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HomeMy WebLinkAbout2019-04-10 e-packet@7:00Wednesday, April 10, 2019 7:00 PM City of South San Francisco P.O. Box 711 South San Francisco, CA Municipal Services Building, Council Chambers 33 Arroyo Drive, South San Francisco, CA City Council Regular Meeting Agenda April 10, 2019City Council Regular Meeting Agenda PEOPLE OF SOUTH SAN FRANCISCO You are invited to offer your suggestions. In order that you may know our method of conducting Council business, we proceed as follows: The regular meetings of the City Council are held on the second and fourth Wednesday of each month at 7:00 p.m. in the Municipal Services Building, Council Chambers, 33 Arroyo Drive, South San Francisco, California. The City Clerk will read successively the items of business appearing on the Agenda. As she completes reading an item, it will be ready for Council action. KARYL MATSUMOTO, Mayor RICHARD A. GARBARINO, Vice Mayor MARK ADDIEGO, Councilman MARK NAGALES, Councilman BUENAFLOR NICOLAS, Councilwoman FRANK RISSO, City Treasurer ROSA GOVEA ACOSTA, City Clerk MIKE FUTRELL, City Manager JASON ROSENBERG, City Attorney PLEASE SILENCE CELL PHONES AND PAGERS HEARING ASSISTANCE EQUIPMENT AVAILABLE FOR USE BY THE HEARING IMPAIRED AT CITY COUNCIL MEETINGS In accordance with California Government Code Section 54957.5, any writing or document that is a public record, relates to an open session agenda item, and is distributed less than 72 hours prior to a regular meeting will be made available for public inspection in the City Clerk’s Office located at City Hall. If, however, the document or writing is not distributed until the regular meeting to which it relates, then the document or writing will be made available to the public at the location of the meeting, as listed on this agenda. The address of City Hall is 400 Grand Avenue, South San Francisco, California 94080. Page 2 City of South San Francisco Printed on 6/6/2019 April 10, 2019City Council Regular Meeting Agenda CALL TO ORDER ROLL CALL PLEDGE OF ALLEGIANCE AGENDA REVIEW ANNOUNCEMENTS FROM STAFF PRESENTATIONS Presentation of a proclamation to recognize April as Celebrate Diversity Month (Karyl Matsumoto, Mayor) 1. Presentation of a proclamation to recognize April 7-13, 2019, as National Library Week in South San Francisco. (Karyl Matsumoto, Mayor) 2. PUBLIC COMMENTS COUNCIL COMMENTS/REQUESTS CONSENT CALENDAR Motion to approve the Minutes for the meetings of February 27, 2019 and March 13, 2019. 3. Motion confirming payment registers for April 10, 2019. (Christina Crosby, Interim Director of Finance) 4. Report regarding a resolution approving a transfer of $2,236,224 from the Measure W fund to the Police Asset Seizure Fund for the previous purchase of the Community Civic Campus PUC properties. (Justin Lovell, Financial Services Manager and Jeff Azzopardi, Chief of Police) 5. Resolution approving a transfer of $2,236,224 from the Measure W fund to the Police Asset Seizure Fund for the previous purchase of the Community Civic Campus PUC properties. 5a. ADMINISTRATIVE BUSINESS Housing Successor Agency Annual Reports for Fiscal Years 2016-17 and 2017-18 (Nell Selander, Deputy Director of Economic and Community Development) 6. Report regarding consideration and appointment of one large business member to the General Plan Community Advisory Committee and one alternate. (Marian Lee, Assistant City Manager) 7. Page 3 City of South San Francisco Printed on 6/6/2019 April 10, 2019City Council Regular Meeting Agenda Report regarding a resolution authorizing the write-off of $499,950.07 in uncollectable ambulance billing accounts receivable. (Richard Walls, Emergency Medical Services Chief) 8. Resolution authorizing the write-off of $499,950.07 in uncollectable ambulance billing accounts receivable. 8a. Report regarding a resolution declaring an unnumbered City-owned parcel on Gull Drive, (Parcel B of Parcel Map 99-005 of Book of Maps 72) surplus. (Kris Romasanta, Community Development Coordinator) 9. Resolution declaring an unnumbered City-owned parcel on Gull Drive, described as Parcel B of Parcel Map 99-005 of Book of Maps 72, to be surplus to the City’s needs. 9a. CLOSED SESSION Closed Session: Conference with Labor Negotiators (Pursuant to Government Code Section 54957.6) Agency designated representative: Jason Rosenberg, City Attorney Unrepresented employee: Mike Futrell, City Manager 10. Closed Session: Public Employee Performance Evaluation (Pursuant to Government Code Section 54957) Title: City Manager 11. ADJOURNMENT Page 4 City of South San Francisco Printed on 6/6/2019 City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-217 Agenda Date:4/10/2019 Version:1 Item #:1. Presentation of a proclamation to recognize April as Celebrate Diversity Month (Karyl Matsumoto, Mayor) City of South San Francisco Printed on 4/4/2019Page 1 of 1 powered by Legistar™ City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-244 Agenda Date:4/10/2019 Version:1 Item #:2. Presentation of a proclamation to recognize April 7-13, 2019, as National Library Week in South San Francisco. (Karyl Matsumoto, Mayor) City of South San Francisco Printed on 4/4/2019Page 1 of 1 powered by Legistar™ RECOGNITION OF APRIL 7-13, 2019, AS NATIONAL LIBRARY WEEK April 10, 2019 WHEREAS, today’s libraries are not just about books but what they do for and with people; and WHEREAS, libraries of all types are at the heart of cities, towns, schools, and campuses; and WHEREAS, libraries have long served as trusted and treasured institutions where people of all backgrounds can be together and connect; and WHEREAS, libraries and librarians build strong communities through transformative services, programs, and expertise; and WHEREAS, libraries, which promote the free exchange of information and ideas for all, are cornerstones of democracy; and WHEREAS, libraries promote civic engagement by keeping people informed and aware of community events and issues; and WHEREAS, librarians and library workers partner with other civic organizations to make sure their community’s needs are being met; and WHEREAS, libraries and librarians empower their communities to make informed decisions by providing free access to information; and WHEREAS, libraries are a resource for all members of the community regardless of race, ethnicity, creed, ability, sexual orientation, gender identity, or socio-economic status, by offering services and educational resources that transform lives and strengthen communities; and WHEREAS, libraries, librarians, library workers, and supporters across America are celebrating National Library Week, with the theme “Libraries = Strong Communities.” NOW, THEREFORE, be it resolved that Mayor Karyl Matsumoto and the City Council of the City of South San Francisco do hereby proclaim April 7-13, 2019, as National Library Week in South San Francisco and encourage all residents to visit their library this week and explore what’s new at their library and take advantage of the wonderful programs, services, and resources available. City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-290 Agenda Date:4/10/2019 Version:1 Item #:3. Motion to approve the Minutes for the meetings of February 27, 2019 and March 13, 2019. City of South San Francisco Printed on 4/4/2019Page 1 of 1 powered by Legistar™ City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-314 Agenda Date:4/10/2019 Version:2 Item #:4. Motion confirming payment registers for April 10,2019.(Christina Crosby,Interim Director of Finance) The payments shown in the attached payment register are accurate and sufficient funds were available for payment (payroll items excluded). Attachment: Payment Register City of South San Francisco Printed on 4/4/2019Page 1 of 1 powered by Legistar™ Payment Listing by Department for City Council Review Payments issued between and3/18/2019 3/31/2019 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION CITY CLERK ALASKA AIR 3/29/2019 274989CC390391 E 100-02110-5032 311.60 ROSA ALASKA AIRLINE TICKET FOR CONFERENCE A-PDF.COM 3/29/2019 274989CC390397 E 100-02110-5001 72.00 ROSA PDF FILLER CREDIT CARD PURCHASE B&H PHOTO 3/22/2019 274810cc390052 E 100-02110-5045 524.97 DW- MONITOR - CITY CLERK'S OFFICE CINTAS FIRST AID & SAFETY 3/29/2019 2749405013297337 E 100-02110-5020 85.97 CITY HALL -FIRST AID CABINET SUPPLY CITY CLERKS ASSOCIATION OF CA 3/29/2019 274989CC390383 E 100-02110-5031 70.00 ROSA 2019 CCAC MEMBERSHIP RENEWAL THROU 3/29/2019 274989CC390387 E 100-02110-5033 545.00 ROSA CONFERENCE AT ORANGE COUNTY DAILY JOURNAL CORPORATION 3/29/2019 274946B3224770 E 100-02110-5024 78.00 ORD SUMMARY - 380 S SIRPORT ELECTRONIC SIG 3/29/2019 274946B3232193 E 100-02110-5024 127.50 NOTICE OF PH 201 HASKINS 3/29/2019 274946B3234548 E 100-02110-5024 55.50 ORD SUMMARY - BOARDS AND COMMISSIONS PR 3/29/2019 274946B3234562 E 100-02110-5024 64.50 ORD SUMMARY - OAKMONT MEADOWS PRE-AD IMPARK 3/29/2019 274989CC390407 E 100-02110-5031 15.00 GR-PARKING FEE SAN FRANCISCO CIVIC CENTER P ITALIAN AMERICAN WOMEN'S CLUB 3/29/2019 27495605/09/2019 E 100-02110-5031 35.00 ROSA PREPAID ITALIAN AMERICAN WOMEN'S CL NEOPOST USA INC 3/20/2019 27474015672957 E 100-02110-5027 0.41 MAILING SUPPLIES-POSTAGE MACHINE PAYPAL 3/29/2019 274989CC390400 E 100-02110-5031 100.00 ROSA PAYPAL SMCCCD SKYLINE COLLEGE PRESIDE SPECIALTY'S CAFE & BAKERY 3/29/2019 274989CC390382 E 100-02110-5033 99.07 SPECIALTY'S CAFÉ & BAKERY FOR STAFF MEETING SSF CHAMBER OF COMMERCE 3/29/2019 274989CC390395 E 100-02110-5031 95.00 ROSA SSF CHAMBER OF COMMERCE AWARDS DI Payments issued for CITY CLERK $2,279.52 CITY COUNCIL AMAZON MKTPLACE 3/22/2019 274810cc389873 E 100-01110-5045 54.99 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR HYATT REGENCY SACRAMENTO 3/27/2019 274920cc390273 E 100-01110-5032 1,603.19 FN: LEAGUE OF CA CITIES NEW MAYORS CONF SA NEOPOST USA INC 3/20/2019 27474015672957 E 100-01110-5027 0.23 MAILING SUPPLIES-POSTAGE MACHINE PAYPAL - SAMCEDA 3/27/2019 274920cc390296 E 100-01110-5030 234.47 RG: 2019 SAMCEDA AWARDS OF EXCELLENCE EV PAYPAL RWC CHAMBER 3/22/2019 274810cc390016 E 100-01110-5032 725.00 KM: REG FOR REDWOOD CITY CHAMBER PROG SE 3/27/2019 274920cc390292 E 100-01110-5032 725.00 MN: REG FOR REDWOOD CITY CHAMBER PROG S SMART & FINAL STORES LLC 3/22/2019 274800038642 E 100-01110-5020 24.56 SUPPLIES AT MSB FOR CITY COUNCIL MEETINGS 3 3/29/2019 274978032989 E 100-01110-5020 27.82 SUPPLIES AT MSB FOR CITY COUNCIL MEETINGS 3 STAPLES BUSINESS ADVANTAGE 3/27/2019 2749108053491702/4070242E 100-01110-5020 674.70 CMO OFFICE SUPPLIES WEST COAST CAFE 3/27/2019 274920cc390294 E 100-01110-5031 103.29 RG: PD & FIRE BUSINESS LUNCHEON 2/19/19 Tuesday, April 2, 2019 Page 1 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco CITY COUNCIL Payments issued for CITY COUNCIL $4,173.25 CITY MANAGER 15FIVE 3/22/2019 274810cc390006 E 100-05110-5021 32.40 MF: 15FIVE SUBSCRIPTION DTD 2/6/2019 ABM ONSITE 3/22/2019 274810cc389847 E 100-05120-5031 1.00 SB: PARKING FOR CENSUS2020 STEERING CTTEE ADVANCED BUSINESS FORMS 3/29/2019 27493330679 E 100-05110-5020 124.41 BUSINESS CARDS FOR CF AND LCS CONSULTANT AMAZON MKTPLACE 3/22/2019 274810cc389873 E 100-05110-5045 24.25 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR AMERICAN PLANNING ASSOCIATION 3/22/2019 274810cc389867 E 100-05110-5032 735.00 ML: REGISTRATION FOR APA CONF JAN 2019 CINTAS FIRST AID & SAFETY 3/29/2019 2749405013297337 E 100-05110-5001 85.97 CITY HALL -FIRST AID CABINET SUPPLY COSTCO 3/20/2019 274765cc389802 E 100-05110-5020 57.89 LA: CMO OFFICE SUPPLIES COUNCIL OF DEVELOPMENT FINANCE3/22/2019 274810cc390001 E 100-05110-5033 550.00 MF: FINANCE WEB COURSE 2019 GETACHEW MUZEYN SAN DIEGO TAXI3/27/2019 274920cc390394 E 100-05110-5032 16.56 MF: TAXI SVCS AT LEAGUE'S CITY MGR CONF SAN GOOD CITY COMPANY 3/20/2019 2747181947 E 100-05110-5005 1,706.25 GENERAL PLAN, PM CONSULTING SERVICES, GOO 3/20/2019 2747181954 E 100-05110-5005 5,752.50 GENERAL PLAN PROJECT MANAGEMENT DEC 201 3/20/2019 2747181957 E 100-05110-5005 5,411.25 GENERAL PLAN PROJECT MANAGEMENT JAN 201 3/20/2019 2747181963 E 100-05110-5005 3,948.75 GENERAL PLAN, PM CONSULTING SERVICES, GOO GRANT WRITING USA 3/22/2019 274810cc390009 E 100-05110-5033 595.00 MF: GRANT WRITING WORKSHOP FOR CMO STAF INTERCONTINENTAL SAN DIEGO 3/27/2019 274920cc390388 E 100-05110-5032 888.00 MF: LODGING AT LEAGUE'S 2019 CITY MGR CONF JSL DESIGN 3/27/2019 274920cc390270 E 100-05110-5031 27.00 MF: ADVANCING EDUC FOUNDATIONS MTG 1/31 LESLIE ARROYO 3/20/2019 27469002/27/19-03/01/19 E 100-05110-5031 1,411.10 EXPENSE REIMBURSEMENT - LA MIKE FUTRELL 3/29/2019 27495301/16/19-03/28/19 E 100-05110-5031 94.41 MF: EXPENSE REIMBURSEMENT 1/16 THRU 3/28/ MMANC 3/22/2019 274810cc389846 E 100-05120-5031 75.00 SB: MMANC MEMBERSHIP RENEWAL 2019 SAMMY'S PIZZA LAX AIRPORT 3/27/2019 274920cc390406 E 100-05110-5032 43.46 MF: DINNER AT LEAGUE'S CITY MGR CONF SAN DI SAN PEETS SAN DIEGO 3/27/2019 274920cc390408 E 100-05110-5032 10.80 MF: BRKFAST AT LEAGUE'S CITY MGR CONF SAN SQUIRE PATTON BOGGS (US) LLP 3/20/2019 27475410069644 E 100-05110-5005 7,516.61 FEDERAL LOBBYING SVCS - SQUIRE PATTON BOG STAPLES BUSINESS ADVANTAGE 3/27/2019 2749108053491702/4070242E 100-05110-5020 674.71 CMO OFFICE SUPPLIES 3/27/2019 2749108053491702/4070824E 100-05110-5020 75.98 SB: CMO OFFICE SUPPLIES 3/27/2019 2749108053491702/4070824E 100-05110-5020 32.09 CMO OFFICE SUPPLIES 3/27/2019 2749108053491702/4070824E 100-05110-5020 61.77 SB: CMO OFFICE SUPPLIES 3/27/2019 274920cc390385 E 100-05110-5020 115.77 MF: CMO OFFICE SUPPLIES TAXI SAN DIEGO 3/27/2019 274920cc390396 E 100-05110-5032 14.00 MF: TAXI SVCS AT LEAGUE'S CITY MGR CONF SAN YELLOW CAB SAN FRANCISCO 3/27/2019 274920cc390399 E 100-05110-5032 22.44 MF: TAXI SVCS AT LEAGUE'S CITY MGR CONF SAN Tuesday, April 2, 2019 Page 2 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco CITY MANAGER Payments issued for CITY MANAGER $30,104.37 COMMUNICATIONS AMERICAN LANGUAGE SERVICE 3/20/2019 274765cc389842 E 100-05130-5005 95.00 LA: FEB 2019 CITYWIDE NEWSLTR IN SPANISH CANVA.COM 3/20/2019 274765cc389798 E 100-05130-5001 12.95 LA: MONTHLY GRAPHIC DESIGN SUBSCRIPTION JA CONSTANT CONTACT, INC. 3/20/2019 274765cc389809 E 100-05130-5001 225.00 LA: EMAIL SUBSCRIPTION FOR SSF BUSINESS 2/19 DGI 3/20/2019 274765cc389800 E 100-05130-5005 500.00 LA: GRAPHIC DESIGN FOR CITYWIDE NEWSLTR FE DIVERGENT LAUGUAGE SOLUTIONS 3/22/2019 2747762018-1071 E 100-05130-5005 1,057.60 CHINESE TRANSLATION & GRAPHIC DESIGN/SSF N DROPBOX PLUS 3/20/2019 274765cc389796 E 100-05130-5001 99.00 LA: DROPBOX FILE STORAGE ANNUAL RENEWAL 2 GRAMMARLY 3/20/2019 274765cc3889797 E 100-05130-5001 139.95 LA: ANNUAL SUBSCRIPTION/CONTENT PRODUCTI INC ESSENCE PRINTING 3/29/2019 274951136992 E 100-05130-5025 1,638.75 EMPLOYEE NEWSLTR PRINTING MAR 2019, 6TH IS SPROUT SOCIAL 3/20/2019 274765cc389808 E 100-05130-5001 149.00 LA: SOCIAL MEDIA MONITORING FEB 2019 TRAVEL GUARD GROUP 3/20/2019 274765cc389807 E 100-05130-5032 26.88 LA: FLIGHT INSURANCE FOR ADVANCED PIO TRAI UNITED AIRLINES 3/20/2019 274765cc389805 E 100-05130-5032 413.60 LA: FLIGHT TO AUSTIN, TX FOR ADVANCED PIO TR Payments issued for COMMUNICATIONS $4,357.73 ECONOMIC & COMMUNITY DEVELOPMENT AMAZON MKTPLACE 3/22/2019 274810cc389873 E 100-10115-5045 257.26 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR 3/22/2019 274810cc389873 E 100-10520-5045 85.79 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR 3/22/2019 274810cc389873 E 222-10310-5045 54.99 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR CDW GOVERNMENT LLC 3/22/2019 274773RLR0488 E 100-10520-5045 731.86 ADOBE - BUILDING DIVISION CINTAS FIRST AID & SAFETY 3/29/2019 2749405013297337 E 100-10110-5020 85.96 CITY HALL -FIRST AID CABINET SUPPLY CSG CONSULTANTS INC 3/27/2019 27484623693 E 100-10520-5005 170.00 GENENTECH INSPECTION SVCS-B16-1800 3/27/2019 27484623696 E 100-10520-5005 1,020.00 GENENTECH INSPECTION SVCS, 1/26/19 TO 2/22/ 3/27/2019 274846B181387 E 100-10520-5005 22,807.99 GENENTECH PLAN CHEK REVIEW SVCS- FOR 11/1/ 3/27/2019 274846B190251-Rev. 1 E 100-10520-5005 11,097.75 GENENTECH PLAN CHECK REVIEW SVCS, 2/1/19 T 3/29/2019 27494323694 E 100-10520-5005 2,465.00 GENENTECH INSPECTION SVCS. 01/26/18-2/22/1 3/29/2019 27494323695 E 100-10520-5005 4,972.50 GENENTECH INSPECTION SVCS, 1/26/19 TO 2/22/ ERNESTO LUCERO 3/29/2019 27496203/07/2019 E 100-10110-5032 432.94 EL - STATEMENT OF EXP - 3.2019 HOUSING CALIFORNIA 3/29/2019 274989CC390490 E 100-10110-5032 485.00 IIM: 40TH ANNUYAL HOUSING CALIFORNIA CONF ICSC 3/29/2019 274989cc 390439 E 100-10115-5031 50.00 IIM: ICSC MEMBERSHIP DUES FOR EL JULIE BARNARD 3/20/2019 27469502/14/2019 E 100-10110-5032 1,481.85 STATEMENT OF EXP - JB (TRAVEL DATE - 03/27-2 Tuesday, April 2, 2019 Page 3 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco ECONOMIC & COMMUNITY DEVELOPMENT MEYERS, NAVE, RIBACK 3/22/2019 2747892019010399 E 100-10110-5005 205.80 227 GRAND AVENUE - MEYERS NAVE 3/22/2019 2747892019010400 E 100-10110-5005 47.40 201, 207, 217-219 GRAND - MEYERS NAVE SERVIC MICHAEL BAKER INTL, INC 3/27/2019 2748791040301 E 222-10310-5005 3,982.51 FY 18-19 CONSULTING SERVICES AGREEMENT WI 3/29/2019 2749661043284 E 100-10115-5005 685.00 FY 18-19 CONSULTING AGREEMENT WITH MICHA MICHAEL LAPPEN 3/20/2019 27472403/06/19-03/08/19 E 100-10110-5032 588.31 STATEMENT OF EXP. - MIKE LAPPPEN (03/06-08/2 MOM'S TOFU HOUSE 3/22/2019 274791SEP18-MAR19 E 100-10110-5005 6,437.83 MOM'S TOFU MOVING EXPENSES REIMBURSEME NEOPOST USA INC 3/20/2019 27474015672957 E 100-10410-5027 1.30 MAILING SUPPLIES-POSTAGE MACHINE 3/20/2019 27474015672957 E 100-10520-5027 0.15 MAILING SUPPLIES-POSTAGE MACHINE 3/20/2019 27474015672957 E 100-10110-5027 0.23 MAILING SUPPLIES-POSTAGE MACHINE OFFICE DEPOT INC 3/22/2019 274795279920451001 E 100-10110-5020 145.35 OFFICE SUPPLIES FOR ECD AND EDH (10 PEOPLE) 3/29/2019 274973279926311001 E 100-10110-5020 22.17 OFFICE SUPPLIES FOR ECD (2 PEOPLE) RSG, INC 3/22/2019 2747991004551 E 241-10880-5005 386.25 FY 17-18 AGREEMENT WITH RSG, INC. SKYLINE DISPLAYS BAY AREA INC 3/27/2019 274901SKYQ19245 E 100-10110-5030 24,185.00 BIO 2019 LA - FURNITURE RENTAL AND DISPLAY STAPLES BUSINESS ADVANTAGE 3/27/2019 2749108053491595 E 100-10520-5020 16.33 STAPLES BLDG OFFICE SUPPLIES ULI- URBAN LAND INSTITUTE 3/29/2019 274989cc 390487 E 100-10115-5031 807.00 IIM: ULI CONFERENCE REGISTRATION FOR DT WALGREENS 3/29/2019 274989cc 390441 E 100-10115-5020 1.44 IIM: PHOTOS FOR DISPLAY IN THE OFFICE WEST COAST CODE CONSULTANTS 3/27/2019 274928218-012-411-01 E 100-10520-5005 8,391.16 WC3 PLAN REVIEW SERVICES 3/27/2019 274928218-012-411-05 E 100-10520-5005 2,860.00 ADMIN SERVICES FOR TABITHA ROMERO 12/01/1 3/27/2019 274928219-01-411-01 E 100-10520-5005 166,254.77 WC3 PLAN REVIEW SERVICES FOR 01/01 TO 01/3 3/27/2019 274928219-01-411-03 E 100-10520-5005 12,800.00 WC3 INSPECTION SERVICES CHUCK VENOOK FOR 3/27/2019 274928219-01-411-04 E 100-10520-5005 4,420.00 WC3 BUILDING INSPECTION SERVICES JEFF RIGLE 3/29/2019 274994218-012-411-03 E 100-10520-5005 19,720.00 WC3 INSPECTION SERVICES JEFF RIGLER/ CHUCK 3/29/2019 274994219-01-411-05 E 100-10520-5005 10,400.00 WC3 PERMIT TECHNICIAN TABITHA ROMERO 01/ Payments issued for ECONOMIC & COMMUNITY DEVELOPMENT $308,556.89 FINANCE CINTAS FIRST AID & SAFETY 3/29/2019 2749405013297337 E 100-06110-5021 85.97 CITY HALL -FIRST AID CABINET SUPPLY MUNISERVICES, LLC 3/20/2019 274739INV06-004447 E 100-06210-5001 100.00 CAFR REPORT NOV 2018 NEOPOST USA INC 3/20/2019 27474015672957 E 100-06210-5027 6.84 MAILING SUPPLIES-POSTAGE MACHINE Payments issued for FINANCE $192.81 Tuesday, April 2, 2019 Page 4 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco FIRE AIRGAS USA, LLC 3/20/2019 2746809085958969 E 100-11610-5021 354.66 EMS SUPPLIES 3/20/2019 2746809086277478 E 100-11610-5021 354.66 EMS SUPPLIES 3/20/2019 2746809960377900 E 100-11610-5021 185.65 EMS SUPPLIES 3/20/2019 2746809960377901 E 100-11610-5021 366.75 EMS SUPPLIES AMAZON.COM 3/27/2019 274920CC390039 E 100-11310-5021 37.83 KA-BOOKS, PUBLICATIONS, LIBRARY MATERIALS 3/27/2019 274920CC390039 E 100-11610-5022 508.98 KA-BOOKS, PUBLICATIONS, LIBRARY MATERIALS 3/27/2019 274920CC390045 E 100-11610-5021 16.99 KA- OPERATING SUPPLIES ARAMARK UNIFORM SERVICES 3/20/2019 274688760109154 E 100-11710-5021 51.00 OPERATING SUPPLIES BOX.COM 3/27/2019 274920cc390044 E 100-11310-5021 45.00 KA- OPERATING SUPPLIES CDF/STATE FIRE TRAINING 3/27/2019 27484003262019 E 100-11720-5033 40.00 STAFF DEVELOPMENT STATE FIRE TRAINING CDW GOVERNMENT LLC 3/22/2019 274773RMB9855 E 100-11710-5045 177.55 SOFTWARE - MS VISIO - FIRE DEPT. 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AGS GEOSPATIAL, INC. - 3/27/2019 27482218 E 785-16110-5005 7,150.00 GIS MAPPING SERVICES - AGS GEOSPATIAL, INC. - AMAZON MKTPLACE 3/22/2019 274810cc389873 E 785-16110-5042 0.71 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR 3/22/2019 274810cc389873 E 785-16110-5021 84.31 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR 3/22/2019 274810cc390060 E 785-16110-5041 207.56 DW-PEG CHANNEL SUPPLIES BEST BUY 3/22/2019 274810CC389985 E 785-16110-5041 43.49 KEYBOARD FOR COUNCIL CHAMBERS - JD BITS4BYTE 3/29/2019 274938ssf_01 E 785-16110-5061 8,036.07 SERVERS FOR POLICE DEPARTMENT BMC SOFTWARE, INC 3/22/2019 2747711324963 E 785-16110-5040 2,922.23 TRACK-IT ANNUAL SUPPORT MAINTENANCE - EXP CLOUDFARE INC. 3/22/2019 274810CC389984 E 785-16110-5040 200.00 WEBSITE PROTECTION - SSF.NET - JD COSTCO 3/22/2019 274810CC389990 E 785-16110-5020 50.36 OFFICE SUPPLIES - JD Tuesday, April 2, 2019 Page 7 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco INFORMATION TECHNOLOGY CUES 3/29/2019 274944529526 E 785-16110-5040 1,800.00 ANNUAL RENEWAL GRANITE XP SOFTWARE DANIEL WOLDEMICHAEL 3/29/2019 27499501/31/2019 E 785-16110-5031 118.32 MILEAGE REIMBURSEMENT - 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IT STAFF READYREFRESH 3/29/2019 27497719C0023270820 E 785-16110-5020 56.65 DRINKING WATER & COOLER RENTAL - IT DEPART SMART & FINAL STORES LLC 3/22/2019 274810CC389953 E 785-16110-5021 11.78 OFFICE SUPPLIES - JD 3/22/2019 274810CC390018 E 785-16110-5033 15.78 PROFESSIONAL DEVELOPMENT-CITYWIDE EXCEL SOLARWINDS, INC 3/22/2019 274802IN423367 E 785-16110-5040 1,985.00 ANNUAL MAINTENACE RENEWAL - PATCHMANA TYLER TECHNOLOGIES INC 3/29/2019 274988025-254077 E 785-16110-5040 200.00 MONTHLY MAINTENANCE FEE - MYCIVIC APP - FE 3/29/2019 274988025-254092 E 785-16110-5040 200.00 MONTHLY MAINTENANCE FEE - MYCIVIC APP - M 3/29/2019 274988025-254126 E 785-16110-5040 200.00 MONTHLY MAINTENANCE FEE - MYCIVIC APP - AP UTILITY TELEPHONE, INC 3/22/2019 274814128202 E 785-16110-5071 1,447.56 CITY INTERNET AND TRANSPORT CHARGES WAVEDIVISION HOLDINGS, LLC 3/22/2019 2748168136 35 051 0095333 E 785-16110-5001 56.00 CABLE SERVICES - 329 MILLER AVE. - IT & PD 3/29/2019 27499308308943 E 785-16110-5040 1,000.00 REDUNDANT INTERNET AND FIBER CIRCUIT Payments issued for INFORMATION TECHNOLOGY $60,725.17 LIBRARY AMAZON CAPITAL SERVICES, INC. 3/20/2019 2746841XF9-HQP1-KCFF E 100-15430-5020 20.69 OFFICE SUPPLY 3/20/2019 2746841YDK-KHVT-T6RQ E 100-15430-5020 9.48 OFFICE SUPPLY ANTIGUA COFFEE SHOP 3/20/2019 274765CC389323 E 100-15110-5031 122.12 LIBRARY STAFF MEETING - PLANNING AND NEW 3/20/2019 274765CC389331 E 100-15110-5031 55.73 GRAND LIBRARY STAFF MEETING (6) - AT BAKER & TAYLOR INC 3/20/2019 274694L1105694 E 100-15999-5999 517.02 BOOKS - LEARNING WHEELS 3/27/2019 274832L1084154 E 100-15220-5022 3,517.49 BOOKS - JUV 3/27/2019 274832L1123914 E 100-15310-5022 690.89 BOOKS Tuesday, April 2, 2019 Page 8 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco LIBRARY BAKER & TAYLOR INC 3/27/2019 274832L1123914 E 100-15210-5022 3,112.12 BOOKS 3/27/2019 274832L1123914 E 100-15999-5999 233.87 BOOKS 3/27/2019 274832L1161034 E 100-15310-5022 48.81 BOOKS 3/27/2019 274832L1161034 E 100-15210-5022 166.06 BOOKS 3/27/2019 274832L1236954 E 100-15220-5022 84.40 BOOKS - JUV 3/27/2019 274832L4317184 E 100-15210-5022 430.14 BOOKS 3/27/2019 274832L4317564 E 100-15310-5022 115.28 BOOKS - GRAND COSTCO 3/20/2019 274765CC389328 E 100-15999-5999 658.10 AFTERSCHOOL SNACKS HOMEWORK CLUB - AP 3/20/2019 274765CC389633 E 100-15999-5999 399.61 KM - CHILDCARE PROGRAM SUPPLIES 3/20/2019 274765CC389682 E 100-15999-5999 589.66 KM - SUPPLIES FOR AFTERSCHOOL PROGRAM 3/20/2019 274765CC389690 E 100-15999-5999 589.66 KM - CHILDCARE PROGRAM SUPPLIES DINAPOLI PIZZERIA & RESTAURANT3/20/2019 274765CC389325 E 100-15430-5031 85.25 AP - REFRESHMENT FOR STAFF GOODBYE DISCOUNT SCHOOL SUPPLY 3/20/2019 274765CC388925 E 100-15320-5030 124.58 PROGRAM SUPPLIES - GRAND AVENUE LIBRARY - 3/20/2019 274765CC389326 E 100-15320-5030 8.71 AT - PROGRAM SUPPLIES - GRAND AVENUE LIBRA DOLLAR TREE STORE 3/20/2019 274765CC389329 E 100-15310-5030 10.61 VALENTINE PROGRAM SUPPLIES - AT FOUNDATION CENTER 3/27/2019 274920CC390174 E 100-15230-5019 199.99 AE - FOUNDATION CENTER SUBSCRIPTION - PROF GOOGLE.COM 3/20/2019 274765CC389330 E 100-15110-5030 81.00 GRAND AVE LIBRARY PROGRAM SUPPLIES - AT LIBRARYHOST, LLC 3/20/2019 2747291266 E 100-15110-5001 749.00 LIBRARY HOST ARCHIVE SPACE FOR GRAND LIBRA MASE GROUP LLC 3/20/2019 27473200342 E 100-15110-5001 209.70 DVD LABELING SERVICE 3/20/2019 27473200343 E 100-15110-5001 180.55 DVD LABELING SERVICE MELISA MENDOZA 3/27/2019 27487812/08/18-03/03/19 E 100-15110-5031 102.72 STATEMENT OF EXPENSE - M. MENDOZA NEOPOST USA INC 3/20/2019 27474015672957 E 100-15410-5027 0.10 MAILING SUPPLIES-POSTAGE MACHINE 3/20/2019 27474015672957 E 100-15110-5027 1.37 MAILING SUPPLIES-POSTAGE MACHINE OFFICE DEPOT INC 3/20/2019 274765CC389662 E 100-15999-5020 224.42 PROGRAM SUPPLIES - STEM - KB 3/22/2019 274795277620355001 E 100-15430-5021 65.64 PROGRAM / VOLUNTEER SUPPLIES 3/22/2019 274795283675009001 E 100-15999-5021 91.28 PROGRAM SUPPLIES - HWC 3/27/2019 274883281037048001 E 100-15110-5020 57.36 GRAND AVE LIBRARY - OFFICE SUPPLIES PAYPAL 3/20/2019 274765CC389111 E 100-15110-5021 29.79 EM-IPAD CHARGER FOR PUBLIC IPADS PENINSULA LIBRARY SYSTEM 3/20/2019 27474512705 E 100-15110-5021 80.58 BACKSTAGE- MARS AUTHORITY CONTROL NOV 20 3/20/2019 27474512716 E 100-15230-5019 768.91 PROQUEST SAFARI TECH BOOKS SHARED COLLECT 3/20/2019 27474512720 E 100-15110-5001 877.10 UNIQUE MANAGEMENT - DEBT COLLECTOR OCT- 3/20/2019 27474512735 E 100-15110-5001 3,737.38 CENIC CHARGES JUL-SEP FOR MAIN AND GRAND Tuesday, April 2, 2019 Page 9 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco LIBRARY PENINSULA LIBRARY SYSTEM 3/27/2019 27488712744 E 100-15110-5001 79.53 BACKSTAGE- MARS AUTHORITY CONTROL- JAN 20 3/27/2019 27488712747 E 100-15110-5004 401.53 INTERNET ARCHIVE RUN 3/27/2019 27488712756 E 100-15230-5019 15,106.71 GALE DATABASE 18/19 - REVISED INVOICE READYREFRESH 3/22/2019 27479819C5745298009 E 100-15430-5021 79.61 WATER COOLER RENTAL/REFILL RECORDED BOOKS, INC. 3/27/2019 27489376187997 E 100-15310-5043 107.66 A/V 3/27/2019 27489376188065 E 100-15210-5043 107.66 A/V 3/27/2019 27489376196687 E 100-15310-5043 170.95 A/V 3/27/2019 27489376197076 E 100-15210-5043 170.95 A/V ROYAL PIN DONUTS 3/20/2019 274765CC389324 E 100-15110-5031 14.75 LIBRARY STAFF MEETING - PLANNING AND NEW SOUTH CITY DISCOUNT OUTLET 3/20/2019 274765CC389666 E 100-15999-5020 19.15 HOMEWORK CLUB PROGRAM SUPPLIES - KB STAPLES BUSINESS ADVANTAGE 3/20/2019 2747568053491609 E 100-15110-5021 74.33 OFFICE SUPPLIES 3/20/2019 2747568053491609 E 100-15999-5999 80.82 OFFICE SUPPLIES 3/22/2019 2748058053491619 E 100-15999-5021 560.34 PROGRAM & OFFICE SUPPLIES 3/22/2019 2748058053491619 E 100-15430-5021 106.79 PROGRAM & OFFICE SUPPLIES 3/27/2019 2749108053491589 E 100-15320-5030 128.18 OFFICE SUPPLIES / PROGRAM SUPPLIES 3/27/2019 2749108053491589 E 100-15110-5020 96.29 OFFICE SUPPLIES / PROGRAM SUPPLIES SURVEY MONKEY 3/27/2019 274920CC390183 E 100-15230-5019 37.00 AE - SURVEY MONKEY STANDARD MONTHLY PLA THE GALE GROUP, INC 3/27/2019 27491666731685 E 100-15210-5022 205.13 BOOKS 3/27/2019 27491666739815 E 100-15210-5022 46.13 BOOKS Payments issued for LIBRARY $36,640.68 NON-DEPARTMENTAL AT&T 3/20/2019 2746919391060747 E 781-07210-5071 114.42 PHONE CHARGES 3/20/2019 2746919391060749 E 781-07210-5071 396.67 PHONE CHARGES 3/20/2019 2746919391060750 E 781-07210-5071 827.32 PHONE CHARGES 3/20/2019 2746919391060755 E 781-07210-5071 137.85 PHONE CHARGES 3/20/2019 2746919391060756 E 781-07210-5071 134.95 PHONE CHARGES 3/20/2019 2746919391060761 E 781-07210-5071 41.43 PHONE CHARGES 3/20/2019 2746919391060842 E 781-07210-5071 58.49 PHONE CHARGES 3/20/2019 2746919391060843 E 781-07210-5071 29.00 PHONE CHARGES 3/20/2019 2746919391060844 E 781-07210-5071 26.49 PHONE CHARGES 3/20/2019 2746919391060845 E 781-07210-5071 695.55 PHONE CHARGES Tuesday, April 2, 2019 Page 10 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco NON-DEPARTMENTAL AT&T 3/20/2019 2746919391060869 E 781-07210-5071 492.74 PHONE CHARGES 3/20/2019 2746919391060870 E 781-07210-5071 480.86 PHONE CHARGES 3/20/2019 2746919391060972 E 781-07210-5071 62.82 PHONE CHARGES 3/20/2019 2746919391060974 E 781-07210-5071 155.84 PHONE CHARGES 3/20/2019 2746919391060976 E 781-07210-5071 647.97 PHONE CHARGES 3/20/2019 2746919391061122 E 781-07210-5071 228.76 PHONE CHARGES 3/20/2019 2746919391062505 E 781-07210-5071 29.07 PHONE CHARGES 3/20/2019 2746929391060855 E 781-07210-5071 3,053.97 PHONE CHARGES 3/20/2019 2746929391060926 E 781-07210-5071 858.98 PHONE CHARGES 3/20/2019 2746929391060935 E 781-07210-5071 836.90 PHONE CHARGES CALIFORNIA WATER SERVICE CO 3/29/2019 2749390982104814 E 781-07210-5073 122.14 WATER SERVICE 3/29/2019 2749394635141659 E 781-07210-5073 593.04 WATER SERVICE COMCAST CABLE COMMUNICATION IN3/20/2019 2747018155 20 044 0076067 E 781-07210-5071 89.47 INTERNET SERVICE/MODEM RENTAL 3/20/2019 2747018155 20 044 0695734 E 781-07210-5071 69.50 BUSINESS INTERNET/VOICE SERVICE DKS ASSOCIATES 3/27/2019 2748500065926 E 784-07511-5005 7,575.84 ELECTRICAL VEHICLE CHARGING STATION MASTE 3/27/2019 2748500066439 E 784-07511-5005 6,095.00 ELECTRICAL VEHICLE CHARGING STATION IMPACT TELECOM 3/29/2019 274955608678304 E 781-07210-5071 562.72 LD PHONE CHARGES-ACCT 5202925098 KAISER FOUNDATION HEALTH PLAN 3/22/2019 274787APR 2019 E 783-00000-4342 134,095.79 APR 2019 KAISER PERMANENTE HEALTHCARE PR 3/22/2019 274787APR 2019 E 783-00000-4341 232,228.01 APR 2019 KAISER PERMANENTE HEALTHCARE PR NEOPOST USA INC 3/20/2019 27474015672957 E 100-07110-5027 0.01 MAILING SUPPLIES-POSTAGE MACHINE PACIFIC GAS & ELECTRIC COMPANY3/20/2019 2747430093316219-0 E 781-07210-5070 10.51 GAS/ELECTRIC SERVICE 3/20/2019 2747430285235090-5 E 781-07210-5070 304.76 GAS/ELECTRIC SERVICE 3/20/2019 2747430379629797-0 E 781-07210-5070 95.90 GAS/ELECTRIC SERVICE 3/20/2019 2747431936382234-7 E 781-07210-5070 19.72 GAS/ELECTRIC SERVICE 3/20/2019 2747432500898977-1 E 781-07210-5070 53.33 GAS/ELECTRIC SERVICE 3/20/2019 2747432814692974-1 E 781-07210-5070 103.39 GAS/ELECTRIC SERVICE 3/20/2019 2747432900060739-9 E 781-07210-5070 22.77 GAS/ELECTRIC SERVICE 3/20/2019 2747433084158901-0 E 781-07210-5070 41.23 GAS/ELECTRIC SERVICE 3/20/2019 2747434575602530-5 E 781-07210-5070 10.17 GAS/ELECTRIC SERVICE 3/20/2019 2747435177240092-8 E 781-07210-5070 394.00 GAS/ELECTRIC SERVICE 3/20/2019 2747435534400076-9 E 781-07210-5070 27.06 GAS/ELECTRIC SERVICE 3/20/2019 2747435961515715-9 E 781-07210-5070 50.33 GAS/ELECTRIC SERVICE Tuesday, April 2, 2019 Page 11 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco NON-DEPARTMENTAL PACIFIC GAS & ELECTRIC COMPANY3/20/2019 2747436035223249-4 E 781-07210-5070 312.28 GAS/ELECTRIC SERVICE 3/20/2019 2747436846819681-8 E 781-07210-5070 84.95 GAS/ELECTRIC SERVICE 3/20/2019 2747437036130873-0 E 781-07210-5070 130.00 GAS/ELECTRIC SERVICE 3/20/2019 2747437785237739-7 E 781-07210-5070 124.62 GAS/ELECTRIC SERVICE 3/20/2019 2747438177181277-3 E 781-07210-5070 72.68 GAS/ELECTRIC SERVICE 3/20/2019 2747438701065497-5 E 781-07210-5070 75.26 GAS/ELECTRIC SERVICE 3/20/2019 2747445908002015-5 E 781-07210-5070 88,857.18 ELECTRIC SERVICE-WQCP 3/20/2019 2747448634831335-3 E 781-07210-5070 1,142.51 GAS SERVICE-WQCP 3/29/2019 2749741809759572-4 E 781-07210-5070 1,835.34 GAS/ELECTRIC SERVICE 3/29/2019 2749741886610157-1 E 781-07210-5070 960.72 GAS/ELECTRIC SERVICE 3/29/2019 2749741944978060-0 E 781-07210-5070 29.95 GAS/ELECTRIC SERVICE 3/29/2019 2749744836977850-0 E 781-07210-5070 146.32 GAS/ELECTRIC SERVICE 3/29/2019 2749745053123842-1 E 781-07210-5070 9.24 GAS/ELECTRIC SERVICE 3/29/2019 2749749473336735-6 E 781-07210-5070 67.04 GAS/ELECTRIC SERVICE PREFERRED BENEFIT INS ADM-PBIA3/20/2019 274748EIA27640 E 783-00000-4341 65,477.03 MARCH 2019 DENTAL & VISION CLAIMS & ADMIN TOTAL ADMINISTRATIVE SVCS CORP3/20/2019 274762IN1473974 E 783-00000-4342 250.00 2019 PLAN ADMINISTRATION FEE TOWNSEND PUBLIC AFFAIRS, INC. 3/22/2019 27480814457 E 100-07888-5061 5,000.00 JAN 2019 GRANT CONSULTING SVCS BY TOWNSE 3/22/2019 27480814547 E 100-07888-5061 5,000.00 FEB 2019 GRANT CONSULTING SVCS BY TOWNSE TRISTAR RISK MANAGEMENT 3/27/2019 274918106635 E 782-07410-5081 15,545.88 WORKER'S COMPENSATION LOSS REPLENISHMEN 3/27/2019 27491996918 E 782-07410-5081 15,935.00 APRIL 2019 WORKER'S COMP CLAIMS ADMIN SER UTILITY TELEPHONE, INC 3/20/2019 274766126848 E 781-07210-5071 181.04 LD PHONE CHARGES WESTBOROUGH WATER DISTRICT 3/22/2019 274817SSF0001-53 E 781-07210-5073 7,196.34 WATER SERVICE Payments issued for NON-DEPARTMENTAL $600,308.15 PARKS & RECREATION ACE FIRE EQUIPMENT & SVC CO 3/27/2019 27481812999 E 100-17410-5005 799.15 FIRE EXT. MAINT @ CORP YARD 3/27/2019 27481813301 E 100-17420-5050 568.59 FIRE EXT. MAINT @ ALL FIRE STATIONS ALL INDUSTRIAL ELECTRIC SUPPLY3/27/2019 2748255202457 E 100-17420-5050 105.43 ELECTRICAL SUPPLIES ALPINE AWARDS 3/27/2019 2748285533449 E 100-17240-5021 1,152.68 YOUTH BASEBALL PINS AMAZON MKTPLACE 3/20/2019 274765CC389667 E 100-17275-5021 30.96 KM - AFTERSCHOOL SUPPLIES FOR PONDEROSA 3/20/2019 274765CC389669 E 100-17275-5021 34.96 KM - PROGRAM SUPPLIES FOR SUMMER CAMP 3/22/2019 274810CC389678 E 100-17320-5050 68.89 GM: PARKS SUPPLIES Tuesday, April 2, 2019 Page 12 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PARKS & RECREATION AMAZON.COM 3/20/2019 274765cc389831 E 100-17275-5022 24.14 LA-PROGRAM SUPPLIES 3/22/2019 274810CC389825 E 100-17275-5021 39.12 PROGRAM SUPPLIES - FR 3/22/2019 274810CC389827 E 100-17270-5021 14.99 PROGRAM SUPPLIES - FR 3/22/2019 274810CC389943 E 100-17275-5021 17.57 AFTERSCHOOL PROGRAM SUPPLIES - EE - 3/22/2019 274810CC389947 E 100-17275-5021 44.31 AFTERSCHOOL PROGRAM SUPPLIES - EE ARAMARK UNIFORM SERVICES 3/22/2019 274770760111511 E 100-17320-5034 314.97 WEEKLY UNIFORM SERVICE 3/27/2019 274830760122910 E 100-17320-5034 354.97 WEEKLY UNIFORM SERVICE 3/27/2019 274830760134414 E 100-17320-5034 316.22 WEEKLY UNIFORM SERVICE ART'S PENINSULA LOCKSMITH 3/27/2019 274831444429 E 100-17320-5050 803.58 PARKS DIV - KEYS 3/27/2019 274831444433 E 100-17320-5050 285.00 PARKS DIV - KEYS BAREBONES 3/22/2019 274810CC389231 E 100-17320-5050 144.00 JR: PARKS DIV SUPPLIES BRENTWOOD BOWL 3/20/2019 274765cc389829 E 100-17275-5061 210.00 LA-PROGRAM SUPPLIES BROADMOOR LUMBER & PLYWOOD CO 3/27/2019 27483550501 E 100-17320-5050 29.50 PARKS DIV - OPER SUPP CA PARKS & RECREATION SOCIETY 3/27/2019 274920CC390368 E 100-17110-5050 900.00 DS-2019 CPRS CONFERENCE & EXPO REGISTRATI CCN JOB FAIRESERVICES 3/20/2019 274765CC389743 E 100-17275-5033 45.00 KM - CHILDCARE PROGRAM SUPPLIES CITY MECHANICAL INC 3/27/2019 27484553296 E 100-17420-5050 873.26 HVAC REPAIR @ CLC 3/27/2019 27484553297 E 100-17420-5050 1,035.70 HVAC REPAIR @ GRAND AVE LIBRARY 3/27/2019 27484553298 E 100-17420-5050 1,085.46 HVAC REPAIR @ FERNEKES BLDG 3/27/2019 27484553301 E 100-17420-5050 1,511.44 HVAC REPAIR @ CITY HALL 3/27/2019 27484553302 E 100-17420-5050 563.67 HVAC REPAIR @ CITY HALL ANNEX 3/27/2019 27484553303 E 100-17420-5050 1,138.90 HVAC REPAIR @ W.ORANGE LIBRARY 3/27/2019 27484553304 E 100-17420-5050 1,197.59 HVAC REPAIR @ TERRABAY 3/27/2019 27484553305 E 100-17420-5050 1,247.99 HVAC REPAIR @ FIRE STATION 61 3/27/2019 27484553306 E 100-17420-5050 800.41 HVAC REPAIR @ MSB - FIRE DEPT. DEC 3/27/2019 27484553307 E 100-17420-5050 800.41 HVAC REPAIR @ MSB - DISPATCH DEPT - DEC 3/27/2019 27484553366 E 100-17420-5050 1,944.84 HVAC REPAIR @ MAGNOLIA 3/27/2019 27484553381 E 100-17420-5050 2,980.33 HVAC REPAIR @ CORP YARD 3/27/2019 27484553397 E 100-17420-5050 1,992.97 HVAC REPAIR @ OMP POOL 3/27/2019 27484553425 E 100-17420-5050 1,318.40 HVAC REPAIR @ CORP YARD CONSTANT CONTACT, INC. 3/27/2019 274920CC390386 E 100-17110-5050 195.00 GM: E-MARKETING MONTHLY SERVICE COSTCO 3/20/2019 274765CC389618 E 100-17275-5021 329.75 KM - CHILDCARE PROGRAM SUPPLIES 3/20/2019 274765CC389692 E 100-17275-5021 445.14 KM - CHILDCARE PROGRAM SUPPLIES Tuesday, April 2, 2019 Page 13 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PARKS & RECREATION COSTCO 3/20/2019 274765CC389752 E 100-17275-5021 414.86 KM - AFTERSCHOOL PROGRAM SUPPLIES 3/20/2019 274765cc389810 E 100-17275-5021 454.09 CR-PROGRAM SUPPLIES 3/27/2019 274920CC389665 E 100-17310-5033 153.63 MP: PARKS SAFETY MGT LUNCH (25) CRAIGSLIST 3/20/2019 274765CC389630 E 100-17275-5033 75.00 KM - CHILDCARE JOB POSTING DANELE DIXON 3/20/2019 27470902/13/2019 E 100-17275-5021 245.73 EMPLOYEE REIMBURSEMENT - SUPPLIES - CHILDC DAN'S DRILLING & FENCING INC 3/29/2019 274947301191 E 100-17970-5061 18,050.00 BALLFIELD DUGOUT CANOPIES/REPAIRS DH DISTRIBUTION 3/29/2019 27494812479 E 100-17320-5050 360.20 OMP TENNIS COURT SUPPLIES DICK'S SPORTING GOODS 3/27/2019 274920CC390088 E 100-17310-5005 54.36 GM: PARKS DIV SUPPLIES DIDDAMS PARTY & TOY STORE 3/20/2019 274765cc389832 E 100-17275-5022 22.80 LA-PROGRAM SUPPLIES DISCOUNT SCHOOL SUPPLY 3/20/2019 274708W33343980102 E 100-17275-5021 623.24 WESTBOROUGH PRESCHOOL SUPPLIES DOGPOOPBAGS.COM LLC 3/29/2019 2749497455 E 100-17320-5050 3,000.00 PARKS DIV - SUPPLIES DOLLAR TREE STORE 3/20/2019 274765CC389768 E 100-17275-5021 17.73 DD - PROGRAM SUPPLIES 3/20/2019 274765cc389806 E 100-17275-5021 6.81 CR-PROGRAM SUPPLIES 3/20/2019 274765cc389811 E 100-17275-5021 16.64 CR-PROGRAM SUPPLIES 3/20/2019 274765cc389813 E 100-17275-5021 50.26 CR-PROGRAM SUPPLIES EWING IRRIGATION PRODUCTS INC 3/20/2019 2747116416239 E 231-17531-5050 518.10 PARKS DIV - SUPPLIES 3/20/2019 2747116416239 E 100-17320-5050 518.11 PARKS DIV - SUPPLIES 3/29/2019 2749526935056 E 100-17970-5061 5,173.54 PARKS DIV - SUPPLIES FLOW TEC INC 3/27/2019 27486033762 E 100-17420-5050 665.00 PLUMBING SUPPLIES FORESTRY SUPPLIERS INC 3/27/2019 274920CC390075 E 100-17320-5050 45.86 GM: ARBORIST TAPE INDEED 3/20/2019 274765cc389830 E 100-17275-5033 13.85 LA-STAFF DEVELOPMENT KAISER PERMANENTE - OHSS 3/29/2019 274957320900248601 E 100-17310-5036 967.00 MARCH 2019 PRE-EMPLOYMENT PHYSICAL LAKESHORE LEARNING MATERIALS 3/20/2019 274765CC399774 E 100-17999-5999 93.15 BIG LIFT PROGRAM SUPPLIES - DG LOWE'S CREDIT SERVICES 3/20/2019 274765CC386914 E 100-17275-5021 25.93 KM - AFTERSCHOOL MAINTENANCE SUPPLIES 3/20/2019 274765cc389814 E 100-17275-5021 13.02 CR-PROGRAM SUPPLIES 3/22/2019 274788902119 E 100-17320-5050 36.95 PARKS DIV - BAT RACKS 3/27/2019 274872902249 E 100-17420-5050 12.96 W ORANGE LIBRARY - SUPPLIES 3/27/2019 274872902560 E 100-17420-5050 26.84 CITY HALL - SUPPLIES 3/27/2019 274872902962 E 100-17320-5050 80.07 PARKS DIV - BAT RACKS 3/27/2019 274872903757 E 100-17420-5050 28.13 CORP YARD - SUPPLIES 3/27/2019 274872903814 E 100-17420-5050 33.72 MAGNOLIA - SUPPLIES 3/27/2019 274872929449 E 100-17420-5050 20.01 W ORANGE LIBRARY - SUPPLIES Tuesday, April 2, 2019 Page 14 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PARKS & RECREATION LOWE'S CREDIT SERVICES 3/27/2019 274872984463-984464 E 100-17420-5050 996.43 FIRE STATION 65 - SUPPLIES 3/29/2019 274961902739 E 100-17320-5050 107.45 PARKS DIV - SUPPLIES 3/29/2019 274961902910 E 100-17320-5050 19.24 PARKS DIV - SUPPLIES 3/29/2019 274961902945 E 100-17320-5050 8.72 PARKS DIV - SUPPLIES 3/29/2019 274961903105 E 100-17320-5050 224.28 PARKS DIV - SUPPLIES 3/29/2019 274961903234 E 100-17320-5050 10.70 PARKS DIV - OPER SUPP 3/29/2019 274961903659 E 100-17320-5050 18.40 PARKS DIV - SUPPLIES MICHAEL'S 3/20/2019 274765CC386622 E 100-17275-5021 20.31 KM - CHILDCARE PROGRAM SUPPLIES 3/20/2019 274765cc389812 E 100-17275-5021 29.96 CR-PROGRAM SUPPLIES 3/22/2019 274810CC389823 E 100-17275-5021 31.24 PROGRAM SUPPLIES - CR 3/22/2019 274810CC389944 E 100-17275-5021 11.36 PROGRAM SUPPLIES - EE - 3/22/2019 274810CC389948 E 100-17275-5021 53.84 CHILDCARE PROGRAM SUPPLIES - EE MIKE MULKERRINS 3/29/2019 27497003/01/2019 E 100-17250-5021 360.00 EMPLOYEE REIMB. FOR RENTAL SUPPLIES - M. M MILT'S SIGN SERVICE INC 3/27/2019 27488011882 E 100-17110-5021 290.10 NAME PLATES FOR P&R COMMISSIONER AND CU MOSS RUBBER & EQUIPT CORP 3/22/2019 274792CA94-944339 E 100-17320-5050 169.61 PARKS DIV - SUPPLIES 3/29/2019 274969CA94-944589 E 100-17320-5034 259.85 PARKS DIV - SUPPLIES 3/29/2019 274969CA94-944785 E 100-17320-5034 33.04 PARKS DIV - SUPPLIES NEOPOST USA INC 3/20/2019 27474015672957 E 100-17310-5027 0.26 MAILING SUPPLIES-POSTAGE MACHINE 3/20/2019 27474015672957 E 100-17110-5027 8.12 MAILING SUPPLIES-POSTAGE MACHINE NEWEGG 3/27/2019 274920CC389681 E 100-17970-5061 1,020.36 GM: BAT RACKS FOR BALLFIELDS PACIFIC NURSERIES 3/27/2019 274884SI-396644 E 100-17320-5050 152.25 PLANT SUPPLIES PARKPACIFIC INC 3/29/2019 274975022580 E 100-17320-5050 2,689.51 PARKS DIV - SUPPLIES PREFERRED ALLIANCE, INC 3/20/2019 2747470146127-IN E 100-17310-5039 86.00 FEBRUARY 2019 PRE-EMPLOYMENT & RANDOM READYREFRESH 3/22/2019 27479809C0030587026 E 100-17110-5021 58.61 BOTTLED WATER SVC FOR MSB ADMIN OFFICE REFRIGERATION SUPPLIES DISTRIB3/27/2019 27489439259237-00 E 100-17420-5050 -198.44 CITY FAC - OPER SUPP 3/27/2019 27489439259550-00 E 100-17420-5050 368.69 FAC DIV - OPER SUPP - MONTE VERDE 3/27/2019 27489439259946-00 E 100-17420-5050 227.24 FAC DIV - OPER SUPP - MAGNOLIA RINNTECH INC 3/22/2019 274810CC389232 E 100-17320-5005 987.00 JR: PARKS DIV SUPPLIES ROSS STORES 3/20/2019 274765CC389776 E 100-17999-5999 18.38 BIG LIFT PROGRAM SUPPLIES - DG SAN MATEO LAWNMOWER INC. 3/27/2019 274898189913 E 100-17320-5050 182.13 PARKS DIV - SUPPLIES 3/27/2019 274898189956 E 100-17340-5050 555.44 PARKS DIV - SUPPLIES 3/27/2019 274898189958 E 100-17340-5050 110.45 PARKS DIV - SUPPLIES Tuesday, April 2, 2019 Page 15 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PARKS & RECREATION SAN MATEO LAWNMOWER INC. 3/27/2019 274898190083 E 100-17320-5050 163.32 PARKS DIV - SUPPLIES SMART & FINAL STORES LLC 3/20/2019 274765CC389611 E 100-17275-5021 10.68 KM - AFTERSCHOOL PROGRAM SUPPLIES 3/22/2019 274800018098 E 100-17275-5021 125.26 SUPPLIES FOR PONDEROSA AFTERSCHOOL BBQ. 3/22/2019 274800021191 E 100-17275-5021 105.08 MONTE VERDE AFTERSCHOOL PROGRAM SNACKS 3/22/2019 274800023511 E 100-17111-5061 111.14 EVENT SUPPLIES 3/22/2019 274800024560 E 100-17275-5021 36.94 MONTE VERDE AFTERSCHOOL PROGRAM SNACKS 3/22/2019 274800025282 E 100-17111-5021 26.97 CULTURAL ARTS EVENT SUPPLIES 3/22/2019 274800036045 E 100-17275-5021 166.71 MONTE VERDE SCHOOL AFTERSCHOOL PROGRA 3/27/2019 274920CC389657 E 100-17320-5050 55.83 MP: GARDINER PARK WORKSHOP (25) SOUTH CITY LUMBER AND SUPPLY 3/22/2019 274804969367 E 100-17320-5050 19.62 PARKS DIV - OPER SUPP 3/22/2019 274804969415 E 100-17320-5050 2.51 PARKS DIV - OPER SUPP 3/22/2019 274804969445 E 100-17320-5050 29.49 PARKS DIV - OPER SUPP 3/22/2019 274804969476 E 100-17320-5050 71.54 PARKS DIV - OPER SUPP 3/22/2019 274804969496 E 100-17320-5050 38.71 PARKS DIV - OPER SUPP 3/22/2019 274804969772 E 100-17275-5021 83.52 MAINTENANCE SUPPLIES FOR AFTERSCHOOL PRO 3/22/2019 274804969774 E 100-17320-5050 109.82 PARK DIV - OPER SUPP 3/22/2019 274804969784 E 100-17320-5050 23.11 PARK DIV - OPER SUPP 3/22/2019 274804969864 E 100-17320-5050 7.82 PARK DIV - OPER SUPP 3/22/2019 274804970165 E 100-17320-5050 14.66 PARK DIV - OPER SUPP 3/22/2019 274804970283 E 100-17320-5050 26.54 PARK DIV - OPER SUPP 3/22/2019 274804970407 E 100-17320-5050 33.97 PARK DIV - OPER SUPP 3/22/2019 274810CC389677 E 100-17320-5050 44.30 GM: PARKS SUPPLIES 3/27/2019 274904968417 E 100-17420-5050 42.31 CITY FAC - OPER SUPP 3/27/2019 274904969697 E 100-17971-5061 83.35 CITY FAC - OPER SUPP 3/27/2019 274904969704 E 100-17971-5061 34.90 CITY FAC - OPER SUPP 3/27/2019 274904969912 E 100-17420-5050 8.70 CITY FAC - OPER SUPP 3/27/2019 274904969990 E 100-17420-5050 27.53 CITY FAC - OPER SUPP 3/27/2019 274904970110 E 100-17320-5050 105.64 PARK DIV - OPER SUPP 3/27/2019 274904970115 E 100-17320-5050 116.34 PARK DIV - OPER SUPP 3/27/2019 274904970138 E 100-17420-5050 5.66 CITY FAC - OPER SUPP 3/27/2019 274904970143 E 100-17971-5061 184.34 CITY FAC - OPER SUPP 3/27/2019 274904970150 E 100-17420-5050 27.63 CITY FAC - OPER SUPP Tuesday, April 2, 2019 Page 16 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PARKS & RECREATION SOUTH CITY LUMBER AND SUPPLY 3/27/2019 274904970155 E 100-17420-5050 6.11 CITY FAC - OPER SUPP 3/27/2019 274904970173 E 100-17420-5050 47.89 CITY FAC - OPER SUPP 3/27/2019 274904970253 E 100-17971-5061 479.61 CITY FAC - OPER SUPP 3/27/2019 274904970275 E 100-17320-5050 58.47 PARK DIV - OPER SUPP 3/27/2019 274904970302 E 100-17420-5050 2.98 CITY FAC - OPER SUPP 3/27/2019 274904970342 E 100-17320-5050 -179.93 PARKS DIV - OPER SUPP 3/27/2019 274904970343 E 100-17320-5050 100.37 PARK DIV - OPER SUPP 3/27/2019 274904970353 E 100-17420-5050 10.61 CITY FAC - OPER SUPP 3/27/2019 274904970420 E 100-17420-5050 14.95 CITY FAC - OPER SUPP 3/27/2019 274904970461 E 100-17420-5050 25.85 CITY FAC - OPER SUPP 3/27/2019 274904970506 E 100-17320-5050 2.73 PARKS DIV - OPER SUPP SPARTAN TOOL LLC 3/27/2019 274905600829 E 100-17420-5051 494.76 CITY FAC - SUPPLIES SPRAYER DEPOT 3/27/2019 274920CC390086 E 100-17320-5050 256.96 GM: SPRAYER SUPPLIES STAPLES BUSINESS ADVANTAGE 3/22/2019 2748058053491635 E 100-17110-5020 232.17 MSB ADMIN OFFICE SUPPLIES 3/27/2019 2749108053491665 E 100-17240-5020 452.76 OFFICE SUPPLIES FOR FERNEKES BLDG AND TERR 3/27/2019 2749108053491665 E 100-17275-5021 587.64 OFFICE SUPPLIES FOR FERNEKES BLDG AND TERR STAPLES CREDIT PLAN 3/20/2019 274765CC389629 E 100-17275-5020 65.52 KM - SUMMER CAMP PROGRAM SUPPLIES 3/20/2019 274765CC389749 E 100-17275-5021 44.20 KM - OFFICE SUPPLIES FOR CHILDCARE PROGRAM 3/20/2019 274765CC389750 E 100-17275-5020 40.40 KM - OFFICE SUPPLIES FOR CHILDCARE PROGRAM 3/20/2019 274765cc389833 E 100-17275-5021 146.33 LA-PROGRAM SUPPLIES 3/22/2019 274810CC389824 E 100-17275-5021 22.68 PROGRAM SUPPLIES - FR 3/22/2019 274810CC389826 E 100-17275-5021 27.83 PROGRAM SUPPLIES - FR 3/27/2019 274920CC389655 E 100-17310-5021 118.46 MP: OFFICE SUPPLIES STARBUCKS 3/27/2019 274920CC389663 E 100-17320-5050 60.00 MP: GARDINER PARK WORKSHOP SURVEY MONKEY 3/27/2019 274920CC390087 E 100-17110-5021 360.00 GM: SURVEY SOFTWARE TARGET 3/20/2019 274765CC389624 E 100-17275-5021 29.57 KM- PRESCHOOL PROGRAM SUPPLIES 3/22/2019 274810C389941 E 100-17275-5021 43.73 PROGRAM SUPPLIES - EE 3/22/2019 274810CC389828 E 100-17275-5021 45.33 PROGRAM SUPPLIES - FR THE SWENSON GROUP, INC. 3/29/2019 274987235054 E 100-17210-5045 174.80 STAPLES FOR COPIER - REC DEPT. UNITED SITE SERVICES OF CA 3/22/2019 274812114-8110570 E 100-17320-5001 118.13 PK - RESTROOMS @ PONDEROSA FIELD 3/22/2019 274812114-8110571 E 100-17320-5001 118.13 PK - RESTROOMS @ PARADISE FIELD W.W. GRAINGER INC. 3/22/2019 2748159097570692 E 100-17420-5050 -230.65 FAC DIV - OPER SUPP Tuesday, April 2, 2019 Page 17 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PARKS & RECREATION W.W. GRAINGER INC. 3/22/2019 2748159100736355 E 100-17320-5034 94.20 PARKS DIV - OPER SUPP 3/22/2019 2748159100866004 E 100-17320-5034 9.91 PARKS DIV - OPER SUPP 3/22/2019 2748159101180199 E 100-17320-5034 130.17 PARKS DIV - OPER SUPP 3/27/2019 2749259097867577 E 100-17420-5050 475.21 FAC DIV - OPER SUPP WALGREENS 3/20/2019 274765CC389628 E 100-17275-5021 22.06 CHILDCARE PROGRAM SUPPLIES Payments issued for PARKS & RECREATION $72,947.29 POLICE ADVANCED BUSINESS FORMS 3/20/2019 27467730675 E 100-12110-5020 454.97 EVERY 15 MINUTES BROCHURES AMAZON MKTPLACE 3/22/2019 274810cc389873 E 100-12110-5045 620.70 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR 3/22/2019 274810cc389873 E 100-12410-5045 31.80 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR ANTHEM SCREEN PRINTING INC 3/20/2019 2746854513 E 100-12110-5020 859.28 EVERY 15 MINUTES T-SHIRTS ARAGON VETERINARY CLINIC 3/20/2019 274686172890 E 100-12720-5001 396.43 VET EXPENSES - DIESEL 3/20/2019 274686173304 E 100-12720-5001 2,283.85 VET EXAMS -TEX, BLITZ, MANNIX COUNTY OF SAN MATEO 3/20/2019 2747021YSS11902 E 100-12720-5002 7,808.33 FEBRUARY 2019 MESSAGE SWITCH/CLETS COVANTA STANISLAUS INC 3/20/2019 274704222891STANI E 100-12720-5002 402.45 DESTRUCTION OF CONTROLLED SUBSTANCES CV CREATIONS, LLC 3/29/2019 2749458869 E 100-12210-5001 2,628.00 AUDIO EQUIPMENT FOR EVERY 15 MINS DEPT OF MOTOR VEHICLES 3/20/2019 27470701/25/2019 E 100-12210-5025 76.43 2019 VEHICLE CODE BOOKS (4) DFS GREEN, INC 3/27/2019 27484827806-7 E 100-12210-5001 398.00 CARPET CLEANING - LOW MOISTURE CLEANING 3/27/2019 27484827993-2 E 100-12210-5001 235.00 CARPET CLEANING - TRAINING ROOM EAGLE ENGRAVING 3/20/2019 274765CC389537 E 100-12110-5020 84.50 RC - SINGLE SLIDE BAR FOR R CARLINO FEDEX 3/20/2019 2747146-483-96710 E 100-12210-5027 14.21 SHIPPING CHARGES FOR ONE ITEM J. SNELL & CO., INC. 3/27/2019 27486699192 E 100-12110-5020 385.70 SHREDDER MAINTENANCE KAISER PERMANENTE - OHSS 3/29/2019 274957320900248601 E 100-12720-5036 58.50 MARCH 2019 PRE-EMPLOYMENT PHYSICAL KEN CHETCUTI 3/20/2019 27469803/10/19-03/13/19 E 100-12720-5033 296.58 SLI EXPENSES - KC LANGUAGE LINE SERVICES 3/20/2019 2747234503320 E 100-12720-5005 144.63 TRANSLATIONS - FEBRUARY 2019 LC ACTION POLICE SUPPLY LTD 3/20/2019 274725394222 E 100-12720-5034 4,541.09 9 BULLET PROOF VESTS FOR PD STAFF 3/20/2019 274725394222 E 100-12999-5999 4,541.09 9 BULLET PROOF VESTS FOR PD STAFF LEXISNEXIS 3/20/2019 2747271902118459 E 100-12620-5061 104.40 INVESTIGATIVE DATABASE LORRAINE DI NAPOLI 3/27/2019 2748492/11/19-3/22/19 E 100-12110-5033 50.00 PETTY CASH REPLENISHMENT 3/27/2019 2748492/11/19-3/22/19 E 100-12720-5061 117.00 PETTY CASH REPLENISHMENT 3/27/2019 2748492/11/19-3/22/19 E 100-12720-5033 14.93 PETTY CASH REPLENISHMENT Tuesday, April 2, 2019 Page 18 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco POLICE LORRAINE DI NAPOLI 3/27/2019 2748492/11/19-3/22/19 E 100-12410-5033 52.93 PETTY CASH REPLENISHMENT 3/27/2019 2748492/11/19-3/22/19 E 100-12210-5033 50.00 PETTY CASH REPLENISHMENT 3/27/2019 2748492/11/19-3/22/19 E 100-12210-5001 37.80 PETTY CASH REPLENISHMENT 3/27/2019 2748492/11/19-3/22/19 E 100-12110-5020 17.46 PETTY CASH REPLENISHMENT 3/27/2019 2748492/11/19-3/22/19 E 100-12110-5061 84.00 PETTY CASH REPLENISHMENT NEOPOST USA INC 3/20/2019 27474015672957 E 100-12310-5027 2.83 MAILING SUPPLIES-POSTAGE MACHINE NICHOLAS MICHELS 3/20/2019 27473503/03/19 E 100-12720-5005 179.00 CANINE KENNELING (GROOT 3 1/2 DAYS) - MICHE OFFICE DEPOT INC 3/27/2019 274883272424276001 E 100-12110-5020 16.35 OFFICE SUPPLIES 3/27/2019 274883279465536001 E 100-12110-5020 56.47 OFFICE SUPPLIES PREFERRED ALLIANCE, INC 3/20/2019 2747470146127-IN E 100-12720-5039 43.00 FEBRUARY 2019 PRE-EMPLOYMENT & RANDOM READYREFRESH 3/27/2019 27489219C5709746001 E 100-12720-5051 93.93 WATER COOLER RENTAL 2/11/19-03/10/19 (2 M SAN MATEO COUNTY FORENSIC LAB 3/27/2019 274897CL05692 E 100-12720-5002 9,254.00 LAB FEES SOUTH BAY REGIONAL PUBLIC SAFE3/22/2019 274803219464 E 100-12410-5033 30.00 FIELD TRAINING - BOWER & LEE - BALANCE TURBO DATA SYSTEMS, INC. 3/20/2019 27476429463 E 100-12720-5021 38.24 NFORCER PARKING TICKET ROLLS 3/20/2019 27476429464 E 100-12720-5051 874.00 PARKING CITATION ROLLS (10K) 3/22/2019 27480929524 E 100-12720-5001 4,670.60 CITATION PROCESSING FY 18/19 - JAN 2019 WAVEDIVISION HOLDINGS, LLC 3/22/2019 2748168136 35 051 0095333 E 100-12410-5001 56.00 CABLE SERVICES - 329 MILLER AVE. - IT & PD Payments issued for POLICE $42,104.48 PUBLIC WORKS AIRGAS USA, LLC 3/29/2019 2749349086726930 E 710-13922-5050 115.70 WELDING GAS RESTOCK AIRPORT AUTO PARTS INC 3/27/2019 274823400063 E 781-13610-5021 23.48 GRG OP FOR VEN 405 ALAMEDA ELECTRICAL DISTRIBUTOR3/20/2019 274682S4457454.002 E 710-13941-5021 62.27 INCOMING FREIGHT ALL STAR GLASS 3/27/2019 274826WSFO92288 E 781-13610-5001 370.17 GRG OP VEH NO. 12 ALPHA ANALYTICAL LABORATORIES 3/27/2019 2748279032332-MD_SSF E 710-13951-5005 101.00 FY 2018-2019 ANALYTICAL SERVICES 3/27/2019 2748279032333-MD_SSF E 710-13951-5005 80.00 FY 2018-2019 ANALYTICAL SERVICES 3/27/2019 2748279032344-MD_SSF E 710-13951-5005 163.00 FY 2018-2019 ANALYTICAL SERVICES 3/29/2019 2749359033206-MD_SSF E 710-13953-5004 4,480.00 FY 2018-2019 ANALYTICAL SERVICES 3/29/2019 2749359033642-MD_SSF E 710-13953-5004 562.00 FY 2018-2019 ANALYTICAL SERVICES 3/29/2019 2749359033818-MD_SSF E 710-13953-5004 65.00 FY 2018-2019 ANALYTICAL SERVICES 3/29/2019 2749359033819-MD_SSF E 710-13953-5004 65.00 FY 2018-2019 ANALYTICAL SERVICES 3/29/2019 2749359033820-MD_SSF E 710-13951-5005 80.00 FY 2018-2019 ANALYTICAL SERVICES Tuesday, April 2, 2019 Page 19 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PUBLIC WORKS ALPHA ANALYTICAL LABORATORIES 3/29/2019 2749359033949-MD_SSF E 710-13953-5004 572.00 FY 2018-2019 ANALYTICAL SERVICES 3/29/2019 2749359034025-MD_SSF E 710-13953-5004 642.00 FY 2018-2019 ANALYTICAL SERVICES 3/29/2019 2749359034026-MD_SSF E 710-13953-5004 572.00 FY 2018-2019 ANALYTICAL SERVICES AMAZON MKTPLACE 3/20/2019 274765CC389374 E 710-13910-5051 144.77 CONFERENCE ROOM ELECTRONIC UPGRADE - BS 3/20/2019 274765CC389375 E 710-13910-5051 65.52 CONFERENCE ROOM ELECTRONIC UPGRADE - BS 3/22/2019 274810cc389873 E 100-13520-5045 523.32 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR 3/22/2019 274810cc389873 E 100-13210-5045 749.94 TB-PRIME MEMBERSHIP, IT PURCHASES & IT PUR AMAZON.COM 3/22/2019 274810CC 387532 E 100-13410-5031 -14.19 RC CC - AMAZON PRIME CANCELLATION 3/22/2019 274810CC 387534 E 100-13410-5031 -14.19 RC CC - AMAZON PRIME CANCELLATION ARAMARK UNIFORM SERVICES 3/20/2019 274687760122911 E 740-13820-5001 82.58 UNIFORMS FOR THE PW MAINTENANCE 3/20/2019 274687760122911 E 710-13315-5001 82.58 UNIFORMS FOR THE PW MAINTENANCE 3/20/2019 274687760134412 E 710-13910-5001 144.27 WEEKLY UNIFORM SERVICE 3/20/2019 274687760134413 E 710-13910-5001 171.70 WEEKLY UNIFORM SERVICE 3/20/2019 274688760122914 E 781-13610-5001 35.95 SHOP TOWELS FOR GARAGE 3/22/2019 274770760134417 E 781-13610-5001 15.95 GARAGE UNIFORMS 3/22/2019 274770760134418 E 781-13610-5001 35.95 GARAGE SEAT COVER 3/29/2019 274936760145925 E 710-13910-5001 137.94 WEEKLY UNIFORM SERVICE 3/29/2019 274936760145926 E 710-13910-5001 171.70 WEEKLY UNIFORM SERVICE ARCO'S AUTO BODY 3/20/2019 27468932163 E 781-13610-5001 757.99 CONTRACTIONAL SERV FOR VEH 9 3/20/2019 27468932228 E 781-13610-5001 1,458.40 FLEET MAINT VEH 116 B&B CUSTOM DESIGNS 3/20/2019 27469317475 E 100-13210-5034 1,151.19 ENGINEERING UNIFORMS BAY AREA AIR QUALITY MGMT DIST3/29/2019 274937276688 E 710-13932-5002 367.00 BAY AREA AIR QUALITY ANNUAL PERMITFEE SANI BETTS TRUCK PARTS 3/27/2019 274833CI0020234542 E 781-13610-5021 140.09 OP STOCK FOR VEH NO.510 C H BULL CO 3/20/2019 274696L30751 E 710-13315-5051 3,666.54 SEWER MAINT SIUPPLIES FOR OP AND MAINT EQ CCP INDUSTRIES, INC. 3/20/2019 274697IN02274029 E 710-13315-5021 130.92 SEWER MAINT. OPERATING SUPPLIES 3/22/2019 274772IN02278058 E 710-13315-5021 197.43 SEWER OP MAIN SUPPLIES CHRISTINA TAI 3/27/2019 2749132/1/2019 E 710-13910-5033 143.00 CWEA MEMBERSHIP FOR CHRISTINA TAI CITY AUTO SUPPLY 3/20/2019 2746993-615084 E 781-13610-5021 8.70 GAR OP VEH 308 3/27/2019 2748443-616124 E 781-13610-5021 205.04 GRG OP STK 3/27/2019 2748443-617743 E 781-13610-5021 228.57 GRG OP STK VEH 251 COUNTY OF SAN MATEO 3/29/2019 274941317146 E 710-13932-5002 629.00 SAN MTEO COUNTY HEALTH ANNUAL FEES SANIT 3/29/2019 274942SM-19-00015 E 710-13922-5002 148.20 MOSQUITO ABATEMENT SERVICES WQCP Tuesday, April 2, 2019 Page 20 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PUBLIC WORKS CSG CONSULTANTS INC 3/20/2019 27470522111 E 100-13210-5005 1,600.00 SSF PUBLIC STORAGE EXHIBIT DEPARTMENT OF TRANSPORTATION 3/20/2019 274706SL190411 E 100-13450-5021 16,021.44 SIGNALS AND LIGHTING BULBS DKS ASSOCIATES 3/20/2019 2747100066165 E 100-13210-5005 2,925.41 ON CALL TRAFFIC ENGINEERING SERVICES FY 17-1 3/27/2019 2748500067931 E 100-13210-5005 4,802.65 JUNIPER SERRA /HICKEY BLVD/LONGFORD DR. FAILSAFE TESTING 3/27/2019 27485510240 E 781-13610-5001 1,400.00 INSPECTUAL ANNUAL FOR VEH 509//510 FASTENAL COMPANY 3/20/2019 274713CAS1036245 E 100-13450-5021 35.97 STREET OP SUPPLIES 3/20/2019 274713CAS1036413 E 100-13450-5021 79.94 STREET OP SUPPLY FLYERS ENERGY LLC 3/20/2019 27471619-869904 E 781-13610-5028 844.59 DIESEL DEL FOR FIRE STN. 64 3/20/2019 274716CFS-1844540 E 781-13610-5028 9,879.05 CITYWIDE CARD LOCK FUEL 3/27/2019 274861CFS-1866080 E 781-13610-5001 13,060.21 CITY FUEL CARD TRANSACTIONS. GOLDEN GATE TRUCK CENTER 3/27/2019 274865F005906980:01 E 781-13610-5028 356.26 GRG OP STOCK GRAPHICS ON THE EDGE 3/20/2019 2747193611 E 720-13720-5005 3,575.21 PARKING DECALS W ANTI GRAFFITI IPS GROUP, INC 3/20/2019 27472140660 E 720-13720-5005 6,064.31 FEB 2019 CREDIT CARD TRANSACTIONS JDI ELECTRICAL SERVICES INC 3/20/2019 2747224223Final E 710-13942-5004 5,365.00 EV STATION INSTALLATION JETTER NOZZLES 3/22/2019 274786100000488 E 710-13315-5021 128.00 RAT NOZZLE STREET OP SUPPLY KAISER PERMANENTE - OHSS 3/29/2019 274957320900248601 E 710-13310-5036 1,201.90 MARCH 2019 PRE-EMPLOYMENT PHYSICAL KAMAN INDUSTRIAL TECHNOLOGIES 3/29/2019 274958S729802 E 710-13943-5051 702.70 PUMP BEARINGS AND SEALS RESTOCK KENNETH DE LEON 3/27/2019 27484703/08/19-03/1/19 E 710-13910-5033 193.66 REFERENCE AND TRAINING MATERIAL & PROGRA LARRY WALKER ASSOCIATES, INC. 3/29/2019 27496000516.05-18 E 710-13910-5005 640.25 WASTEWATER REGULATORY ASSISTANCE (2017-2 3/29/2019 27496000516.05-19 E 710-13910-5005 379.00 WASTEWATER REGULATORY ASSISTANCE (2017-2 LOWE'S CREDIT SERVICES 3/20/2019 274731902820 E 100-13450-5021 56.54 SEWER MAINT OP SUPPLIES 3/20/2019 274731902858 E 710-13315-5021 131.16 SEWER MAINT OP SUPPLIES 3/27/2019 274872902530 E 100-13460-5021 5.85 STREET ELEC OP SUPPLIES MARGARET KELLEY 3/29/2019 27495903/18/19-03/21/19 E 710-13910-5033 195.59 TRAVEL MEALS AND BRIDGE TOLLS~ MCMASTER-CARR SUPPLY CO 3/20/2019 27473388512436 E 710-13922-5050 194.58 MAINTENANCE SUPPLIES 3/20/2019 27473388651384 E 740-13820-5051 886.42 MAINTENANCE SUPPLIES 3/20/2019 27473388761196 E 710-13941-5021 175.53 MAINTENANCE SUPPLIES 3/20/2019 27473388908338 E 710-13930-5051 82.01 MAINTENANCE SUPPLIES 3/20/2019 27473389068508 E 710-13961-5051 196.09 MIANTANCE SUPPLIES 3/29/2019 27496589256339 E 710-13943-5050 61.39 MIANTENANCE SUPPLIES 3/29/2019 27496589502905 E 710-13943-5051 34.85 MIANTENANCE SUPPLIES MILT'S SIGN SERVICE INC 3/29/2019 27496711881 E 710-13910-5021 283.75 NAMEPLATES FOR WQCP DIVISION Tuesday, April 2, 2019 Page 21 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PUBLIC WORKS MOSS RUBBER & EQUIPT CORP 3/22/2019 274792CA94-944784 E 740-13820-5021 117.41 STORM OP SUPPLIES 3/22/2019 274792CA94-944790 E 740-13820-5021 422.57 STORM MAINT OP SUPPLIES MUNICIPAL MAINTENANCE EQUIPMEN3/20/2019 2747380135864-IN E 781-13610-5021 201.58 OP STOCK GARAGE 3/22/2019 2747930135796-IN E 740-13820-5051 2,283.90 STREET OP REPAIRS NATIONAL CINEMEDIA, LLC 3/27/2019 274881INV-173465 E 710-13953-5030 751.40 ON-SCREEN OUTREACH NELSON YUK 3/29/2019 274996509787 E 710-13910-5033 92.00 CWEA RENEWAL FOR NELSON YUK NEOPOST USA INC 3/20/2019 27474015672957 E 710-13310-5027 1.85 MAILING SUPPLIES-POSTAGE MACHINE 3/20/2019 27474015672957 E 100-13210-5027 0.35 MAILING SUPPLIES-POSTAGE MACHINE 3/20/2019 27474015672957 E 710-13910-5027 1.10 MAILING SUPPLIES-POSTAGE MACHINE NSI SOLUTIONS, INC. 3/29/2019 274972363935 E 710-13951-5021 267.00 LAB SUPPLIES OFFICE DEPOT INC 3/27/2019 274883283554613001 E 710-13910-5021 58.69 OFFICE SUPPLIES OFFICETEAM INC 3/20/2019 27474152973523 E 100-13410-5001 522.00 PW MAINT OFFICE TEMP SERVICES 3/20/2019 27474153021628 E 100-13410-5001 1,359.00 PW MAINT OFFICE TEMP SERVICES OLE'S CARBURETOR & ELEC INC 3/20/2019 274742429201 E 781-13610-5021 6.10 GARAGE OP FOR VEH 906 PENINSULA BATTERY CO 3/27/2019 274886128551 E 781-13610-5021 157.17 GRG OP VEH 906 3/27/2019 274886128558 E 781-13610-5021 140.69 GRG OP FOR VEH 718 #148 3/27/2019 274886128562 E 781-13610-5021 198.54 GRG OP VEH 614 3/29/2019 274976128634 E 710-13922-5021 126.64 NEW BATTERY FOR UTILITY CART NO. 203 PETERSON POWER SYSTEMS INC 3/22/2019 2747962422940 E 710-13941-5051 8,084.47 FY 18-19 GENERATOR & COGENERATOR MAINTE PREFERRED ALLIANCE, INC 3/20/2019 2747470146127-IN E 710-13310-5039 43.00 FEBRUARY 2019 PRE-EMPLOYMENT & RANDOM R&B COMPANY 3/27/2019 274889S1823302.001 E 710-13962-5051 1,837.55 PIPE REPAIR CLAMP RESTOCK RADIOTRONICS, INC. 3/27/2019 274890265688 E 781-13610-5021 604.00 GRG OP VEH 10 READYREFRESH 3/22/2019 27479719C0028246270 E 710-13910-5021 349.87 DRINKING WATER (02/07-03/06/19) ROZZI REPRODUCTION & SUPPLY IN3/27/2019 274896148710 E 710-13315-5025 1,558.93 STREET OP MAP SERRAMONTE FORD INC 3/20/2019 274751650447 E 781-13610-5021 271.03 GAR OP FOR VEH 15 3/20/2019 274751650448 E 781-13610-5021 793.56 OP SUPL FOR VEH 15 3/20/2019 274751650473 E 781-13610-5021 107.39 GAR OP VEH 526 3/20/2019 274751650732 E 781-13610-5021 35.91 OP SUPL FOR VEH 20 3/27/2019 274900651535 E 781-13610-5021 82.97 GRGE OP VEH 248 3/27/2019 274900651862 E 781-13610-5021 13.75 GARAGE OP STOCK SHAKEEL THE PHONE REPAIR GUY 3/22/2019 274810cc390057 E 100-13410-5045 156.25 DW - EQUIPMENT REPAIR - PUBLIC WORKS & EN 3/22/2019 274810cc390057 E 100-13210-5045 246.25 DW - EQUIPMENT REPAIR - PUBLIC WORKS & EN Tuesday, April 2, 2019 Page 22 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PUBLIC WORKS SMART CARE EQUIPMENT SOLUTIONS3/22/2019 27480195495699 E 710-13951-5005 806.18 REPAIR OF LABORATORY AUTO CLAVE UNIT SOUTH CITY LUMBER AND SUPPLY 3/22/2019 274804969707 E 710-13922-5050 328.00 MAINTENANCE SUPPLIES 3/29/2019 274979970314 E 710-13943-5050 50.66 MAINTENANCE SUPPLIES STAPLES BUSINESS ADVANTAGE 3/20/2019 2747568053491653/4070821E 710-13953-5021 131.09 OFFICE SUPPLIES 3/20/2019 2747568053491653/4070821E 710-13910-5021 31.88 OFFICE SUPPLIES 3/20/2019 2747568053491653/4070821E 710-13951-5021 31.88 OFFICE SUPPLIES 3/22/2019 2748053404224688 E 100-13410-5020 -37.68 CREDIT FOR OFFICE SUPPLIES 3/22/2019 2748053404224690 E 100-13450-5021 -113.04 CALENDARS - ELECTRICAL 3/22/2019 2748058053140795/4042246E 100-13410-5020 163.86 CHAIR FOR CODE ENFORCEMENT 3/22/2019 2748058053140795/4042246E 100-13410-5020 163.86 CHAIR FOR CODE ENF 3/22/2019 2748058053140795/4042246E 100-13410-5020 64.33 CORP YARD OFFICE SUPPLIES 3/27/2019 2749108053491627 E 100-13410-5020 -163.86 CREDIT FOR OFFICE NOT RECEIVED STEWART CHEVROLET 3/22/2019 274806CTCS389099 E 781-13610-5001 2,567.68 CONTRACTIONAL SERV FOR VEH 243 SUTPHEN CORPORATION 3/20/2019 27475740033106 E 781-13610-5021 161.71 OP GARAGE STOCK TECHNICAL SAFETY SERVICES INC 3/22/2019 274807IN0218478 E 710-13951-5005 399.00 FY 2018-2019 FUME HOOD/ALARM CALIBRATION THATCHER COMPANY OF CALIFORNIA3/20/2019 274760261076 E 710-13941-5021 5,746.37 FY 2018-2019 FERRIC CHLORIDE 3/29/2019 274986262870 E 710-13941-5021 5,830.77 FY 2018-2019 FERRIC CHLORIDE THOMAS BLAKISTON 3/27/2019 27483402/13/19-03/06/19 E 710-13315-5031 698.18 STANDBY MILEAGE REIMBURSEMENT FOR 2/13/1 TRACTION-GENUINE PARTS CO. 3/20/2019 2747631801P115720 E 781-13610-5021 95.70 STOCK OP GARAGE 3/20/2019 2747631801P115728 E 781-13610-5021 40.37 STOCK OP GARAGE UNIVAR USA INC 3/22/2019 274813SJ929824 E 710-13944-5021 3,418.74 FY 2018-2019 SODIUM HYPOCHLORITE 3/22/2019 274813SJ930024 E 710-13964-5021 5,462.27 FY 2018-2019 SODIUM BISULFITE 3/22/2019 274813SJ930052 E 710-13964-5021 5,444.09 FY 2018-2019 SODIUM BISULFITE 3/22/2019 274813SJ930450 E 710-13944-5021 3,347.82 FY 2018-2019 SODIUM HYPOCHLORITE 3/22/2019 274813SJ930568 E 710-13964-5021 5,430.45 FY 2018-2019 SODIUM BISULFITE 3/29/2019 274990SJ931019 E 710-13944-5021 3,423.15 FY 2018-2019 SODIUM HYPOCHLORITE 3/29/2019 274990SJ931524 E 710-13944-5021 3,419.81 FY 2018-2019 SODIUM HYPOCHLORITE VWR INTERNATIONAL LLC 3/29/2019 2749918085620903 E 710-13951-5021 402.22 LAB SUPPLIES W.W. GRAINGER INC. 3/22/2019 2748159106238208 E 710-13951-5051 270.94 MAINTENANCE SUPPLIES 3/22/2019 2748159107021397 E 710-13951-5021 270.94 MAINTENANCE SUPPLIES 3/27/2019 2749259109051491 E 710-13922-5050 190.04 OPERATING SUPPLIES 3/27/2019 2749259113444864 E 710-13941-5021 443.39 MAINTENANCE SUPPLIES RESTOCK Tuesday, April 2, 2019 Page 23 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco PUBLIC WORKS W.W. GRAINGER INC. 3/29/2019 2749929119225143 E 710-13943-5050 132.31 OPERATING SUPPLIES WINGFOOT COMMERCIAL TIRE SYSTM3/20/2019 274768184-1086359 E 781-13610-5021 308.16 GRG OP FOR VEH 515 3/20/2019 274768184-1086359 E 781-13610-5001 251.52 GRG OP FOR VEH 515 3/20/2019 274768184-1086363 E 781-13610-5021 1,452.92 GRG OP FOR VEH 512 3/20/2019 274768184-1086363 E 781-13610-5001 316.05 GRG OP FOR VEH 512 3/20/2019 274768184-1086411 E 781-13610-5021 34.76 GRG OP VEH NO. 312 3/20/2019 274768184-1086411 E 781-13610-5001 200.54 GRG OP VEH NO. 312 3/20/2019 274768184-1086455 E 781-13610-5001 1,179.44 GRG OP VEH 312 WINZER CORPORATION 3/20/2019 2747696320850 E 781-13610-5021 724.55 STOCK SHOP SUPPLIES Payments issued for PUBLIC WORKS $165,092.76 BALANCE SHEET ADVANTAGE ROOFING INC 3/27/2019 274819B18-1172 B 270-21724 200.00 RELEASE OF ROOFING DEPOSIT FOR 13 DEL PASO CITY OF BURLINGAME 3/20/2019 2747001ST QTR 2019/2019 YRB 280-21204 41,475.60 BID ASSESSMENTS PASS THROUGH EDWIN VENGCO 3/27/2019 274923E19-0147 B 270-21703 500.00 ENCROACH DEPOSIT REFUND HOME DEPOT 3/20/2019 274720B18-1507 B 280-21706 1.25 CANCELLED PERMIT, B18-1507, 69 FRANKLIN AVE 3/20/2019 274720B18-1803 B 280-21706 0.40 CANCELLED PERMIT, B18-1803, 2590 TARA LANE 3/20/2019 274720B18-1941 B 280-21706 0.40 CANCELLED PERMIT ,B18-1941, 1224 EDGEWOOD 3/20/2019 274720B19-0166 B 280-21706 2.33 CANCELLED PERMIT, B19-0166, 3648 GILBERT JO MIGUEL GONZALEZ 3/20/2019 274717E18-1223 B 270-21703 1,000.00 ENCROACH DEPOSIT REFUND PABLO EDUARDO 3/29/2019 274950E18-0880 B 270-21703 500.00 ENCROACH DEPOSIT REFUND SF CROWN ROOFING INC 3/20/2019 274752B18-1524 B 270-21724 200.00 RELEASE OF C& D DEPOSIT, 3842 CROFTON WAY SMELLY MEL'S PLUMBING INC 3/27/2019 274902E19-0162 B 270-21703 1,000.00 ENCROACH DEPOSIT REFUND THE ENERGUY 3/27/2019 274915B18-1422 B 280-21706 0.58 CANCELLED PERMIT, B18-1422, 2622 MEATH DR WORKS PLUMBING & ROOTER 3/27/2019 274931E19-0130 B 270-21703 500.00 ENCROACH DEPOSIT REFUND YATISH S. & USHA K. MAHARAJ 3/27/2019 274874E19-0034 B 270-21703 500.00 ENCROACH DEPOSIT REFUND YERBA BUENA ENGINEERING 3/27/2019 274932E18-0909 B 270-21703 1,000.00 ENCROACH DEPOSIT, 147 FRANCISCO DR Payments issued for BALANCE SHEET $46,880.56 CAPITAL IMPROVEMENTS AECOM TECHNICAL SERVICES, INC.3/20/2019 2746782000173159 E 510-99999-5999 53,864.54 TR1404 - US 101 PRODUCE AVENUE INTERCHANG 3/20/2019 2746792000181138 E 510-99999-5999 22,445.21 TR1404 - US 101 PRODUCE AVENUE INTERCHANG Tuesday, April 2, 2019 Page 24 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco CAPITAL IMPROVEMENTS AECOM TECHNICAL SERVICES, INC.3/27/2019 2748202000186789 E 710-99999-5999 299.17 ON CALL BIOLOGICAL SCIENCES SERVICES FY 17-1 AKEL ENGINEERING GROUP INC 3/20/2019 27468118432-10 E 710-99999-5999 34,380.10 SS1801 - SEWER MASTER PLAN 3/27/2019 27482418432-11 E 710-99999-5999 8,277.25 SS1801 - SEWER MASTER PLAN STUDY ALASKA AIR 3/27/2019 274920CC390008 E 510-99995-5999 1,030.40 COMM CIVIC CAMPUS- POLICE TEAM - DALLAS T ALPHA ANALYTICAL LABORATORIES 3/27/2019 2748279021595-MD_SSF E 740-99999-5999 995.00 OMP STORM WATER CAPTURE PROJECT ALTA PLANNING + DESIGN 3/20/2019 27468300-2018-181-6 E 510-99999-5999 12,697.25 TR1705 - UPDATE PEDESTRIAN AND BICYCLE MAS 3/27/2019 27482900-2018-181-5 E 510-99999-5999 19,933.50 TR1705 - UPDATE PEDESTRIAN AND BICYCLE MAS CALIFORNIA NEWSPAPER PARTNERS 3/27/2019 2748370001171400 E 510-99999-5999 1,057.30 BID ADVERTISING CALLANDER ASSOC LANDSCAPE 3/27/2019 27483817007-19 E 510-99999-5999 305.87 ON CALL LANDSCAPE ARCHITECTURE 3/27/2019 27483817007-20 E 510-99999-5999 1,050.06 ON CALL LANDSCAPE ARCHITECTURE CAROLLO ENGINEERS, PC 3/27/2019 2748390175177 E 710-99999-5999 70,867.75 SS1301 - ESDC - WET WEATHER AND DIGESTER I CIVIL ENGINEERS SCHAAF & WHEELER CONSUL3/27/2019 27489930916 E 740-99999-5999 1,335.00 ON CALL WATER RESOURCES SERVICES FY 17-18 CSG CONSULTANTS INC 3/27/2019 27484623219 E 740-99999-5999 2,150.00 ON CALL PROGRAM MANAGEMENT FY 17-18 DKS ASSOCIATES 3/20/2019 2747100069147 E 510-99999-5999 920.00 TR1503 - SR2T BIKE LANE STRIPING 3/20/2019 2747100069162 E 510-99999-5999 2,250.00 ST1605 - SPRUCE AVENUE PEDESTRIAN IMPROVE ERLER & KALINOWSKI, INC. 3/27/2019 274852B70050.04-12 E 710-99999-5999 17,224.40 SS1301 - PM SERVICES: WQCPLANT WET WEATHE FEHR AND PEERS 3/20/2019 274715127381 E 510-99999-5999 10,581.75 ST1808 - OAK AVENUE EXTENSION G. BORTOLOTTO & CO, INC. 3/27/2019 2748634690 E 510-99999-5999 474,907.85 ST193A - FY 2018-19 SURFACE SEAL CONTRACTO KIMLEY-HORN & ASSOCIATES INC 3/27/2019 274867097009007-0119 E 510-99999-5999 187,208.13 IMPLEMENTATION OF KADENCE ADAPTIVE TRAFF LC GENERAL ENGINEERING & CONST3/27/2019 2748696B E 510-99999-5999 46,371.45 ST1403 - GBI PHASE I: CHESTNUT TO ARROYO - C LOTUS WATER 3/27/2019 2748713093 E 740-99999-5999 48,783.75 SD1801 - ORANGE PARK STORM WATER CAPTURE MARK THOMAS & CO. INC. 3/27/2019 27487632788a E 510-99999-5999 2,194.46 Design Services during construction: 3/27/2019 27487632788b E 510-99999-5999 1,008.67 ST1403 - ON CALL CIVIL ENGINEERING SERVICES F NCE 3/27/2019 274882872065501 E 510-99999-5999 13,000.00 ON CALL CIVIL ENGINEERING SERVICES FY 18-19 3/27/2019 274882872065502 E 510-99999-5999 6,770.00 ON CALL CIVIL ENGINEERING SERVICES FY 18-19 3/29/2019 274971872065505 E 510-99999-5999 3,471.00 ST193C - ON CALL CIVIL ENGINEERING SERVICES F SSA LANDSCAPE ARCHITECTS, INC.3/20/2019 2747556416 E 510-99999-5999 2,316.56 PK1806 - GARDINER PARK PLAYGROUND REPLACE SWA GROUP 3/29/2019 274981176310 E 510-99999-5999 3,596.60 ST1801 - GRAND AVE STREETSCAPE DESIGN SWINERTON MGMT & CONSULTING 3/29/2019 27498317100050-8 E 710-99999-5999 4,368.00 SS1307 - ON CALL RESO 141-2017 MULTI-DISCIPLI 3/29/2019 27498317100051-13 E 710-99999-5999 6,356.00 SS1702 - ON CALL RESO 141-2017 MULTI-DISCIPLI 3/29/2019 27498317100052-7 E 710-99999-5999 3,400.00 ON CALL RESO 141-2017 MULTI-DISCIPLINARY EN 3/29/2019 27498317100053-9 E 710-99999-5999 4,368.00 SS1705 - ON CALL RESO 141-2017 MULTI-DISCIPLI Tuesday, April 2, 2019 Page 25 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco CAPITAL IMPROVEMENTS SWINERTON MGMT & CONSULTING 3/29/2019 27498317100059-14 E 710-99999-5999 6,356.00 SS1502 - ON CALL RESO 141-2017 MULTI-DISCIPL 3/29/2019 27498318100005-5 E 710-99999-5999 3,400.00 SS1601 - ON CALL RESO 141-2017 MULTI-DISCIPLI TJKM 3/20/2019 2747610048107 E 510-99999-5999 2,062.50 E. GRAND, GATEWAY & FORBES INTERSECTIONS/ 3/27/2019 2749170047600 E 510-99999-5999 4,707.50 OP-E. Grand Ave Corridor Improvements 3/27/2019 2749170047601 E 510-99999-5999 20,458.00 ON CALL TRAFFIC ENGINEERING SERVICES FY 18-1 3/27/2019 2749170047743 E 510-99999-5999 1,407.50 TR1602 - OP-E. GRAND AVE CORRIDOR IMPROVE 3/27/2019 2749170048108 E 510-99999-5999 7,091.40 ON CALL TRAFFIC ENGINEERING SERVICES FY 18-1 WILSEY HAM, INC 3/27/2019 27492922423 E 510-99999-5999 5,673.00 ON CALL CIVIL GRAND AVE SIDEWALK & PLAZAS I 3/27/2019 27492922530 E 710-99999-5999 15,982.16 ON CALL WATER RESOURCES SERVICES 3/27/2019 27492922533 E 710-99999-5999 191.00 SS1502 - ON-CALL CIVIL ENGINEERING SERVICES 3/27/2019 27492922582 E 710-99999-5999 191.00 SS1502 - FINAL - PUMP STATION #4 FORCE MAIN WOODARD & CURRAN INC 3/27/2019 274930159027 E 710-99999-5999 28,876.71 ON CALL WATER RESOURCES SERVICES FY 18-19 Payments issued for CAPITAL IMPROVEMENTS $1,166,181.79 DESIGNATED FUND BALANCE ALL ABOUT NETWORK 3/27/2019 274920CC390082 B 280-27405 420.00 GM: PINS FOR PARKS DIV AMAZON MKTPLACE 3/22/2019 274810cc385929 B 280-27434 -32.53 LA- PROGRAM SUPPLIES B&B CUSTOM DESIGNS 3/20/2019 27469317472 B 280-27405 1,145.53 SOUTH CITY LOGO T-SHIRTS HOME DEPOT 3/20/2019 274720B18-1507 B 280-27465 6.40 CANCELLED PERMIT, B18-1507, 69 FRANKLIN AVE 3/20/2019 274720B18-1803 B 280-27465 6.40 CANCELLED PERMIT, B18-1803, 2590 TARA LANE 3/20/2019 274720B18-1941 B 280-27465 6.40 CANCELLED PERMIT ,B18-1941, 1224 EDGEWOOD 3/20/2019 274720B19-0166 B 280-27465 6.40 CANCELLED PERMIT, B19-0166, 3648 GILBERT JO SAFEWAY STORE 3/27/2019 274920CC389659 B 280-27405 41.21 MP: REFRESHMENTS FOR BUDGET MTG (6) SCHOLASTIC CORPORATION 3/20/2019 274765CC389777 B 280-27434 180.00 PRESCHOOL EVENT SUPPLIES - DG ULINE 3/22/2019 274811106109704 B 280-27463 268.01 SIGN BOARD FOR EVENTS Payments issued for DESIGNATED FUND BALANCE $2,047.82 REFUNDS/REIMBURSEMENTS AMUERFINA VIERAITIS 3/27/2019 27492413366311 R 100-17250-35301 350.00 REFUND OF DEPOSIT FOR USE OF FERNEKES BUIL 3/27/2019 27485818-63698 R 100-11610-35203 23.00 AMBULANCE TRANSFER REFUND 3/27/2019 27485417-351920 R 100-11611-35204 50.00 AMBULANCE TRANSFER REFUND 3/27/2019 27490317-429157 R 100-11610-35203 200.00 AMBULANCE TRANSFER REFUND Tuesday, April 2, 2019 Page 26 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco REFUNDS/REIMBURSEMENTS CIRCOSTA IRON & METAL CO INC 3/22/2019 274774BL15703 R 100-00000-30403 257.50 REFUND DUPLICATE PAYMENT-AUTHORIZE.NET B 3/29/2019 27496418-138891 R 100-11611-35204 2,000.00 AMBULANCE TRANSFER REFUND ENGEL HOLDINGS INC 3/22/2019 274777BL109185 R 100-00000-30403 162.00 REFUND DUPLICATE PAYMENT BL 109185-AUTHO ERIC CHUI 3/27/2019 27484213359761 R 100-17260-35306 139.00 REFUND - PARTICIPANT CAN NO LONGER ATTEND ERLY'S SHEAR BEAUTY 3/22/2019 274778BL108070 R 100-00000-30403 19.25 REFUND FOR $19.25 CHARGE NOT REFLECTED ON FLOR GARCIA 3/27/2019 27486413383393 R 100-17250-35301 350.00 REFUND OF DEPOSIT FOR USE OF FERNEKES BUIL FOOD PEOPLE 3/22/2019 274779BL18512 R 100-00000-30403 274.00 REFUND DUPLICATE PAYMENT BL 18512-AUTHOR 3/29/2019 27498417-482431 R 100-11610-35203 75.00 AMBULANCE TRANSFER REFUND GARNEY PACIFIC, INC 3/22/2019 274781BL110563 R 100-00000-30403 194.00 REFUND DUPLICATE PAYMENT BL 110563-AUTHO GLS INTL. INC. 3/22/2019 274782BL110066 R 100-00000-30403 158.50 REFUND DUPLICATE PAYMENT BL 110066-AUTHO GREAT WORLD CUSTOMS SERVICE IN3/22/2019 274784BL 1116 R 100-00000-30403 505.00 REFUND DUPLICATE PAYMENT-AUTHORIZE.NET B HOME DEPOT 3/20/2019 274720B18-1507 R 270-00000-35105 20.80 CANCELLED PERMIT, B18-1507, 69 FRANKLIN AVE 3/20/2019 274720B18-1507 R 270-00000-35101 15.39 CANCELLED PERMIT, B18-1507, 69 FRANKLIN AVE 3/20/2019 274720B18-1507 R 100-10520-32111 0.80 CANCELLED PERMIT, B18-1507, 69 FRANKLIN AVE 3/20/2019 274720B18-1507 R 100-10520-32101 293.20 CANCELLED PERMIT, B18-1507, 69 FRANKLIN AVE 3/20/2019 274720B18-1507 R 100-00000-32101 1.90 CANCELLED PERMIT, B18-1507, 69 FRANKLIN AVE 3/20/2019 274720B18-1803 R 270-00000-35101 2.82 CANCELLED PERMIT, B18-1803, 2590 TARA LANE 3/20/2019 274720B18-1803 R 100-10520-32111 0.80 CANCELLED PERMIT, B18-1803, 2590 TARA LANE 3/20/2019 274720B18-1803 R 270-00000-35105 20.80 CANCELLED PERMIT, B18-1803, 2590 TARA LANE 3/20/2019 274720B18-1803 R 100-00000-32101 0.68 CANCELLED PERMIT, B18-1803, 2590 TARA LANE 3/20/2019 274720B18-1803 R 100-10520-32101 105.20 CANCELLED PERMIT, B18-1803, 2590 TARA LANE 3/20/2019 274720B18-1941 R 270-00000-35105 20.80 CANCELLED PERMIT ,B18-1941, 1224 EDGEWOOD 3/20/2019 274720B18-1941 R 270-00000-35101 1.18 CANCELLED PERMIT ,B18-1941, 1224 EDGEWOOD 3/20/2019 274720B18-1941 R 100-10520-32111 0.80 CANCELLED PERMIT ,B18-1941, 1224 EDGEWOOD 3/20/2019 274720B18-1941 R 100-10520-32101 66.24 CANCELLED PERMIT ,B18-1941, 1224 EDGEWOOD 3/20/2019 274720B18-1941 R 100-00000-32101 0.43 CANCELLED PERMIT ,B18-1941, 1224 EDGEWOOD 3/20/2019 274720B19-0166 R 100-00000-32101 3.13 CANCELLED PERMIT, B19-0166, 3648 GILBERT JO 3/20/2019 274720B19-0166 R 100-10520-32101 481.20 CANCELLED PERMIT, B19-0166, 3648 GILBERT JO 3/20/2019 274720B19-0166 R 100-10520-32111 0.80 CANCELLED PERMIT, B19-0166, 3648 GILBERT JO 3/20/2019 274720B19-0166 R 270-00000-35101 28.63 CANCELLED PERMIT, B19-0166, 3648 GILBERT JO 3/20/2019 274720B19-0166 R 270-00000-35105 20.80 CANCELLED PERMIT, B19-0166, 3648 GILBERT JO 3/29/2019 27498017-499370 R 100-11610-35203 50.00 AMBULANCE TRANSFER REFUND Tuesday, April 2, 2019 Page 27 of 28 VENDOR NAMEDATE CHECK #INVOICE #ACCOUNT #AMOUNT DESCRIPTION Payments issued between and3/18/2019 3/31/2019 -City of South San Francisco REFUNDS/REIMBURSEMENTS 3/27/2019 27485717-351548 R 100-11611-35204 50.00 AMBULANCE TRANSFER REFUND 3/27/2019 27485918-67364 R 100-11610-35203 50.00 AMBULANCE TRANSFER REFUND 3/27/2019 27492717-464981 R 100-11611-35204 50.00 AMBULANCE TRANSFER REFUND MAGDELEINE MOORE 3/20/2019 27473713267115 R 100-17230-35304 53.80 REFUND FOR AQUA ZUMBA CLASS MICHAEL MADRID 3/27/2019 27487313366292 R 100-17250-35301 350.00 REFUND OF DEPOSIT FOR USE OF FERNEKES BLDG MOBILITY EQUIPMENT, INC 3/22/2019 274790BL109483 R 100-00000-30403 202.00 REFUND DUPLICATE PAYMENT BL 109483 - AUTH NANOTEMPER TECHNOLOGIES INC 3/22/2019 274794BL108481 R 100-00000-30403 293.25 REFUND DUPLICATE PAYMENT BL 108481-AUTHO 3/29/2019 27498517-45677 R 100-11611-35204 50.00 AMBULANCE TRANSFER REFUND 3/27/2019 27489518-46538 R 100-11611-35204 300.00 AMBULANCE TRANSFER REFUND 3/27/2019 27486218-13977 R 100-11611-35204 200.00 AMBULANCE TRANSFER REFUND 3/27/2019 27484317-487645 R 100-11610-35203 100.00 AMBULANCE TRANSFER REFUND 3/27/2019 27487518-67413 R 100-11610-35203 100.00 AMBULANCE TRANSFER REFUND THE ENERGUY 3/27/2019 274915B18-1422 R 100-00000-32101 1.05 CANCELLED PERMIT, B18-1422, 2622 MEATH DR 3/27/2019 274915B18-1422 R 100-10520-32101 161.60 CANCELLED PERMIT, B18-1422, 2622 MEATH DR 3/27/2019 274915B18-1422 R 100-10520-32111 0.80 CANCELLED PERMIT, B18-1422, 2622 MEATH DR 3/27/2019 274915B18-1422 R 270-00000-35101 7.14 CANCELLED PERMIT, B18-1422, 2622 MEATH DR 3/27/2019 274915B18-1422 R 270-00000-35105 20.80 CANCELLED PERMIT, B18-1422, 2622 MEATH DR VICTORIA ANN ETCHETO 3/27/2019 274853509063 R 100-00000-35705 17.00 FINES AND FEES REFUND - V. ETCHETO 3/29/2019 27498217-166671 R 100-11610-35203 129.03 AMBULANCE TRANSFER REFUND WEIDNER ARCHITECTURAL SIGNAGE 3/27/2019 274926B18-1043 R 100-00000-30403 2,909.83 REFUND DUPLICATE PAYMENT AUTHORIZE.NET Payments issued for REFUNDS/REIMBURSEMENTS $10,939.95 TOTAL PAYMENTS FOR PERIOD $2,622,485.98 Tuesday, April 2, 2019 Page 28 of 28 City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-261 Agenda Date:4/10/2019 Version:1 Item #:5. Report regarding a resolution approving a transfer of $2,236,224 from the Measure W fund to the Police Asset Seizure Fund for the previous purchase of the Community Civic Campus PUC properties.(Justin Lovell, Financial Services Manager and Jeff Azzopardi, Chief of Police) RECOMMENDATION Staff recommends that the City Council adopt a resolution approving a transfer of $2,236,224 from the Measure W fund to the Police Asset Seizure Fund for the previous purchase of the Community Civic Campus PUC properties. ..Body BACKGROUND/DISCUSSION On July 18,2017 the Oversight Board for the Successor Agency to the Redevelopment Agency of the City of South San Francisco (Oversight Board)adopted resolution 07-2017 that approved the City’s purchase of the San Francisco Public Utility Commission (PUC property)from the Successor Agency of the Redevelopment Agency in the amount of $7,180,000 for the Community Civic Campus project.The following was the funding for the land purchase: ·$2,440,861 - Measure W Fund ·$2,236,224 - Police Asset Seizure ·$2,502,915 - Infrastructure Reserves In January of 2019,the City’s auditor began preparing for the FY 2017-18 single audit,where the City’s federal funds are reviewed and audited.Finance staff along with Police Department staff prepared for the audit and reviewed the FY 2017-18 transactions in the Police Asset Seizure fund. As part of the review,staff were ensuring that the use of the Police Asset Seizure funds were in accordance with the Department of Justice (DOJ)Guide to Equitable Sharing for State,Local,and Tribal Law Enforcement Agencies that was released in September 2018.According to the guidelines,staff determined that to Police Asset Seizure funds should not be used for land purchase but can be used for equipment for the Community Civic Campus project. To administratively correct this transaction,staff is recommending replacing the Police Asset Seizure funds with Measure W Funds for the purchase of the PUC property.This modification does not change the overall funding plan of the Community Civic Campus.The Police Asset Seizure funds will be used later in the project for purchase of furniture and equipment of the new police station. FISCAL IMPACT There is sufficient cash in the Measure W fund to cover the cost of the Police Asset Seizure fund portion of the land purchase. The overall funding plan for the Community Civic Campus does not change. RELATIONSHIP TO STRATEGIC PLAN City of South San Francisco Printed on 4/4/2019Page 1 of 2 powered by Legistar™ File #:19-261 Agenda Date:4/10/2019 Version:1 Item #:5. This is an administrative correction and is not related to the Strategic Plan. CONCLUSION Adopting a resolution refunding the Police Asset Seizure Fund and replacing the funds with Measure W for the purchase of the PUC properties for the Community Civic Campus project will keep the City’s use of Police Asset Seizure funds in compliance with the Department of Justice guidelines and keep the Community Civic Campus project on its current schedule. City of South San Francisco Printed on 4/4/2019Page 2 of 2 powered by Legistar™ City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-262 Agenda Date:4/10/2019 Version:1 Item #:5a. Resolution approving a transfer of $2,236,224 from the Measure W fund to the Police Asset Seizure Fund for the previous purchase of the Community Civic Campus PUC properties. WHEREAS,the City’s auditors chose to audit the use of the Police Asset Seizure Funds as part of the fiscal year (FY) 2017-18 single audit; and WHEREAS,the transfer of the Police Asset Seizure Funds to the General Fund for the purchase of the PUC properties occurred as part of a year-end FY 2017-18 transaction; and WHEREAS,Finance and Police Department staff reviewed the Department of Justice (DOJ)Guide to Equitable Sharing for State, Local, and Tribal Law Enforcement Agencies; and WHEREAS,use of Police Asset Seizure Funds should be used for furniture and equipment and not for land purchase of the Community Civic Campus project; and WHEREAS,to make this administrative correction,refunding the Police Asset Seizure Funds and replacing with Measure W revenues for the PUC land purchase and later using the Police Asset Seizure funds for the Police furniture and equipment will keep the City in compliance with the DOJ guidelines; and WHEREAS, this adjustment will not impact the current Community Civic Campus funding plan. NOW THEREFORE BE IT RESOLVED that the City Council of the City of South San Francisco authorizes the Finance Department to refund the Police Asset Seizure Fund $2,236,224 from the Measure W Fund. ***** City of South San Francisco Printed on 4/11/2019Page 1 of 1 powered by Legistar™ City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-282 Agenda Date:4/10/2019 Version:1 Item #:6. Housing Successor Agency Annual Reports for Fiscal Years 2016-17 and 2017-18 (Nell Selander,Deputy Director of Economic and Community Development) RECOMMENDATION Staff recommends that the City Council receive and file the Housing Successor Agency Annual Reports for Fiscal Years 2016-17 and 2017-18. BACKGROUND/DISCUSSION The City of South San Francisco (“City”)is the Housing Successor Agency (“Housing Successor”)to the former South San Francisco Redevelopment Agency (“Agency”),which was dissolved on February 1,2012. Each housing successor agency is required to prepare an annual report on how it is meeting requirements imposed by Health and Safety Code (“HSC”) Section 34176.1. The report is due to the California Department of Housing and Community Development (“HCD”)by April 1st each year and must be posted on the City’s website.The reports for Fiscal Years 2016-17 and 2017-18 were submitted to HCD by April 1, 2019 and are being presented to the City Council to receive and file. REVIEW AND ANALYSIS The City is meeting all requirements imposed by HSC Section 34176.1 for both Fiscal Years 2016-17 and 2017 -18. The City’s progress on major requirements is summarized below. Housing Asset Fund Activity As of June 30,2018,the Housing Asset Fund balance was approximately $4.7 million ($3.6 million of which is cash).The Housing Asset Fund received $1.4 million in revenues during Fiscal Year 2016-17 and $585,163 in revenues during Fiscal Year 2017-18.Revenues were higher in Fiscal Year 2016-17 due to the sale of a former Agency housing property (380 Alta Vista Drive)for just over $1 million.Other revenue sources include rents, interest income, and loan repayments. The Housing Successor spent $110,245 and $90,093 in Housing Asset Funds in Fiscal Years 2016-17 and 2017- 18, respectively. Expenditures were limited to administrative items, such as payroll, supplies, and services. Real Property Assets and Loans Receivable As the Housing Successor, the City owns four properties with a statutory value of $6.9 million: ·339 -341 Commercial contains two duplexes operated as affordable housing.The properties were originally purchased by the former Agency to mitigate a blighted property and create affordable housing. ·714 -718 Linden contains a triplex operated as affordable housing.The former Agency purchased the property in 2005 to preserve the affordability of the units after the original affordability covenants expired. ·630 Baden contains the Magnolia Senior Apartments,a 125-unit affordable multifamily development. City of South San Francisco Printed on 4/4/2019Page 1 of 3 powered by Legistar™ File #:19-282 Agenda Date:4/10/2019 Version:1 Item #:6. The Housing Successor owns 95,309-square feet of land under the building. ·636 El Camino contains an affordable multifamily housing complex developed by MidPen Housing. The Housing Successor owns 87,121-square feet of land under the building. State law requires all properties transferred from the former Agency to the Housing Successor to be developed with affordable housing or sold by August 31,2017.The City meets this requirement because all properties transferred from the former Agency are operated as affordable housing or have been sold. The Housing Successor also oversees over $21 million in loans receivable from First-Time Homebuyer Loans and Developer Loans issued by the former Agency.However,it is important to note that the majority of the loans receivable balance has been written off as uncollectible in the Housing Asset Fund balance sheet.This is because many of the loans are not payable unless a property is sold or other conditions are met.Any loan repayments are deposited into the Housing Asset Fund. Expenditure Proportionality Requirements Expenditures from the Housing Asset Fund must meet specific proportionality requirements by income level and age. In general: ·Administrative and monitoring expenses are capped at five percent of the value of Housing Successor properties and loans receivable on an annual basis (the cap was $1.4 million in Fiscal Year 2017-18). ·Up to $250,000 may be spent annually on rapid rehousing solutions for homeless. ·If Housing Asset Funds are spent on housing projects and programs,within each five-year compliance period: o At least 30%must be spent on extremely low income households (earning up to 30%of the Area Median Income); o No more than 20%may be spent on low income households (earning 60-80%of the Area Median Income); and o No monies may be spent on moderate or above moderate income households (earning more than 80% of the Area Median Income). ·No more than 50%of rental housing units assisted by the City or the former Redevelopment Agency in the prior 10 years may be restricted to seniors. The City meets the expenditure requirements because it has only incurred administrative expenses thus far that are well below the annual limit.It also meets the senior housing requirement.Of the 191 rental units assisted by the Redevelopment Agency or City within the last 10 years,81 (42%)are restricted to seniors.Staff will ensure these requirements continue to be met with future expenditures. Excess Surplus Housing successors are subject to the same excess surplus requirement as former redevelopment agencies.An agency has an excess surplus if its cash balance is greater than $1 million,and it exceeds the sum of deposits in the prior four years.Housing successors must spend or encumber excess surplus within three fiscal years,or transfer its excess surplus to HCD to spend on statewide housing programs. South San Francisco does not have an excess surplus as of June 30,2018.Although the Housing Asset Fund’s cash balance ($4.6 million)is greater than the sum of deposits in the prior four years ($1.1 million),the City has committed $2.5 million of Housing Asset Funds to the development of affordable housing at 201 Grand City of South San Francisco Printed on 4/4/2019Page 2 of 3 powered by Legistar™ File #:19-282 Agenda Date:4/10/2019 Version:1 Item #:6. Avenue and 418 Linden Avenue. FISCAL IMPACT There are no implications of receiving and filing this annual report on the City’s activities as the housing successor agency to the former Agency. RELATIONSHIP TO STRATEGIC PLAN Submission of this report to HCD is a statutory obligation. CONCLUSION Staff recommends that the City Council receive and file the Housing Successor Agency Annual Reports for Fiscal Years 2016-17 and 2017-18. ATTACHMENTS 1.South San Francisco Housing Successor Agency Annual Report for Fiscal Year 2016-17 2.South San Francisco Housing Successor Agency Annual Report for Fiscal Year 2017-18 City of South San Francisco Printed on 4/4/2019Page 3 of 3 powered by Legistar™ HOUSING SUCCESSOR ANNUAL REPORT South San Francisco Housing Successor Fiscal Year 2016-17 April 1, 2019 TABLE OF CONTENTS INTRODUCTION ................................................................................................................................................ 1  HOUSING SUCCESSOR REPORTING REQUIREMENTS ................................................................................ 1  ASSETS TRANSFERRED TO THE HOUSING SUCCESSOR .......................................................................... 3  HOUSING SUCCESSOR EXPENDITURE REQUIREMENTS ........................................................................... 3  LOW- AND MODERATE-INCOME HOUSING ASSET FUND ........................................................................ 4  HOUSING ASSET FUND DEPOSITS ......................................................................................................... 5  HOUSING ASSET FUND ENDING BALANCE .......................................................................................... 5  OTHER ASSET BALANCES ....................................................................................................................... 6  HOUSING ASSET Fund EXPENDITURES ................................................................................................. 8  MONETARY TRANSFERS BETWEEN HOUSING SUCCESSORS ........................................................... 8  PROPERTY AND PROJECTIONS DESCRIPTION .......................................................................................... 9   STATUS OF DISPOSITION AND DEVELOPMENT .................................................................................. 9  PROPERTY TAX REVENUE RECEIVED ................................................................................................. 10  OUTSTANDING OBLIGATIONS .................................................................................................................... 10  PROPORTIONALITY REQUIREMENTS FOR INCOME GROUPS ................................................................ 11  SENIOR HOUSING ........................................................................................................................................... 11  EXCESS SURPLUS ........................................................................................................................................... 12  INVENTORY OF HOMEOWNERSHIP UNITS ................................................................................................ 13  APPENDIX A --- HOUSING ASSET TRANSFER FORM .................................................................................. 15  1 INTRODUCTION Pursuant to Resolution No. 08-2012 adopted on January 25, 2012, the City of South San Francisco (“City”) elected to take on the housing-related responsibilities of the former South San Francisco Redevelopment Agency (“Agency”) as the Housing Successor Agency (“Housing Successor”). The Housing Successor’s assets were transferred from the former Agency when it dissolved pursuant to the Dissolution Act (enacted by Assembly Bills x1 26 and 1484, Senate Bill 107, and related legislation). All “rights, powers, assets, liabilities, duties, and obligations associated with the housing activities of the former Agency, excluding any amounts in the Low and Moderate-Income Housing Fund” were transferred from the former Agency to the Housing Successor. Although the Housing Successor inherited the former Agency’s housing assets and functions, it does not have an ongoing financing mechanism to maintain them. The former Agency primarily funded projects with redevelopment tax increment, which was abolished with the dissolution of redevelopment. The former Agency prepared a Housing Asset Transfer Form (“HAT”) that provides an inventory of all assets received in the mandatory transfer of assets following the dissolution of redevelopment. The HAT was approved by the Department of Finance (“DOF”) on August 31, 2012. This report gives an update on housing assets transferred from the former Agency. HOUSING SUCCESSOR REPORTING REQUIREMENTS Health & Safety Code (“HSC”) Section 34176.1(f) requires housing successor agencies to prepare an annual report that details compliance with Senate Bill (“SB”) 341 (2013-14), Assembly Bill (“AB”) 1793 (2013-14), SB 107 (2015-16), and AB 346 (2017-18). These bills enacted requirements related to the expenditure of the Low and Moderate Income Housing Asset Funds (“Housing Asset Funds”) and development or disposition of properties transferred from former redevelopment agencies. Figure 1 summarizes the content required in the annual report. The report is due to the California Department of Housing and Community Development (“HCD”) by April 1st annually. State law requires that housing successor agencies must also conduct an independent financial audit of the Housing Asset Fund within six months after the end of each fiscal year, which may be included in the independent financial audit of the host jurisdiction. The City’s Comprehensive Annual Financial Report (“CAFR”) for Fiscal Year 2016-17 is posted on the City’s website. It includes an audit of the Housing Asset Fund.1 1 The financial information presented in this report may not match the figures reported in the CAFR due to adjustments as noted throughout the report. 2 Figure 1. Housing Successor Annual Reporting Requirements Housing Asset Fund Revenues & Expenditures Other Assets and Active Projects Obligations & Proportionality Total amount deposited in the Housing Asset Fund for the fiscal year Description of any project(s) still funded through the Recognized Obligation Payment Schedule (“ROPS”) Description of any outstanding production obligations of the former Agency that are inherited by the Housing Successor Statement of balance at the close of the fiscal year Update on property disposition for any property owned more than five years or plans for property owned less than five years Compliance with proportionality requirements (income group targets), which must be upheld on a five-year cycle Description of expenditures for the fiscal year, broken out as follows:  Rapid rehousing for homelessness prevention (up to $250,000 per year);  Administrative expenses (greater of $200,000 adjusted for inflation or five percent of “portfolio” per year);  Monitoring expenses (included as an administrative expense);  All other expenditures must be reported as spent for each income group (extremely low-, very low-, and low- income) Other “portfolio” balances, including:  Statutory value of any real property either transferred from the former Agency or purchased by the Housing Asset Fund (note that the Successor may only hold property for five years);  Value of loans and grants receivable Percentage of deed-restricted rental housing restricted to seniors and assisted by the entity assuming housing functions, the former Agency, or the County within the past 10 years compared to the total number of units assisted by any of those three agencies Description of any transfers to another housing successor for a joint project Inventory of homeownership units assisted by the former Agency or the City that are subject to covenants or restrictions or to an adopted program that protects the former Agency’s investment of monies from the Low- and Moderate- Income Housing Fund Amount of any excess surplus, and, if any, the plan for eliminating it 3 ASSETS TRANSFERRED TO THE HOUSING SUCCESSOR South San Francisco prepared a HAT in 2012 that provided an inventory of all assets transferred from the Agency to the City following the dissolution of redevelopment. This included the following assets as permitted by HSC Section 34176(e):  Real property  Personal property  Loans receivable  Rents/operations All items on the HAT (attached as Appendix A) were approved by DOF on August 31, 2012. HOUSING SUCCESSOR EXPENDITURE REQUIREMENTS In the months following redevelopment dissolution, the California legislature passed several bills, including SB 341, to clarify issues concerning the activities and assets of former redevelopment agencies. SB 341 reinstated many affordable housing requirements formerly completed by redevelopment agencies. Specifically, HSC Section 34176.1 limits expenditures from the Housing Successor’s Housing Asset Fund as follows:  Administrative Expenditures: Administrative expenditures, which include housing monitoring, are capped at either $200,000 adjusted annually for inflation or five percent of the Housing Asset Fund’s annual portfolio, whichever is greater. The portfolio includes the statutory value of real property owned by the housing successor and of loans and grants receivable. It includes assets transferred from the former Agency pursuant to HSC Section 34176 and purchased or made by the housing successor since dissolution.    Homelessness Prevention: A housing successor is authorized to spend up to $250,000 each year on rapid rehousing solutions for homelessness prevention if all obligations pursuant to HSC Sections 33413 (inclusionary housing) and 33418 (replacement housing) have been fulfilled. South San Francisco is eligible for this expense. The Agency’s Five-Year Implementation Plan drafted in June 2010 reported that the Agency had a surplus of 20 very low income units and 64 affordable (very low to moderate income) units as of June 30, 2009. It also reported the Agency had a two-unit replacement housing obligation. 4 According to assessment data obtained from First American Title’s Metroscan database, there were 396 new residential units developed in the former Agency’s project areas from 2009 through dissolution. This generated an inclusionary housing production requirement of 59 affordable units, of which 30 must be affordable to very low income units. The surplus of 64 affordable units as of June 30, 2009 covers the 59 affordable unit requirement, however there was a need for 10 additional very low income units. The Agency assisted an affordable housing development at 636 El Camino Real that produced 53 very low income units and 55 moderate income units that fulfilled the Agency’s remaining inclusionary production and replacement housing requirement.  Income Proportionality Limits: Remaining allowable expenditures must be spent to expand housing options for low-income households, defined as households earning 80% or less of the area median income (“AMI”). At least 30% of expenditures must be allocated to extremely-low income rental households, or those households earning 30% or less of the AMI. A maximum of 20% may go towards households earning between 60% and 80% of the AMI. No funding may be spent on moderate-income households, defined as households earning 81% to 120% of the AMI. Although housing successors must report expenditures by category each year, compliance with income proportionality limits is reported at the end of each five-year compliance period. The first five-year compliance period began in Fiscal Year 2013-14 (on January 1, 2014) and will end in Fiscal Year 2018- 19 (on June 30, 2019). For example, a housing successor could spend any amount of its funds during Fiscal Year 2013-14 on households earning between 60% and 80% AMI, as long as this amount is 20% or less of the total expenditures by the end of Fiscal Year 2018-19. LOW- AND MODERATE-INCOME HOUSING ASSET FUND The HAT listed 57 assets to transfer from the former Agency to the Housing Successor, including:  8 Real Properties  1 Personal Property  1 Low-Mod Encumbrance  33 loans receivable  9 Rents/Operations  6 Rents All items on the HAT were approved for transfer by DOF on August 31, 2012 except for the single Low- Mod Encumbrance. Since the HAT was approved, 11 loans have been paid off, and 1 new loan has been issued, leaving 23 loans receivable in the Housing Asset Fund as of June 30, 2017. 5 HOUSING ASSET FUND DEPOSITS HSC Section 34176.1 requires housing successors to annually report the amount of funds that were deposited into the Housing Asset Fund during the fiscal year, distinguishing any amounts held for items listed on the ROPS. Deposits for Fiscal Year 2016-17 are shown in Table 1. There was a total of $1,404,416 in deposits in the form of rent revenue, interest income, sales proceeds from the sale of 380 Alta Vista Drive, and loan payments. There were no deposits related to enforceable obligations on the South San Francisco ROPS. HOUSING ASSET FUND ENDING BALANCE HSC Section 34176.1 requires housing successors to submit a statement showing the Housing Asset Fund’s ending balance at the close of the fiscal year, distinguishing any amounts held for items listed on the ROPS. As shown in Table 2, the Housing Successor had $3,559,775 in cash assets and the fund balance as of June 30, 2017 is $4,658,310. Fiscal Year 2016-17 Housing Asset Fund Deposits Table 1 City of South San Francisco Revenue Source Amount1 Rent Revenue 108,764 Interest Income 35,558 Property Sale: 380 Alta Vista Drive 1,016,276 Loan Payments 243,818 1,404,416$ Source: City of South San Francisco, Fund 241 Revenue Detail Report 1Excludes transfers in to reimburse expenses paid from housing bond proceeds and unrealized gains/losses. 6 OTHER ASSET BALANCES HSC Section 34176.1 requires housing successors to report on the statutory value of real properties formerly owned by the former redevelopment agency, and the value of loans and grant receivables listed on the HAT. At the time of approval, the statutory value of all items on the HAT was $36,572,758. As of June 30, 2017, the statutory value of real property and value of loans and grants receivable is $29,098,527, as shown in Table 3. The Housing Successor currently has 23 loans receivable and 4 real properties in the Housing Asset Fund. The Housing Successor received eight properties in 2012 with a total statutory value of $9,616,436. Four properties have been disposed of since dissolution. The remaining properties have a statutory value of $6,884,312 as of June 30, 2017. A more detailed description of the properties is included in the Property and Projects Description section of this Report. Fiscal Year 2016-17 Housing Asset Fund Ending Balance Table 2 City of South San Francisco Balance Type Amount Cash 3,559,775$ Cash Premium/Discount Amortization (8,226) Cash Unrealized Gains/Losses (18,154) Accounts Receivable - Other 7,340 Allowance for Uncollectibles (21,108,055) Accrued Interest Receivable 11,414 Loans Receivable1 22,214,215 4,658,310$ Source: City of South San Francisco, Fund 241 Trial Balance Detail Report 1 See Table 3 for details. Land value is not included under the Housing Successor Agency fund balance reported in the City's Basic Financial Statements for FY 2016-17 because it is accounted for in a separate fund. 7 The Housing Successor maintains the following loans receivable that were transferred from the former Agency in 2012:  12 First Time Homebuyer Loans are administered by the Housing Successor with an outstanding balance of $559,812 as of June 30, 2017. The loans were issued to assist low- and moderate- income first-time home buyers. Since the former Agency’s dissolution, 10 loans have been paid off and 1 new loan has been issued.  11 Developer Loans are administered with an outstanding balance of $21,654,403 as of June 30, 2017. The loans were issued to develop affordable housing. Since dissolution, one developer loans transferred on the HAT has been paid off. It is important to note that $21.1 million of the loans receivable value has been written off as uncollectible, as shown in the asset balance in Table 2. This is because many of the loans are not payable unless a property is sold or other conditions are met. Fiscal Year 2016-17 Real Properties and Receivables Table 3 City of South San Francisco Asset Amount Real Properties 339 - 341 Commercial 804,086 714 - 718 Linden 661,982 630 Baden - Land 948,244 636 El Camino - Land 4,470,000 Subtotal 6,884,312$ Loan Receivables First Time Homebuyer Loans (12) 559,812 Developer Loans (11) 21,654,403 Subtotal 22,214,215$ Total 29,098,527$ Source: City of South San Francisco Finance Department 8 HOUSING ASSET FUND EXPENDITURES HSC Section 34176.1 requires housing successors to provide a description of expenditures from the Housing Asset Fund by category, including expenditures for (A) monitoring and preserving the long-term affordability of units subject to affordability restrictions or covenants entered into by the redevelopment agency or the housing successor, (B) administering such activities, (C) homeless prevention and rapid rehousing services and (D) the development of affordable housing units for various income groups. As shown in Table 4, the Housing Successor had $110,245 in administrative costs in Fiscal Year 2016- 17, which is below the $1,454,926 limit based on 5% of the portfolio balance of $29,098,527. The Housing Successor is in compliance with all expenditure limits in Fiscal Year 2016-17. MONETARY TRANSFERS BETWEEN HOUSING SUCCESSORS HSC Section 34176.1 requires that when two or more contiguous housing successors enter a joint venture, they provide (A) a description of any transfers made in the previous fiscal year and in earlier fiscal years and (B) a description of and status update on any project for which transferred funds have been or will be expended. The Housing Successor has not entered into a joint venture with another housing successor. Therefore, it complies with this legal requirement. Fiscal Year 2016-17 Housing Asset Fund Expenditures Table 4 City of South San Francisco Admin/ Homeless < 30% 31-59% 60-80% Monitoring Prevention AMI Rental AMI AMI FY 2013-14 $0 $0 $0 FY 2014-15 $0 $0 $0 FY 2015-16 $0 $0 $0 FY 2016-17 $110,245 $0 $0 $0 $0 Total Expenditures $110,245 $0 $0 $0 $0 SB 341 Limitation $1,454,926 $250,000 >30% N/A <20% Compliant (Yes/No) Yes Yes Yes Yes Yes Source: City of South San Francisco, Fund 241 Expenditure Detail Report Annual Limits 2016-17 Five-Year Limits January 1, 2014 - June 30, 2019 1Excludes special program expenses that are exempt from HSC 34176.1 requirements because they were paid from former redevelopment agency housing bond proceeds (Brookwood) or pursuant to a loan agreement that was executed prior to dissolution (636 El Camino Real). 9 PROPERTY AND PROJECTIONS DESCRIPTION At the time of dissolution, the former Agency transferred eight real properties, consisting of six properties and two plots of land under their respective buildings, to the Housing Successor. These properties were acquired for the purposes of furthering the development and preservation of low and moderate-income housing within the City. STATUS OF DISPOSITION AND DEVELOPMENT HSC Section 34176.1 requires that all real properties acquired by the former Agency prior to February 1, 2012 and transferred to the Housing Successor be developed pursuant to the requirements detailed in HSC Section 33334.16. Thus, all property that falls within in these parameters must be developed for affordable housing purposes within five years from the date DOF approved the HAT, which is August 31, 2017. The City meets this requirement because all properties transferred from the former Agency to the Housing Successor are already operated as affordable housing or have been sold. When the City assumed the Agency’s housing assets and functions, the former Agency transferred eight real estate property interests to the City, including four multifamily properties, two single family homes, and two parcels of land (land under existing buildings):  310 Miller – 311 Tamarack (APN 012-311-230)  312 Miller – 313 Tamarack (APN 012-311-240)  314 Miller (APN 012-311-250)  339 – 341 Commercial (APN 012-333-050)  714 – 718 Linden (APN 012-145-430)  380 Alta Vista (APN 013-232-170)  630 Baden (APN 012-241-230)  636 El Camino (APN 014-160-040) 310 - 314 Miller (APNs 012-311-230, 240, & 250): These three properties consisting of 13,000 square feet total were donated in May 2016 for $1 to Rotary Plaza, Inc. for the development a multi-family residential building. The property has 81 affordable units, which are to remain affordable for no less than 55 years.   339 – 341 Commercial (APN 012-333-050): This 2,500-square foot lot contains two duplexes. The City purchased the property in 1999 with funding from the former Agency, as well as HOME funds to mitigate the blighted property and create affordable housing units. 10 714 – 718 Linden (APN 012-145-430): A triplex sits on this 3,500-square foot lot located near the City’s Downtown core. The City initially helped the owner rehabilitate the property in return for charging affordable rents. In 2005, when the affordability restriction expired and the owner intended to sell the property, the City purchased the property with funding from the former Agency to preserve the affordability of the units. 380 Alta Vista (APN 013-232-170): A single-family home sits on this 9,100-square foot lot. It was initially purchased by the City to remove blighting conditions and illegal bedrooms in the home. The property was sold in October 2016 and $1,016,276 in sales proceeds were deposited into the Housing Asset Fund. The funds will be used for affordable housing purposes, as required by law. 630 Baden (APN 012-241-230): This site consists of 95,309-square feet of land under Magnolia Senior Apartments, a 125-unit multifamily development. The City purchased the Magnolia/Baden property from the School District using funding from the former Agency to lease it back to Magnolia Plaza Associates as an affordable senior apartment complex. 636 El Camino (APN 014-160-040): The site consists of 87,121-square feet of land under a multifamily development. The former Agency entered into a $9,988,434 loan agreement and ground lease with MP South City II, L.P. in March 2011 for the development of affordable units. The project consists of 108 affordable units, which are to remain affordable for no less than 75 years. PROPERTY TAX REVENUE RECEIVED HSC Section 34176.1 requires housing successors to provide a description of any project for which the housing successor receives or holds property tax revenue pursuant to the ROPS and the status of that project. There are currently no enforceable obligations to the Housing Successor on the ROPS. Therefore, the Housing Successor did not receive or hold property tax revenue pursuant to the ROPS during Fiscal Year 2016-17, and none are anticipated in the future. OUTSTANDING OBLIGATIONS HSC Section 34176.1 requires housing successors to describe (A) any outstanding obligations that were supposed to be transferred to the housing successor at the time of dissolution, (B) the housing successor’s progress in meeting those obligations, and (C) the housing successor’s plans to meet unmet obligations. The Agency did not have an outstanding inclusionary or replacement housing obligations upon its dissolution as previously described. 11 PROPORTIONALITY REQUIREMENTS FOR INCOME GROUPS HSC Section 34176.1 limits Housing Asset Fund expenditures to lower income households earning 80% or less of the AMI. At least 30% of funds must be spent on rental housing for households earning 30% or less of the AMI and not more than 20% of the expenditures can be spent on households earning between 60% and 80% of the AMI. Failure to comply with the extremely low-income requirement in any five-year reporting period will result in the housing successor having to allocate 50% of its remaining funds to extremely low-income rental units until its expenditures comply with proportionality limits. If, at the end of any five-year period, the housing successor exceeds its spending limit for households earning between 60% and 80% of the AMI, it will not be able to spend additional funds on these income groups until its expenditures comply with proportionality limits. As shown in Table 4, the Housing Successor had only administrative expenditures through Fiscal Year 2016-17 that are within the annual limits. With only administrative expenditures to report, the Housing Successor is, by default, compliant with the proportionality requirements of HSC Section 34176.1. SENIOR HOUSING This report must include an accounting of deed-restricted senior rental units that were produced over the last 10 years. If more than 50% of the total aggregate number of rental units produced by the City, Authority, or former Agency during the past 10 years are restricted to seniors, the Housing Successor may not spend more Housing Asset Funds on senior rental housing. As shown in Table 5, the City, Authority, and former Agency developed a total of 189 deed-restricted units, of which 81 (43%) are restricted to seniors. Therefore, the Housing Successor is below the limit allowing no more than 50% of the total aggregate number of rental units produced within the preceding ten years to be restricted to seniors. Deed-Restricted Rental Units Assisted since 2007-08 Table 5 City of South San Francisco Project Name Address # Restricted Units # Senior Restricted Units Year Assisted Covena nt Term 310 Miller 310 Miller Ave. 81 81 2016 55 years 636 El Camino Real 636 El Camino Real 108 0 2011 75 years Total through 2017-18 189 81 % Senior Units 43% Encumbered Units 418 Linden 418 Linden Ave. & 201-219 Grand Ave. 17 0 Total Assisted and Encumbered 206 81 % Senior Units 39% Source: City of San Francisco Encumbered 2018 12 EXCESS SURPLUS Housing successors are required to report (A) the amount of any excess surplus, (B) the amount of time that the successor agency has had the excess surplus, and (C) the housing successor’s plan for eliminating the excess surplus. Excess surplus is defined by HSC Section 34176.1(d) as “an unencumbered amount in the account that exceeds the greater of one million dollars, or the aggregate amount deposited into the account during the housing successor’s preceding four fiscal years, whichever is greater.” Excess surplus calculations were once performed by redevelopment agencies on an annual basis and were intended to ensure that funds are expended to benefit low-income households in a timely manner. SB 341 reinstates this calculation for housing successors. Fiscal Year 2016-17 is the first year the excess surplus can be calculated. According to HSC Section 34176.1, if there is an excess surplus in the Housing Asset Fund, the Housing Successor Agency must expend or encumber excess surplus within three fiscal years. If the Housing Successor Agency fails to comply, it must transfer any excess surplus to HCD within 90 days of the end of the third fiscal year. The Housing Asset Fund does not have an excess surplus for Fiscal Year 2016-17, as shown in Table 6. Although the difference between the ending cash balance and the prior four years of deposits is $2,441,946, the Housing Successor has agreements with ROEM Development Corporation committing $2,450,000 in Housing Asset Funds to develop 201 Grand Avenue and 418 Linden Avenue with affordable housing, leaving no excess surplus. Excess Surplus Calculation Table 6 City of South San Francisco Fiscal Year Aggregate Deposits Ending Cash Balance Encumbrances Estimated Excess Surplus 2012-13 235,138$ -$ n/a 2013-14 250,122$ -$ n/a 2014-15 332,035$ -$ n/a 2015-16 300,534$ -$ n/a 2016-17 1,404,416$ 3,559,775$ 2,450,000$ -$ Deposits FYE 2013-2016 1,117,829$ Cash Balance as of 6/30/17 3,559,775$ Balance Less Deposits FYE 2013-2016 2,441,946$ Encumbrance for ROEM Project 2,450,000$ Excess Surplus as of 6/30/17 -$ Source: City of South San Francisco, Fund 241 Accounting Records 13 INVENTORY OF HOMEOWNERSHIP UNITS Assembly Bill 1793 (“AB 1793”), added requirements to the SB 341 Report, requires the annual reporting of any homeownership units assisted by the Housing Successor that require restrictions, covenants, or an adopted program that protects Housing Asset Fund monies. The Housing Successor assists 70 homeownership units. The inventory is shown in Table 7. Homeownership Unit Inventory Table 7 City of South San Francisco 1 Manday Place # 802 1 25 3/21/2035 1488 ECR #101 1 55 2/8/2064 1488 ECR #104 1 55 3/24/2064 1488 ECR #106 1 55 5/1/2067 1488 ECR #115 1 55 8/21/2064 1488 ECR #202 1 55 11/18/2064 1488 ECR #205 1 55 6/16/2064 1488 ECR #210 1 55 7/14/2064 1488 ECR #214 1 55 7/21/2064 1488 ECR #216 1 55 10/16/2064 1488 ECR #217 1 55 6/30/2064 1488 ECR #220 1 55 6/30/2064 1488 ECR #223 1 55 3/16/2065 1488 ECR #304 1 55 11/10/2064 1488 ECR #313 1 55 12/9/2064 1488 ECR #314 1 55 10/25/2064 2 Farm Road 1 55 11/13/2058 2200 Gellert Blvd #6103 1 30 7/21/2039 2200 Gellert Blvd #6109 1 30 11/1/2036 2200 Gellert Blvd #6111 1 30 11/1/2036 2200 Gellert Blvd #6203 1 30 3/2/2037 2200 Gellert Blvd #6205 1 30 2/10/2037 2200 Gellert Blvd #6207 1 30 11/3/2036 2210 Gellert Blvd #5101 1 45 10/1/2054 2210 Gellert Blvd #5103 1 30 1/30/2037 2210 Gellert Blvd #5105 1 30 1/30/2007 2210 Gellert Blvd #5107 1 30 7/19/2037 2210 Gellert Blvd #5111 1 30 1/30/2037 2210 Gellert Blvd #5203 1 30 1/30/2038 2210 Gellert Blvd #5205 1 30 4/19/2037 Covenant Term (Yrs) Property Address # Units Covenant Expires 14 Homeownership Unit Inventory (continued)Table 7 City of South San Francisco 2210 Gellert Blvd #5209 1 30 1/30/2037 2210 Gellert Blvd #5211 1 30 1/30/2037 2210 Gellert Blvd #5303 1 30 4/11/2037 2210 Gellert Blvd #5309 1 30 1/30/2037 2220 Gellert Blvd #4101 1 30 6/10/2037 2220 Gellert Blvd #4103 1 30 10/3/2037 2220 Gellert Blvd #4107 1 30 6/8/2037 2220 Gellert Blvd #4111 1 30 6/14/2037 2220 Gellert Blvd #4205 1 30 7/29/1905 2220 Gellert Blvd #4211 1 30 5/26/2037 2220 Gellert Blvd #4309 1 30 7/17/2037 2230 Gellert Blvd #3103 1 30 2/25/2038 2230 Gellert Blvd #3105 1 30 12/31/2037 2230 Gellert Blvd #3107 1 30 12/3/2037 2230 Gellert Blvd #3109 1 30 12/10/2037 2230 Gellert Blvd #3203 1 30 12/10/2037 2230 Gellert Blvd #3205 1 30 6/10/2037 2230 Gellert Blvd #3209 1 30 1/8/2038 2230 Gellert Blvd #4109 1 30 12/3/2037 2250 Gellert Blvd #2101 1 30 9/25/2038 2250 Gellert Blvd #2103 1 30 10/6/2038 2250 Gellert Blvd #2107 1 30 8/29/2063 2250 Gellert Blvd #2111 1 30 3/6/2039 2250 Gellert Blvd #2203 1 30 10/6/2038 2250 Gellert Blvd #2303 1 30 10/6/2038 2260 Gellert Blvd #1107 1 30 11/12/2043 2260 Gellert Blvd #1111 1 30 7/31/1905 2260 Gellert Blvd #1207 1 30 5/18/2039 260 Hillside Blvd 1 55 1/24/2058 3775 Radburn Drive 1 30 2/15/2034 3855 Carter Drive #203 1 25 9/1/2034 438 Commercial Ave 1 55 6/30/2060 440 Commercial Ave 1 55 6/30/2060 441 2nd Lane 1 55 6/30/2060 443 2nd Lane 1 55 6/30/2060 56 Farm Road 1 55 1/19/2061 61 Farm Court 1 30 7/25/1905 936 Commercial Ave 1 30 11/10/2041 942 Mission Road 1 25 4/21/2035 958 Commercial Ave 1 55 8/25/2064 *This affordable homeowner unit inventory should be limited to units assisted by the former RDA or Housing Successor. This list was prepared based on housing compliance records, but further research is being conducted to determine exactly which units were assisted by the former RDA or Housing Successor. Covenant Term (Yrs) Property Address # Units Covenant Expires 15 APPENDIX A --- HOUSING ASSET TRANSFER FORM Former Redevelopment Agency:South San Francisco Successor Agency to the Former Redevelopment Agency:South San Francisco Entity Assuming the Housing Functions of the former Redevelopment Agency:South San Francisco Entity Assuming the Housing Functions Contact Name:Armando Sanchez Title Redevelopment Consultant Phone 650-877-8667 Armando.Sanchez@ssf.net Entity Assuming the Housing Functions Contact Name:Marty VanDuyn Title Assistant City Manager Phone 650-877-8500 Marty.VanDuyn@ssf.net The following Exhibits noted with an X in the box are included as part of this inventory of housing assets: Exhibit A - Real Property X Exhibit B- Personal Property X Exhibit C - Low-Mod Encumbrances X Exhibit D - Loans/Grants Receivables X Exhibit E - Rents/Operations X Exhibit F- Rents X Exhibit G - Deferrals Prepared By:Kate Rosenlieb Date Prepared:July 31, 2012 E-Mail Address E-Mail Address All assets transferred to the entity assuming the housing functions between February 1, 2012 and the date the exhibits were created are included in this housing assets list. DEPARTMENT OF FINANCE HOUSING ASSETS LIST ASSEMBLY BILL X1 26 AND ASSEMBLY BILL 1484 (Health and Safety Code Section 34176) Exhibit A - Real Property Item #Carrying Value of Asset Total square footage Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant b/ Date of transfer to Housing Successor Agency Construction or acquisition cost funded with Low-Mod Housing Fund monies Construction or acquisition costs funded with other RDA funds Construction or acquisition costs funded with non- RDA funds Date of construction or acquisition by the former RDA Interest in real property (option to purchase, easement, etc.) 1 717,183 6,000 No N/A 2/1/12 [1] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)715,000 0 269,000 City (not former RDA) acquired property on 5/24/2004 [1]Fee simple 2 804,086 3,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)107,500 0 322,300 8/1/2001 Fee simple 3 586,309 3,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)589,000 0 85,000 10/12/2004 Fee simple 4 669,896 3,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)679,950 0 0 1/24/2008 Fee simple 5 755,118 4,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)862,000 0 0 10/1/2005 Fee simple 6 683,080 9,100 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)1,035,000 0 0 4/29/2005 Fee simple 7 948,244 95,309 Yes California Redevmt. Law / Bond Covenents 2/1/12 [3] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)1,250,795 0 Non-profit housing developer contributed approx. $12.0M to the building construction 1/17/1986 City owns land and leases land to the non- profit housing developer who owns and manages the housing units 8 Land Value of 4,470,000 no valuation on leasehold interest in 4,600 sqft of unfinished commercial space at this time 87,121 Yes California Redevmt. Law / Tax Credits 2/1/12 [3] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)8,767,474 5,690,960 Non-profit housing developer contributed approx. $34.3M to the building construction 3/11/2011 City owns land and has leasehold interest in the commercial sqft. A non- profit housing developer owns and manages the housing units Note: As the Housing Successor, as of 2/1/12, the City became the beneficiary under and the holder of security interests and deed restrictions pursuant to deeds of trust and regulatory agreements recorded in connection with the loans listed on Exhibit D. [1] Grant deed says City owned - This property was always reported as RDA owned but due to an error, the grant deed has always reflected it was City owned. [2] These properties were deeded from the RDA to the City on 3/11/11 and as of 2/1/12 are held by the City in its capacity as Housing Successor. [3] These properties transferred to the City as Housing Successor by operation of law as of 2/1/12. a/ Asset types may include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. b/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. 6,000 APN 012145430 address 714-718 Linden 4-plex Low mod housing APN 012333050 address 339-341 Commerial Ave 4- plex 3,500 City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Type of Asset a/ Low mod housing Square footage reserved for low- mod housing Legal Title and Description Low mod housing with commercial space 3,500 APN 012311240 address 312 Miller - 313 Tamarack 4-plex APN 012311230 address 310 Miller - 311 Tamarack tri-plex APN 012241230 address 630 Baden land under 125 unit Magnolia Senior Apartments 3,500 APN 012311250 address 314 Miller Single Family 95,309 4,500 9,100 APN 013232170 address 380 Alta Vista single family 87,121 APN 014160040 address 636 El Camino land under 109 unit Affordable Housing over 4,600 sqft of 1st floor commercial space Low mod housing Low mod housing Low mod housing Low mod housing Low mod housing Exhibit B - Personal Property Item # Carrying Value of Asset Date of transfer to Housing Successor Agency Acquisition cost funded with Low-Mod Housing Fund monies Acquisition costs funded with other RDA funds Acquisition costs funded with non-RDA funds Date of acquisition by the former RDA 1 $0 carrying value on books, but market value approximately $6,400 2/1/12 (via Resolution 08- 2012 when the City Council opted to become the Successor Housing Agency)N/A N/A N/A N/A City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Type of Asset a/Description a/ Asset types any personal property provided in residences, including furniture and appliances, all housing-related files and loan documents, office supplies, software licenses, and mapping programs, that were acquired for low and moderate income housing purposes, either by purchase or through a loan, in whole or in part, with any source of funds. Appliances (located in Exhibit A properties, items 1 through 6) stoves and refrigerators in these 6 properties Exhibit C - Low-Mod Encumbrances Item # Contractual counterparty Total amount currently owed for the Enforceable Obligation Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant b/ Current owner of the property Construction or acquisition cost funded with Low-Mod Housing Fund monies Construction or acquisition costs funded with other RDA funds Construction or acquisition costs funded with non-RDA funds Date of construction or acquisition of the property 1 Bondholders Remaining housing bond balance is $2,381,531.91 which is adjusted quarterly for interest earnings Not at this time- site to invest these housing bonds funds not yet selected N/A Site not selected yet Remaining housing bond balance is $2,381,531.91 which is adjusted quarterly for interest earnings To be determined To be determined Remaining housing bond proceeds to be shown as a cost on the next ROPS so actual construction or acquisition to occur between Jan and June 2013 1999 was the year the housing bonds were sold. Pending Oversight Board approval, this obligation will be shown on the ROPS for Jan-June 2013. City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Date contract for Enforceable Obligation was executed Type of housing built or acquired with enforceably obligated funds a/ Low mod housing is planned to be built or acquired b/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. a/ May include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. Exhibit D - Loans/Grants Receivables Item # Amount of the loan or grant Date the loan or grant was issued Purpose for which the funds were loaned or granted Are there contractual requirements specifying the purposes for which the funds may be used? Repayment date, if the funds are for a loan Interest rate of loan Current outstanding loan balance (as of June 30, 2012) 1 50,000.00 6/15/2007 1st time homebuyer Yes 6/15/2037 4%50,000.00 2 50,000.00 2/15/2004 1st time homebuyer Yes 2/15/2034 4%46,176.85 3 40,000.00 2/23/2009 1st time homebuyer Yes 2/23/2039 4%40,000.00 4 25,000.00 12/21/2007 1st time homebuyer Yes 12/21/2037 4%25,000.00 5 41,000.00 1/10/2003 1st time homebuyer Yes 1/10/2033 4%36,238.13 6 50,000.00 10/28/2003 1st time homebuyer Yes 10/28/2033 4%48,193.48 7 50,000.00 12/21/2007 1st time homebuyer Yes 12/21/2037 4%50,000.00 8 40,000.00 4/15/2009 1st time homebuyer Yes 4/15/2039 4%40,000.00 9 48,814.43 1/26/2006 1st time homebuyer Yes 4/1/2038 4%48,814.43 10 100,000.00 7/1/2009 1st time homebuyer Yes 7/1/2039 4%100,000.00 11 50,000.00 9/11/2008 1st time homebuyer Yes 9/11/2038 4%50,000.00 12 50,000.00 12/21/2007 1st time homebuyer Yes 12/21/2037 4%50,000.00 13 50,000.00 8/26/2009 1st time homebuyer Yes 8/26/2039 4%50,000.00 14 50,000.00 6/15/2007 1st time homebuyer Yes 6/15/2037 4%50,000.00 15 50,000.00 6/29/2004 1st time homebuyer Yes 6/29/2037 4%50,000.00 16 50,000.00 4/13/2007 1st time homebuyer Yes 4/13/2037 4%50,000.00 17 50,000.00 3/21/2005 1st time homebuyer Yes 3/21/2035 4%47,150.75 18 50,000.00 11/7/2003 1st time homebuyer Yes 11/7/2033 4%47,947.21 19 50,000.00 8/27/2004 1st time homebuyer Yes 8/27/2034 4%46,519.33 20 50,000.00 12/7/2009 1st time homebuyer Yes 12/7/2039 4%50,000.00 21 85,000.00 2/24/2009 1st time homebuyer Yes 2/24/2039 4%85,000.00 22 3,401,795.41 5/31/2001 Dev loan for low/mod Yes 5/31/2056 3%3,401,795.41 23 3,700,000.00 10/28/2005 Dev loan for low/mod Yes 10/28/2060 3%2,828,122.00 24 500,000.00 7/28/1998 Dev loan for low/mod Yes 7/30/2029 4%391,519.34 25 400,000.00 7/28/1998 Dev loan for low/mod Yes 7/30/2029 3%321,911.60 26 1,795,985.00 5/30/2007 Dev loan for low/mod Yes 5/30/2062 3%1,795,985.00 27 827,293.56 3/27/1996 Dev loan for low/mod Yes 2/25/2029 3%827,293.56 28 88,000.00 4/15/2009 Dev loan for low/mod Yes 4/15/2014 4%18,990.00 29 615,000.00 1/4/1999 Dev loan for low/mod Yes 1/4/2039 3%615,000.00 30 9,988,434.09 3/11/2011 Dev loan for low/mod Yes 3/11/2066 3%9,988,434.09 31 3,500,000.00 1/4/1999 Dev loan for low/mod Yes 1/4/2039 3%2,491,572.14 32 120,000.00 3/3/1989 Dev loan for low/mod Yes upon sale 0%120,000.00 33 940,000.00 9/30/1998 Dev loan for low/mod Yes 9/30/2038 3%711,467.91 [1] This loan amount includes $5,690,960 that came from 80% tax increment (see Exhibit A, item 8). Loan Loan Loan Loan Bridge Housing-Oak & Grand Hsng Grand Hotel - 54 Grand Hotel - 55 Martin Metro Martin Metro Mid Pen - 383 Susie Way Mid Pen - 636 El Camino Real Tribby HIP Housing Loan - Commercial Ave Loan Loan Loan Mid Peninsula Housing-Willow Mid Peninsula-Belle Haven, Inc. MP Greenridge Loan Loan Loan Loan Loan [1] Loan Loan City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Tsao Bridge Housing-Chestnut Creek Pablo Parivar Stone Tong & Lam Hankins Junghee Person or entity to whom the loan or grant was issued Loan Cardenas Cheng Andersen Loan Agatep/Tan Loan Loan Was the Low-Mod Housing Fund amount issued for a loan or a grant? Loan Loan Loan Loan Loan Loan Loan Loan Loan Loan Nono Loan Loan Loan Loan Loan Ong Clemente Fong Gregory Hai Lau McFarland Lagomarsino Exhibit E - Rents/Operations Item # Type of property with which they payments are associated b/Property owner Entity that collects the payments Entity to which the collected payments are ultimately remitted Purpose for which the payments are used Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant c/ Item # from Exhibit A the rent/operation is associated with (if applicable) 1 Low mod housing City owns land and leases land to the non- profit housing developer who owns and manages the housing units City City Future affordable housing dev Yes California Redevelopment Law / Bond Covenents 7 Item # from Exhibit D 2 Low mod housing Andersen City City Future affordable housing dev No N/A 2 3 Low mod housing Clemente City City Future affordable housing dev Yes Calif. Redev. Law 5 4 Low mod housing Fong City City Future affordable housing dev Yes Calif. Redev. Law 6 5 Low mod housing Parivar City City Future affordable housing dev No N/A 17 6 Low mod housing Stone City City Future affordable housing dev No N/A 18 7 Low mod housing Tong & Lam City City Future affordable housing dev No N/A 19 8 Low mod housing Grand Hotel - 54 City City Future affordable housing dev Yes Calif. Redev. Law 24 9 Low mod housing Grand Hotel - 55 City City Future affordable housing dev Yes Calif. Redev. Law 25 Note: This Exhibit indicates properties with mixed ownership and properties owned by others that began to produce rental revenues and loan repayments to the housing successor agency as of 2/1/12. Land Rent c/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. b/ May include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. a/ May include revenues from rents, operation of properties, residual receipt payments from developers, conditional grant repayments, costs savings and proceeds from refinancing, and principal and interest payments from homebuyers subject to enforceable income limits. Developer loan repymt.for low/mod City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Developer loan repymt.for low/mod 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. Type of payment a/ 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. Exhibit F - Rents Item # Type of property with which the payments are associated b/Property owner Entity that collects the payments Entity to which the collected payments are ultimately remitted Purpose for which the payments are used Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant c/ Item # from Exhibit A the rent is associated with (if applicable) 1 Low mod housing City City City property operating costs No N/A 1 2 Low mod housing City City City property operating costs No N/A 2 3 Low mod housing City City City property operating costs No N/A 3 4 Low mod housing City City City property operating costs No N/A 4 5 Low mod housing City City City property operating costs No N/A 5 6 Low mod housing City City City property operating costs No N/A 6 Note: This Exhibit indicates properties owned by the housing successor agency that began to produce rental revenues to the housing successor agency as of 2/1/12. Rent Rent Rent Rent City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) b/ May include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. c/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. Type of payment a/ Rent Rent a/ May include rents or home loan payments. HOUSING SUCCESSOR ANNUAL REPORT South San Francisco Housing Successor Fiscal Year 2017-18 April 1, 2019 TABLE OF CONTENTS INTRODUCTION ................................................................................................................................................ 1  HOUSING SUCCESSOR REPORTING REQUIREMENTS ................................................................................ 1  ASSETS TRANSFERRED TO THE HOUSING SUCCESSOR .......................................................................... 3  HOUSING SUCCESSOR EXPENDITURE REQUIREMENTS ........................................................................... 3  LOW- AND MODERATE-INCOME HOUSING ASSET FUND ........................................................................ 4  HOUSING ASSET FUND DEPOSITS ......................................................................................................... 5  HOUSING ASSET FUND ENDING BALANCE .......................................................................................... 5  OTHER ASSET BALANCES ....................................................................................................................... 6  HOUSING ASSET Fund EXPENDITURES ................................................................................................. 8  MONETARY TRANSFERS between housing successors ...................................................................... 8  PROPERTY AND PROJECTIONS DESCRIPTION .......................................................................................... 9   status OF disposition and development ................................................................................................ 9  PROPERTY TAX REVENUE RECEIVED ................................................................................................. 10  OUTSTANDING OBLIGATIONS .................................................................................................................... 10  PROPORTIONALITY REQUIREMENTS FOR INCOME GROUPS ................................................................ 11  SENIOR HOUSING ........................................................................................................................................... 11  EXCESS SURPLUS ........................................................................................................................................... 12  INVENTORY OF HOMEOWNERSHIP UNITS ................................................................................................ 13  APPENDIX A --- HOUSING ASSET TRANSFER FORM .................................................................................. 15  1 INTRODUCTION Pursuant to Resolution No. 08-2012 adopted on January 25, 2012, the City of South San Francisco (“City”) elected to take on the housing-related responsibilities of the former South San Francisco Redevelopment Agency (“Agency”) as the Housing Successor Agency (“Housing Successor”). The Housing Successor’s assets were transferred from the former Agency when it dissolved pursuant to the Dissolution Act (enacted by Assembly Bills x1 26 and 1484, Senate Bill 107, and related legislation). All “rights, powers, assets, liabilities, duties, and obligations associated with the housing activities of the former Agency, excluding any amounts in the Low and Moderate Income Housing Fund” were transferred from the former Agency to the Housing Successor. Although the Housing Successor inherited the former Agency’s housing assets and functions, it does not have an ongoing financing mechanism to maintain them. The former Agency primarily funded projects with redevelopment tax increment, which was abolished with the dissolution of redevelopment. The former Agency prepared a Housing Asset Transfer Form (“HAT”) that provides an inventory of all assets received in the mandatory transfer of assets following the dissolution of redevelopment. The HAT was approved by the Department of Finance (“DOF”) on August 31, 2012. This report gives an update on housing assets transferred from the former Agency. HOUSING SUCCESSOR REPORTING REQUIREMENTS Health & Safety Code (“HSC”) Section 34176.1(f) requires housing successor agencies to prepare an annual report that details compliance with Senate Bill (“SB”) 341 (2013-14), Assembly Bill (“AB”) 1793 (2013-14), SB 107 (2015-16), and AB 346 (2017-18). These bills enacted requirements related to the expenditure of the Low and Moderate Income Housing Asset Funds (“Housing Asset Funds”) and development or disposition of properties transferred from former redevelopment agencies. Figure 1 summarizes the content required in the annual report. The report is due to the California Department of Housing and Community Development (“HCD”) by April 1st annually. State law requires that housing successor agencies must also conduct an independent financial audit of the Housing Asset Fund within six months after the end of each fiscal year, which may be included in the independent financial audit of the host jurisdiction. The City’s Comprehensive Annual Financial Report (“CAFR”) for Fiscal Year 2017-18 is posted on the City’s website. It includes an audit of the Housing Asset Fund.1 1 The financial information presented in this report may not match the figures reported in the CAFR due to adjustments as noted throughout the report. 2 Figure 1. Housing Successor Annual Reporting Requirements Housing Asset Fund Revenues & Expenditures Other Assets and Active Projects Obligations & Proportionality Total amount deposited in the Housing Asset Fund for the fiscal year Description of any project(s) still funded through the Recognized Obligation Payment Schedule (“ROPS”) Description of any outstanding production obligations of the former Agency that are inherited by the Housing Successor Statement of balance at the close of the fiscal year Update on property disposition for any property owned more than five years or plans for property owned less than five years Compliance with proportionality requirements (income group targets), which must be upheld on a five-year cycle Description of expenditures for the fiscal year, broken out as follows:  Rapid rehousing for homelessness prevention (up to $250,000 per year);  Administrative expenses (greater of $200,000 adjusted for inflation or five percent of “portfolio” per year);  Monitoring expenses (included as an administrative expense);  All other expenditures must be reported as spent for each income group (extremely low-, very low-, and low- income) Other “portfolio” balances, including:  Statutory value of any real property either transferred from the former Agency or purchased by the Housing Asset Fund (note that the Successor may only hold property for five years);  Value of loans and grants receivable Percentage of deed-restricted rental housing restricted to seniors and assisted by the entity assuming housing functions, the former Agency, or the County within the past 10 years compared to the total number of units assisted by any of those three agencies Description of any transfers to another housing successor for a joint project Inventory of homeownership units assisted by the former Agency or the City that are subject to covenants or restrictions or to an adopted program that protects the former Agency’s investment of monies from the Low- and Moderate- Income Housing Fund Amount of any excess surplus, and, if any, the plan for eliminating it 3 ASSETS TRANSFERRED TO THE HOUSING SUCCESSOR South San Francisco prepared a HAT in 2012 that provided an inventory of all assets transferred from the Agency to the City following the dissolution of redevelopment. This included the following assets as permitted by HSC Section 34176(e):  Real property  Personal property  Loans receivable  Rents/operations All items on the HAT (attached as Appendix A) were approved by DOF on August 31, 2012. HOUSING SUCCESSOR EXPENDITURE REQUIREMENTS In the months following redevelopment dissolution, the California legislature passed several bills, including SB 341, to clarify issues concerning the activities and assets of former redevelopment agencies. SB 341 reinstated many affordable housing requirements formerly completed by redevelopment agencies. Specifically, HSC Section 34176.1 limits expenditures from the Housing Successor’s Housing Asset Fund as follows:  Administrative Expenditures: Administrative expenditures, which include housing monitoring, are capped at either $200,000 adjusted annually for inflation or five percent of the Housing Asset Fund’s annual portfolio, whichever is greater. The portfolio includes the statutory value of real property owned by the housing successor and of loans and grants receivable. It includes assets transferred from the former Agency pursuant to HSC Section 34176 and purchased or made by the housing successor since dissolution.    Homelessness Prevention: A housing successor is authorized to spend up to $250,000 each year on rapid rehousing solutions for homelessness prevention if all obligations pursuant to HSC Sections 33413 (inclusionary housing) and 33418 (replacement housing) have been fulfilled. South San Francisco is eligible for this expense. The Agency’s Five-Year Implementation Plan drafted in June 2010 reported that the Agency had a surplus of 20 very low income units and 64 affordable (very low to moderate income) units as of June 30, 2009. It also reported the Agency had a two-unit replacement housing obligation. 4 According to assessment data obtained from First American Title’s Metroscan database, there were 396 new residential units developed in the former Agency’s project areas from 2009 through dissolution. This generated an inclusionary housing production requirement of 59 affordable units, of which 30 must be affordable to very low income units. The surplus of 64 affordable units as of June 30, 2009 covers the 59 affordable unit requirement, however there was a need for 10 additional very low income units. The Agency assisted an affordable housing development at 636 El Camino Real that produced 53 very low income units and 55 moderate income units that fulfilled the Agency’s remaining inclusionary production and replacement housing requirement.  Income Proportionality Limits: Remaining allowable expenditures must be spent to expand housing options for low-income households, defined as households earning 80% or less of the area median income (“AMI”). At least 30% of expenditures must be allocated to extremely-low income rental households, or those households earning 30% or less of the AMI. A maximum of 20% may go towards households earning between 60% and 80% of the AMI. No funding may be spent on moderate-income households, defined as households earning 81% to 120% of the AMI. Although housing successors must report expenditures by category each year, compliance with income proportionality limits is reported at the end of each five-year compliance period. The first five-year compliance period began in Fiscal Year 2013-14 (on January 1, 2014) and will end in Fiscal Year 2018- 19 (on June 30, 2019). For example, a housing successor could spend any amount of its funds during Fiscal Year 2013-14 on households earning between 60% and 80% AMI, as long as this amount is 20% or less of the total expenditures by the end of Fiscal Year 2018-19. LOW- AND MODERATE-INCOME HOUSING ASSET FUND The HAT listed 57 assets to transfer from the former Agency to the Housing Successor, including:  8 Real Properties  1 Personal Property  1 Low-Mod Encumbrance  33 loans receivable  9 Rents/Operations  6 Rents All items on the HAT were approved for transfer by DOF on August 31, 2012 except for the single Low- Mod Encumbrance. Since the HAT was approved, 14 loans have been paid off, and 2 new loans have been issued, leaving 21 loans receivable in the Housing Asset Fund. 5 HOUSING ASSET FUND DEPOSITS HSC Section 34176.1 requires housing successors to annually report the amount of funds that were deposited into the Housing Asset Fund during the fiscal year, distinguishing any amounts held for items listed on the ROPS. Deposits for Fiscal Year 2017-18 are shown in Table 1. There was a total of $585,163 in deposits in the form of rent revenue, interest income, and loan payments. There were no deposits related to enforceable obligations on the South San Francisco ROPS. HOUSING ASSET FUND ENDING BALANCE HSC Section 34176.1 requires housing successors to submit a statement showing the Housing Asset Fund’s ending balance at the close of the fiscal year, distinguishing any amounts held for items listed on the ROPS. As shown in Table 2, the Housing Successor had $4,801,715 in cash assets and the fund balance as of June 30, 2018 is $5,778,282. Fiscal Year 2017-18 Housing Asset Fund Deposits Table 1 City of South San Francisco Revenue Source Amount1 Rent Revenue 171,149 Interest Income 53,421 Loan Payments 407,683 Unrealized Gains/Losses (47,091) 585,163$ Source: City of South San Francisco, Fund 241 Revenue Status Report 1Excludes transfers in to reimburse expenses paid from housing bond proceeds and unrealized gains/losses. 6 OTHER ASSET BALANCES HSC Section 34176.1 requires housing successors to report on the statutory value of real properties formerly owned by the former redevelopment agency, and the value of loans and grant receivables listed on the HAT. At the time of approval, the statutory value of all items on the HAT was $36,572,758. As of June 30, 2018, the statutory value of real property and value of loans and grants receivable is $28,168,072, as shown in Table 3. The Housing Successor currently has 21 loans receivable and 4 real properties in the Housing Asset Fund. The Housing Successor received eight properties in 2012 with a total statutory value of $9,616,436. Four properties have been disposed of since dissolution. The remaining properties have a statutory value of $6,867,118 as of June 30, 2018. A more detailed description of the properties is included in the Property and Projects Description section of this Report. Fiscal Year 2017-18 Housing Asset Fund Ending Balance Table 2 City of South San Francisco Balance Type Amount Cash 4,801,715$ Cash with Fiscal Agent - Cash Premium/Discount Amortization (6,274) Cash Unrealized Gains/Losses (65,245) Accounts Receivable - General - Accounts Receivable - Other 6,989 Allowance for Uncollectibles (20,280,761) Accrued Interest Receivable 20,905 Loans Receivable1 21,300,954 5,778,282$ Source: City of South San Francisco, Fund 241 Trial Balance Detail Report 1 See Table 3 for details. Land value is not included under the Housing Successor Agency fund balance reported in the City's Basic Financial Statements for FY 2017-18 because it is accounted for in a separate fund. 7 The Housing Successor maintains the following loans receivable that were transferred from the former Agency in August 2012 or issued by the Housing Successor after dissolution:  11 First Time Homebuyer Loans are administered by the Housing Successor with an outstanding balance of $509,405 as of June 30, 2018. The loans were issued to assist low- and moderate- income first-time home buyers. Since the former Agency’s dissolution, 12 loans have been paid off and 2 new loans have been issued.  10 Developer Loans are administered with an outstanding balance of $20,791,549 as of June 30, 2018. The loans were issued to develop affordable housing. Since dissolution, two developer loans transferred on the HAT have been paid off. It is important to note that $20.3 million of the loans receivable value has been written off as uncollectible, as shown in the asset balance in Table 2. This is because many of the loans are not payable unless a property is sold or other conditions are met. Fiscal Year 2017-18 Real Properties and Receivables Table 3 City of South San Francisco Asset Amount Real Properties 339 - 341 Commercial 804,086 714 - 718 Linden 644,788 630 Baden - Land 948,244 636 El Camino - Land 4,470,000 Subtotal 6,867,118$ Loan Receivables First Time Homebuyer Loans (11) 509,405 Developer Loans (10) 20,791,549 Subtotal 21,300,954$ Total 28,168,072$ Source: City of South San Francisco Finance Department 8 HOUSING ASSET FUND EXPENDITURES HSC Section 34176.1 requires housing successors to provide a description of expenditures from the Housing Asset Fund by category, including expenditures for (A) monitoring and preserving the long-term affordability of units subject to affordability restrictions or covenants entered into by the redevelopment agency or the housing successor, (B) administering such activities, (C) homeless prevention and rapid rehousing services and (D) the development of affordable housing units for various income groups. As shown in Table 4, the Housing Successor had $90,093 in administrative costs in Fiscal Year 2017- 18, which is below the $1,408,404 limit based on 5% of the portfolio balance of $28,168,072. The Housing Successor is in compliance with all expenditure limits in Fiscal Year 2017-18. MONETARY TRANSFERS BETWEEN HOUSING SUCCESSORS HSC Section 34176.1 requires that when two or more contiguous housing successors enter a joint venture, they provide (A) a description of any transfers made in the previous fiscal year and in earlier fiscal years and (B) a description of and status update on any project for which transferred funds have been or will be expended. The Housing Successor has not entered into a joint venture with another housing successor. Therefore, it complies with this legal requirement. Fiscal Year 2017-18 Housing Asset Fund Expenditures Table 4 City of South San Francisco Admin/ Homeless < 30% 31-59% 60-80% Monitoring Prevention AMI Rental AMI AMI FY 2013-14 $0 $0 $0 FY 2014-15 $0 $0 $0 FY 2015-16 $0 $0 $0 FY 2016-17 $0 $0 $0 FY 2017-18 $90,093 $0 $0 $0 $0 Total Expenditures $90,093 $0 $0 $0 $0 SB 341 Limitation $1,408,404 $250,000 >30% N/A <20% Compliant (Yes/No) Yes Yes Yes Yes Yes Source: City of South San Francisco, Fund 241 Expenditure Status Report Annual Limits 2017-18 Five-Year Limits January 1, 2014 - June 30, 2019 1Excludes special program expenses that are exempt from HSC 34176.1 requirements because they were paid from former redevelopment agency housing bond proceeds (Brookwood) or pursuant to a loan agreement that was executed prior to dissolution (636 El Camino Real). 9 PROPERTY AND PROJECTIONS DESCRIPTION At the time of dissolution, the former Agency transferred eight real properties, consisting of six properties and two plots of land under their respective buildings, to the Housing Successor. These properties were acquired for the purposes of furthering the development and preservation of low and moderate-income housing within the City. STATUS OF DISPOSITION AND DEVELOPMENT HSC Section 34176.1 requires that all real properties acquired by the former Agency prior to February 1, 2012 and transferred to the Housing Successor be developed pursuant to the requirements detailed in HSC Section 33334.16. Thus, all property that falls within in these parameters must be developed for affordable housing purposes within five years from the date DOF approved the HAT, which is August 31, 2017. The City meets this requirement because all properties transferred from the former Agency to the Housing Successor are already operated as affordable housing or have been sold. When the City assumed the Agency’s housing assets and functions, the former Agency transferred eight real estate property interests to the City, including four multifamily properties, two single family homes, and two parcels of land (land under existing buildings):  310 Miller – 311 Tamarack (APN 012-311-230)  312 Miller – 313 Tamarack (APN 012-311-240)  314 Miller (APN 012-311-250)  339 – 341 Commercial (APN 012-333-050)  714 – 718 Linden (APN 012-145-430)  380 Alta Vista (APN 013-232-170)  630 Baden (APN 012-241-230)  636 El Camino (APN 014-160-040) 310 - 314 Miller (APNs 012-311-230, 240, & 250): Three properties consisting of 13,000 square feet total were donated in May 2016 for $1 to Rotary Plaza, Inc. for the development affordable multifamily housing. The property has 81 affordable units, which are to remain affordable for no less than 55 years.   339 – 341 Commercial (APN 012-333-050): This 2,500-square foot lot contains two duplexes. The City purchased the property in 1999 with funding from the former Agency, as well as HOME funds to mitigate the blighted property and create affordable housing units. 10 714 – 718 Linden (APN 012-145-430): A triplex sits on this 3,500-square foot lot located near the City’s Downtown core. The City initially helped the owner rehabilitate the property in return for charging affordable rents. In 2005, when the affordability restriction expired and the owner intended to sell the property, the City purchased the property with funding from the former Agency to preserve the affordability of the units. 380 Alta Vista (APN 013-232-170): A single-family home sits on this 9,100-square foot lot. It was initially purchased by the City to remove blighting conditions and illegal bedrooms in the home. The property was sold in October 2016 and $1,016,276 in sales proceeds were deposited into the Housing Asset Fund. The funds will be used for affordable housing purposes, as required by law. 630 Baden (APN 012-241-230): The Housing Successor owns 95,309-square feet of land under the Magnolia Plaza Senior Apartments, a 125-unit affordable senior apartment complex. The City purchased the Magnolia/Baden property from a local school district using funding from the former Agency and leases the land to Magnolia Plaza Associates as affordable housing. 636 El Camino (APN 014-160-040): The Housing Successor owns 87,121-square feet of land under an affordable multifamily development operated by MidPen Housing. The former Agency entered into a $9,988,434 loan agreement and ground lease with MP South City II, L.P. in March 2011 for the development of affordable units. The project consists of 108 affordable units, which are to remain affordable for no less than 75 years. PROPERTY TAX REVENUE RECEIVED HSC Section 34176.1 requires housing successors to provide a description of any project for which the housing successor receives or holds property tax revenue pursuant to the ROPS and the status of that project. There are currently no enforceable obligations to the Housing Successor on the ROPS. Therefore, the Housing Successor did not receive or hold property tax revenue pursuant to the ROPS during Fiscal Year 2017-18, and none are anticipated in the future. OUTSTANDING OBLIGATIONS HSC Section 34176.1 requires housing successors to describe (A) any outstanding obligations that were supposed to be transferred to the housing successor at the time of dissolution, (B) the housing successor’s progress in meeting those obligations, and (C) the housing successor’s plans to meet unmet obligations. The Agency did not have an outstanding inclusionary or replacement housing obligations upon its dissolution as previously described. 11 PROPORTIONALITY REQUIREMENTS FOR INCOME GROUPS HSC Section 34176.1 limits Housing Asset Fund expenditures to lower income households earning 80% or less of the AMI. At least 30% of funds must be spent on rental housing for households earning 30% or less of the AMI and not more than 20% of the expenditures can be spent on households earning between 60% and 80% of the AMI. Failure to comply with the extremely low-income requirement in any five-year reporting period will result in the housing successor having to allocate 50% of its remaining funds to extremely low-income rental units until its expenditures comply with proportionality limits. If, at the end of any five-year period, the housing successor exceeds its spending limit for households earning between 60% and 80% of the AMI, it will not be able to spend additional funds on these income groups until its expenditures comply with proportionality limits. As shown in Table 4, the Housing Successor had only administrative expenditures through Fiscal Year 2017-18 that are within the annual limits. With only administrative expenditures to report, the Housing Successor is, by default, compliant with the proportionality requirements of HSC Section 34176.1. SENIOR HOUSING This report must include an accounting of deed-restricted senior rental units that were produced over the last 10 years. If more than 50% of the total aggregate number of rental units produced by the City, Authority, or former Agency during the past 10 years are restricted to seniors, the Housing Successor may not spend more Housing Asset Funds on senior rental housing. As shown in Table 5, the City, Authority, and former Agency developed a total of 189 deed-restricted units, of which 81 (43%) are restricted to seniors. Therefore, the Housing Successor is below the limit allowing no more than 50% of the total aggregate number of rental units produced within the preceding ten years to be restricted to seniors. Deed-Restricted Rental Units Assisted since 2008-09 Table 5 City of South San Francisco Project Name Address # Restricted Units # Senior Restricted Units Year Assisted Covenant Term 310 Miller 310 Miller Ave. 81 81 2016 55 years 636 El Camino Real 636 El Camino Real 108 0 2011 75 years Total through 2017-18 189 81 % Senior Units 43% Encumbered Units 418 Linden 418 Linden Ave. & 201-219 Grand Ave. 17 0 Total Assisted and Encumbered 206 81 % Senior Units 39% Encumbered 2018 12 EXCESS SURPLUS Housing successors are required to report (A) the amount of any excess surplus, (B) the amount of time that the successor agency has had the excess surplus, and (C) the housing successor’s plan for eliminating the excess surplus. Excess surplus is defined by HSC Section 34176.1(d) as “an unencumbered amount in the account that exceeds the greater of one million dollars, or the aggregate amount deposited into the account during the housing successor’s preceding four fiscal years, whichever is greater.” Excess surplus calculations were once performed by redevelopment agencies on an annual basis and were intended to ensure that funds are expended to benefit low-income households in a timely manner. SB 341 reinstates this calculation for housing successors. According to HSC Section 34176.1 , if there is an excess surplus in the Housing Asset Fund, the Housing Successor Agency must expend or encumber excess surplus within three fiscal years. If the Housing Successor Agency fails to comply, it must transfer any excess surplus to HCD within 90 days of the end of the third fiscal year. The Housing Asset Fund does not have an excess surplus for Fiscal Year 2017-18, as shown in Table 6. Although the difference between the ending cash balance and the prior four years of deposits is $2,441,946, the Housing Successor has agreements with ROEM Development Corporation committing $2,450,000 in Housing Asset Funds to develop 201 Grand Avenue and 418 Linden Avenue with affordable housing, leaving no excess surplus. Excess Surplus Calculation Table 6 City of South San Francisco Fiscal Year Aggregate Deposits Ending Cash Balance Encumbrances Estimated Excess Surplus 2012-13 235,138$ -$ n/a 2013-14 250,122$ -$ n/a 2014-15 332,035$ -$ n/a 2015-16 300,534$ -$ n/a 2016-17 1,404,416$ 3,559,775$ 2,450,000$ -$ Deposits FYE 2013-2016 1,117,829$ Cash Balance as of 6/30/17 3,559,775$ Balance Less Deposits FYE 2013-2016 2,441,946$ Encumbrance for ROEM Project 2,450,000$ Excess Surplus as of 6/30/17 -$ Source: City of South San Francisco, Fund 241 Accounting Records 13 INVENTORY OF HOMEOWNERSHIP UNITS Assembly Bill 1793 (“AB 1793”), added requirements to the SB 341 Report, requires the annual reporting of any homeownership units assisted by the Housing Successor that require restrictions, covenants, or an adopted program that protects Housing Asset Fund monies. The Housing Successor assists 70 homeownership units. The inventory is shown in Table 7. Homeownership Unit Inventory Table 7 City of South San Francisco 1 Manday Place # 802 1 25 3/21/2035 1488 ECR #101 1 55 2/8/2064 1488 ECR #104 1 55 3/24/2064 1488 ECR #106 1 55 5/1/2067 1488 ECR #115 1 55 8/21/2064 1488 ECR #202 1 55 11/18/2064 1488 ECR #205 1 55 6/16/2064 1488 ECR #210 1 55 7/14/2064 1488 ECR #214 1 55 7/21/2064 1488 ECR #216 1 55 10/16/2064 1488 ECR #217 1 55 6/30/2064 1488 ECR #220 1 55 6/30/2064 1488 ECR #223 1 55 3/16/2065 1488 ECR #304 1 55 11/10/2064 1488 ECR #313 1 55 12/9/2064 1488 ECR #314 1 55 10/25/2064 2 Farm Road 1 55 11/13/2058 2200 Gellert Blvd #6103 1 30 7/21/2039 2200 Gellert Blvd #6109 1 30 11/1/2036 2200 Gellert Blvd #6111 1 30 11/1/2036 2200 Gellert Blvd #6203 1 30 3/2/2037 2200 Gellert Blvd #6205 1 30 2/10/2037 2200 Gellert Blvd #6207 1 30 11/3/2036 2210 Gellert Blvd #5101 1 45 10/1/2054 2210 Gellert Blvd #5103 1 30 1/30/2037 2210 Gellert Blvd #5105 1 30 1/30/2007 2210 Gellert Blvd #5107 1 30 7/19/2037 2210 Gellert Blvd #5111 1 30 1/30/2037 2210 Gellert Blvd #5203 1 30 1/30/2038 2210 Gellert Blvd #5205 1 30 4/19/2037 Covenant Term (Yrs.) Property Address # Units Covenant Expires 14 Homeownership Unit Inventory (continued)Table 7 City of South San Francisco 2210 Gellert Blvd #5209 1 30 1/30/2037 2210 Gellert Blvd #5211 1 30 1/30/2037 2210 Gellert Blvd #5303 1 30 4/11/2037 2210 Gellert Blvd #5309 1 30 1/30/2037 2220 Gellert Blvd #4101 1 30 6/10/2037 2220 Gellert Blvd #4103 1 30 10/3/2037 2220 Gellert Blvd #4107 1 30 6/8/2037 2220 Gellert Blvd #4111 1 30 6/14/2037 2220 Gellert Blvd #4205 1 30 7/29/1905 2220 Gellert Blvd #4211 1 30 5/26/2037 2220 Gellert Blvd #4309 1 30 7/17/2037 2230 Gellert Blvd #3103 1 30 2/25/2038 2230 Gellert Blvd #3105 1 30 12/31/2037 2230 Gellert Blvd #3107 1 30 12/3/2037 2230 Gellert Blvd #3109 1 30 12/10/2037 2230 Gellert Blvd #3203 1 30 12/10/2037 2230 Gellert Blvd #3205 1 30 6/10/2037 2230 Gellert Blvd #3209 1 30 1/8/2038 2230 Gellert Blvd #4109 1 30 12/3/2037 2250 Gellert Blvd #2101 1 30 9/25/2038 2250 Gellert Blvd #2103 1 30 10/6/2038 2250 Gellert Blvd #2107 1 30 8/29/2063 2250 Gellert Blvd #2111 1 30 3/6/2039 2250 Gellert Blvd #2203 1 30 10/6/2038 2250 Gellert Blvd #2303 1 30 10/6/2038 2260 Gellert Blvd #1107 1 30 11/12/2043 2260 Gellert Blvd #1111 1 30 7/31/1905 2260 Gellert Blvd #1207 1 30 5/18/2039 260 Hillside Blvd 1 55 1/24/2058 3775 Radburn Drive 1 30 2/15/2034 3855 Carter Drive #203 1 25 9/1/2034 438 Commercial Ave 1 55 6/30/2060 440 Commercial Ave 1 55 6/30/2060 441 2nd Lane 1 55 6/30/2060 443 2nd Lane 1 55 6/30/2060 56 Farm Road 1 55 1/19/2061 61 Farm Court 1 30 7/25/1905 936 Commercial Ave 1 30 11/10/2041 942 Mission Road 1 25 4/21/2035 958 Commercial Ave 1 55 8/25/2064 *This affordable homeowner unit inventory should be limited to units assisted by the former RDA or Housing Successor. This list was prepared based on housing compliance records, but further research is being conducted to determine exactly which units were assisted by the former RDA or Housing Successor. Covenant Term (Yrs.) Property Address # Units Covenant Expires 15 APPENDIX A --- HOUSING ASSET TRANSFER FORM Former Redevelopment Agency:South San Francisco Successor Agency to the Former Redevelopment Agency:South San Francisco Entity Assuming the Housing Functions of the former Redevelopment Agency:South San Francisco Entity Assuming the Housing Functions Contact Name:Armando Sanchez Title Redevelopment Consultant Phone 650-877-8667 Armando.Sanchez@ssf.net Entity Assuming the Housing Functions Contact Name:Marty VanDuyn Title Assistant City Manager Phone 650-877-8500 Marty.VanDuyn@ssf.net The following Exhibits noted with an X in the box are included as part of this inventory of housing assets: Exhibit A - Real Property X Exhibit B- Personal Property X Exhibit C - Low-Mod Encumbrances X Exhibit D - Loans/Grants Receivables X Exhibit E - Rents/Operations X Exhibit F- Rents X Exhibit G - Deferrals Prepared By:Kate Rosenlieb Date Prepared:July 31, 2012 E-Mail Address E-Mail Address All assets transferred to the entity assuming the housing functions between February 1, 2012 and the date the exhibits were created are included in this housing assets list. DEPARTMENT OF FINANCE HOUSING ASSETS LIST ASSEMBLY BILL X1 26 AND ASSEMBLY BILL 1484 (Health and Safety Code Section 34176) Exhibit A - Real Property Item #Carrying Value of Asset Total square footage Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant b/ Date of transfer to Housing Successor Agency Construction or acquisition cost funded with Low-Mod Housing Fund monies Construction or acquisition costs funded with other RDA funds Construction or acquisition costs funded with non- RDA funds Date of construction or acquisition by the former RDA Interest in real property (option to purchase, easement, etc.) 1 717,183 6,000 No N/A 2/1/12 [1] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)715,000 0 269,000 City (not former RDA) acquired property on 5/24/2004 [1]Fee simple 2 804,086 3,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)107,500 0 322,300 8/1/2001 Fee simple 3 586,309 3,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)589,000 0 85,000 10/12/2004 Fee simple 4 669,896 3,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)679,950 0 0 1/24/2008 Fee simple 5 755,118 4,500 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)862,000 0 0 10/1/2005 Fee simple 6 683,080 9,100 No N/A 2/1/12 [2] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)1,035,000 0 0 4/29/2005 Fee simple 7 948,244 95,309 Yes California Redevmt. Law / Bond Covenents 2/1/12 [3] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)1,250,795 0 Non-profit housing developer contributed approx. $12.0M to the building construction 1/17/1986 City owns land and leases land to the non- profit housing developer who owns and manages the housing units 8 Land Value of 4,470,000 no valuation on leasehold interest in 4,600 sqft of unfinished commercial space at this time 87,121 Yes California Redevmt. Law / Tax Credits 2/1/12 [3] (via Resolution 08-2012 when the City Council opted to become the Successor Housing Agency)8,767,474 5,690,960 Non-profit housing developer contributed approx. $34.3M to the building construction 3/11/2011 City owns land and has leasehold interest in the commercial sqft. A non- profit housing developer owns and manages the housing units Note: As the Housing Successor, as of 2/1/12, the City became the beneficiary under and the holder of security interests and deed restrictions pursuant to deeds of trust and regulatory agreements recorded in connection with the loans listed on Exhibit D. [1] Grant deed says City owned - This property was always reported as RDA owned but due to an error, the grant deed has always reflected it was City owned. [2] These properties were deeded from the RDA to the City on 3/11/11 and as of 2/1/12 are held by the City in its capacity as Housing Successor. [3] These properties transferred to the City as Housing Successor by operation of law as of 2/1/12. a/ Asset types may include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. b/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. 6,000 APN 012145430 address 714-718 Linden 4-plex Low mod housing APN 012333050 address 339-341 Commerial Ave 4- plex 3,500 City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Type of Asset a/ Low mod housing Square footage reserved for low- mod housing Legal Title and Description Low mod housing with commercial space 3,500 APN 012311240 address 312 Miller - 313 Tamarack 4-plex APN 012311230 address 310 Miller - 311 Tamarack tri-plex APN 012241230 address 630 Baden land under 125 unit Magnolia Senior Apartments 3,500 APN 012311250 address 314 Miller Single Family 95,309 4,500 9,100 APN 013232170 address 380 Alta Vista single family 87,121 APN 014160040 address 636 El Camino land under 109 unit Affordable Housing over 4,600 sqft of 1st floor commercial space Low mod housing Low mod housing Low mod housing Low mod housing Low mod housing Exhibit B - Personal Property Item # Carrying Value of Asset Date of transfer to Housing Successor Agency Acquisition cost funded with Low-Mod Housing Fund monies Acquisition costs funded with other RDA funds Acquisition costs funded with non-RDA funds Date of acquisition by the former RDA 1 $0 carrying value on books, but market value approximately $6,400 2/1/12 (via Resolution 08- 2012 when the City Council opted to become the Successor Housing Agency)N/A N/A N/A N/A City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Type of Asset a/Description a/ Asset types any personal property provided in residences, including furniture and appliances, all housing-related files and loan documents, office supplies, software licenses, and mapping programs, that were acquired for low and moderate income housing purposes, either by purchase or through a loan, in whole or in part, with any source of funds. Appliances (located in Exhibit A properties, items 1 through 6) stoves and refrigerators in these 6 properties Exhibit C - Low-Mod Encumbrances Item # Contractual counterparty Total amount currently owed for the Enforceable Obligation Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant b/ Current owner of the property Construction or acquisition cost funded with Low-Mod Housing Fund monies Construction or acquisition costs funded with other RDA funds Construction or acquisition costs funded with non-RDA funds Date of construction or acquisition of the property 1 Bondholders Remaining housing bond balance is $2,381,531.91 which is adjusted quarterly for interest earnings Not at this time- site to invest these housing bonds funds not yet selected N/A Site not selected yet Remaining housing bond balance is $2,381,531.91 which is adjusted quarterly for interest earnings To be determined To be determined Remaining housing bond proceeds to be shown as a cost on the next ROPS so actual construction or acquisition to occur between Jan and June 2013 1999 was the year the housing bonds were sold. Pending Oversight Board approval, this obligation will be shown on the ROPS for Jan-June 2013. City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Date contract for Enforceable Obligation was executed Type of housing built or acquired with enforceably obligated funds a/ Low mod housing is planned to be built or acquired b/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. a/ May include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. Exhibit D - Loans/Grants Receivables Item # Amount of the loan or grant Date the loan or grant was issued Purpose for which the funds were loaned or granted Are there contractual requirements specifying the purposes for which the funds may be used? Repayment date, if the funds are for a loan Interest rate of loan Current outstanding loan balance (as of June 30, 2012) 1 50,000.00 6/15/2007 1st time homebuyer Yes 6/15/2037 4%50,000.00 2 50,000.00 2/15/2004 1st time homebuyer Yes 2/15/2034 4%46,176.85 3 40,000.00 2/23/2009 1st time homebuyer Yes 2/23/2039 4%40,000.00 4 25,000.00 12/21/2007 1st time homebuyer Yes 12/21/2037 4%25,000.00 5 41,000.00 1/10/2003 1st time homebuyer Yes 1/10/2033 4%36,238.13 6 50,000.00 10/28/2003 1st time homebuyer Yes 10/28/2033 4%48,193.48 7 50,000.00 12/21/2007 1st time homebuyer Yes 12/21/2037 4%50,000.00 8 40,000.00 4/15/2009 1st time homebuyer Yes 4/15/2039 4%40,000.00 9 48,814.43 1/26/2006 1st time homebuyer Yes 4/1/2038 4%48,814.43 10 100,000.00 7/1/2009 1st time homebuyer Yes 7/1/2039 4%100,000.00 11 50,000.00 9/11/2008 1st time homebuyer Yes 9/11/2038 4%50,000.00 12 50,000.00 12/21/2007 1st time homebuyer Yes 12/21/2037 4%50,000.00 13 50,000.00 8/26/2009 1st time homebuyer Yes 8/26/2039 4%50,000.00 14 50,000.00 6/15/2007 1st time homebuyer Yes 6/15/2037 4%50,000.00 15 50,000.00 6/29/2004 1st time homebuyer Yes 6/29/2037 4%50,000.00 16 50,000.00 4/13/2007 1st time homebuyer Yes 4/13/2037 4%50,000.00 17 50,000.00 3/21/2005 1st time homebuyer Yes 3/21/2035 4%47,150.75 18 50,000.00 11/7/2003 1st time homebuyer Yes 11/7/2033 4%47,947.21 19 50,000.00 8/27/2004 1st time homebuyer Yes 8/27/2034 4%46,519.33 20 50,000.00 12/7/2009 1st time homebuyer Yes 12/7/2039 4%50,000.00 21 85,000.00 2/24/2009 1st time homebuyer Yes 2/24/2039 4%85,000.00 22 3,401,795.41 5/31/2001 Dev loan for low/mod Yes 5/31/2056 3%3,401,795.41 23 3,700,000.00 10/28/2005 Dev loan for low/mod Yes 10/28/2060 3%2,828,122.00 24 500,000.00 7/28/1998 Dev loan for low/mod Yes 7/30/2029 4%391,519.34 25 400,000.00 7/28/1998 Dev loan for low/mod Yes 7/30/2029 3%321,911.60 26 1,795,985.00 5/30/2007 Dev loan for low/mod Yes 5/30/2062 3%1,795,985.00 27 827,293.56 3/27/1996 Dev loan for low/mod Yes 2/25/2029 3%827,293.56 28 88,000.00 4/15/2009 Dev loan for low/mod Yes 4/15/2014 4%18,990.00 29 615,000.00 1/4/1999 Dev loan for low/mod Yes 1/4/2039 3%615,000.00 30 9,988,434.09 3/11/2011 Dev loan for low/mod Yes 3/11/2066 3%9,988,434.09 31 3,500,000.00 1/4/1999 Dev loan for low/mod Yes 1/4/2039 3%2,491,572.14 32 120,000.00 3/3/1989 Dev loan for low/mod Yes upon sale 0%120,000.00 33 940,000.00 9/30/1998 Dev loan for low/mod Yes 9/30/2038 3%711,467.91 [1] This loan amount includes $5,690,960 that came from 80% tax increment (see Exhibit A, item 8). Loan Loan Loan Loan Bridge Housing-Oak & Grand Hsng Grand Hotel - 54 Grand Hotel - 55 Martin Metro Martin Metro Mid Pen - 383 Susie Way Mid Pen - 636 El Camino Real Tribby HIP Housing Loan - Commercial Ave Loan Loan Loan Mid Peninsula Housing-Willow Mid Peninsula-Belle Haven, Inc. MP Greenridge Loan Loan Loan Loan Loan [1] Loan Loan City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Tsao Bridge Housing-Chestnut Creek Pablo Parivar Stone Tong & Lam Hankins Junghee Person or entity to whom the loan or grant was issued Loan Cardenas Cheng Andersen Loan Agatep/Tan Loan Loan Was the Low-Mod Housing Fund amount issued for a loan or a grant? Loan Loan Loan Loan Loan Loan Loan Loan Loan Loan Nono Loan Loan Loan Loan Loan Ong Clemente Fong Gregory Hai Lau McFarland Lagomarsino Exhibit E - Rents/Operations Item # Type of property with which they payments are associated b/Property owner Entity that collects the payments Entity to which the collected payments are ultimately remitted Purpose for which the payments are used Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant c/ Item # from Exhibit A the rent/operation is associated with (if applicable) 1 Low mod housing City owns land and leases land to the non- profit housing developer who owns and manages the housing units City City Future affordable housing dev Yes California Redevelopment Law / Bond Covenents 7 Item # from Exhibit D 2 Low mod housing Andersen City City Future affordable housing dev No N/A 2 3 Low mod housing Clemente City City Future affordable housing dev Yes Calif. Redev. Law 5 4 Low mod housing Fong City City Future affordable housing dev Yes Calif. Redev. Law 6 5 Low mod housing Parivar City City Future affordable housing dev No N/A 17 6 Low mod housing Stone City City Future affordable housing dev No N/A 18 7 Low mod housing Tong & Lam City City Future affordable housing dev No N/A 19 8 Low mod housing Grand Hotel - 54 City City Future affordable housing dev Yes Calif. Redev. Law 24 9 Low mod housing Grand Hotel - 55 City City Future affordable housing dev Yes Calif. Redev. Law 25 Note: This Exhibit indicates properties with mixed ownership and properties owned by others that began to produce rental revenues and loan repayments to the housing successor agency as of 2/1/12. Land Rent c/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. b/ May include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. a/ May include revenues from rents, operation of properties, residual receipt payments from developers, conditional grant repayments, costs savings and proceeds from refinancing, and principal and interest payments from homebuyers subject to enforceable income limits. Developer loan repymt.for low/mod City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) Developer loan repymt.for low/mod 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. Type of payment a/ 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. 1st time homebuyer loan repymt. Exhibit F - Rents Item # Type of property with which the payments are associated b/Property owner Entity that collects the payments Entity to which the collected payments are ultimately remitted Purpose for which the payments are used Is the property encumbered by a low-mod housing covenant? Source of low- mod housing covenant c/ Item # from Exhibit A the rent is associated with (if applicable) 1 Low mod housing City City City property operating costs No N/A 1 2 Low mod housing City City City property operating costs No N/A 2 3 Low mod housing City City City property operating costs No N/A 3 4 Low mod housing City City City property operating costs No N/A 4 5 Low mod housing City City City property operating costs No N/A 5 6 Low mod housing City City City property operating costs No N/A 6 Note: This Exhibit indicates properties owned by the housing successor agency that began to produce rental revenues to the housing successor agency as of 2/1/12. Rent Rent Rent Rent City of South San Francisco Inventory of Assets Received Pursuant to Health and Safety Code section 34176 (a) (2) b/ May include low-mod housing, mixed-income housing, low-mod housing with commercial space, mixed-income housing with commercial space. c/ May include California Redevelopment Law, tax credits, state bond indentures, and federal funds requirements. Type of payment a/ Rent Rent a/ May include rents or home loan payments. City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-302 Agenda Date:4/10/2019 Version:1 Item #:7. Report regarding consideration and appointment of one large business member to the General Plan Community Advisory Committee and one alternate.(Marian Lee, Assistant City Manager) RECOMMENDATION Staff recommends City Council,by motion,vote to appoint one large business member to the General Plan Community Advisory Committee, and consider appointing an alternate large business member. BACKGROUND/DISCUSSION A General Plan is the local government’s long-term blueprint for the community’s vision of future growth.Each city is required by California law to have a General Plan to guide its future land use decisions. A report regarding the General Plan purpose,scope and approximate two-year planning process was presented to City Council on August 8,2018.At that meeting,staff was given direction to proceed with this effort and there was substantive discussion about the General Plan Community Advisory Committee (GPCAC)that would be newly formed for the General Plan update.The GPCAC would be expected to meet regularly during the preparation of the General Plan and advise staff and City Council on notable matters related to the General Plan. The GPCAC presently includes 12 members. 11 members have been appointed, as follows: ·5 residential members ·1 small business member ·1 large business member ·2 Planning Commissioners ·1 Parks and Recreation Commissioner ·1 School Board Member At this meeting,City Council is being asked to appoint the last member and one alternate.At the City Council special meeting on March 27,2019,the City Council reviewed three large business applications.With four of the five City Council members present,the business member representing Kaiser was appointed with unanimous approval.The applicants representing Genentech and Actelion were split with a two-to-two vote. Councilmembers agreed to request Councilmember Nicolas to interview the two candidates and return to this council meeting to inform the selection process.Councilmember Nicolas has conducted the interviews and is ready to share her review. STRATEGIC PLAN This action supports the Strategic Plan priorities related to updating the General Plan.They include Priority #2 Quality of Life, Priority #5 Economic Vitality and Priority #6 Community Connections. FISCAL IMPACT City of South San Francisco Printed on 4/4/2019Page 1 of 2 powered by Legistar™ File #:19-302 Agenda Date:4/10/2019 Version:1 Item #:7. This action has no fiscal impact. CONCLUSION Staff recommends that the City Council select the final GPCAC Large Business member community,and the alternate. Attachment: Applications from Actelion and Genentech City of South San Francisco Printed on 4/4/2019Page 2 of 2 powered by Legistar™ CITY COUNCIL SPECIAL MEETING APRIL 10, 2019 VOTING BALLOT GENERAL PLAN COMMUNITY ADVISORY COMMITTEE 2-YEAR TERM LARGE BUSINESS MEMBER VOTE FOR ONE (1) Signed: Martin McCrane Councilmember Addiego Councilmember Nagales Mayor Matsumoto Vice Mayor Garbarino Councilmember Nicolas City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-124 Agenda Date:4/10/2019 Version:1 Item #:8. Report regarding a resolution authorizing the write-off of $499,950.07 in uncollectable ambulance billing accounts receivable.(Richard Walls, Emergency Medical Services Chief) RECOMMENDATION It is recommended that the City Council adopt a resolution authorizing the write-off of $499,950.07 in uncollectable ambulance billing accounts receivable. BACKGROUND/DISCUSSION The purpose of this staff report is to recommend that City Council write-off the balances of 476 uncollectable ambulance accounts,totaling $499,950.07.Department staff last presented City Council with a write off on October 10,2018.This write off today consists of any debt that has been found to be uncollectable since that last write off date,plus nearly $350,000 in remaining debt from Novato Fire Protection District (Novato)and ADPI,the previous billing providers for the City’s ambulance service.This write-off does not include $37,245 of uncollected revenue from accounts that originated with Novato,but are still being pursued for reimbursement. Efforts to Collect The $499,950.07 deemed uncollectable has gone through multiple layers of collection efforts.The majority of the uncollectable accounts were reviewed by the department’s current ambulance billing contractor,Wittman Enterprises,LLC (Wittman).All of the accounts have then been further reviewed by Resolve Insurance Systems (Resolve),the department’s secondary billing provider.The remainder of the uncollectable accounts originated with our previous billing contractors,Novato and ADPI,then went to Resolve.Wittman uses specialized software that identifies patient demographics and locates any insurance programs which a patient may be qualified and assigns a claim to those benefits.Wittman can usually complete this process within a few months and any claim that has had no activity after 90 days then gets transferred to Resolve for secondary review.Resolve then uses a proprietary process to validate findings by Wittman,identify or improve patient demographics, and appeal any benefit denials received without ever contacting the patient. This “two tiered”approach to collections has proven more effective than prior processes,increasing the success of collection efforts.Once these processes have been completed,however,staff stops short of the formal collections process for ambulance billing. Remaining Accounts Receivables With this action,ambulance accounts receivable will become $2,977,431.19 as of December 31,2018,well below the goal of two times the annual revenue that the department has attempted to maintain.Included in the department’s aged accounts amount of $2,977,431.19 is $1,576,527.59 of uncollected debt that is still being processed by Resolve and may eventually need some portion to be written off.Our current aged accounts represents mostly newer debt.Only 18 of the accounts are from March 2016 or earlier with a value of $63,892.87.These accounts are still being processed by Resolve and are not ready to be removed from the department’s accounts receivable at this time.Fire department staff has collected an additional $385,371.12 by Wittman and $283,627.60 by Resolve since implementing these secondary and sometimes tertiary collection levels.Any account listed for write off in this package has been through all collection levels utilized by the City City of South San Francisco Printed on 4/4/2019Page 1 of 2 powered by Legistar™ File #:19-124 Agenda Date:4/10/2019 Version:1 Item #:8. and has been determined to be uncollectable at every step in our revenue cycle. It is the goal of the SSFFD to regularly report the status of these accounts.Accounts that have been vetted and no longer have recoverable revenue will be recommended for write off.With this regular reporting we are appreciating a more consistent number of write offs with reduced balances. Attachment 1,Recommend Write-Off Summary,summarizes the accounts by year and by original billing contractor.While this write off contains 476 accounts,it finally closes the relationship between the City and ADPI, and also puts us significantly closer to closing all accounts originated with Novato. RELATIONSHIP TO STRATEGIC PLAN This Staff Report is related to Strategic Plan Initiative 3.1 in that it is pursuing financial stability to support City operations. CONCLUSION It is recommended that City Council adopt a resolution to write-off $499,950.07 in uncollectable ambulance billing accounts receivable. Attachment: 1.Recommended Write-Off Summary City of South San Francisco Printed on 4/4/2019Page 2 of 2 powered by Legistar™ Year Accounts Remaining Bal 2012 1 $1,540.48 2014 4 $7,363.88 2015 5 $7,042.52 2016 236 $327,648.18 2017 197 $147,101.06 2018 33 $9,253.95 Grand Total 476 $499,950.07 Write off accounts by Year ATTACHMENT 1 City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-126 Agenda Date:4/10/2019 Version:1 Item #:8a. Resolution authorizing the write-off of $499,950.07 in uncollectable ambulance billing accounts receivable. WHEREAS,staff recommends that City Council write off uncollectable ambulance accounts,totaling $499,950.07; and WHEREAS,the number of accounts that are no longer collectable is 476 with a balance of $499,950.07,hereto attached as Exhibit A, and WHEREAS,these accounts have been vetted through our primary and secondary billing vendors and no longer have recoverable revenue. NOW,THEREFORE,BE IT RESOLVED by the City Council of the City of South San Francisco that the City Council hereby approves the write-off of $499,950.07 in uncollectable ambulance billing accounts receivable, as detailed in Exhibit A, attached to this resolution and incorporated herein. BE IT FURTHER RESOLVED THAT,by the City Council of the City of South San Francisco that the City Council hereby authorizes the City Manager,or his designee,to take any action consistent with the intent of this resolution. ***** City of South San Francisco Printed on 4/11/2019Page 1 of 1 powered by Legistar™ Account‐Run Number Date of Service Original Amount Balance 14432455 41262 1540.48 1540.48 20418987 41822 1970.23 1970.23 20613771 41843 1909.75 1909.75 20938396 41874 1834.63 1834.63 21388315 41917 1649.27 1649.27 22635120 42025 1584.91 1584.91 23042582 42059 1590.27 1590.27 24338293 42102 1879.99 1879.99 24841051 42141 1500.24 ‐ $1385.98 =  114.35 35058457 42302 1873 1873 36609493 42389 1903 1903 36993502 42417 1690 1690 37019812 42419 1838 1838 37435793 42445 1768 1768 37616453 42458 1938 1938 37616447 42459 1943 1943 ESF16001318 42462 1938 1938 ESF16001332 42463 1,768.00 1768 ESF16001347 42464 1,410.00 1410 406201601 42466 63.00 63 ESF16001376 42466 785.00 781.5 408201603 42468 820 795.5 ESF16001419 42470 1873 250 ESF16001428 42470 2,044.00 2044 ESF16001432 42471 1778.5 1778.5 411201604 42471 $68.00 68 ESF16001458 42473 1,845.00 1845 ESF16001462 42473 1,922.00 1922 ESF16001483 42474 1,929.00 1929 ESF16001492 42475 1,733.00 1733 418201601 42478 62.00 62 ESF16001546 42479 694 694 16001532 42479 $1,482.00 ‐ $1271.53  210.47 ESF16001544 42479 750.00 732.5 420201601 42480 62.00 62 SSR161140021 42483 2967 2472 ESF16001589 42483 200.00 200 ESF16001606 42484 1,508.00 1508 2016002018 42487 200.00 200 2016002025 42488 $100.00 99.5 2016002087 42491 1,778.00 1778 2016002093 42491 1,957.00 1957 2016002136 42494 1768 1768 List of Write Off Accounts 10‐Apr‐19 Page 1 of 11 2016002122 42494 1,820.00 1820 2016002142 42495 71 71 2016002188 42497 729.00 729 2016002248 42500 1,227.00 50 2016002253 42501 1588.5 1588.5 2016002270 42502 $112.00 111.03 2016002268 42502 1,515.00 1515 2016002342 42507 113.00 112.33 2016002365 42508 $116.00 115.37 2016002415 42511 $117.00 116.82 2016002437 42512 1,455.00 1455 2016002456 42512 1,824.00 1824 2016002516 42516 98.00 97.04 2016002504 42516 97.00 96.89 2016002523 42517 2,074.00 2074 2016002600 42521 1,768.00 ‐ 1718.00 = 5 50 2016002596 42521 1,785.00 1785 21 42524 1469.5 1469.5 2016002706 42527 1841.5 1841.5 2016002709 42527 98.00 97.9 2016002699 42527 $200.00 200 2016002716 42528 2116.5 2116.5 2016002798 42532 1,904.00 1904 2016002838 42534 112.00 111.89 2016002861 42536 111.00 110.3 2016002866 42536 $117.00 116.53 2016003009 42544 543.00 543 2016003036 42546 1585 1585 2016003025 42546 2,530.00 2530 2016003029 42546 1,529.00 1529 2016003054 42548 110.00 109.29 2016003071 42550 1,438.00 1438 2016003092 42551 $100.00 99.21 2016003133 42553 $75.00 75 2016003161 42555 2,145.00 2145 2016003166 42555 2,045.00 2045 2016003196 42556 2050 2050 2016003184 42556 $98.00 97.91 2016003222 42558 $109.00 108.91 2016003250 42559 $2180.00 ‐ $1930.00 =250 2016003243 42559 $2,250.00 2250 2016003253 42560 2545 2545 2016003261 42560 2,155.00 2155 2016003296 42562 825.00 825 2016003341 42565 2,240.00 2240 2016003363 42567 2055 2055 2016003364 42567 2080 2080 Page 2 of 11 2016003378 42568 100.00 99.35 2016003400 42570 98.00 97.18 2016003424 42571 2210 2210 2016003418 42571 2105 2105 2016003438 42572 113.00 112.47 2016003497 42576 $2200.00 ‐ $325.30 =  1874.7 2016003529 42578 200.00 200 2016003521 42578 110.00 110 2016003543 42579 2,200.00 440 2016003569 42581 2090 2090 2016003556 42581 2,070.00 2070 2016003587 42583 109.00 108.33 2016003588 42583 2,130.00 2130 2016003591 42583 2,040.00 ‐ 1990.00 50 2016003618 42584 2,055.00 ‐ 275.78 200 2016003628 42585 2,205.00 2205 2016003621 42585 2,210.00 98.34 2016003685 42588 2,105.00 2105 2016003678 42588 2,200.00 2200 2016003700 42589 2275 2275 2016003706 42590 175.00 175 2016003730 42591 2,145.00 ‐ 2095.00 = 5 50 2016003719 42591 2,140.00 2140 2016003743 42592 2,200.00 2200 2016003736 42592 2,270.00 ‐ 2170.00 100 2016003752 42593 1,985.00 1985 2016003773 42593 2,160.00 2160 2016003756 42593 $2,270.00 2270 2016003784 42594 2,235.00 2235 2016003776 42594 2,160.00 2160 2016003805 42596 2,205.00 ‐ 382.63 1822.37 2016003799 42596 2,210.00 2210 2016003828 42597 2,255.00 2255 2016003835 42598 96.00 96 2016003845 42598 $200.00 200 2016003880 42600 $200.00 200 2016003877 42600 2,135.00 2135 2016003892 42601 3015 3015 2016003882 42601 2,230.00 2230 2016003897 42602 $200.00 200 2016003923 42603 $2,185.00 2185 2016003965 42606 2,415.00 ‐ 1797.75 617.25 2016004003 42607 2,170.00 2170 2016004018 42608 2,170.00 2170 2016004023 42609 2,025.00 2025 2016004050 42611 2,045.00 2045 2016004075 42612 1,995.00 1995 Page 3 of 11 2016004076 42613 100.00 99.21 2016004087 42614 2,020.00 2020 2016004118 42616 2,050.00 2050 2016004104 42616 2,210.00 2210 2016004141 42617 2,210.00 2210 2016004169 42619 2,195.00 2195 2016004191 42620 2,190.00 2190 2016004231 42622 603.00 603 2016004233 42623 2255 2255 2016004237 42623 2,240.00 2240 2016004240 42623 98.00 97.33 2016004253 42624 1,950.00 1950 2016004252 42624 2,330.00 2330 2016004255 42625 $117.00 116.38 2016004300 42628 2,325.00 2325 2016004330 42630 $115.00 114.5 2016004346 42631 2,010.00 2010 2016004376 42632 454.00 454 2016004355 42632 $1,950.00 1950 20160043791 42633 2275 2275 2016004392A 42633 1,950.00 1950 2016004433 42636 1950 1950 2016004455 42637 2,285.00 2285 2016004479 42638 2,195.00 2195 2016004509 42641 2,290.00 2290 2016004496 42641 2,145.00 2145 2016004526 42642 2,300.00 2300 2016004524 42642 2,310.00 2310 2016004569 42644 2,135.00 2135 2016004594 42645 2,050.00 2050 2016004628 42647 2,260.00 2260 2016004652 42647 2,335.00 2335 2016004654 42648 2300 250 2016004667 42649 2,230.00 2230 2016004688 42650 112.00 111.89 2016004711 42651 2,270.00 2270 2016004719 42652 2215 2215 2016004724 42652 2,170.00 2170 2016004766 42654 2,270.00 ‐ 2156.50 113.5 2016004755 42654 2,210.00 2210 2016004802 42656 2,310.00 2310 2016004807 42657 2,250.00 2250 2016004830 42657 2,200.00 2200 2016004850 42659 2190 2190 2016004859 42659 2,210.00 2210 2016004887 42661 2,180.00 2180 2016004894 42661 2105 ‐ 1684.00 421 Page 4 of 11 2016004898 42662 2,260.00 ‐ 1582.00 678 2016004939 42663 2,250.00 2250 2016004924 42663 2,105.00 2105 2016004985 42666 2,310.00 ‐ 2260.00 50 2016004983 42666 535.00 535 2016005001 42668 2230 2230 2016005012 42668 2,160.00 2160 2016005015 42668 2,160.00 2160 2016005040 42670 2,175.00 2175 2016005059 42671 115 114.5 2016005050 42671 $99.00 98.77 20160050670 42672 2,140.00 2140 2016005101 42674 2,015.00 200 2016005134 42675 2140 2140 2016005183 42678 2020 2020 2016005195 42679 2030 2030 2016005198 42679 2215 2215 2016005221 42681 110 109.58 20160043000 42682 2325 2325 20160042933 42682 2105 2105 20160042977 42682 2,420.00 250 20160042988 42682 2,220.00 175 201600430666 42682 2,090.00 ‐ 1990.00 100 2016005295 42685 2155.00 2155 2016005336 42685 2195 2195 2016005293 42685 $50.00 50 2016005318 42687 2100 2100 2016005395 42690 2040 ‐ 1990.00 50 2016005414 42691 2255 2255 2016005403 42691 $2,125.00 54.71 2016005447 42693 2130 2130 2016005480 42695 2005 2005 2016005501 42697 2145 2145 2016005511 42697 2040 2040 2016005502 42697 $200.00 200 201600521 42698 2150 2150 2016005564 42700 2295 2295 2016005563 42700 114 113.05 2016005622 42703 2225 2225 2016005664 42704 2210 2210 2016005727 42708 2,205.00 2205 2016005726 42708 2240 2240 2016005756 42709 1950 1950 2016005748 42709 110 109.87 2016005770 42710 $117.00 116.67 2016005817 42713 2,100.00 2100 2016005858 42715 2230 2230 Page 5 of 11 2016005878 42716 2270 ‐ 1816.00 454 2016005892 42717 2085 2085 2016005895 42718 111 110.01 2016005916 42719 2285 2285 2016005909 42719 2185 2185 2016005920 42719 2,200.00 100 2016005928 42720 2,250.00 287.5 2016005957 42722 93.00 92.84 2016005993 42723 2185 2185 2016006007 42724 425 275 2016006001 42724 $2,245.00 2245 2016006074 42727 2,555.00 2555 2016006172 42733 2185 2185 2016006164 42733 114.00 113.49 2016006157 42733 $2,260.00 2260 2017000046 42737 50.00 50 2017000066 42738 2230 2230 2017000079 42738 2200 2200 2017000047 42738 $50.00 50 2017000092 42739 200 200 2017000094 42739 300.00 300 2017000093 42739 200.00 200 2017000078 42739 110.00 109.4 2017000127 42742 100.00 100 2017000132 42742 250.00 250 2017000143 42743 2,070.00 2070 2017000165 42744 250.00 250 2017000207 42745 200.00 200 2017000205 42745 2,240.00 2240 2017000225 42746 297.00 297 2017000324 42747 211.00 210.5 2017000238 42747 221.00 221 20170003511 42747 200.00 200 2017000289 42750 2,000.00 50 2017000285 42750 $200.00 200 20170002888 42751 2,470.00 118.87 2017000303 42751 50.00 50 2017000334 42752 2140 2140 2017000389 42754 98 97.57 2017000482 42759 200.00 200 2017000502 42760 2,200.00 50 2017000526 42761 1,950.00 1950 2017000529 42762 200 200 2017000533 42762 2,260.00 2260 2017000556 42763 2,140.00 2140 2017000582 42764 725.00 725 2017000606 42765 2,270.00 2270 Page 6 of 11 2017000591 42765 200.00 200 2017000622 42766 117 116.69 2017000626 42767 2,000.00 2000 2017000638 42767 114.00 114 2017000639 42767 2165 2165 2017000658 42768 2105 2105 2017000688 42770 75.00 75 2017000690 42771 200.00 200 2017000732 42773 115.00 115 2017000747 42773 115.00 114.21 2017000778 42775 100.00 100 2017000811 42777 2070 2070 2017000816 42778 200.00 200 2017000840 42779 2,105.00 94.8 2017000891 42782 2205 2205 2017000903 42782 50.00 50 2017000908 42783 247.00 246.87 2017000911 42783 50.00 50 2017000954 42785 $50.00 50 2017000980 42787 150.00 150 2017001019 42790 2565 2565 2017001040 42791 2,235.00 200 2017001064 42792 2,000.00 50 2017001063 42792 98.00 98 2017001084 42793 2,170.00 113.63 2017001098 42794 2,260.00 2260 2017001110 42795 200.00 200 2017001154 42797 2055 200 2017001175 42798 2395 2395 2017001180 42798 200.00 200 2017001187 42799 50.00 50 2017001240 42803 2,105.00 200 2017001259 42804 200.00 200 2017001283 42805 2,165.00 93.05 2017001329 42808 2,030.00 255.94 2017001345 42809 $350.00 350 ESF17001230 42812 2,250.00 2250 ESF17001324 42818 $2250.00 ‐ $2150.00 =100 ESF17001351 42821 2050 2050 ESF17001423 42825 2250 2250 ESF17001494 42831 2250 ‐ 139.50 = 2110. 2110.5 ESF17001529 42834 2150 2150 ESF17001551 42835 2,100.00 50 EMS17015943 42835 2000 ‐ 1855.52 145 ESF17001552 42835 2370 2370 ESF17001565 42836 2,300.00 660 ESF17001667 42843 2,100.00 284 Page 7 of 11 ESF17001699 42844 1,975.00 200 ESF17001711 42845 2250 2250 ESF17001735 42847 2,160.00 96.4 ESF17001869 42857 2,150.00 96.11 ESF17001871 42857 2,200.00 2200 ESF17001890 42859 2,350.00 2350 ESF17001897 42859 $2,190.00 97.28 ESF17001892 42859 2050 2050 ESF17001891 42859 2300 2300 ESF17001914 42861 2,300.00 2300 ESF17001917 42862 2,200.00 2200 ESF17001959 42864 2,550.00 125 ESF17001965 42864 2150 2150 ESF17001969 42865 2450 150 ESF17001970 42865 2,255.00 116.1 ESF17002005 42867 2,110.00 111.88 ESF17002007 42867 2,300.00 2300 ESF17002018 42868 2,200.00 ‐ $67.38 = $2 2132.62 ESF17002034 42869 $2,200.00 2200 ESF17002037 42869 2,100.00 488.26 ESF17002057 42870 2,190.00 114.21 ESF17002072 42872 2000 2000 ESF17002087 42873 2,250.00 ‐ 585.46 1664.54 ESF17002084 42873 2,200.00 2200 ESF17002118 42874 2250 1664.54 ESF17002137 42875 $2,180.00 96.99 ESF17002130 42875 2,300.00 2300 ESF17002190 42878 $2,210.00 97.86 ESF17002225 42880 2,010.00 200 ESF17002233 42881 2250 2250 ESF17002246 42882 2,560.00 121.5 ESF17002240 42882 2,200.00 2200 ESF17002284 42884 2,190.00 114.21 ESF17002277 42884 2,330.00 200 ESF17002311 42886 2,250.00 2250 ESF17002381 42890 2,300.00 2300 ESF17002386 42891 2,220.00 150 ESF17002502 42899 2,150.00 250 ESF17002618 42906 2150 394 ESF17002699 42912 2,210.00 114.79 ESF17002727 42914 2,250.00 225 ESF17002779 42919 2,100.00 50 ESF17002789 42920 2,350.00 50 ESF17002795 42921 2060 200 ESF17002830 42924 1950 1950 ESF17002859 42926 2,150.00 50 ESF17002867 42927 2300 2300 Page 8 of 11 ESF17002908 42931 2,000.00 2000 ESF17002936 42934 2060 200 ESF17002959 42935 2180 150 ESF17002994 42938 2,150.00 50 ESF17003024 42940 $2,235.00 98.59 ESF17003058 42943 2,250.00 250 ESF17003068 42943 2,050.00 2050 ESF17003098 42945 1,960.00 183.94 ESF17003093 42945 2,100.00 50 ESF17003106 42946 $2,050.00 2050 ESF17003142 42948 2,050.00 2050 ESF17003157 42949 2,000.00 75 ESF17003155 42949 $2,145.00 95.97 ESF17003174 42950 2,150.00 241.37 ESF17003183 42951 2,210.00 97.86 17003217 42954 2,050.00 50 ESF17003286 42959 2,150.00 50 ESF17003284 42959 2,050.00 2050 ESF17003333 42962 2,375.00 58.04 ESF17003394 42966 $2,260.00 116.25 ESF17003407 42968 2,205.00 97.72 ESF17003418 42968 2,250.00 2250 ESF17005435 42970 2,000.00 200 ESF17003493 42974 2,200.00 114.5 ESF17003501 42975 2,100.00 2100 ESF17003508 42975 2,150.00 50 17039244 42983 2,060.00 200 ESF17003650 42984 2,120.00 95.24 ESF17003649 42984 2,200.00 250 ESF17003701 42988 2,065.00 50 ESF17003744 42991 2,220.00 115.08 ESF17003780 42994 2,100.00 2100 ESF17003781 42994 2,050.00 2050 ESF17003911 43004 2,255.00 116.1 ESF17003925 43006 2,150.00 430 ESF17003962 43008 2,000.00 50 ESF17004012 43013 2,210.00 200 ESF17004065 43016 2,250.00 450 ESF17004081 43017 2,140.00 200 ESF17004106 43018 2,000.00 108.67 ESF17004094 43018 2,215.00 98.01 ESF17004194 43024 2070 2070 ESF17004190 43024 2,420.00 200 ESF17004263 43029 2,300.00 50 ESF17004300 43031 2,100.00 2100 ESF17004352 43035 2175 50 17004367 43036 2,140.00 200 Page 9 of 11 ESF17004387 43037 2,550.00 2550 ESF17004413 43040 2055 200 ESF17004433 43041 2,190.00 200 ESF17004443 43042 2,250.00 99.03 ESF17004466 43044 2,175.00 69.36 ESF17004504 43047 2,370.00 118.5 ESF17004559 43050 2,190.00 97.28 ESF17004571 43051 2,250.00 100 EMS17050677 43055 2,150.00 250 EMS17052017 43063 2,210.00 200 EMS17053073 43069 2,050.00 100 EMS17053016 43069 2,100.00 50 17006193 43073 2,050.00 50 EMS17054200 43076 2,100.00 75 17004978 43076 2,200.00 394.87 EMS17056028 43086 2,160.00 200 EMS17056429 43089 2,000.00 100 EMS17056914 43092 2,000.00 50 EMS17057067 43093 2,150.00 2150 EMS17057175 43093 2,000.00 150 EMS17057236 43094 2,015.00 100 ESF17005298 43095 2,200.00 50 EMS17057569 43096 2,015.00 92.18 EMS17057897 43098 2,370.00 ‐ 244.80 170.18 18000237 43102 2,100.00 50 EMS18000433 43103 2200 2200 EMS18000611 43104 2,050.00 50 EMS18000631 43104 2,050.00 250 EMS18001186 43107 2,265.00 200 EMS18001764 43110 2,140.00 200 EMS18004798 43129 2,250.00 98.88 EMS18004822 43129 2,000.00 150 EMS18004807 43129 2,100.00 50 EMS18005134 43131 2,170.00 50 EMS18007083 43143 2,000.00 100 EMS18007548 43145 2,050.00 50 EMS18009284 43156 2,370.00 115.77 EMS18010501 43164 1,990.00 200 0307201801 43166 1,990.00 200 EMS18012589 43176 2,250.00 560 EMS18012493 43176 2,400.00 50 EMS18012717 43177 2,130.00 200 EMS18013260 43180 2,200.00 97.41 EMS18013803 43184 2,000.00 50 SOF1800001621 43187 1,950.00 667 EMS18015407 43193 2,050.00 50 EMS18015641 43195 2,305.00 117.4 Page 10 of 11 EMS18014305 43196 2,170.00 200 EMS18016319 43199 2,400.00 240 EMS18016654 43201 2,250.00 250 EMS18017279 43205 2,050.00 2050 EMS18017492 43206 2,150.00 50 EMS18017628 43207 2,170.00 250 EMS18020240 43224 2,260.00 116.07 EMS18020847 43228 2,120.00 108.4 EMS18022760 43240 2,350.00 118.72 EMS18023430 43244 2,320.00 114.3 499950.07 Page 11 of 11 City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-180 Agenda Date:4/10/2019 Version:1 Item #:9. Report regarding a resolution declaring an unnumbered City-owned parcel on Gull Drive,(Parcel B of Parcel Map 99-005 of Book of Maps 72) surplus.(Kris Romasanta, Community Development Coordinator) RECOMMENDATION Staff recommends that the City Council adopt a resolution declaring an unnumbered parcel on Gull Drive (Parcel B of Parcel Map 99-005 of Book of Maps 72)surplus and authorizing the City to initiate the process to comply with the State of California’s Surplus Land Act (Government Code sections 54220 through 54233). BACKGROUND/DISCUSSION The subject parcel on Gull Drive (Parcel B of Parcel Map 99-005 of Book of Maps 72)is located in the City’s East of 101 area.It is a long,narrow sliver of land that runs adjacent to Gull Drive,south of Oyster Point Boulevard.(see attached parcel map for the general location of the property.)At present,the site does not have an address.It is a small site at 0.38 acres and has a Business Technology Park zoning designation.Due to the shape and adjacent uses of the parcel,the City has determined that the parcel is no longer necessary for the City’s use and may have value to the adjacent property owner. In order to dispose of City-owned property,the City must comply with the State of California’s Surplus Land Act (“SLA”). The procedures required in order to do this include: 1.City Council must make a finding that the City has no use for the property and,adopt a resolution declaring the property surplus. 2.Send notices of the proposed disposition of surplus property to all local public entities and housing sponsors who engage in the development of affordable housing in the jurisdiction where the property is located,as well as to the County Park and recreation department and the State Natural Resources Agency.The notice will provide information about the site and provide the agencies with 60-days to express interest in purchasing the property. 3.If any public agencies are interested,the City may enter into negotiations with the interested agency/agencies. 4.If no agency responds,the City then has the option to proceed with the sale or lease to other interested parties. Pursuant to Government Code section 54223 of the SLA merely requires that if a local entity notifies the City of its desire to purchase or lease the land,the City must enter into “good faith negotiations”for not less than 90 days in an attempt to agree on a mutually satisfactory sales price.If 90 days goes by without a mutually satisfactory sales price being reached, the City can sell the property without further compliance with the SLA. STRATEGIC PLAN By declaring the parcel surplus,the City would have the option (in the future)to consider the sale of this property in order to support continued development within the Oyster Point district.This,in turn,would address the “Economic Vitality” priority area of the City’s Strategic Plan. City of South San Francisco Printed on 4/4/2019Page 1 of 2 powered by Legistar™ File #:19-180 Agenda Date:4/10/2019 Version:1 Item #:9. FISCAL IMPACT There is no fiscal impact by the City adopting the resolution.Adopting the resolution will ensure the City is complying with the Surplus Land Act. CONCLUSION It is recommended that the City Council adopt a resolution declaring an unnamed parcel on Gull Drive,(Parcel B of Parcel Map 99-005 of Book of Maps 72)surplus and authorizing the City to perform the necessary steps to comply with the State of California’s Surplus Land Act (Government Code sections 54220 through 54233). Attachment: Gull Drive property map City of South San Francisco Printed on 4/4/2019Page 2 of 2 powered by Legistar™ City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-313 Agenda Date:4/10/2019 Version:1 Item #:9a. Resolution declaring an unnumbered City-owned parcel on Gull Drive,described as Parcel B of Parcel Map 99- 005 of Book of Maps 72, to be surplus to the City’s needs. WHEREAS,the City of South San Francisco (“City”)owns certain real property located in the City of South San Francisco,an unnumbered parcel on Gull Drive,referred to as Assessor’s Parcel Number 015-190-180 (the “Property”); and WHEREAS,the City is authorized to sell,lease,or otherwise dispose of real property if it is no longer required for the purposes of the City; and WHEREAS, the City has determined that the Property is unnecessary for any use by the City; and WHEREAS, the City desires to dispose of the Property; and WHEREAS,pursuant to the Surplus Lands Act,Government Code sections 54220 et seq.,prior to the disposing of any surplus real property,the City must send a written offer to sell or lease the property for certain specific uses to local public entities and certain private parties. NOW THEREFORE, BE IT RESOLVED, by the City Council of the City of South San Francisco: Section 1. The foregoing recitals are true, correct, and incorporated herein by reference. Section 2. The City Council of the City of South San Francisco declares the Property to be surplus. Section 3.The City Manager,or his designee,is authorized and directed to do any and all things and to execute and deliver any and all documents that he may deem necessary or advisable in order to comply with the Surplus Lands Act and market the Property for sale. Section 4. This resolution shall take effect immediately upon adoption. ***** City of South San Francisco Printed on 4/11/2019Page 1 of 1 powered by Legistar™ ATTACHMENT 1 Subject Property City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-297 Agenda Date:4/10/2019 Version:1 Item #:10. Closed Session: Conference with Labor Negotiators (Pursuant to Government Code Section 54957.6) Agency designated representative: Jason Rosenberg, City Attorney Unrepresented employee: Mike Futrell, City Manager City of South San Francisco Printed on 4/4/2019Page 1 of 1 powered by Legistar™ City of South San Francisco Legislation Text P.O. Box 711 (City Hall, 400 Grand Avenue) South San Francisco, CA File #:19-298 Agenda Date:4/10/2019 Version:1 Item #:11. Closed Session: Public Employee Performance Evaluation (Pursuant to Government Code Section 54957) Title: City Manager City of South San Francisco Printed on 4/4/2019Page 1 of 1 powered by Legistar™ CITY OF SOUTH SAN FRANCISCO SPEAKEER CARD To address the City Council, please complete this card and submit it to the City Clerk Speaker comments are limited to three (3) minutes Please indicate which item you'd like to speak on: 1) public Comments, or _2) Agenda Item Name: S_= 0 r y / a ✓lay Date: v '^ Pronounced: f Address (optional CITY OF SOUTH SAN FRANCISCO SPEAKER CARD To address the City Council, please complete this card and submit it to the City Clerk Speaker comments are limited to three (3) minutes Please indicate which item you'd like to speak on: 11_Public Comments, or Agenda Item ,� n l Name. n I L'')rrDate: y l Pronounced: r (4 2-) 14 Address (optional) CITY OF SOUTH SAN FRANCISCO SPEAKER CARD �To address the City Council, please complete this card it to the City Clerk p rd and submit jSpeaker comments are limited to three (3) minutes i i (Please indicate which item you'd like to spud; on: 1 } ✓ Public Comments, or 2_)__Agenda Item /t 01 'Name: �-Gt�� � � Date - 'Pronounced - Address (optional CITY OF SOUTH SAN FRANCISCO SPEAKER CARD To address the City Council, please complete this card and submit it to the City Clerk Speaker comments are limited to three (3) minutes Ple< w ' dicate which item you'd like to speak on: 1 Public Comments, or 2) Agenda Item /J_0 ,� ,/ Nam Of 1 V[Gl ✓� d Date: � /0/ S Pronounced: M�41� CIJP—C,� Address (optional)