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HomeMy WebLinkAbout1994-299 1 2 RESOLUTION NO. 94-299 RESOLUTION OF THE CITY OF SAN BERNARDINO APPROVING THE DESTRUCTION 3 OF CERTAIN RECORDS BY THE FINANCE DEPARTMENT 4 BE IT RESOLVED BY THE MAYOR AND COMMON COUNCIL OF THE CITY OF SAN BERNARDINO AS FOLLOWS: 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 SECTION 1. The Mayor and Common Council of the City of San Bernardino do hereby approve the destruction by the Finance Department of certain records, more particularly described in Exhibit "A", attached hereto and incorporated herein as fully as though set forth at length. SECTION 2. It is hereby found and determined that the records are no longer needed, and that they may be destroyed pursuant to Government Code section 34090, upon written consent of the city Attorney. I HEREBY CERTIFY that the foregoing resolution was duly adopted by the Mayor and Common Council of the City of San Bernardino at a reaular meeting thereof, held on the ~ day of October , 1994, by the following vote, to wit: \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \ 25 26 27 28 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 20 21 22 23 24 94-299 1 RESOLUTION OF THE CITY OF SAN BERNARDINO APPROVING THE DESTRUCTION OF CERTAIN RECORDS BY THE FINANCE DEPARTMENT COUNCIL MEMBERS AYES NAYS NEGRETE X CURLIN X HERNANDEZ X OBERHELMAN X DEVLIN X POPE-LUDLAM MILLER ABSTAIN ABSENT X X ~ e~(M)O CITY CLERK 6y xIa~dt:YlCUI [k~ of The foregoing resolution is hereby approved this 5th day October 1994. ~~]~ I tp'l'l . ttt~ Tofu Minor, Mayor city of San Bernardino Approved as to form 18 and legal content: 19 JAMES F. PENMAN city Attorney By: 9<~lJ I consent to the destruction of the records described in this resolution. 25 g~~~{~{") James r";-AENMAN City Attorney 26 27 28 2 94-299 EXHIBIT "A" FINANCE ADMINISTRATION 1. Vendor Files - 1985/86, 1986/87 2. Accounts Payable Registers - 1985/86, 1986/87 3. Time Cards, various Payroll Reports - 1985/86, 1986/87 4. Cash Receipts - 1985/86, 1986/87 5. Accounts Receivable Invoices - 1985/86, 1986/87 6. General Ledger Reports Including Journal Vouchers - 1985/86, 1986/87 CITY TREASURER DIVISION Records Prior To July 1987: 1. Bank Statements from First Interstate Bank Branch #206: 4-98018, 2-98019, 6-98020, 4-98021, 2-98022, 0-98023, 3-98027, 1-98028, 1-98000, 4-98004. 2. Bank Statements from security Pacific Bank: 0307 023, 0307 21503, 0307 12004. 3. Bank Statements from American Security Bank: 221 -32204, 221 032069, 221 032050. 4. Bank Statements from American National Bank: 34-09992-1. 5. Bank Statements from Bank of America: 196 9-85045, 196 4- 80216, 196 6-80215. 6. Bank Statements from Bank of California: 032-020016, 040- 099921. 7. Bank Statements from Crocker National Bank: 409-020194, 409- 011918. 8. Bank Statements from Eldorado National Bank: 344 035343, 344 032204, 344 032050. 9. Treasurer's Receipts 10. Petty Cash Request for Payments (reimbursement claim), copies of petty cash vouchers. 3 94-299 EXHIBIT "A" CONTINUED CITY TREASURER CONTINUED 11. Worker's compensation Request for Payment (reimbursement claim) 12. John Hancock Request for Payment (reimbursement claim) 13. John Hancock Request for Payment (reimbursement claim) 14. Inter-Departmental Receipts. 15. Check Vouchers First Interstate Bank: 206 4-98018, 2-98019, 6-98020, 4-98021, 2-98022, 0-98023, 3-98027, 1-98028. 16. Check Vouchers Security Pacific Bank: 0307 120 023 17. Documentation for investments sold or matured, letters, purchased/sale confirmation; matured certificate of deposits and pass books. 18. Investment portfolio summary (prepared monthly) statement of assets issued by First Interstate Bank Institutional Custodial services. 19. Daily transaction schedules from First Interstate Bank Custodial Services. 20. General correspondence written by former city Treasurer. 21. Registers of City and Water Checks (Payroll and Accounts Payable) . 22. Water Department letters authorizing transfer of funds. 23. city and Water Department bank balance adjustment reports (Payroll and Accounts Payable). 24. Copies of receipts of active deposits. 25. stop payment orders on all checks. 4