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HomeMy WebLinkAboutItem 10 - Reprographic Paper and Envelopes Finance and Management Services www.santa-ana.org/finance Item # 10 City of Santa Ana 20 Civic Center Plaza, Santa Ana, CA 92701 Staff Report June 2, 2026 TOPIC: Reprographic Paper and Envelopes AGENDA TITLE Purchase Order Contract with Veritiv Operating Company for Reprographic Paper and Envelopes (Specification No. 26-062) (General Fund and Non-General Fund) RECOMMENDED ACTION: Award Purchase Order Contract to Veritiv Operating Company for Reprographic Paper and Envelopes for a one (1)-year term in an amount of$107,000 beginning June 2, 2026 and expiring June 1, 2027, with provisions for three (3), one (1)-year renewal options, in a total amount not to exceed $428,000. GOVERNMENT CODE 484308 APPLIES: No DISCUSSION: The Finance and Management Services Agency's Central Services Division requires copier, laser, and specialty papers to provide copy paper and in-house duplicating services for departments throughout the City. In addition, the Police Department's Central Distribution Center and Jail Operations stocks copy paper for the Police Department and Holding Facility, respectively. Santa Ana Municipal Code, Section 2-807(d) authorizes the City to purchase against contracts from any public agency utilizing a competitive bid process. The County of Orange, a cooperative government purchasing agency, awarded a contract to Veritiv Operating Company (MA-031-26010436) as a result of an open, competitive bidding on behalf of its members, which includes government agencies. Staff researched available procurement options and determined that Veritiv Operating Company meets the City's specifications and can provide the Reprographic Paper and Envelopes to be utilized by the Finance and Management Agency — Central Services Division. By leveraging the procurement power through cooperative purchasing, the City of Santa Ana is able to obtain nationally vetted, high quality products at competitive volume pricing, and is in accordance with the City's existing Purchasing Guidelines. Reprographic Paper and Envelopes June 2, 2026 Page 2 ENVIRONMENTAL IMPACT: There is no environmental impact associated with this action. FISCAL IMPACT: Funding is available in the current FY 2025-26 budget and funding for subsequent fiscal years will be included in the proposed budgets for City Council consideration. Funding allocations for renewal o tion ears will follow the same account allocation shown below. Fiscal Year Accounting Fund Description Accounting Unit, Amount Unit- Account Account # Description 2025-26 01110120- Finance & Management Miscellaneous $6,250 June 63001 Central Services Operating Expenses 2025-26 01114450- Police Central Miscellaneous $1,667 June 63001 Distribution Center Operating Expenses 2025-26 01114475- PD Jail Operations Miscellaneous $1,000 June 63001 Operating Expenses 2026-27 01110120- Finance & Management Miscellaneous $68,750 Jul — May 63001 Central Services Operating Expenses 2026-27 01114450- Police Central Miscellaneous $18,333 Jul — May 63001 Distribution Center Operating Expenses 2026-27 01114475- PD Jail Operations Miscellaneous $11,000 Jul — May 63001 Operating Expenses Total Year 1 Cost $107,000 Submitted By: Alexander Trinidad, Executive Director, Finance and Management Services Agency Approved By: Alvaro Nunez, City Manager