832 Rochelle Morrison 700343 07/31/2012 PRTD 100312 Rosalind Sein 700344 07/31/2012 PRTD 105121 saunders & Saunders 700345 07/31/2012 PRTD 100032 Sheri Barber 700346 07/31/2012 PRTD 105637 Stanley West 700347 07/31/2012 PRTD 103425 Stephanie De Menezes Aug-12/40 Aug-12/41 Aug-12/56 Aug-12/45 Aug-12/51 Aug-12/49 Aug-12/5 Aug-12/64 Aug-12/21 07/31/2012 15:45 ICULvER CITY mary.noller IA/P CASH DISBURSEMENTS JOURNAL CASH ACCOUNT: 999 105310 Cash - Housing Authority CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INv DATE PO CHECK RUN IPG 6 lapcshdsb NET CHECK 700347 TOTAL: 966.00 700348 07/31/2012 PRTD 100345 Subha Suleman 700349 07/31/2012 PRTD 104835 Thomas & Janice Szejewski 700350 07/31/2012 PRTD 100647 Timothy/Guadalupe Freitas 700351 07/31/2012 PRTD 103352 Vishesh M Sharma 700352 07/31/2012 PRTD 101225 Welcome Incorporated Aug-12/57 08/01/2012 073113HA CHECK 700348 TOTAL: Aug-12/58 08/01/2012 073113HA CHECK 700349 TOTAL: Aug-12/26 08/01/2012 073113HA CHECK 700350 TOTAL: Aug-12/52 08/01/2012 073113HA CHECK 700351 TOTAL: Aug-12/63 08/01/2012 073113HA CHECK 700352 TOTAL: 1,315.00 1,315.00 782.00 782.00 909.00 909.00 1,249.00 1,249.00 1,374.00 1,374.00 NUMBER OF CHECKS 50 *** CASH ACCOUNT TOTAL *** 57,622.00 COUNT AMOUNT TOTAL PRINTED CHECKS 50 57,622.00 *** GRAND TOTAL *** 57,622.00