Sparks City Council Meeting 5/27/2014 2:00:00 PM

    Tuesday, May 27, 2014 2:00 PM
    Sparks City Hall, Legislative Bldg, Council Chambers, 745 4th St., Sparks

Consent Items: 5.1

Title: Report of Claims and Bills approved for payment and appropriation transfers for the period April 24, 2014 through May 7, 2014.
Petitioner/Presenter: Jeff Cronk, CPA, Financial Services Director/Jeff Cronk, CPA, Financial Services Director
Recommendation: It is recommended that the following listed checks and the appropriation transfers be approved by the Mayor and the City Council.
Financial Impact: Funds were budgeted and available for payment of claims submitted and funds were available for the appropriations transferred.
Business Impact (Per NRS 237):
A Business Impact Statement is not required because this is not a rule.
Agenda Item Brief:

Report of Claims and Bills for the period period April 24, 2014 through May 7, 2014.


The Sparks City Charter, Article III Section 3.020, requires the submission of a summary of all claims and bills approved for payment to the City Council. Nevada Revised Statute 354.598005 requires the governing body to be advised of any appropriation transfers between functions at its next regular meeting after the transfer. Resolution 2451 section 4 requires that each bequest, devise, gift and donation received by the Financial Services Director in an amount of less than $1,000 be listed on claims and bills to allow appreciation and acknowledgment of the receipt of the individual bequest, devise, gift or donation. Also presented are budget amendments for Specialty Court and Forfeiture revenues received throughout the year.


1. Accounts Payable check numbers 36547 through 36735 were issued in the amount of $3,169,629.29 of which $703.49 was for the Redevelopment Agency of the City of Sparks, Nevada. General checks were voided in the amount of $297.66.

2. Payroll check numbers 404209 through 404282 were issued in the net amount of $33,781.41. No payroll checks were voided.

3. There was no Accounts Payable check issued from Bond Proceeds. There were no Accounts Payable checks issued for Debt Service.

4. Wire/ACH bank transfers were made in the amount of $695,228.92.

5. Payroll direct deposit wire/ACH was made in the amount of $1,131,073.64.

6. There was no wire/ACH issued from Bond Proceeds. Wire/ACH issued for Marina SAD debt payment was issued for $397,073.75 of which $0.00 was for Redevelopment Area, Ctax 2011 debt payment was issued for $378,647.50 of which $108,820.28 was for Redevelopment Area and Ctax 2007 was issued for $148,773.75 of which $42,756.39 was for Redevelopment Area.

7. No appropriation transfers made within governmental functions or between funds during the reporting period.


Recommended Motion: I move to approve the Claims and Bills approved for payment and the appropriation transfers.

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