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HomeMy WebLinkAboutAgenda AGENDA Finance Committee Meeting 4:30 PM - Monday, November 19, 2018 Council Conference Room, 7th Floor, City Hall – 1055 S. Grady Way 1. Reclassifications a) AB - 2251 Human Resources / Risk Management Department recommends approval of the following reclassification of positions, effective January 1, 2019. Total cost of reclassifications $114,008, which will be included in the 1st Quarter budget adjustment. 2. Vouchers a) Accounts Payable b) Benefits' Deductions c) Payroll (located in Dropbox) 3. Emerging Issues in Finance AB - 2251 City Council Regular Meeting - 05 Nov 2018 SUBJECT/TITLE: Reclassifications effective January 1, 2019 RECOMMENDED ACTION: Refer to Finance Committee DEPARTMENT: Human Resources / Risk Management Department STAFF CONTACT: Ellen Bradley-Mak, Administrator EXT.: 7657 FISCAL IMPACT SUMMARY: All reclass/salary adjustments will be effective as of January 1, 2019. See "2019 Budget Impact" attachment for each position's breakdown of costs. Total increases by department for 2019 are as follows: ASD: $42,816 CED: $5,172 HRRM: $37,452 Police: $28,568 In addition, increase Commander and Deputy Chief physical fitness premium to 3% Total cost for reclassifications 2019: $114,008 SUMMARY OF ACTION: See Issue Papers, attached EXHIBITS: A. 2019 Budget Impact (budgeting detail for each position) B. Financial Services Manager Issue paper- ASD Dept C. Service Desk Supervisor Issue paper- ASD Dept D. Tax Auditor Issue paper - ASD Dept E. Systems Analyst Issue paper- ASD Dept F. Business Systems Analyst Issue paper- ASD Dept G. HR Analyst Issue Paper- HRRM Dept H. Property and Technical Services Manager Issue paper - CED Dept I. Police Commander & Deputy Chief Issue paper - Police Dept STAFF RECOMMENDATION: Approve reclassifications of the positions listed below, effective January 1, 2019. Funds to implement these recommendations will be added in a budget adjustment in the first quarter of 2019. In the ASD Department, reclassify the Financial Services Manager position to grade m33 (1 FTE); reclassify the Service Desk Supervisor position to "Client Technology Services & Support Supervisor" at grade a30 (1 FTE); reclassify the Tax Auditor position to "Tax & Licensing Program Manager" at grade m27 (1 FTE); reclassify the Senior Systems Analyst position to grade a29 (2 FTE's); reclassify the Systems Analyst position to grade a26 (1 AGENDA ITEM #1. a) FTE); and reclassify the Business Systems Analyst position to "Senior Business Systems Analyst" at grade a27 (3 FTE's). In the HRRM Department, reclassify the Senior Human Resources Analyst position to grade m25 (3 FTE's); and reclassify the Human Resources Analyst (including the Risk Management Analyst) positions to grade m23 (3 FTE's). In the CED Department, reclassify the Property & Technical Services Manager position to grade m33 (1 FTE). In the Police Department, reclassify the Commander position to grade m38 (6 FTE's); and reclassify the Deputy Chief position to grade m46 (2 FTE's). Also, increase Commander and Deputy Chief physical fitness premium to 3%. AGENDA ITEM #1. a) Department: Administrative Services Department: Administrative Services Division:Finance Division:Information Technology Title:Financial Services Manager Title:Service Desk Supervisor Current Grade:m30 Current Grade:a24 New Title:n/a New Title:Client Technology Services & Support Supervisor Proposed Grade:m33 Proposed Grade:a30 Budget Impact 2019:See below Budget Impact 2019:See below Wages:   $8,088 Wages:   $4,488 Benefits:   $1,666 Benefits:   $925 Total:  $9,754 Total:  $5,413 Effective:1/1/2019 Effective:1/1/2019 Department: Administrative Services Department: Administrative Services Division:Finance Division:Information Technology Title:Tax Auditor Title:Senior Systems Analyst Current Grade:m25 Current Grade:a25 New Title:Tax & Licensing Program Manager New Title:n/a Proposed Grade:m27 Proposed Grade:a29 Budget Impact 2019:See below Budget Impact 2019:See below Wages:   $4,008 Wages:   $9,240.00 Benefits:   $826 Benefits:   $1,903.44 Total:  $4,834 Total:  $11,143.44 Effective:1/1/2019 Effective:1/1/2019 Department: Administrative Services Department: Administrative Services Division:Information Technology Division:Information Technology Title:Systems Analyst Title:Business Systems Analyst Current Grade:a22 Current Grade:a23 New Title:n/a New Title:Senior Business Systems Analyst Proposed Grade:a26 Proposed Grade:a27 Budget Impact 2019:See below Budget Impact 2019:See below Wages:   $4,344.00 Wages:   $12,648.00 Benefits:   $894.86 Benefits:   $2,605.49 Total:  $5,238.86 Total:  $15,253.49 Effective:1/1/2019 Effective:1/1/2019 Department: Human Resources & Risk Mgmt Department: Human Resources & Risk Mgmt Division:n/a Division:n/a Title:Senior Human Resources Analyst Title:Human Resources Analyst  Current Grade:m22 Current Grade:m20 New Title:tbd New Title:tbd Proposed Grade:m25 Proposed Grade:m23 Budget Impact 2019:See below Budget Impact 2019:See below Wages:   $19,836.00 Wages:   $17,616 Benefits:   $4,086.22 Benefits:   $3,629 Total:  $23,922.22 Total:  $21,245 Effective:1/1/2019 Effective:1/1/2019 2019 Budget Impact H:\5 ‐ Human Resources\9 ‐ Classifications_Reorgs\2 ‐ Reclassifications\2018 Reclassifications (effect Jan 2019)\2018 Reclassifications Agenda Bill File\Cost  Summary 2019 AGENDA ITEM #1. a) 2019 Budget Impact Department: Community & Economic Development Division:Planning Title:Property & Technical Svcs Manager Current Grade:m29 Proposed Grade:m33 Budget Impact 2019:See below Wages:   $5,172.00 Benefits:   $1,065.43 Total:  $6,237.43 Effective:1/1/2019 Department: Police Department: Police Division:n/a Division:n/a Title:Commander Title:Deputy Chief Current Grade:m37 Current Grade:m45 New Title:n/a New Title:n/a Proposed Grade:m38 Proposed Grade:m46 Budget Impact 2019:See below Budget Impact 2019:See below Wages:   $20,914 Wages:   $7,655 Benefits:   $4,317 Benefits:   $1,580 Total:  $25,230 Total:  $9,234 Effective:1/1/2019 Effective:1/1/2019 H:\5 ‐ Human Resources\9 ‐ Classifications_Reorgs\2 ‐ Reclassifications\2018 Reclassifications (effect Jan 2019)\2018 Reclassifications Agenda Bill File\Cost  Summary 2019 AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018 TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Reclassification Request Recommendation – Kari Roller BACKGOUND In accordance with city policy 320-05, “Request for Reclassification” Kari Roller, Financial Services Manager submitted a request to have her classification reviewed based on additional complex functions added to her position. ANALYSIS The scope and depth of the Financial Services Manager position has increased over the past few years and additional, more complex responsibilities have been assigned. The most significant change to the position is the result of preparing for and implementation of the Business & Occupation (B&O) tax program at the City of Renton in 2016. Duties added that were not currently listed in her job classification include updating the City code, developing the tax billing and payment process, providing outreach to the local business community and enforcing the reporting and collection of taxes. A Tax Auditor position was added to the division in 2017 to assist with performing these functions. The Financial Services Manager continues to manage these functions as well as perform when required. Another area of focus that has become more complex is Kari’s involvement with outside agencies that provide a significant impact on the local community. For example, she is on the operating board of FileLocal; an online service for businesses to file and pay their B&O taxes, and is a backup voter for the Administrative Services Administrator. The introduction of the B&O tax also created the need to work with IT to implement and maintain new software. Since 2015, she has acted as project manager, helped to create and design the program, and make sure what was implemented was compliant with the laws. As both a Project Champion and Project Manager, she is managing the process; moving it forward, including holding staff accountable and making complex business improvement decisions. AGENDA ITEM #1. a) Robert Harrison, CAO Page 2 of 2 October 12, 2018 In addition to the B&O tax software implementation, she has participated in the process of implementing new time keeping software; a function not currently in her job classification. She also participated in the Energov implementation since data was needed from the finance software, EDEN and required her to develop work arounds. The selection of a new garbage collection vendor also led to this position performing duties that are more complex. As the city liaison to Republic Services, the coordination involved with working with this vendor added a higher level of complexity including the auditing process. Since the City doesn’t have a centralized procurement process, Kari took on the role of providing guidance on interpreting procurement laws and regulations, specifically in relation to public works projects. The analysis of the request for a reclassification included a market compensation study, which was challenging to conduct since other cities structure their finance department differently and in some cities, Kari’s duties are covered by two or more staff members. Albeit challenging, researching the Financial Services Manager classification with other agencies revealed that Renton’s salary is 12.3% lower than the average of the five comparable agencies; including factoring in Renton’s 4% deferred compensation. Conducting an internal equity analysis, the Fiscal Services Manager has an equivalent level of scope and responsibility compared to the managers in the Community and Economic Development and the Public Works departments; positions currently at salary grade m33. This level of authority justifies the salary higher grade placement at m33. RECOMMENDATION I recommended that the Financial Services Manager position be reclassified to a higher range, moving from grade m30 to m33, effective January 1, 2019. AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018 TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Reclassification Request Recommendation – Young Yoon BACKGOUND In accordance with city policy 320-05, “Request for Reclassification” Young Yoon, Help Desk Supervisor submitted a request to have his classification reviewed based on performing his position with a higher level of authority; managing functions rather than that of assisting as well as performing additional higher level duties. ANALYSIS Prior to 2007, Young reported to the Information Systems Supervisor, a position that was eliminated; resulting in Young assuming some of the higher level responsibilities of the position and began reporting directly to the Information Technology Director. The change in reporting structure increased the level of responsibility placed on Young, including initiating projects instead of receiving direction, responding directly to the more complex level of escalated service requests, deciding what products to purchase instead of being directed to purchase, managing the citywide network user accounts instead of assisting, and being the primary manager of end user technology. The introduction of new technologies over the years including mobile devices and police in-car camera systems also contributes to the justification of a reclassification. The significant advances in technology over the years doesn’t just require him to do his job differently with new technology, it requires him to constantly learn the new technologies and learn how they can apply citywide, performing project management of complex projects across cross functional and department boundaries. Conducting an external salary survey, the Service Desk Supervisor is paid 11.2% lower than the other jurisdictions. The makeup of the Information Technology departments at other cities included this type of position combined with either Network duties or GIS duties and in other cities, the position is at the level of a lead employee. While the classifications from other cities that were reviewed were not an exact match, they AGENDA ITEM #1. a) Robert Harrison, CAO Page 2 of 2 October 12, 2018 shared many of the same duties currently performed by the Help Desk Supervisor and therefore warrant a comparison. Conducting an internal equity analysis, the Service Desk Supervisor has an equivalent level of scope and responsibility of those positions at the Civil Engineer III and Capital Project Coordinator level, a29. The Service Desk Supervisor duties are slightly lower in complexity than these positions, however, similar to the Application Support Manager and GIS Manager positions, positioned at m30 on the salary index, the Service Desk Supervisor is responsible for a complete section. The Service Desk Supervisor provides end user support and technology device management to all city staff. In addition this position is responsible for a higher quantity of end users, reports to a director, trains and supervises all staff assigned to the section, and implements and improves section procedures and processes. This level of authority justifies the salary grade placement at a30. RECOMMENDATION I recommended that the Service Desk Supervisor position be reclassified to a newly titled classification, Client Technology Services and Support Supervisor at a higher range, moving from grade a24 to a30, effective January 1, 2019. AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018 TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Reclassification Request Recommendation – Nate Malone BACKGOUND The Tax Auditor position was created in 2017 to assist the Financial Manager in the auditing and administration of the new B&O tax. This position was filled by Nate Malone in March 2017 and was submitted for reclassification review in July 2018 in accordance with City policy 320-05, “Request for Reclassification”. The incumbent, and Finance Department management, believe that he has been acting in a higher level capacity for the past year. ANALYSIS After comparing the duties listed in the Tax Auditor class specification to the roles and responsibilities that the incumbent is currently performing it is clear that the position has quickly evolved from the City’s original intent. The level of complexity and responsibility required for this position has increased greatly and the following essential functions are currently being performed outside of the current job classification: Plan, organize and manage tax and licensing program; specifically B&O taxes, admission tax, gambling tax, utility tax, and business licenses. Delegate, assign, prioritize, review work, provide direction/training and ensure timely completion of projects and assignments of other staff as it relates to tax and licensing programs and enforcement. Responsible for the administration, interpretation, and enforcement of the City's Tax and Licensing code and policies. Utilize efficient processes and ensure sound internal controls, make recommendations for improvements to processes and procedures and oversee implementation. Act as the lead, and/or participate, on several regional and state multi- jurisdictional teams, task forces, and/or committees working to improve consistency and ease of administration for B&O taxes statewide. Represent, and speak, on the City of Renton's behalf, make decisions, and provide input on tax and licensing matters. AGENDA ITEM #1. a) Collaborate with external agencies and other internal departments on matters related to tax and licensing programs. Render written decisions and determinations for complex taxpayer issues, notify taxpayers of decisions in person and/or in writing. Act as the project manager on large system implementations/conversions as it relates to tax and licensing systems. The PDQ completed by the employee indicated that he is performing these duties approximately 75% of the time. Additionally, he has extensive knowledge about business tax and licensing that exceeds the current qualifications of the Tax Auditor position, and he has become a regional subject matter expert as recognized by other agencies, committees, and task forces. An external market analysis was conducted which yielded minimal viable comparisons. Unfortunately we are limited to comparing this position only to other cities that have imposed a B&O tax as well, and we have discovered that each city handles the program very differently. Taking internal equity into account we compared the job duties mentioned above with two positions that have a similar level of responsibility and also manage respective programs. Those positions are a Program Development Coordinator I/II series placed at grade a25 and a29, and a now inactive Benefits Program Manager position that was placed at grade m27. RECOMMENDATION The PDQ proposed a title change to Tax & Licensing Supervisor placed at grade a28. There is consensus that the incumbent is performing duties outside of his current job classification, however those duties do not meet the definition of a supervisor. While there is future potential for this position to supervise direct reports, the scope of the reclassification process is only taking into account duties being currently performed. For that reason, I recommend the employee be reclassified to a Tax & Licensing Program Manager and be moved from grade m25 to grade m27 effective January 1, 2019. AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018 TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Reclassification Request Recommendation – Michael Moore BACKGOUND In accordance with city policy 320-05, “Request for Reclassification” Michael Moore, Sr. Systems Analyst, submitted a request to have his classification reviewed based on additional functions added to his job and complexity of current functions. ANALYSIS The reclass request was presented with significant updates to the Sr. Systems Analyst job description. As Information Technology is constantly evolving, these descriptions (including the Systems Analyst series) become outdated quickly; the last updates to the series classifications being over 5 ½ years ago. One of the most significant updates to the description is the extensive project management that our Systems Analysts provide. The current description states that they “serve as lead on various projects” and “provide direction and guidance for staff”. The duties currently being performed provide project management for all phases of the project starting with the creation of the charter, establishing and maintaining schedules, leading the team, providing budget oversight, developing user documentation and/or training through closeout. Project management now comprises approximately 30% of Michael’s workload and requires higher levels of decision making with large impacts on the organization. Another area where the Sr. Systems Analyst duties have expanded involves the selection and implementation of hardware and software for various systems. In the current description the duties include “Evaluate new hardware and software; advise clients on hardware and software alternatives; set standards for selection of software and assist departments in making final choice” They no longer just evaluate the products, but architect, design, test, install, configure, train, document and audit the software, making the vendor involvement in the process much less. In some cases, they are also creating and maintaining custom applications and integration systems. AGENDA ITEM #1. a) One addition to the duties of the Sr. Systems Analyst is related to the IT department focus on improving the City’s SQL database servers. The current Sr. Systems Analyst job description states that the Sr. Systems Analyst will work with the Database Administrator to make changes, however, the city does not currently have a Database Administrator and has not proposed the addition of one. These duties that would be traditionally done by a Database Administrator have been absorbed by the Sr. Systems Analysts. This includes installing, configuring and updating database systems; monitoring and maintaining database system performance; managing backup plans and systems security. It’s important to note that the AFSCME compensation study was completed in 2017 and the Systems Analyst (not senior level) was used as a benchmark. The Systems Analyst position with its current description dated March 2013 was found to be 6.6% below market at that time so the classification was moved up 1 pay grade from a21 to a22. Because the Sr. Systems Analyst is tied to the Systems Analyst through a series, the Sr. Systems Analyst was also moved up 1 pay grade from a24 to a25. An external market study was done on the senior level as part of the analysis of this request and it was found that our Sr. Systems Analyst classification, using the updated description, is 16.1% below the current market. Internally, there are no positions that are comparable in the technical knowledge and tasks for this position due to the high level of capability, but because of the extensive project management aspects, the Capital Project Coordinators and Civil Engineer III’s would be considered comps. These positions are paid at grades a28 and a29 respectively. RECOMMENDATION To put this position within the market range we target (5% below or less) it would be placed at grade a30. The current manager of this group, titled Application Support Manager, is paid at grade m30. It is our practice to have at least 1 grade (2.5%) between a supervisor and their direct report, so for internal equity purposes, I am recommending this position be moved to grade a29 from a25 effective January 1, 2019. Because the Systems Analyst is tied to this position through a series, I would also recommend it be moved from grade a22 to a26 effective January 1, 2019. AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018 TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Reclassification Request Recommendation – Business Systems Analysts BACKGOUND In accordance with city policy 320-05, “Request for Reclassification” Debbie Scott, Kristina Raabe and Jeff DeVos, all Business Systems Analysts, submitted a request to have their classification reviewed based on additional functions added to their jobs and the complexity of current, expanded functions. ANALYSIS The reclassification request was presented with significant updates to the Business Systems Analyst job descriptions and a proposed series creation. Creating a series will allow the manager in the future to fill vacancies at an entry level position and then train the incumbents to a Senior Level position. As Information Technology is constantly evolving, these descriptions become outdated quickly; the last updates to the Business Systems Analyst classification being over 7 years ago. The most senior of the 3 incumbents indicated that she has been performing expanded duties for several years. As their combined PDQ indicated, these positions spend approximately 16 hours of their work week on new system implementation and ongoing configuration. The current description says that Business Systems Analysts “work with departments to plan for implementation of systems; assist with installation; develop and design reports and tutorials for user specific applications; determine training needs and work with client to arrange for training”. The incumbents plan, implement and upgrade technologies through all phases of the software life cycle. Additionally, they are solely responsible for the installation (instead of assisting), testing, conducting of training (instead of coordinate), deploying, and developing technical and user documentation. Another area in which the Business Systems Analysts have expanded duties is the extensive project management and high level customer service they provide. Instead of AGENDA ITEM #1. a) focusing on one project or division, they manage multiple concurrent projects. In addition to the coordinating, developing and maintaining project schedules and budgets, they also complete the project charter, develop the plans and deliverables and author all technical and end user documentation. The vendor’s participation in these processes has decreased significantly. The maintenance and support duties of the position have also expanded. The current description states that they “respond to client requests for service on problematic systems, troubleshoot problems and develop solutions in conjunction with other IT staff” The Business Systems Analysts are now considered subject matter experts on several systems and support and maintain these as assigned. They also test, patch, update and upgrade assigned systems, again, eliminating vendor involvement. It’s important to note that the AFSCME compensation study was completed in 2017 and the Business Systems Analyst was used as a benchmark. The Business Systems Analyst position with its current description dated April 2011 was found to be 6.9% above market at that time and no salary adjustments were made. Because of the significant updates to the description we conducted a new market study as part of the reclassification review and the results of this show the position is now 13.1% below the external market. Internally, the other positions that handle extensive project management are Capital Project Coordinators, paid at grade a28 and Civil Engineer III’s paid at grade a29. RECOMMENDATION It is my recommendation that a series be created for this position and that the incumbents who presented the reclassification be placed in the Senior Business Systems Analyst position. To put the Senior Business Systems Analyst within the market range we target (5% below or less) it would be placed at grade a27. This also aligns internally with the before mentioned positions that provide heavy project management. The decision making capabilities and dollar impact of those positions is greater and both require additional licensing beyond a college degree to perform, so they would fall into a higher salary grade than the Business Systems Analysts. I am recommending the Senior Business Systems Analyst position be moved placed at grade a27 and the Business Systems Analyst remain a23 effective January 1, 2019. AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018, TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Reclassification Request Recommendation – HR Analyst/Sr. HR Analyst BACKGOUND In accordance with city policy 320-05, “Request for Reclassification” 3 incumbent HR Analysts submitted their joint request to have their classification reviewed based on additional duties added to their positions as well as increased depth of existing duties within the last 2 years. In addition, there are three other analyst positions who were examined in this same reclassification process. ANALYSIS The scope and depth of the work performed by senior analysts has expanded in the past 2 years with increasing responsibility to provide advice and counsel to department managers and supervisors regarding a variety of employee related matters to include the following: Administer and provide oversight to several key vendor contracts with regard to civil service testing/recruiting as well as Halogen, the city’s performance management tool. Investigate employee issues and complaints and work directly with managers and supervisors to resolve a variety of workplace issues and challenges. Draft and complete written reprimands, performance improvement plans and loudermill notifications. Research and make recommendations for system and software enhancements. Manage position control within the city, which is tie directly to our budget process and the total FTE count. Serve as the subject matter experts with our current HRIS system, Eden, which enables them to create and analyze reports using Crystal, Neogov and Halogen. Conduct research and compensation analysis in support of Union negotiations. Each Senior HR Analyst is now assigned to a negotiations team. Research, participate, and in some cases, take the lead on development, revision, implementation and review of personnel policies; ensure compliance with regulations and City management directives. AGENDA ITEM #1. a) Robert Harrison, CAO Page 2 of 4 October 12, 2018 Develop curriculum & conduct training on various HR related topics to meet diverse needs of the workforce. Work with appropriate City content experts to support and develop curriculum and training opportunities aimed at enhancing workplace culture and creating a high performing organization. Provide oversight to a specific type of interdepartmental work group ranging from HR/Payroll bi-monthly meetings to inclusion work with our diversity consultant, Benita Horn. One of the analysts oversees the entire Civil Service function for the police department. In addition to the some of the duties listed above, our benefits analysts also: Act independently with regard to design and delivery of new employee orientations and onboarding. Have a role in insurance plan administration which includes claims advocacy, open enrollment, health fair, compliance and provide administrative support to the Renton Employee Health Plan Board. The most senior analyst is independently responsible for the direction, design, budget and administration of the City of Renton Employee Wellness (CREW) Program. The benefits analysts have oversight of leave administration which includes having a depth of knowledge regarding protected leaves, general leaves, compliance and disability benefits. With changes in leave laws and administration over the past two years, the benefits analysts have participated in providing education to the city’s management team as well as individual employees. One of the benefits analysts has complete oversight of the worker compensation program which includes claims administration and compliance as well as administration of the LEOFF I Health Plan. Another area of change over the past year has been the analysts’ involvement in retirement plan administration. This is a key component of our succession planning and has been very popular with city staff. Since filling the position of Risk Analyst, the position has expanded in scope and depth of duties, more so than we originally anticipated. These duties now include: Managing the Hazard Reporting Program Determining cost effectiveness of loss prevention and risk management initiatives; adjusting programs as necessary to maximize effectiveness Complete oversight of the Injury Reporting System, both internally as well as externally to Labor and Industries, under circumstances that warrant per WAC code Monitor and ensure compliance with Sharps Injury Log entries, tracking and reporting Responsible for ensuring accurate OSHA 300 log tracking and reporting AGENDA ITEM #1. a) Robert Harrison, CAO Page 3 of 4 October 12, 2018 Coordinate and partner with Emergency Management to manage, prepare and protect personnel and assets before, during and after emergency events Create and manage safety teams for emergency and drill preparation Coordinate with external entities, such as the Renton Regional Fire Authority This is not an exhaustive list but does illustrate an increase in leadership and reporting responsibility, similar in scope and authority to the Employee Relations and Benefits Analysts. All three analysts in the employee relations division have continued their education in an effort to keep up-to-date on the constantly evolving world of employment law and labor relations. In addition to regular trainings and conferences, both Senior Analysts have achieved and maintained their SPHR certifications. The HR Analyst obtained her PHR certification in 2017, and has been participating in various trainings in order to maintain this certification. The Benefit analysts are working toward their PHR certifications and have participated in webinars and other course work in order to stay current with changing laws that impact benefits. The Risk Management Analyst has taken the first of three tests toward the Public Risk Management Association certification. These efforts towards advanced education and certification in their respective fields allows the Analysts to perform tasks at a higher level. As a department, we have also been actively engaged in cross training between the employee services division and the benefits division in order to provide more efficient service to our employees. (The need to diminish silos within the Human Resources Department came out in the 2017 employee survey. Cross training is one mechanism we have used to meet that metric and provide enhanced customer service.) The analysis of the request for a reclassification included a market compensation study. Both the Senior HR Analyst and the HR Analyst in the employee relations division had several comparables in nearby cities. The Senior HR Analysts’ current pay, inclusive of the 4% deferred compensation contribution, is currently 7.4% below the market average. Conducting an internal equity analysis, the Senior HR Analyst has an equivalent level of scope, responsibility, and technical knowledge compared to the Senior Fiscal Analyst, currently graded at m25. This level of authority justifies the higher grade placement at m25. RECOMMENDATION I recommended that the Senior Analyst position be reclassified to a higher range, moving from grade m22 to m25, effective January 1, 2019. Due to the fact that this is a AGENDA ITEM #1. a) Robert Harrison, CAO Page 4 of 4 October 12, 2018 series, I would also recommend that the HR Analyst and Risk Analyst* position be reclassified as well, moving from grade m20 to m23, effective January 1, 2019. This increase would affect all 6 Analysts in the Department in order to maintain internal equity. To accurately represent the diverse and unique duties of each division, I also recommend creating separate job descriptions to include the Benefits Analyst, the Risk Management Analyst, and the Employee Relations Analyst. All of these would also have the Senior designation to indicate a higher level of complex duties. *The Risk Analyst/Safety Officer position has, historically, been placed in the same pay grade as the HR Analyst. It will be included in the non-representative compensation study as a bench mark. AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018 TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Reclassification Request Recommendation – Amanda Askren BACKGOUND In accordance with city policy 320-05, “Request for Reclassification” Amanda Askren, Property and Technical Services Manager submitted a request to have her classification reviewed based on additional functions added to her job. ANALYSIS One of the significant justifications Amanda included for a reclassification review was that beginning in June 2016, Amanda was tasked with performing project management for implementing Community and Economic Development (CED) Plan Review software. The work in this realm includes managing technology and software improvements at the division and cross-departmental level. In this role, she works with the Business Systems Analyst from the Information Technology department to implement software solutions. She has been tasked with gaining an understanding of the business process outside of her own division. As both a Project Champion and Project Manager, she is managing the process; moving it forward, including holding staff accountable and making complex business improvement decisions. Amanda has been tasked with additional software project management functions within CED and it is foreseen that this will continue as the Administrator seeks to improve processes throughout the department. This is a new function outside of her current classification, which she spends approximately 25% of her time. Additional duties the incumbent currently performs that are not listed in the job classification include, managing the department permit tracking software, process and manage street vacation requests and presenting staff recommendations to Council. In addition, she assigns, manages and communicates site addresses within City limits to City departments, outside agencies, and the public. The analysis of the request for a reclassification included a market compensation study. Researching the Property and Technical Services Manager classification with other AGENDA ITEM #1. a) Robert Harrison, CAO Page 2 of 2 October 12, 2018 agencies revealed that other agencies had the duties of the Property and Technical Services Manager rolled into other positions; the position in Renton is responsible for more areas than other cities. The agencies that had the closest match were the Cities of Bellevue, Auburn, and Kent and Snohomish County. Renton’s salary is 13% lower than the average of these four agencies. Conducting an internal equity analysis, the Property and Technical Services Manager has an equivalent level of scope and responsibility compared to the other managers in the Community and Economic Development Department, including the Development Engineering Manager, Long Range Planning Manager and Current Planning Manager. For example, the Property and Technical Services Manager is responsible for plan review; a function that is also performed by the Development Engineering Manager. Their education and experience requirements are similar, they manage a similar number of staff, and the staff that they do supervise are similar in their level of technical expertise. On a historical note, a Technical Services Manager position was eliminated in 2001 and when it existed, it was classified at m32. The Technical Services Manager classification performed approximately 70% of the duties of what the incumbent Property Technical Services Manager currently performs. In addition, the Property and Technical Services Manager requires a Washington State issued Professional Land Surveyor’s license while the Technical Services Manager did not require this license. This level of authority justifies the salary higher grade placement at m33. RECOMMENDATION I recommended that the Property & Technical Services Manager position be reclassified to a higher range, moving from grade m29 to m33, effective January 1, 2019. AGENDA ITEM #1. a) HUMAN RESOURCES AND RISK MANAGEMENT M E M O R A N D U M DATE:October 12, 2018 TO:Robert Harrison, Chief Administrative Officer FROM:Ellen Bradley-Mak, HRRM Administrator SUBJECT:Adjustments to Police Commander Pay BACKGOUND Earlier this year, the Police Commanders met with Human Resources, the Mayor and Jay Covington to propose an increase to their salaries. According to them, the City had a practice of reviewing their salaries following bargaining with the Renton Police Guild. Jay and the Mayor confirmed this practice. They also mentioned that their jobs had changed substantially since the last time they were reviewed in 2008. ANALYSIS Human Resources reviewed the changes in job responsibilities mentioned, which included more public outreach, serving on various community committees, attending community meetings in the evenings such as the Renton African American Pastors and several youth programs. In addition, the commanders oversee an entire subdivision of the police department, such as the patrol division, the detectives division, and support services, to name a few. For the purpose of internal equity, we compared the commanders’ current duties with other similarly situated positions within the city. Their duties and those managers listed in range m38, which include positions such as Utility Systems Director, Transportation Systems Director, and Planning Director are comparable due to the fact that they all have direct oversight of specific divisions within their respective departments and have a considerable amount of contact with the public as a part of their job duties. The analysis also revealed some pay compression issues that arose between the Sergeant and Commander position when the Sergeants received the 6.25% Pitman premium into their base pay starting in 2018. The recommended increase helps to address this compression. RECOMMENDATION I recommend the commanders pay be increased by one range, from m37 to m38 effective January 1, 2019. This increase will cause a compression issue for the position of deputy chief. For this reason, the deputy chief pay range will increase from m45 to AGENDA ITEM #1. a) Robert Harrison, CAO Page 2 of 2 October 12, 2018 m46. In addition, the commanders requested a slight increase to their physical fitness premium, which is currently at 2.5%, requesting an increase of .5%. For equity purposes, it was recommended that Deputy Chiefs receive the same increase to their physical fitness premium, resulting in both positions being eligible for the 3.0% physical fitness premium in 2019. In May, Jan Hawn, Administrative Services Administrator, and I met with Mayor Law to discuss our recommendation. He approved this recommendation and it will be presented to the Finance Committee, along with the reclassification recommendations. AGENDA ITEM #1. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 1 of 125 data as of: 11/15/2018 3:21:36PM 5STAR5 INC - 000006 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 584.0011/15/2018369894 PARKS ADMIN43179 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 11 FS14 JANITORIAL SERVICE 584.00Check 369894 Amount 5STAR5 INC Total $584.00 ACCELA INC #774375 - 000400 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 6,409.3411/15/2018369767 FINANCE & ITINV-ACC42691 000.000000.004.514.20.41.000 PROFESSIONAL SERVICESOct 2018 Monthly web payments 6,409.34Check 369767 Amount ACCELA INC #774375 Total $6,409.34 ADMINISTRATIVE OFFICE - 089251 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 60.0011/15/2018369895 MUNICIPAL COURT1113218 000.000000.002.512.50.43.002 TRAINING/SCHOOLSInstute for Court Management Course Registraon - Course date March 4-6, 2019 60.00Check 369895 Amount ADMINISTRATIVE OFFICE Total $60.00 AIRSIDE SOLUTIONS INC - 090389 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 374.0011/15/2018369768 TRANSPORTATION/AIRPORT29430 402.000000.016.546.20.31.000 SHOP/OFFICE - OPERATING SUPPLIESOther facilies supplies - kiwanis park windsocks (4) 374.00Check 369768 Amount AIRSIDE SOLUTIONS INC Total $374.00 ALL AMERICAN LIFE INS - 100009 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 50.0011/09/2018369752 REVENUE/BALANCE SHEETBen1810462 632.000000.000.231.50.10.000 ACCRUED EMPLOYEE BENEFITSALL AMERICAN LIFE: Payment 50.00Check 369752 Amount ALL AMERICAN LIFE INS Total $50.00 ALL TRAFFIC DATA SERVICES INC - 001985 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 500.0011/15/2018369769 TRANSPORTATION/AIRPORT19250 317.122115.016.542.60.41.010 TRAFFIC SAFETY PGM PROF SERVICES2 Speed Studys~ June 2018 500.00Check 369769 Amount ALL TRAFFIC DATA SERVICES INC Total $500.00 ALLEN, LINDSAY - 001855 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:36PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 2 of 125 data as of: 11/15/2018 3:21:36PM ALLEN, LINDSAY - 001855 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 90.0011/15/2018369896 CITY CLERKL. Allen/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 90.00Check 369896 Amount ALLEN, LINDSAY Total $90.00 ALLIANCE 2020 - 001902 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 26.7011/15/2018369770 FINANCE & IT565504 000.000000.004.514.20.41.000 PROFESSIONAL SERVICESBackground checks 26.70Check 369770 Amount ALLIANCE 2020 Total $26.70 ALLIED ARTS OF RENTON - 001900 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,500.0011/15/2018369897 CEDRMAC_2018_2 000.070231.007.573.20.49.010 4 CULTURE SUSTAINED - ARTS & CULTURE PRORMAC SUPPORT FOR FALL CONCERT @ IKEA PERF ARTS CENTER/ OCT14 1,500.00Check 369897 Amount ALLIED ARTS OF RENTON Total $1,500.00 ALLIED UNIVERSIAL SECURITY SVC - 084352 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 922.5011/15/2018369771 MUNICIPAL COURT8336828 000.000000.002.512.50.41.010 SECURITY OFFICERSSecurity Coverage October 2018 for lunch and personal leave 922.50Check 369771 Amount ALLIED UNIVERSIAL SECURITY SVC Total $922.50 AM TEST INC - 002243 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 195.0011/15/2018369772 UTILITY SYSTEMS107238 405.000000.018.534.20.41.000 PROFESSIONAL SERVICESWater bacteriological samples (4) collected on 10/17/2018. 135.0011/15/2018369772 UTILITY SYSTEMS107327 405.000000.018.534.20.41.000 PROFESSIONAL SERVICESWater bacteriological samples (2) collected on 10/16/2018. 315.0011/15/2018369772 UTILITY SYSTEMS107543 405.000000.018.534.20.41.010 WATER QUALITY TESTINGWater bacteriological samples (8) collected. 645.00Check 369772 Amount AM TEST INC Total $645.00 ANDYS TREE SERVICE - 005055 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,950.0011/15/2018369898 PW SHOPS17260 407.000000.019.531.35.41.000 PROFESSIONAL SERVICESFell 3 coonwood trees for Surface job on Snake hill. H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 3 of 125 data as of: 11/15/2018 3:21:36PM ANDYS TREE SERVICE - 005055 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,950.00Check 369898 Amount ANDYS TREE SERVICE Total $4,950.00 ANKENY, CHARLES - 005075 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 119.0911/15/2018369773 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 119.09Check 369773 Amount ANKENY, CHARLES Total $119.09 ANSWERLINE COMMUNICATIONS INC - 005085 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 130.3111/15/2018369899 TRANSPORTATION/AIRPORT180900000101 402.000000.016.546.20.41.000 PROFESSIONAL SERVICESAer hours answering service - tower 130.31Check 369899 Amount ANSWERLINE COMMUNICATIONS INC Total $130.31 APPLIED ECOLOGY LLC - 005221 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department -360.0011/15/2018369900 REVENUE/BALANCE SHEETPay Est #1 427.000000.000.223.40.00.000 RETAINAGE PAYABLESales Tax -720.0011/15/2018369900 REVENUE/BALANCE SHEETPay Est #1 427.000000.000.223.40.00.000 RETAINAGE PAYABLECAG-18-155, Cedar River Maintenance Dredge Project - Vegetaon Management Schedule A, EXP 03/30/2020. 3,600.0011/15/2018369900 UTILITY SYSTEMSPay Est #1 427.475185.018.531.35.41.000 ACOE 205 PROJECT PROF SERVICESSales Tax 360.0011/15/2018369900 UTILITY SYSTEMSPay Est #1 427.475185.018.531.35.41.000 ACOE 205 PROJECT PROF SERVICES 7,200.0011/15/2018369900 UTILITY SYSTEMSPay Est #1 427.475193.018.531.35.41.000 CEDAR RIVER GRAVEL REMOVAL PROF SERVICESCAG-18-155, Cedar River Maintenance Dredge Project - Vegetaon Management Schedule A, EXP 03/30/2020. 720.0011/15/2018369900 UTILITY SYSTEMSPay Est #1 427.475193.018.531.35.41.000 CEDAR RIVER GRAVEL REMOVAL PROF SERVICES 10,800.00Check 369900 Amount APPLIED ECOLOGY LLC Total $10,800.00 ASKREN, AMANDA - 006059 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 54.0811/15/2018369901 CED20181113 000.000000.007.558.63.43.001 TRAVELREIMBURSEMENT FOR TRAVEL/TACOMA CONFERENCE 54.08Check 369901 Amount ASKREN, AMANDA Total $54.08 ATTORNEY'S EAGLE EYE SVC INC - 006600 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 4 of 125 data as of: 11/15/2018 3:21:36PM ATTORNEY'S EAGLE EYE SVC INC - 006600 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 107.8011/15/2018369774 CITY ATTORNEY430-6480 RR98 000.000000.006.515.30.49.002 PUBLICATIONSNovember/December 2018, 2-month subscripon fee for legal resources and references. 107.80Check 369774 Amount ATTORNEY'S EAGLE EYE SVC INC Total $107.80 BAKER, MICAELA - 007450 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018369775 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 40.00Check 369775 Amount BAKER, MICAELA Total $40.00 BALLARD MARINE CONSTRUCTION - 007526 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department -28,985.5011/15/2018369776 REVENUE/BALANCE SHEETPay Est #2 426.000000.000.223.40.00.000 RETAINAGE PAYABLECAG-18-110, Kennydale Lakeline Sewer Improvement Project Phase 2, EXP 01/31/2019. 57,971.0011/15/2018369776 UTILITY SYSTEMSPay Est #2 426.465512.018.594.35.63.000 KENNYDALE LAKELINE SEWER SYSTEM EVALUATI 579,710.0011/15/2018369776 UTILITY SYSTEMSPay Est #2 426.465512.018.594.35.63.000 KENNYDALE LAKELINE SEWER SYSTEM EVALUATICAG-18-110, Kennydale Lakeline Sewer Improvement Project Phase 2, EXP 01/31/2019. 608,695.50Check 369776 Amount BALLARD MARINE CONSTRUCTION Total $608,695.50 BANKERS AUTO REBUILD & TOWING - 007620 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 311.8511/15/2018369902 POLICE100284 000.000000.008.521.70.41.000 PROFESSIONAL SERVICES-TOWINGto evidence case #18-12548 311.8511/15/2018369902 POLICE100289 000.000000.008.521.70.41.000 PROFESSIONAL SERVICES-TOWINGcase #18-11251 207.9011/15/2018369902 POLICE100298 000.000000.008.521.70.41.000 PROFESSIONAL SERVICES-TOWINGcase#18-13666 831.60Check 369902 Amount BANKERS AUTO REBUILD & TOWING Total $831.60 BAYLIS ARCHITECTS - 008187 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 12,756.2111/15/2018369777 PARKS ADMIN19708 346.220062.020.594.75.62.000 FAMILY FIRST CENTER2018 10 FAMILY FIRST CONSULTANT - Schemac 42 hrs, $6332.50. Civil Consultant (Couglin) $963.00, MEOF Consultant (Sider) $1187.70, Sustainable Consultant (ArchEcology) $4183.70, Reimburseable Exps $89.31 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 5 of 125 data as of: 11/15/2018 3:21:36PM BAYLIS ARCHITECTS - 008187 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 12,756.21Check 369777 Amount BAYLIS ARCHITECTS Total $12,756.21 BENEFIT ADMINISTRATION CO - 100007 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,863.4311/09/2018369753 REVENUE/BALANCE SHEETBen1810470 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSPLAN MEMBER SERVICES: Payment 5,083.4311/09/2018369753 REVENUE/BALANCE SHEETBen1810470 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSMERP PLAN MEMBER SERVICES: Payment 9,946.86Check 369753 Amount BENEFIT ADMINISTRATION CO Total $9,946.86 BENITA R HORN & ASSOCIATES - 009242 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 6,450.0011/15/2018369903 EXECUTIVE11-004 000.000000.003.513.10.41.003 CONTRACTED SERVICESBUILDING AN INCLUSIVE CITY & TECHNICAL ASSISTANCE - September 2018 2,962.5011/15/2018369903 EXECUTIVE11-005 000.000000.003.513.10.41.003 CONTRACTED SERVICESBUILDING AN INCLUSIVE CITY & TECHNICAL ASSISTANCE - October 2018 9,412.50Check 369903 Amount BENITA R HORN & ASSOCIATES Total $9,412.50 BERGER/ABAM ENGINEERS INC - 009258 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30,723.9811/15/2018369904 TRANSPORTATION/AIRPORT324457 317.122605.016.595.30.63.002 NE 31ST ST BRIDGE REPLACEMENT - CSNE 31st Street Bridge replacement~ CAG-17-074~ Peofessional services through September 30, 2018 30,723.98Check 369904 Amount BERGER/ABAM ENGINEERS INC Total $30,723.98 BERGMAN, CLAUDETTE - 009273 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 224.7411/15/2018369778 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 224.74Check 369778 Amount BERGMAN, CLAUDETTE Total $224.74 BERK CONSULTING INC - 009274 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,675.0011/15/2018369779 CED10331-09-18 000.000000.007.558.60.41.000 PROFESSIONAL SERVICESHI LANDS SHOPPING CENTER SITE PLAN REVIEW 4,262.5011/15/2018369779 CED10282-09-18 000.070234.007.558.60.41.000 PROFESSIONAL SERVICESCAG-18-046 SHORELINE MASTER PROGRAM UPDATE 2018 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 6 of 125 data as of: 11/15/2018 3:21:36PM BERK CONSULTING INC - 009274 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,412.6511/15/2018369779 CED10282-10-18 000.070234.007.558.60.41.000 PROFESSIONAL SERVICESCAG-18-046 SHORELINE MASTER PROGRAM UPDATE 2018 8,350.15Check 369779 Amount BERK CONSULTING INC Total $8,350.15 BETTS, BILL - 009481 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 59.9611/15/2018369905 PW SHOPSReim/FredMeyer 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESWork pants for Bill Bes per City mou - clothing allowance 59.96Check 369905 Amount BETTS, BILL Total $59.96 BLAKE PLUMBING INC - 010000 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,689.4511/15/2018369906 PARKS ADMIN1806332 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 RCC HOT WATER TANK REMOVAL AND INSTALL NEW - 50 GAL 1,689.45Check 369906 Amount BLAKE PLUMBING INC Total $1,689.45 BLUE SKY COMMUNICATIONS NW - 010237 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 6,000.0011/15/2018369907 PARKS ADMIN6R9.28.18 001.000000.020.573.90.41.000 PROFESSIONAL SERVICESSEPTEMBER 2018 MARKETING COMMUNICATIONS SUPPORT - COMMUNITY SERVICES DEPARTMENT 6,000.0011/15/2018369907 PARKS ADMIN7R10.31.18 001.000000.020.573.90.41.000 PROFESSIONAL SERVICESOCTOBER 2018 MARKETING COMMUNICATIONS SUPPORT - COMMUNITY SERVICES DEPARTMENT 12,000.00Check 369907 Amount BLUE SKY COMMUNICATIONS NW Total $12,000.00 BRADLEY BERKLAND HAGEN HERBST - 011181 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,000.0011/15/2018369780 EXECUTIVE21718 127.000000.003.571.10.41.000 CABLE TV - CONSULTANT EXPCable administraon - October 2018 1,000.00Check 369780 Amount BRADLEY BERKLAND HAGEN HERBST Total $1,000.00 BRECHT, BAILEY - 011263 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 175.0011/15/2018369908 PW SHOPSReim/WnM 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESReimbursement for work boots. - S/T 8" Quarry USA WP. Replacement 175.00Check 369908 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 7 of 125 data as of: 11/15/2018 3:21:36PM BRECHT, BAILEY Total $175.00 BRYANTS TRACTOR & MOWER INC - 011895 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,860.0111/15/2018369909 TRANSPORTATION/AIRPORT159221 402.000000.016.546.20.35.000 SMALL TOOLS/MINOR EQUIPMENTBillygoat Leaf Vacuum, 18hp, sn#080618053 3,860.01Check 369909 Amount BRYANTS TRACTOR & MOWER INC Total $3,860.01 BSN SPORTS INC - 012015 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 41.0911/15/2018369781 PARKS ADMIN903251852 001.250002.020.571.20.31.011 PROGRAM SUPPLIES-ATHLETICSYOUTH BBALL WHISTLE 3 DOZEN 1 X $9.95 569.8011/15/2018369781 PARKS ADMIN903369088 001.250002.020.571.20.31.011 PROGRAM SUPPLIES-ATHLETICSYOUTH TRACK T-SHIRTS 40 X $12.95 610.89Check 369781 Amount BSN SPORTS INC Total $610.89 BUD CLARY CHEV, OLDS, CAD INC - 012126 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department -216.8011/15/2018369910 PW SHOPS8226 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITAL$200 early pay discount plus tax 38,022.3611/15/2018369910 PW SHOPS8226 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITAL2018 Chevy Tahoe, B273 37,805.56Check 369910 Amount BUD CLARY CHEV, OLDS, CAD INC Total $37,805.56 BUNKER, RONI - 012153 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018369782 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 40.00Check 369782 Amount BUNKER, RONI Total $40.00 CAMBOIM, ELIVANIA DIAS - 113737 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 191.5511/15/2018369911 REVENUE/BALANCE SHEET030816/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 4413 NE 3rd LN, Final date: 10/12/18 191.55Check 369911 Amount CAMBOIM, ELIVANIA DIAS Total $191.55 CANBER CORPS - 013391 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 8 of 125 data as of: 11/15/2018 3:21:36PM CANBER CORPS - 013391 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 17,786.7611/15/2018369912 PARKS ADMIN36745 001.000000.020.576.81.48.003 MAINTENANCEPKS: CAG-16-078 (OCT 2018) CANBER CORPS/ PROVIDE LANDSCAPE MAINTENANCE SERVICES TO CITY OWNED SITES (SITES # 1 thru 48)~ THREE YEAR CONTRACT (MAY 4, 2016 TO DEC. 31, 2018)~ SERVICE COMPLETED 10/31/2018.~ SITE 46: LOGAN AVE N FRONTAGE CHARGED TO PUBLIC WORKS ACCT FOR 1 YR PERIOD - beginning Sept. 2016 (James Wilhoit provided Acct #)~ (Sept. 2017 Service - Payments resumed by PPNR; one year period completed)~ SITE 47: DUVALL AVE NE BLVD /PUBLIC WORKS TO TRANSFER FUNDS TO CS ACCT FOR 2017 FOR 10 MONTHS; JAN THRU OCT. PW paying for 1 year period beginning Nov. 2016 (Flora Lee/Juliana Fries).~ SITE 50: SUNSET LANE-Public Works (Keith Woolley provided Acct #) to pay landscape maint services for 1 year period beginning July 2018. 473.0011/15/2018369912 TRANSPORTATION/AIRPORT36744 317.122122.016.595.30.63.001 SUNSET LANE - CONSTRUCTIONPKS: (CAG-16-078) SITE 50: SUNSET LANE LANDSCAPE MAINTENANCE~ (OCT 2018) CANBER CORPS/ PROVIDE LANDSCAPE MAINTENANCE SERVICES TO CITY OWNED SITES (SITES # 1 thru 48)~ THREE YEAR CONTRACT (MAY 4, 2016 TO DEC. 31, 2018)~ SERVICE COMPLETED 10/31/2018~ SITE 50: Sunset Lane and NE 10th Street Frontages charged to PUBLIC WORKS ACCT. FOR 1 YR PERIOD - (Keith Woolley provided Acct #) 18,259.76Check 369912 Amount CANBER CORPS Total $18,259.76 CANZANO, MICHELLE - 013398 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 20.0011/15/2018369783 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 20.00Check 369783 Amount CANZANO, MICHELLE Total $20.00 CARLAYNA PITZER - 013788 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 9 of 125 data as of: 11/15/2018 3:21:36PM CARLAYNA PITZER - 013788 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 850.0011/15/2018369913 CED1 000.000000.007.558.60.41.000 PROFESSIONAL SERVICESDESIGN FOR ARTWORK TO BE USED FOR UTILITY BOX WRAPS 850.00Check 369913 Amount CARLAYNA PITZER Total $850.00 CASCADE SIGNAL CORPORATION - 014275 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 568.4311/15/2018369914 TRANSPORTATION/AIRPORT4319 003.000000.016.542.95.31.010 SIGNAL SUPPLIES20x RENO FL 200 568.43Check 369914 Amount CASCADE SIGNAL CORPORATION Total $568.43 CAYCE & GROVE PS - 014385 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 31,588.0011/15/2018369784 EXECUTIVEcayce1018 000.000000.003.512.50.41.010 COURT PUBLIC DEFENDERSPublic defense services 31,588.00Check 369784 Amount CAYCE & GROVE PS Total $31,588.00 CENTRAL WELDING SUPPLY CO INC - 014525 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 144.6211/15/2018369915 PW SHOPSRN09181021 501.000000.019.548.60.45.000 OPERATING RENTALSCylinder rental for the shops. 144.62Check 369915 Amount CENTRAL WELDING SUPPLY CO INC Total $144.62 CENTURYLINK - 065185 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 444.4211/15/2018369916 FINANCE & IT425-430-6400 503.000000.004.518.82.42.003 TELEPHONE425-430-6400 Enterprise Long Distance 444.42Check 369916 Amount 57.6811/15/2018369917 FINANCE & IT206-T22-7980 503.000000.004.518.82.42.003 TELEPHONE206-T22-7980 431.1111/15/2018369917 FINANCE & IT206-T31-6929 503.000000.004.518.82.42.003 TELEPHONE206-T31-6929 57.6811/15/2018369917 FINANCE & IT206-T41-3756 503.000000.004.518.82.42.003 TELEPHONE206-T41-3756 225.4811/15/2018369917 FINANCE & IT425-226-2220 503.000000.004.518.82.42.003 TELEPHONE425-226-2220 93.1011/15/2018369917 FINANCE & IT425-228-6008 503.000000.004.518.82.42.003 TELEPHONE425-228-6008 396.4711/15/2018369917 FINANCE & IT425-430-9299 503.000000.004.518.82.42.003 TELEPHONE425-430-9299 54.7111/15/2018369917 FINANCE & IT425-793-6059 503.000000.004.518.82.42.003 TELEPHONE425-793-6059 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 10 of 125 data as of: 11/15/2018 3:21:36PM CENTURYLINK - 065185 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,316.23Check 369917 Amount CENTURYLINK Total $1,760.65 CERTIFIED LABORATORIES - 014855 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 123.6411/15/2018369918 TRANSPORTATION/AIRPORT23307479 402.000000.016.546.20.31.000 SHOP/OFFICE - OPERATING SUPPLIESEquipment supplies - silicone grease and lube 123.64Check 369918 Amount CERTIFIED LABORATORIES Total $123.64 CESSCO INC - 014854 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 439.9011/15/2018369919 PW SHOPS9668 003.000000.019.542.92.31.012 REPAIR AND MAINTENANCE SUPPLIESReplacement parts for Streets Mikasa compactor and spray bar. 351.8911/15/2018369919 PW SHOPS9658 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIES16" Ducle iron blades for Pat's TS-800 791.79Check 369919 Amount CESSCO INC Total $791.79 CHAPTER 13 TRUSTEE - 100059 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 462.5011/09/2018369754 REVENUE/BALANCE SHEETBen1810478 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSCHAPTER 13 TRUSTEE #3: Payment 462.50Check 369754 Amount CHAPTER 13 TRUSTEE Total $462.50 CHARBONNEAU, CHARLES - 015001 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 20.0011/15/2018369785 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 20.00Check 369785 Amount CHARBONNEAU, CHARLES Total $20.00 CHEM AQUA INC. - 015056 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 653.4611/15/2018369920 PARKS ADMIN3315955 108.220047.020.518.21.48.000 REPAIRS & MAINTENANCE-PAVILION BUILDINGFAC 10 PAVILION WATER TREATMENT PROGRAM 653.46Check 369920 Amount CHEM AQUA INC. Total $653.46 CHIN, SUSAN - 113738 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 11 of 125 data as of: 11/15/2018 3:21:36PM CHIN, SUSAN - 113738 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 400.0111/15/2018369921 REVENUE/BALANCE SHEET002628/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 2920 NE 8th ST, Final date: 10/16/18 265.6311/15/2018369921 REVENUE/BALANCE SHEET002629/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 2916 NE 8th ST, Final date: 10/16/18 665.64Check 369921 Amount CHIN, SUSAN Total $665.64 CHRISTENSON, CHUCK - 015389 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 269.8711/15/2018369786 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 269.87Check 369786 Amount CHRISTENSON, CHUCK Total $269.87 CINTAS CORPORATION #460 - 015563 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 34.5011/15/2018369922 TRANSPORTATION/AIRPORT460491960 003.000000.016.542.95.31.000 OFFICE/OPERATING SUPPLIESJAMES GARFIELD - clothing allowance per mou~ LOGOWEAR UNIFORM 240.0411/15/2018369922 PW SHOPS460491952 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESWork clothes for Bill Bes per City MOU - clothing allowance 153.1411/15/2018369922 PW SHOPS460491953 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESWork clothes for Chris Wood per City MOU - clothing allowance 465.8711/15/2018369922 PW SHOPS460491956 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESCity jackets for Street Dept. Randy W, Danny H, Jayson G, Bre B, Dylan T, Chris W, John K. 178.8811/15/2018369922 PW SHOPS460491951 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWork clothes for Jojo McCann per City MOU - clothing allowance 259.0711/15/2018369922 PW SHOPS460491955 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESJackets for Colton W, Lucas B, Danny H, Jojo M, Emil G per city mou. 179.0411/15/2018369922 PW SHOPS460491957 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESCity work clothes for Todd Hamblin per city mou - clothing allowance 229.4211/15/2018369922 PW SHOPS460491958 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWork clothes for Mark Dalan per City MOU - clothing allowance 100.6911/15/2018369922 PW SHOPS460491959 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWork clothes for Sean Campbell per city mou - clothing allowance 33.4611/15/2018369922 PW SHOPS460491961 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWork clothes for Jojo McCann per city MOU - clothing allowance H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 12 of 125 data as of: 11/15/2018 3:21:36PM CINTAS CORPORATION #460 - 015563 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 20.4811/15/2018369922 PW SHOPS460491962 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWork clothes for Gregg Seegmiller per city mou - clothing allowance 139.1211/15/2018369922 PW SHOPS460491954 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESCity jackets for Waste water crew, Reed P, Roger R. 22.5611/15/2018369922 PW SHOPS4011877329 407.000000.019.531.35.49.007 LAUNDRYLaundry/uniforms/coveralls, scrub, mops, towels, for Garage and Surface Water. 22.5611/15/2018369922 PW SHOPS460491965 407.000000.019.531.35.49.007 LAUNDRYLaundry/coveralls/uniforms, scrub, soap, mops and towels for Garage and Surface water. 84.5211/15/2018369922 PW SHOPS460491955 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESJackets for Colton W, Lucas B, Danny H, Jojo M, Emil G per city mou. 389.1711/15/2018369922 PW SHOPS4011877329 501.000000.019.548.60.49.007 LAUNDRYLaundry/uniforms/coveralls, scrub, mops, towels, for Garage and Surface Water. 389.1711/15/2018369922 PW SHOPS460491965 501.000000.019.548.60.49.007 LAUNDRYLaundry/coveralls/uniforms, scrub, soap, mops and towels for Garage and Surface water. 2,941.69Check 369922 Amount CINTAS CORPORATION #460 Total $2,941.69 CITY OF RENTON - 015940 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 300.0011/15/2018369923 REVENUE/BALANCE SHEETPC/CSspecialEvents 001.000000.000.111.70.00.000 PETTY CASHPey cash set up for CS's Special Events division for events around the City. 13.9911/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.31.011 PROGRAM SUPPLIES-SPECIALIZED RECREATIONDinner for Spec Rec Trip - Kerri Keenan 14.6511/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.31.011 PROGRAM SUPPLIES-SPECIALIZED RECREATIONLunch for Spec Rec Trip - Mary-Beth Clore 15.0011/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.31.011 PROGRAM SUPPLIES-SPECIALIZED RECREATIONDinner for Spec Rec Trip - Kerri Keenan 15.0011/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.31.011 PROGRAM SUPPLIES-SPECIALIZED RECREATIONDinner for Spec Rec Trip - Melanie Thompson 15.0011/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.31.011 PROGRAM SUPPLIES-SPECIALIZED RECREATIONDinner for Spec Rec Trip - Melanie Thompson 6.8811/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.31.011 PROGRAM SUPPLIES-SPECIALIZED RECREATIONLunch for Spec Rec Trip - Mary-Beth Clore H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 13 of 125 data as of: 11/15/2018 3:21:36PM CITY OF RENTON - 015940 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 9.1511/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.31.011 PROGRAM SUPPLIES-SPECIALIZED RECREATIONLunch for Spec Rec Trip - Melanie Thompson 15.0011/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.49.009 ADMISSIONSAdmisson for Spec Rec Trip - Melanie Thompson 6.0011/15/2018369923 PARKS ADMINpc/senior ctr 001.000000.020.571.20.49.009 ADMISSIONSTicket for Lightrail on Spec Rec Trip - Melanie Thompson 7.6711/15/2018369923 PW SHOPSPC/Shops 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIES8" In Take -Airght used for AC repair at Well 8 418.34Check 369923 Amount CITY OF RENTON Total $418.34 CITY OF RENTON - PSERS - 100018 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,863.5911/09/20185930 REVENUE/BALANCE SHEETBen1810496 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSPSERS: Payment 1,863.59Check 5930 Amount CITY OF RENTON - PSERS Total $1,863.59 CITY OF RENTON FWT - 015945 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 224,835.2011/09/20185926 REVENUE/BALANCE SHEETBen1810488 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSFEDERAL WITHHOLDING TAXES: Payment 224,835.20Check 5926 Amount CITY OF RENTON FWT Total $224,835.20 CITY OF RENTON LEOFF II - 044102 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 86,506.1511/09/20185929 REVENUE/BALANCE SHEETBen1810494 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSLEOFF II POLICE: Payment 86,506.15Check 5929 Amount CITY OF RENTON LEOFF II Total $86,506.15 CITY OF RENTON PERS 1 - 058841 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 646.6311/09/20185933 REVENUE/BALANCE SHEETBen1810502 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSPERS I: Payment 646.63Check 5933 Amount CITY OF RENTON PERS 1 Total $646.63 CITY OF RENTON PERS 3 - 058843 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 51,163.8111/09/20185931 REVENUE/BALANCE SHEETBen1810498 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSPERS 3: Payment H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 14 of 125 data as of: 11/15/2018 3:21:36PM CITY OF RENTON PERS 3 - 058843 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 51,163.81Check 5931 Amount 58.1511/15/2018369924 REVENUE/BALANCE SHEET110218 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSPERS3 - Online Payment Made 11/2/18 58.15Check 369924 Amount CITY OF RENTON PERS 3 Total $51,221.96 CITY OF RENTON PERS II - 058842 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 259,881.0611/09/20185927 REVENUE/BALANCE SHEETBen1810490 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSPERS II: Payment 259,881.06Check 5927 Amount CITY OF RENTON PERS II Total $259,881.06 CITY OF RENTON PERS JBM 11 - 058839 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,121.2611/09/20185934 REVENUE/BALANCE SHEETBen1810504 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSPERS JBM 11: Payment 2,121.26Check 5934 Amount CITY OF RENTON PERS JBM 11 Total $2,121.26 CITY OF RENTON, OASDI & MEDICARE - 100027 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 251,712.1411/09/20185925 REVENUE/BALANCE SHEETBen1810486 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSSoc Sec: Payment 63,522.4611/09/20185925 REVENUE/BALANCE SHEETBen1810486 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSMEDICARE: Payment 315,234.60Check 5925 Amount CITY OF RENTON, OASDI & MEDICARE Total $315,234.60 CITY OF SEATTLE - 072270 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 6,465.0511/15/2018369925 PW SHOPS6345850000 405.000000.019.534.50.47.002 WATERWater bill for Logan Ave/2nd for innere. 1,667.8011/15/2018369925 PW SHOPS7345850000 405.000000.019.534.50.47.002 WATERWater bill for Logan ave/2nd, innere. 11,144.0011/15/2018369925 UTILITY SYSTEMS4779850000 405.459201.018.534.20.41.000 WATER CONSERVATION PROF SVCSWater Purveyor Conservaon Block Charges, per 50 year Paral Requirements Contract. 19,276.85Check 369925 Amount CITY OF SEATTLE Total $19,276.85 CITY OF SEATTLE - DEPT FINANCE - 072271 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 15 of 125 data as of: 11/15/2018 3:21:36PM CITY OF SEATTLE - DEPT FINANCE - 072271 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 143.0711/15/2018369926 TRANSPORTATION/AIRPORT5570430000 003.000000.016.542.93.47.001 ELECTRICITY13901 Monster Rd S~ October 2, 2018- October 31,2018 143.07Check 369926 Amount CITY OF SEATTLE - DEPT FINANCE Total $143.07 CLEAN HARBORS ENVIRONMENTAL - 016206 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,627.5211/15/2018369787 UTILITY SYSTEMS1002545918 403.000000.018.537.60.41.011 LHWMP GRANT PROGRAMPackaging, Transportaon, and Disposal of anfreeze (110 gallons), petroleum oils (440 gallons), and oil filters (55DM) for Fall Recycle Event on 9/15/18. 2,627.52Check 369787 Amount CLEAN HARBORS ENVIRONMENTAL Total $2,627.52 CODE PUBLISHING COMPANY - 016493 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 606.7511/15/2018369788 CITY CLERK61540 000.000000.012.514.21.49.011 CODIFICATIONSWeb Updates - Sept 2018 - Inv #61540 606.75Check 369788 Amount CODE PUBLISHING COMPANY Total $606.75 COLLECTIONS SERVICES CENTER - 016556 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 298.0011/09/2018369755 REVENUE/BALANCE SHEETBen1810480 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSIowa Child Support: Payment 298.00Check 369755 Amount COLLECTIONS SERVICES CENTER Total $298.00 COMBS, MARK - 016967 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 84.0011/15/2018369927 PW SHOPSReim/GRCC 405.000000.019.534.50.49.008 LICENSES & PERMITSWater works renewal and BAT renewal. 84.00Check 369927 Amount COMBS, MARK Total $84.00 COMPLETE OFFICE - 017678 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 34.1011/15/2018369789 PARKS ADMIN1761330-0 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESFAC 10 CUSTODIAL SUPPLIES - TOILET BOWL CLEANER 22.3111/15/2018369789 PARKS ADMIN1762690-0 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESFAC 11 CITY CUSTODIAL SUPPLIES - SHARPS CONTAINERS - 12 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 16 of 125 data as of: 11/15/2018 3:21:36PM COMPLETE OFFICE - 017678 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 980.7611/15/2018369789 PARKS ADMIN1762988-0 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESFAC 11 CITY CUSTODIAL SUPPLIES - LINERS 40x46; 33 gal liners 1,037.17Check 369789 Amount COMPLETE OFFICE Total $1,037.17 CONSOLIDATED ELECTRICAL DIST - 018018 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 957.8811/15/2018369928 PARKS ADMIN8073-565241 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESFAC 10 CITY SUPPLY OF LAMPS/BULBS - ~ OCTRON LAMP 21779~ 21878 86.2411/15/2018369928 PARKS ADMIN8073-565242 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESFAC 10 CITY STOCK OF LAMPS/BULBS - LAMP 21878~ PRIMARILY FOR MAPLEWOOD GC 1,044.12Check 369928 Amount CONSOLIDATED ELECTRICAL DIST Total $1,044.12 CONSOLIDATED PRESS PRINTING CO, INC - 018024 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,080.2311/15/2018369929 PARKS ADMIN22093 001.000000.020.569.73.49.002 PUBLICATIONSOct-Dec Golden Oppurtunies brochure 2,080.23Check 369929 Amount CONSOLIDATED PRESS PRINTING CO, INC Total $2,080.23 CORE & MAIN LP - 031909 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 70.3311/15/2018369930 PW SHOPSJ728679 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESRepair saddle for Renton Hill. 70.33Check 369930 Amount CORE & MAIN LP Total $70.33 COSCO FIRE PROTECTION INC - 018505 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,913.7111/15/2018369931 PARKS ADMIN1000413506 108.220047.020.518.21.48.000 REPAIRS & MAINTENANCE-PAVILION BUILDINGFAC 10 PAVILION FIRE SPRINKLER TAMPER SWITCH REPLACEMENT. MODULE IS BAD AND WILL TO BE REPAIRED BY ALARM TECH 6,424.0011/15/2018369931 PARKS ADMIN1000413696 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 FS12 FIRE SPRINKLER DEF REPAIR - REPLACE 2 DRY PENDENTS AND 14 DRY SIDEWALLS 838.6711/15/2018369931 PARKS ADMIN1000413734 504.000000.020.518.22.48.000 REPAIRS & MAINTENANCEFAC 10 CITY HALL FIRE ALARM SERVICE CALL - 12,176.38Check 369931 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 17 of 125 data as of: 11/15/2018 3:21:36PM COSCO FIRE PROTECTION INC Total $12,176.38 CREATIVE FUEL STUDIOS - 018968 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,033.7511/15/2018369790 EXECUTIVE2085 505.000000.003.513.11.41.003 CONTRACTED SERVICESGraphic design services - October 2018 3,033.75Check 369790 Amount CREATIVE FUEL STUDIOS Total $3,033.75 CROASDELL, JULIE OR ANDREW - 100499 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 48.7611/15/2018369932 REVENUE/BALANCE SHEET035372/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 10348 SE 187th PL, Final date: 8/17/18 48.76Check 369932 Amount CROASDELL, JULIE OR ANDREW Total $48.76 CUES - 019285 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,044.1611/15/2018369933 PW SHOPS519396 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESParts and kits for Waste Water camera. 1,531.2411/15/2018369933 PW SHOPS519432 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESParts for Waste Water camera. 2,575.40Check 369933 Amount CUES Total $2,575.40 DAILY JOURNAL OF COMMERCE - 072200 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 381.8011/15/2018369934 TRANSPORTATION/AIRPORT3341257 402.000000.016.546.20.44.000 ADVERTISINGPublicaon of Request for Qualificaons for Lease Appraisal Services 381.80Check 369934 Amount DAILY JOURNAL OF COMMERCE Total $381.80 DAIZY LOGIK LLC - 019812 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 10,286.2511/15/2018369791 FINANCE & ITCR2018-10 503.540004.004.518.82.41.000 ASD SYSTEMS - PROFESSIONAL SERVICESB&O Praxis Implementaon and work extension 30.25Hrs @ $195/hr. Contract Hours: 957, Actual Hours: 729.75, Remaining Hours: 227.25. 10,286.25Check 369791 Amount DAIZY LOGIK LLC Total $10,286.25 DAVEY RESOURCE GROUP INC - 020112 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 18 of 125 data as of: 11/15/2018 3:21:36PM DAVEY RESOURCE GROUP INC - 020112 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,773.0011/15/2018369792 CED75798 000.000000.007.524.60.41.000 PROFESSIONAL SERVICES(CAG-18-013) CONTRACTED CERTIFIED ARBORIST INSPECTOR - ASSISTING WITH URBAN FORESTRY PROGRAM WITHIN THE COMMUNITY SERVICES DEPT.~ Invoice # 75798 dated 11/5/2018; Week Ending Date:~ 10/5/2018 40.0 hrs @ $64.50/hr = $2,580.00;~ 10/12/2018 - 38.50 hrs @ $64.50/hr = $2,483.25;~ 10/19/2018 - 37.50 hrs @ $64.50/hr = $2,418.75;~ 10/26/2018 - 32.0 hrs @ $64.50/hr = $2,064.00.~ ~ Split Accounts: 001.000000.020.576.81.41.003 (50% CS)~ 000.000000.007.524.60.41.000 (50% CED 4,773.0011/15/2018369792 PARKS ADMIN75798 001.000000.020.576.81.41.003 CONTRACTED SERVICES(CAG-18-013) CONTRACTED CERTIFIED ARBORIST INSPECTOR - ASSISTING WITH URBAN FORESTRY PROGRAM WITHIN THE COMMUNITY SERVICES DEPT.~ Invoice # 75798 dated 11/5/2018; Week Ending Date:~ 10/5/2018 40.0 hrs @ $64.50/hr = $2,580.00;~ 10/12/2018 - 38.50 hrs @ $64.50/hr = $2,483.25;~ 10/19/2018 - 37.50 hrs @ $64.50/hr = $2,418.75;~ 10/26/2018 - 32.0 hrs @ $64.50/hr = $2,064.00.~ ~ Split Accounts: 001.000000.020.576.81.41.003 (50% CS)~ 000.000000.007.524.60.41.000 (50% CED 9,546.00Check 369792 Amount DAVEY RESOURCE GROUP INC Total $9,546.00 DAVIS DOOR SERVICE INC - 020255 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,236.3611/15/2018369793 PARKS ADMIN231047 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 FS17 S.SIDE CENTER DOOR MOTOR 2,236.36Check 369793 Amount DAVIS DOOR SERVICE INC Total $2,236.36 DAY, MELISSA - 020402 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 19 of 125 data as of: 11/15/2018 3:21:36PM DAY, MELISSA - 020402 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 88.0211/15/2018369935 HUMAN RESOURCESCforEDay 000.000000.014.518.10.31.010 EMPLOYEE RECOGNITIONReimbursement for items purchased for Jackie Thomas's rerement celebraon 88.02Check 369935 Amount DAY, MELISSA Total $88.02 DELIVERY EXPRESS INC - 020562 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 26.2411/15/2018369936 CED249106 000.000000.007.558.51.49.003 LEGAL/ RECORDING FEES/ PERMITSCourier Services (LUA14-000708) - Inv#249106 26.24Check 369936 Amount DELIVERY EXPRESS INC Total $26.24 DEPARTMENT OF LICENSING - 089227 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,962.0011/01/201810088 REVENUE/BALANCE SHEETCPL000000110118 000.000000.000.237.03.00.000 CONCEALED WEAPONS-DOLDOL- CPL's aug/sept 1,962.00Check 10088 Amount DEPARTMENT OF LICENSING Total $1,962.00 DEPARTMENT OF TRANSPORTATION - 089302 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,432.2311/15/2018369937 TRANSPORTATION/AIRPORTRE313ATB81015117 317.122605.016.595.30.63.002 NE 31ST ST BRIDGE REPLACEMENT - CSNE 32st St Bridge ~ Inspecon~ 09/01/2018-09/30/2018 4,432.23Check 369937 Amount DEPARTMENT OF TRANSPORTATION Total $4,432.23 DEPT OF LABOR & INDUSTRIES - 089725 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 58,816.2311/15/2018369938 HUMAN RESOURCES700,352-00-8 502.000000.014.517.60.41.013 WORKERS' COMP ADMIN FEES-WA ST QUARTERLY2018 Q3 - QTRLY Report for Self-Insured business 58,816.23Check 369938 Amount DEPT OF LABOR & INDUSTRIES Total $58,816.23 DT MARSHALL COMPANY - 022328 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,310.0011/15/2018369939 EXECUTIVE16501A 505.000000.003.518.70.49.000 PRINTING CONTRACTRenton City News prinng 2,310.00Check 369939 Amount DT MARSHALL COMPANY Total $2,310.00 DUNBAR ARMORED INC - 022494 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 20 of 125 data as of: 11/15/2018 3:21:36PM DUNBAR ARMORED INC - 022494 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,607.9611/15/2018369794 FINANCE & IT4275507 000.000000.004.514.20.41.000 PROFESSIONAL SERVICESArmored Car Services 1,605.2111/15/2018369794 FINANCE & IT4293545 000.000000.004.514.20.41.000 PROFESSIONAL SERVICESArmored Car Services 3,213.17Check 369794 Amount DUNBAR ARMORED INC Total $3,213.17 EAGLE PEST ELIMINATORS INC - 022810 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 423.5011/15/2018369795 PARKS ADMIN192895 108.220046.020.518.21.48.000 REPAIRS & MAINTENANCE-PARKING GARAGEFAC 10 PARK & RIDE EXTERIOR PEST CONTROL - INSTALLED 6 BAIT TRAPS TO ELIMINATE RODENT ACTIVITY 93.5011/15/2018369795 PARKS ADMIN192881 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 NORTH HIGHLANDS COMM CTR PEST CONTROL FOR OCT 99.0011/15/2018369795 PARKS ADMIN192885 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 RCC PEST CONTROL FOR OCTOBER 616.00Check 369795 Amount EAGLE PEST ELIMINATORS INC Total $616.00 EASTSIDE DREAM ELITE LLC - 022980 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,507.8011/15/2018369796 PARKS ADMINEDE9/24-10/29 001.250006.020.571.20.41.003 CONTRACTED SERVICES-GEN PROGRAMSDREAM TEAM CHEER SQUAD #62104 CHEERLEADING STUNT CLASS #62109 FALL 2018 1,507.80Check 369796 Amount EASTSIDE DREAM ELITE LLC Total $1,507.80 EDGERTON, AUDREY - 023178 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369797 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369797 Amount EDGERTON, AUDREY Total $30.00 ELTEC SYSTEMS - 023705 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 495.0011/15/2018369940 PARKS ADMIN96371 504.000000.020.518.22.48.000 REPAIRS & MAINTENANCEFAC 11 ELEV SERVICE AGREEMENT - NOVEMBER INSTALLMENT 495.00Check 369940 Amount ELTEC SYSTEMS Total $495.00 EMERGENCY FEEDING PROGRAM - 023956 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 21 of 125 data as of: 11/15/2018 3:21:36PM EMERGENCY FEEDING PROGRAM - 023956 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,500.0011/15/2018369798 PARKS ADMIN2018Q3EFP 000.000000.020.565.10.41.003 CONTRACTED SERVICES2018 3QTR HUMAN SERVICES AGENCY REIMBURSEMENT REQUEST - Emergency Feeding Program 3,500.00Check 369798 Amount EMERGENCY FEEDING PROGRAM Total $3,500.00 EMPLOYMENT SECURITY - 023981 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 428.3111/09/2018369756 REVENUE/BALANCE SHEETBen1810482 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSEmployment Security - SEA: Payment 428.31Check 369756 Amount EMPLOYMENT SECURITY Total $428.31 EN POINTE TECHNOLOGIES SALES, LLC - 024305 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 94.0911/15/2018369941 FINANCE & IT900095848 503.540000.004.518.82.35.000 ENTERPRISE SYSTEMS - MINOR1ea. Adobe Acrobat Pro DC for PW: Ulies workcenter 94.09Check 369941 Amount EN POINTE TECHNOLOGIES SALES, LLC Total $94.09 ENGLAND, MARILYNE - 024207 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018369942 CITY CLERKM. England/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 40.00Check 369942 Amount ENGLAND, MARILYNE Total $40.00 ERB, RONALD - 024404 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018369799 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 40.00Check 369799 Amount ERB, RONALD Total $40.00 ERGOFIT CONSULTING INC - 024418 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 360.0011/15/2018369800 PARKS ADMIN2018-429 504.000000.020.518.23.35.011 FURNITURE-ERGONOMICSFAC 10 ERGO EVAL FOR STEPHANIE HYNES IN PD - EXPERIENCING PAIN 360.00Check 369800 Amount ERGOFIT CONSULTING INC Total $360.00 ESTATE OF JOHN W CRESTANELLO - 113724 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 22 of 125 data as of: 11/15/2018 3:21:36PM ESTATE OF JOHN W CRESTANELLO - 113724 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 360.9811/15/2018369943 REVENUE/BALANCE SHEET001646/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 404 Grandey Way Ne, Final date: 9/28/18 360.98Check 369943 Amount ESTATE OF JOHN W CRESTANELLO Total $360.98 ESTATE OF WILLIAM MAAS - 101009 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 390.2711/15/2018369944 REVENUE/BALANCE SHEET013850/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 9847 124th Ave Se, Final date: 10/12/18 390.27Check 369944 Amount ESTATE OF WILLIAM MAAS Total $390.27 FAIN, LAWRENCE - 025454 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 50.0011/15/2018369801 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 50.00Check 369801 Amount FAIN, LAWRENCE Total $50.00 FEDERAL EXPRESS CORP - 025780 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 9.1211/15/2018369945 POLICE6-350-45054 000.000000.008.521.10.42.001 POSTAGETransportaon charges for YAKIMA PD EVIDENCE. Tracking ID #83094475086 35.2811/15/2018369945 POLICE6-350-45054 000.000000.008.521.22.42.001 POSTAGETransportaon charges for WASPC COS. Tracking ID #773447582523 35.2811/15/2018369945 POLICE6-350-45054 000.000000.008.521.22.42.001 POSTAGETransportaon charges for WASPC COS. Tracking ID #773447582990 35.2811/15/2018369945 POLICE6-350-45054 000.000000.008.521.22.42.001 POSTAGETransportaon charges for WASPC COS. Tracking ID #773447582913 35.2811/15/2018369945 POLICE6-350-45054 000.000000.008.521.22.42.001 POSTAGETransportaon charges for WASPC COS. Tracking ID #773447582898 35.2811/15/2018369945 POLICE6-350-45054 000.000000.008.521.22.42.001 POSTAGETransportaon charges for WASPC COS. Tracking ID #773447582626 35.2811/15/2018369945 POLICE6-350-45054 000.000000.008.521.22.42.001 POSTAGETransportaon charges for WASPC COS. Tracking ID #773447582810 220.80Check 369945 Amount FEDERAL EXPRESS CORP Total $220.80 FERGUSON ENTERPRISES INC - 025811 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 23 of 125 data as of: 11/15/2018 3:21:36PM FERGUSON ENTERPRISES INC - 025811 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 9,771.0111/15/2018369946 PW SHOPS0712001 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIES5/8" water meter registers, 520M ID mushrooms and 100 TRPL housing for meter lids. 2,612.5011/15/2018369946 PW SHOPS0713149 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIES100 520M water lid housing for AMR 12,383.51Check 369946 Amount FERGUSON ENTERPRISES INC Total $12,383.51 FLORATINE NORTHWEST INC - 026711 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 545.6011/15/2018369947 PARKS ADMIN4769 404.000000.020.576.65.31.005 CHEMICALSGC: COURSE SUPPLIES / PERVADE 1x2.5 GAL - CHEMICALS 545.60Check 369947 Amount FLORATINE NORTHWEST INC Total $545.60 FORMA CONSTRUCTION - 009439 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,316.3311/15/2018369802 PARKS ADMINJOC-02-035/PE2,Final 316.332009.020.576.81.48.000 PATHWAYS - REPAIRS & MAINTENANCESales Tax 33,163.2711/15/2018369802 PARKS ADMINJOC-02-035/PE2,Final 316.332009.020.576.81.48.000 PATHWAYS - REPAIRS & MAINTENANCEJOC-02-035, ASPHALT PATHWAY REPAIRS - 4 LOCATIONS, Renton, WA~ (1) Springbrook Trail Black River; (2) Springbrook Trail SW 27trh Street (South Locaon Only); (3) Springbrook Trail 34th Street (cul-de-sac staging); and (4) Ripley Lane Trail (VMAC). CO #1-18 two addional secons added to original scope due to unforseen, addional root heaving of pathways - Ripley Lane Trail and Springbrook Trail 34th/39th Street.~ For Period 8/1/2018 to 8/31/2018. 36,479.60Check 369802 Amount FORMA CONSTRUCTION Total $36,479.60 FREEBORN LAW OFFICES PS - 027467 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 100.0011/15/2018369948 EXECUTIVEfreeborn103118 000.000000.003.512.50.41.010 COURT PUBLIC DEFENDERSPublic defense services 100.00Check 369948 Amount FREEBORN LAW OFFICES PS Total $100.00 FREEMAN, TRENT OR SHERYL - 113739 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 14.9611/15/2018369949 UTILITY SYSTEMS050272/Refund 406.000000.018.343.50.00.000 WASTEWATER COLLECTIONS (CITY)Ulity credit - Final date: 8/16/18 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 24 of 125 data as of: 11/15/2018 3:21:36PM FREEMAN, TRENT OR SHERYL - 113739 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 12.3411/15/2018369949 UTILITY SYSTEMS050272/Refund 407.000000.018.343.10.01.000 SURFACE WATER DRAINAGE FEES & CHARGESUlity credit - Final date: 8/16/18 66.3311/15/2018369949 UTILITY SYSTEMS050272/Refund 416.000000.018.343.50.00.000 METRO REVENUEUlity credit - Final date: 8/16/18 93.63Check 369949 Amount FREEMAN, TRENT OR SHERYL Total $93.63 FRELOT, PENELOPE - 027465 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 60.0011/15/2018369950 CITY CLERKP. Frelot/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 60.00Check 369950 Amount FRELOT, PENELOPE Total $60.00 FRONTDOOR BACK LLC - 027495 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 750.0011/15/2018369803 CED17391 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEFRONTDOOR BACK, LLC / DESIGN & CONSULTATION SUPPORT FOR DOWNTOWN RENTON (Jessie K.) 750.00Check 369803 Amount FRONTDOOR BACK LLC Total $750.00 GALLEGOS, REBECCA - 028325 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369951 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369951 Amount GALLEGOS, REBECCA Total $30.00 GARY MERLINO CONST CO - 048830 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 493,163.5911/15/2018369952 TRANSPORTATION/AIRPORTPay Est #2 317.122108.016.595.30.63.001 STREET OVERLAY PGM - CONSTRUCTION2018 Street Patch and Overlay with Curb Ramps Project / Sales tax rule 171 applies, has retainage bond. 493,163.59Check 369952 Amount GARY MERLINO CONST CO Total $493,163.59 GATEWAY PET MEMORIAL - 070011 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 26.0511/15/2018369953 POLICEWA80514I0014 000.000000.008.554.30.41.003 CONTRACTED SERVICESroad kill for October 26.05Check 369953 Amount GATEWAY PET MEMORIAL Total $26.05 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 25 of 125 data as of: 11/15/2018 3:21:36PM GEE, PAUL - 028834 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018369804 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 40.00Check 369804 Amount GEE, PAUL Total $40.00 GENE MEYER TOWING - 028874 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 207.9011/15/2018369954 POLICE191772 000.000000.008.521.70.41.000 PROFESSIONAL SERVICES-TOWINGcase#18-13515 207.90Check 369954 Amount GENE MEYER TOWING Total $207.90 GOODWIN, KATHRYN LORAYNE - 030540 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,243.0311/15/2018369805 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 1,243.03Check 369805 Amount GOODWIN, KATHRYN LORAYNE Total $1,243.03 GORAN JANKOVIC - 113774 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 15.0011/15/2018369955 POLICE111418 000.000000.008.342.36.00.000 ELECTRONIC HOME DETENTION FEESehd overpayment 15.00Check 369955 Amount GORAN JANKOVIC Total $15.00 GRAINGER INC - 030960 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 51.6111/15/2018369806 TRANSPORTATION/AIRPORT9948720777 003.000000.016.542.95.31.011 LIGHTING SUPPLIESmarking paint~ glass cleaner 11.3911/15/2018369806 PW SHOPS9951573063 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESPunches for Surface Water, Food grade grease for Water and baeries for all depts. 41.0211/15/2018369806 PW SHOPS9954472503 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESWype all towels and AAA baeries for all depts. 216.4311/15/2018369806 PW SHOPS9951573063 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPunches for Surface Water, Food grade grease for Water and baeries for all depts. 41.0211/15/2018369806 PW SHOPS9954472503 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWype all towels and AAA baeries for all depts. 11.3811/15/2018369806 PW SHOPS9951573063 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESPunches for Surface Water, Food grade grease for Water and baeries for all depts. H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 26 of 125 data as of: 11/15/2018 3:21:36PM GRAINGER INC - 030960 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 41.0211/15/2018369806 PW SHOPS9954472503 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESWype all towels and AAA baeries for all depts. 393.8011/15/2018369806 PW SHOPS9957043293 406.000000.019.535.50.35.000 SMALL TOOLS/MINOR EQUIPMENTDewalt baery grease guns. 11.3911/15/2018369806 PW SHOPS9951573063 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESPunches for Surface Water, Food grade grease for Water and baeries for all depts. 41.0211/15/2018369806 PW SHOPS9954472503 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESWype all towels and AAA baeries for all depts. 29.6111/15/2018369806 PW SHOPS9951573063 407.000000.019.531.35.35.000 SMALL TOOLS/MINOR EQUIPTMENTPunches for Surface Water, Food grade grease for Water and baeries for all depts. 889.69Check 369806 Amount GRAINGER INC Total $889.69 GRANDE, JOSE OR ELIZABETH - 113725 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 113.4311/15/2018369956 REVENUE/BALANCE SHEET012764/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 4003 NE 23rd PL, Final date: 10/2/18 113.43Check 369956 Amount GRANDE, JOSE OR ELIZABETH Total $113.43 GRAY & OSBORNE INC - 031245 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 9,433.8711/15/2018369957 TRANSPORTATION/AIRPORT17 317.122185.016.595.11.63.000 RENTON AVE EXT PRES - PRELIM ENGINEERINGRenton Avenue South Resurfacing~ CAG-17-128~ Professional Services from September 16, 2018 to October 13, 2018 9,433.87Check 369957 Amount GRAY & OSBORNE INC Total $9,433.87 GREEN, LORETTA - 031480 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369807 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369807 Amount GREEN, LORETTA Total $30.00 GREGORY MAGEE - 031355 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,875.0011/15/2018369958 EXECUTIVEmagee110218 000.000000.003.512.50.41.010 COURT PUBLIC DEFENDERSPublic defense services H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 27 of 125 data as of: 11/15/2018 3:21:36PM GREGORY MAGEE - 031355 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,875.00Check 369958 Amount GREGORY MAGEE Total $2,875.00 GUARDIAN SECURITY SYSTEMS INC - 031860 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 65.0011/15/2018369808 PARKS ADMIN853722 108.220046.020.518.21.48.000 REPAIRS & MAINTENANCE-PARKING GARAGEFAC 10 MULTISITE ALARM MONITORING (DEC) 65.0011/15/2018369808 PARKS ADMIN853722 108.220047.020.518.21.48.000 REPAIRS & MAINTENANCE-PAVILION BUILDINGFAC 10 MULTISITE ALARM MONITORING (DEC) 656.0011/15/2018369808 PARKS ADMIN853722 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 MULTISITE ALARM MONITORING (DEC) 101.0011/15/2018369808 PARKS ADMIN853722 504.000000.020.518.22.48.000 REPAIRS & MAINTENANCEFAC 10 MULTISITE ALARM MONITORING (DEC) 887.00Check 369808 Amount GUARDIAN SECURITY SYSTEMS INC Total $887.00 GUBERNIK, CHARLOTTE - 031863 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 20.0011/15/2018369809 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 20.00Check 369809 Amount GUBERNIK, CHARLOTTE Total $20.00 H D FOWLER COMPANY INC - 027210 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,559.9811/15/2018369959 PW SHOPSI5002533 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESRomac, 6" flange, mj kits, bolt kit and gasket for Water job on Talbot Hill. 1,560.2411/15/2018369959 PW SHOPSI5001047 405.000000.019.534.50.34.000 WATER INVENTORY PURCHASED360' of copper rolls for stock. 1,560.2411/15/2018369959 PW SHOPSI5006226 405.000000.019.534.50.34.000 WATER INVENTORY PURCHASED360' of copper coils for stock 4,680.46Check 369959 Amount H D FOWLER COMPANY INC Total $4,680.46 HARRIS & ASSOCIATES INC - 032801 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,390.2711/15/2018369810 UTILITY SYSTEMS39182 405.000000.018.534.10.41.000 PROFESSIONAL SERVICESCAG-18-053, 2018 Comprehensive Rate Study and Recommendaon for System Development Charges for Water Ulity, EXP 11/30/18. 4,390.2611/15/2018369810 UTILITY SYSTEMS39182 406.000000.018.535.10.41.000 PROFESSIONAL SERVICESCAG-18-053, 2018 Comprehensive Rate Study and Recommendaon for System Development Charges for Surface Water Ulity, EXP 11/30/18. 4,390.2711/15/2018369810 UTILITY SYSTEMS39182 407.000000.018.531.31.41.000 PROFESSIONAL SERVICES H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 28 of 125 data as of: 11/15/2018 3:21:36PM HARRIS & ASSOCIATES INC - 032801 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 13,170.80Check 369810 Amount HARRIS & ASSOCIATES INC Total $13,170.80 HART CROWSER INC - 032832 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 222.5011/15/2018369960 UTILITY SYSTEMS1810162 427.475050.018.531.35.41.000 MADSEN CREEK SEDIMENT BASIN PROF SERVICECAG-17-220, JARPA Preparaon for the Maplewood Creek, Madsen Creek, and Summerfield Creek Sediment Basin Cleaning Projects, EXP 12/31/18. ADD 1-18, Add money and me, EXP 03/31/19. 222.5011/15/2018369960 UTILITY SYSTEMS1810162 427.475060.018.531.35.41.000 MAPLEWOOD SEDIMENT BASIN PROF SERVICESCAG-17-220, JARPA Preparaon for the Maplewood Creek, Madsen Creek, and Summerfield Creek Sediment Basin Cleaning Projects, EXP 12/31/18. ADD 1-18, Add money and me, EXP 03/31/19. 445.00Check 369960 Amount HART CROWSER INC Total $445.00 HEADQUARTERS PORTABLE TOILETS - 033243 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 600.0011/15/2018369961 PARKS ADMIN40668 001.000000.020.576.80.41.003 CONTRACTED SERVICESPKS: MONTHLY PO - PORTABLE TOILET SERVICES FOR VARIOUS PARKS;~ 2 Reg. Units and 1 Handicap at Ron Regis Park serviced 2xwk;~ 1 Reg. Unit at Greenhouse (Community Garden) serviced 1xwk; ~ INVOICE # 40668 dated 10/30/2018 600.00Check 369961 Amount HEADQUARTERS PORTABLE TOILETS Total $600.00 HENNING, JENNIFER - 033572 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 54.0811/15/2018369962 CED20181113-2 000.000000.007.558.60.43.001 TRAVELREIMBURSEMENT FOR TRAVEL/TACOMA CONFERENCE 54.08Check 369962 Amount HENNING, JENNIFER Total $54.08 HILL, LINDA - 034225 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369811 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369811 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 29 of 125 data as of: 11/15/2018 3:21:36PM HILL, LINDA Total $30.00 HILL, WELDON - 034229 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 10.0011/15/2018369812 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 10.00Check 369812 Amount HILL, WELDON Total $10.00 HOGGARD, CALVIN - 113740 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 59.5711/15/2018369963 REVENUE/BALANCE SHEET036766/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 18654 110th PL SE, Final date: 10/10/18 59.57Check 369963 Amount HOGGARD, CALVIN Total $59.57 HORIZON - 035250 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 68.4711/15/2018369964 PARKS ADMIN3S107585 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC: COURSE REPAIR SUPPLIES - IRRIGATION: TURFGRO LANDSCAPE FABRIC 68.47Check 369964 Amount HORIZON Total $68.47 HOUGH BECK & BAIRD INC - 035300 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 18,050.4611/15/2018369813 PARKS ADMIN12359 316.332043.020.594.76.63.000 SUNSET EIS PARKCIP/PPNR: (CAG-18-063) SUNSET PARK-PHASE 2 DESIGN - HOUGH BECK & BAIRD, INC. TO PROVIDE PROFESSIONAL DESIGN SERVICES AND CONSTRUCTION ADMINISTRATION SUPPORT FOR SUNSET NEIGHBORHOOD PARK PHASE II. (Project No. 2018-12)~ 01: HBB-LANDSCAPE ARCHITECTURE - Project Mgmt @ $3,721.55;~ 35% Design Development @ $3,338.33; 75% Submial Professional Fee @ $2,491.76; Reimbursables @ $41.24;~ 02 PND Engineers - 35% Design Dev @ $57.50; 75% SubmialConsultant @ $975.00;~ 03: Rolluda Architects - 35% Design Dev @ $6,275.00; 75% Submial Consultant @ $1,140.00; Reimbursables @ $10.08.~ Professional services through October 25, 2018 (for period Sept. 26, 2018 to Oct. 25, 2018. 18,050.46Check 369813 Amount HOUGH BECK & BAIRD INC Total $18,050.46 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 30 of 125 data as of: 11/15/2018 3:21:36PM HRIBAL, DANNY - 035458 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 175.0011/15/2018369965 PW SHOPSReim/RedWing 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESReimbursement for work boots. - ASTM F2413-11, EH 175.00Check 369965 Amount HRIBAL, DANNY Total $175.00 HWA GEOSCIENCES INC - 036344 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,579.6011/15/2018369966 PARKS ADMIN28583 316.220058.020.594.18.62.000 FIRE STATION 15FAC 08 FS15 PROF SERVICES CAG-18-048~ GEOLOGY 879.3611/15/2018369966 PARKS ADMIN28733 316.220058.020.594.18.62.000 FIRE STATION 15FAC 10 FS15 PROF SERVICES - GEOLOGIST. CAG-18-048 2,458.96Check 369966 Amount HWA GEOSCIENCES INC Total $2,458.96 ICON MATERIALS INC - 036552 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 85,352.4011/07/2018369751 REVENUE/BALANCE SHEETCAG-17-094 RR 317.000000.000.223.40.00.000 RETAINAGE PAYABLERetainage release - 2017 Street patch and overlay 85,352.40Check 369751 Amount 455.8211/15/2018369967 PW SHOPS2717540 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIES12 tons of asphalt for Street job on 113th/Se 162nd. 121.5411/15/2018369967 TRANSPORTATION/AIRPORT2703838 317.122108.016.542.30.19.011 STREET OVERLAY PROGRAM PA SAL/BEN1.66 tons of apshalt for overlay at SW 12th/Raymond ave SW 439.3211/15/2018369967 PW SHOPS2715473 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIES11 tons of asphalt for Water job on SW 7th and Waste Water job on Blaine Ct SE 366.0711/15/2018369967 PW SHOPS2715473 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIES11 tons of asphalt for Water job on SW 7th and Waste Water job on Blaine Ct SE 1,382.75Check 369967 Amount ICON MATERIALS INC Total $86,735.15 INFORMATION DISPLAY COMPANY - 037311 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 264.0011/15/2018369968 TRANSPORTATION/AIRPORT8300 003.000000.016.542.95.42.002 CELL PHONES/PAGERS1 YR MODEM 3G SERVICE~ 10/1/18-9/30/19 FOR 12 DEVICES 264.00Check 369968 Amount INFORMATION DISPLAY COMPANY Total $264.00 INSIDE GOLF NEWSPAPER - 037354 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 31 of 125 data as of: 11/15/2018 3:21:36PM INSIDE GOLF NEWSPAPER - 037354 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 250.0011/15/2018369969 PARKS ADMIN9240 404.000000.020.576.61.44.000 ADVERTISINGGC: 2018 11 ADVERTISING 250.00Check 369969 Amount INSIDE GOLF NEWSPAPER Total $250.00 INTERCOM LANGUAGE SERVICES - 078725 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,436.3511/15/2018369970 MUNICIPAL COURT18-362 000.000000.002.512.50.41.003 CONTRACTED SERVICESVarious Interpreters - 35 interprepeters - 1 passport appt and 59 cases. 5,005.0011/15/2018369970 MUNICIPAL COURT18-384 000.000000.002.512.50.41.003 CONTRACTED SERVICESVarious intererpreters - 26 interpreters, 41 cases 75.0011/15/2018369970 POLICE18-348 000.000000.008.565.50.41.012 DIRECT VICTIM SERVICESSpanish / M A Mazo 100.0011/15/2018369970 POLICE18-394 000.000000.008.565.50.41.012 DIRECT VICTIM SERVICESVietnamese / vicm 8z0113074 550.0011/15/2018369970 POLICE18-396 000.000000.008.565.50.41.012 DIRECT VICTIM SERVICESSpanish / DV Checklist update form 75.0011/15/2018369970 POLICE18-396 000.000000.008.565.50.41.012 DIRECT VICTIM SERVICESSpanish / 18-13502 75.0011/15/2018369970 POLICE18-396 000.000000.008.565.50.41.012 DIRECT VICTIM SERVICESSpanish / 18-1382 10,316.35Check 369970 Amount INTERCOM LANGUAGE SERVICES Total $10,316.35 IRON MOUNTAIN INC - 061844 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 141.8811/15/2018369971 CITY CLERKAHAZ586 000.000000.012.514.21.41.003 CONTRACTED SERVICESOffsite Shredding - Oct 2018 - AHAZ586 141.88Check 369971 Amount IRON MOUNTAIN INC Total $141.88 ISS WONDERWARE - 037302 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 32 of 125 data as of: 11/15/2018 3:21:36PM ISS WONDERWARE - 037302 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 11,913.0011/15/2018369814 FINANCE & ITSIN003774 503.000000.004.518.82.41.003 SERVICE CONTRACTS1ea. #10-7001R Wonderware Customer FIRST - Standard Level - Renewal One year support agreement. Includes access to business hours technical support (0800-1700 PST) and version upgrades by request.~ Renews Wonderware CF Agreement through 31 Dec 2019.~ $ 10,830.00~ ~ ~ 356605-10 12-12391 Upg, Development Studio 2014R2 Unlimited, Unlim/60K/500 2014R2~ ~ 1320143-1 356605 12-12771~ Upg, WW Skelta BPM 2014 Developer Edion, 1 User 4.0~ ~ 356606-10 12-12391 Upg, Development Studio 2014R2 Unlimited, Unlim/60K/500 2014R2 ~ ~ 1320144-1 356606 12-12771~ Upg, WW Skelta BPM 2014 Developer Edion, 1 User 4.0~ ~ 746363-3 12-11597 Upg, Wonderware Historian 2012R2 Standard, 5,000 Tag~ 11.0~ ~ 1246513-0 746363 12-10732~ Upg, Informaon Server Portal, v4.0~ 4.0~ ~ 415909-8 12-11437 Upg, InTouch 2012R2 Runme 60K Tag with I/O 10.6~ ~ 782025-7 01-3455 InTouch 2014R2 Runme 60K Tag with I/O~ 11.1~ ~ 1462720-0 01-2917 InTouch 2014 Runme 60K Tag with I/O~ 11.0~ ~ 746364-4 12-11585 Upg, WW Historian Client 2012R2 Per Server Conc~ 10.1~ ~ 746365-2 12-0531 Upg, WW CAL with MS CAL Runme, Single, SQL 2012 Std~ 2012~ ~ 746366-2 12-0531 Upg, WW CAL with MS CAL Runme, Single, SQL 2012 Std~ H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 33 of 125 data as of: 11/15/2018 3:21:36PM ISS WONDERWARE - 037302 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2012 11,913.00Check 369814 Amount ISS WONDERWARE Total $11,913.00 ISSAQUAH SCHOOL DISTRICT #411 - 038570 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 19.4211/15/2018369972 REVENUE/BALANCE SHEETImpact Fees 000.000000.000.237.22.00.000 ISSAQUAH SCHOOL DISTRICT IMPACT FEEInterest 841.0011/15/2018369972 REVENUE/BALANCE SHEETImpact Fees 000.000000.000.237.22.00.000 ISSAQUAH SCHOOL DISTRICT IMPACT FEEImpact Fees - September 860.42Check 369972 Amount ISSAQUAH SCHOOL DISTRICT #411 Total $860.42 JACKSON, PARKER - 038909 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 10.0011/15/2018369815 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 10.00Check 369815 Amount JACKSON, PARKER Total $10.00 JB FENCE INC - 038738 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,854.5011/15/2018369973 PW SHOPS304362 407.000000.019.531.35.41.000 PROFESSIONAL SERVICESChainlink fence and gate for Surface pond at 218 Duvall Ave NE 2,854.50Check 369973 Amount JB FENCE INC Total $2,854.50 JCI JONES CHEMICALS INC - 039770 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 7,257.2711/15/2018369816 PW SHOPS773487 405.000000.019.534.50.31.005 CHEMICALSChlorine for cylinders for Springbrook and Wells 1,2 & 3. -1,900.0011/15/2018369816 PW SHOPS773544 405.000000.019.534.50.31.005 CHEMICALSCredit for returned chlorine cylinders. 5,357.27Check 369816 Amount JCI JONES CHEMICALS INC Total $5,357.27 JEAN BRADBURY - 039097 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 150.0011/15/2018369817 CED22Oct2018 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEJEAN BRADBURY / ELECTRICAL BOX WRAP / PORT GRANT 2,500.0011/15/2018369817 CED23Sept2018 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEJEAN BRADBURY ELECTRICAL BOX WRAP DESIGN/ PORT GRANT 2,650.00Check 369817 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 34 of 125 data as of: 11/15/2018 3:21:36PM JEAN BRADBURY Total $2,650.00 JOHNSON CONTROLS - 083105 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 388.8511/15/2018369818 TRANSPORTATION/AIRPORT31344169 402.000000.016.546.20.41.000 PROFESSIONAL SERVICESFire alarm monitoring 2018-Q4- 790 bldg 388.85Check 369818 Amount JOHNSON CONTROLS Total $388.85 JONES, EVELYN M - 039800 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 461.6611/15/2018369819 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 461.66Check 369819 Amount JONES, EVELYN M Total $461.66 JONES, JOYCE - 039803 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 20.0011/15/2018369820 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 20.00Check 369820 Amount JONES, JOYCE Total $20.00 KAISER FOUNDATION HEALTH PLAN - 040084 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 588.3611/09/2018369757 HUMAN RESOURCESBen1810460 512.000000.014.517.30.23.013 GROUP HEALTHGROUP HEALTH prior 11-04: Payment 9,579.5411/09/2018369757 HUMAN RESOURCESBen1810460 512.000000.014.517.30.23.013 GROUP HEALTHGroup Health hired prior 11-04: Payment 10,167.90Check 369757 Amount KAISER FOUNDATION HEALTH PLAN Total $10,167.90 KALENA, MARJORIE - 040063 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369821 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369821 Amount KALENA, MARJORIE Total $30.00 KELLEY IMAGING SYSTEMS - 013871 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 453.9811/15/2018369974 FINANCE & ITIN448381 503.000000.004.518.82.31.002 ENTERPRISE PRINTER TONER COSTSToner for GIS Ploer 453.98Check 369974 Amount KELLEY IMAGING SYSTEMS Total $453.98 KENT SCHOOL DISTRICT - 040838 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 35 of 125 data as of: 11/15/2018 3:21:36PM KENT SCHOOL DISTRICT - 040838 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 5,100.0011/15/2018369975 REVENUE/BALANCE SHEETImpact Fees 000.000000.000.237.26.00.000 KENT SCHOOL DISTRICT IMPACT FEEImpact Fees - September 5,100.00Check 369975 Amount KENT SCHOOL DISTRICT Total $5,100.00 KING CNTY DIST COURT, KENT DIVISION - 100006 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,519.0311/15/2018369976 REVENUE/BALANCE SHEET103118 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITScase # 172-10997 1,519.03Check 369976 Amount KING CNTY DIST COURT, KENT DIVISION Total $1,519.03 KING CNTY FINANCE - 041608 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,567.6311/15/2018369977 TRANSPORTATION/AIRPORT94280 317.120106.016.542.50.41.010 BRIDGET INSPECTION & REPAIR PROF SVCS PEPROJECT #1131306//RSD BRIDGE INSPECTION 1,567.63Check 369977 Amount KING CNTY FINANCE Total $1,567.63 KING CNTY FINANCE DIVISION - 042180 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 472,779.8711/15/2018369978 UTILITY SYSTEMS1663579 85701 403.000000.018.537.60.47.083 DUMP FEE PASSTHROUGHSeptember 2018 King County Solid Waste Dump Fee Passthrough (Republic Services - Renton). 542,565.4511/15/2018369978 UTILITY SYSTEMS1663579 86701 403.000000.018.537.60.47.083 DUMP FEE PASSTHROUGHOctober 2018 King County Solid Waste Dump Fee Passthrough (Republic Services - Renton). 1,015,345.32Check 369978 Amount KING CNTY FINANCE DIVISION Total $1,015,345.32 KING CNTY FLEET ADMIN DIVISION - 041951 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 979.9111/15/2018369979 TRANSPORTATION/AIRPORT212473 003.000000.016.542.95.31.013 SIGN SUPPLIESMATERIALS & SUPPLIES THRU ~ SEPT 2018 979.91Check 369979 Amount KING CNTY FLEET ADMIN DIVISION Total $979.91 KING CNTY RADIO COMMUNICATIONS - 041956 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 785.9511/15/2018369980 POLICE00446992 000.000000.008.521.22.35.000 SMALL TOOLS/MINOR EQUIPMENTnew radio programming for patrol vehicles 785.95Check 369980 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 36 of 125 data as of: 11/15/2018 3:21:36PM KING CNTY RADIO COMMUNICATIONS Total $785.95 KING CNTY RECORDS & ELECTIONS - 042358 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 222.0011/15/2018369981 FINANCE & ITNov 2018 405.000000.004.534.10.49.000 KING COUNTY LIEN CHARGESNov 2018 Recording Fees for 6 Lien accts 222.00Check 369981 Amount KING CNTY RECORDS & ELECTIONS Total $222.00 KIRKLAND, BETTY JEANE - 042472 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 90.0011/15/2018369822 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 90.00Check 369822 Amount KIRKLAND, BETTY JEANE Total $90.00 KUNDE, LESLIE - 113741 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 325.3011/15/2018369982 REVENUE/BALANCE SHEET050197/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - Final date: 10/4/18 325.30Check 369982 Amount KUNDE, LESLIE Total $325.30 KUSPERT, DEEON - 043030 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369983 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369983 Amount KUSPERT, DEEON Total $30.00 KYES, SONJA - 043050 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018369984 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 40.00Check 369984 Amount KYES, SONJA Total $40.00 L N CURTIS & SONS - 019440 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 96.6911/15/2018369823 POLICEINV224634 000.000000.008.521.30.31.003 QUARTER MASTER SYSTEMAPEX2 Concealed Carrier - KEYES 14.2411/15/2018369823 POLICEINV225780 000.000000.008.521.30.31.003 QUARTER MASTER SYSTEMUniform name tag - HERNANDEZ, A. 1,075.8011/15/2018369823 POLICEINV226208 000.000000.008.521.30.31.003 QUARTER MASTER SYSTEMVest - SX Level IIIA with extreme carrier, STP; Impac-HT-7x9 Special Threat Plate - HOHENSEE 219.9411/15/2018369823 POLICEINV226421 000.000000.008.521.30.31.003 QUARTER MASTER SYSTEMOregon City Carrier with velcro backed placard (POLICE) - STRATFORD H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 37 of 125 data as of: 11/15/2018 3:21:36PM L N CURTIS & SONS - 019440 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2.1411/15/2018369823 POLICEINV226566 000.000000.008.521.30.31.003 QUARTER MASTER SYSTEMUniform alteraon - PARKS 1,408.81Check 369823 Amount L N CURTIS & SONS Total $1,408.81 LAKESIDE INDUSTRIES INC - 043292 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,536.7711/15/2018369824 PW SHOPS67246 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIES29.95 tons of asphalt for Street job on Renton Ave Ext. 353.2011/15/2018369824 PW SHOPS67245 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIES21.18 tons of asphalt for Surface jobs at 981 Chelan & 617 S Grady way and Water job on Park Ave. 1,263.7211/15/2018369824 PW SHOPS68093 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIES14.92 tons of asphalt for Waste water job at Liberty Staon. 1,433.9711/15/2018369824 PW SHOPS68692 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIES16.93 tons of asphalt for Wastewater at Liberty Staon. 1,440.7511/15/2018369824 PW SHOPS67245 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIES21.18 tons of asphalt for Surface jobs at 981 Chelan & 617 S Grady way and Water job on Park Ave. 169.4011/15/2018369824 PW SHOPS67247 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIES2 tons of asphalt for Surface water at Chelan/10th. 429.8311/15/2018369824 PW SHOPS68691 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIES5.01 tons of apshalt for Surface job at 617 S. 16th st. 7,627.64Check 369824 Amount LAKESIDE INDUSTRIES INC Total $7,627.64 LANDAU ASSOCIATES INC - 043313 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 6,800.0011/15/2018369985 CED42281 000.000000.007.558.60.41.000 PROFESSIONAL SERVICESCAG-18-166 PHASE I ENVIRONMENTAL SITE ASSESSMENT - BENSON HILL PROPERTY 6,800.00Check 369985 Amount LANDAU ASSOCIATES INC Total $6,800.00 LANGUAGE LINE SERVICES INC - 043327 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 44.9811/15/2018369986 MUNICIPAL COURT4432397 000.000000.002.512.50.41.003 CONTRACTED SERVICESLanguage Line Services on 10/16/18 Korean Iand 10/26/218 Cambodian 59.2011/15/2018369986 EXECUTIVE4432440 505.000000.003.513.11.41.005 COMMUNITY RELATIONSLANGUAGE LINE SERVICE - OCTOBER 2018 104.18Check 369986 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 38 of 125 data as of: 11/15/2018 3:21:36PM LANGUAGE LINE SERVICES INC Total $104.18 LARSCO INC - 043621 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 44.8811/15/2018369825 TRANSPORTATION/AIRPORT1097978-02 003.000000.016.542.95.31.012 COMMUNICATION SUPPLIES50x HEX HEAD CAP SCREWS 45.5611/15/2018369825 TRANSPORTATION/AIRPORT1097978-03 003.000000.016.542.95.31.012 COMMUNICATION SUPPLIESVARIOUS CAP SCREWS~ 8/32 X 1/2 CHROME 26.9111/15/2018369825 TRANSPORTATION/AIRPORT1097978-04 003.000000.016.542.95.31.012 COMMUNICATION SUPPLIES20x 6mm HPSM12-15BK MED WALL 81.0711/15/2018369825 TRANSPORTATION/AIRPORT1097977-02 003.000000.016.542.95.31.013 SIGN SUPPLIES2X 5/16-18 3" CAP SCREW ZINC~ 2X 5/16-18 HEX NUT 198.42Check 369825 Amount LARSCO INC Total $198.42 LASER UNDERGROUND - 043664 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department -6,296.1511/15/2018369826 REVENUE/BALANCE SHEETPay Est #11 425.000000.000.223.40.00.000 RETAINAGE PAYABLECAG-17-174, Renton Hill Ulity Replacement Project - water poron. CO 1-18, Add work, EXP 12/31/19. CO 2-18, Add work, EXP 12/31/19. CO 3-18, Add work, EXP 12/31/19. CO 4-18, Add money, EXP 12/31/19. 12,592.3011/15/2018369826 UTILITY SYSTEMSPay Est #11 425.455170.018.594.34.63.000 STEEL/AC WATERMAIN REPLC PLAN 125,923.0011/15/2018369826 UTILITY SYSTEMSPay Est #11 425.455170.018.594.34.63.000 STEEL/AC WATERMAIN REPLC PLANCAG-17-174, Renton Hill Ulity Replacement Project - water poron. CO 1-18, Add work, EXP 12/31/19. CO 2-18, Add work, EXP 12/31/19. CO 3-18, Add work, EXP 12/31/19. CO 4-18, Add money, EXP 12/31/19. -2,944.0011/15/2018369826 REVENUE/BALANCE SHEETPay Est #11 426.000000.000.223.40.00.000 RETAINAGE PAYABLECAG-17-174, Renton Hill Ulity Replacement Project - surface water poron. CO 1-18, Add work, EXP 12/31/19. CO 2-18, Add work, EXP 12/31/19. CO 3-18, Add work, EXP 12/31/19. CO 4-18, Add money, EXP 12/31/19. 5,888.0011/15/2018369826 UTILITY SYSTEMSPay Est #11 426.465475.018.594.35.63.000 RENTON HILL SEWER REPLACEMENT 58,880.0011/15/2018369826 UTILITY SYSTEMSPay Est #11 426.465475.018.594.35.63.000 RENTON HILL SEWER REPLACEMENTCAG-17-174, Renton Hill Ulity Replacement Project - surface water poron. CO 1-18, Add work, EXP 12/31/19. CO 2-18, Add work, EXP 12/31/19. CO 3-18, Add work, EXP 12/31/19. CO 4-18, Add money, EXP 12/31/19. -214.0011/15/2018369826 REVENUE/BALANCE SHEETPay Est #11 427.000000.000.223.40.00.000 RETAINAGE PAYABLE H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 39 of 125 data as of: 11/15/2018 3:21:36PM LASER UNDERGROUND - 043664 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,280.0011/15/2018369826 UTILITY SYSTEMSPay Est #11 427.475509.018.594.31.63.000 RENTON HILL STORM SYSTEM IMPROVEMENT 198,109.15Check 369826 Amount LASER UNDERGROUND Total $198,109.15 LAUER, JESSICA - 043693 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369987 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369987 Amount LAUER, JESSICA Total $30.00 LAVALLEY, THEODELE - 043740 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 384.4411/15/2018369827 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 384.44Check 369827 Amount LAVALLEY, THEODELE Total $384.44 LEGACY GROUP INC - 043986 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 694.3611/15/2018369988 PARKS ADMIN12224 504.000000.020.518.23.35.012 FURNITURE-OFFICEFAC 10 FINANCE CHAIRS FOR OFFICE MAKEOVER - FINANCE TO PAY FAC -0.4111/15/2018369988 PARKS ADMINcm12152 504.000000.020.518.23.35.012 FURNITURE-OFFICErefund ck #20826 for duplicate pymt was short $.41 693.95Check 369988 Amount LEGACY GROUP INC Total $693.95 LEGEND DATA SYSTEMS, INC - 044008 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 132.0011/15/2018369828 TRANSPORTATION/AIRPORT124013 402.000000.016.546.20.31.000 SHOP/OFFICE - OPERATING SUPPLIESGate access proxy card prinng service - 300 prints 132.00Check 369828 Amount LEGEND DATA SYSTEMS, INC Total $132.00 LEXISNEXIS - 044515 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,318.9011/15/2018369829 CITY ATTORNEY3091726259 000.000000.006.515.30.49.002 PUBLICATIONSOctober 2018 monthly subscripon fee for online legal resources and references for aorneys and legal support staff. 1,318.90Check 369829 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 40 of 125 data as of: 11/15/2018 3:21:36PM LEXISNEXIS Total $1,318.90 LEXISNEXIS RISK SOLUTIONS - 044446 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 7,083.3011/05/2018369750 FINANCE & IT805894-20190531P 503.000000.004.518.82.41.003 SERVICE CONTRACTSPolice: LEAPS Annual Renewal Valid: 6/1/2018 - 5/31/2019 7,083.30Check 369750 Amount 116.6011/15/2018369830 POLICE1489850-20180930 000.000000.008.521.23.49.002 PUBLICATIONSSept pc searches / Spec Ops, Invest 96.5311/15/2018369830 POLICE1489850-20181031 000.000000.008.521.23.49.002 PUBLICATIONSOct pc searches / Spec Ops, Invest 213.13Check 369830 Amount LEXISNEXIS RISK SOLUTIONS Total $7,296.43 LIBERTY GROVE HOA - 044548 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 357.3311/08/2018369765 PARKS ADMINLHOA 001.800220.020.573.90.49.012 NEIGHBORHOOD PROGRAM GRANTSLIBERTY GROVE BLOCK PARTY 2018 357.33Check 369765 Amount LIBERTY GROVE HOA Total $357.33 LOGUE, ROBERTA - 045244 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 50.0011/15/2018369989 CITY CLERKR. Logue/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 50.00Check 369989 Amount LOGUE, ROBERTA Total $50.00 MAPLEWOOD ESTATES HOA - 046748 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 872.9011/08/2018369766 PARKS ADMINMEHOA 001.800220.020.573.90.49.012 NEIGHBORHOOD PROGRAM GRANTSNEIGHBORHOOD BLOCK PARTY 2018 872.90Check 369766 Amount MAPLEWOOD ESTATES HOA Total $872.90 MARTHA SO - 047255 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,715.0011/15/2018369831 PARKS ADMINMS9/18-10/25 001.250006.020.571.20.41.003 CONTRACTED SERVICES-GEN PROGRAMSTAE KWON DO BEGINNING #62054~ TAE KWON DO GOLD & ORANGE #62055~ TAE KWON DO GREEN AND UP #62056~ FALL 2018 1,715.00Check 369831 Amount MARTHA SO Total $1,715.00 MAXWELL, MELINDA - 047663 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 41 of 125 data as of: 11/15/2018 3:21:36PM MAXWELL, MELINDA - 047663 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018369990 CITY CLERKM. Maxwell/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 40.00Check 369990 Amount MAXWELL, MELINDA Total $40.00 MCDONOUGH & SONS INC - 048014 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 223.8511/15/2018369991 PARKS ADMIN226746 504.000000.020.518.22.48.000 REPAIRS & MAINTENANCEFAC 11 CITY HALL PARKING LOT SWEEPING - NOVEMBER 223.85Check 369991 Amount MCDONOUGH & SONS INC Total $223.85 MCLAUGHLIN, BARBARA - 048359 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,069.6711/15/2018369832 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 1,069.67Check 369832 Amount MCLAUGHLIN, BARBARA Total $1,069.67 MILLER, MARION I - 049512 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 20.0011/15/2018369992 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 20.00Check 369992 Amount MILLER, MARION I Total $20.00 MOORE, DIANA - 113742 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 321.8111/15/2018369993 REVENUE/BALANCE SHEET001566-001/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 422 Windsor Way Ne, Final date: 10/10/18 321.81Check 369993 Amount MOORE, DIANA Total $321.81 MORNING STAR CREATIVE GROUP - 051008 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 520.0011/15/2018369994 EXECUTIVE6067 505.000000.003.513.11.41.005 COMMUNITY RELATIONSPhotography services-collecng/sizing web images 325.0011/15/2018369994 EXECUTIVE6068 505.000000.003.513.11.41.005 COMMUNITY RELATIONSPhotography services-Polar Bear Plunge & Tree lighng 780.0011/15/2018369994 EXECUTIVE6112 505.000000.003.513.11.41.005 COMMUNITY RELATIONSPhotography services-RRD, Natl Day of Svc, SummerFest, Cruz the Loop, misc. 1,625.00Check 369994 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 42 of 125 data as of: 11/15/2018 3:21:36PM MORNING STAR CREATIVE GROUP Total $1,625.00 MUIR, SHARON A - 052142 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 10.0011/15/2018369995 CITY CLERKS. Muir/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 10.00Check 369995 Amount MUIR, SHARON A Total $10.00 MUNICIPAL RESEARCH & SVCS CNTR - 052210 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 425.0011/15/2018369996 FINANCE & IT45067 000.000000.004.514.20.41.000 PROFESSIONAL SERVICESMRSC Roster Annual fee 425.00Check 369996 Amount MUNICIPAL RESEARCH & SVCS CNTR Total $425.00 MURRAYSMITH INC - 052444 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 16,917.1511/15/2018369833 UTILITY SYSTEMS18-2251-1 425.455290.018.594.34.63.000 DOWNTOWN WATER MAIN REPLACEMENTCAG-18-154, Downtown Ulity Improvement Project - Phase 2: Preliminary Engineering and Design - water poron, EXP 8/31/19. 15,055.5511/15/2018369833 UTILITY SYSTEMS16-1840-24 425.455606.018.594.34.63.000 KENNYDALE 320-RESERVOIRCAG-16-134, Kennydale 320-Pressure Zone Reservoir Pre-design. Add 1-17 Time & Money, EXP 7/31/18. Add 2-17 Change name only. ADD 3-17, Add me and money, EXP 12/31/19. 36,945.0811/15/2018369833 UTILITY SYSTEMS18-2251-1 426.465517.018.594.35.63.000 DOWNTOWN SEWER REPLACEMENT/REHABCAG-18-154, Downtown Ulity Improvement Project - Phase 2: Preliminary Engineering and Design - surface water poron, EXP 8/31/19. 30,743.7811/15/2018369833 UTILITY SYSTEMS18-2251-1 427.475510.018.594.31.63.000 DOWNTOWN STORM SYSTEM IMPROVEMENT PROJEC 99,661.56Check 369833 Amount MURRAYSMITH INC Total $99,661.56 MYERS, DONALD - 052527 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 240.0011/15/2018369997 POLICE102518-Myers-ADVTRL 000.080315.008.521.23.43.007 MEALS & INCIDENTAL EXPENSEAdvanced per diem for MYERS to aend the California Narcocs Officers Associaon (CNOA) 2018 Instute and Conference on November 16 - 20, 2018 in San Diego, CA. 240.00Check 369997 Amount MYERS, DONALD Total $240.00 NELSON, BARBARA - 054765 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 43 of 125 data as of: 11/15/2018 3:21:36PM NELSON, BARBARA - 054765 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 90.0011/15/2018369998 CITY CLERKB. Nelson/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 90.00Check 369998 Amount NELSON, BARBARA Total $90.00 NETWORK COMPUTING ARCHITECTS - 054988 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,550.3011/15/2018369999 PARKS ADMIN52669 316.220058.020.522.50.35.000 FIRE STATION 15 FURNITURE & EQUIPMENT2ea. FTNTFG-100E Fornet ForGate 100E - 20 Ports~ ~ 2ea. FTNTFC10-FG1HE-247-02~ -12 Fornet 1Yr 24x7 Forcare Contract~ ~ Quote# QUO-36410-L0M0T1~ ~ (PO Includes 10% sales tax) 7,919.1311/15/2018369999 FINANCE & IT52631 503.000000.004.518.82.41.003 SERVICE CONTRACTS2ea. FPPRSNN-X-CP12-R ForcePoint Triton Rnwl 1Yr for Network Security~ POL: c230f-21e71-01958-379bc~ POL: 014d7-6c6ba-a1276-9ac81~ ~ 1ea. FPPRSNN-X-CP12-R ForcePoint Triton Rnwl 1Yr for Network Security~ POL: 1a773-c66d7-811c3-a461a~ ~ 1ea. FPN1035WRE-X-XX12-R ForcePoint Triton Rnwl 1Yr AHR for Stoneso~ 1035 NGFW~ POL: 014d7-6c6ba-a1276~ ~ 1ea. FPN1035WRE-X-XX12-R ForcePoint Triton Rnwl 1Yr AHR for Stoneso~ 1035 NGFW~ POL: c230f-21e71-01958-379bc~ ~ Per Quote # QUO-35905-T8R4L1~ ~ Pricing Includes 10% Sales Tax 11,469.43Check 369999 Amount NETWORK COMPUTING ARCHITECTS Total $11,469.43 NEWTON, GARY - 055410 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 285.9011/15/2018370000 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 285.90Check 370000 Amount NEWTON, GARY Total $285.90 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 44 of 125 data as of: 11/15/2018 3:21:36PM NI GOVERNMENT SERVICES INC - 055427 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 73.7311/15/2018369834 FIRE8101257052 000.000000.009.525.60.42.000 COMMUNICATIONSSatellite phone service - October 2018 73.73Check 369834 Amount NI GOVERNMENT SERVICES INC Total $73.73 NICHOLS, GERALD H - 055530 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 585.9811/15/2018369835 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 585.98Check 369835 Amount NICHOLS, GERALD H Total $585.98 NW HANDLING SYSTEMS INC - 056083 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 242.0011/15/2018370001 TRANSPORTATION/AIRPORT01P4464890 402.000000.016.546.20.35.000 SMALL TOOLS/MINOR EQUIPMENTTools/Small Equiupment - propane tank for forkli 242.00Check 370001 Amount NW HANDLING SYSTEMS INC Total $242.00 OBERLAG, BETTYE JEAN - 057282 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 50.0011/15/2018370002 CITY CLERKB. Oberlag/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 50.00Check 370002 Amount OBERLAG, BETTYE JEAN Total $50.00 OFFICE DEPOT INC - 057345 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 14.1711/15/2018370003 COUNCILSumInv 0918 Council 000.000000.001.511.60.31.000 OFFICE/OPERATING SUPPLIESpens 76.7811/15/2018370003 EXECUTIVEMayorSummInv0918 000.000000.003.513.10.31.000 OFFICE/OPERATING SUPPLIESOffice supplies for Mayor's office and Print/Mail 149.8111/15/2018370003 FINANCE & IT10175100 000.000000.004.514.20.31.000 OFFICE/OPERATING SUPPLIESOffice Supplies: Binders for Budget, Pens, monitor riser, pencil cups, tabs. 243.1111/15/2018370003 CED10175100 000.000000.007.558.60.31.000 OFFICE/OPERATING SUPPLIESOFFICE SUPPLIES 15.6811/15/2018370003 POLICE10175100-PD-Invest 000.000000.008.521.21.31.000 OFFICE/OPERATING SUPPLIESlaminaon pouches / Invest 92.2511/15/2018370003 POLICE10175100-PD-Invest 000.000000.008.521.21.31.000 OFFICE/OPERATING SUPPLIEScalendars 14 / Invest 153.2211/15/2018370003 POLICE10175100-PD-Invest 000.000000.008.521.23.31.000 OFFICE/ OPERATING SUPPLIEScalendars 21 / Spec Ops & Scrtry 19.6811/15/2018370003 POLICE10175100-PolAdminSvc 000.000000.008.521.30.31.000 OFFICE/OPERATING SUPPLIESOffice supplies - SD MicroSD Card Reader - Order #211049375001 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 45 of 125 data as of: 11/15/2018 3:21:36PM OFFICE DEPOT INC - 057345 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.3011/15/2018370003 POLICE10175100-PolAdminSvc 000.000000.008.521.30.31.000 OFFICE/OPERATING SUPPLIESOffice supplies - Packing tape, desk pad calendar, wall calendars - Order #211041554001 83.4111/15/2018370003 POLICE10175100-PD-Invest 000.000000.008.521.80.31.000 EVIDENCE SUPPLIEStape, envelopes / Evid 108.8911/15/2018370003 POLICE10175100-PD-Invest 000.000000.008.565.50.31.000 OFFICE/OPERATING SUPPLIEStoner black / DV printer 203.1411/15/2018370003 CITY CLERK10175100 000.000000.012.514.21.31.000 OFFICE/OPERATING SUPPLIESOffice Supplies -Sept 2018 (Fastener Folders, Flash Drives, Baeries, Pens, Computer Spray) 110.2011/15/2018370003 EXECUTIVEMayorSummInv0918 505.000000.003.518.70.31.000 OFFICE/OPERATING SUPPLIESOffice supplies for Mayor's office and Print/Mail 1,310.64Check 370003 Amount OFFICE DEPOT INC Total $1,310.64 OTAK INC - 058565 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 18,808.7511/15/2018369836 REVENUE/BALANCE SHEET101800112 000.000000.000.237.23.00.000 ECONOMIC DEVELOPMENT CUSTODIAL ACCOUNTWSDOT - MAY CREEK TRAIL EXTENSION 13,934.0911/15/2018369836 TRANSPORTATION/AIRPORT101800193 317.122802.016.595.11.63.000 LAKE WASHINGTON LOOP TRAIL - PELake Washington Loop Trail~ CAG-15-177~ Professional Services Ending October 5, 2018 32,742.84Check 369836 Amount OTAK INC Total $32,742.84 OTTO ROSENAU & ASSOCIATES INC - 058570 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 352.0011/15/2018369837 TRANSPORTATION/AIRPORT69497 317.122108.016.595.30.63.002 STREET OVERLAY PGM - CONST SVCSReinforced concrete inspector and test cylinders, September 2018 352.00Check 369837 Amount OTTO ROSENAU & ASSOCIATES INC Total $352.00 OUTCOMES BY LEVY LLC - 058621 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 13,300.4511/15/2018370004 EXECUTIVE2018-10-R 000.000000.003.513.10.41.010 GOVERNMENT RELATIONSLegislave/lobbying services - October 2018 13,300.45Check 370004 Amount OUTCOMES BY LEVY LLC Total $13,300.45 OVERLAKE OIL INC - 058740 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 46 of 125 data as of: 11/15/2018 3:21:36PM OVERLAKE OIL INC - 058740 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,675.0911/15/2018369838 PARKS ADMIN190620 404.000000.020.576.65.32.003 GASOLINEGC: FUEL - UNLEADED 491 @ 2.86 3,683.1211/15/2018369838 PW SHOPS0190618-IN 501.000000.019.548.60.32.001 FUEL CONSUMED - DIESEL FUELDiesel and unleaded fuel charges for Staon 13. 9,296.8211/15/2018369838 PW SHOPS0190619-IN 501.000000.019.548.60.32.001 FUEL CONSUMED - DIESEL FUELDiesel and unleaded fuel charges for the shops tank. 9,943.9411/15/2018369838 PW SHOPS0190618-IN 501.000000.019.548.60.32.003 FUEL CONSUMED GASOLINEDiesel and unleaded fuel charges for Staon 13. 14,936.6711/15/2018369838 PW SHOPS0190619-IN 501.000000.019.548.60.32.003 FUEL CONSUMED GASOLINEDiesel and unleaded fuel charges for the shops tank. 39,535.64Check 369838 Amount OVERLAKE OIL INC Total $39,535.64 OWEN EQUIPMENT COMPANY - 009086 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 498.6811/15/2018370005 PW SHOPS00091061 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESVactor tube cleaners. 498.68Check 370005 Amount OWEN EQUIPMENT COMPANY Total $498.68 PACIFIC POWER GROUP LLC - 059355 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,322.1111/15/2018369839 PARKS ADMIN883018-00 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 FS12 FUEL PUMP ISSUES - REPLACED BATTERIES; AIR FILTER; AIR HOSE; RODENT SCREEN; REPAIR FAN AND FUEL PUMP CONTROLLER 3,271.0311/15/2018369839 PARKS ADMIN883017-00 504.000000.020.518.22.48.000 REPAIRS & MAINTENANCEFAC 10 CITY HALL FUEL PUMP MAINTENANCE. REPLACE BATTERIES; BLOCK HEATER; HOSES; 5,593.14Check 369839 Amount PACIFIC POWER GROUP LLC Total $5,593.14 PARKS-ANDREASON, ARLENE ANN - 060511 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 356.5111/15/2018369840 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 356.51Check 369840 Amount PARKS-ANDREASON, ARLENE ANN Total $356.51 PAR-TECH CONSTRUCTION INC - 060271 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department -25,666.4011/15/2018370006 REVENUE/BALANCE SHEETPAY EST #8 316.000000.000.223.40.00.000 RETAINAGE PAYABLEFAC 11 FS15 PE8 - CONSTRUCTION H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 47 of 125 data as of: 11/15/2018 3:21:36PM PAR-TECH CONSTRUCTION INC - 060271 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 51,332.8011/15/2018370006 PARKS ADMINPAY EST #8 316.220058.020.594.18.62.000 FIRE STATION 15Sales Tax 513,328.0011/15/2018370006 PARKS ADMINPAY EST #8 316.220058.020.594.18.62.000 FIRE STATION 15FAC 11 FS15 PE8 - CONSTRUCTION 538,994.40Check 370006 Amount PAR-TECH CONSTRUCTION INC Total $538,994.40 PAULINE FREUND - 060578 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 552.5011/15/2018369841 MUNICIPAL COURT110918 000.000000.002.512.50.41.009 OTHER ATTORNEY SERVICESPro Tem Services for Jury Trial 552.50Check 369841 Amount PAULINE FREUND Total $552.50 PERGAMO, JOSEPH OR IRENE - 113743 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 134.0711/15/2018370007 REVENUE/BALANCE SHEET037802/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - Final date: 10/10/18 134.07Check 370007 Amount PERGAMO, JOSEPH OR IRENE Total $134.07 PERKINS COIE LLP - 061142 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,040.0611/15/2018369842 PARKS ADMIN5905677 346.220062.020.594.75.62.000 FAMILY FIRST CENTER2018 09 FAMILY FIRST COMM CTR - LEGAL REVIEW - 15.65 hrs, review proposals, leer, amend contract docs, reivse agreement, update doc, more review 4,040.06Check 369842 Amount PERKINS COIE LLP Total $4,040.06 PHILLIPS, BRUCE H - 061675 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 248.2011/15/2018370008 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 248.20Check 370008 Amount PHILLIPS, BRUCE H Total $248.20 PHU CHU - 061693 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 7,443.9511/15/2018370009 HUMAN RESOURCESPhu Chu 502.000000.014.518.62.46.026 LIABILITY CLAIMS PW STREET MAINTselement of auto claim from 10-29-18 incident at NE 4th St and Monroe Ave NE, PUblic Works vehicle involved 7,443.95Check 370009 Amount PHU CHU Total $7,443.95 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 48 of 125 data as of: 11/15/2018 3:21:36PM PLATT ELECTRIC SUPPLY - 062289 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 88.3511/15/2018370010 TRANSPORTATION/AIRPORTT383879 003.000000.016.542.95.31.011 LIGHTING SUPPLIES4X SEC 1791 SP 3,356.6011/15/2018370010 TRANSPORTATION/AIRPORTZ347619 003.000000.016.542.95.31.011 LIGHTING SUPPLIES2500FT 8 BLK STR CU~ 2500FT 8 WH STR CU~ 2500FT 8 GRN STR CU~ 2500FT 8 BLK STR CU~ 1000FT 8 BLK STR CU~ 1000FT 8 GRN STR CU 1,427.8011/15/2018370010 TRANSPORTATION/AIRPORTZ362569 003.000000.016.542.95.31.011 LIGHTING SUPPLIEStracker cable 4,872.75Check 370010 Amount PLATT ELECTRIC SUPPLY Total $4,872.75 PND ENGINEERS - 061121 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,350.0011/15/2018370011 PARKS ADMIN1810142 316.332045.020.576.81.41.017 COULON PARK 5 YEAR STRUCTURAL REVIEWCS/PPNR: (CAG-18-177) SAILING CENTER - STRUCTURAL ASSESSMENT AT COULON MEMORIAL BEACH PARK. PND to provide Comprehensive Float Assessment for the Sailing Center Float at Coulon Park.~ PND Project No. 184077 - SEPT. 3, 2018 thru SEPT. 30, 2018 PROFESSIONAL SERVICES.~ 01 Assessment & Report @ $4,350.00 1,460.0011/15/2018370011 PARKS ADMIN1810152 316.332045.020.594.76.63.010 COULON PARK STRUCTURAL IMPROVEMENTSCIP/PPNR: SEPT (CAG-17-124) STRUCTURAL REPAIRS - GENE COULON PARK FACILITY STRUCTURAL REPAIRS; PND to provide professional facility structural repair design services for seven (7) structures in Gene Coulon Memorial Beach Park: (1) Ivar's Outdoor Deck; (2) Day Moorage Float (Transient Float) adjacent to Ivar's; (3) Boat Launch; (4) South Waterwalk; (5) Sailing Club Floats; (6) Bulkhead Sloughing; (7) Trestle Bridge. ~ PND Project No. 174041 - Sept. 3, 2018 thru Sept. 30, 2018 Professional Services;~ Task 1 - Ivar's Outdoor Deck Framing Repairs 01C Construcon Admin @ $550.00;~ Task 2 - Transient Moorage Float Replacement 02B Construcon Admin @ $420.00;~ Task 4 - South Waterwalk Repair 05B Construcon Admin @ $490.00 5,810.00Check 370011 Amount PND ENGINEERS Total $5,810.00 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 49 of 125 data as of: 11/15/2018 3:21:36PM POLLARDWATER.COM - 062443 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 710.8311/15/2018370012 PW SHOPS0122418 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENT4 2-1/2" X 25' fire hoses for Water. 710.83Check 370012 Amount POLLARDWATER.COM Total $710.83 POSTAL EXPRESS CORPORATION - 062806 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 7,252.1711/15/2018370013 EXECUTIVEP1810602 505.000000.003.518.70.42.001 POSTAGEPostal Express service - October 2018 7,252.17Check 370013 Amount POSTAL EXPRESS CORPORATION Total $7,252.17 PRINGLE, ARTHUR - 063540 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 525.4411/15/2018369843 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 525.44Check 369843 Amount PRINGLE, ARTHUR Total $525.44 PRINGLE, SYLVIA J - 063570 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,082.8311/15/2018370014 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 3,082.83Check 370014 Amount PRINGLE, SYLVIA J Total $3,082.83 PRINT NW LLC - 063565 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,373.6811/15/2018369844 CEDW22100101 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEPRINT NW UTILITY BOX WRAPS / PORT GRANT 2,813.4811/15/2018369844 CEDW22100201 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEPRINT NW UTILITY BOX WRAPS / PORT GRANT 6,187.16Check 369844 Amount PRINT NW LLC Total $6,187.16 PRINTCOM INC - 063578 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 817.7311/15/2018369845 FINANCE & IT136503 000.000000.004.514.20.31.000 OFFICE/OPERATING SUPPLIES11ea. 1000/per box Laser Checks for AP 817.73Check 369845 Amount PRINTCOM INC Total $817.73 PSR - 064542 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 50 of 125 data as of: 11/15/2018 3:21:36PM PSR - 064542 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 214.5111/15/2018369846 PARKS ADMINSV28809 504.000000.020.518.22.48.000 REPAIRS & MAINTENANCEFAC 10 CITY HALL AC-135/136 SERVICE CALL - ROOM WASN'T MAINTAINING SET POINTS. REVIEWED TREND LOGS WITH SCOTT 214.51Check 369846 Amount PSR Total $214.51 PUGET SOUND ENERGY - 064290 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 320.3211/15/2018370017 PARKS ADMIN300000009070e 000.000000.020.565.10.49.011 300 RAINIER BUILDING2018/10 FAC: OLD CHAMBERS/ OCTOBER 23.5911/15/2018370017 PARKS ADMIN300000009070a 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: KENNYDALE BEACH HOUSE/ OCTOBER 10.7611/15/2018370017 PARKS ADMIN300000009070aj 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: ROW IRRIGATION/ OCTOBER 10.4511/15/2018370017 PARKS ADMIN300000009070ak 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: RCC IRRIGATION / OCTOBER 12.0111/15/2018370017 PARKS ADMIN300000009070al 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: COULON / OCTOBER 209.6311/15/2018370017 PARKS ADMIN300000009070aq 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: RCC READER BOARD / OCTOBER 52.4611/15/2018370017 PARKS ADMIN300000009070at 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: PIAZZA IRRIGATION / OCTOBER 60.7711/15/2018370017 PARKS ADMIN300000009070au 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: ?? / OCTOBER 10.4511/15/2018370017 PARKS ADMIN300000009070av 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: GLENCO PARK IRRIGATION / OCTOBER 10.4511/15/2018370017 PARKS ADMIN300000009070ay 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: MAPLEWOOD IRRIGATION/ OCTOBER 329.9211/15/2018370017 PARKS ADMIN300000009070b 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: PIAZZA LIGHTING/FOUNTAIN/ OCTOBER 10.4511/15/2018370017 PARKS ADMIN300000009070bi 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: TONKINS IRRIGATION / OCTOBER 43.9611/15/2018370017 PARKS ADMIN300000009070bk 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: KIWANAS PARK FIELD LIGHTING / OCTOBER 28.1011/15/2018370017 PARKS ADMIN300000009070bn 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: JONES PARK RSTROM / OCTOBER 17.6511/15/2018370017 PARKS ADMIN300000009070bs 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: KENYON/DOBSON / OCTOBER 11.4911/15/2018370017 PARKS ADMIN300000009070bx 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: COULON / OCTOBER 125.1011/15/2018370017 PARKS ADMIN300000009070ce 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: COULON/KIDD VALLEY (lighng)/ OCTOBER H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 51 of 125 data as of: 11/15/2018 3:21:36PM PUGET SOUND ENERGY - 064290 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 63.7711/15/2018370017 PARKS ADMIN300000009070d 001.000000.020.576.80.47.001 ELECTRICITY2018/10 FAC: CRT/CARCO BATH IRRIGATION / OCTOBER 34.3011/15/2018370017 PARKS ADMIN300000009070bt 001.000000.020.576.80.47.003 GAS2018/10 FAC: KENYON/DOBSON / OCTOBER 60.2411/15/2018370017 TRANSPORTATION/AIRPORT220016417341 003.000000.016.542.93.47.001 ELECTRICITY2680 Sunset LN NE # PARK~ Services 9/27/2018 - 10/25/2018 20.9311/15/2018370017 TRANSPORTATION/AIRPORT220017597315 003.000000.016.542.93.47.001 ELECTRICITY16202 114TH AVE SE # ST LIGHT~ Services 10/8/2018 - 10/26/2018 12.4411/15/2018370017 TRANSPORTATION/AIRPORT220017723887 003.000000.016.542.93.47.001 ELECTRICITY5625 NE 8TH ST # LIGHT~ Services 9/28/2018 - 10/25/2018 42.5611/15/2018370017 TRANSPORTATION/AIRPORT220017723887 003.000000.016.542.93.47.001 ELECTRICITY5625 NE 8TH ST # LIGHT, Renton~ 8/22 to 9/27 509.2911/15/2018370017 TRANSPORTATION/AIRPORT300000006134 003.000000.016.542.93.47.001 ELECTRICITYTraffic Control Equip~ For Services 9/11/2018 - 10/9/2018 52,070.4311/15/2018370017 TRANSPORTATION/AIRPORT300000009260 003.000000.016.542.93.47.001 ELECTRICITYPSE Master Bill 303.1511/15/2018370017 TRANSPORTATION/AIRPORT300000255004 003.000000.016.542.93.47.001 ELECTRICITY4000 Maple Valley HWY # FNTN, Renton~ Service for 09/28/2018 through 10/26/2018 1,763.2911/15/2018370017 PARKS ADMIN300000009070k 108.220046.020.518.21.47.001 ELECTRICITY-PARKING GARAGE2018/10 FAC: CITY CENTER GARAGE/ OCTOBER 98.2011/15/2018370017 PARKS ADMIN300000009070w 108.220046.020.518.21.47.001 ELECTRICITY-PARKING GARAGE2018/10 FAC: TRANSIT CENTER LIGHTING / OCTOBER 589.7711/15/2018370017 PARKS ADMIN300000009070cj 108.220047.020.518.21.47.001 ELECTRICITY-PAVILION BUILDING2018/10 FAC: PAVILION / OCTOBER 145.3111/15/2018370017 PARKS ADMIN300000009070c 108.220047.020.518.21.47.003 GAS-PAVILION BUILDING2018/10 FAC: PAVILION / OCTOBER 148.9611/15/2018370017 PARKS ADMIN300000009070g 108.220048.020.518.21.47.001 ELECTRICITY-LIBERTY PARK BLDG2018/10 FAC: LIBERTY PARK / OCTOBER 204.4311/15/2018370017 PARKS ADMIN300000009070h 108.220048.020.518.21.47.001 ELECTRICITY-LIBERTY PARK BLDG2018/10 FAC: LIBERTY PARK / OCTOBER 76.3811/15/2018370017 PARKS ADMIN300000009070i 108.220048.020.518.21.47.003 GAS-LIBERTY PARK BLDG2018/10 FAC: LIBERTY PARK / OCTOBER 157.7611/15/2018370017 PARKS ADMIN300000009070bg 108.220053.020.518.21.47.001 ELECTRICITY2018/10 FAC: BOATHOUSE / OCTOBER 47.7911/15/2018370017 PARKS ADMIN300000009070ck 316.332043.020.576.81.47.001 SUNSET EIS PARK - ELECTRICITY2018/10 FAC: 2680 Sunset Lane NE / OCTOBER 46.4711/15/2018370017 PARKS ADMIN200005360827 404.000000.020.576.61.47.001 ELECTRICITY2018 06 GC LIGHTING / ELEC 47.6211/15/2018370017 PARKS ADMIN200005360827 404.000000.020.576.61.47.001 ELECTRICITY2018 10 GC STREET LIGHT ELEC H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 52 of 125 data as of: 11/15/2018 3:21:36PM PUGET SOUND ENERGY - 064290 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 53.0011/15/2018370017 PARKS ADMIN200021929068 404.000000.020.576.61.47.003 GAS2018 10 GC DRIVING RANGE HOT WATER - GAS 55,727.2111/15/2018370017 PW SHOPS300000009716 405.000000.019.534.50.47.001 ELECTRICITY/PUMPINGPower bill for all Water well, pump staons, citywide. 3,028.2611/15/2018370017 PW SHOPS300000003313 406.000000.019.535.50.47.001 ELECTRICITY/PUMPINGPower bill for Sewer li staons, citywide. 197.6911/15/2018370017 PW SHOPS300000001739 407.000000.019.531.35.47.001 ELECTRICITYPower bill for 1500 Oakesdale Ave SW li staon. 792.1811/15/2018370017 PARKS ADMIN220012866905 11 504.000000.020.518.21.47.001 ELECTRICITYFAC 11 FS17 UTILITIES INVOICE~ GAS 75.02/ELEC 792.18 134.9311/15/2018370017 PARKS ADMIN300000009070 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: PHILIP ARNOLD PARK AREA LIGHTS / OCTOBER 91.4511/15/2018370017 PARKS ADMIN300000009070aa 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: CRT LIGHTING / OCTOBER 1,361.9111/15/2018370017 PARKS ADMIN300000009070ac 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: RON REGIS MAIN. SHACK / OCTOBER 1,231.1711/15/2018370017 PARKS ADMIN300000009070af 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: FS 14/ OCTOBER 325.3011/15/2018370017 PARKS ADMIN300000009070ah 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: MUSEUM/ OCTOBER 2,721.0111/15/2018370017 PARKS ADMIN300000009070ai 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: FS 13 / OCTOBER 108.3711/15/2018370017 PARKS ADMIN300000009070am 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: WINDSOR HILLS RSTRM / OCTOBER 394.1711/15/2018370017 PARKS ADMIN300000009070an 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: POLICE EVIDENCE STORAGE (SHOPS)/ OCTOBER 529.0911/15/2018370017 PARKS ADMIN300000009070ao 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: COULON/SHOP/ OCTOBER 219.9911/15/2018370017 PARKS ADMIN300000009070ap 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: COULON/NO. RSTRM / OCTOBER 10.4511/15/2018370017 PARKS ADMIN300000009070ar 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: MAPLEWOOD PARK RSTRM / OCTOBER 59.2011/15/2018370017 PARKS ADMIN300000009070as 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: CRT RSTRM / OCTOBER 2,030.2511/15/2018370017 PARKS ADMIN300000009070ax 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: LIBERTY PARK GRANDSTAND/ OCTOBER 5,308.3311/15/2018370017 PARKS ADMIN300000009070ba 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: SHOPS / OCTOBER 2,217.4911/15/2018370017 PARKS ADMIN300000009070bb 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: FS 12 / OCTOBER 275.5111/15/2018370017 PARKS ADMIN300000009070bd 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: FAC SHOP / OCTOBER H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 53 of 125 data as of: 11/15/2018 3:21:36PM PUGET SOUND ENERGY - 064290 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 18.6511/15/2018370017 PARKS ADMIN300000009070bf 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: KENNYDALE BEACH PARK BATHHOUSE/ OCTOBER 71.3511/15/2018370017 PARKS ADMIN300000009070bh 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: KENNYDALE LIONS BUILDING/RSTRM / OCTOBER 185.7611/15/2018370017 PARKS ADMIN300000009070bj 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: KIWANAS PARK BUILDING/RSTRM / OCTOBER 212.7311/15/2018370017 PARKS ADMIN300000009070bl 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: NORTH HIGHLANDS / OCTOBER 5,132.9211/15/2018370017 PARKS ADMIN300000009070bo 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: RCC/ OCTOBER 556.5911/15/2018370017 PARKS ADMIN300000009070bu 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: OLD LIBRARY / OCTOBER 125.5911/15/2018370017 PARKS ADMIN300000009070bv 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: COULON/SO. RSTRM / OCTOBER 475.7711/15/2018370017 PARKS ADMIN300000009070bw 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: COULON/SO. BATHHOUSE / OCTOBER 250.6111/15/2018370017 PARKS ADMIN300000009070by 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: TRAILS SHOP / OCTOBER 2,066.6911/15/2018370017 PARKS ADMIN300000009070cb 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: FS 11 / OCTOBER 62.3711/15/2018370017 PARKS ADMIN300000009070cd 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: HERITAGE PARK RSTRM / OCTOBER 813.3911/15/2018370017 PARKS ADMIN300000009070cf 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: HMAC / OCTOBER 620.5411/15/2018370017 PARKS ADMIN300000009070ch 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: FS 16/ OCTOBER 72.7611/15/2018370017 PARKS ADMIN300000009070f 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: THOMAS TEASDALE PARK RSTRM / OCTOBER 165.5511/15/2018370017 PARKS ADMIN300000009070j 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: LIBERTY PARK MAIN. SHACK / OCTOBER 10.4511/15/2018370017 PARKS ADMIN300000009070l 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: EARLINGTON PARK IRRIGATION/ OCTOBER 133.3911/15/2018370017 PARKS ADMIN300000009070p 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: HIGHLANDS NEIGHBORHOOD CENTER / OCTOBER 346.5411/15/2018370017 PARKS ADMIN300000009070q 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: HIGHLANDS NEIGHBORHOOD CENTER / OCTOBER 725.7011/15/2018370017 PARKS ADMIN300000009070s 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: PARK AVE SHOP / OCTOBER 188.8711/15/2018370017 PARKS ADMIN300000009070u 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: PARK AVE SHOP OUTBUILDING / OCTOBER 2,294.1711/15/2018370017 PARKS ADMIN300000009070x 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: SENIOR CENTER / OCTOBER H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 54 of 125 data as of: 11/15/2018 3:21:36PM PUGET SOUND ENERGY - 064290 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 10.4511/15/2018370017 PARKS ADMIN300000009070y 504.000000.020.518.21.47.001 ELECTRICITY2018/10 FAC: BURNETT AVE IRRIGATION / OCTOBER 75.0211/15/2018370017 PARKS ADMIN220012866905 11 504.000000.020.518.21.47.003 GASFAC 11 FS17 UTILITIES INVOICE~ GAS 75.02/ELEC 792.18 267.5511/15/2018370017 PARKS ADMIN300000009070ab 504.000000.020.518.21.47.003 GAS2018/10 FAC: MUSEUM / OCTOBER 106.7911/15/2018370017 PARKS ADMIN300000009070ad 504.000000.020.518.21.47.003 GAS2018/10 FAC: FS 13 / OCTOBER 47.4511/15/2018370017 PARKS ADMIN300000009070ae 504.000000.020.518.21.47.003 GAS2018/10 FAC: KIWANAS PARK BUILDING/RSTRM/ OCTOBER 497.5211/15/2018370017 PARKS ADMIN300000009070ag 504.000000.020.518.21.47.003 GAS2018/10 FAC: FS 14 / OCTOBER 38.1311/15/2018370017 PARKS ADMIN300000009070aw 504.000000.020.518.21.47.003 GAS2018/10 FAC: FS 11 / OCTOBER 35.1711/15/2018370017 PARKS ADMIN300000009070az 504.000000.020.518.21.47.003 GAS2018/10 FAC: JONES PARK RSTRM / OCTOBER 260.4111/15/2018370017 PARKS ADMIN300000009070bc 504.000000.020.518.21.47.003 GAS2018/10 FAC: FS 12 / OCTOBER 132.5111/15/2018370017 PARKS ADMIN300000009070be 504.000000.020.518.21.47.003 GAS2018/10 FAC: FAC SHOP / OCTOBER 247.4511/15/2018370017 PARKS ADMIN300000009070bm 504.000000.020.518.21.47.003 GAS2018/10 FAC: NORTH HIGHLANDS / OCTOBER 195.0111/15/2018370017 PARKS ADMIN300000009070bp 504.000000.020.518.21.47.003 GAS2018/10 FAC: RCC / OCTOBER 86.9111/15/2018370017 PARKS ADMIN300000009070bq 504.000000.020.518.21.47.003 GAS2018/10 FAC: KENNYDALE/STEAM BOILER/ OCTOBER 34.3011/15/2018370017 PARKS ADMIN300000009070br 504.000000.020.518.21.47.003 GAS2018/10 FAC: FS 14 / OCTOBER 151.8111/15/2018370017 PARKS ADMIN300000009070bz 504.000000.020.518.21.47.003 GAS2018/10 FAC: TRAILS SHOP / OCTOBER 49.0311/15/2018370017 PARKS ADMIN300000009070ca 504.000000.020.518.21.47.003 GAS2018/10 FAC: FS 13 / OCTOBER 269.0711/15/2018370017 PARKS ADMIN300000009070cg 504.000000.020.518.21.47.003 GAS2018/10 FAC: HMAC / OCTOBER 74.6411/15/2018370017 PARKS ADMIN300000009070ci 504.000000.020.518.21.47.003 GAS2018/10 FAC: FS 16 / OCTOBER 34.3011/15/2018370017 PARKS ADMIN300000009070r 504.000000.020.518.21.47.003 GAS2018/10 FAC: HIGHLANDS NEIGHBORHOOD CENTER / OCTOBER 245.6411/15/2018370017 PARKS ADMIN300000009070t 504.000000.020.518.21.47.003 GAS2018/10 FAC: PARK AVE SHOP / OCTOBER 166.7011/15/2018370017 PARKS ADMIN300000009070v 504.000000.020.518.21.47.003 GAS2018/10 FAC: PARK AVE SHOP OUTBUILDING / OCTOBER 59.7311/15/2018370017 PARKS ADMIN300000009070z 504.000000.020.518.21.47.003 GAS2018/10 FAC: TIFFANY PARK RSTRM / OCTOBER H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 55 of 125 data as of: 11/15/2018 3:21:36PM PUGET SOUND ENERGY - 064290 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 24,549.0311/15/2018370017 PARKS ADMIN300000009070m 504.000000.020.518.22.47.001 ELECTRICITY2018/10 FAC: CITY HALL (adj 22858.43)/ OCTOBER 26.5611/15/2018370017 PARKS ADMIN300000009070n 504.000000.020.518.22.47.001 ELECTRICITY2018/10 FAC: CITY HALL IRRIGATION / OCTOBER 460.8811/15/2018370017 PARKS ADMIN300000009070o 504.000000.020.518.22.47.003 GAS2018/10 FAC: CITY HALL / OCTOBER 177,200.06Check 370017 Amount PUGET SOUND ENERGY Total $177,200.06 QUICK & CLEAR SERVICES INC - 031333 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 495.0011/15/2018370018 PARKS ADMIN13834 000.060751.020.565.10.49.000 HRAP-FIRST SAVINGSHS 10 CHINN, A - MOSS TREATMENT AND GUTTER CLEANING 495.00Check 370018 Amount QUICK & CLEAR SERVICES INC Total $495.00 QUIGG BROS. INC - 065158 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department -6,975.0011/15/2018369847 REVENUE/BALANCE SHEETPay Est #1 316.000000.000.223.40.00.000 RETAINAGE PAYABLECAG-18-062 GENE COULON MEMORIAL BEACH PARK STRUCTURAL REPAIRS~ PE#1 (Period thru 10/31/2018) 13,950.0011/15/2018369847 PARKS ADMINPay Est #1 316.332045.020.594.76.63.010 COULON PARK STRUCTURAL IMPROVEMENTSSales Tax 139,500.0011/15/2018369847 PARKS ADMINPay Est #1 316.332045.020.594.76.63.010 COULON PARK STRUCTURAL IMPROVEMENTSCAG-18-062 GENE COULON MEMORIAL BEACH PARK STRUCTURAL REPAIRS~ PE#1 (Period thru 10/31/2018) 146,475.00Check 369847 Amount QUIGG BROS. INC Total $146,475.00 RDM CONSTRUCTION - 066005 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 7,866.7411/15/2018369848 PARKS ADMIN8489 004.957002.020.565.10.49.001 2017 HEALTHY HOUSING PROG - 2015 FUNDSHS 10 CBGD HEALTHY HOUSING - SUSAN KOKKO - ROOF REPLACEMENT 7,866.74Check 369848 Amount RDM CONSTRUCTION Total $7,866.74 RENTON CHAMBER OF, COMMERCE - 066950 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 500.0011/15/2018370019 CED2017938 000.000000.007.558.70.49.011 MISCELLANEOUS-BUSINESSCHAMBER LUNCH-ECON FORECAST TABLE SPONSOR 11/7/18 500.00Check 370019 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 56 of 125 data as of: 11/15/2018 3:21:36PM RENTON CHAMBER OF, COMMERCE Total $500.00 RENTON DOWNTOWN PARTNERSHIP - 067104 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,500.0011/15/2018370020 CEDRDP_5 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLERDP HOLIDAY SPONSORSHIP / OLDE FASHIONED HALLOWEEN/ DOWNTOWN 1,500.00Check 370020 Amount RENTON DOWNTOWN PARTNERSHIP Total $1,500.00 RENTON ECUMENICAL ASSOCIATION - 067105 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018370021 REVENUE/BALANCE SHEET103118 000.000000.000.237.31.00.000 CUSTODIAL ACCOUNT-RENTON GIVESRentonGives reconciled withholdings 40.00Check 370021 Amount RENTON ECUMENICAL ASSOCIATION Total $40.00 RENTON FOOD BANK - 100004 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 154.5011/09/2018369758 REVENUE/BALANCE SHEETBen1810474 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSRENTON FOOD BANK: Payment 154.50Check 369758 Amount RENTON FOOD BANK Total $154.50 RENTON MANAGEMENT ASSOCIATION - 100014 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 760.0011/09/2018369759 REVENUE/BALANCE SHEETBen1810472 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSMNGT DUES: Payment 760.00Check 369759 Amount RENTON MANAGEMENT ASSOCIATION Total $760.00 RENTON POLICE ATHLETIC ASSOC - 067473 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 209.0011/09/2018369760 REVENUE/BALANCE SHEETBen1810466 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSRenton Police Athlec Assoc: Payment 209.00Check 369760 Amount RENTON POLICE ATHLETIC ASSOC Total $209.00 RENTON POLICE CHAPLAINCY COMM - 100005 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 5.0011/09/2018369761 REVENUE/BALANCE SHEETBen1810476 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSCHAPLAINCY COMM: Payment 5.00Check 369761 Amount RENTON POLICE CHAPLAINCY COMM Total $5.00 RENTON POLICE OFFICERS GUILD - 100013 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,156.6811/09/2018369762 REVENUE/BALANCE SHEETBen1810468 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSGUILD DUES COMM: Payment H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 57 of 125 data as of: 11/15/2018 3:21:36PM RENTON POLICE OFFICERS GUILD - 100013 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 752.2911/09/2018369762 REVENUE/BALANCE SHEETBen1810468 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSGUILD DUES N/C: Payment 4,908.97Check 369762 Amount RENTON POLICE OFFICERS GUILD Total $4,908.97 RENTON REGIONAL FIRE AUTHORITY - 067479 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 6,207.9011/15/2018370022 REVENUE/BALANCE SHEETOctober 000.000000.000.229.00.00.003 DUE TO RRFA - FIRE PRO SYS PER/PLAN REVFire endorsement fees collected by the COR for September 1,828.2911/15/2018370022 REVENUE/BALANCE SHEETOctober 000.000000.000.229.00.00.004 DUE TO RRFA - CONSTRUCTION PERMIT FEESFire endorsement fees collected by the COR for September 8,036.19Check 370022 Amount RENTON REGIONAL FIRE AUTHORITY Total $8,036.19 RENTON SCHOOL DISTRICT - 033166 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 208,034.4011/15/2018370023 REVENUE/BALANCE SHEETImpact Fees 000.000000.000.237.24.00.000 RENTON SCHOOL DISTRICT IMPACT FEEImpact Fees - September 70.1611/15/2018370023 REVENUE/BALANCE SHEETImpact Fees 000.000000.000.237.24.00.000 RENTON SCHOOL DISTRICT IMPACT FEEInterest 208,104.56Check 370023 Amount RENTON SCHOOL DISTRICT Total $208,104.56 REPUBLIC SERVICES INC - 067976 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department -1,124,822.8711/15/2018369849 UTILITY SYSTEMSOct 2018 403.000000.018.343.70.00.000 GARBAGE/SOLID WASTEOct 2018 Contractor Fee Payment Credit 1,680,175.2411/15/2018369849 UTILITY SYSTEMSOct 2018 403.000000.018.537.60.47.082 PAYMENT TO GARBAGE CONTRACTOROct 2018 Contractor Fee Payment 555,352.37Check 369849 Amount REPUBLIC SERVICES INC Total $555,352.37 RETAIL LOCKBOX INC - 068072 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,680.0011/15/2018369850 FINANCE & IT18080008 000.000000.004.514.20.41.003 CONTRACTED SERVICESImplementaon and Setup of Retail LockBox Services for B&O Business Lic Program 1,798.0011/15/2018369850 FINANCE & IT18100001 000.000000.004.514.20.41.003 CONTRACTED SERVICESB&O Annual PO Box Fee #35136 6,478.00Check 369850 Amount RETAIL LOCKBOX INC Total $6,478.00 RH2 ENGINEERING INC - 068180 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 58 of 125 data as of: 11/15/2018 3:21:36PM RH2 ENGINEERING INC - 068180 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 15,771.8311/15/2018369851 UTILITY SYSTEMS71520 425.455530.018.594.34.63.000 WATER PUMP STATIONS REHABCAG-18-011, Preliminary Design of South Talbot and West Hill Booster Pump Staon Upgrades, EXP 12/31/18. 9,698.8211/15/2018369851 UTILITY SYSTEMS71519 425.455535.018.594.34.63.000 RESERVOIR PRV METERSCAG-18-026, PRV Staon Rehabilitaon and Replacement Study, EXP 10/31/18. 25,470.65Check 369851 Amount RH2 ENGINEERING INC Total $25,470.65 RHODES, RON - 068187 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 50.0011/15/2018369852 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 50.00Check 369852 Amount RHODES, RON Total $50.00 RIGGLE, ARDUTH S - 068460 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 77.4911/15/2018370024 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 77.49Check 370024 Amount RIGGLE, ARDUTH S Total $77.49 RIVETING WRAPS - 068484 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,668.5011/15/2018369853 PW SHOPSINV-9325 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALGraphics for B269, B270 and B271. 632.5011/15/2018369853 PW SHOPSINV-9333 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALGraphics for B288 1,468.5011/15/2018369853 PW SHOPSINV-9334 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALGraphics for B272 5,769.50Check 369853 Amount RIVETING WRAPS Total $5,769.50 ROACH GYMNASTICS INC - 068800 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,039.8011/15/2018370025 PARKS ADMINROACH 10/1-10/22 001.250006.020.571.20.41.003 CONTRACTED SERVICES-GEN PROGRAMSGYMNASTICS TODDLER #62057~ GYMNASTICS PRE K #62060~ GYMNASTICS YOUTH #62066~ GYMNASTICS ADVANCED #62070~ FALL 2018 2,039.8011/15/2018370025 PARKS ADMINROACH 10/3-10/24 001.250006.020.571.20.41.003 CONTRACTED SERVICES-GEN PROGRAMSGYMNASTICS PRE- K #62074~ GYMNASTICS YOUTH #62078~ GYMNASTICS YOUTH ADVANCED #62082~ GYMNASTICS YOUTH #62086~ FALL 2018 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 59 of 125 data as of: 11/15/2018 3:21:36PM ROACH GYMNASTICS INC - 068800 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4,079.60Check 370025 Amount ROACH GYMNASTICS INC Total $4,079.60 RODARTE CONSTRUCTION INC - 069020 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 39,260.0011/15/2018369854 UTILITY SYSTEMSPay Est #20/Final 427.475475.018.594.31.63.000 HARDIE AVE S UNDERPASS STORM SYSTEM IMPRCAG-16-061, SW 7th Street, Powell Ave SW to Lind Ave SW, Storm System Improvement Project - Phase 2, Exp 12/31/17. CO #1-16, subtracted $15,810. CO #2-17, Add Time. CO#3-17, Add money and me. CO #4-17, Add money. 39,260.00Check 369854 Amount RODARTE CONSTRUCTION INC Total $39,260.00 ROLAND, PATRICIA - 069164 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018370026 CITY CLERKP. Roland/Oct 2018 000.000000.012.514.21.43.006 MEAL ALLOWANCE - VOLUNTEERLobby Volunteer - October 2018 40.00Check 370026 Amount ROLAND, PATRICIA Total $40.00 ROWLAND, KRISTI - 011704 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 45.0011/15/2018370027 FINANCE & ITperdiem Rowland 000.500004.004.514.20.43.007 MEALS & INCIDENTALS - RENTON RESULTSper diem for WCMA Board Retreat 45.00Check 370027 Amount ROWLAND, KRISTI Total $45.00 RUPPRECHT, JIM - 069941 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 107.6011/15/2018369855 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 107.60Check 369855 Amount RUPPRECHT, JIM Total $107.60 SADRI, MEHDI - 048810 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 625.2311/15/2018370028 FINANCE & ITReim/Hya 503.000000.004.518.82.43.008 LODGINGHotel for SmartCies Conf Atlanta GA 625.23Check 370028 Amount SADRI, MEHDI Total $625.23 SAFARILAND LLC - 070104 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 60 of 125 data as of: 11/15/2018 3:21:36PM SAFARILAND LLC - 070104 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,515.6011/15/2018369856 POLICEI18-069645 000.000000.008.521.22.35.000 SMALL TOOLS/MINOR EQUIPMENTTaccal Single Launcher (40mm) expandable for Patrol Operaons 3,515.60Check 369856 Amount SAFARILAND LLC Total $3,515.60 SALVATION ARMY, THE - 070327 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 120.0011/15/2018370029 REVENUE/BALANCE SHEET103118 000.000000.000.237.31.00.000 CUSTODIAL ACCOUNT-RENTON GIVESRentonGives reconciled withholdings & donaons 120.00Check 370029 Amount SALVATION ARMY, THE Total $120.00 SANDOVAL, THOMAS OR ELYSE - 113744 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 82.0011/15/2018370030 REVENUE/BALANCE SHEET054562/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - Final date: 9/12/18 82.00Check 370030 Amount SANDOVAL, THOMAS OR ELYSE Total $82.00 SCORE - 071525 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 497,367.6711/15/2018370031 POLICE3399 000.000000.008.523.60.51.003 JAIL SERVICESInmate housing for November 2018 497,367.67Check 370031 Amount SCORE Total $497,367.67 SD EXCAVATING INC - 113767 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,000.0011/15/2018370032 REVENUE/BALANCE SHEETW18005366 405.000000.000.237.00.00.000 CUSTODIAL ACCOUNTS-HYDRANT METERHydrant deposit refund of $2,000 and credit bal of $28.73 on ulity acct 059160 28.7311/15/2018370032 REVENUE/BALANCE SHEETW18005366 405.000000.000.257.00.00.000 DEFERRED REVENUEHydrant deposit refund of $2,000 and credit bal of $28.73 on ulity acct 059160 2,028.73Check 370032 Amount SD EXCAVATING INC Total $2,028.73 SHOPE CONCRETE PRODUCTS CO - 074565 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,855.0611/15/2018369857 PW SHOPS9986250 407.000000.019.531.35.34.000 SURFACE WATER INVENTORY PURCHASEDConcrete risers and catch basins for stock. 3,855.06Check 369857 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 61 of 125 data as of: 11/15/2018 3:21:36PM SHOPE CONCRETE PRODUCTS CO Total $3,855.06 SMITH, SHIRLEY - 075510 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 462.9811/15/2018369858 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 462.98Check 369858 Amount SMITH, SHIRLEY Total $462.98 SMITH, THOMAS E - 075516 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 300.0011/15/2018370033 POLICE102918-SmithT-ADVTRL 000.000000.008.521.30.43.007 MEALS & INCIDENTAL EXPENSEAdvanced per diem for SMITH,T. to aend the New Fire/Arson Invesgator Academy on December 2 - 7, 2018 in Las Vegas, NV. 300.00Check 370033 Amount SMITH, THOMAS E Total $300.00 SONITROL PACIFIC - 076061 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 160.1611/15/2018370034 PARKS ADMIN909457 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 11 HISTORY MUSEUM ALARM MONITORING - NOVEMBER 160.16Check 370034 Amount SONITROL PACIFIC Total $160.16 SOOS CREEK WATER & SEWER DIST - 075986 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 98.0011/15/2018370035 PARKS ADMIN07018-010605 10 504.000000.020.518.21.47.002 WATER, METRO, GARBAGEFAC 10 FS13 WATER FOR AUG-OCT~ 08/10-10/16 370.1811/15/2018370035 PARKS ADMIN0708-010600 10 504.000000.020.518.21.47.002 WATER, METRO, GARBAGEFAC 10 FS13 WATER/SEWER FOR BILLING AUG-OCT 185.2911/15/2018370035 PARKS ADMIN0708-010610 10 504.000000.020.518.21.47.002 WATER, METRO, GARBAGEFAC 10 FS13 WATER FOR BILLING ~ 08/10-10/16 98.0011/15/2018370035 PARKS ADMIN0708-010625 10 504.000000.020.518.21.47.002 WATER, METRO, GARBAGEFAC 10 FS13 WATER FOR AUG-OCT BILLING 751.47Check 370035 Amount SOOS CREEK WATER & SEWER DIST Total $751.47 SOUND GENERATIONS - 073590 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 5,250.0011/15/2018369859 PARKS ADMIN2018QTR3SGTP 000.000000.020.565.10.41.003 CONTRACTED SERVICES2018 3QTR HUMAN SERVICES AGENCY REIMBURSEMENT REQUEST - VOLUNTEER TRANSPORTATION H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 62 of 125 data as of: 11/15/2018 3:21:36PM SOUND GENERATIONS - 073590 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 7,396.2511/15/2018369859 REVENUE/BALANCE SHEET2018QTR3SGTP 650.000000.000.237.00.00.001 CUSTODIAL ACCOUNTS-HS AGENCIES2018 3QTR HUMAN SERVICES AGENCY REIMBURSEMENT REQUEST - VOLUNTEER TRANSPORTATION 12,646.25Check 369859 Amount SOUND GENERATIONS Total $12,646.25 SPECIAL SERVICES GROUP LLC - 076287 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 720.0011/15/2018370036 POLICE10136 000.080315.008.521.23.41.000 PROFESSIONAL SERVICESRenewal / Covert Track Srvc GPS, 1/24/19 - 1/23/20 720.00Check 370036 Amount SPECIAL SERVICES GROUP LLC Total $720.00 SPOK INC - 085049 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 37.9911/15/2018369860 TRANSPORTATION/AIRPORTB0296370V 003.000000.016.542.95.42.002 CELL PHONES/PAGERSpager service 10-11/2018 37.99Check 369860 Amount SPOK INC Total $37.99 SPRINT SOLUTIONS INC - 055415 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,706.6811/15/2018370037 FINANCE & IT794625006-116 503.000000.004.518.82.42.002 CELL PHONES/PAGERSOct 2018 Cell phones 1,706.68Check 370037 Amount SPRINT SOLUTIONS INC Total $1,706.68 STANDARD INSURANCE COMPANY - 077195 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 11,770.1811/09/2018369763 REVENUE/BALANCE SHEETBen1810464 632.000000.000.231.50.40.000 ACCRUED EMPLOYEE BENEFITSStandard Ins - LTD not comm: Payment 1,481.9311/09/2018369763 REVENUE/BALANCE SHEETBen1810464 632.000000.000.231.50.50.000 ACCRUED EMPLOYEE BENEFITSStandard Ins 50+ Plan 3: Payment 1,886.2511/09/2018369763 REVENUE/BALANCE SHEETBen1810464 632.000000.000.231.50.50.000 ACCRUED EMPLOYEE BENEFITSStandard Ins Group Life 2170: Payment 698.2911/09/2018369763 REVENUE/BALANCE SHEETBen1810464 632.000000.000.231.50.50.000 ACCRUED EMPLOYEE BENEFITSStandard Ins Group Life: Payment 15,836.65Check 369763 Amount STANDARD INSURANCE COMPANY Total $15,836.65 STAVE LAW OFFICE PLLC - 077535 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,575.0011/15/2018370038 EXECUTIVEstave102418 000.000000.003.512.50.41.010 COURT PUBLIC DEFENDERSPublic defense services 1,575.00Check 370038 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 63 of 125 data as of: 11/15/2018 3:21:36PM STAVE LAW OFFICE PLLC Total $1,575.00 STONEWAY CONCRETE - 078450 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 926.2311/15/2018370039 CED952185 000.000000.007.558.70.61.000 LAND IMPROVEMENTS6 cy of concrete for downtown Parklet Demonstraon. 926.23Check 370039 Amount STONEWAY CONCRETE Total $926.23 STRADA DA VALLE PARTNERS - 110272 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 208.4111/15/2018370040 REVENUE/BALANCE SHEET013246/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 2300 E Valley Rd Blvd, Final date: 9/7/18 414.5711/15/2018370040 REVENUE/BALANCE SHEET013274/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 2300 E Valley Rd, Final date: 9/7/18 962.2911/15/2018370040 REVENUE/BALANCE SHEET013275/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 2300 E Valley Rd Blvd, Final date: 9/7/18 341.5411/15/2018370040 REVENUE/BALANCE SHEET014941/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 2300 E Valley Rd, Final date: 9/7/18 1,926.81Check 370040 Amount STRADA DA VALLE PARTNERS Total $1,926.81 STROM, DORIS M - 078660 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,908.4111/15/2018369861 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 3,908.41Check 369861 Amount STROM, DORIS M Total $3,908.41 STYRO RECYCLE LLC - 085966 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 40.0011/15/2018370041 UTILITY SYSTEMS8807 403.000000.018.537.60.49.006 OTHER MISCELLANEOUSCity Hall Styrofoam Recycling Pickup on 10/15/2018. 40.00Check 370041 Amount STYRO RECYCLE LLC Total $40.00 T2 SYSTEMS CANADA INC - 079556 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 110.0011/15/2018370042 PARKS ADMIN0000046623 108.220046.020.518.21.48.000 REPAIRS & MAINTENANCE-PARKING GARAGEFAC 10 CITY GARAGE KIOSK SERVICES - NOVEMBER 110.00Check 370042 Amount T2 SYSTEMS CANADA INC Total $110.00 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 64 of 125 data as of: 11/15/2018 3:21:36PM TETRA TECH INC - 080599 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 5,647.9711/15/2018370043 UTILITY SYSTEMS51371986 427.475501.018.531.35.41.000 CEDAR RIVER 205 LEVEE RECERT PROF SVCSCAG-15-224 Cedar River 205 Project Levee Cerficaon, EXP 11/1/2018. ADD 1-16, add money. ADD 2-16, add money and me. ADD 3-18, add money and me, EXP 6/1/2019. 5,647.97Check 370043 Amount TETRA TECH INC Total $5,647.97 THE RETAIL COACH LLC - 068076 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 14,000.0011/15/2018369862 CED2961 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLERETAIL COACH FINAL RETAIL RECRUITMENT & DEVELOPMENT PLAN 14,000.00Check 369862 Amount THE RETAIL COACH LLC Total $14,000.00 THE WEATHER COMPANY LLC - 089958 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 420.2411/15/2018370044 PARKS ADMINA45792 404.000000.020.576.68.34.000 PURCHASES MERCHANDISEGC: MERCH RESALE: JACKETS 420.24Check 370044 Amount THE WEATHER COMPANY LLC Total $420.24 THYSSEN KRUPP ELEVATOR - 081355 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 666.9411/15/2018370045 PARKS ADMIN3004057429 108.220046.020.518.21.48.000 REPAIRS & MAINTENANCE-PARKING GARAGEFAC 08 CITY CTR PARKING GARAGE ELEV SERVICE AGREEMENT 333.4511/15/2018370045 PARKS ADMIN3004058060 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 08 SENIOR CTR ELEVATOR SERVICE AGREEMENT 333.4411/15/2018370045 PARKS ADMIN3004059593 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 08 FS12 ELEVATOR SERVICE AGREEMENT 333.4411/15/2018370045 PARKS ADMIN3004059771 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 08 FS42 ELEVATOR SERVICE AGREEMENT 1,667.27Check 370045 Amount THYSSEN KRUPP ELEVATOR Total $1,667.27 TIAA-CREF - 081358 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 0.0211/09/20185928 REVENUE/BALANCE SHEETBen1810492 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSDef Comp - Retro ER: Payment 248.2911/09/20185928 REVENUE/BALANCE SHEETBen1810492 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITS401a Employee Contribuon: Payment 5,715.3111/09/20185928 REVENUE/BALANCE SHEETBen1810492 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSDef Comp - ER: Payment 541.4511/09/20185928 REVENUE/BALANCE SHEETBen1810492 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITS401a Employer Contribuon: Payment H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 65 of 125 data as of: 11/15/2018 3:21:36PM TIAA-CREF - 081358 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 64,510.1211/09/20185928 REVENUE/BALANCE SHEETBen1810492 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSDef Comp- EE: Payment 70,710.0311/09/20185928 REVENUE/BALANCE SHEETBen1810492 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSDef Comp - ER: Payment 9,714.0611/09/20185928 REVENUE/BALANCE SHEETBen1810492 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSRoth Contribuon: Payment 151,439.28Check 5928 Amount TIAA-CREF Total $151,439.28 TODD, TESS R - 081570 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 524.9211/15/2018369863 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 524.92Check 369863 Amount TODD, TESS R Total $524.92 TORRES-CHITTANANONH, CELIA M - 113745 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 459.7411/15/2018370046 REVENUE/BALANCE SHEET023779/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 2111 Wells Ct S, Final date: 10/3/18 459.74Check 370046 Amount TORRES-CHITTANANONH, CELIA M Total $459.74 TX CHILD SUPPORT SDU - 100045 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 170.0011/09/2018369764 REVENUE/BALANCE SHEETBen1810484 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSTexas Child Support: Payment 170.00Check 369764 Amount TX CHILD SUPPORT SDU Total $170.00 UNITED RENTALS NW INC - 083568 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 966.3511/15/2018370047 PARKS ADMIN161282591-002 404.000000.020.576.65.45.000 OPERATING RENTALSGC: COURSE EQUIPMENT RENTAL / MINI EXCAVATOR WITH BUCKET~ 10/16/18-10/19/18 966.35Check 370047 Amount UNITED RENTALS NW INC Total $966.35 UNITED SITE SERVICES - 083663 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 66 of 125 data as of: 11/15/2018 3:21:36PM UNITED SITE SERVICES - 083663 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 280.0011/15/2018369864 PARKS ADMIN114-7535469 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCEFAC 10 HIIGHLANDS NEIGHBORHOOD CTR SANICAN~ 1 ADA WHEELCHAIR ACCESS~ 1 REG SERVICE~ 1 XSVC-ADA~ HS 280.00Check 369864 Amount UNITED SITE SERVICES Total $280.00 UNIVAR USA INC - 086409 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 5,164.7411/15/2018370048 PW SHOPSKT557258 405.000000.019.534.50.31.005 CHEMICALS3500 gallons of causc for Springbrook and CCTF. 5,164.74Check 370048 Amount UNIVAR USA INC Total $5,164.74 US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 15.3811/15/2018369884 COUNCIL77711572 000.000000.001.511.60.43.007 MEALS & INCIDENTAL EXPENSECOSTCO WHSE #0006/MILLER HANNAH L - refreshments for meengs for Mayor's Office and Council 114.3811/15/2018369884 MUNICIPAL COURT77711590 000.000000.002.512.50.31.000 OFFICE/OPERATING SUPPLIESWWW COSTCO COM/ALLRED BRENDA~ First Aid Kit 12.3211/15/2018369884 EXECUTIVE77711563 000.000000.003.513.10.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*M80JL3OK1/ALEXANDER APRIL - office supplies 6.5811/15/2018369884 EXECUTIVE77711574 000.000000.003.513.10.31.000 OFFICE/OPERATING SUPPLIESFRED-MEYER #0172/MILLER HANNAH L - Mayor's office supplies 25.0011/15/2018369884 EXECUTIVE77711565 000.000000.003.513.10.43.001 TRAVELALASKA AIR 0272185914069/HARRISON ROBERT - baggage fee - ICMA conference ROBERT 83.0411/15/2018369884 EXECUTIVE77711566 000.000000.003.513.10.43.001 TRAVELLOT B GATEWAY INVESTMENTS/HARRISON ROBERT - airport parking - ICMA conference ROBERT 272.4011/15/2018369884 EXECUTIVE77711568 000.000000.003.513.10.43.001 TRAVELDELTA AIR 0062342403266/HARRISON ROBERT - airfare - Local Government Hispanic Network conference ROBERT 7.9911/15/2018369884 EXECUTIVE77711571 000.000000.003.513.10.43.007 MEALS & INCIDENTAL EXPENSEUWAJIMAYA RENTON/MILLER HANNAH L - refreshments for Vietnamese/Chinese Focus Group meeng H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 67 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 20.5811/15/2018369884 EXECUTIVE77711572 000.000000.003.513.10.43.007 MEALS & INCIDENTAL EXPENSECOSTCO WHSE #0006/MILLER HANNAH L - refreshments for meengs for Mayor's Office and Council 793.5011/15/2018369884 EXECUTIVE77711567 000.000000.003.513.10.43.008 LODGINGHILTON BALTIMORE/HARRISON ROBERT - hotel - ICMA conference 15.9611/15/2018369884 EXECUTIVE77711559 000.000000.003.513.10.49.002 PUBLICATIONSSEATTLE TIMES COMPANY/ALEXANDER APRIL - subscripon for Mayor 68.6911/15/2018369884 FINANCE & IT77711601 000.000000.004.514.20.31.000 OFFICE/OPERATING SUPPLIESCOSTCO WHSE #1029/SEESE CHRIS: ASD 3rd Qtr Dept meeng refreshments, office supply (cutlery, paper plates) 65.9711/15/2018369884 FINANCE & IT77711611 000.000000.004.514.20.31.000 OFFICE/OPERATING SUPPLIES AMZN MKTP US*MT2M11SD1/SEESE CHRIS: 3 cases of 50 rolls of Thermal printer paper 2-1/4 x 50 Verifone for UB credit card machine 71.6411/15/2018369884 FINANCE & IT77711617 000.000000.004.514.20.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT11Z69W0/SEESE CHRIS: 3ea. Dry Erase Board supply and wall hooks for Finance 125.0011/15/2018369884 FINANCE & IT77711609 000.000000.004.514.20.43.002 TRAINING/SCHOOLSWA FINANCE OFFCRS ASSOC/SEESE CHRIS: Tom Brown: Federal Grant Requirements and Management Class in Ellensburg WA 11/14-11-15/2018 Registraon Fee 90.3911/15/2018369884 FINANCE & IT77711601 000.000000.004.514.20.43.007 MEALS & INCIDENTAL EXPENSECOSTCO WHSE #1029/SEESE CHRIS: ASD 3rd Qtr Dept meeng refreshments, office supply (cutlery, paper plates) 160.0011/15/2018369884 FINANCE & IT77711622 000.000000.004.514.20.49.001 MEMBERSHIPS & DUESTHE INST OF INT AUDITO/SEESE CHRIS: Annual membership for M. Baker for Internal Auditors Associaon 35.1911/15/2018369884 CITY ATTORNEY77711626 000.000000.006.515.30.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*M880U0C62/DUMLAO HEATHER~ 2019 wall calendars for staff use. 18.6911/15/2018369884 CITY ATTORNEY77711627 000.000000.006.515.30.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*M81CY8N32/DUMLAO HEATHER~ Replenishment of staples for electric stapler. 5.0011/15/2018369884 CITY ATTORNEY77711628 000.000000.006.515.30.49.003 LEGAL RECORDING FEESEHAWAII.GOV PMT/DUMLAO HEATHER~ Fees required to search records in Hawaii related to criminal case. 5.0011/15/2018369884 CITY ATTORNEY77711629 000.000000.006.515.30.49.003 LEGAL RECORDING FEESEHAWAII.GOV PMT/DUMLAO HEATHER~ Fees required to search records in Hawaii related to criminal case. H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 68 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 22.4911/15/2018369884 CITY ATTORNEY77711630 000.000000.006.515.30.49.003 LEGAL RECORDING FEESKING COUNTY DJA/RARY STEPHANIE~ King County filing fee for case 17-1-08482. 21.9911/15/2018369884 CITY ATTORNEY77711631 000.000000.006.515.30.49.003 LEGAL RECORDING FEESKING CO DISTRICT COURT/RARY STEPHANIE~ King County Filing fee for Mahew Grabowsky maer. 35.1111/15/2018369884 CED77712303 000.000000.007.524.60.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT0UY0XD2/HIEMER LYNNE/ wall calendar Donna 11.4211/15/2018369884 CED77712304 000.000000.007.524.60.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT2GB9PR0/HIEMER LYNNE/ Staples/ msg book/ Donna & Kevin 24.7511/15/2018369884 CED77712305 000.000000.007.524.60.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT42K0PO1/HIEMER LYNNE / staplers- code compliance 59.8511/15/2018369884 CED77712332 000.000000.007.524.60.49.002 PUBLICATIONSWHITEPAGES PREMIUM/SHUEY ROBERT C 59.9511/15/2018369884 CED77712330 000.000000.007.558.51.41.000 PROFESSIONAL SERVICESPAYFLOW/PAYPAL/BURNELL CRAIG - Egov Permit system maintenance 285.0011/15/2018369884 CED77712331 000.000000.007.558.51.49.001 MEMBERSHIPS & DUESAMER SOC CIVIL ENGINEERS/MIKOLAZIK DEBRA - ASCE Membership 2019 Renewal, Al Findlay 245.0211/15/2018369884 CED77711801 000.000000.007.558.52.31.000 OFFICE/OPERATING SUPPLIESDES STATE PRINTER/HARNDEN JOSEF - Books (9 for CED) 271.9511/15/2018369884 CED77712329 000.000000.007.558.60.43.007 MEALS & INCIDENTAL EXPENSEPANERA BREAD #202265/SUBIA JUDITH~ FOOD FOR PLANNING COMMISSIONERS DURING COMMISSION'S PUBLIC HEARING 95.0011/15/2018369884 CED77712327 000.000000.007.558.60.49.001 MEMBERSHIPS & DUESAMERICAN PLANNING A/BUCHL-MORALES K~ MEMBERSHIP DUES FOR KATIE BUCHL-MORALES 45.0011/15/2018369884 CED77712328 000.000000.007.558.60.49.002 PUBLICATIONSBNP*ENR/AR/NEWS/PS/SUBIA JUDITH~ ANNUAL SUBSCRIPTION FOR ENGINEERING NEWS RECORD 12.8911/15/2018369884 CED77712301 000.000000.007.558.70.31.000 OFFICE/OPERATING SUPPLIESWAL-MART #2516/HANNAH BAHNMILLER/ LATINO RESOURCE FAIR GOODIE BAGS 10.4011/15/2018369884 CED77712306 000.000000.007.558.70.31.000 OFFICE/OPERATING SUPPLIESWAL-MART #2516HANNAH BAHNMILLER/ LATINO RESOURCE FAIR GOODIE BAGS 5.5011/15/2018369884 CED77712307 000.000000.007.558.70.31.000 OFFICE/OPERATING SUPPLIESDOLLARTREE/HANNAH BAHNMILLER/ LATINO RESOURCE FAIR GOODIE BAGS 16.1711/15/2018369884 CED77712308 000.000000.007.558.70.31.000 OFFICE/OPERATING SUPPLIESSMART FOODSVC 52105616/HANNAH BAHNMILLER/ LATINO RESOURCE FAIR GOODIE BAGS H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 69 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 11.8611/15/2018369884 CED77712312 000.000000.007.558.70.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/KOTARSKI JESSIE 18.4511/15/2018369884 CED77712313 000.000000.007.558.70.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/KOTARSKI JESSIE 16.8011/15/2018369884 CED77712315 000.000000.007.558.70.31.000 OFFICE/OPERATING SUPPLIESSMART FOODSVC 52105616/KOTARSKI JESSIE / supplies for downtown event -71.9011/15/2018369884 CED77712320 000.000000.007.558.70.41.000 PROFESSIONAL SERVICESDROPBOX*JYGX81QTHY65/LONG CLIFF / refund 1,583.4011/15/2018369884 CED77712302 000.000000.007.558.70.41.011 VISTA COST SHARECNCS/HIEMER LYNNE/ VISTA COST SHARE/ Hannah Bahnmiller-COR & Rachel Butler-RHA 1,583.4011/15/2018369884 CED77712310 000.000000.007.558.70.41.011 VISTA COST SHARECNCS/HIEMER LYNNE/ VISTA COST SHARE/ Hannah Bahnmiller-COR & Rachel Butler-RHA 1,583.4011/15/2018369884 CED77712311 000.000000.007.558.70.41.011 VISTA COST SHARECNCS/HIEMER LYNNE/ VISTA COST SHARE/ Hannah Bahnmiller-COR & Rachel Butler-RHA 15.9611/15/2018369884 CED77712318 000.000000.007.558.70.43.001 TRAVELSEATTLE TIMES COMPANY/LONG CLIFF 10.0011/15/2018369884 CED77712324 000.000000.007.558.70.43.001 TRAVEL81250 - GOAT HILL GARAGE/SANTOS-JOHNSON/ PARKING/ KC COURTHOUSE BLDG/ re affordable housing funding levy 12.0011/15/2018369884 CED77712326 000.000000.007.558.70.43.001 TRAVELRPNW - OFF STREET COT/SANTOS-JOHNSON/ PARKING -HOUSING CONFERENCE TACOMA 10/2 - 10/4 91.6011/15/2018369884 CED77712317 000.000000.007.558.70.43.007 MEALS & INCIDENTAL EXPENSEPANERA BREAD #202265/KOTARSKI JESSIE / meals for Atlas filming 58.5511/15/2018369884 CED77712325 000.000000.007.558.70.43.007 MEALS & INCIDENTAL EXPENSEHOANG KIM RESTAURANT/SANTOS-JOHNSON/ NEIGHBORHOOD HOUSE TOUR & LUNCH for 6 -317.4911/15/2018369884 CED77712309 000.000000.007.558.70.43.008 LODGINGICICLE VILLIAGE RESORT AS/HIEMER LYNNE/ CREDIT FOR OVERCHARGE ON 9/21/18 495.0011/15/2018369884 CED77712321 000.000000.007.558.70.49.001 MEMBERSHIPS & DUESDROPBOX*L1HCZGJXZ8BG/LONG CLIFF/ membership 54.9911/15/2018369884 CED77712322 000.000000.007.558.70.49.001 MEMBERSHIPS & DUESADOBE *CREATIVE CLOUD/LONG CLIFF/ MONTHLY 36.9911/15/2018369884 CED77712319 000.000000.007.558.70.49.002 PUBLICATIONSD J*WALL-ST-JOURNAL/LONG CLIFF/ monthly/ inv Oct 2018 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 70 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 15.9611/15/2018369884 CED77712323 000.000000.007.558.70.49.002 PUBLICATIONSSEATTLE TIMES COMPANY/LONG CLIFF / monthly~ 10/22 - 11/18 2018 37.2911/15/2018369884 CED77712314 000.000000.007.573.20.43.007 MEALS & INCIDENTAL EXPENSESTARBUCKS STORE 03401/KOTARSKI JESSIE / Arts Commission- LAA Mtg 9/27/18 -10.0011/15/2018369884 POLICE77711638 000.000000.008.521.10.43.001 TRAVELUNITED 0162923346100/VAN VALEY KEITH - reimbursement for seat assignment to IACP conference KEITH. Charged on previous statement. KEITH 31.4711/15/2018369884 POLICE77711633 000.000000.008.521.10.43.007 MEALS & INCIDENTAL EXPENSECOSTCO WHSE #0006/DAY MELISSA - refreshments for the Chief's swearing in recepon 40.9811/15/2018369884 POLICE77711635 000.000000.008.521.10.43.007 MEALS & INCIDENTAL EXPENSECOSTCO WHSE #0006/DAY MELISSA - cake and flowers for Chief's swearing in recepon 115.1211/15/2018369884 POLICE77711642 000.000000.008.521.10.43.007 MEALS & INCIDENTAL EXPENSECHUCK'S DONUT/KORDEL PETER - chief's rerement party - $115.12 is an overage, reimbursed to the city on 11/8/18. 445.5211/15/2018369884 POLICE77711639 000.000000.008.521.10.43.008 LODGINGAVANTI RESORT/VAN VALEY KEITH - hotel for IACP conference. Orlando, FL 10/2/18-10/10/18 76.0011/15/2018369884 POLICE77711683 000.000000.008.521.21.32.000 FUEL CONSUMEDCHEVRON /JARRATT /B143 32.9711/15/2018369884 POLICE77711680 000.000000.008.521.21.41.000 PROFESSIONAL SERVICESCIOX HEALTH /HADDRELL /18-36 med copies for Kng Cnty Pros 7.0011/15/2018369884 POLICE77711681 000.000000.008.521.21.43.001 TRAVELGOOD 2 GO /HADDRELL /Evid truck, drug burn trailer pick up 49.5911/15/2018369884 POLICE77711686 000.000000.008.521.21.43.001 TRAVELSHELL /SJOLIN /fuel, CDU trng 90.0011/15/2018369884 POLICE77711687 000.000000.008.521.21.43.007 MEALS & INCIDENTAL EXPENSERUSTY MOOSE /SJOLIN /drug burn LUNCHES for 6 employees 96.7611/15/2018369884 POLICE77711724 000.000000.008.521.22.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT8GQ5D22/KEYES KEVIN D - USB flash drives 735.0011/15/2018369884 POLICE77711725 000.000000.008.521.22.31.000 OFFICE/OPERATING SUPPLIESPOSITIVE CONCEPTS INC./KEYES KEVIN D - Sector paper 14.0011/15/2018369884 POLICE77711640 000.000000.008.521.22.31.011 K9 SUPPLIESWASH SPOT LLC/GREENWADE CHRIS- K9 wash 2,727.2711/15/2018369884 POLICE77711641 000.000000.008.521.22.31.011 K9 SUPPLIESK9 STORM INC/HARDIN JEFF- K9 SWAT VEST - Donated money H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 71 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 28.9911/15/2018369884 POLICE77711643 000.000000.008.521.22.31.011 K9 SUPPLIESRAYALLEN.COM JJDOG.COM/MOYNIHAN DENIS - K9 supplies 36.9511/15/2018369884 POLICE77711644 000.000000.008.521.22.31.011 K9 SUPPLIESRAYALLEN.COM JJDOG.COM/MOYNIHAN DENIS- K9 supplies 5,060.7311/15/2018369884 POLICE77711641 000.000000.008.521.22.35.000 SMALL TOOLS/MINOR EQUIPMENTK9 SWAT VEST 6.8011/15/2018369884 POLICE77711729 000.000000.008.521.22.43.001 TRAVELGOOD2GO-INTERNET/WILKINSON TRACY - Officer Todd - B172 27.4911/15/2018369884 POLICE77711704 000.000000.008.521.23.31.000 OFFICE/ OPERATING SUPPLIESFRY'S /NIELSEN /baeries for gun lights 42.8511/15/2018369884 POLICE77711715 000.000000.008.521.23.31.000 OFFICE/ OPERATING SUPPLIESMCLENDON /SWAIN /misc hardware 73.6311/15/2018369884 POLICE77711694 000.000000.008.521.23.32.000 FUEL CONSUMED76 /GORDON /B202 83.3211/15/2018369884 POLICE77711695 000.000000.008.521.23.32.000 FUEL CONSUMEDSHELL /GORDON /B202 45.0011/15/2018369884 POLICE77711696 000.000000.008.521.23.32.000 FUEL CONSUMEDCHEVRON /GORDON /B202 50.4911/15/2018369884 POLICE77711701 000.000000.008.521.23.32.000 FUEL CONSUMEDCHEVRON 0308527/NIELSEN CHRIS 33.6711/15/2018369884 POLICE77711702 000.000000.008.521.23.32.000 FUEL CONSUMEDSAFEWAY /NIELSEN /B194 36.4611/15/2018369884 POLICE77711703 000.000000.008.521.23.32.000 FUEL CONSUMEDSHELL /NIELSEN /B194 49.5811/15/2018369884 POLICE77711712 000.000000.008.521.23.32.000 FUEL CONSUMEDSHELL /STEED /B193 74.1711/15/2018369884 POLICE77711716 000.000000.008.521.23.32.000 FUEL CONSUMED7-ELEVEN /WALKER /B209 275.0011/15/2018369884 POLICE77711705 000.000000.008.521.23.35.000 SMALL TOOLS/ MINOR EQUIPMENTGHY BIKES /RUTLEDGE /bike parts 188.2011/15/2018369884 POLICE77711714 000.000000.008.521.23.35.000 SMALL TOOLS/ MINOR EQUIPMENTTARGET /SWAIN /office cleaning spply - VACUUM 43.2511/15/2018369884 POLICE77711717 000.000000.008.521.23.41.015 VSWATOUTDOOR RESEARCH /YLINEN /gloves, SWAT 100.0011/15/2018369884 POLICE77711697 000.000000.008.521.23.41.016 VEHICLE LEASEENTERPRISE RENTAL /MERCADO /deposit for car rental - credit to be issued next month 1.0011/15/2018369884 POLICE77711698 000.000000.008.521.23.41.016 VEHICLE LEASEENTERPRISE RENTAL /MERCADO /test charge 1 for car rental - credit on this stmnt 1.0011/15/2018369884 POLICE77711699 000.000000.008.521.23.41.016 VEHICLE LEASEENTERPRISE RENTAL /MERCADO /test charge 2 for car rental - credit to be issued next month -1.0011/15/2018369884 POLICE77711700 000.000000.008.521.23.41.016 VEHICLE LEASEENTERPRISE RENTAL /MERCADO /credit * test charge 1 for car rental H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 72 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1.0011/15/2018369884 POLICE77711713 000.000000.008.521.23.41.016 VEHICLE LEASEENTERPRISE RENTAL /STRATFORD /test charge for car rental - credit to be issued next month 59.9011/15/2018369884 POLICE77711718 000.000000.008.521.23.42.000 COMMUNICATIONSCSE CORPORATION/FIGARO DAN - graffi abatement cameras 10.0011/15/2018369884 POLICE77711710 000.000000.008.521.23.43.001 TRAVELSEATTLE METER PRKNG /SONI /uc op mtng 18.0011/15/2018369884 POLICE77711711 000.000000.008.521.23.43.001 TRAVELGOAT HILL GRGE /SONI /18-2979 hearing -28.5911/15/2018369884 POLICE77711706 000.000000.008.521.23.48.000 REPAIRS & MAINTENANCEAUTOZONE /RUTLEDGE /credit * headlight uc vehicle 28.5911/15/2018369884 POLICE77711707 000.000000.008.521.23.48.000 REPAIRS & MAINTENANCEAUTOZONE /RUTLEDGE /headlight uc vehicle 59.3911/15/2018369884 POLICE77711708 000.000000.008.521.23.48.000 REPAIRS & MAINTENANCEAUTOZONE /RUTLEDGE /headlight uc Honda 40.0011/15/2018369884 POLICE77711709 000.000000.008.521.23.48.000 REPAIRS & MAINTENANCECHEVRON /SONI /car wash SET car 107.4311/15/2018369884 POLICE77711730 000.000000.008.521.24.31.000 OFFICE/OPERATING SUPPLIESULINE *SHIP SUPPLIES/BOYER GAY - business card self-laminang pouches 623.3211/15/2018369884 POLICE77711732 000.000000.008.521.24.31.000 OFFICE/OPERATING SUPPLIESTAB PRODUCTS/HERMANN JENNIFER-office supplies for Staff Services 2,350.0011/15/2018369884 POLICE77711731 000.000000.008.521.24.41.000 PROFESSIONAL SERVICESABC LEGAL SERVICES/HERMANN JENNIFER- Renton Municipal Court Subpeoans 1,263.9311/15/2018369884 POLICE77711659 000.000000.008.521.30.31.000 OFFICE/OPERATING SUPPLIESINLAND TECHNOLOGY INC/ABRAM AUGUSTINE - Resin Filters Case, Edge Tek filters case, 15 gallon drum break through for gun cleaning staon. 26.3611/15/2018369884 POLICE77711667 000.000000.008.521.30.31.000 OFFICE/OPERATING SUPPLIESFRED-MEYER #0459/HYNES STEPHANIE - Crime Prevenon Supplies (bins) and water for Community Police Academy. 211.6411/15/2018369884 POLICE77711669 000.000000.008.521.30.31.000 OFFICE/OPERATING SUPPLIESOTC BRANDS, INC./HYNES STEPHANIE - Scker rolls and large red gi bags with tags for Red Ribbon Week ($71.53); and Snowflake spirals, wooden cra scks, photo sck props, Christmas ornaments, glier, door curtain, banners, stampers, and table cloth for Kids and Cops Winter celebraon ($140.11) on December 7, 2018. 410.2111/15/2018369884 POLICE77711705 000.000000.008.521.30.31.003 QUARTER MASTER SYSTEMGHY BIKES /RUTLEDGE /misc uniform 15.3511/15/2018369884 POLICE77711664 000.000000.008.521.30.31.010 AMMUNITIONPINTOS/DREHER BOB - Ammunion for firearms training on October 11, 2018. H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 73 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 427.9011/15/2018369884 POLICE77711671 000.000000.008.521.30.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP US*MT81Q28V2/ MATHEWS CHRISTI - Comica 96-channel Full Metal UHF professional wireless dual lavalier Microphone System for Canon Nokin camera, camcorder and smartphone for Social Media filming. 24.7211/15/2018369884 POLICE77711672 000.000000.008.521.30.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP S*MT8W33D02/ MATHEWS CHRISTI - Social media video/photo equipment. 198.1811/15/2018369884 POLICE77711674 000.000000.008.521.30.35.000 SMALL TOOLS/MINOR EQUIPMENTQUANTICO TACTICAL SPLY LE/TIBEAU QUINT G - AR-15 Rifle magazines. 1,209.9911/15/2018369884 POLICE77711726 000.000000.008.521.30.35.000 SMALL TOOLS/MINOR EQUIPMENTAUTO TRIM DESIGN OF KI/LEIBMAN DAVE - add graphics to Renton/Valley hostage negoaon team van 12.0011/15/2018369884 POLICE77711668 000.000000.008.521.30.43.001 TRAVELAMPCO - SECOND & JAMES GA/ HYNES STEPHANIE - Parking for meeng with AFIS (Automated Fingerprint Invesgaon Systems) on October 2, 2018 in Seale, WA. STEPHANIE 2.0011/15/2018369884 POLICE77711719 000.000000.008.521.30.43.001 TRAVELUBER TRIP Y33WU/KARLEWICZ CHAD - transportaon (Uber, Tip) for UAV Exposion - reimbursed 11/8/18 by Karlewicz 26.8311/15/2018369884 POLICE77711720 000.000000.008.521.30.43.001 TRAVELUBER TRIP Y33WU/KARLEWICZ CHAD - transportaon for UAV Exposion 32.9611/15/2018369884 POLICE77711728 000.000000.008.521.30.43.001 TRAVELTAXI SVC LAS VEGAS/WILKINSON TRACY - transportaon for Commercial UAV Exposion - $5.49 was reimbursed by Wilkinson for the p on 10/25/18 100.0011/15/2018369884 POLICE77711654 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESACT*KING COUNTY PROSEC/ABRAM AUGUSTINE - Registraon fee for JENSEN, R. to aend the Invesgang, Interviewing, Responding: A Focus on Crimes Against People with Intellectual and Developmental Disabilies on November 14, 2018 in Seale, WA. 42.0011/15/2018369884 POLICE77711655 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESWSU CONF MGMT/ABRAM AUGUSTINE - Registraon fee for JUDD to aend the FBINAA Washington Chapter Winter Training and Luncheon on December 6, 2018 in Redmond, WA. H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 74 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 107.7211/15/2018369884 POLICE77711656 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESEB FIRST RESPONDER WE/ABRAM AUGUSTINE - Registraon fee for FORD to aend the First Responder Wellness training on November 27 - 28, 2018 in Burien, WA. 1,680.0011/15/2018369884 POLICE77711657 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESPOLICE TECHNICAL/ABRAM AUGUSTINE - Registraon fees for CUNNINGHAM, JENSEN, SANGDER and TEMPLETON to aend the Open Source Invesgaons training on November 8 - 9, 2018 in Renton, WA. 420.0011/15/2018369884 POLICE77711658 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESPOLICE TECHNICAL/ABRAM AUGUSTINE - Registraon fees for TOLLIVER to aend the Open Source Invesgaons training on November 8 - 9, 2018 in Renton, WA. 107.7211/15/2018369884 POLICE77711661 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESEB FIRST RESPONDER WE/ABRAM AUGUSTINE - Registraon fee for AWAI to aend the First Responder Wellness training on November 27 - 28, 2018 in Burien, WA. 200.0011/15/2018369884 POLICE77711673 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESIN *RENTON FISH & GAME CL/TIBEAU QUINT G - Acon lane rental for department Firearms training on September 5, 2018 and October 3, 2018. 68.2511/15/2018369884 POLICE77711727 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESWSU CONF MGMT/LEIBMAN DAVE - Registraon fee for FBINAA member/rered member training and luncheon 151.5211/15/2018369884 POLICE77711662 000.000000.008.521.30.43.007 MEALS & INCIDENTAL EXPENSEPIZZA DUDES/CUMMING TIMOTHY - Pizza for Pizza with a Cop event on Thursday, September 27, 2018 at Lindberg High School in Renton, WA. 32.4311/15/2018369884 POLICE77711663 000.000000.008.521.30.43.007 MEALS & INCIDENTAL EXPENSEWAL-MART #2516/CUMMING TIMOTHY - Foam plates, and soda pop for Pizza with a Cop event on September 27, 2018 at Lindberg High School. 24.7811/15/2018369884 POLICE77711665 000.000000.008.521.30.43.007 MEALS & INCIDENTAL EXPENSESAFEWAY #0366/HAVLIK SANDRA - Snacks (cookies, cupcakes, etc.) for Coffee with a Cop public event on October 10, 2018 in Renton, WA. 15.9711/15/2018369884 POLICE77711666 000.000000.008.521.30.43.007 MEALS & INCIDENTAL EXPENSEQFC #5803/HAVLIK SANDRA - Snacks (rolls, cookies, brownies) for Coffee with a Cop public event (Command staff and public) on October 20, 2018 in Renton, WA. H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 75 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 24.0811/15/2018369884 POLICE77711670 000.000000.008.521.30.43.007 MEALS & INCIDENTAL EXPENSEFRED-MEYER #0031/HYNES STEPHANIE - Snacks and water for Community Police Academy on October 23, 2018. 79.3711/15/2018369884 POLICE77711660 000.000000.008.521.30.43.008 LODGINGPALACE ADV ROOM DEP/ABRAM AUGUSTINE - Hotel for SMITH, T. (1st night deposit) to aend the New Fire/Arson Invesgaon Academy on December 2 - 7, 2018 in Las Vegas, NV. 484.1411/15/2018369884 POLICE77711721 000.000000.008.521.30.43.008 LODGINGWESTGATE LV RESORT/CASIN/KARLEWICZ CHAD - hotel accomodaons for UAV Exposion / Las Vegas - 9/30/18-10/3/18 484.1411/15/2018369884 POLICE77711722 000.000000.008.521.30.43.008 LODGINGWESTGATE LV RESORT/CASIN/KARLEWICZ CHAD - hotel accomodaons for Wilkinson for UAV Exposion / Las Vegas - 9/30/18-10/3/18 170.0011/15/2018369884 POLICE77711646 000.000000.008.521.70.31.000 OFFICE/OPERATING SUPPLIESSQ *WASHINGTON ASSOCIATIO/HYETT RALPH - membership dues for Traffic Invesgators: WATAI 2019 dues 116.0011/15/2018369884 POLICE77711649 000.000000.008.521.70.31.000 OFFICE/OPERATING SUPPLIESPOSITIVE CONCEPTS INC./JUDD BILL- traffic cket paper for motors 1,365.0011/15/2018369884 POLICE77711648 000.000000.008.521.70.31.014 CDUOMD RENTAL PROGRAM/JUDD BILL - CDU Traininig facility rental - Camp Rilea Warrenton, OR / MEALS 45.2011/15/2018369884 POLICE77711645 000.000000.008.521.70.35.000 SMALL TOOLS/MINOR EQUIPMENTLOWES #01573*/HYETT RALPH- small tools for Racer Emphasis 297.7311/15/2018369884 POLICE77711647 000.000000.008.521.70.35.000 SMALL TOOLS/MINOR EQUIPMENTCRASHDATAGR/HYETT RALPH- crash data retreval tool for traffic 59.3611/15/2018369884 POLICE77711652 000.000000.008.521.70.35.000 SMALL TOOLS/MINOR EQUIPMENTLOWES #02420*/TOLLIVER CLAREN- callout equipment 92.3911/15/2018369884 POLICE77711653 000.000000.008.521.70.35.000 SMALL TOOLS/MINOR EQUIPMENTOFFICE DEPOT #984/TOLLIVER CLAREN- callout equipment 237.3611/15/2018369884 POLICE77711723 000.000000.008.521.70.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP US*MT9UM7WR2/KARLEWICZ CHAD - Strobe lights for drones. 8 (2-packs) 468.8211/15/2018369884 POLICE77711675 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESArrowhead Science /Castaneda /paper, id tents 202.6711/15/2018369884 POLICE77711676 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESArrowhead Science /Castaneda /test kits 152.3511/15/2018369884 POLICE77711677 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESWALMART /CASTANEDA tent carry case 479.9611/15/2018369884 POLICE77711678 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESDISCOUNT LATEX GLOVE /CASTANEDA /gloves H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 76 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 162.1411/15/2018369884 POLICE77711679 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESULINE /CASTANEDA /cable es 10.2511/15/2018369884 POLICE77711684 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESST VINCENT /ONISHI /citz acad spply, Evid class 2.2011/15/2018369884 POLICE77711685 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESDOLLARTREE /ONISHI /citz acad spply, Evid class 244.0011/15/2018369884 POLICE77711691 000.000000.008.521.80.31.000 EVIDENCE SUPPLIESTRI-TECH NATL LE /TEBBETS /DUI kits 317.9011/15/2018369884 POLICE77711689 000.000000.008.521.80.35.000 SMALL TOOLS/MINOR EQUIPMENTDELS TRUCK RENTALS /SJOLIN /trailer hitch Evid trucks 51.6911/15/2018369884 POLICE77711651 000.000000.008.554.30.31.000 OFFICE/OPERATING SUPPLIESPETSMART # 1276/MCASKILL DENNIS- dog food for kennels 971.7311/15/2018369884 POLICE77711650 000.000000.008.554.30.41.000 PROFESSIONAL SERVICESBLUEPEARL/ACCESS RENTON/MCASKILL DENNIS- ~ case#18-12444 vet bill -12.7911/15/2018369884 POLICE77711682 000.000000.008.565.50.41.012 DIRECT VICTIM SERVICESAMZN MKTP /HARRIS /credit from prev month's order 190.0011/15/2018369884 FIRE77711577 000.000000.009.525.60.49.001 MEMBERSHIPSINTERNATIONAL ASSOCIATION/MINDI MATTSON - Internaonal Associaon of Emergency Managers membership dues 162.4011/15/2018369884 CITY CLERK77711587 000.000000.012.514.21.43.001 TRAVELALASKA AIR (Travel-C.Moya - Laserfiche Conference 19.0011/15/2018369884 CITY CLERK77711588 000.000000.012.514.21.43.001 TRAVELEXPEDIA (Travel Ins-C. Moya - Laserfiche Conf) 136.4011/15/2018369884 CITY CLERK77711589 000.000000.012.514.21.43.001 TRAVELDELTA AIR (Travel-M. Gregor - Laserfiche Conf) 29.1411/15/2018369884 HUMAN RESOURCES77711632 000.000000.014.518.10.31.010 EMPLOYEE RECOGNITIONEVERYTHING PARTY/DAY MELISSA - balloons for Chief's rerement 55.9411/15/2018369884 HUMAN RESOURCES77711634 000.000000.014.518.10.31.010 EMPLOYEE RECOGNITIONSTARBUCKS STORE 00322/DAY MELISSA - coffee for the Chief's rerement 61.9811/15/2018369884 HUMAN RESOURCES77711636 000.000000.014.518.10.31.010 EMPLOYEE RECOGNITIONMY M&M/DAY MELISSA - personalized M&M's Candy for Jackie Thomas's rerement 39.7311/15/2018369884 HUMAN RESOURCES77711642 000.000000.014.518.10.31.010 EMPLOYEE RECOGNITIONCHUCK'S DONUT/KORDEL PETER - chief's rerement party - $115.12 is an overage, reimbursed to the city on 11/8/18. 38.9411/15/2018369884 FIRE77711573 000.059206.009.525.60.31.000 SUPPLIES - 2018 EMPGWALMART.COM/MILLER HANNAH L - EOC supply cases H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 77 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 110.3211/15/2018369884 FIRE77711575 000.059206.009.525.60.31.000 SUPPLIES - 2018 EMPGAMZN MKTP US*M861Z2TO2/MILLER HANNAH L - EOC supply cases 7.6911/15/2018369884 FIRE77711576 000.059206.009.525.60.31.000 SUPPLIES - 2018 EMPGAMZN MKTP US*M87VF2JB0/MILLER HANNAH L - EOC supply cases 3.2911/15/2018369884 FIRE77711581 000.059206.009.525.60.31.000 SUPPLIES - 2018 EMPGSAFEWAY #0519/SMITH KARISSA - refreshments for Mental Health First Aid class 5.6011/15/2018369884 FIRE77711582 000.059206.009.525.60.31.000 SUPPLIES - 2018 EMPGFRED-MEYER #0459/SMITH KARISSA - Candy & supplies for ShakeOut drill 21.6611/15/2018369884 FIRE77711583 000.059206.009.525.60.43.001 TRAVEL-2018 EMPGUBER TRIP 4E7TX/SMITH KARISSA - ride to airport - IAEM conference 18.9711/15/2018369884 FIRE77711584 000.059206.009.525.60.43.001 TRAVEL-2018 EMPGUBER TRIP HI6OW/SMITH KARISSA - ride from airport to hotel - IAEM conference 628.0011/15/2018369884 FIRE77711578 000.059206.009.525.60.43.002 TRAINING/SCHOOLS-2018 EMPGINTERNATIONAL ASSOCIATION/MINDI MATTSON - IAEM Conference registraon 628.0011/15/2018369884 FIRE77711585 000.059206.009.525.60.43.002 TRAINING/SCHOOLS-2018 EMPGINTERNATIONAL ASSOCIATION/SMITH KARISSA - IAEM Conference registraon 10.6411/15/2018369884 FIRE77711581 000.059206.009.525.60.43.007 MEALS & INCIDENTAL-2018 EMPGSAFEWAY #0519/SMITH KARISSA - refreshments for Mental Health First Aid class 57.4511/15/2018369884 FIRE77711582 000.059206.009.525.60.43.007 MEALS & INCIDENTAL-2018 EMPGFRED-MEYER #0459/SMITH KARISSA - Candy & supplies for ShakeOut drill 10.9511/15/2018369884 PARKS ADMIN77712050 000.060751.020.565.10.31.000 OPERATING SUPPLIESHUMAN SERVICES OFFICE SUPPLIES ADDRESS STAMP~ AMZN MKTP US*M88P47JI2/GRAVER ROBERTA 13.5111/15/2018369884 PARKS ADMIN77712221 000.060751.020.565.10.31.000 OPERATING SUPPLIESLOWES #02420*/ASBJORNSEN JOEL ~ PINE, M~ 4 CT ANT BAIT~ 3/8 IN X 4 IN HX LAG SCREW~ 5/16 X 4 IN HS LAG SCREW 41.9111/15/2018369884 PARKS ADMIN77712222 000.060751.020.565.10.31.000 OPERATING SUPPLIESMCLENDON HARDW- RENTON/ASBJORNSEN JOEL BLACK, K~ SCARE TAPE 3/4X100 HOLOGRAPHIC~ GFCI REC ALRM~ BIRD B GONE REPELLENT 18.9011/15/2018369884 PARKS ADMIN77712223 000.060751.020.565.10.31.000 OPERATING SUPPLIESMCLENDON HARDW- RENTON/ASBJORNSEN JOEL BAILEY, G~ GUTTER DOWNSPOUT~ ALUM WH 2/3 ELBOW A FRONT H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 78 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 22.4811/15/2018369884 PARKS ADMIN77712224 000.060751.020.565.10.31.000 OPERATING SUPPLIESMCLENDON HARDW- RENTON/ASBJORNSEN JOEL BAILEY, G~ PK1290 GRN OVAL SILICOCK HANDLE~ STEM ASSY 51.6711/15/2018369884 PARKS ADMIN77712227 000.060751.020.565.10.31.000 OPERATING SUPPLIESLOWES #02420*/ASBJORNSEN JOEL~ MANSKE, T~ 199136 CARTRIDGE FOR MOEN~ 166789 KORKY 3 IN ADJ FLA 32.5911/15/2018369884 PARKS ADMIN77712228 000.060751.020.565.10.31.000 OPERATING SUPPLIESAMAZON.COM*M89037OV0/ASBJORNSEN JOEL~ BAILEY, G~ ARROWHEAD REPLACEMENT STEM PK8006 10.9811/15/2018369884 PARKS ADMIN77712229 000.060751.020.565.10.31.000 OPERATING SUPPLIESLOWES #02420*/ASBJORNSEN JOEL~ JOHNSON, B~ 272963 1/2 IN X 7/16 IN VALVE 151.1811/15/2018369884 PARKS ADMIN77712230 000.060751.020.565.10.31.000 OPERATING SUPPLIESBROAN-NUTONE/ASBJORNSEN JOEL~ KELLOGG, L~ POWER UNIT ASSY 33.2111/15/2018369884 PARKS ADMIN77712231 000.060751.020.565.10.31.000 OPERATING SUPPLIESMCLENDON HARDW- RENTON/ASBJORNSEN JOEL BROWN, H~ DOORBELL PUSH BUTTON~ STAINABLE WOOD FILLER 17.6911/15/2018369884 PARKS ADMIN77712235 000.060751.020.565.10.31.000 OPERATING SUPPLIESMCLENDON HARDW- RENTON/BALDRIDGE MARK~ SUPPLIES - MISC FASTENERS 5.5011/15/2018369884 PARKS ADMIN77712236 000.060751.020.565.10.31.000 OPERATING SUPPLIESMCLENDON HARDW- RENTON/BALDRIDGE MARK~ MATTEWSON, N 4.6011/15/2018369884 PARKS ADMIN77712237 000.060751.020.565.10.31.000 OPERATING SUPPLIESMCLENDON HARDW- RENTON/BALDRIDGE MARK~ GUTTER ELBOW 8.0011/15/2018369884 PARKS ADMIN77712225 000.060751.020.565.10.43.000 TRAVEL & TRAININGRPNW TACOMA 1179 DOCK STR/ASBJORNSEN JOEL~ 25TH ANNUAL AFFORDABLE HOUSING CONFERENCE PARKING JOEL 8.0011/15/2018369884 PARKS ADMIN77712226 000.060751.020.565.10.43.000 TRAVEL & TRAININGRPNW TACOMA 1179 DOCK STR/ASBJORNSEN JOEL~ 25TH ANNUAL AFFORDABLE HOUSING CONF PARKING JOEL 6.0011/15/2018369884 PARKS ADMIN77712232 000.060751.020.565.10.43.000 TRAVEL & TRAININGRPNW - OFF STREET COT/BALDRIDGE MARK~ 25TH ANNUAL AFFORDABLE HOUSING CONFERENCE PARKING H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 79 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 12.0011/15/2018369884 PARKS ADMIN77712233 000.060751.020.565.10.43.000 TRAVEL & TRAININGRPNW - OFF STREET COT/BALDRIDGE MARK~ CONFERENCE PARKING 12.0011/15/2018369884 PARKS ADMIN77712234 000.060751.020.565.10.43.000 TRAVEL & TRAININGRPNW - OFF STREET COT/BALDRIDGE MARK~ CONFERENCE PARKING 10.0011/15/2018369884 CED77712316 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEFACEBK SWQMLHNEJ2/ /ANTHONY MARRIS-SWANN facebook ad for Pop up event 93.9211/15/2018369884 POLICE77711690 000.080315.008.521.23.41.000 PROFESSIONAL SERVICESCO SPOKANE W2E /TEBBETS /drug burn 165.0011/15/2018369884 POLICE77711688 000.080315.008.521.23.45.000 OPERATING RENTALSDELS TRUCK RENTALS /SJOLIN /drug burn trailer 164.8311/15/2018369884 POLICE77711692 000.080500.008.521.22.31.011 K9 SUPPLIES DRUG DOGPET PROS /ASHBAUGH /food Narc K9 82.4111/15/2018369884 POLICE77711693 000.080500.008.521.22.31.011 K9 SUPPLIES DRUG DOGPET PROS MILTON/ASHBAUGH MEGHAN 40.0211/15/2018369884 FINANCE & IT77711561 000.500004.004.514.20.43.001 TRAVEL - RENTON RESULTSEXPEDIA 7386672247854/ALEXANDER APRIL - rental car - Kris, WCMA Board Retreat 152.3911/15/2018369884 FINANCE & IT77711562 000.500004.004.514.20.43.001 TRAVEL - RENTON RESULTSALASKA AIR 0277217062905/ALEXANDER APRIL - airfare - Kris, WCMA Board Retreat APRIL 149.9011/15/2018369884 FINANCE & IT77711560 000.500004.004.514.20.43.007 MEALS & INCIDENTALS - RENTON RESULTSZOOM.US/ALEXANDER APRIL - annual membership charge - Kris 225.3211/15/2018369884 PARKS ADMIN77712291 001.000000.020.569.73.31.006 RECREATION SUPPLIESplanners, schedule book refills - MEAD DIRECT RESPONSE, INC/RYAN DELFIN 30.7611/15/2018369884 PARKS ADMIN77712281 001.000000.020.569.73.31.011 PROGRAM SUPPLIESFolders-STAPLES 00114389/CLAGGETT SEAN 15.0011/15/2018369884 PARKS ADMIN77712283 001.000000.020.569.73.31.011 PROGRAM SUPPLIESLunch Senior Trip-BETH'S CAFE/ DUCK ISLAND/CLAGGETT SEAN 33.1811/15/2018369884 PARKS ADMIN77712285 001.000000.020.569.73.31.011 PROGRAM SUPPLIEScups for lunch program - AMZN MKTP US*MT4H27XF0/RYAN DELFIN 164.9011/15/2018369884 PARKS ADMIN77712286 001.000000.020.569.73.31.011 PROGRAM SUPPLIESaerobics equipment - AMZN MKTP US*MT3QE6MJ2/RYAN DELFIN 113.0011/15/2018369884 PARKS ADMIN77712287 001.000000.020.569.73.31.011 PROGRAM SUPPLIESaerobics equipment - AMZN MKTP US*MT09I0MN1/RYAN DELFIN 177.6011/15/2018369884 PARKS ADMIN77712288 001.000000.020.569.73.31.011 PROGRAM SUPPLIESaerobics equipment - AMZN MKTP US*MT1XV9VX0/RYAN DELFIN H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 80 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 41.4811/15/2018369884 PARKS ADMIN77712289 001.000000.020.569.73.31.011 PROGRAM SUPPLIEScups for lunch program - AMZN MKTP US*MT4SQ68Y2/RYAN DELFIN -33.1811/15/2018369884 PARKS ADMIN77712290 001.000000.020.569.73.31.011 PROGRAM SUPPLIESrefund for cups - AMZN MKTP US/RYAN DELFIN 31.6411/15/2018369884 PARKS ADMIN77712292 001.000000.020.569.73.31.011 PROGRAM SUPPLIESSpecial Lunch Supplies Bunko-FRED-MEYER #0031/WIVAG LISA 25.3011/15/2018369884 PARKS ADMIN77712293 001.000000.020.569.73.31.011 PROGRAM SUPPLIESSpecial Senior Lunch Supplies Octoberfest, Thanksgiving, Halloween- DOLLAR TREE/WIVAG LISA 33.0711/15/2018369884 PARKS ADMIN77712294 001.000000.020.569.73.31.011 PROGRAM SUPPLIESCandy Halloween-SMART FOODSVC 52105558/WIVAG LISA 68.7211/15/2018369884 PARKS ADMIN77712295 001.000000.020.569.73.31.011 PROGRAM SUPPLIESSpecial Event supplies Halloween, Cra Bazaar-WAL-MART #2516/WIVAG LISA 113.3211/15/2018369884 PARKS ADMIN77712296 001.000000.020.569.73.31.011 PROGRAM SUPPLIESSpecial event supplies Coffee Bar, Cra Bazaar-COSTCO WHSE #0006/WIVAG LISA 7.3611/15/2018369884 PARKS ADMIN77712282 001.000000.020.569.73.49.009 ADMISSIONSPARKING WOODLANDPARK ZOO/CLAGGETT SEAN 92.6511/15/2018369884 PARKS ADMIN77712284 001.000000.020.569.73.49.009 ADMISSIONSAdminssion Senior Trip- WOODLAND PARK ZOO/CLAGGETT SEAN 20.0611/15/2018369884 PARKS ADMIN77712176 001.000000.020.571.10.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*M803M5452/OLSON CARRIE~ AT-A-GLANCE 2019-2020 MONTHLY PLANNER 9" X 11" (70-260G-05) @ $18.24/EA + sales tax @ $1.82 32.2411/15/2018369884 PARKS ADMIN77712177 001.000000.020.571.10.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*M81I87LF2/OLSON CARRIE~ AT-A-GLANCE 2019 YEARLY WALL CALENDAR 36" X 24", ERASABLE VERTICAL/HORIZONTAL (PA133) @ $29.31/EA + sales tax @ $2.93 for Teresa N. 77.8511/15/2018369884 PARKS ADMIN77712209 001.000000.020.571.20.31.000 OFFICE/OPERATING SUPPLIESOFFICE SUPPLIES~ STAPLES 00114389/ROSOK ELANE 46.1711/15/2018369884 PARKS ADMIN77712191 001.000000.020.571.20.35.000 SMALL TOOLS/MINOR EQUIPMENTLEG CAPS FOR RISER PLATFORMS (REPAIRS) RENTON CITY CONCERT BAND~ AMZN MKTP US*M86B37NM2/EKEN DONNA 15.5011/15/2018369884 PARKS ADMIN77712213 001.000000.020.575.50.31.000 OFFICE/OPERATING SUPPLIESCANDY, HALLOWEEN DECOR, RCC LOBBY, FRONT DESK CANDY COUNT~ DOLLAR TREE/THOMAS TANIA 11.0011/15/2018369884 PARKS ADMIN77712189 001.000000.020.576.20.43.000 TRAVEL/TRAININGGUEST SERVICE STAFF FOR HMAC~ ARC*SERVICES/TRAINING/BURKE BRANDI H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 81 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 483.9611/15/2018369884 PARKS ADMIN77711608 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP U: 2ea. Dell P2717H 27" Monitors for CS: S. Coleman/D. Appel 127.3811/15/2018369884 PARKS ADMIN77712136 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESALPINE PRODUCTS INC/APPEL DANA~ SUPPLIES CR TRAIL SHOP~ QTY 2 - 4" X 100' - FOL - WHITE TEMP TAPE @ $57.90/EA + sales tax @ $11.58 115.4711/15/2018369884 PARKS ADMIN77712137 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/APPEL DANA~ CR TRAIL SHOP SUPPLIES~ QTY 3 - LED 100W A21 ULTRA 5K 4PK @ $34.99/EA + sales tax @ $10.50 103.3611/15/2018369884 PARKS ADMIN77712138 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/APPEL DANA~ CEDAR RIVER TRAIL BALLASTS~ QTY 2 - ADV 71A8071001D 100W HPS @ $46.98/EA + sales tax @ $9.40 1,091.4811/15/2018369884 PARKS ADMIN77712139 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESCERTIFIED LABORATORIES/BATES TRAVIS~ PARK AVE SHOP RESTOCK SUPPLIES~ QTY 1 - FREE AEROSOL, DZ, NAC MM @ $179.85/EA;~ QTY 2 - FROST AWAY AEROSOL, DZ, NAC, MM @ $99.85/EA;~ QTY 5 - POWER GLOSS, 2 X 2.5 GL, US, CL @ $52.40/EA;~ QTY 2 - CHEMSTRIP EF AEROSOL, DZ, NAC, MM @ $175.35/EA + sales tax @ $99.23 269.7211/15/2018369884 PARKS ADMIN77712141 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/BATES TRAVIS~ PARK AVE SHOP RESTOCK SUPPLIES~ QTY 2 - SCOOP ALUM D GRIP WOOD HNDLE @ $30.681/EA~ QTY 3 - SCOOP SHOVEL CORONA 30IN HNDL @ $30.681/EA;~ QTY 3 - KIDS LEAF RAKE @ $9.291/EA;~ QTY 4 - RAKE SPRING BRACE 22 INCH @ $9.99/EA;~ QTY 3 - RAKE POLY CORONA 24 INCH @ $7.99/EA + sales tax @ $24.52 1,540.0211/15/2018369884 PARKS ADMIN77712142 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESPIONEER REVERE 8008771500/BATES TRAVIS PARK AVE SHOP RESTOCK SUPPLIES~ QTY 24 - QUIK STRIPE ARCTIC WHITE 12/CS. @ $55.00/EA;~ QTY 1 - QUIK STRIPE SUN YELLOW 12/CS. @ $55.00/EA; Shipping @ $25.00; + sales tax @ $140.02 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 82 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 9.2811/15/2018369884 PARKS ADMIN77712143 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/BOGLE CAMERON~ PARK AVE SHOP SUPPLIES~ QTY 1 - DW TG #2 SQ 2-IN BIT 2-C @ $2.98/EA;~ QTY 1 - DW TG #1 SQ 2-IN BIT 2-C @ $2.98/EA;~ QTY 1 - DW 2CT 1IN T25 TORX POWER @ $2.48/EA + sales tax @ $0.84 175.0011/15/2018369884 PARKS ADMIN77712144 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESDANNER RENTON WA01/BOGLE CAMERON~ SAFETY BOOTS FOR PARKS EMPLOYEE CAMERON BOGGLE~ QT Y 1 - VICIOUS 4.5 SLATE/BLACK NMT D 10.5 1ST @ $162.00; discount @ (-18.00); sales tax @ $16.20 = Total $178.20. (Employee allowance = $175.00) 129.8011/15/2018369884 PARKS ADMIN77712146 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESALPINE PRODUCTS INC/COLEMAN STEFANI~ PARK AVE SHOP SUPPLIES~ QTY 2 - TRAFFIC YELLOW AEROSOL PAINT 20 OZ SOLVENT BASE @ $59.00/EA + SALES TAX @ $11.80 270.1911/15/2018369884 PARKS ADMIN77712147 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESWORK AND MORE/COLEMAN STEFANI~ RAIN GEAR FOR PARK AVE SHOP CREWS~ QTY 1 - IMPERTECH STRETCH GRN/BRN BIB (XL) @ $64.17/EA;~ QTY 1 - IMPERTECH STRETCH GRN/BRN PANT (XL) @ $53.12/EA;~ QTY 1 - IMPERTECH STRETCH GRN/BRN JKT (L) @ $64.17/EA;~ QTY 1 - IMPERTECH STRETCH GRN/BRN JKT (2XL) @ $64.17/EA + sales tax @ $24.56 333.0711/15/2018369884 PARKS ADMIN77712148 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESWILBUR ELLIS AUBURN/COLEMAN STEFANI~ RESTOCK SUPPLIES FOR PARK AVE SHOP~ QTY 2.0 JU - 5.0 GA PENDULUM AQUA CAP @ $49.02/GA;~ QTY 3.0 BG - WG PRO FALL PLU 11-2-22 (50 LB BG WECO) @ $19.23/BG + SALES TAX @ $30.28 127.5811/15/2018369884 PARKS ADMIN77712150 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT8S53WL2/COLEMAN STEFANI PARK AVE SHOP RESTOCK SUPPLIES~ QTY 2 CS - WOODLAND PRO SYNTHETIC 2-CYCLE ENGINE OIL (6.4 OZ BOTTLES - CASE OF 24) @ $57.99/CS + sales tax @ $11.60 129.6711/15/2018369884 PARKS ADMIN77712151 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*M86LJ6L90/COLEMAN STEFANI~ SUPPLIES FOR BASEBALL FIELDS~ QTY 4 - MARKWORT 4 PACK GROUND RECEPTACLE PLUGS (ORANGE) @ $26.00/EA; shipping @ $13.87 + sales tax @ $11.80 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 83 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 61.8611/15/2018369884 PARKS ADMIN77712152 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESWORK AND MORE/COLEMAN STEFANI~ RAIN GEAR FOR STAFF/PARK AVE SHOP~ QTY 1 - IMPERTECH STRETCH GRN/BRN PANT (L) @ $56.24/EA + SALES TAX @ $5.62 149.2711/15/2018369884 PARKS ADMIN77712153 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/COOPER GEORGE~ SUPPLIES CR TRAIL SHOP~ QTY 2 - FORK TRUE TEMPER 10 TINE @ $37.19/EA;~ QTY 3 - PLRT24 POLY LEAF RAKE @ $11.15/EA;~ QTY 3 - RAKE CORONA 18IN PROMO POLY @ $9.29/EA + sales tax @ $13.57 98.9911/15/2018369884 PARKS ADMIN77712154 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESDICK'S SPORTING GOODS/COOPER GEORGE~ STEEL TOE BOOTS FOR PARKS EMPLOYEE/GEORGE COOPER~ QTY 1 @ $89.99/EA + sales tax @ $9.00~ (Employee allowance = $175.00) 258.3211/15/2018369884 PARKS ADMIN77712155 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESHORIZON DIST - H540/DUNN TAMAR~ CEDAR RIVER TRAILS SHOP RESTOCK~ QTY 10 - LASCO 2" SS COUPLING SCH 40 @ $1.23/EA;~ QTY 3 - 2" SLIP FIX COUPLING PRO-SPAN @ $8.90/EA;~ QTY 6 - F4PC RAIN BIRD 6500 SERIES 4" PART CIRCLE ROT @ $32.64/EA + sales tax @ $23.48 13.6711/15/2018369884 PARKS ADMIN77712156 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/DUNN TAMAR~ TRAILS SHOP RESTOCK~ QTY 1 - 12 OZ SPRAY PRIMER WH CLE @ $5.106/EA;~ QTY 1 - RUSTY METAL PRIMER @ $5.106/EA; QTY 3 - ELEC TAPE 3/4" X 60" X 7 X 10 @ $0.735/EA + sales tax @ $1.24 30.6711/15/2018369884 PARKS ADMIN77712157 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/DUNN TAMAR~ TRAILS SHOP - RESTOCK SUPPLIES~ QTY 2 - PHOTOCELL SWIVEL 500W 120/240 @ $13.941/EA + sales tax @ $2.79 64.4211/15/2018369884 PARKS ADMIN77712158 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/DUNN TAMAR~ TRAILS SHOP RESTOCK SUPPLIES~ QTY 1 - CABLE TIE 11 IN 50# BLK 100 PK @ $12.081/EA;~ QTY 1 - CABLE TIE 7.5 IN 50# BLK 1000 PK @ $23.241/EA;~ QTY 1 - CALE TIE 7.5 IN 50# NAT 1000PK @ $23.241/EA + sales tax @ $5.86 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 84 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 15.4011/15/2018369884 PARKS ADMIN77712159 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/EARL CHRISTOPHE~ CONCRETE FOR SLIE INSTALLATION AT COULON PARK~ QTY 4 - 60-LB CONCRETE MIX @ $3.50/EA + sales tax @ $1.40 7.3311/15/2018369884 PARKS ADMIN77712160 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/EARL CHRISTOPHE CAPS FOR BBQ's AT COULON PARK~ QTY 4 - 2IN PVC PRESSURE CAP @ $1.66/EA + sales tax @ $0.67 607.6411/15/2018369884 PARKS ADMIN77712161 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMILLER PAINT RENTON/GOLDMAN BRYCE A~ VARNISH FOR TABLE WORK/COULON PARK~ QTY 8 - 1GAL SEAFIN SUPER SPAR VARNISH DALY'S #15210 @ $69.05/EA + sales tax @ $55.24 96.1411/15/2018369884 PARKS ADMIN77712162 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/GOLDMAN BRYCE A HARDWARE FOR LOG BOOM AT COULON PARK~ QTY 1 - MISC FASTENERS @ $14.99/EA;~ QTY 5 - MISC FASTENERS @ $5.19/EA;~ QTY 5 - 5/8 IN ANCHOR SHACKLE GALVANIZED @ $9.291/EA + sales tax @ $8.74 6.0311/15/2018369884 PARKS ADMIN77712163 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/GOLDMAN BRYCE A~ ADHESIVE FOR TILE REPAIR COULON PARK~ QTY 1 - 4.0 OZ PL POLYURETHANE PREM ADHESIVE @ $5.48/EA + sales tax @ $0.55 27.4811/15/2018369884 PARKS ADMIN77712165 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/GOLDMAN BRYCE A~ GROUT FOR STASTUE TILE REPAIR / COULON PARK~ QTY 1 - RTU PREMIUM GROUT CHARCOAL @ $24.98/EA + sales tax @ $2.50 64.6111/15/2018369884 PARKS ADMIN77712166 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/GOLDMAN BRYCE A~ SUPPLIES FOR TABLE WORK AT COULON PARK QTY 2 - 128 - FL OZ SIMPLE GREEN @ $9.98/EA;~ QTY 4 - BERCOM HANDY PAIL LINERS @ $4.68/EA;~ QTY 17 - PROJECT SOURCE 4-IN FOAM BRUSHES @ $1.18/EA + sales tax @ $5.87 21.4611/15/2018369884 PARKS ADMIN77712167 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/HALL MICHAEL F~ SUPPLIES FOR PARK REPAIR AT RON REGIS PARK~ QTY 1 - 1/2 X 10 EYE BOLT/NUT GLV @ $17.66/EA;~ QTY 3 - MISC FASTENERS @ $0.48.EA;~ QTY 1 - MISC FASTENERS @ $0.41/EA + sales tax @ $1.95 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 85 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 71.5211/15/2018369884 PARKS ADMIN77712168 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/HOURIE JUSTIN~ SUPPLIES FOR TABLE WORK AND GENERAL MAINT / COULON PARK~ QTY 1 - MURPHY'S OIL SOAP GAL @ $15.80/EA;~ QTY 1 - SMPL GRN APL CLNR @ $10.22/EA; QTY 1 - EWHIK 16 WASP & HORNET KILLER @ $6.03/EA;~ QTY 1 - MULTI-USE MASKING TAPE @ $ 7.43/EA;~ QTY 1 - COM SPONG 24Y @ $3.71/EA;~ QTY 1 - 4EDG PT SCRP BD 2CD 1-1/2 @ $6.50/EA;~ QTY 3 - WATERPROOF 9X11 @ $5.10/EA + sales tax @ $6.50 12.2011/15/2018369884 PARKS ADMIN77712169 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/KUBICEK ANDY~ PARK AVE SHOP SUPPLIES~ QTY 2 - MISC FASTENERS @ $0.44/EA;~ QTY 2 - DAWN DISHWASHING LIQUID 56 @ $5.106/EA + sales tax @ $1.11 61.5811/15/2018369884 PARKS ADMIN77712170 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/MARTIN JOHN~ PARK AVE SHOP SUPPLIES~ QTY 2 - STIHL AUTOCUT 25-2 MOWING HD SPL @ $27.99/EA + sales tax @ $5.60 219.6811/15/2018369884 PARKS ADMIN77712179 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/PETERSON DAVE J~ MATERIALS FOR LIGHT REPAIR~ QTY 2 - ADV 71A8251001D 250W HPS @ $75.58/EA;~ QTY 1 - MDSG MULTI-DRIVE SCREW @ $12.8520/EA;~ QTY 100 - 10 X 3/4 HWH TEK SCREW @ $12.9770 total;~ QTY 1 - 3M 35-ORANGE - 3/4 x 66' CODING @ $5.68/EA;~ QTY 1 - 3M 35-YELLOW - 3/4 X 66' CODING @ $5.68/EA;~ QTY 1 - 3M - 35-BLUE - 3/4 X 66' CODING @ $5.68/EA;~ QTY 1 - 3M 35-RED - 3/4 X 66' CODING @ $5.68/EA + SALES TAX @ $19.97 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 86 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 135.6111/15/2018369884 PARKS ADMIN77712180 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/PETERSON DAVE J~ SUPPLIES FOR LIGHT REPAIR~ QTY 2 - ILS SPA-0 AL MEC SPLICER @ $8.45520/EA;~ QTY 2 - ILS SPA-2 AL MEC SPLICER @ $6.01380/EA;~ QTY 1 - FLU FLK2AC/90-1000V ACV DETECEA @ $32.49/EA;~ QTY 1 - FLU AC285 SUREGRIP LARGE @ $27.99/EA;~ QTY 2 - LFU FLM005 (5A) 250V @ $3.42/EA; QTY 1 - PHI MH1000/U 6PK @ $27.02/EA + sales tax @ $12.33 383.3911/15/2018369884 PARKS ADMIN77712181 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/PETERSON DAVE J~ SUPPLIES FOR LIGHT REPAIR/ PARK AVE SHOP QTY 6 - PHI C250S50 / ALTO 12PK @ $21.38/EA;~ QTY 10 - LFU FLM005 (5A) 250V @ $3.42/EA;~ QTY 7 - LFU FLM015 (15A) 250V @ $3.42/EA;~ QTY 6 - PHI MH1000/U 6PK @ $27.02/EA + sales tax 34.85 38.5211/15/2018369884 PARKS ADMIN77712182 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/PETERSON DAVE J PARK AVE SHOP RESTOCK SUPPLIES~ QTY 1 - FUSE PULLER FOR 13/32-13/16 @ $11.15/EA;~ QTY 1 - TORX KEY SET TAMP/RESISTANT @ $9.29/EA;~ QTY 1 - SOCKET ADAPTER @ $3.99/EA;~ QTY 1 - 3/16IN 6PT SCKT 1/4 @ $3.53/EA; QTY 2 - 7/32IN 6PT SCKT 1/4 @ $3.53/EA; + sales tax @ $3.50 58.5611/15/2018369884 PARKS ADMIN77712183 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/PRELLWITZ DERRE SUPPLIES FOR ADA PARKING AT BURNETT PARKING LOT~ QTY 24 - MISC FASTENERS @ $0.36/EA;~ QTY 4 - TREATED BELOW GROUND 4X4X8 @ $11.15/EA + sales tax @ $5.32 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 87 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 203.3411/15/2018369884 PARKS ADMIN77712184 001.000000.020.576.80.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/WILLENBORG STEV SUPPLIES FOR COULON PARK SHOP~ QTY 3 - 15IN NO-SPILL GAS CAN RD 5G @ $27.89/EA;~ QTY 1 - ZIP STRIP PAINT REMOVER @ $32.54/EA;~ QTY 1 - CABLE TIE 15IN 120# BLK 100PK @ $23.24/EA;~ QTY 1 - ZIPLOC STORAGE BAG GAL @ $3.71/EA;~ QTY 10 - 4IN FM BRS WD HDLE @ $1.38/EA; QTY 2 - PRODUCTION PAPER CRS 10Y @ $4.17/EA;~ QTY 2 - 100C 9X11 ALOX PAPER @ $4.17/EA; QTY 3 - 2X GLOSS HUNTER GREEN @ $3.71/EA + sales tax @ $18.49 1,335.0011/15/2018369884 PARKS ADMIN77712164 001.000000.020.576.80.43.002 TRAINING/SCHOOLSINTL NW PARKS & RECREATN/GOLDMAN BRYCE A REGISTRATIONN FOR PACIFIC NW RESOURCE MANAGEMENT SCHOOL~ Date: Feb. 25 - March 1, 2019~ 1st Year Aendee/Bryce Goldmann 221.5311/15/2018369884 PARKS ADMIN77712140 001.000000.020.576.80.48.004 VANDALISMCERTIFIED LABORATORIES/BATES TRAVIS~ PARK AVE SHOP RESTOCK SUPPLIES~ QTY 2 - SCRUBS GRAFFITI & SPRAY PAINT REMOVER WIPES 30/CANISTER @ $89.45/EA; shipping @ $22.49 + sales tax @ $20.14 8.1611/15/2018369884 PARKS ADMIN77712145 001.000000.020.576.80.48.004 VANDALISMMCLENDON HARDW- RENTON/COLEMAN STEFANI SUPPLIES FOR GRAFFITI REPAIR~ QTY 1 - 2X GLOSS MEADOW GREEN @ $3.71/EA;~ QTY 1 - S/GLS HNTR GRN SPRAY @ $3.71/EA + sales tax @ $0.74 24.5111/15/2018369884 PARKS ADMIN77712149 001.000000.020.576.80.48.004 VANDALISMMCLENDON HARDW- RENTON/COLEMAN STEFANI SUPPLIES FOR GRAFFITI REPAIR/PARK AVE SHOP~ QTY 1 - 377-918 SPYPNT ULT MTT WHT @ $4.641/EA;~ QTY 1 - 377-921 SPYPNT ULT MTT GRY @ $4.641/EA;~ QTY 2 - 2008 BULLSEYE 123 PRMR/SLR WH 13 @ $6.501/EA + sales tax @ $2.23 125.0011/15/2018369884 PARKS ADMIN77712185 001.000000.020.576.81.43.002 TRAINING/SCHOOLSACT*MRSC/WYATT ALAN~ REGISTRATION FOR ALAN WYATT TO ATTEND MRSC TRAINING: "PURCHASING & CONTRACTING ESSENTIALS - SHORELINE" ~ Date: Wednesday, November 7, 2018~ Locaon: Shoreline City Hall Council Chambers H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 88 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 35.0011/15/2018369884 PARKS ADMIN77712186 001.000000.020.576.81.43.002 TRAINING/SCHOOLSACT*MRSC/WYATT ALAN~ REGISTRATION FOR WEBINAR THRU MRSC FOR ALAN WYATT~ "PUBLIC WORKS CONTRACTING: TIPS AND BEST PRACTICES"~ Date: November 14, 2018~ Time: 11:00 a.m. - Noon 9,598.1911/15/2018369884 PARKS ADMIN77712057 001.080009.020.569.73.31.000 KC GRANT - SUPPLIESCABINETS; SENIOR CENTER COFFEE BAR REMODEL~ THE HOME DEPOT #4705/VAN CLEAVE MARY 39.7611/15/2018369884 PARKS ADMIN77712219 001.250002.020.571.20.31.011 PROGRAM SUPPLIES-ATHLETICSTRACK MEET RIBBONS~ RIBBONS GALORE/WOODKE GENA 10.9911/15/2018369884 PARKS ADMIN77712220 001.250002.020.571.20.31.011 PROGRAM SUPPLIES-ATHLETICSSUPER HERO MASK TRACK AND FIELD~ AMZN MKTP US*MT2JD1I12/WOODKE GENA 35.4411/15/2018369884 PARKS ADMIN77712269 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECArt class supplies - AMAZON.COM*MT9NC71R1/ADAMS MARY E 15.8011/15/2018369884 PARKS ADMIN77712270 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECClub Thursday Supplies - WALGREENS #4627/ADAMS MARY E 181.3411/15/2018369884 PARKS ADMIN77712271 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECClub Thursday snacks/supplies - WWW COSTCO COM/ADAMS MARY E 46.9811/15/2018369884 PARKS ADMIN77712272 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECClub thursday supplies - FRED-MEYER #0459/ADAMS MARY E 20.4011/15/2018369884 PARKS ADMIN77712273 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECClub Thursday Supplies - DOLLAR TREE/ADAMS MARY E 50.9511/15/2018369884 PARKS ADMIN77712275 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECClub Thursday Supplies - AMZN MKTP US*MT33D3IY1/ADAMS MARY E 136.0911/15/2018369884 PARKS ADMIN77712276 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECClub Thursday Supplies - AMZN MKTP US*M87445C32/ADAMS MARY E -10.9911/15/2018369884 PARKS ADMIN77712277 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECRefund Club Thursday Supplies - AMZN MKTP US/ADAMS MARY E 17.9711/15/2018369884 PARKS ADMIN77712278 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECPumpkin carving Club Thursday - QFC #5871/ADAMS MARY E 24.2011/15/2018369884 PARKS ADMIN77712279 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECclub thursday supplies - DOLLAR TREE/ADAMS MARY E 44.3811/15/2018369884 PARKS ADMIN77712280 001.250005.020.571.20.31.011 PROGRAM SUPPLIES - SPEC RECclub thursday supplies - AMZN MKTP US*M88F23L91/ADAMS MARY E 37.0011/15/2018369884 PARKS ADMIN77712274 001.250005.020.571.20.49.009 ADMISSIONS - SPEC RECTickets to zoo - WWW.PDZA.ORG/ADAMS MARY E H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 89 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 150.0011/15/2018369884 PARKS ADMIN77712187 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSTRUCK OR TREAT STARBUCKS GIFT CARD FOR VOLUNTEERS $5.00 X 30~ FRED-MEYER #0459/ANDERSON SHIRLE 12.2811/15/2018369884 PARKS ADMIN77712188 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSURVEYOR TAPE TRUCK OR TREAT~ MCLENDON HARDW- RENTON/ANDERSON SHIRLE 543.2311/15/2018369884 PARKS ADMIN77712190 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSTRUNK OR TREAT SUPPLIES/CANDY~ COSTCO WHSE #0006/BURKE BRANDI 15.2011/15/2018369884 PARKS ADMIN77712192 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSHOLIDAY SUPPLIES PRESCHOOL ~ DOLLAR TREE/KIDS PRESCHOOL 29.9411/15/2018369884 PARKS ADMIN77712193 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSHOLIDAY DECOR PRESCHOOL PUMPKINS~ SPOONER FARMS/KIDS PRESCHOOL 112.0011/15/2018369884 PARKS ADMIN77712194 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSFIELD TRIP TO THE FARM~ SPOONER FARMS/KIDS PRESCHOOL 19.7111/15/2018369884 PARKS ADMIN77712195 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSERVING UTINSELS ~ IKEA SEATTLE/KIDS PRESCHOOL 175.0011/15/2018369884 PARKS ADMIN77712196 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSFIELD TRIP TO FARM ~ SPOONER FARMS/KIDS PRESCHOOL 7.0011/15/2018369884 PARKS ADMIN77712197 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSFIELD TRIP TO THE FARM ~ SPOONER FARMS/KIDS PRESCHOOL 28.0011/15/2018369884 PARKS ADMIN77712198 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSCLASSROOM PUMPKINS~ SPOONER FARMS/KIDS PRESCHOOL 13.0911/15/2018369884 PARKS ADMIN77712199 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSHAY AND CORN STALKS~ SPOONER FARMS/KIDS PRESCHOOL 33.5111/15/2018369884 PARKS ADMIN77712200 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSBIRTHDAY PARTY SUPPLIES~ FRED MEYER #0682/KIDS PRESCHOOL 466.6011/15/2018369884 PARKS ADMIN77712210 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSPROGRAM SUPPLIES RCC AND KENNYDALE~ DSS*ACHIEVMNTPRODUCTS/SPENCER JENNIFE 223.0511/15/2018369884 PARKS ADMIN77712211 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSPAINT, ART SUPPLIES~ DSS*ACHIEVMNTPRODUCTS/SPENCER JENNIFE 157.7511/15/2018369884 PARKS ADMIN77712212 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSENSORY BIN PRESCHOOL ~ DSS*ACHIEVMNTPRODUCTS/SPENCER JENNIFE 481.2211/15/2018369884 PARKS ADMIN77712214 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSUPPLIES FOR LI'L MOVERS INDOOR PLAYGROUND~ AMZN MKTP US*MT7VD8SS1/THOMAS TANIA 26.1911/15/2018369884 PARKS ADMIN77712215 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSUPPLIES LI'L MOVERS INDOOR PLAYGROUND AMZN MKTP US*MT6IO1DI0/THOMAS TANIA H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 90 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 181.8211/15/2018369884 PARKS ADMIN77712216 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSUPPLIES LI'L MOVERS INDOOR PLAYGROUND AMZN MKTP US*MT7TT42W1/THOMAS TANIA 62.3511/15/2018369884 PARKS ADMIN77712217 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSUPPLIES LI'L MOVERS INDOOR PLAYGROUND AMZN MKTP US*MT5U14UO0/THOMAS TANIA 46.0211/15/2018369884 PARKS ADMIN77712218 001.250006.020.571.20.31.011 PROGRAM SUPPLIES-GEN PROGRAMSSUPPLIES LI'L MOVERS INDOOR PLAYGROUND AMZN MKTP US*MT2JN3R92/THOMAS TANIA 12.2611/15/2018369884 PARKS ADMIN77712203 001.251001.020.571.20.31.011 PROGRAM SUPPLIESSTEAM TEAM FIELD TO AQUARIUM PARKING ~ DIAMOND PARKING A172/PUTHOFF TOM 20.8911/15/2018369884 PARKS ADMIN77712204 001.251001.020.571.20.31.011 PROGRAM SUPPLIESINDOOR FASTENERS STEAM TEAM SUPPLIES~ STAPLES 00114389/PUTHOFF TOM 1,134.0011/15/2018369884 PARKS ADMIN77712205 001.251001.020.571.20.31.011 PROGRAM SUPPLIESKIDZ SCEINCE KITS STEAM TEAM ~ DEVELOPMENTAL STUDIES CEN/RECREATION RENT RENT 12.2611/15/2018369884 PARKS ADMIN77712206 001.251001.020.571.20.31.011 PROGRAM SUPPLIESSTEAM TEAM FIELD TRIP TO AQUARIUM PARKING~ DIAMOND PARKING A172/RECREATION RENT 12.2611/15/2018369884 PARKS ADMIN77712207 001.251001.020.571.20.31.011 PROGRAM SUPPLIESSTEAM TEAM FIELD TRIP TO AQUARIUM PARKING~ DIAMOND PARKING A172/RECREATION RENT 6.2811/15/2018369884 PARKS ADMIN77712208 001.251001.020.571.20.31.011 PROGRAM SUPPLIESSTEAM TEAM SUPPLIES SCIENCE CLASS SUPPLIES~ SAFEWAY #0366/RECREATION RENT 69.1711/15/2018369884 PARKS ADMIN77712299 001.251001.020.571.20.31.011 PROGRAM SUPPLIESSTREAM TEAM SUPPLIES WATER,COOKIES~ SAFEWAY #1563/NASS CARRIE 29.6911/15/2018369884 PARKS ADMIN77712300 001.251001.020.571.20.31.011 PROGRAM SUPPLIESSTEAM TEAM SUPPLIES PRESS INSPIRE U 8 CHART, PRESS POSTER STEM CAREERS~ AMAZON.COM*M80J43JV2 AMZN/NASS CARRIE 2.0011/15/2018369884 PARKS ADMIN77712297 001.800220.020.573.90.31.011 PROGRAM SUPPLIESCLIP ART FOR SUNSET RESOURCE FAIR EVENT-CED~ CANVA 02094-4310414/HICKS DREY 98.9511/15/2018369884 PARKS ADMIN77712201 001.800221.020.573.90.35.000 SMALL TOOLS/MINOR EQUIPMENTLOCKS FOR TRAILERS~ WATSON SECURITY - RENTON/OBRIEN ANDY 158.0011/15/2018369884 PARKS ADMIN77712298 001.800221.020.573.90.35.000 SMALL TOOLS/MINOR EQUIPMENTCOMMERIAL POCKET ROLLER BA 10X10 TO REPLACE TRAILER CANOPY BAGS~ PAYPAL *CARAVAN/HICKS DREY 83.6711/15/2018369884 PARKS ADMIN77711564 001.800221.020.573.90.41.003 CONTRACTED SERVICESFACEBK 6GP29HJHX2/HAGLUND BETH - ad for Mulcultural Fesval H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 91 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 322.3111/15/2018369884 PARKS ADMIN77712058 001.800221.020.573.90.41.003 CONTRACTED SERVICESSCREEN ON THE GREEN - A WRINKLE IN TIME MOVIE~ SWANK MOTION PICTURES IN/VAN CLEAVE MARY 151.1811/15/2018369884 PARKS ADMIN77712070 001.800221.020.573.90.41.003 CONTRACTED SERVICESLOWES #02420*/EAGAN DAN - CLAM LIGHTING PODIUM FOR MAYOR. 21.9511/15/2018369884 PARKS ADMIN77712071 001.800221.020.573.90.41.003 CONTRACTED SERVICESMCLENDON HARDW- RENTON/EAGAN DAN - PRIMER/PAINT FOR MAYOR LIGHTING BOX FOR COULON CLAM LIGHTS 26.3511/15/2018369884 PARKS ADMIN77712072 001.800221.020.573.90.41.003 CONTRACTED SERVICESMCLENDON HARDW - RENTON/EAGAN DAN - PAINT FOR LIGHTING PODIUM FOR CLAM LIGHTS 31.8311/15/2018369884 PARKS ADMIN77712114 001.800221.020.573.90.41.003 CONTRACTED SERVICESAMZN MKTP US*M81RK1JM2/MINISCI JEFF - CLAM LIGHTING SUPPLIES FOR MAYORS LIGHTING BOX 657.6011/15/2018369884 PARKS ADMIN77712202 001.800221.020.573.90.41.003 CONTRACTED SERVICESAD - MULTI CULTURAL FIESTIVAL~ SEATTLE CHINESE POST/OBRIEN ANDY 550.0011/15/2018369884 PARKS ADMIN77712171 001.880006.020.573.90.41.003 CONTRACTED SERVICESALICIAS WONDERLAND 2/NISHI TERESA~ FACE PAINTING AT SUMMER MEAL SITES (July 17 - August 17, 2018) 327.0011/15/2018369884 TRANSPORTATION/AIRPORT77711803 003.000000.016.542.93.49.001 MEMBERSHIPS & DUESINSTITUTE OF TRANSPORTATI/MAR RON - Dues 88.0811/15/2018369884 TRANSPORTATION/AIRPORT77711830 003.000000.016.542.95.31.014 MARKINGS SUPPLIESKLEENBLAST/POORMAN VANESSA. I ton (pallet) of media for sand blaster. To be split between all depts incl. signal shop. 27.2311/15/2018369884 TRANSPORTATION/AIRPORT77711801 003.000000.016.595.94.31.000 OFFICE/OPERATING SUPPLIESDES STATE PRINTER/HARNDEN JOSEF - Books (9 for CED) 13.6511/15/2018369884 TRANSPORTATION/AIRPORT77711802 003.000000.016.595.94.42.001 POSTAGEUSPS PO 5470710269/HARNDEN JOSEF 6.0011/15/2018369884 TRANSPORTATION/AIRPORT77711797 003.000000.016.595.94.43.001 TRAVELLAZ PARKING 780108/GREGERSEN HEATH 470.0011/15/2018369884 TRANSPORTATION/AIRPORT77711798 003.000000.016.595.94.43.002 TRAINING/SCHOOLSASSOC OF WA CITIES/GREGERSEN HEATHER - Infrastructure Assistance Coordinang Council (IACC) Conference registraon for Heather and Vangie 208.0811/15/2018369884 TRANSPORTATION/AIRPORT77711799 003.000000.016.595.94.43.008 LODGINGTRAVELODGE/GREGERSEN HEATH - Hotel while aending the IACC conference in Wenatchee, WA 208.0811/15/2018369884 TRANSPORTATION/AIRPORT77711800 003.000000.016.595.94.43.008 LODGINGTRAVELODGE/GREGERSEN HEATH - Hotel stay for Vangie while aending the IACC conference in Wenatchee, WA H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 92 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 18.3911/15/2018369884 TRANSPORTATION/AIRPORT77711793 003.000000.016.595.96.43.001 TRAVELIPM - LOT 50 - AVALARA TO/GARCIA VANGIE 15.9411/15/2018369884 TRANSPORTATION/AIRPORT77711794 003.000000.016.595.96.43.001 TRAVELIPM USPG/GARCIA VANGIE 15.0011/15/2018369884 TRANSPORTATION/AIRPORT77711795 003.000000.016.595.96.43.001 TRAVELIMPARK00250103U/GARCIA VANGIE 19.2411/15/2018369884 TRANSPORTATION/AIRPORT77711796 003.000000.016.595.96.43.001 TRAVELBOBS CLASSIC BRASS & BREW/GARCIA VANGIE - Reimbursed City 10/31/18 was to use advanced per diem for charge. 150.6011/15/2018369884 TRANSPORTATION/AIRPORT77711603 003.000000.016.597.18.00.000 TRANSFER OUT TO 503AMAZON.COM*MT7T06PW0/SEESE CHRIS: Kingston 2x8gb RAM for J. Harnden Laptop 434.5111/15/2018369884 PW SHOPS77711832 003.000000.019.542.90.31.000 OFFICE/OPERATING SUPPLIESVARIDESK/POORMAN VANESSA 400.0011/15/2018369884 PW SHOPS77711838 003.000000.019.542.90.43.002 TRAINING/SCHOOLSPAYPAL *NWPMA/KREEFT MICHELLE JAYSON GRANT-2018 NW PAVEMENT MGMT CONFERENCE 720.0011/15/2018369884 PW SHOPS77711840 003.000000.019.542.90.43.002 TRAINING/SCHOOLSWSU PESTICIDE EDUCATION/KREEFT MICHELLE PRE-LICENSE EXAM REVIEW: JEREMY JOHNSON, BRET BAKER, JOSH ANDERSON, MARK WYMAN, BRIAN AKANA, VINCE SCHRODER 480.0011/15/2018369884 PW SHOPS77711841 003.000000.019.542.90.43.002 TRAINING/SCHOOLSWSU PESTICIDE EDUCATION/KREEFT MICHELLE RECERTIFICATION: CHRIS WOOD, JOHN KALMBACH, STEPHEN FORSYTHE, RAMIRO ACOSTA-MALDONADO 720.0011/15/2018369884 PW SHOPS77711842 003.000000.019.542.90.43.002 TRAINING/SCHOOLSWSU PESTICIDE EDUCATION/KREEFT MICHELLE RECERTIFICATION: JOSH WAGNER, RANDY WYATT, DANNY HUFFMAN, BILL BETTS, DYLAN THOMAS, RUSS MCCLURG 88.0811/15/2018369884 PW SHOPS77711830 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESKLEENBLAST/POORMAN VANESSA. I ton (pallet) of media for sand blaster. To be split between all depts incl. signal shop. 60.4911/15/2018369884 PW SHOPS77711845 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/ANDERSON JOSH. Visqueen for screening in yard. 15.4911/15/2018369884 PW SHOPS77711847 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/FORSYTHE STEPHE. Paint brush and paint. 11.3911/15/2018369884 PW SHOPS77711849 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESWATSON SECURITY - RENTON/HUFFMAN DANIEL. Extra keys for D105 490.0011/15/2018369884 PW SHOPS77711850 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESPR DIAMOND PRODUCTS INC/KALMBACH JOHN. 3 mul purpose blades. 8.8011/15/2018369884 PW SHOPS77711851 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESAUTOZONE4115AUTOZONE/KALMBACH JOHN. Anfreeze for snow equipment H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 93 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 96.2511/15/2018369884 PW SHOPS77711854 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/MCCLURG RUSSELL. 25 bags of concrete. 181.4911/15/2018369884 PW SHOPS77711855 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/MCCLURG RUSSELL. Visqueen for material. Split 4 ways. 13.2711/15/2018369884 PW SHOPS77711857 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/MCCLURG RUSSELL. Coupling insert. 14.3211/15/2018369884 PW SHOPS77711858 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/WOOD CHRIS. Clamps for de-icer. 12.0811/15/2018369884 PW SHOPS77711859 003.000000.019.542.92.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/WYATT RANDY. LED bulbs. 114.3811/15/2018369884 PW SHOPS77711829 003.000000.019.542.92.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP US*MT5BW36T0/POORMAN VANESSA. Chain saw sharpener for Street. 59.3811/15/2018369884 PW SHOPS77711848 003.000000.019.542.92.35.000 SMALL TOOLS/MINOR EQUIPMENTHARBOR FREIGHT TOOLS 190/FORSYTHE STEPHE. Jacks for snow plows. 101.8111/15/2018369884 PW SHOPS77711852 003.000000.019.542.92.35.000 SMALL TOOLS/MINOR EQUIPMENTHARBOR FREIGHT TOOLS 190/KALMBACH JOHN. O-meters and hitch tool. 21.9711/15/2018369884 PW SHOPS77711853 003.000000.019.542.92.35.000 SMALL TOOLS/MINOR EQUIPMENTTHE HOME DEPOT #4705/KALMBACH JOHN. Tool box for truck. 131.8711/15/2018369884 PW SHOPS77711887 003.000000.019.542.92.35.000 SMALL TOOLS/MINOR EQUIPMENTFire hose nozzles for the shops wash rack 72.3311/15/2018369884 PW SHOPS77711856 003.000000.019.542.92.43.007 MEALS & INCIDENTAL EXPENSERAIL STATION ALE HOUSE/MCCLURG RUSSELL. Didnt receive per diem before Roadeo event in Wenatchee.- Reimbursed 11-1-18 756.6411/15/2018369884 PW SHOPS77711860 003.000000.019.542.92.43.008 LODGINGCOMFORT SUITES/ZELLNER PATRICK. Hotel room for 3 nights in Wenatchee for Roadeo. 600.0011/15/2018369884 PARKS ADMIN77712178 009.000000.020.573.30.41.003 CONTRACTED SERVICES-DOWNTOWNHONEY BUCKET/OLSON CARRIE~ ADA PORTABLE TOILET FOR FARMERS MARKET 9/11/2018, 9/18/2018 AND 9/25/2018 42.0011/15/2018369884 PARKS ADMIN77712172 009.000000.020.573.30.43.006 MEAL ALLOWANCE-VOLUNTEER DOWNTOWNSAFEWAY #1471/OLSON CARRIE~ VOLUNTEER LUNCH 9/25/2018 FARMERS MARKET QTY 7 - CUPCAKE 10CT $ 6.00/EA 105.4411/15/2018369884 PARKS ADMIN77712173 009.000000.020.573.30.43.006 MEAL ALLOWANCE-VOLUNTEER DOWNTOWNLITTLE CAESARS 1475-0003/OLSON CARRIE~ VOLUNTEER LUNCH 9/25/2018 FARMERS MARKET QTY 10 - PEPPERONI PIZZA~ QTY 6 - CHEESE PIZZA H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 94 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 55.0011/15/2018369884 PARKS ADMIN77712175 009.880004.020.573.30.41.003 CONTRACTED SERVICES - KCDEIG*CONSTANTCONTACT.COM/OLSON CARRIE~ EMAIL SERVICE FOR OCTOBER 2018~ FARMERS MARKET 174.8411/15/2018369884 PARKS ADMIN77712174 009.880004.020.573.30.44.000 ADVERTISING - KCDFACEBK SQVGTHS8Q2/OLSON CARRIE~ ADVERTISING FOR SEPTEMBER 2018 FARMERS MARKET 420.5311/15/2018369884 PARKS ADMIN77712132 108.220044.020.518.21.31.000 SUPPLIES-200 MILLIMLSS WASHINGTON/YOUNGEDYK PAUL - PD SET UNIT 200 MILL~ KIT - IC STORE ROOM MORTISE ANGLE LC 1,122.5511/15/2018369884 PARKS ADMIN77712052 108.220046.020.518.21.31.000 SUPPLIES-PARKING GARAGEPARKING HANG TAG FOR PARKING PERMITS~ SMARTSIGN/LOHMAN LORI 2.0011/15/2018369884 PARKS ADMIN77712087 108.220046.020.518.21.48.000 REPAIRS & MAINTENANCE-PARKING GARAGECITY OF RENTON PARKING/JACKSON BLAINE - PARKING PAYMENT TO TEST THE CITY GARAGE KIOSKS 2.0011/15/2018369884 PARKS ADMIN77712088 108.220046.020.518.21.48.000 REPAIRS & MAINTENANCE-PARKING GARAGECITY OF RENTON PARKING/JACKSON BLAINE - PARKING GARAGE REPAIR RECEIPT OF KIOSK 59.3411/15/2018369884 PARKS ADMIN77712062 108.220047.020.518.21.31.000 SUPPLIES-PAVILION BUILDINGAQUA QUIP/EAGAN DAN - PIAZZA - NET FOR CLEANING -350.9011/15/2018369884 PARKS ADMIN77712119 108.220047.020.518.21.31.000 SUPPLIES-PAVILION BUILDINGAQUA QUIP/PEARSON CASEY~ PUMP FOR FOUNTAIN - PURCHASED AND THEN RETURNED 24.9911/15/2018369884 PARKS ADMIN77712113 108.220048.020.518.21.48.000 REPAIRS & MAINTENANCE-LIBERTY PARK BLDGSIMPLISAFE.COM/MINISCI JEFF - LIBERTY PARK COMM BLDG ALARM MONITORING 8.0611/15/2018369884 UTILITY SYSTEMS77711781 403.000000.018.537.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT0U84I80/CLENNA LAURA - First Aid Kit. 15.9811/15/2018369884 UTILITY SYSTEMS77711782 403.000000.018.537.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*M80HM24W0/CLENNA LAURA - DYMO Labeling Tape and Ergonomic Keyboard. -7.6211/15/2018369884 UTILITY SYSTEMS77711783 403.000000.018.537.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM/CLENNA LAURA - Return of Ergonomic Keyboard. 70.6111/15/2018369884 UTILITY SYSTEMS77711788 403.000000.018.537.60.31.000 OFFICE/OPERATING SUPPLIESIBI - SUPPLYWORKS #2251/PURSELL JULIE. Compostable bags for In-house Recycling Program. -8.7911/15/2018369884 UTILITY SYSTEMS77711787 403.000000.018.537.60.41.011 LHWMP GRANT PROGRAMTARGET 00022905/KIM JINA. Return of accidental personal charge. Reimbursement was paid to City on 10/3/18. Refund is now due to Jina Kim. 42.2411/15/2018369884 PW SHOPS77711846 403.000000.019.537.50.31.000 OFFICE/OPERATING SUPPLIESFRED-MEYER #0031/CALKINS BRETT. Work pants per MOU clothing allowance H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 95 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 172.6611/15/2018369884 PARKS ADMIN77712263 404.000000.020.576.61.31.000 OFFICE/ OPERATING SUPPLIES2018 10 GC CC AMZN MKTP US*MT4CD05C0 / WAGNER DIANE - RESALE & SUPPLIES: TAPE, STAPLERS, STAPLES, DOUBLE SIDED TAPE, COIN BAGS, ETC.~ ~ RESELL: ZANTAC: 1 @ 80 $48.08 21.1011/15/2018369884 PARKS ADMIN77712264 404.000000.020.576.61.31.000 OFFICE/ OPERATING SUPPLIES2018 10 GC CC: AMZN MKTP US*MT2OZ95U1 / WAGNER DIANE ~ CALCULATOR INK REPLACEMENTS 13.8411/15/2018369884 PARKS ADMIN77712267 404.000000.020.576.61.31.000 OFFICE/ OPERATING SUPPLIES2018 10 GC CC: STAPLES 00113373 / WAGNER DIANE: OFFICE SUPPLIES - WHITE-OUT TAPES 40.3511/15/2018369884 PARKS ADMIN77712126 404.000000.020.576.61.31.011 CUSTODIAL SUPPLIESSHERWIN WILLIAMS 703553/SO JOHNNY GC CUTODIAL SUPPLIES 79.0311/15/2018369884 PARKS ADMIN77712127 404.000000.020.576.61.31.011 CUSTODIAL SUPPLIESPLATT ELECTRIC 040/SO JOHNNY - GC CUSTODIAL SUPPLIES - 67.5511/15/2018369884 PARKS ADMIN77712128 404.000000.020.576.61.31.011 CUSTODIAL SUPPLIESJON DON SEATTLE 008/SO JOHNNY - GC CUSTODIAL SUPPLIES ~ AEROSOL FRESH LINEN/VANILLA 16.0011/15/2018369884 PARKS ADMIN77712246 404.000000.020.576.61.43.001 GOLF COURSE TRAVEL2018 10 GC CC: HOTEL MURANO / PARKING / MILLS DOUGLAS ---~ NW PGA MERCHANDING SHOW PARKING 1,100.0011/15/2018369884 PARKS ADMIN77712241 404.000000.020.576.61.43.002 TRAINING/SCHOOLS2018 10 GC CC: IN *NORTHWEST TURFGRASS A / MEYERS STEPHEN~ CONFERENCE - MEYERS, MARRAPODI~ OCT 28-30 2018 600.0011/15/2018369884 PARKS ADMIN77712266 404.000000.020.576.61.44.000 ADVERTISING2018 10 GC CC: VARSITY COMMUNICATIONS / WAGNER DIANE~ ADVERTISING: CASCADE GOLFER DISPLAY 3,426.5011/15/2018369884 PARKS ADMIN77712239 404.000000.020.576.65.31.000 OFFICE/OPERATING SUPPLIES2018 10 GC CC: N *DESERT GREEN TURF, IN / MEYERS STEPHEN - SOD~ DELIVER AND INSTALL 4700 sf BIG ROLL 34.4511/15/2018369884 PARKS ADMIN77712242 404.000000.020.576.65.31.000 OFFICE/OPERATING SUPPLIES2018 10 GC CC: MOTION AND FLOW KENT / MEYERS STEPHEN - REPAIR SUPPLIES: HYDRAULIC LINES~ #93 FWY MOWER 1,290.5111/15/2018369884 PARKS ADMIN77712244 404.000000.020.576.65.31.005 CHEMICALS2018 10 GC CC: COM / MILLS DOUGLAS - REPAIR SUPPLIES - ~ CHEMICALS: CIVITAS~ FERTILIZERS: VITASTIM POLAR~ ~ INV #'S: H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 96 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 5,837.1311/15/2018369884 PARKS ADMIN77712244 404.000000.020.576.65.31.011 FERTILIZER2018 10 GC CC: COM / MILLS DOUGLAS - REPAIR SUPPLIES - ~ CHEMICALS: CIVITAS~ FERTILIZERS: VITASTIM POLAR~ ~ INV #'S: 4,010.0811/15/2018369884 PARKS ADMIN77712240 404.000000.020.576.65.31.012 SAND2018 10 GC CC: WASHINGTON ROCK QUARRIES / MEYERS STEPHEN - FAIRWAY TOP DRESSING 2,048.7411/15/2018369884 PARKS ADMIN77712261 404.000000.020.576.65.31.012 SAND2018 10 GC CC: CEDAR GROVE COMPOSTING / WAGNER DIANE - COMPOST, TOPSOIL, AERIFICATON TIME 430.9111/15/2018369884 PARKS ADMIN77712248 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC - NAPA STORE 3767013 / VAN SANTFORD DA - SHOP / EQ SUPPLIES: OIL, ENG FLUISH OCTANE BOOSTS, ETC. (OIL @ 6.5 EA @ 10/30) 1,628.0011/15/2018369884 PARKS ADMIN77712249 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: GOLFCO INTERNATIONAL INC / VAN SANTFORD DA-REPAIR SUPPLIES / JD ROLLER~ ROLLER 3" COMPETITION SMOOTH~ JD 9009A; POLYURETHANE SOFT HAMMER 301.2211/15/2018369884 PARKS ADMIN77712250 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: BRYANT S TRACTOR & MOWER / VAN SANTFORD DA - REPAIR SUPPLIES / CHAINSAW - CHAIN LOOP, CUTTER BAR, OIL ETC 74.1711/15/2018369884 PARKS ADMIN77712251 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: NAPA STORE 3767013 / VAN SANTFORD DA - REPAIR SUPPLIES~ FUEL HOSE, CLAMPS, ETC. 310.2611/15/2018369884 PARKS ADMIN77712252 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: PERFECT DRIVE GOLF AND UT / VAN SANTFORD DA - REPAIR SUPPLIES: ASM SPRING, ARM BUSHINGS ETC DA 285.9811/15/2018369884 PARKS ADMIN77712253 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: NAPA STORE 3767013 / VAN SANTFORD DA - REPAIR SUPPLIES~ BATTERIES, CORE DEPOSIT, ALTERNATOR~ ~ . 237.9411/15/2018369884 PARKS ADMIN77712254 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: ROMAINE CORP HQ KEN T / VAN SANTFORD DA - REPAIR SUPPLIES 78 TORO SPRAYER 16.5011/15/2018369884 PARKS ADMIN77712255 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: NAPA STORE 3767013 / VAN SANTFORD DA - REPAIR SUPPLIES, #C215 ALTERNATOR H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 97 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 497.6311/15/2018369884 PARKS ADMIN77712256 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: ROMAINE CORP HQ KENT/VAN SANTFORD DA REPAIR SUPPLIES - CREDIT - APPEARS NEXT CYCLE 220.6111/15/2018369884 PARKS ADMIN77712257 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCE2018 10 GC CC: LOWES #02420* / VAN SANTFORD DA - COMPESSOR & MISC REPAIRS SUPPLIES: WOOD SCRAPER, BUG-STOP , RAKE GRIPS, SCREWS, COUPLERS, ETC 17.6011/15/2018369884 PARKS ADMIN77712238 404.000000.020.576.68.31.011 PRO SHOP SUPPLIES2018 10 GC CC: LOWES #02420* / MEYERS STEPHEN - TOURNAMENT SUPPLIES / LADIES INVITE / FLOWERS, ETC AT EA OR EVERY OTHER HOLE(S) 12.7911/15/2018369884 PARKS ADMIN77712243 404.000000.020.576.68.31.011 PRO SHOP SUPPLIES2018 10 GC CC: MILLS DOUGLAS - LADIES INVITE TOURNAMENT SUPPLIES 17.6011/15/2018369884 PARKS ADMIN77712245 404.000000.020.576.68.31.011 PRO SHOP SUPPLIES2018 10 GC CC: DOLLAR TREE / MILLS DOUGLAS - TOURNAMENT SUPPLIES-PRO-SHOP - - TAPE MEASURES 8,420.0011/15/2018369884 PARKS ADMIN77712247 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC: WSG*WILSON SPTG GDS / V TOLL MIKE~ MERCH / RESALE - BALLS, , GRIPS, PUTTERS, RANGE BALLS,TC.~ ~ 4524919920\\4524852378\\4524797396\\ 503.8311/15/2018369884 PARKS ADMIN77712258 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC: IN *GLOVEIT, LLC / WAGNER DIANE - MERCH RESALE:~ VISORS, GLOVES ETC 727.8711/15/2018369884 PARKS ADMIN77712259 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC: DAPHNES HEADCOVERS / WAGNER DIANE~ MERCH RESELL - HEADCOVERS 1,522.5911/15/2018369884 PARKS ADMIN77712260 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC: JOFIT WHOLESALE / WAGNER DIANE- MERCH / RESALE ~ LADIES SKORTS, TANKS, ETC. 20.9611/15/2018369884 PARKS ADMIN77712262 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC: AMZN MKTP US*MT38G9582 / WAGNER DIANE - MERCH FOR RESELL - ADVIL~ 100 QNTY 48.0811/15/2018369884 PARKS ADMIN77712263 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC AMZN MKTP US*MT4CD05C0 / WAGNER DIANE - RESALE & SUPPLIES: TAPE, STAPLERS, STAPLES, DOUBLE SIDED TAPE, COIN BAGS, ETC.~ ~ RESELL: ZANTAC: 1 @ 80 $48.08 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 98 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 19.7911/15/2018369884 PARKS ADMIN77712265 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC: US*MT1MX3BA1 / WAGNER DIANE - MERCH RESALE: CR2 BATTERIES 3,159.5511/15/2018369884 PARKS ADMIN77712268 404.000000.020.576.68.34.000 PURCHASES MERCHANDISE2018 10 GC CC: ACUSHNET BILLTRUST / WAGNER DIANE -MERCH for RESALE: ~ INVOICE NUMBERS: 8.0611/15/2018369884 UTILITY SYSTEMS77711781 405.000000.018.534.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT0U84I80/CLENNA LAURA - First Aid Kit. 15.9811/15/2018369884 UTILITY SYSTEMS77711782 405.000000.018.534.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*M80HM24W0/CLENNA LAURA - DYMO Labeling Tape and Ergonomic Keyboard. -7.6011/15/2018369884 UTILITY SYSTEMS77711783 405.000000.018.534.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM/CLENNA LAURA - Return of Ergonomic Keyboard. 21.9911/15/2018369884 UTILITY SYSTEMS77711792 405.000000.018.534.10.31.000 OFFICE/OPERATING SUPPLIESSTAPLES 00114389/SULYCH EMINA. Wireless keyboard and mouse combo. 56.0011/15/2018369884 UTILITY SYSTEMS77711785 405.000000.018.534.20.41.010 WATER QUALITY TESTINGTTT ENVIRONMENTAL LLC/ CRAWFORD MELISSA - Water Quality Tesng equipment rental. 63.2011/15/2018369884 UTILITY SYSTEMS77711789 405.000000.018.534.20.43.001 TRAVELALASKA AIR 0277262623907/SULYCH EMINA. Airfare from Seale for 2018 Trimble Users Conference in Las Vegas on 11/04/18. 78.1911/15/2018369884 UTILITY SYSTEMS77711790 405.000000.018.534.20.43.001 TRAVELDELTA AIR 0067185031303/SULYCH EMINA. Rerutn airfare for 2018 Trimble Users Conference in Las Vegas on 11/10/18. -1.7811/15/2018369884 UTILITY SYSTEMS77711791 405.000000.018.534.20.43.001 TRAVELEXPEDIA 7382069150655/SULYCH EMINA. Refund of airfare booking fee for Emina Sulych for 2018 Trimble Dimensions Users Conference in Las Vegas on 11/04/18. 404.9111/15/2018369884 UTILITY SYSTEMS77711619 405.000000.018.597.18.00.000 TRANSFER OUT TO 503Transfer out to 503 88.0811/15/2018369884 PW SHOPS77711830 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESKLEENBLAST/POORMAN VANESSA. I ton (pallet) of media for sand blaster. To be split between all depts incl. signal shop. 60.5011/15/2018369884 PW SHOPS77711845 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/ANDERSON JOSH. Visqueen for screening in yard. 181.4911/15/2018369884 PW SHOPS77711855 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/MCCLURG RUSSELL. Visqueen for material. Split 4 ways. H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 99 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 67.4111/15/2018369884 PW SHOPS77711879 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/BURKEY JASON--- Cables and cable clamps & Stops 107.1711/15/2018369884 PW SHOPS77711880 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/BURKEY JASON-- Cedar boards, steeel wall mount, shelving, drywall anchors, wood screws - Water Bay 102.9611/15/2018369884 PW SHOPS77711881 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/BURKEY JASON-- Wood Wedges 81.3811/15/2018369884 PW SHOPS77711882 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESJCPENNEY 0696/CAMPBELL SEAN-- Jeans / pant from Clothing Allowance per MOU 106.4811/15/2018369884 PW SHOPS77711883 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWORK AND MORE/CAMPBELL SEAN-- work boots that he returned aer realizing he needed to use his own money. -106.4811/15/2018369884 PW SHOPS77711884 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESWORK AND MORE/CAMPBELL SEAN--Credit for the return of work boots 21.9811/15/2018369884 PW SHOPS77711885 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/COMBS MARK--- 2 1/2" paint brushes for hydrant painng 73.8311/15/2018369884 PW SHOPS77711886 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/DILLS PAUL-- 2 bundles of wood wedges 24.2411/15/2018369884 PW SHOPS77711888 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESCENTRAL WELDING SUPPLY/FERRER JOE-- Filled Carbon dioxide tank 9.3811/15/2018369884 PW SHOPS77711889 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESSHELL OIL 57445961303/FERRER JOE-- Fuel for sump pump used for main break 23.5011/15/2018369884 PW SHOPS77711891 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESOREILLY AUTO #3696/GALVAN ROBERTO -- Vehicle cleaning supplies 107.0811/15/2018369884 PW SHOPS77711892 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESCauon blue marking paint 161.3911/15/2018369884 PW SHOPS77711893 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/HAMBLIN TODD-- Cedar Board, surge protector, hooks, mounng wall shelves, screws -32.4511/15/2018369884 PW SHOPS77711894 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESDUNN LUMBER RT MOTO/OLVERA HECTOR-- Credit for the return of some screws 8.3211/15/2018369884 PW SHOPS77711895 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 800/OLVERA HECTOR--Duct Covers 32.4511/15/2018369884 PW SHOPS77711896 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESDUNN LUMBER RT/OLVERA HECTOR-- Screws that were returned for credit 39.7011/15/2018369884 PW SHOPS77711897 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESDUNN LUMBER RT/OLVERA HECTOR--- Box of flat head phillips stainless screws H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 100 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 50.0011/15/2018369884 PW SHOPS77711898 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPAYPAL *SQUAWK1955/OLVERA HECTOR-- Electrical control relay 46.2611/15/2018369884 PW SHOPS77711899 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT9YD6BX0/OLVERA HECTOR-- Work cell phone baery and screeen protectors for Craig Prays phone 494.0811/15/2018369884 PW SHOPS77711901 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/OLVERA HECTOR 71.5011/15/2018369884 PW SHOPS77711902 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 800/OLVERA HECTOR-- Shop light 243.7811/15/2018369884 PW SHOPS77711903 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 800/OLVERA HECTOR-- Light bulbs 4' for the shop fixtures 12.0911/15/2018369884 PW SHOPS77711904 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 800/OLVERA HECTOR-- 3-port wire connectors -5.4111/15/2018369884 PW SHOPS77711905 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/OLVERA HECTOR-- refund for a tax charge -54.1211/15/2018369884 PW SHOPS77711906 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/OLVERA HECTOR 59.5311/15/2018369884 PW SHOPS77711907 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 800/OLVERA HECTOR-- 6- Magnec Ballast 158.1011/15/2018369884 PW SHOPS77711908 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 800/OLVERA HECTOR-- Fiber Opcal rack 405.0011/15/2018369884 PW SHOPS77711909 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESINDELCO PLASTICS CORP/OLVERA HECTOR-- High - Low level control kit 17.5811/15/2018369884 PW SHOPS77711911 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/ONEILL JOSHUA-- An seize lube & galv pipe nipple 59.3611/15/2018369884 PW SHOPS77711912 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/ONEILL JOSHUA-- Brass Nipple & coupling 37.6011/15/2018369884 PW SHOPS77711915 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESHISTRENGTH BOLT CO./PIERSON PAT- 1/2" - 13 HSS Boom taps 43.9911/15/2018369884 PW SHOPS77711916 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/PRAY CRAIG-- Rat bait for CCTF staon 15.3311/15/2018369884 PW SHOPS77711917 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/RODRIGUEZ JAMES-- Shelf bracket 725.0811/15/2018369884 PW SHOPS77711919 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESTACOMA SCREW PRODUCTS KE/RODRIGUEZ JAMES-- (40) SS Hex Cap Screws JAMES H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 101 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 117.1611/15/2018369884 PW SHOPS77711920 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESTACOMA SCREW PRODUCTS KE/RODRIGUEZ JAMES-- SS Hex Full Nut 1" -8 coarse (40) JAMES 71.1711/15/2018369884 PW SHOPS77711921 405.000000.019.534.50.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/STAHL GEORGE-- Metal electrical cover, 3 hole metal elect box, surge protector 66.4811/15/2018369884 PW SHOPS77711881 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTPoly tank sprayer 131.8611/15/2018369884 PW SHOPS77711887 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTMOTION AND FLOW KENT/DIMOND JOHN Fire hose nozzles for the shops wash rack 1,953.6611/15/2018369884 PW SHOPS77711890 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTKELLER AMERICA INC./GALVAN ROBERTO-- Acculevels- ( used for measuring water well levels) 27.4911/15/2018369884 PW SHOPS77711892 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTMCLENDON HARDW- RENTON/GUNDERSEN EMIL-- Marking paint sprayer wand 156.5111/15/2018369884 PW SHOPS77711910 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTTACOMA SCREW PRODUCTS KE/OLVERA HECTOR-- 1- 5/32" Drill bit and drilling fluid 34.7711/15/2018369884 PW SHOPS77711913 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTMCLENDON HARDW- RENTON/PIERSON PAT-- 21Piece bit set 76.9911/15/2018369884 PW SHOPS77711914 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTHARBOR FREIGHT TOOLS 190/PIERSON PAT-- 5" mul purpose vise 559.0011/15/2018369884 PW SHOPS77711918 405.000000.019.534.50.35.000 SMALL TOOLS/MINOR EQUIPMENTPUMPBIZ INC/RODRIGUEZ JAMES-- Stainless steel jet pump 105.0011/15/2018369884 PW SHOPS77711833 405.000000.019.534.50.43.002 TRAINING/SCHOOLSPAYPAL *KCAWWA/KREEFT MICHELLE~ CTRL VALVE SERVICE TRAINING FOR PAUL DILLS 105.0011/15/2018369884 PW SHOPS77711834 405.000000.019.534.50.43.002 TRAINING/SCHOOLSPAYPAL *KCAWWA/KREEFT MICHELLE~ CTRL VALVE SERVICE TRAINING FOR CODY BARTLETT 105.0011/15/2018369884 PW SHOPS77711835 405.000000.019.534.50.43.002 TRAINING/SCHOOLSPAYPAL *KCAWWA/KREEFT MICHELLE CTRL VALVE SERVICE TRAINING FOR TODD HAMBLIN 105.0011/15/2018369884 PW SHOPS77711836 405.000000.019.534.50.43.002 TRAINING/SCHOOLSPAYPAL *KCAWWA/KREEFT MICHELLE CTRL VALVE SERVICE TRAINING FOR TYLER SCHWARTZENBERGER 105.0011/15/2018369884 PW SHOPS77711837 405.000000.019.534.50.43.002 TRAINING/SCHOOLSPAYPAL *KCAWWA/KREEFT MICHELLE CTRL VALVE SERVICE TRAINING FOR MARK COMBS H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 102 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 210.0011/15/2018369884 PW SHOPS77711839 405.000000.019.534.50.43.002 TRAINING/SCHOOLSGREEN RIVER COMMUNITY CO/KREEFT MICHELLE WATER MAIN DISINFECTION FOR CONSTRUCTION & MAINT. CREWS- JOEL MCCANN 83.5011/15/2018369884 PW SHOPS77711900 405.000000.019.534.50.49.008 LICENSES & PERMITSWA L & I TUKWILA/OLVERA HECTOR-- Electrical Journeyman license renewal 8.0611/15/2018369884 UTILITY SYSTEMS77711781 406.000000.018.535.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT0U84I80/CLENNA LAURA - First Aid Kit. 15.9811/15/2018369884 UTILITY SYSTEMS77711782 406.000000.018.535.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*M80HM24W0/CLENNA LAURA - DYMO Labeling Tape and Ergonomic Keyboard. -7.6211/15/2018369884 UTILITY SYSTEMS77711783 406.000000.018.535.10.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM/CLENNA LAURA - Return of Ergonomic Keyboard. 88.0811/15/2018369884 PW SHOPS77711830 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESKLEENBLAST/POORMAN VANESSA. I ton (pallet) of media for sand blaster. To be split between all depts incl. signal shop. 60.5011/15/2018369884 PW SHOPS77711845 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/ANDERSON JOSH. Visqueen for screening in yard. 181.4911/15/2018369884 PW SHOPS77711855 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/MCCLURG RUSSELL. Visqueen for material. Split 4 ways. 42.9311/15/2018369884 PW SHOPS77711874 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/LUNDQUIST JAKE. Fings for pipe repair @ 1602 Blaine CT SE 14.2911/15/2018369884 PW SHOPS77711876 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/ROWLAND ROGER. Gas can spout. 55.6711/15/2018369884 PW SHOPS77711877 406.000000.019.535.50.31.000 OFFICE/OPERATING SUPPLIESWM SUPERCENTER #3794/SITTNER ROCKY. Work jeans per MOU - Clothing allowance 1,352.0011/15/2018369884 PW SHOPS77711831 406.000000.019.535.50.35.000 SMALL TOOLS/MINOR EQUIPMENTTMSEQUIP.COM/POORMAN VANESSA. New wacker for Waste Water. 75.9011/15/2018369884 PW SHOPS77711873 406.000000.019.535.50.35.000 SMALL TOOLS/MINOR EQUIPMENTTHE HOME DEPOT #4705/GALLAWAY JAYSON. New spotlight for D140 1,197.8911/15/2018369884 PW SHOPS77711878 406.000000.019.535.50.35.000 SMALL TOOLS/MINOR EQUIPMENTBRYANT S TRACTOR & MOWER/SITTNER ROCKY. 2200 wa companion generator. 131.8711/15/2018369884 PW SHOPS77711887 406.000000.019.535.50.35.000 SMALL TOOLS/MINOR EQUIPMENT Fire hose nozzels for shops wash rack 120.0011/15/2018369884 PW SHOPS77711844 406.000000.019.535.50.43.002 TRAINING/SCHOOLSWSU PESTICIDE EDUCATION/KREEFT MICHELLE WESTERN WA RECERTIFICATION FOR SHANE COUTY H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 103 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 358.8511/15/2018369884 PW SHOPS77711828 406.000000.019.535.50.45.000 OPERATING RENTAL & LEASEHERC RENTALS/LAUTERBACH KRIS. Rental of mini excavator for Waste water. 8.0711/15/2018369884 UTILITY SYSTEMS77711781 407.000000.018.531.31.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT0U84I80/CLENNA LAURA - First Aid Kit. 15.9811/15/2018369884 UTILITY SYSTEMS77711782 407.000000.018.531.31.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*M80HM24W0/CLENNA LAURA - DYMO Labeling Tape and Ergonomic Keyboard. -7.6211/15/2018369884 UTILITY SYSTEMS77711783 407.000000.018.531.31.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM/CLENNA LAURA - Return of Ergonomic Keyboard. 88.0811/15/2018369884 PW SHOPS77711830 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESKLEENBLAST/POORMAN VANESSA. I ton (pallet) of media for sand blaster. To be split between all depts incl. signal shop. 60.5011/15/2018369884 PW SHOPS77711845 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/ANDERSON JOSH. Visqueen for screening in yard. 181.5011/15/2018369884 PW SHOPS77711855 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESHD SUPPLY WHITE CAP #030/MCCLURG RUSSELL. Visqueen for material. Split 4 ways. 40.7311/15/2018369884 PW SHOPS77711861 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESKEPPLER AND RECYCLING/BLACKBURN ROBER. Straw bales for Surface job. 9.2111/15/2018369884 PW SHOPS77711867 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/D AMORE PIERO. PVC pipe, coupling and fings. 74.1311/15/2018369884 PW SHOPS77711868 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESSUNSET MATERIALS, IN/MARCOE MATTHEW. Top soil for job. 60.0811/15/2018369884 PW SHOPS77711871 407.000000.019.531.35.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/OCONNOR GEORGE. Solid sewer pipe. 75.8711/15/2018369884 PW SHOPS77711869 407.000000.019.531.35.35.000 SMALL TOOLS/MINOR EQUIPTMENTHOUSEMART HIGHLANDS ACE/MARCOE MATTHEW. Bow rakes. 69.2611/15/2018369884 PW SHOPS77711872 407.000000.019.531.35.35.000 SMALL TOOLS/MINOR EQUIPTMENTMCLENDON HARDW- RENTON/REMIEN CHAD. Garden tools and storage container. 131.8711/15/2018369884 PW SHOPS77711887 407.000000.019.531.35.35.000 SMALL TOOLS/MINOR EQUIPTMENTFire hose nozzles for the shops wash rack H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 104 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,280.0011/15/2018369884 PW SHOPS77711843 407.000000.019.531.35.43.002 TRAINING/SCHOOLSWSU PESTICIDE EDUCATION/KREEFT MICHELLE RECERTIFICATION: ERIC PETZOLD, KIP BRAATEN, CHRIS KRYSIAK, CRAIG SAWYER, NATHAN NELSON, CHAD REMIEN, ROB BLACKBURN, JASON CHURCHILL, PIERO D'AMORE, JASON GALLAWAY, TRAVIS HAMBLIN, KEVIN HIATT, MIKE HORNBACK, JAKE LUNDQUIST, CRIS MURRY, GEORGE O'CONNOR, ANDREW REEDAL, DON COOK, MATT MARCOE 15.0011/15/2018369884 PW SHOPS77711862 407.000000.019.531.35.43.007 MEALS & INCIDENTAL EXPENSEWENATCHEE CONVENTION CENT/BRAATEN KIP. Didn't receive per diem before leaving for Roadeo in Wenatchee. - To be reimbursed 50.3711/15/2018369884 PW SHOPS77711865 407.000000.019.531.35.43.007 MEALS & INCIDENTAL EXPENSERAIL STATION ALE HOUSE/BRAATEN KIP. Didn't receive per diem before leaving for Roadeo in Wenatchee. - To be reimbursed 23.2911/15/2018369884 PW SHOPS77711866 407.000000.019.531.35.43.007 MEALS & INCIDENTAL EXPENSEKIM PHUONG RESTAURANT/BRAATEN KIP. Didn't receive per diem before leaving for Roadeo. - To be reimbursed 400.7211/15/2018369884 PW SHOPS77711863 407.000000.019.531.35.43.008 LODGINGCOMFORT SUITES/BRAATEN KIP. lodging for Roadeo. 400.7211/15/2018369884 PW SHOPS77711864 407.000000.019.531.35.43.008 LODGINGCOMFORT SUITES/BRAATEN KIP. Lodging for Roadeo. 400.7211/15/2018369884 PW SHOPS77711870 407.000000.019.531.35.43.008 LODGINGCOMFORT SUITES/MURRY CRISTIN. Room for Roadeo. 29.0011/15/2018369884 UTILITY SYSTEMS77711784 425.455588.018.594.34.63.000 AQUIFER MONITORING AND MANAGEMENTTTT ENVIRONMENTAL LLC/ CRAWFORD MELISSA. Aquifer Monitoring and Management Supplies - well plugs (2). 7.4811/15/2018369884 UTILITY SYSTEMS77711786 425.455588.018.594.34.63.000 AQUIFER MONITORING AND MANAGEMENTMCLENDON HARDWARE RENTON/ CRAWFORD MELISSA. Aquifer Management Supplies - misc. fasteners(22). 4.3611/15/2018369884 PW SHOPS77711875 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESQFC #5871/MARSHALL RICHAR. Dislled Water for Radiators. 194.6911/15/2018369884 PW SHOPS77711922 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESAUTOZONE4115AUTOZONE/CAREY BRIAN-- Wheel hubs for D-133 188.0611/15/2018369884 PW SHOPS77711923 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESWESTERN TRUCK CENTER/CAREY BRIAN-- Coolant sensor and harness for F-123 59.2211/15/2018369884 PW SHOPS77711924 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Concentrate coolant for stock H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 105 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 29.8111/15/2018369884 PW SHOPS77711926 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESNC MACHINERY/CAREY BRIAN-- Loader bolts and nuts for E-146 46.3111/15/2018369884 PW SHOPS77711927 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESNC MACHINERY/CAREY BRIAN - Loader bolts for E-146 340.2011/15/2018369884 PW SHOPS77711928 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBATTERY SYSTEMS SUMNER/CAREY BRIAN-- Misc baeries for fleet 65.1811/15/2018369884 PW SHOPS77711929 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT63H9GF1/CAREY BRIAN-- Muffler for MR-31 3,229.0011/15/2018369884 PW SHOPS77711930 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBRABER EQUIPMENT INC/CAREY BRIAN-- Mower blades for E-119 & E-147 6.2111/15/2018369884 PW SHOPS77711932 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Oil plugs & gasket for D-130 167.1911/15/2018369884 PW SHOPS77711936 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESPERFORMANCE RADIATOR-SEA/CAREY BRIAN-- Radiator for B-192 328.3011/15/2018369884 PW SHOPS77711937 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIES240 PURCELL TIRE/CAREY BRIAN-- Misc res for stock 672.8011/15/2018369884 PW SHOPS77711938 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIES240 PURCELL TIRE/CAREY BRIAN-- 4 res for N-013 1,358.6011/15/2018369884 PW SHOPS77711939 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIES240 PURCELL TIRE/CAREY BRIAN-- Misc res for fleet vehicles 1,939.1211/15/2018369884 PW SHOPS77711940 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIES240 PURCELL TIRE/CAREY BRIAN-- 4 res for F-114 92.7711/15/2018369884 PW SHOPS77711944 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSIX ROBBLEES NO 1/CAREY BRIAN-- Tire/wheel combo for S-174 930.5611/15/2018369884 PW SHOPS77711945 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESTURF STAR INC/CAREY BRIAN-- Hydraulic motor for D-149 1,389.8511/15/2018369884 PW SHOPS77711946 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESCASCADE FIRE & SAFETY/CAREY BRIAN 424.0211/15/2018369884 PW SHOPS77711947 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESGOOD CHEVROLET INC/CAREY BRIAN-- Door panel for B-188 1,165.3011/15/2018369884 PW SHOPS77711949 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESINTERSTATE AUTO PARTS/CAREY BRIAN-- Misc filters and brakes for fleet 1,625.2611/15/2018369884 PW SHOPS77711950 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESOWEN EQUIPMENT COMPANY/CAREY BRIAN-- Tow bar hydraulic cylinder for E-129 51.3411/15/2018369884 PW SHOPS77711951 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESTURF STAR INC/CAREY BRIAN-- PTO switch for D- 154 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 106 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 11.3411/15/2018369884 PW SHOPS77711952 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESTURF STAR INC/CAREY BRIAN-- POTO switch for D-154 -39.6011/15/2018369884 PW SHOPS77711953 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Baery core credit 255.1211/15/2018369884 PW SHOPS77711954 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESRMT EQUIPMENT CHEHALIS/CAREY BRIAN- Drive belts for stock 232.1411/15/2018369884 PW SHOPS77711955 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Vehical baeries for stock 108.9911/15/2018369884 PW SHOPS77711956 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN- Brakes for A-458 503.8111/15/2018369884 PW SHOPS77711957 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESPush pumper for B-184 3.3911/15/2018369884 PW SHOPS77711958 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN--Muffler Clamps for shop stock 1.8911/15/2018369884 PW SHOPS77711959 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Spark plug for MR-31 10.6411/15/2018369884 PW SHOPS77711960 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT80P56Q2/CAREY BRIAN-- Carbon SS rivet nuts 157.6411/15/2018369884 PW SHOPS77711961 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESROMAINE ELECTRIC CORP - K/CAREY BRIAN-- Baery for stock 1,103.3011/15/2018369884 PW SHOPS77711962 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESGOOD NEIGHBOR TIRE/CAREY BRIAN--- Misc fleet res for stock 109.6811/15/2018369884 PW SHOPS77711963 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN-- Brakes for B-218 159.5111/15/2018369884 PW SHOPS77711964 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBATTERY SYSTEMS SUMNER/CAREY BRIAN-- Vehicles baeries for stock 10.2211/15/2018369884 PW SHOPS77711965 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/CAREY BRIAN-- Baeries for shop 1,507.7211/15/2018369884 PW SHOPS77711967 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESNORSTAR INDUSTRIES INC/CAREY BRIAN-- Conveyor chain for S-127 968.1211/15/2018369884 PW SHOPS77711968 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESNORSTAR INDUSTRIES INC/CAREY BRIAN--De-icer pump for D-079 866.3111/15/2018369884 PW SHOPS77711969 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESGOOD NEIGHBOR TIRE/CAREY BRIAN-- Tires for B-218 61.6011/15/2018369884 PW SHOPS77711970 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT7453KO2/CAREY BRIAN-- Reflecve tape for shop H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 107 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 66.5111/15/2018369884 PW SHOPS77711971 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESGOOD CHEVROLET INC/CAREY BRIAN-- Rear Hatch struts for B-207 944.3411/15/2018369884 PW SHOPS77711972 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESTRUE NORTH EMERGENCY E/CAREY BRIAN-- Mirror, door latch, door lock for F-432 116.2911/15/2018369884 PW SHOPS77711973 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Sensor injecon control on C-188 380.9911/15/2018369884 PW SHOPS77711974 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESINTERSTATE AUTO PARTS/CAREY BRIAN-- Filters and bulbs for stock 305.9111/15/2018369884 PW SHOPS77711975 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSWIFT TOOL COMPANY - KE/CAREY BRIAN-- Drive belts for stock 253.5411/15/2018369884 PW SHOPS77711976 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN 1,207.4811/15/2018369884 PW SHOPS77711977 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMSC CLASS C/CAREY BRIAN-- Misc supplies Washers, cable es, drill bits, hose adapters, couplers, nipples wheel weights -57.4611/15/2018369884 PW SHOPS77711978 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Credit for incorrect part 126.0711/15/2018369884 PW SHOPS77711979 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN- Brakes for V-018 57.4611/15/2018369884 PW SHOPS77711980 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Part returned incorrect 180.4111/15/2018369884 PW SHOPS77711981 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Brakes for C-257 16.3611/15/2018369884 PW SHOPS77711982 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN-- Oil gaskets for D-121A 24.0911/15/2018369884 PW SHOPS77711983 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMSC CLASS C/CAREY BRIAN-- Wheel weights for shop 8,404.7611/15/2018369884 PW SHOPS77711984 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESRWC INTERNATIONAL/CAREY BRIAN-- Heater cable for F-2514, Hose A/C for D-116, Engine parts for D-110 62.3911/15/2018369884 PW SHOPS77711986 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSIX ROBBLEES NO 1/CAREY BRIAN-- Tow receivers for D-118 & D-142 426.7811/15/2018369884 PW SHOPS77711989 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN -- Baeries for stock and D-121 154.6211/15/2018369884 PW SHOPS77711990 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Master cylinder for C-257 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 108 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 199.0311/15/2018369884 PW SHOPS77711991 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Baery for S-224 31.4711/15/2018369884 PW SHOPS77711992 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN-- Vehicle body mount for D-121 81.4311/15/2018369884 PW SHOPS77711993 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBATTERY SYSTEMS SUMNER/CAREY BRIAN-- Baery for stock -31.4711/15/2018369884 PW SHOPS77711995 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN 83.7911/15/2018369884 PW SHOPS77711996 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESRWC GROUP/CAREY BRIAN-- Relay for D-110 17.0611/15/2018369884 PW SHOPS77711997 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Window defogger repair kit for B-207 17.5211/15/2018369884 PW SHOPS77711998 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN- Bulbs for stock 197.0911/15/2018369884 PW SHOPS77711999 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN--Cooling system parts for C-200 21.6811/15/2018369884 PW SHOPS77712000 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN- vehicle body mount for D-121 359.1111/15/2018369884 PW SHOPS77712001 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMSC CLASS C/CAREY BRIAN-- Misc shop supplies 17.2911/15/2018369884 PW SHOPS77712003 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Light bulbs for stock 151.0911/15/2018369884 PW SHOPS77712004 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- Alternator for D-104 88.5311/15/2018369884 PW SHOPS77712005 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN- Spark plugs for C-248 31.4711/15/2018369884 PW SHOPS77712006 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN-- Part returned for credit 112.1211/15/2018369884 PW SHOPS77712007 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN-- Charging regulator for F-429 72.4911/15/2018369884 PW SHOPS77712008 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSOUND FORD PARTS/CAREY BRIAN-- Third bake lens for C-239 77.8711/15/2018369884 PW SHOPS77712009 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESPAPEKENWORTH NORTHWEST/CAREY BRIAN-- Washer pump and fuel tank straps for E-138 -120.0011/15/2018369884 PW SHOPS77712011 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESINTERSTATE AUTO PARTS/CAREY BRIAN--Core credits H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 109 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 756.1811/15/2018369884 PW SHOPS77712012 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSONSRAY MACHINERY LLC/CAREY BRIAN-- A/C condensor & filters for D-137 12.7811/15/2018369884 PW SHOPS77712013 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN-- RV anfreeze for P-158 12.7811/15/2018369884 PW SHOPS77712014 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN- Anfreeze for P-158 320.6511/15/2018369884 PW SHOPS77712015 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESINTERSTATE AUTO PARTS/CAREY BRIAN- Misc filters , bulbs, wipers for stock 52.8911/15/2018369884 PW SHOPS77712016 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESETRAILER CORPORATION/CAREY BRIAN-- Trailer wiring harness for stock 13.3711/15/2018369884 PW SHOPS77712017 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/CAREY BRIAN--Spark plug for C-248 1,262.9711/15/2018369884 PW SHOPS77712018 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESZEP SALES AND SERVICE/CAREY BRIAN-- Car wash soap and hand cleaners for shop 245.9111/15/2018369884 PW SHOPS77712019 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBATTERY SYSTEMS SUMNER/CAREY BRIAN-- Baeries for stock 65.2811/15/2018369884 PW SHOPS77712020 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESSQ *WASHINGTON TRAC/HARRINGTON TIM-- Coolant tank for D-122 93.3911/15/2018369884 PW SHOPS77712021 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESRANDR RENTALS - RENTON/HARRINGTON TIM-- Fly wheel shl MR-31 1.3911/15/2018369884 PW SHOPS77712022 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESBAXTER AUTO PARTS #42/HARRINGTON TIM-- Screws for Mr-41 21.8211/15/2018369884 PW SHOPS77712023 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESRANDR RENTALS - RENTON/HARRINGTON TIM-- Shl Spring for MR31 436.6211/15/2018369884 PW SHOPS77712024 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMIDWEST EQUIPMENT -- Motor MANUFAC/HARRINGTON TIM-- Motor for leaf vacuum E-204 548.5411/15/2018369884 PW SHOPS77712025 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESGOOD CHEVROLET INC/HARRINGTON TIM-- Head lamp for C-279 14.7511/15/2018369884 PW SHOPS77712036 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESWA DOL LIC & REG 54460/KAHLER RONALD- replacement license plate for C-253 12.4411/15/2018369884 PW SHOPS77712039 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/PETERSON MICHAE--Lynch pins for F-114 32.7111/15/2018369884 PW SHOPS77712040 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESTACOMA SCREW PRODUCTS KE/PETERSON MICHAE H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 110 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 47.3611/15/2018369884 PW SHOPS77712041 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESNAPA STORE 3767013/PETERSON MICHAE--Solenoid for F-123 17.3811/15/2018369884 PW SHOPS77712043 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/POPELKA GLENN-- Hinges for E-144 29.9811/15/2018369884 PW SHOPS77712044 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMETAL SUPERMARKETS/POPELKA GLENN-- Flat Bar for S-215 56.0011/15/2018369884 PW SHOPS77712045 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMOTION AND FLOW KENT/POPELKA GLENN--Fings, caps, plugs, and tubing for S-215 25.1511/15/2018369884 PW SHOPS77712046 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESHOUSEMART HIGHLANDS ACE/POPELKA GLENN--- Fings and valve connecons for S-215 835.1211/15/2018369884 PW SHOPS77712047 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESPACIFIC INDUSTRIAL SPLY-2/POPELKA GLENN-- Metal, bar, chanel, and sheet for D-118 19.0011/15/2018369884 PW SHOPS77712048 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/POPELKA GLENN-- Hinges for D-107 & PVC nipples for F-123 85.9911/15/2018369884 PW SHOPS77712049 501.000000.019.548.60.31.000 OFFICE/OPERATING SUPPLIESCENTRAL WELDING SUPPLY/ROLLINS TERRY W-- Welding supplies for shop 712.8211/15/2018369884 PW SHOPS77712038 501.000000.019.548.60.32.004 FUEL CONSUMED PROPANE GASAMERIGAS *PRODUCT/KAHLER RONALD - Propane for shop 6.1811/15/2018369884 PW SHOPS77711948 501.000000.019.548.60.35.000 SMALL TOOLS/MINOR EQUIPMENTBAXTER AUTO PARTS #42/CAREY BRIAN-- Shop Tool - Fuel line disconnector 19.1911/15/2018369884 PW SHOPS77712002 501.000000.019.548.60.35.000 SMALL TOOLS/MINOR EQUIPMENTBAXTER AUTO PARTS #42/CAREY BRIAN-- Steering wheel puller tool for shop 477.2611/15/2018369884 PW SHOPS77711933 501.000000.019.548.60.41.000 PROFESSIONAL SERVICESHARNISH GROUP CORPORATE/CAREY BRIAN-- Soware Update on E-139 176.0011/15/2018369884 PW SHOPS77711934 501.000000.019.548.60.41.000 PROFESSIONAL SERVICESTRUCKALIGN/CAREY BRIAN-- Wheel alignment on D-134 1,018.8711/15/2018369884 PW SHOPS77711935 501.000000.019.548.60.41.000 PROFESSIONAL SERVICESPETE'S TOWING/CAREY BRIAN - F115 and F124 towed to shop 219.4511/15/2018369884 PW SHOPS77711985 501.000000.019.548.60.41.000 PROFESSIONAL SERVICESAUTO TRIM DESIGN OF KI/CAREY BRIAN-- Window nt for C-251 335.5011/15/2018369884 PW SHOPS77711994 501.000000.019.548.60.41.000 PROFESSIONAL SERVICESADVANCED TINT LLC/CAREY BRIAN-- Window nt on B-288 790.5011/15/2018369884 PW SHOPS77712010 501.000000.019.548.60.41.000 PROFESSIONAL SERVICESDIVERSIFIED INSPECTION/CAREY BRIAN-- Ladder inspecon on F-105 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 111 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 364.0011/15/2018369884 PW SHOPS77712042 501.000000.019.548.60.41.000 PROFESSIONAL SERVICESSQ *CERTIFIED CALIB/POPELKA GLENN- Calibraon on the Gauge on MR40 21.9811/15/2018369884 PW SHOPS77711987 501.000000.019.548.60.42.001 POSTAGETACOMA SPEEDOMETER II/CAREY BRIAN-- shipping charges for part on B-097 254.5111/15/2018369884 PW SHOPS77711941 501.000000.019.548.60.48.000 REPAIRS & MAINTENANCE240 PURCELL TIRE/CAREY BRIAN-- 4 Tires replaced on F-114 67.9711/15/2018369884 PW SHOPS77711942 501.000000.019.548.60.48.000 REPAIRS & MAINTENANCE240 PURCELL TIRE/CAREY BRIAN--Flat Repair on F-105 218.5411/15/2018369884 PW SHOPS77711943 501.000000.019.548.60.48.000 REPAIRS & MAINTENANCE240 PURCELL TIRE/CAREY BRIAN-- Flat re tube replaced on D-137 2,294.8811/15/2018369884 PW SHOPS77711966 501.000000.019.548.60.48.000 REPAIRS & MAINTENANCEBRIM TRACTOR/CAREY BRIAN-- Flywheel replaced on E-119 604.6711/15/2018369884 PW SHOPS77711988 501.000000.019.548.60.48.000 REPAIRS & MAINTENANCEARI PHOENIX, INC/CAREY BRIAN-- Service vehicle li in shop 4,865.1511/15/2018369884 PW SHOPS77711925 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALLN CURTIS/CAREY BRIAN-- Truck bed extender for C-293 & C-294 682.8311/15/2018369884 PW SHOPS77711931 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALBAXTER AUTO PARTS #42/CAREY BRIAN-- New Police Tahoes floor liners 609.4311/15/2018369884 PW SHOPS77711957 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALSETINA MANUFACTURING COMP/CAREY BRIAN-- New vehicle prep gun mounts 94.5011/15/2018369884 PW SHOPS77712026 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL LIC & REG 54460/KAHLER RONALD-- New vehicle license for B-265, B-266 3.0011/15/2018369884 PW SHOPS77712027 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL54460*SERVICEFEE/KAHLER RONALD---- Credit Card trans fee 95.5011/15/2018369884 PW SHOPS77712028 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL LIC & REG 54460/KAHLER RONALD-- New vehicle license B-267, B268 3.0011/15/2018369884 PW SHOPS77712029 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL54460*SERVICEFEE/KAHLER RONALD-- Credit Card svc fee 47.7511/15/2018369884 PW SHOPS77712030 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL LIC & REG 54460/KAHLER RONALD-- New vehicle license for B-288 2.0011/15/2018369884 PW SHOPS77712031 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL54460*SERVICEFEE/KAHLER RONALD-- Credit card trans for license 143.2511/15/2018369884 PW SHOPS77712032 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL LIC & REG 54460/KAHLER RONALD-- New vehicle license B-269, B270, B271 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 112 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 4.5011/15/2018369884 PW SHOPS77712033 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL54460*SERVICEFEE/KAHLER RONALD-- Credit TRans fee for new vehicle license 40.7511/15/2018369884 PW SHOPS77712034 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL LIC & REG 54460/KAHLER RONALD-- New vehicle license for S-262 2.0011/15/2018369884 PW SHOPS77712035 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL54460*SERVICEFEE/KAHLER RONALD-- CC Transaon fee for C-253 2.0011/15/2018369884 PW SHOPS77712037 501.000000.019.548.60.64.000 EQUIPMENT RENTAL - CAPITALWA DOL54460*SERVICEFEE/KAHLER RONALD=--Credit card Trans fee for new vehicle license C253 -404.9111/15/2018369884 FINANCE & IT77711619 503.000000.004.397.18.00.007 TRANSFER IN FM 405Transfer in from 405 43.9611/15/2018369884 FINANCE & IT77711604 503.000000.004.518.82.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP US*MT24R4PU0/SEESE CHRIS: Syncwire Thunderbolt to HDMI cables for service desk 33.9911/15/2018369884 FINANCE & IT77711605 503.000000.004.518.82.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP US*MT9VG1G60/SEESE CHRIS: 1ea. Headset Headphones for W. Nuguit phone equipment 18.6911/15/2018369884 FINANCE & IT77711612 503.000000.004.518.82.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP US*MT05612V0/SEESE CHRIS 404.9111/15/2018369884 FINANCE & IT77711619 503.000000.004.518.82.35.000 SMALL TOOLS/MINOR EQUIPMENTAMAZON.COM*M88X81CW1/SEESE CHRIS: 1ea. Samsung 32" S32D850T Monitor for PW: M. Mitchell 93.4811/15/2018369884 FINANCE & IT77711624 503.000000.004.518.82.35.000 SMALL TOOLS/MINOR EQUIPMENTSTAPLES 00114389/YOON YOUNG: Belkin Cable and Cable Lock for Stream Project 26.3911/15/2018369884 FINANCE & IT77711625 503.000000.004.518.82.35.000 SMALL TOOLS/MINOR EQUIPMENTGUITAR CENTER #233/YOON YOUNG: Livewire elite cable for Court Room 1 audio 16.1711/15/2018369884 FINANCE & IT77711602 503.000000.004.518.82.41.003 SERVICE CONTRACTSHOVER/SEESE CHRIS: Rentonnet renewal 215.6011/15/2018369884 FINANCE & IT77711613 503.000000.004.518.82.42.002 CELL PHONES/PAGERSAMAZON.COM*MT9TK0US2/SEESE CHRIS: 10ea. Oerbox Commuter cases for IPhone 6s & 7 model cellular phones 30.0011/15/2018369884 FINANCE & IT77711610 503.000000.004.518.82.42.010 DATA CARDSAT&T DATA/SEESE CHRISL 425-306-8208 GIS Ipad data service 31.9111/15/2018369884 FINANCE & IT77711620 503.000000.004.518.82.43.002 TRAINING/SCHOOLSPLURALSIGHT/SEESE CHRIS: Monthly online web training for W. Nuguit. 19.7911/15/2018369884 FINANCE & IT77711618 503.000000.004.518.83.35.000 SMALL TOOLS/MINOR EQUIPMENTAMZN MKTP US*MT2ZA3UN0/SEESE CHRIS: 1ea 2pk of USB to Ethernet Adapters for GIS team H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 113 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 87.9511/15/2018369884 FINANCE & IT77711615 503.530051.004.518.82.35.030 ENTERPRISE EDGE DESKTOP/LAPTOP MINOR EQUAMZN MKTP US*MT1T259W1/SEESE CHRIS: 1ea. Evoluent Vercal Mouse Ergo for PW: Joseph Farah 31.8811/15/2018369884 FINANCE & IT77711606 503.540000.004.518.82.35.000 ENTERPRISE SYSTEMS - MINORAMZN MKTP US*MT89V85O2/SEESE CHRIS: 2ea. headsets for W. Nuguit Telephone equipment 544.5011/15/2018369884 FINANCE & IT77711607 503.540000.004.518.82.35.000 ENTERPRISE SYSTEMS - MINORSAP STORE - BOBJ/SEESE CHRIS: Crystal reports for Tom Brown/Finance 10.9911/15/2018369884 FINANCE & IT77711614 503.540000.004.518.82.35.000 ENTERPRISE SYSTEMS - MINORAMZN MKTP US*MT0K98IT1/SEESE CHRIS: VGA to HDMI Converter adapter for 7th Floor Conf Center Video Adapter 58.2911/15/2018369884 FINANCE & IT77711616 503.540000.004.518.82.35.000 ENTERPRISE SYSTEMS - MINORAMZN MKTP US*MT28877A0/SEESE CHRIS: 1ea. Apple lightning Digital AV adapter for 7th Fl Conf Center Video Adapt 50.9911/15/2018369884 FINANCE & IT77711621 503.540000.004.518.82.35.000 ENTERPRISE SYSTEMS - MINORAMZN MKTP US*M80992490/SEESE CHRIS: 1ea. Apple Lightning to VGA adapter for 7th Fl Conf room 76.9911/15/2018369884 FINANCE & IT77711623 503.540000.004.518.82.35.000 ENTERPRISE SYSTEMS - MINORFRY'S ELECTRONICS #30/YOON YOUNG: HDMI cables for 7th floor conf center 825.0011/15/2018369884 PARKS ADMIN77712056 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMAGENTIC GLASS DRY ERASE BOARD CITY HALL CLERK CONF RM~ AMZN MKTP US*M81CR53M0/LOHMAN LORI 20.4211/15/2018369884 PARKS ADMIN77712059 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/AGUAYO XENA - CUSTODIAL SUPPLIES FOR THE CITY - HEAVY DUTY SCOURING PADS 85.6111/15/2018369884 PARKS ADMIN77712060 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESJON DON SEATTLE 008/DAWSON REBECCA - CUSTODIAL SUPPLIES FOR THE CITY - MICROFIBER CLOTHS; 21.4611/15/2018369884 PARKS ADMIN77712061 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/DAWSON REBECCA - CITY CUSTODIAL SUPPLIES - GRAFITTI REMOVER; WIRE BRUSH; LATEX GLOVES 35.0211/15/2018369884 PARKS ADMIN77712067 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/EAGAN DAN - HIGHLANDS NEIGHBORHOOD CTR STREAM MATERIALS FOR COATS/BACKPACKS 10.4311/15/2018369884 PARKS ADMIN77712068 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/EAGAN DAN - HIGHLANDS NEIGHBORHOOD CTR STREAM ROOM SUPPLIES TO REPAIR ROOM 46.7211/15/2018369884 PARKS ADMIN77712069 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/EAGAN DAN - PHILIP ARNOLD RESTROOM REPAIR - FIX A LOOSE LEAKING TOILET H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 114 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 26.3411/15/2018369884 PARKS ADMIN77712072 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/EAGAN DAN - RCC WOMEN'S SHOWER TOWEL HOLDERS 76.7111/15/2018369884 PARKS ADMIN77712074 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/FERRARO FREDERI - FAC SHOP MINOR EQUIP~ 100 FT EXTENTION CORD 20.4411/15/2018369884 PARKS ADMIN77712075 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/FERRARO FREDERI - FAC SHOP SUPPLIES - MOUNTING TAPE 77.8611/15/2018369884 PARKS ADMIN77712076 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESTHE PART WORKS, INC./FERRARO FREDERI - COULON BATH MINOR REPAIR - TIMER ASSY 852.0411/15/2018369884 PARKS ADMIN77712077 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESNORTH COAST ELEC SEATTLE/FERRARO FREDERI - FAC SHOP SUPPLIES 566.1811/15/2018369884 PARKS ADMIN77712078 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESTHE PART WORKS, INC./FERRARO FREDERI - COULON BATH REPAIRS - BUBA VIV BRADLEY; AIR VIV REMOTE; SPUD BRASS 728.5811/15/2018369884 PARKS ADMIN77712079 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESTHE PART WORKS, INC./FERRARO FREDERI - COULON BATH REPAIRS - AIR VIV REMOTE BRADLEY 63.6611/15/2018369884 PARKS ADMIN77712081 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESTHE PART WORKS, INC./FERRARO FREDERI - FS17 INTERNAL REPAIRS - FLAT HANDLE MOUNTING GROUP; HOT CROSS UTILITY 48.3811/15/2018369884 PARKS ADMIN77712083 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT81I2W41/HAMMON BRIAN - CITY SUPPLY - SURGE PROTECTORS 158.3811/15/2018369884 PARKS ADMIN77712084 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESNORTH COAST ELEC KENT/JACKSON BLAINE - FS14 SATCO 62/798 14' WH ACRYL LED 90 CR 840.7511/15/2018369884 PARKS ADMIN77712085 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESNORTH COAST ELEC KENT/JACKSON BLAINE - SPIDER CORD FOR CITY STOCK 1,215.0211/15/2018369884 PARKS ADMIN77712086 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESNORTH COAST ELEC KENT/JACKSON BLAINE - SPIDER CORDS FOR CITY STOCK~ 200FT; 100FT 185.9111/15/2018369884 PARKS ADMIN77712089 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESGRAINGER/JACKSON BLAINE - CITY STOCK ITEM - TRANSPORT DRUM OPEN HEAD 55 GAL. 19.6711/15/2018369884 PARKS ADMIN77712090 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/JACKSON BLAINE - SENIOR CTR PING PONG TABLE REPAIR 314.4111/15/2018369884 PARKS ADMIN77712091 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESTACOMA SCREW PRODUCTS KE/JACKSON BLAINE - CITY TOOLS FOR STOCK - MULTI BIT SCREWDRIVER; MAGNETIC RETREIVER; PENETRATING OIL H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 115 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 390.0011/15/2018369884 PARKS ADMIN77712094 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESFAUCET DEPOT 095/JACKSON BLAINE - CITY SNAKE FOR GREASE BUILD UP 6,839.1311/15/2018369884 PARKS ADMIN77712096 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESINTEGRIS EQUIPMENT, LL/LEATHLEY JIM~ CITYWIDE AED UNITS AND SUPPLIES 15.3311/15/2018369884 PARKS ADMIN77712097 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/LEATHLEY JIM~ SENIOR CENTER MINOR INTERNAL MAINT 36.1811/15/2018369884 PARKS ADMIN77712098 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT18R38W0/LEATHLEY JIM - CITY SUPPLY ITEMS - CUSTODIAL 97.7011/15/2018369884 PARKS ADMIN77712099 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT3KH9QH1/LEATHLEY JIM - CITY CUSTODIAL SUPPLIES - REACHER GRABBERS 134.7411/15/2018369884 PARKS ADMIN77712100 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESJON DON MOTO #888/LEATHLEY JIM~ RCC FLOOR MACHINE REPAIR - BATTERIES WON'T CHARGE 170.7911/15/2018369884 PARKS ADMIN77712101 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT33B9UM2/LEATHLEY JIM - AED SMART PADS FOR THE CITY 730.4011/15/2018369884 PARKS ADMIN77712102 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESAMZN MKTP US*MT9B34RA2/LEATHLEY JIM - AED BATTERIES AND CHILD PADS 16.3211/15/2018369884 PARKS ADMIN77712103 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/LEATHLEY JIM - CUSTODIAL STOCK ITEMS - BLK RUBBER 2 WIRE PLUG; 15A/125V PLUG YELLOW 49.7511/15/2018369884 PARKS ADMIN77712104 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESAMAZON.COM*MT8Q00IO0/LEATHLEY JIM - CUSTODIAL KEY LOCKER FOR FAC SHOP 48.3811/15/2018369884 PARKS ADMIN77712106 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESPLATT ELECTRIC 040/MINER KEITH~ CITY LABEL MAKER TAPE - SUPPLIES 23.5711/15/2018369884 PARKS ADMIN77712108 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESTOOL REPAIR PARTS/MINER KEITH~ FS14 CHECK VALVE FOR COMPRESSOR 304.4511/15/2018369884 PARKS ADMIN77712109 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESGRAINGER/MINER KEITH~ COULON - HEATER FOR MECHANICAL ROOM 416.2811/15/2018369884 PARKS ADMIN77712110 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESNORTH COAST ELEC KENT/MINER KEITH - RIVERVIEW TIMER FOR LIGHTING 7.2611/15/2018369884 PARKS ADMIN77712116 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESGRAINGER/OBRIGEWITSCH SC~ PW SHOPS - INTERNAL MAINT~ HAND CLEANING TOWELS 106.1811/15/2018369884 PARKS ADMIN77712117 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESGRAINGER/OBRIGEWITSCH SC~ PW SHOPS - INTERNAL MAINT/REPAIR~ HVAC MOTOR 1/10 HP 1550 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 116 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 285.0011/15/2018369884 PARKS ADMIN77712118 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESJIMMY Z INSTALLERS/PEARSON CASEY 3.2611/15/2018369884 PARKS ADMIN77712120 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESLOWES #02420*/PEARSON CASEY - NO END BATHROOMS AT COULON - FOAM INSULATION 151.4411/15/2018369884 PARKS ADMIN77712121 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESRELIABLE PARTS/PEARSON CASEY~ FS13 WATER FILTERS FOR REFRIGERATOR 5.5111/15/2018369884 PARKS ADMIN77712122 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/PEARSON CASEY - FS14 STEEL WOOL FOR MICE ISSUE 12.2511/15/2018369884 PARKS ADMIN77712123 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/PEARSON CASEY - FS14 INSULATING FOAM FOR MICE ISSUE 22.4711/15/2018369884 PARKS ADMIN77712125 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/PEARSON CASEY - CITY SHOPS A BLDG - TAR SUPPLIES FOR REPAIR 247.8411/15/2018369884 PARKS ADMIN77712130 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESIMLSS WASHINGTON/YOUNGEDYK PAUL - SHOP STOCK - PIVOT SPRING; 6 PIN IC CORE; UPPER RETURN SPRING; LEVER RETURN; 111.5211/15/2018369884 PARKS ADMIN77712133 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESTHE PART WORKS, INC./YOUNGEDYK PAUL - FS14 BACKFLOW REPAIR 18.9111/15/2018369884 PARKS ADMIN77712134 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/ZIER NICK CITY SUPPLIES~ CAULKING AND DRIP GUN 58.8211/15/2018369884 PARKS ADMIN77712135 504.000000.020.518.21.31.000 OFFICE/OPERATING SUPPLIESWAL-MART #2516/ZIER NICK - FAC SHOP SUPPLIES - CLOROX BLEACH 47.2811/15/2018369884 PARKS ADMIN77712073 504.000000.020.518.21.35.000 SMALL TOOLS/MINOR EQUIPMENTTHE PART WORKS, INC./FERRARO FREDERI - COULON BATHHOUSE MINOR EQUIP 92.3711/15/2018369884 PARKS ADMIN77712105 504.000000.020.518.21.35.000 SMALL TOOLS/MINOR EQUIPMENTHOMEDEPOT.COM/MINER KEITH~ CITY BALLASTS FOR REPLACEMENT/REPAIR 450.7811/15/2018369884 PARKS ADMIN77712107 504.000000.020.518.21.35.000 SMALL TOOLS/MINOR EQUIPMENTNORTH COAST ELEC KENT/MINER KEITH - BALLASTS FOR CITY REPLACEMENT/REPAIR 63.6011/15/2018369884 PARKS ADMIN77712111 504.000000.020.518.21.35.000 SMALL TOOLS/MINOR EQUIPMENTPLATT ELECTRIC 040/MINER KEITH~ DISCONNECT SWITCH FOR CITY REPAIR 238.0911/15/2018369884 PARKS ADMIN77712115 504.000000.020.518.21.35.000 SMALL TOOLS/MINOR EQUIPMENTJOHNSTONE SUPPLY NO 1600/OBRIGEWITSCH SC PW SHOPS INTERNAL TOOLS/MISC 14.2811/15/2018369884 PARKS ADMIN77712124 504.000000.020.518.21.35.000 SMALL TOOLS/MINOR EQUIPMENTLOWES #02420*/PEARSON CASEY - CITY TOOLS - DEWALT SCREWDRIVING KIT TO INSTALL DOOR SWEEPWS H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 117 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 12.2711/15/2018369884 PARKS ADMIN77712129 504.000000.020.518.21.35.000 SMALL TOOLS/MINOR EQUIPMENTMCLENDON HARDW- RENTON/SOWARDS ROBERT~ CITY SUPPLIES - SECURITY TORX BIT SET 171.7811/15/2018369884 PARKS ADMIN77712093 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCESHERWIN WILLIAMS 703553/JACKSON BLAINE - FS11 DOWNSTAIRS REMODEL ; DW SHEETS AND PAINT 518.4011/15/2018369884 PARKS ADMIN77712095 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCESHERWIN WILLIAMS 703553/JACKSON BLAINE - FS11 REMODEL SUPPLIES - PAINT AND PAINT SUPPLIES 24.9911/15/2018369884 PARKS ADMIN77712112 504.000000.020.518.21.48.000 REPAIRS & MAINTENANCESIMPLISAFE.COM/MINISCI JEFF - KENYON/DOBSON SECURITY ALARM MONITORING - 98.3511/15/2018369884 PARKS ADMIN77712063 504.000000.020.518.22.31.000 OFFICE/OPERATING SUPPLIESDIRECT DOOR HARDWARE/EAGAN DAN~ KICK PLATES FOR 7TH FLOOR CONF DOORS 32.6411/15/2018369884 PARKS ADMIN77712064 504.000000.020.518.22.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/EAGAN DAN - SUPPLIES TO FIX THE HANGING OF A TV ON THE 7TH FLOOR 22.4011/15/2018369884 PARKS ADMIN77712065 504.000000.020.518.22.31.000 OFFICE/OPERATING SUPPLIESMCLENDON HARDW- RENTON/EAGAN DAN - CITY HALL PAINT SUPPLIES TO TOUCH UP DOORS AND TRIM 22.3111/15/2018369884 PARKS ADMIN77712066 504.000000.020.518.22.31.000 OFFICE/OPERATING SUPPLIESSHERWIN WILLIAMS 703553/EAGAN DAN - 7TH FL TOUCH UP PAINT FOR WALLS IN 7TH FL CONF ROOM 13.1811/15/2018369884 PARKS ADMIN77712082 504.000000.020.518.22.31.000 OFFICE/OPERATING SUPPLIESTHE HOME DEPOT #4705/FERRARO FREDERI - CITY HALL INTERNAL REPAIRS - HOT/COLD FAUCET 1,892.0011/15/2018369884 PARKS ADMIN77712131 504.000000.020.518.22.31.000 OFFICE/OPERATING SUPPLIESR & R COMPRESSOR SERVICE/YOUNGEDYK PAUL - CITY HALL FIRE PUMP REPLACEMENT 212.2811/15/2018369884 PARKS ADMIN77712051 504.000000.020.518.22.35.000 SMALL TOOLS/MINOR EQUIPMENTSMALL TOOLS/MINOR EQUIP FOR CITY HALL TO SET UP SMALL EQUIP FIXES~ AMZN MKTP US*MT7DI9UI2/LOHMAN LORI 1,083.5111/15/2018369884 PARKS ADMIN77712080 504.000000.020.518.22.35.000 SMALL TOOLS/MINOR EQUIPMENTNORTH COAST ELEC SEATTLE/FERRARO FREDERI - CITY HALL INTERNAL REPAIRS - LIGHT BULBS 106.3511/15/2018369884 PARKS ADMIN77712092 504.000000.020.518.22.48.000 REPAIRS & MAINTENANCEMCLENDON HARDW- RENTON/JACKSON BLAINE - FANS FOR 1ST FLOOR FLOODING ISSUE 30.3311/15/2018369884 PARKS ADMIN77712053 504.000000.020.518.23.35.011 FURNITURE-ERGONOMICSERGO ITEMS WRIST RESTS~ AMZN MKTP US*M84L31N82/LOHMAN LORI 8.5711/15/2018369884 PARKS ADMIN77712054 504.000000.020.518.23.35.011 FURNITURE-ERGONOMICSERGO ITEMS WRIST RESTS~ AMZN MKTP US*M89U76NH1/LOHMAN LORI H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 118 of 125 data as of: 11/15/2018 3:21:36PM US BANK ONE CARD - 083670 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 36.3811/15/2018369884 PARKS ADMIN77712055 504.000000.020.518.23.35.011 FURNITURE-ERGONOMICSERGO FOOT RESTS~ AMAZON.COM*M86UK0300/LOHMAN LORI 0.9911/15/2018369884 EXECUTIVE77711579 505.000000.003.513.11.41.005 COMMUNITY RELATIONSAPL*ITUNES.COM/BILL/NEUBERT DAVID - iPad storage 700.0011/15/2018369884 EXECUTIVE77711580 505.000000.003.513.11.41.005 COMMUNITY RELATIONSACCESS INTELLIGENCE/SHRIDHAR PREETI - submission for PR News Awards 40.0011/15/2018369884 EXECUTIVE77711586 505.000000.003.513.11.41.005 COMMUNITY RELATIONSGETTY IMAGES/VAN AVA - monthly photo subscripon fee 145.4111/15/2018369884 EXECUTIVE77711570 505.000000.003.518.70.31.000 OFFICE/OPERATING SUPPLIESBINDER PRODUCTS INC/HURST KARL - office supplies 206,564.18Check 369884 Amount US BANK ONE CARD Total $206,564.18 US POSTAL SERVICE - 084180 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 6,733.5011/15/2018370049 FINANCE & ITQ4 2018 Permit 20 405.000000.004.534.10.42.000 UTILITY - POSTAGEQ4 2018 Ulity Bills Permit #20 6,733.5011/15/2018370049 FINANCE & ITQ4 2018 Permit 20 406.000000.004.535.10.42.000 POSTAGE-UBQ4 2018 Ulity Bills Permit #20 13,467.0011/15/2018370049 FINANCE & ITQ4 2018 Permit 20 407.000000.004.531.31.42.000 UTILITY - POSTAGEQ4 2018 Ulity Bills Permit #20 200.0011/15/2018370049 EXECUTIVEPostage110818 505.000000.003.518.70.42.001 POSTAGEPostage Due account #95011000 200.0011/15/2018370049 EXECUTIVEPostage110818 505.000000.003.518.70.42.001 POSTAGEBusiness Reply Mail #646-001 8,600.0011/15/2018370049 EXECUTIVEPostage110818 505.000000.003.518.70.42.001 POSTAGEPermit Imprint acct #137 (bulk mail) 35,934.00Check 370049 Amount US POSTAL SERVICE Total $35,934.00 UTILITIES UNDERGROUND LOCATION - 085059 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 813.9911/15/2018370050 PW SHOPS8100220 405.000000.019.534.50.41.000 PROFESSIONAL SERVICESLocates (631) done for Water. 813.99Check 370050 Amount UTILITIES UNDERGROUND LOCATION Total $813.99 VACCA, NICK A - 085170 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 332.8011/15/2018369885 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 332.80Check 369885 Amount VACCA, NICK A Total $332.80 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 119 of 125 data as of: 11/15/2018 3:21:36PM VALLEY COMMUNICATIONS CENTER - 085330 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 435,114.5011/15/2018370051 POLICE0023174 000.000000.008.521.10.51.004 EMERGENCY COMMUNICATION911 Calls - Police - Nov/Dec 2018 6,439.1711/15/2018370051 POLICE0023127 000.000000.008.521.10.51.018 VC-800 MHZOctober 201 - 800 MHz - 290 units 441,553.67Check 370051 Amount VALLEY COMMUNICATIONS CENTER Total $441,553.67 VINCENT, CHARLES - 086205 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 196.2011/15/2018370052 CEDCHELAN 2018 000.000000.007.558.60.43.001 TRAVELMILEAGE REIMBURSEMENT TO CHELAN FOR CITY & COUNTY PLANNING DIRECTORS CONFERENCE. TRAVEL DATES: 09/11/18 TO 09/14/18 55.0011/15/2018370052 CEDCHELAN 2018 000.000000.007.558.60.43.007 MEALS & INCIDENTAL EXPENSEM&IE FOR CITY & COUNTY PLANNING DIRECTORS CONFERENCE. TRAVEL DATES: 09/11/18 TO 09/14/18 251.20Check 370052 Amount VINCENT, CHARLES Total $251.20 WA ASSN OF BLDG OFFICIALS - 088071 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 89.2711/15/2018370053 CED36390 000.000000.007.524.60.49.002 PUBLICATIONSPublicaons "Legal Aspects of Code Administraon, 2017" and "2012 Internaonal Zoning Code (So Cover)" 89.27Check 370053 Amount WA ASSN OF BLDG OFFICIALS Total $89.27 WA MULTI-CITY BUSINESS LICENSE - 086603 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 24,617.0011/15/2018370054 FINANCE & IT49 503.540004.004.518.82.41.000 ASD SYSTEMS - PROFESSIONAL SERVICESB&O 2018 Cost Allocaons-Filelocal 24,617.00Check 370054 Amount WA MULTI-CITY BUSINESS LICENSE Total $24,617.00 WA ST CRIMINAL JUSTICE TRG COM - 089185 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 225.0011/15/2018370055 POLICE201131212 000.000000.008.521.30.43.002 OTHER TRAVEL/TRAINING EXPENSESRegistraon fees for COLEMAN, JENSEN, and SCOTT, D. to aend the Homicde Invesgaons course on October 8 - 12, 2018 in Burien, WA, 225.00Check 370055 Amount WA ST CRIMINAL JUSTICE TRG COM Total $225.00 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 120 of 125 data as of: 11/15/2018 3:21:36PM WA ST DEPT OF LICENSING - 089206 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3.6811/15/2018370056 CEDL0047598964 000.000000.007.524.60.49.002 PUBLICATIONSDOL VEHICLE QUERY 9/1/18- 9/30/18~ Account # 465698~ Query dates: 8/31/18 $3.00~ 9/30/18 $3.68~ Outstanding Balance 9/30/18 $6.68 4.6411/15/2018370056 CEDL0050057328 000.000000.007.524.60.49.002 PUBLICATIONSDOL VEHICLE QUERY 10/1/18 - 10/31/18~ Query dates: 10/31/18: $4.64~ Outstanding Balance: $4.64 8.32Check 370056 Amount WA ST DEPT OF LICENSING Total $8.32 WA STATE PATROL - 089253 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 672.0011/15/2018370057 REVENUE/BALANCE SHEETI19001390 000.000000.000.237.03.00.001 CONCEALED WEAPONS-WSPCPL Fingerprints - august 2018 552.0011/15/2018370057 REVENUE/BALANCE SHEETI19002137 000.000000.000.237.03.00.001 CONCEALED WEAPONS-WSPCPL fingerprints - sept 2018 96.0011/15/2018370057 HUMAN RESOURCESI19001390 000.000000.014.518.10.41.013 CRIMINAL BACKGROUND CHECKSemployee fingerprints 128.0011/15/2018370057 HUMAN RESOURCESI19002137 000.000000.014.518.10.41.013 CRIMINAL BACKGROUND CHECKSemployee fingerprints- sept 2018 1,448.00Check 370057 Amount WA STATE PATROL Total $1,448.00 WA STATE SUPPORT REGISTRY - 100015 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,143.3611/09/20185932 REVENUE/BALANCE SHEETBen1810500 632.000000.000.231.50.00.000 ACCRUED EMPLOYEE BENEFITSSUPPORT REGISTRY: Payment 3,143.36Check 5932 Amount WA STATE SUPPORT REGISTRY Total $3,143.36 WAGNER, DIANE - 086630 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.3011/15/2018370058 PARKS ADMIN102518 404.000000.020.576.61.43.001 GOLF COURSE TRAVELGC: PGA MERCHANDISING SHOW / TACOMA WA - MILEAGE REIMBURSEMENT 30.30Check 370058 Amount WAGNER, DIANE Total $30.30 WAKEFIELD, MIKE - 086656 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 30.0011/15/2018369886 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 30.00Check 369886 Amount H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 121 of 125 data as of: 11/15/2018 3:21:36PM WAKEFIELD, MIKE Total $30.00 WALLS, CAMILLE - 087110 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 275.1711/15/2018369887 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 275.17Check 369887 Amount WALLS, CAMILLE Total $275.17 WASPC - 088081 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 25,460.8711/15/2018370059 POLICEEM 2018-00443 000.000000.008.523.22.45.000 EHD OPERATING RENTALSEHD COS Equipment Rental for August 2018 25,460.87Check 370059 Amount WASPC Total $25,460.87 WATER BUFFALO INC - 089921 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,000.0011/15/2018369888 REVENUE/BALANCE SHEETW18003844 405.000000.000.237.00.00.000 CUSTODIAL ACCOUNTS-HYDRANT METERHydrant deposit refund $2,000 plus credit bal of $624.67 on ulity acct 048128-001 624.6711/15/2018369888 REVENUE/BALANCE SHEETW18003844 405.000000.000.257.00.00.000 DEFERRED REVENUEHydrant deposit refund $2,000 plus credit bal of $624.67 on ulity acct 048128-001 2,624.67Check 369888 Amount WATER BUFFALO INC Total $2,624.67 WATER MANAGEMENT LABORATORIES - 089930 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 945.0011/15/2018370060 UTILITY SYSTEMS171433 405.000000.018.534.20.41.010 WATER QUALITY TESTINGAnalycal Tesng, test date 10/10/2018 UCMR4. 488.0011/15/2018370060 PW SHOPS171280 405.000000.019.534.50.41.000 PROFESSIONAL SERVICESWater samples sent in to be tested for e coli (1) and total coliform (27). 517.0011/15/2018370060 PW SHOPS171469 405.000000.019.534.50.41.000 PROFESSIONAL SERVICESWater samples sent in to be tested for e coli (2) and total coliform (26) and 1 for new construcon. 1,950.00Check 370060 Amount WATER MANAGEMENT LABORATORIES Total $1,950.00 WEAFER, DEVINA - 089967 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 10.0011/15/2018369889 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 10.00Check 369889 Amount WEAFER, DEVINA Total $10.00 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 122 of 125 data as of: 11/15/2018 3:21:36PM WEATHERNET LLC - 089964 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 159.5011/15/2018370061 PW SHOPS102618 003.000000.019.542.92.41.000 PROFESSIONAL SERVICESMonthly weather services for Street and Surface Water. 159.5011/15/2018370061 PW SHOPS102618 407.000000.019.531.35.41.000 PROFESSIONAL SERVICESMonthly weather services for Street and Surface Water. 319.00Check 370061 Amount WEATHERNET LLC Total $319.00 WEI LAI DEVELOPMENT LLC - 113772 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 227,313.5911/15/2018370062 REVENUE/BALANCE SHEETEG00094458 650.000000.000.237.00.00.000 CUSTODIAL ACCOUNTS-SPECIAL DEPOSITSRelease cash deferral bond for DEF18000853 227,313.59Check 370062 Amount WEI LAI DEVELOPMENT LLC Total $227,313.59 WEISS, CHERYL - 090283 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,159.1811/15/2018369890 NON DEPARTMENTALNovember Pension 611.000000.005.517.21.20.011 FIRE PENSIONSNovember Pension 1,159.18Check 369890 Amount WEISS, CHERYL Total $1,159.18 WELLS FARGO BANK - 090297 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 750.0011/15/2018370063 FINANCE & IT11960155 000.000000.004.514.20.41.000 PROFESSIONAL SERVICES2018 Q3 Admin Fees 750.00Check 370063 Amount WELLS FARGO BANK Total $750.00 WEST & SONS - 090543 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 192.5011/15/2018370064 POLICE22508 000.000000.008.521.70.41.000 PROFESSIONAL SERVICES-TOWINGto evidence #18-13234 207.9011/15/2018370064 POLICE22714 000.000000.008.521.70.41.000 PROFESSIONAL SERVICES-TOWINGto evidence - case#18-13311 400.40Check 370064 Amount WEST & SONS Total $400.40 WESTERN EQUIPMENT DISTRIBUTORS - 090620 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 237.1711/15/2018370065 PARKS ADMIN7028924-00 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC REPAIR SUPPLIES: SHIFT ASB, EXTENTION SPRING 276.6011/15/2018370065 PARKS ADMIN7029771-00 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC REPAIR SUPPLIES: GEAR AN;E SECTOR H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 123 of 125 data as of: 11/15/2018 3:21:36PM WESTERN EQUIPMENT DISTRIBUTORS - 090620 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 243.4611/15/2018370065 PARKS ADMIN7029977-00 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC REPAIR SUPPLIES: TIE ROD ASSMBL 110.2211/15/2018370065 PARKS ADMIN7030580-00 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC REPAIR SUPPLIES: FUEL FILTERS, KNOB CONTROLS 100.4511/15/2018370065 PARKS ADMIN7030637-00 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC REPAIR SUPPLIES: BALL BEARINGS, VEE BELTS 641.3211/15/2018370065 PARKS ADMIN7038065-00 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC: REPAIR SUPPLIES: #100 WORKMAN~ WHEELS & TIRES 140.7511/15/2018370065 PARKS ADMIN7039274-00 404.000000.020.576.65.31.013 SUPPLIES-REPAIRS AND MAINTENANCEGC: REPAIR SUPPLIES: FILTERS, OIL ETC 1,749.97Check 370065 Amount WESTERN EQUIPMENT DISTRIBUTORS Total $1,749.97 WESTERN STATES FIRE PROTECTION - 091111 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 3,135.0011/15/2018370066 PARKS ADMINSE007131 404.000000.020.576.61.48.000 REPAIRS & MAINTENANCEGC: SERVICE & REPAIRS TO KITCHEN AREA - ADDED NEW SPRINKLER TO NEW EXISTING 4" DRY SYSTEM RISER RUNNING EXPOSED PIPE ALONG INTERIOR OF WALL~ ~ ALSO ADDED HEAD CAGE TO PROTET DRY SIDEWALL FROM GETING HIT - ADDED NEW DRY SIDEWEALL TO DOLER. 3,135.00Check 370066 Amount WESTERN STATES FIRE PROTECTION Total $3,135.00 WESTERN SYSTEMS - 091171 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,850.6511/15/2018370067 TRANSPORTATION/AIRPORT37143 003.000000.016.542.95.31.010 SIGNAL SUPPLIESASTRO BRAC ANT MNT 58" SS 16,677.2511/15/2018370067 TRANSPORTATION/AIRPORT37123 003.000000.016.542.95.48.050 REPAIRS & MAINTENANCE PROPERTY LOSSP+ cabinet / State contract 04616~ PO # 20182707EC-DR -4,191.0711/15/2018370067 TRANSPORTATION/AIRPORT10885 317.122904.016.542.60.35.011 PRES OF TRAFFIC OP DEVICE SMALL TOOLSCREDIT MEMO FOR INV.36888 & 37098~ solar engine comp 10W GEN3 24/7E~ 20181308EC/PS 2,322.6411/15/2018370067 TRANSPORTATION/AIRPORT36888 317.122904.016.542.60.35.011 PRES OF TRAFFIC OP DEVICE SMALL TOOLS20181308EC/PS~ solar engine comp 10W GEN3 24/7E~ ~ WRONG ITEM - returned CR INV. 10885 1,868.4311/15/2018370067 TRANSPORTATION/AIRPORT37098 317.122904.016.542.60.35.011 PRES OF TRAFFIC OP DEVICE SMALL TOOLS20181308EC/PS~ solar engine comp 10W GEN3 24/7E~ ~ ITEM NOT RECD - CR INV. 10885 H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 124 of 125 data as of: 11/15/2018 3:21:36PM WESTERN SYSTEMS - 091171 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 18,527.90Check 370067 Amount WESTERN SYSTEMS Total $18,527.90 WEX BANK - 026560 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 736.1711/15/2018370068 PW SHOPS56437425 501.000000.019.548.60.32.003 FUEL CONSUMED GASOLINEUnleaded fuel charges. 736.17Check 370068 Amount WEX BANK Total $736.17 WIDENER & ASSOCIATES - 091850 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,363.2011/15/2018369891 TRANSPORTATION/AIRPORT206046 317.122190.016.595.11.63.000 PARK AVE EXTENSION - PRELIMINARY ENGINENorth Park Avenue Extension~ CAG-18-124~ Work Completed through August 2018 1,363.20Check 369891 Amount WIDENER & ASSOCIATES Total $1,363.20 WILBUR ELLIS COMPANY LLC - 091804 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 2,825.7511/15/2018370069 PARKS ADMIN 12091555 404.000000.020.576.65.31.005 CHEMICALSGC: COURSE SUPPLIES / CHEMICALS & FERTILIZRS. CHEMICALS: INTRAT AGENCY & HERTIAGE AGENCY 2,825.75Check 370069 Amount WILBUR ELLIS COMPANY LLC Total $2,825.75 WILLIAM SCHLOUGH - 071028 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,000.0011/15/2018370070 CED06Nov2018 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEBOONE KIRKMAN MURAL- WILLIAM SCHLOUGH-2ND INSTALLMENT 1,000.00Check 370070 Amount WILLIAM SCHLOUGH Total $1,000.00 WILLOW, LINDA - 092201 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 50.0011/15/2018369892 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 50.00Check 369892 Amount WILLOW, LINDA Total $50.00 WINFIELD SOLUTIONS - 092463 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 700.7011/15/2018370071 PARKS ADMIN62750635 404.000000.020.576.65.31.011 FERTILIZERGC: COURSE SUPPLIES - FERTILIIZER H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) City of Renton AP Check Register for 11/1/2018 to 11/15/2018 Page 125 of 125 data as of: 11/15/2018 3:21:36PM WINFIELD SOLUTIONS - 092463 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 700.70Check 370071 Amount WINFIELD SOLUTIONS Total $700.70 WOLCOTT, JENNIFER - 113746 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 283.3911/15/2018370072 REVENUE/BALANCE SHEET025345/Refund 405.000000.000.257.00.00.000 DEFERRED REVENUEUlity credit - 6201 NE 5th CIR, Final date: 10/11/18 283.39Check 370072 Amount WOLCOTT, JENNIFER Total $283.39 YVONNE CHAN - 093458 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 1,000.0011/15/2018370073 CED2 000.070233.007.558.70.41.000 PROFESSIONAL SERVICES - PORT OF SEATTLEYVONNE CHAN UTILITY BOX ART / PORT GRANT CAG-18-115 1,000.00Check 370073 Amount YVONNE CHAN Total $1,000.00 ZYLSTRA, BRADLEY P - 094309 Inv No/DescriponCheck #Check Date Invoice Amt Acct No/Title/Department 10.0011/15/2018369893 POLICEOCTOBER VOLUNTEER 000.000000.008.521.30.43.006 MEAL ALLOWANCE-VOLUNTEEROctober Police Volunteer 10.00Check 369893 Amount ZYLSTRA, BRADLEY P Total $10.00 $7,619,413.59City of Renton Report Total H:\Finance\Crystal Reports\E-Accounts Payable\AP Check Register_select_City_or_RFA.rpt printed: 11/15/2018 3:21:38PM AGENDA ITEM #2. a) 11/08/2018Check ListCity of Renton1 3:10:30PMPage:apChkLstFinalBank : usbank US Bank of WashingtonCheck TotalAmount PaidDescriptionInv DateInvoiceVendorDateCheck #Ben181048611/9/2018MEDICARE: PAYMENT315,234.60CITY OF RENTON, OASDI & MEDICARE10002711/9/20185925315,234.60Voucher:Ben181048811/9/2018FEDERAL WITHHOLDING TAXES: PAYMENT224,835.20CITY OF RENTON FWT01594511/9/20185926224,835.20Voucher:Ben181049011/9/2018PERS II: PAYMENT259,881.06CITY OF RENTON PERS II05884211/9/20185927259,881.06Voucher:Ben181049211/9/2018401A EMPLOYEE CONTRIBUTION: PAYMENT151,439.28TIAA-CREF08135811/9/20185928151,439.28Voucher:Ben181049411/9/2018LEOFF II POLICE: PAYMENT86,506.15CITY OF RENTON LEOFF II04410211/9/2018592986,506.15Voucher:Ben181049611/9/2018PSERS: PAYMENT1,863.59CITY OF RENTON - PSERS10001811/9/201859301,863.59Voucher:Ben181049811/9/2018PERS 3: PAYMENT51,163.81CITY OF RENTON PERS 305884311/9/2018593151,163.81Voucher:Ben181050011/9/2018SUPPORT REGISTRY: PAYMENT3,143.36WA STATE SUPPORT REGISTRY10001511/9/201859323,143.36Voucher:Ben181050211/9/2018PERS I: PAYMENT646.63CITY OF RENTON PERS 105884111/9/20185933646.63Voucher:Ben181050411/9/2018PERS JBM 11: PAYMENT2,121.26CITY OF RENTON PERS JBM 1105883911/9/201859342,121.26Voucher:Ben181046211/9/2018ALL AMERICAN LIFE: PAYMENT50.00ALL AMERICAN LIFE INS10000911/9/201836975250.00Voucher:Ben181047011/9/2018PLAN MEMBER SERVICES: PAYMENT9,946.86BENEFIT ADMINISTRATION CO10000711/9/20183697539,946.86Voucher:Ben181047811/9/2018CHAPTER 13 TRUSTEE #3: PAYMENT462.50CHAPTER 13 TRUSTEE10005911/9/2018369754462.50Voucher:Ben181048011/9/2018IOWA CHILD SUPPORT: PAYMENT298.00COLLECTIONS SERVICES CENTER01655611/9/2018369755298.00Voucher:Ben181048211/9/2018EMPLOYMENT SECURITY - SEA: PAYMENT428.31EMPLOYMENT SECURITY02398111/9/2018369756428.31Voucher:Ben181046011/9/2018GROUP HEALTH HIRED PRIOR 11-04: PAYMENT10,167.90KAISER FOUNDATION HEALTH PLAN04008411/9/201836975710,167.90Voucher:Ben181047411/9/2018RENTON FOOD BANK: PAYMENT154.50RENTON FOOD BANK10000411/9/2018369758154.50Voucher:1Page:AGENDA ITEM #2. b) 11/08/2018Check ListCity of Renton2 3:10:30PMPage:apChkLstFinalBank : usbank US Bank of Washington(Continued)Check TotalAmount PaidDescriptionInv DateInvoiceVendorDateCheck #Ben181047211/9/2018MNGT DUES: PAYMENT760.00RENTON MANAGEMENT ASSOCIATION10001411/9/2018369759760.00Voucher:Ben181046611/9/2018RENTON POLICE ATHLETIC ASSOC: PAYMENT209.00RENTON POLICE ATHLETIC ASSOC06747311/9/2018369760209.00Voucher:Ben181047611/9/2018CHAPLAINCY COMM: PAYMENT5.00RENTON POLICE CHAPLAINCY COMM10000511/9/20183697615.00Voucher:Ben181046811/9/2018GUILD DUES COMM: PAYMENT4,908.97RENTON POLICE OFFICERS GUILD10001311/9/20183697624,908.97Voucher:Ben181046411/9/2018STANDARD INS - LTD NOT COMM: PAYMENT15,836.65STANDARD INSURANCE COMPANY07719511/9/201836976315,836.65Voucher:Ben181048411/9/2018TEXAS CHILD SUPPORT: PAYMENT170.00TX CHILD SUPPORT SDU10004511/9/2018369764170.00Voucher:Sub total for US Bank of Washington:1,140,232.632Page:AGENDA ITEM #2. b) 11/08/2018Check ListCity of Renton3 3:10:30PMPage:apChkLstFinalchecks in this report.Grand Total All Checks:231,140,232.633Page:AGENDA ITEM #2. b)