REPORT TO COUNCIL
SUBJECT
Title
Bills and Claims Report (CC, SA, HA) for the period April 27th - May 17th
Report
BACKGROUND
Disbursements made by the City are based on invoices submitted for payment. Prior to payment, staff reviews all disbursement documents to ensure they are reflective of the goods or services provided. Invoices are usually paid within 30 days of receipt of an accurate invoice. As the final step, the City Auditor, or his/her designee verifies all documents before payment is issued. Payments are issued through accounts payable checks and wire transfers. It’s important to note that items that pertain to the Stadium Authority are billed to the Stadium Manager (ManCo) to pay on behalf of the Stadium Authority for Non-NFL events and the 49ers for NFL events.
The Bills and Claims Report represents the cash disbursements required for operations of the City during the period. The report reflects the payment date, invoice number, description of the payment, funding source, and payment amount for all invoices. The budget control is set by the City Council through the budget adoption process.
DISCUSSION
Significant expenditures in this time period include:
• Payment to City of San Jose in the amount of $13,210,990 for FY17-18 4th quarter CIP billing, 4th quarter operations and maintenance, and second installment of the revolving fund loan. All of these expenditures are for the Regional Wastewater Facility.
• Payment to Northern California Power Agency in the amount of $10,900,871 for May 2018 all resources bill.
• Payment to Tri-Dam Power Authority/Project in the amount of $2,635,583 for April 2018 energy purchase.
• Payment to MSR Public Power Agency in the amount of $2,182,682 for April and May 2018 power purchase and renewable administrative costs.
• Payment to Friant Power Authority in the amount of $1,914,388 for April 2018 energy purchase.
• Payment to Mission Trail Waste Systems in the amount of $1,021,460 for April 2018 Garbage Service.
• Payment to Santa Clara Valley Water District in the amount of $912,846 for March 2018 Pump Tax, a groundwater charge that is used to pay for the protection and augmentation of the water supplies in the basin.
ENVIRONMENTAL REVIEW
The action being considered does not constitute a “project” within the meaning of the California Environmental Quality Act (“CEQA”) pursuant to CEQA Guidelines section 15378(b)(4) in that it is a fiscal activity that does not involve any commitment to any specific project which may result in a potential significant impact on the environment.
FISCAL IMPACT
The expenditures of $44,319,888 were appropriated to various funds with the adoption of the Fiscal Year 2017/18 Budget, as amended.
PUBLIC CONTACT
Public contact was made by posting the Council agenda on the City’s official-notice bulletin board outside City Hall Council Chambers. A complete agenda packet is available on the City’s website and in the City Clerk’s Office at least 72 hours prior to a Regular Meeting and 24 hours prior to a Special Meeting. A hard copy of any agenda report may be requested by contacting the City Clerk’s Office at (408) 615-2220, email clerk@santaclaraca.gov <mailto:clerk@santaclaraca.gov> or at the public information desk at any City of Santa Clara public library.
RECOMMENDATION
Recommendation
Approve the list of Bills and Claims for April 27 - May 17, 2018.
Staff
Reviewed by: Angela Kraetsch, Director of Finance
Approved by: Deanna J. Santana, City Manager
ATTACHMENTS
1. Bills and Claims Approved for Payment Report