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File #: 21-6847    Version: 1 Name:
Type: Consent Calendar Status: Agenda Ready
File created: 8/23/2021 In control: Council and Authorities Concurrent Meeting
On agenda: 11/9/2021 Final action: 11/9/2021
Title: Action on Bills and Claims Report (CC) for the Period August 28, 2021 - September 24, 2021
Attachments: 1. Bills and Claims Approved for Payment Report

REPORT TO COUNCIL

SUBJECT

Title

Action on Bills and Claims Report (CC) for the Period August 28, 2021 - September 24, 2021

 

Report

COUNCIL PILLAR

Enhance Community Engagement and Transparency

 

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 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 reporting 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 period include:

 

                     Payment to Northern California Power Agency in the amount of $15,913,183 for September 2021 all resource bill and Western Restoration Fund.

                     Payment to MSR Public Power Agency/Energy Authority in the amount of $4,644,087 for July through September 2021 energy purchases and August 2021 Shaping Fee.

                     Payment to Santa Clara Valley Water District in the amount of $1,895,008 for June 2021 Pump Tax, a groundwater charge that is used to pay for the protection and augmentation of water supplies in the basin and June 2021 treated water purchase.

                     Payment to Tri-Dam Project in the amount of $1,827,372 for August 2021 Hydroelectric purchase.

                     Payment to O’Grady Paving Inc., in the amount of $1,575,741 for June 2021 progress payment for 2021 Annual Street Maintenance and Rehabilitation Project.

                     Payment to Mission Trail Waste Systems in the amount of $1,020,529 for August 2021 garbage services.

 

Payments to ManCo are not included in the City’s Bills and Claims report, as they are currently reported through a separate Stadium Authority Bills and Claims report.  Stadium Authority related payments in the City’s Bills and Claims report include general administrative, materials, and supplies expenses of approximately $6,936.  Included in this amount are expenses to the Santa Clara County Sheriff’s Department for special law enforcement services at the stadium in August 2021.  These expenses are reimbursed to the City by the Stadium Authority.

 

Certain information such as names of law firms and recipients of workers’ compensation have been redacted from the Bills and Claims report.  The Supreme Court of California in Los Angeles County Board of Supervisors v. Superior Court, (2016) 2 Cal.5th 282, held that invoices specifying the amounts billed by a law firm to a client fall within the scope of attorney-client privilege while the matters are active.  In accordance with the Supreme Court’s ruling, the names of law firms retained by the City have been redacted from the public report to maintain confidentiality of billing records for legal services.  In addition, individually identifiable information about recipients of workers’ compensation has been redacted from the report based on California Labor Code section 138.7.

 

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 $49,803,785 were appropriated to various funds with the adoption of the Fiscal Year 2020/21 and 2021/22, as amended.

 

COORDINATION

This report has been coordinated with the City Attorney’s Office.

 

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>.

 

RECOMMENDATION

Recommendation

Approve the list of Bills and Claims for August 28, 2021 - September 24, 2021.

Staff

Reviewed by: David Noce, Audit Manager

Approved by: Deanna J. Santana, City Manager

ATTACHMENTS

1. Bills and Claims Approved for Payment Report