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File #: 19-0222    Name:
Type: Consent Item Status: Agenda Ready
File created: 8/29/2019 In control: City Council
On agenda: 10/1/2019 Final action:
Title: PAYROLL DEMANDS CHECKS 25986-26030 IN THE AMOUNT OF $49,727.96, PD. 9/20/2019 DIRECT DEPOSIT 213284-213895 IN THE AMOUNT OF $1,895,030.30, PD. 9/20/2019 CHECKS 26031-26033 IN THE AMOUNT OF $2,721.09, PD. 9/20/2019 DIRECT DEPOSIT 213896-213898 IN THE AMOUNT OF $349.52, PD. 9/20/2019 EFT/ACH $7,822.90. PD. 9/20/19 (PP1919) EFT/ACH $348,511.55. PD. 9/25/19 (PP1918) EFT/ACH $351,351.83. PD. 9/26/19 (PP1919) ACCOUNTS PAYABLE DEMANDS CHECKS 90900-91122 IN THE AMOUNT OF $2,009,330.70 EFT CALPERS MEDICAL INSURANCE $338,962.55 DIRECT DEPOSIT 100002640-100002754 IN THE AMOUNT OF $94,594.16, PD. 10/1/2019
Attachments: 1. Administrative Report, 2. 10012019 RECOMMENDATION TO APPROVE, 3. 10012019 VENDOR INVOICE LIST
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To:                                                               MAYOR AND CITY COUNCIL

From:                                                               MARNI RUHLAND, FINANCE DIRECTOR

 

TITLE

title    

PAYROLL DEMANDS

CHECKS 25986-26030 IN THE AMOUNT OF $49,727.96, PD. 9/20/2019

DIRECT DEPOSIT 213284-213895 IN THE AMOUNT OF $1,895,030.30, PD. 9/20/2019

CHECKS 26031-26033 IN THE AMOUNT OF $2,721.09, PD. 9/20/2019

DIRECT DEPOSIT 213896-213898 IN THE AMOUNT OF $349.52, PD. 9/20/2019

EFT/ACH $7,822.90. PD. 9/20/19 (PP1919)

EFT/ACH $348,511.55. PD. 9/25/19 (PP1918)

EFT/ACH $351,351.83. PD. 9/26/19 (PP1919)

 

 

ACCOUNTS PAYABLE DEMANDS

CHECKS 90900-91122 IN THE AMOUNT OF $2,009,330.70

EFT CALPERS MEDICAL INSURANCE $338,962.55

DIRECT DEPOSIT 100002640-100002754 IN THE AMOUNT OF $94,594.16, PD. 10/1/2019

end

 

EXECUTIVE SUMMARY

Approval of Payroll and Accounts Payable

 

ATTACHMENTS

10012019_RECOMMENDATION_TO_APPROVE

10012019_VENDOR_INVOICE_LIST