Legislation Details

File #: 26-2021    Version: 1
Type: Consent Calendar Status: Agenda Ready
File created: 5/5/2026 In control: City Council
On agenda: 6/16/2026 Final action: 6/16/2026
Effective date:    
Title: Check Register April 2026
Attachments: 1. ATT 1 - Resolution No. 26-4946, 2. ATT 2 - AP Checks April 2026, 3. ATT 3 - Wires April 2026
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TO:                                                                HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL

 

FROM:                                           Javier Carcamo, Finance Director

 

PREPARED BY:                      Missy Matula, Accounting Specialist

 

SUBJECT:

title

Check Register April 2026

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RECOMMENDATION

recommendation

Adopt Resolution No. 26-4946 entitled: A Resolution of the City Council of the City of Murrieta, California, Ratifying the Consolidated Check Register for the Month of April 2026.

 

body

PRIOR ACTION/VOTE

None.


STRATEGIC ALIGNMENT

This item aligns with the City Council to: maintaining a high performing organization that values fiscal sustainability, transparency, accountability and organizational efficiency relating to an administrative priority.

 

DISCUSSION

HISTORY

In accordance with California Government Code (CGC) § 37208, the attached consolidated check register is being presented to the City Council for ratification. To improve transparency, this report provides detailed information on checks and electronic fund transfers including Automated Clearing House (ACH) and Wire payments. This report also summarizes amounts for payroll. Staff have reviewed the request for expenditures for the appropriate budgetary approval and for the authorization from the department director or designee. The attached consolidated check register represents the payments issued for April 2026. In accordance with GCS § 37202, the Director of Finance or designee hereby certifies to the accuracy of the following demands and to the availability of funds for payment. Following is a summary and totals for each type of payment issued in April.

 

Payment Method

Record Number

Amount

Accounts Payable

Check No. 168699-169136

$7,097,909.63

ACH/Wires

Wire No. 09003186-09003344¹

$4,575,637.66

Payroll

Pay Date - April 2, 2026

$1,642,786.39

Payroll

Pay Date - April 16, 2026

$1,675,948.38

Payroll

Pay Date - April 30, 2026

$1,805,628.25

Total April 2026 Payments

 

$16,797,910.31

 

¹Due to the timing differences between assigning a wire number and processing the actual wire transaction through our financial institution, certain wire payments may be out of sequence from the current report. These wire transactions were either reported in the prior month or will be reported in the following month’s report.

 

 

FISCAL IMPACT

None


ATTACHMENTS

ATT 1 - Resolution No. 26-4946                     

ATT 2 - AP Checks April 2026

ATT 3 - Wires April 2026