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AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
128-13 ROCKAWAY BLVD CORP DBA JOINT COMPOUND WALLBOARD AND CEMENT 20181200181 8/27/2017 8/26/2022 $54,714.001700202
128-13 ROCKAWAY BLVD CORP DBA LUMBER, DIMENSIONAL & PLYWOOD 20191201081 12/1/2018 11/30/2023 $1,353,027.081800203
161-12 46TH AVENUE LEASE CORP AUTO BODY AND CHASSIS REPAIR SERVICES, CITYWIDE 20201201532 1/1/2020 12/31/2022 $3,992,137.501900181
3M COMPANY REFLECTIVE SHEETING/ FILM ("3M" BRAND SPECIFIC) 20171201051 1/2/2017 1/1/2022 $108,722.401600154
3M COMPANY SHEETING, RETROREFLECTIVE VINYL FOR TRAFFIC SIGNS 20181200527 3/1/2018 2/28/2021 $457,256.251700298
700 BROADWAY FOOD CORP PREPARED MEALS FOR NYPD 20191200332 7/1/2018 6/30/2021 $638,720.001800098
946 EIGHTH AVENUE FOOD CORP PREPARED MEALS FOR NYPD 20191200316 7/1/2018 6/30/2021 $691,740.001800098
A R M OPCO INC DBA THE AMERICA GRP: AMERICAN ROADS SNOW PLOWS 20191200796 10/1/2018 9/30/2023 $5,950,000.001800275
A&M INDUSTRIAL INC LINERS,POLYETHYLENE, PEST REPELLENT (RODNET) 20151202807 4/30/2015 4/28/2020 $337,000.001400202
AAA EMERGENCY SUPPLY CO INC FDNY CUSTOM FOAM SYSTEM, MONITORS AND ACCESSORIES 20201201441 2/25/2020 2/24/2025 $597,875.001900214
AAA EMERGENCY SUPPLY CO INC FOAM,FIREFIGHTING LIQUID CONCENTRATE:BRAND SPECIFI 20191201591 5/1/2019 4/30/2024 $1,543,242.001900024
AB SCIEX LLC LAB SUPPLIES, REAGENTS & SCIENTIFIC EQUIPMENT 20161202761 6/1/2016 5/31/2021 $436,161.151500529
ABBOTT LABORATORIES INC VIROSEQ TESTING PLATFORM WITH REAGENTS 20191203001 5/8/2019 5/7/2022 $2,973,435.301700364
ABC PM LLC FUSES, FUSEBLOCKS AND ACCESSORIES 20201200496 7/30/2019 4/30/2024 $3,000.001800280
ABEL UNLIMITED INC VESTS, SAFETY 20171202836 5/1/2017 4/30/2022 $120,542.151600443
ABLE EQUIPMENT RENTAL INC CRANE, CARRY DECK (BRAND SPECIFIC) - DEP 20181203571 6/28/2018 6/27/2023 $1,468,947.601800212
ABLE EQUIPMENT RENTAL INC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181203691 5/1/2018 10/31/2022 $2,244,000.001700012
ABLE EQUIPMENT RENTAL INC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181203676 5/1/2018 10/31/2022 $2,052,000.001700012
ABLE EQUIPMENT RENTAL INC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181200901 11/1/2017 10/31/2022 $9,689,115.001700012
ABLE WELDBUILT INDUSTRIES INC GRP:WELD BUILT WRECKER BODY 20170000136 9/1/2016 8/31/2021 $1,520,000.001600075
ABLE WELDBUILT INDUSTRIES INC TRAILER, 50 TON LOWBOY WITH LIFTING TAIL - FDNY 20181200226 8/11/2017 8/10/2021 $394,372.001700300
Tuesday, April 7, 2020 Page 1 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
ABM ELECTRICAL POWER SVCS LLC ELECTRIC VEHICLE SUPPLY EQUIPMENT 20181201426 1/1/2018 11/29/2020 $719,141.001500663
ACCURATE COMMUNICATION INC CART SERVS-COMMUNICATION ACCESS REALTIME TRANSLAT 20191202251 5/1/2019 4/30/2021 $798,720.001300450
ACCURATE COMMUNICATION INC LANGUAGE SERVICES 20196000001 7/1/2018 6/30/2021 $4,287,138.00
ACCURATE COMMUNICATION INC LANGUAGES SERVICES 20196201021 5/1/2019 4/30/2021 $1,111,280.00
ACCUSTANDARD INC STANDARDS, CUSTOM, ORGANIC & INORGANIC (DEP) 20181200091 7/11/2017 7/10/2022 $996,029.901700131
ACE ENDICO CORP HRA EFNAP - SHELF STABLE 20191202344 3/15/2019 3/14/2022 $979,920.001900089
ACE TOOL REPAIR INC GRP: MI-T-M PRESSURE WASHER PARTS 20201200811 3/1/2020 2/28/2025 $267,500.001900282
ACE TOOL REPAIR INC TOOLS: ELECTRIC, PORTABLE 20181200316 9/4/2017 9/3/2022 $734,353.331700009
ACME AUTO LEASING LLC LEASING, VEHICLES, VARIOUS NON-DESCRIPT-NYPD 20191201966 3/15/2019 3/14/2023 $94,320.001900096
ACUITY SPECIALTY PRODUCTS INC DISINFECTANT, FOAMING, AEROSOL 20181200601 12/1/2017 11/30/2022 $184,158.961700141
ADAPCO LLC PESTICIDES AND MOSQUITO CONTROL PRODUCTS 20201201741 3/1/2020 2/28/2025 $2,401,936.602000031
ADVANCED COMMODITIES INC ACS-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203346 6/3/2019 6/30/2020 $503,100.001900174
ADVANCED COMMODITIES INC DOC - HALAL MEATS & POULTRY 20191203241 6/1/2019 7/31/2020 $420,000.001900139
AETNA ELECTRIC LLC ELECTRICAL WIRING DEVICES 20181200076 10/1/2017 9/30/2022 $291,321.251700116
AETNA ELECTRIC LLC LIGHT BULBS AND LAMPS 20180000332 9/1/2017 8/31/2022 $252,563.501700013
AFAX BUSINESS MACHINES INC TONERS AND DRUMS FOR FAX MACHINES 20171201396 6/1/2017 5/31/2022 $905,420.001600482
AGRI SALES USA INC WOOD SHAVINGS, HORSE BEDDING (NYPD) 20191200391 7/26/2018 3/31/2023 $637,967.001800026
AGUSTAWESTLAND PHILADELPHIA CO GRP: AGUSTA HELICOPTER 20201200408 9/1/2019 8/31/2024 $3,000,000.001800078
AGUSTAWESTLAND PHILADELPHIA CO HELICOPTER - DEP POLICE 20171202626 4/1/2017 3/31/2021 $5,253,790.001500312
AIR ENGINEERING FILTERS INC HVAC AIR FILTERS, PLEATED & RING PANEL 20171200616 12/31/2016 12/30/2021 $650,661.851600299
AIR ENGINEERING FILTERS INC HVAC AIR FILTERS, VARIOUS 20171201366 6/1/2017 5/31/2022 $2,250,232.001700061
Tuesday, April 7, 2020 Page 2 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
AIRGAS USA LLC OXYGEN, INDUSTRIAL 20171200121 10/1/2016 9/30/2021 $56,040.001600304
AIRLITE AMERICA LLC WOOD SHAVINGS, HORSE BEDDING (NYPD) 20181201486 4/1/2018 3/31/2023 $475,500.001800026
AKED MANAGEMENT LLC DBA PREPARED MEALS FOR NYPD 20191200286 7/1/2018 6/30/2021 $301,801.501800098
ALBERT KEMPERLE INC AUTOMOTIVE & MECHANICAL SERVICE PRODUCTS RE-AD 20161201861 3/2/2016 3/1/2021 $900,000.001600090
ALDORAY & ASSOCIATES CORP GRP: FOR K.E.W. PRESSURE WASHER 20161200361 11/1/2015 10/31/2020 $570,000.001500373
ALDORAY & ASSOCIATES CORP SPONGES, CELLULOSE 20171202447 5/1/2017 4/30/2022 $445,445.001700021
ALDORAY & ASSOCIATES CORP STEEL, WAREHOUSE STOCK RE-AD 20190000376 10/1/2018 9/30/2023 $1,513,020.001800251
ALDORAY & ASSOCIATES CORP WIPES: MECHANICS HAND CLEANER PRE-MOISTENED 20171202791 6/29/2017 6/28/2022 $228,000.001700079
ALDORAY & ASSOCIATES CORP WIPES: PRE-MOISTENED HEAVY DUTY TOWELETTES RE-AD 20181203286 6/29/2018 6/28/2023 $132,963.001800044
ALERE NORTH AMERICA LLC DETERMINE HIV 1/2 AG/AB COMBO TEST & KIT 20171201966 1/1/2017 12/31/2021 $14,999,950.001700060
ALL AMERICAN POLY CORP BAGS, TAPE, BIOHAZARD (FDNY) 20160000106 8/1/2015 7/31/2021 $23,980.001500219
ALL BRAND CHECK WRITER CO INC DOCUMENT SHREDDING MACHINES 20200000017 9/1/2019 8/31/2024 $146,050.001900034
ALL ISLAND EQUIPMENT CORP EQUIPMENT II, RENTAL OF VARIOUS 20151202881 5/15/2015 5/14/2021 $4,342,360.001400134
ALL ISLAND EQUIPMENT CORP EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181201036 11/1/2017 10/31/2022 $6,846,840.001700012
ALL ISLAND EQUIPMENT CORP EXCAVATOR, HYDRAULIC - DEP 20181201846 3/15/2018 3/14/2021 $471,000.001700380
ALL ISLAND EQUIPMENT CORP GRP: GEHL SKID STEER EQUIPMENT RE-AD 20161200031 8/1/2015 7/31/2020 $800,000.001500316
ALL ISLAND EQUIPMENT CORP GRP: KAWASAKI CONSTRUCTION MACHINERY PARTS 20181201366 12/1/2017 11/30/2022 $742,500.001800059
ALL ISLAND EQUIPMENT CORP LOADER, SKID STEER WITH ATTACHMENTS - DSNY 20201201547 1/20/2020 1/19/2025 $2,278,110.001900261
ALL ONE SOURCE SUPPLIES INC CUPS: PAPER, HOT/COLD 6 AND 8 OUNCES 20180000076 8/1/2017 7/31/2022 $1,159,940.001700034
ALLENDALE MACHINERY SYSTEMS IN CNC TURNING CENTER - DSNY 20171203661 6/24/2017 6/23/2022 $1,687,180.001700204
ALLENDALE MACHINERY SYSTEMS IN CNC VERTICAL MACHINING CENTER - DSNY 20161202537 5/10/2016 5/8/2020 $581,230.001600032
Tuesday, April 7, 2020 Page 3 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
ALLIED LOCKE INDUSTRIES INC GRP: SETTLING TANK SLUDGE COLLECTION SYSTEM 20171201006 12/1/2016 11/30/2021 $2,655,734.501600368
ALLIED LOCKE INDUSTRIES INC HITACHI CHAINS AND COMPONENTS (BRAND SPECIFIC) 20191200752 2/1/2019 1/31/2024 $2,538,188.061800266
ALPERTS NEWSPAPER DELIVERY SVC NEWSPAPERS FOR DOC: ENGLISH LANGUAGE 20181200286 11/14/2017 11/13/2022 $1,076,400.001700162
ALPHA MEDICAL DISTRIBUTOR INC BAGS, ORANGE, DISASTER POUCHES, CADAVER 20171201081 4/1/2017 3/31/2022 $448,750.001600387
ALTER LEV INC ALCOHOL, ISOPROPYL, RUBBING 20151201951 3/1/2015 2/28/2021 $451,500.001500165
ALTER LEV INC DEGREASER, OVEN 20161200151 8/17/2015 8/16/2021 $20,288.401500540
ALTER LEV INC GARBAGE CAN & LID, GALVANIZED 20181201501 3/1/2018 2/28/2023 $114,170.001700348
ALTER LEV INC LOCKS:PADLOCK,LOCK SETS 20200000076 10/1/2019 9/30/2024 $618,650.001900062
ALTER LEV INC SWINGS, PLAYGROUND AND ACCESSORIES 20171202236 6/1/2017 5/31/2022 $1,426,557.501700047
AMBU INC RESUSCITATORS & CERVICAL EXTRICATION COLLARS 20150000316 9/1/2014 8/30/2020 $1,246,140.001300545
AMCHAR WHOLESALE INC AMMUNITION, SIMUNITION FX MARKING CARTRIDGES 20171200466 10/1/2016 9/30/2021 $440,104.001600307
AMERICAN SIGNAL COMPANY GRP: AMERICAN SIGNAL PRODUCTS 20181200766 10/20/2017 10/19/2022 $1,640,000.001700186
AMERITECH INCORPORATED FORMS, VARIOUS CERTIFICATE (DOHMH) 20200000061 8/1/2019 7/31/2024 $353,037.501900044
AMTEC SALES INC DBA PRINT MEDI PAPER, MUNI-METER RECEIPT 20141203001 6/1/2014 5/30/2020 $2,575,690.001300373
ANDRITZ SEPARATION INC GRP: HUMBOLDT DECANTER 20171201127 1/1/2017 12/31/2021 $350,000.001600426
ANRITSU COMPANY CONNECTED VEHICLES, TEST EQUIPMENT - DOT 20181203121 5/5/2018 5/4/2021 $244,093.311700210
ANTHONY SCHWARTZ ALBANY STAINLESS STEEL CLEANER,FLOOR STRIPPER,SCOURING CR 20171201532 12/20/2016 12/19/2021 $281,556.001600331
APPCO PAPER & PLASTICS CORP NAPKINS: TABLE, PAPER 20161200661 2/1/2016 1/31/2021 $155,207.071500544
APPCO PAPER & PLASTICS CORP PLATES AND BOWLS (PAPER) 20170000421 9/10/2016 9/9/2021 $1,285,350.001600098
APPCO PAPER & PLASTICS CORP TRAY, PAPER, 5 COMPARTMENT WITHOUT LID, 20151202086 4/1/2015 3/30/2021 $2,506,140.001400533
APPLE SPECIALTIES INC WILLOUGHBY FIXTURES & PARTS (BRAND SPECIFIC) 20171200556 10/1/2016 9/30/2021 $3,295,000.001500507
Tuesday, April 7, 2020 Page 4 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
ARAMSCO INC COT, MEDICAL, FUNCTIONAL NEEDS 20151203526 6/1/2015 5/30/2021 $1,354,000.001500309
ARBILL INDUSTRIES INC AIR PURIFYING RESPIRATORS, GRP & ACCESSORIES 20201200586 4/1/2020 3/31/2025 $1,647,000.001900285
ARBILL INDUSTRIES INC APPAREL, ELECTRICAL SAFETY AND ACCESSORIES 20190000226 1/1/2019 12/31/2023 $2,584,794.451700243
ARBILL INDUSTRIES INC GAS DETECTORS AND ACCESSORIES - MSA 20181200796 6/1/2018 5/31/2023 $1,152,000.001700257
ARBILL INDUSTRIES INC GRP: SCOTT HEALTH & SAFETY PORTABLE INSTRUMENTS 20181200376 9/1/2017 8/31/2022 $18,000,000.001700190
ARGENT ASSOCIATES INC MAINTENANCE REPAIR & OPERATION SUPPLIES 20181202371 6/1/2018 5/31/2023 $6,980,040.001700175
ARI PHOENIX INC MOBILE LIFT SYSTEM (SIX POST)WIRELESS - DSNY 20191201456 12/31/2018 12/30/2023 $5,698,290.001800328
ARMERIA LLC VASE AND STEP PLANTERS FOR DOT - BRAND SPECIFIC 20180000331 7/1/2017 6/30/2020 $414,850.001700156
ARPLAST POLY & PACKAGING INC BAGS, TAPE, BIOHAZARD (FDNY) 20160000092 8/1/2015 7/31/2021 $69,480.001500219
ARROW INTERNATIONAL INC NEEDLES/BATTERIES EZ IO (BRAND SPECIFIC) 20161202851 6/1/2016 5/31/2021 $1,701,625.001600165
ASTROPHYSICS INC EQUIPMENT, SECURITY, X-RAY 20151202626 6/1/2015 5/31/2020 $2,343,400.001400455
ATD-AMERICAN COMPANY SHOWER, CURTAINS, HOOKS & BATH MATS 20161201022 11/2/2015 11/1/2020 $297,428.931500474
ATLANTIC BEVERAGE COMPANY INC DRINKING SPRING WATER, BOTTLED 20171203211 6/1/2017 5/31/2020 $225,600.001700169
ATLANTIC BEVERAGE COMPANY INC WATER, BOTTLED, SPRING - DEPT. OF SANITATION 20171202551 5/13/2017 5/12/2020 $423,360.001700149
ATLANTIC BEVERAGE COMPANY LLC DOC - SHELF-STABLE FOOD PRODUCTS 20191203391 6/10/2019 8/9/2020 $873,416.001900211
ATLANTIC BEVERAGE COMPANY LLC HRA EFNAP - SHELF STABLE 20191202356 3/15/2019 3/14/2022 $6,335,055.901900089
ATLANTIC DIVING SUPPLY INC SCANX SCOUT AND ACCESSORIES (BRAND SPECIFIC) 20191202461 6/1/2019 5/31/2024 $686,062.501900138
ATLANTIC NUCLEAR CORPORATION RADIATION DETECTION RESPONSE KITS 20161201411 5/1/2016 4/30/2021 $2,563,215.001500522
ATLANTIC PRODUCT SERVICES INC LABORATORY TESTING: JET A FUEL 20201200316 9/1/2019 8/31/2022 $37,190.001900099
ATLANTIC SALT INC SALT, HIGHWAY DEICING 20191200766 10/1/2018 9/29/2020 $4,352,400.001800297
ATLANTIC STATES LUBRICANTS COR OIL, LUBRICANTS, INDUSTRIAL 20201200976 9/13/2019 10/30/2020 $1,318.401400409
Tuesday, April 7, 2020 Page 5 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
ATLANTIC STATES LUBRICANTS COR OIL, LUBRICATING, AUTOMOTIVE, VIRGIN 20201201381 9/13/2019 1/30/2021 $50,804.181400356
ATLANTIC STATES LUBRICANTS COR SYNTHETIC DIESEL ENGINE OIL 20201201396 9/13/2019 1/30/2021 $1,773.751600391
ATLANTIC TACTICAL INC BODY ARMOR, BALLISTIC/STAB RESISTANT 20181201186 2/1/2018 1/31/2023 $1,889,000.001700054
AUTOMOTIVE RENTALS INC FLEET MANAGEMENT SERVICES 20201201786 2/3/2020 2/2/2021 $17,500,000.002000148
AWISCO NEW YORK CORPORATION PROPANE, COMPRESSED - 20191200107 10/1/2018 9/30/2023 $471,705.001800276
AXON ENTERPRISE INC TASERS AND RELATED EQUIPMENT 20161201576 2/1/2016 1/31/2021 $4,500,000.001600033
B & F ELECTRIC MOTORS INC MAINTENANCE REPAIR & OPERATION SUPPLIES 20181203211 6/1/2018 5/31/2023 $1,243,200.001700175
B & H FOTO & ELECTRONICS CORP GOGGLES SAFETY GLASSES AND MEGAPHONES (BULL HORNS) 20170000347 9/1/2016 8/31/2021 $25,198.251600236
BABYLAB INC BABY FOOD 20181203736 5/17/2018 6/30/2020 $70,512.501800136
BADGER METER INC POSITIVE DISPLACEMENT WATER METERS 20161201741 4/1/2016 3/31/2021 $6,958,255.001500531
BADGER METER INC TURBINE WATER METERS(D.E.P.) 20170000016 7/1/2016 6/30/2021 $37,192.001500566
BARBER WELDING INC BOAT, AQUATIC WEED HARVESTER - DPR 20171202926 4/13/2017 4/12/2022 $297,000.001700083
BARCLAY WATER MANAGEMENT INC COOLING TOWER SERVICES & SUPPLIES- PRIMARY VENDOR 20201201021 9/1/2019 8/31/2022 $15,313,342.141900132
BARNWELL HOUSE OF TIRES INC TIRES, MEDIUM DUTY TRUCK VARIOUS SIZES 20201200901 10/15/2019 10/14/2024 $989,000.001900141
BARNWELL HOUSE OF TIRES INC TIRES: PASSENGER AND LIGHT DUTY TRUCK 20171203001 4/18/2017 4/17/2022 $3,453,422.401600132
BASILICATO NORTH AMERICA LLC LUMBER, HARDWOOD, DOCK BUILDING 20191200406 7/18/2018 6/14/2021 $1,818,339.001600063
BEACON GRAPHICS LLC DECAL MATERIAL & RELATED ITEMS (BRAND SPECIFIC) 20190000181 9/1/2018 8/31/2023 $1,107,751.451800028
BEARDSLEE TRANSMISSION EQUIPME GRP: OBERDORFER PUMPS RE-AD 20181201891 3/20/2018 3/19/2023 $1,640,000.001800051
BEARING DISTRIBUTORS INC DBA B INDUSTRIAL BEARINGS AND SEALS. 20171203136 6/1/2017 5/31/2022 $738,530.001600248
BECTON DICKINSON & COMPANY BACTEC MGIT960 REAGENTS AND SUPPLIES 20201202086 1/15/2020 1/14/2021 $113,540.621400461
BELL ELECTRIC SUPPLY CO INC GRP:LIGHT TOWERS AND ACCESSORIES 20181200421 10/1/2017 9/30/2022 $190,000.001700285
Tuesday, April 7, 2020 Page 6 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
BERG FAMILY ENTERPRISES LLC VAN, CARGO AND PASSENGER 20191201921 3/15/2019 3/14/2024 $1,678,641.001900019
BERRY INDUSTRIAL GROUP PALLETS, WOODEN 20161201636 1/1/2016 12/31/2020 $369,218.921500516
BEST HOME CARE MEDICAL & AIR MATTRESS 20161202657 5/16/2016 5/15/2021 $1,410,000.001600131
BEST LINE LEASING INC GRP: DAEWOO FRONT END LOADER 20191203631 6/11/2019 2/28/2022 $620,498.081700004
BEYOND GREEN BUILDING SVCS INC BOWL CLEANER 20171201561 12/20/2016 12/19/2021 $101,565.001600331
BIG BELLY SOLAR LLC SOLAR-POWERED COMPACTING LITTER RECEPTACLES 20201201861 3/1/2020 5/31/2023 $624,982.801900098
BIG D CONSTRUCTION & SUPPLY LL ASPHALT RELEASE AND REMOVAL AGENTS 20171202117 6/30/2017 6/29/2022 $539,880.001600462
BIOMERIEUX INC VITEK MS PLUS, EASYMAG, ETEST, VIDAS SYSTEMS 20191201276 1/1/2018 12/31/2024 $2,452,917.691800015
BLACK WIDOW TERMITE PEST INTEGRATED PEST MANAGEMENT & RELATED SRVC,CITYWIDE 20201200407 9/1/2019 8/31/2024 $4,957,320.001900013
BOB BARKER COMPANY INC CORRECTIONAL/DETENTION SUPPLIES 20181200346 9/1/2017 8/31/2022 $960,000.001700010
BOB BARKER COMPANY INC SOAP, BAR, 3 OZ 20171201141 2/1/2017 1/31/2022 $103,868.001600374
BOBCAT OF NEW YORK INC GRP: BOBCAT MACHINERY 20180000301 7/15/2017 7/14/2022 $2,450,000.001700217
BORO SAWMILL & TIMBER CO INC BENCH SLATS, DOUGLAS FIR (DPR) 20191201471 12/1/2018 11/30/2023 $2,059,110.001800282
BOUND TREE MEDICAL LLC EMERGENCY RESPONSE SUPPLIES (FDNY-EMS) 20151203511 6/30/2015 6/29/2020 $2,033,120.001400405
BOUND TREE MEDICAL LLC MEDICAL SUPPLIES 20171201336 2/1/2017 1/31/2022 $105,579.001600302
BOUND TREE MEDICAL LLC PHARMACEUTICALS FOR FDNY EMS 20181200571 9/1/2017 8/31/2022 $13,952,200.001700130
BRADFORD AND BIGELOW INC SCANNABLE ELECTION BALLOTS, PRIMARY AND GENERAL 20151203184 4/1/2015 12/31/2020 $6,282,000.001400242
BRAKE SERVICE INC GRP: SIGNAL STAT EMERG. LIGHTS & SIREN SYSTEMS 20151200034 8/1/2014 7/30/2020 $319,800.001400201
BRAKE SERVICE INC GRP:DONALDSON DURALIFE AIR CLEANER AND ACCESS 20161201621 6/1/2016 5/31/2021 $1,419,250.001600010
BRAN-ART INC GRP:PARTNER/HUSQVARNA SAW 20191200961 1/1/2019 12/31/2023 $190,000.001800320
BREWER INTERNATIONAL INC NON-REFLECTIVE FOR TRAFFIC CONTROL SIGNS 20171201981 2/1/2017 1/31/2022 $748,445.161600366
Tuesday, April 7, 2020 Page 7 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
BRONX WELDING SUPPLY CO INC GAS WELDING SUPPLIES 20180000286 8/1/2017 7/31/2022 $788,593.521700114
BRUNO SPECIALTY FOODS INC KOSHER FOODS 20191203016 5/1/2019 6/30/2020 $102,065.001900191
BT BUSINESS SOLUTIONS LLC BUSINESS CARDS 20191201741 7/1/2019 6/30/2024 $550,838.001900037
C&B LUNCHEONETTE INC PREPARED MEALS FOR NYPD 20191200331 7/1/2018 6/30/2021 $64,000.001800098
CALL-A-HEAD CORP TOILET RENTALS, PORTABLE (RE-AD) 20181200721 12/1/2017 11/30/2022 $499,700.001700325
CAMELOT PRINTING CORP EXAMINATION PAPER BOOKLETS 20180000227 9/1/2017 8/31/2022 $51,506.001700281
CAMPBELL FREIGHTLINER LLC GRP: STERLING TRUCK PARTS 20191200076 9/1/2018 8/31/2023 $1,420,000.001800211
CANARSIE LUMBER INCORPORATED BUILDING MAINTENANCE SUPPLY(VARIOUS ITEMS) 20170000271 8/23/2016 8/22/2021 $2,155,600.001600071
CANON SOLUTIONS AMERICA INC PHOTOCOPIERS 20161202206 6/1/2016 5/31/2021 $3,717,778.001500473
CAP RENTS SUPPLY LLC ROLLERS & COMPACTION PLATE, WALK-BEHIND - DOT 20190000346 7/15/2018 7/14/2023 $456,980.001800208
CARDINAL FOODS LLC ACS - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203736 6/3/2019 8/2/2020 $25,146.961900178
CARDINAL FOODS LLC ACS BAKING PRODUCTS AND BAKED GOODS 20191203601 6/3/2019 6/30/2020 $9,716.521900173
CARDINAL FOODS LLC ACS-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203361 6/3/2019 6/30/2020 $196,560.501900174
CARDINAL FOODS LLC ACS-PROCESSED AND FROZEN FOODS 20191203871 6/13/2019 8/12/2020 $12,417.001900227
CARDINAL FOODS LLC DOC - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203316 6/3/2019 6/30/2020 $165,969.601900120
CARDINAL FOODS LLC DOC - HALAL MEATS & POULTRY 20191203676 6/1/2019 7/31/2020 $171,690.001900139
CARDINAL FOODS LLC DOC - HALAL PROCESSED FRESH & FROZEN FOODS 20191202701 5/1/2019 6/30/2020 $35,640.001900121
CARDINAL FOODS LLC DOC: PROCESSED FRESH & FROZEN FOODS (GP) 20191203796 6/13/2019 8/12/2020 $451,120.001900185
CARDINAL FOODS LLC DOC-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203136 5/21/2019 6/30/2020 $13,930.001900155
CARDINAL FOODS LLC HRA EFNAP - II 20191202566 4/4/2019 5/4/2022 $750,032.641900144
CARDINAL FOODS LLC HRA EFNAP - SHELF STABLE 20191202343 3/15/2019 3/14/2022 $1,011,680.641900089
Tuesday, April 7, 2020 Page 8 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
CARDINAL FOODS LLC PASSOVER FOODS 20181204158 6/20/2018 6/19/2020 $45,654.401800223
CARE SUPPLIES LLC DETERGENT, DISHWASHING LIQUID 20151200391 9/1/2014 8/30/2020 $63,337.501400440
CARE SUPPLIES LLC SCOURING POWDER (GENERAL USE) 20181201276 1/31/2018 12/31/2022 $105,315.001700303
CEIA USA LLC EQUIPMENT, SECURITY (WALK-THROUGH METAL DETECTOR) 20151201666 6/1/2015 5/31/2020 $1,854,932.001400455
CENTRAL FLORIDA YAMAHA GRP: YAMAHA OUTBOARD RE-AD 20181201516 4/1/2018 3/31/2023 $1,925,000.001800013
CENTRAL POLY-BAG CORPORATION LINERS, LLDPE, GENERAL PURPOSE, MEDIUM DUTY 20201200331 10/1/2019 9/30/2024 $436,400.001900225
CENTRAL POLY-BAG CORPORATION LINERS,POLYETHYLENE, HEAVY DUTY 20161201126 1/1/2016 12/31/2020 $5,686,500.001500397
CERTIFIED MANAGEMENT SVCS INC GRP:FIRE RESEARCH FLOWMETERS & ACCESSORIES 20161200377 9/2/2015 9/1/2020 $400,000.001500368
CHANNEL FISH PROCESSING CO INC DOC: PROCESSED FRESH & FROZEN FOODS (GP) 20191203826 6/13/2019 8/12/2020 $627,850.001900185
CHARMTEX INC RAZORS DISPOSABLE FOR D.O.C. 20181202731 6/1/2018 5/31/2023 $119,700.001800034
CHEF'S CHOICE CASH & CARRY FOO DOC - HALAL PROCESSED FRESH & FROZEN FOODS 20191202686 5/1/2019 6/30/2020 $99,007.501900121
CHEF'S CHOICE CASH & CARRY FOO DOC: PROCESSED FRESH & FROZEN FOODS (GP) 20191203813 6/13/2019 8/12/2020 $366,000.001900185
CHEMTALL INCORPORATED CATIONIC POLYMER, THICKENING AND POST THICKENING 20201201336 1/1/2020 12/31/2022 $2,808,960.002000002
CHEMTALL INCORPORATED COAGULANT AID POLYMER - DEP 20201201666 1/6/2020 1/5/2023 $1,587,600.002000062
CHEMTALL INCORPORATED FROTH CONTROL POLYMER - DEP 20201200241 10/1/2019 9/30/2022 $3,224,200.001900188
CHEMTALL INCORPORATED POLYMER, SLUDGE THICKENING - DEP 20201200451 10/1/2019 9/30/2022 $7,406,000.001900222
CHEMTRADE CHEMICALS US LLC SULFATE, LIQUID ALUMINUM (DEP) 20181200646 10/8/2017 10/7/2020 $5,622,375.001700317
CHESTNUT VALE FEED INC SPECIAL FORMULA HORSE FEED PELLETS FOR NYPD 20191200151 8/1/2018 7/31/2021 $270,855.001800230
CHIEF EQUIPMENT INC GRP: JOHN DEERE AGRICULTURAL, TURFT AND 20191202371 5/1/2019 4/30/2024 $2,225,000.001900109
CHIEF EQUIPMENT INC TRACTORS, DIESEL, VARIOUS 20171202971 4/17/2017 4/16/2021 $612,023.611700073
CHIEF EQUIPMENT INC VEHICLE: ALL PURPOSE UTILITY, ATV 20161202836 5/15/2016 5/13/2020 $5,162,275.301500500
Tuesday, April 7, 2020 Page 9 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
CHIEF FIRE & SAFETY EQUIPMENT PARATECH RESCUE SYSTEMS, ACCESSORIES & GRP. 20161201441 6/1/2016 5/31/2021 $1,424,578.501500595
CHIEF FIRE & SAFETY EQUIPMENT SMOKE EJECTORS WITH ACCESSORIES 20181200841 10/19/2017 10/18/2022 $407,158.751600461
CIRCLE JANITORIAL SUPPLIES INC DUST MOP HEADS/FRAMES/HANDLE 20181201906 4/1/2018 3/31/2023 $737,772.001800020
CIRCLE JANITORIAL SUPPLIES INC TREATMENT, DUST MOP 20170000091 7/13/2016 7/12/2021 $27,617.731500633
CIRCLE LUBRICANTS INC ANTIFREEZE 20141202446 6/1/2014 5/30/2020 $1,164,924.751300376
CIRCLE LUBRICANTS INC OIL, LUBRICATING, AUTOMOTIVE, RE-REFINED 20151200736 2/1/2015 1/30/2021 $243,400.001400268
CIRCLE LUBRICANTS INC OIL, LUBRICATING, AUTOMOTIVE, VIRGIN 20151201141 2/1/2015 1/30/2021 $586,956.001400356
CIRCLE LUBRICANTS INC SYNTHETIC DIESEL ENGINE OIL 20171201876 2/1/2017 1/30/2021 $29,601.001600391
CITY BAGS WHOLESALERS INC CALCIUM CHLORIDE FLAKES 20181201396 3/1/2018 2/28/2023 $826,192.401700134
CITY WORLD ESTATE AUTO HOLDING CAR, AWD CROSSOVER - NYPD (FORD EDGE) 20190000436 7/1/2018 6/30/2021 $5,583,265.001800158
CITY WORLD ESTATE AUTO HOLDING VAN, 12 PASSENGER - NYPD 20191201082 11/15/2018 11/14/2023 $15,410,190.001900004
CITY WORLD ESTATE AUTO HOLDING VAN, HEAVY DUTY CARGO - NYPD 20201200376 9/1/2019 8/31/2024 $3,997,290.001900230
CITY WORLD ESTATE AUTO HOLDING VEHICLE, ALL WHEEL DRIVE HYBRID SUV - NYPD 20201201456 12/25/2019 12/24/2022 $5,472,400.001900326
CITY WORLD ESTATE AUTO HOLDING VEHICLE, PRISONER TRANSPORT - NYPD 20190000392 7/1/2018 6/30/2021 $2,976,255.001800159
CITY WORLD ESTATE AUTO HOLDING VEHICLE, UNMARKED NON DESCRIPT SUV -NYPD 20171202476 3/2/2017 3/1/2021 $5,509,860.001700028
CITY WORLD ESTATE AUTO HOLDING VEHICLES, UTILITY, MARKED AND UNMARKED - NYPD 20201200391 9/1/2019 8/31/2024 $7,067,740.001900165
CITY WORLD MOTORS LLC CARS, PASSENGER, HYBRID ELECTRIC PLUG-IN PRIUS PRM 20190000421 7/1/2018 6/30/2021 $499,880.001800213
CITY WORLD MOTORS LLC CARS, PASSENGER, MID-SIZE, HYBRID ELEC PRIUS 1223 20190000511 8/1/2018 7/31/2021 $459,680.001800152
CITY WORLD MOTORS LLC COMPACT SUV, HYBRID, AWD 20201201996 3/3/2020 3/2/2023 $1,346,350.002000010
CITY WORLD MOTORS LLC VANS - MINI, PASSENGER & CARGO TYPE 20201200677 10/1/2019 9/30/2024 $586,300.001900112
CLARITY WATER TECHNOLOGIES LLC COOLING TOWER SRVCS & SUPPLIES-SECONDARY VENDOR 20201200721 9/1/2019 8/31/2022 $22,284,333.301900132
Tuesday, April 7, 2020 Page 10 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
CLARKE MOSQUITO CONTROL PRODUC PESTICIDES AND MOSQUITO CONTROL PRODUCTS 20201201156 11/1/2019 10/31/2024 $477,930.001900303
COLD MIX MANUFACTURING CORP ASPHALT PAVING MIX/COLD PATCHING 20171202206 2/23/2017 2/22/2022 $2,285,500.001600282
COLONIAL HARDWARE CORP TOOLS, WINTER AND SUMMER (CSH) 20201200196 12/19/2019 12/18/2024 $1,963,537.001900130
COMMERCIAL LUBRICANTS LLC OIL, LUBRICANTS, INDUSTRIAL 20151201306 11/1/2014 10/30/2020 $2,210,369.501400409
COMMERCIAL LUBRICANTS LLC OIL, LUBRICATING, AUTOMOTIVE, RE-REFINED 20151202506 2/1/2015 1/30/2021 $2,734,340.401400268
COMMERCIAL LUBRICANTS LLC OIL, LUBRICATING, AUTOMOTIVE, VIRGIN 20151201411 2/1/2015 1/30/2021 $572,482.501400356
COMPETITION UNLIMITED CORP ABSORBENT COMPOUND FOR (OIL & WATER) 20191201261 12/1/2018 11/30/2023 $344,367.501800094
COMPETITION UNLIMITED CORP DOCKBUILDING, HARDWOOD TIMBERS-RE-AD 20191200046 8/1/2018 7/31/2023 $838,500.001800202
COMPETITION UNLIMITED CORP SYNTHETIC TURF MATERIALS - PARKS 20201202371 3/18/2020 3/17/2025 $2,367,762.921900321
COMPETITION UNLIMITED CORP TELEPRINTER PAPER (FDNY) 20181202461 6/1/2018 5/31/2023 $385,502.201800090
COMPLETE PACKAGING & SHIPPING BOXES: CORRUGATED-STORAGE-DUST FREE MOVING (CSH) 20161201306 1/28/2016 1/26/2021 $1,745,495.001500157
COMPLETE PACKAGING & SHIPPING FLASHLIGHTS AND LANTERNS 20161202987 6/15/2016 6/14/2021 $38,905.601600106
COMPLETE PACKAGING & SHIPPING MOP WRINGER & BUCKET COMBO 20161202056 6/1/2016 5/31/2021 $188,991.501600021
CONTINENTAL LIFT TRUCK INC EQUIPMENT II, RENTAL OF VARIOUS 20151202716 5/15/2015 5/14/2021 $1,826,240.001400134
CONTINENTAL LIFT TRUCK INC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181201021 11/1/2017 10/31/2022 $846,300.001700012
CONTINENTAL LIFT TRUCK INC FORKLIFTS, ELECTRIC, TRAINING, REPAIR SERVICES 20181200256 9/1/2017 8/31/2022 $99,600.001700122
CONTINENTAL LIFT TRUCK INC FORKLIFTS, VARIOUS SIZES, DCAS 20201200211 8/25/2019 8/24/2024 $496,163.401900110
CONTINENTAL LIFT TRUCK INC GRP: HELI FORKLIFTS 20171201411 12/15/2016 12/14/2021 $3,360,000.001600455
CONTINENTAL LIFT TRUCK INC NON GENUINE FORKLIFT PARTS FOR TOYOTA FORKLIFTS 20181202941 6/1/2018 5/31/2023 $672,000.001800160
CONTRACTORS HEAVEN COM INC GRP: STANSTEEL ASPHALT PLANT, 500 TPH DOUBLE DRUM 20191201036 11/15/2018 11/14/2023 $2,450,000.001800008
COOKIES & MORE INC DOC COMMISSARY ITEMS 20181203016 4/1/2018 3/31/2021 $67,760.001800092
Tuesday, April 7, 2020 Page 11 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
COOKIES & MORE INC DOC COMMISSARY ITEMS 20181202551 4/1/2018 3/31/2021 $27,780.001800092
COOKIES & MORE INC DOC COMMISSARY ITEMS II RE-AD 20181204111 6/6/2018 6/5/2021 $394,200.001800296
COOKIES & MORE INC SNACKS 20181203466 5/11/2018 6/30/2020 $45,317.321800260
COOKSON ENTERPRISES LLC RUBBER EDGES & ACCESSORIES 20200000196 7/1/2019 6/30/2024 $847,444.801900114
COOPER FRIEDMAN ELECTRIC SUPPL FIXTURES, COMMERCIAL LIGHTING: NYC 20191201351 12/15/2018 12/14/2023 $855,522.501700147
CORPORATE TRANSPORTATION CAR SERVICE, VOUCHER BASED, CITYWIDE_RENEWAL #1 20201201546 4/1/2020 3/31/2021 $3,725,495.511800061
CORROSION PRODUCTS & EQUIP INC OEM A.W. CHESTERTON MECH. SEALS & ENV 20181201231 12/1/2017 11/30/2022 $656,326.251800035
COSCO ENTERPRISES INC DEGREASER, OVEN 20161200152 8/17/2015 8/16/2020 $52,369.851500540
COUNTRYWIDE STONE LLC DOC - BAKING PRODUCTS AND BAKED GOODS 20191202806 5/1/2019 6/30/2020 $568,500.001900122
CRANE CARRIER COMPANY LLC TRUCK, 25 C.Y. REAR LOADING COLLECTION - DSNY 20181203061 6/2/2018 6/1/2021 $41,532,307.831700140
CRANE CARRIER COMPANY LLC TRUCK, COLLECTION, DUAL COMPRTM 25CY - DSNY(RE-AD) 20190000256 7/5/2018 7/4/2021 $49,403,129.391800151
CREAM O LAND DAIRIES LLC DOC - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203301 6/3/2019 6/30/2020 $1,217,190.001900120
CULVER FLOOR COVERING CO INC CARPET, BROADLOOM & TILE, TO FURNISH & INSTALL 20201200797 9/1/2019 8/31/2024 $6,803,800.001700393
CUSTOM BANDAG OF LONG ISLAND L TIRES: PASSENGER AND LIGHT DUTY TRUCK 20171203151 4/18/2017 4/17/2022 $1,381,366.321600132
CUSTOM CLAY INC CLAY, BALLFIELD 20170000196 2/1/2017 1/31/2022 $1,740,668.751600276
CUSTOM MARINE INC WATERWAY DEBRIS,REMOVAL,STORAGE & DISPOSAL (RE-AD) 20201200436 9/1/2019 8/31/2022 $3,213,200.001900280
CVK ENTERPRISES INC DBA ALUMINUM SERVICE CARTS (DOC) 20181200406 10/2/2017 10/1/2022 $455,697.341700198
CVK ENTERPRISES INC DBA CABINETS, ROLL-IN/THROUGH (HEATED & REFRIGERATED) 20151201337 1/1/2015 12/30/2020 $3,769,560.001500020
CVK ENTERPRISES INC DBA MEAT SLICING MACHINES - DOC (RE-AD) 20151201006 11/1/2014 10/30/2020 $450,660.001400457
CVK ENTERPRISES INC DBA TABLEWARE: TRAYS, COVERS AND UTENSILS (DOC) 20171201696 6/1/2017 5/31/2022 $890,785.001600377
D & W DIESEL INC GRP: RACOR FILTRATION PRODUCTS 20180000302 8/30/2017 8/29/2022 $225,000.001700118
Tuesday, April 7, 2020 Page 12 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
D & W DIESEL INC NON-GEN: FUEL SYSTEMS, ACCESSORIES AND COMPONENTS 20181201171 12/15/2017 12/14/2022 $1,500,000.001700287
D F STONE CONTRACTING LTD FINE AND COARSE AGGREGATES 20171201171 12/17/2016 12/16/2021 $621,414.001600056
D J PLUMBING SUPPLY CO INC REPLACEMENT PLUMBING FIXTURES 20201201831 3/1/2020 2/28/2023 $513,715.002000104
D&D ELECTRIC MOTORS AND GRP: KAESER COMPRESSOR AND GENERATORS 20171200571 11/1/2016 10/31/2021 $660,000.001600383
DANIEL OYEWALE MOPS, DECK 20181200616 12/1/2017 11/30/2022 $51,401.501700174
DANIEL OYEWALE SANITARY NAPKINS(CSH) 20171200826 10/1/2016 9/30/2021 $168,480.001600107
DARBARS GROUP LIMITED PREPARED MEALS FOR NYPD 20191200303 7/1/2018 6/30/2021 $87,505.601800098
DART SEASONAL PRODUCTS INC SALT, ROCK FOR SIDEWALK & STREET (STOREHOUSE) 20170000046 8/1/2016 7/31/2021 $1,487,628.001500477
DATUM FILING SYSTEMS INC HIGH DENSITY FILING SYSTEM 20191201726 3/1/2019 2/28/2024 $6,920,153.001800163
DAVE HEINER ASSOCIATES INC GRP: WEMCO, PUMP PARTS & HYDROGRITTER PARTS 20161201607 6/1/2016 5/31/2021 $5,000,000.001600006
DAVID WEBER OIL COMPANY OIL, LUBRICATING FOR MARINE DIESEL ENGINES 20191203121 5/22/2019 5/21/2024 $762,970.001900162
DAVID WEBER OIL COMPANY OIL, LUBRICATING, AUTOMOTIVE, VIRGIN 20151200946 2/1/2015 1/30/2021 $34,717.501400356
DAVIS ENTERPRISES LIMITED GRP:FERNO EMSAR CLASS 1,2 AND 3 20201200121 8/1/2019 7/31/2024 $1,387,500.001900060
DEJANA INDUSTRIES INC GRP: AERO SNOW MELTERS RE-AD 20171201921 2/1/2017 1/31/2022 $625,000.001600381
DEJANA TRUCK & UTILITY GRP: MONROE SPREADER REPLACEMENT PARTS RE-AD 20181202236 4/15/2018 4/14/2023 $1,800,000.001800155
DEJANA TRUCK & UTILITY GRP: MYER SNOW PLOWS 20181201861 3/29/2018 3/27/2023 $142,500.001700193
DEMUSIS RADIATOR INC RADIATORS, RADIATOR-CORES AND AIR COOLERS 20201201081 2/29/2020 2/28/2025 $360,000.001900271
DEPENDABLE SUPPLIES INC HOSE, RUBBER AND PLASTIC 20201200106 11/28/2019 11/27/2024 $527,870.001900123
DIEHL & SONS INC CRANES, TRUCK MOUNTED - DOT 20191200676 9/11/2018 9/10/2023 $3,194,320.001800188
DIEHL & SONS INC GRP: FREIGHTLINER 20161201653 6/29/2016 6/28/2021 $948,360.001600023
DIEHL & SONS INC TRUCK, 62' TREE TRIMMER W/CHIPPER BODY - PARKS 20161202446 4/20/2016 4/20/2020 $2,879,310.001500666
Tuesday, April 7, 2020 Page 13 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
DIEHL & SONS INC TRUCK, CAR CARRIER, VARIOUS - DEP 20171202881 4/21/2017 4/20/2021 $478,469.001700104
DIEHL & SONS INC TRUCK, CLASS 7, UTILITY W/VARIOUS BODY TYPE 20200000136 7/1/2019 6/30/2024 $2,782,776.001900071
DIEHL & SONS INC TRUCK, CLASS 8, UTILITY W/VARIOUS BODY TYPE 20191201126 12/15/2018 12/14/2023 $5,474,947.001800257
DIEHL & SONS INC TRUCK, LOAD LUGGER - DEP 20171203706 6/21/2017 6/20/2022 $2,960,532.001600451
DIEHL & SONS INC TRUCK, MACHINIST, TIDE GATE - DEP 20190000196 7/1/2018 6/30/2021 $2,879,532.001800043
DIEHL & SONS INC TRUCK, PLATFORM LIFT - DOT 20171201636 1/15/2017 1/14/2022 $1,367,650.001600028
DIEHL & SONS INC TRUCK, RACK, VARIOUS BODY TYPES RE-AD 20181202026 4/1/2018 3/31/2023 $7,952,140.001800040
DIEHL & SONS INC TRUCK, SEWER CLEANING, 5 C.Y.-DPR 20191201321 11/28/2018 11/27/2023 $1,305,298.501800344
DIEHL & SONS INC TRUCK, SHAFT MAINTENANCE PLUMBER -DEP 20191201951 3/12/2019 3/11/2022 $2,602,914.501700392
DIEHL & SONS INC TRUCK, TWO CAR CARRIER - NYPD 20171202251 3/10/2017 3/9/2022 $3,184,115.001600475
DIEHL & SONS INC TRUCK, UTILITY WITH VARIOUS BODIES - DOT (RE-AD) 20181202056 4/1/2018 3/31/2023 $1,674,697.001800039
DIEHL & SONS INC TRUCK, VACUUM - DSNY 20181200886 10/30/2017 10/29/2020 $592,797.121700308
DIEHL & SONS INC TRUCK, VOLUMETRIC CEMENT MIXER - DOT (RE-AD) 20191200001 6/30/2018 6/29/2023 $3,724,316.001800185
DIEHL & SONS INC TRUCK,REFRIGERATED BOX BODY - CITYWIDE 20191201876 2/20/2019 2/19/2024 $575,705.501900028
DIEHL & SONS INC VAN, CARGO TYPE, CFC RECOVERY VEHICLE-DSNY 20201201621 2/1/2020 1/31/2025 $1,819,169.001900243
DIEHL & SONS INC VANS, 4X2 NARROW PASSENGER & CARGO TYPE - CTWD 20201200286 9/1/2019 8/31/2024 $1,620,260.001900221
DIEHL & SONS INC VANS, 4X2 NARROW PASSENGER & CARGO TYPE - CTWD 20201200826 10/1/2019 8/31/2024 $222,445.001900221
DIEHL & SONS INC VANS, 4X4 NARROW PASSENGER & CARGO TYPE - CTWD 20201200151 9/1/2019 8/31/2024 $1,414,995.001900257
DIFEO NISSAN PARTNERSHIP GRP: NISSAN 20181202746 5/1/2018 4/30/2023 $375,000.001800067
DORON PRECISION SYSTEMS INC DRIVING SIMULATION SYSTEMS - DOC 20171201621 1/1/2017 12/31/2020 $1,606,320.001600436
DOSCH-KING COMPANY INC ASPHALT EMULSION RS-1 20201200031 8/1/2019 7/31/2022 $286,740.001900126
Tuesday, April 7, 2020 Page 14 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
DOSCH-KING COMPANY INC ASPHALT,LIQUID - RC 70 20181201636 2/6/2018 2/5/2021 $539,550.001700242
DRAEGER INC DRAEGER RE-BREATHER PRODUCTS (BRAND SPECIFIC) 20171204006 3/1/2017 1/27/2022 $2,788,000.001600064
DREW & ROGERS INC PAPER: CONTINUOUS, INTERLEAF 20200000271 8/1/2019 7/31/2024 $1,137,750.001900208
DS SERVICES OF AMERICA INC WATER, DRINKING, BOTTLED & COMPACT WATER COOLERS 20181200481 6/30/2017 7/1/2020 $6,295,074.001700239
DUBOIS CHEMICALS INC HYDROFLUOROSILICIC ACID - DEP (BWS) 20191202042 7/18/2018 6/30/2020 $2,381,665.251700102
DUN & BRADSTREET INC DBA D & B SUBSCRIPTION:DUN & BRADSTREET FINANCIAL INFO SRVCS 20181203556 6/29/2018 6/28/2023 $3,000,000.001800302
DYNAMIC TOWING EQUIP & MFG INC GRP: DYNAMIC TOW BODY 20171200406 9/15/2016 9/14/2021 $950,000.001600373
E&T PLASTIC MANUFACTURING CO THERMOPLASTIC SHEETING (RE-AD) 20181201411 1/1/2018 12/31/2022 $642,221.221700323
EAGLE AUTO MALL SALES INC VEHICLE - PICKUP TRUCKS, VARIOUS PAYLOADS 20201201006 11/1/2019 10/31/2024 $410,000.001900239
EAGLE EQUIPMENT INC EQUIPMENT II, RENTAL OF VARIOUS 20151202867 5/15/2015 5/14/2021 $2,134,860.001400134
EASTERN BAG & PAPER CO INC BASEBOARD STRIPPER 20170000181 7/10/2016 7/9/2021 $105,834.001500646
EASTERN HAY CORP FORAGE 20201200616 10/1/2019 9/30/2022 $160,225.001900269
EASTERN LIFT TRUCK CO INC FORKLIFT, DIESEL, 4000 LB - DSNY 20171203181 5/20/2017 5/19/2020 $847,899.801600371
EBERL IRON WORKS INC GUIDE RAIL, POSTS AND ACCESSORIES 20171201201 12/31/2016 12/30/2021 $1,061,482.501600262
EDMAR CLEANING CORPORATION VACUUM CLEANERS, BAGLESS,UPRIGHT 16" 20171203017 5/1/2017 4/30/2022 $62,496.001600392
EDSAL MACHINE PRODUCTS INC ALARM BOX PEDESTAL 20181201546 2/1/2018 1/31/2023 $658,100.001700150
EDSAL MACHINE PRODUCTS INC FIRE HYDRANT PARTS 20181202971 6/1/2018 5/31/2023 $5,865,840.001600460
EDSAL MACHINE PRODUCTS INC LEANING BARS - NYC DEPARTMENT OF TRANSPORTATION 20201200166 12/1/2019 11/30/2024 $620,626.801900091
EDSAL MACHINE PRODUCTS INC PIPE, BIKE RACK 20181200001 11/1/2017 10/31/2022 $365,000.001700058
EL DIARIO LLC NEWSPAPERS FOR DOC: SPANISH LANGUAGE 20181201141 11/14/2017 11/13/2022 $702,000.001700162
ELECTION SYSTEMS & SOFTWARE LL SCANNABLE ELECTION BALLOTS, PRIMARY AND GENERAL 20161201981 4/1/2015 12/31/2020 $5,256,000.001400242
Tuesday, April 7, 2020 Page 15 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
ELLIOTT INTL EQUIPMENT CORP GRP: EBARA PUMPS 20171201456 3/1/2017 2/28/2022 $2,090,000.001600427
ELSTER AMCO WATER LLC WATER METERS, ELECTRONIC 20181201261 1/1/2018 12/31/2022 $14,978,515.001700279
ELWOOD INTERNATIONAL INC INDIVIDUALLY PACKAGED CONDIMENTS 20181202836 5/1/2018 6/30/2020 $134,867.061800206
EMERGENCY SKILLS INC AUTOMATED EXTERNAL DEFIBRILLATOR TRAINING, RE-AD 20201201846 3/31/2020 3/31/2025 $456,750.001900228
ENGINE SYSTEMS INC DBA GRP: ELECTRO-MOTIVE_DIESEL ENGINES, MARINE 20161200451 9/20/2015 9/19/2020 $1,261,000.001500504
ENNIS-FLINT INC THERMOPLASTIC MATERIAL 20191201441 11/27/2018 1/31/2022 $756,078.401700007
ENS INVESTMENTS LLC LINERS, TRASH, GREEN RE-AD 20181203076 6/1/2018 5/31/2023 $1,219,850.001800109
ENVIROLUTIONS LLC GRP: DRESSER PUMPS & PARTS 20151202553 5/1/2015 4/30/2021 $950,000.001500173
ENVIROLUTIONS LLC MEMBRANES, MICROFILTRATION (BRAND SPECIFIC) 20200000001 9/1/2019 8/31/2024 $435,600.001900054
ENVIRONMENTAL AGRICULTURAL BEVERAGES 20181203182 5/1/2018 6/30/2020 $691.841800217
ENVIRONMENTAL AGRICULTURAL PREPARED MEALS FOR NYPD 20191200317 7/1/2018 6/30/2021 $1,828,480.001800098
ENVIRONMENTAL OPERATING GLYCEROL (DEP) 20181201441 1/5/2018 1/4/2023 $76,657,040.001700331
ENVISION SOLAR INTERNATIONAL I CARPORT, SOLAR POWERED VEHICLE CHARGER 20171202731 4/17/2017 4/16/2021 $3,797,710.001600450
E-ONE INC GRP: FERRARA FIRE APPARATUS 20191200031 8/1/2018 7/31/2023 $1,860,000.001800200
EPPY'S TOOL & EQUIPMENT GRP: SPX-OTC TOOLS AND ACCESSORIES 20151202117 3/1/2015 2/28/2021 $520,000.001500016
EVERGREEN CORPORATE GIFTS & PROMOTIONAL ITEMS AND APPAREL 20181200301 12/1/2017 11/30/2022 $8,475,519.751700113
EVERGREEN QUALITY INC BOOTS, WORK FOR MEN AND WOMEN 20191202866 6/30/2019 6/29/2024 $531,426.251900073
EVERO CORPORATION MAINTENANCE/SUPPORT OF BTBC DIGITALCLINIC SOFTWARE 20200000256 8/1/2019 7/31/2020 $336,422.001500122
EXECUTIVE CHARGE INC RENEWAL #1- CAR SERVICE,VOUCHER BASED,SI,MANHATTAN 20201201351 4/1/2020 3/31/2021 $335,000.001800061
F & W PLASTICS CUTLERY: PLASTIC, DISPOSABLE 20151200706 10/9/2014 10/7/2020 $431,520.001400115
F AND M EQUIPMENT LTD EXCAVATOR, HYDRAULIC, TRACK TYPE - DSNY 20171200511 10/1/2016 9/29/2020 $2,223,882.481500311
Tuesday, April 7, 2020 Page 16 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
F AND M EQUIPMENT LTD GRP: DRESSER-GALION & INTERNATIONAL 20171200046 9/28/2016 9/27/2021 $400,000.001600191
F AND M EQUIPMENT LTD LOADER, FRONT END, ARTICULATED FRAME 3.5 CU YD. 20190000166 7/1/2018 6/30/2021 $8,606,620.491700228
F AND M EQUIPMENT LTD MILLING MACHINE (COLD PLANER)RE-AD 20171202237 3/15/2017 3/14/2022 $1,536,707.241700053
FAIRFIELD SVC CO OF INDIANA LL SLUDGE COLLECTOR FLIGHTS (BRAND SPECIFIC) 20191202071 5/1/2019 4/30/2024 $1,829,984.901900017
FASTENAL COMPANY MAINTENANCE REPAIR & OPERATION SUPPLIES 20181202491 6/1/2018 5/31/2023 $2,683,750.001700175
FELDMAN LUMBER-US LBM LLC METAL FRAMING, WALLBOARD & MISC. HARDWARE RE-AD 20191201291 12/15/2018 12/14/2023 $377,126.001800070
FERGUSON ENTERPRISES INC ROTARY DRUM PUMP AND HYDRANT WRENCH AND SPANNER 20170000166 7/10/2016 7/9/2021 $83,726.181600159
FERRARA FIRE APPARATUS INC TRUCK, HEAVY DUTY RESCUE - FDNY 20171203091 4/20/2017 4/19/2021 $9,784,514.501600252
FERRARA FIRE APPARATUS INC TRUCK,HEAVY DUTY HAZMAT RESOURCE COMMAND UNIT-FDNY 20181200451 5/5/2017 5/4/2021 $10,035,700.001600335
FILCO CARTING CORP RENTAL OF REFUSE CONTAINERS 20190000316 9/1/2018 8/31/2023 $3,182,900.001800024
FINESSE CREATIONS INC ACS BAKING PRODUCTS AND BAKED GOODS 20191203541 6/3/2019 6/30/2020 $15,306.001900173
FINESSE CREATIONS INC ACS: SHELF-STABLE FOOD PRODUCTS 20191202911 5/1/2019 6/30/2020 $85,142.001900170
FINESSE CREATIONS INC BABY FOOD 20181203737 5/17/2018 6/30/2020 $15,065.001800136
FINESSE CREATIONS INC BEVERAGE DRINK BASE WITH DISPENSERS 20191202581 5/1/2019 6/30/2021 $668,800.001900146
FINESSE CREATIONS INC CANINE FOOD FOR NYPD 20181200016 6/1/2017 3/31/2021 $654,492.001700098
FINESSE CREATIONS INC CANINE FOOD FOR NYPD 20181201726 2/1/2018 3/31/2021 $86,220.001700160
FINESSE CREATIONS INC DOC - SHELF-STABLE FOOD PRODUCTS 20191203512 6/10/2019 8/9/2020 $11,700.001900211
FINESSE CREATIONS INC DOC COMMISSARY ITEMS II RE-AD 20181204036 6/6/2018 6/5/2021 $152,550.001800296
FINESSE CREATIONS INC EQUIPMENT, SECURITY (WALK-THROUGH METAL DETECTOR) 20151201653 6/1/2015 5/31/2020 $127,500.001400455
FINESSE CREATIONS INC FLASHLIGHT, LED, 2D, RE-AD 20170000226 7/1/2016 6/30/2021 $113,058.001600221
FINESSE CREATIONS INC HRA EFNAP - SHELF STABLE 20191202326 3/15/2019 3/14/2022 $2,363,872.501900089
Tuesday, April 7, 2020 Page 17 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
FINESSE CREATIONS INC K.O. FIRE CURTAIN (BRAND SPECIFIC) 20171202161 3/1/2017 2/28/2022 $1,745,000.001600258
FINESSE CREATIONS INC MUGS: POLYPROPYLENE HOT/COLD DOC 20171201666 4/1/2017 3/31/2022 $258,400.001600420
FINESSE CREATIONS INC PIONEER REPLACEMENT PARTS - DSNY (BRAND SPECIFIC) 20201200046 8/1/2019 7/31/2024 $475,000.001900268
FINESSE CREATIONS INC PREMIUM RUBBER SPEED BUMPS (BRAND SPECIFIC) 20191202597 6/1/2019 5/31/2024 $1,281,040.001900135
FINESSE CREATIONS INC REBAR CUTTER 20171202101 4/4/2017 4/3/2022 $725,275.001700035
FINESSE CREATIONS INC SPORTS COATING MATERIALS 20171200361 10/1/2016 9/30/2021 $201,940.001600155
FINESSE CREATIONS INC VACUUM CLEANER, WET/DRY 10/12 GALLON 20181200271 10/29/2017 10/28/2022 $46,500.001600392
FINESSE CREATIONS INC WATER METER INLINE WIRE CONNECTOR 20181200121 9/4/2017 9/3/2022 $163,500.001700090
FIRE HOOKS UNLIMITED INC POWER SAW (BRAND SPECIFIC) 20181202071 4/1/2018 3/31/2023 $527,125.001700269
FIRE HOOKS UNLIMITED INC FIREFIGHTING TOOLS 20181200811 3/22/2018 3/21/2023 $799,000.001700181
FIREMATIC SUPPLY CO INC FIREFIGHTING FITTINGS-FDNY 20200000227 8/29/2019 8/27/2024 $2,276,446.501900051
FIREMATIC SUPPLY CO INC GENUINE HURST RESCUE TOOLS AND ACCESSORIES 20191200946 1/1/2019 12/31/2023 $2,097,950.001800010
FITZSIMMONS HYDRAULICS INC GRP: SAUER DANFOSS HYDRAULIC PARTS 20181202266 6/1/2018 5/31/2023 $227,500.001800097
FJC SECURITY SERVICES INC ARMED SECURITY GUARD SERVICES 20196200631 12/1/2018 11/30/2021 $626,933,137.00
FJC SECURITY SERVICES INC UNARMED SECURITY GUARD SERVICES 20196200586 12/1/2018 11/30/2021 $28,000,000.00
FLEET AUTO ENTERPRISE INC AUTO BODY AND CHASSIS REPAIR SERVICES, CITYWIDE 20201201051 10/28/2019 10/27/2022 $10,981,236.001900181
FLEET PUMP & SERVICE GROUP INC FLYGT PUMPS AND PARTS (BRAND SPECIFIC) 20171200032 11/1/2016 10/31/2021 $4,850,000.001600192
FLEMING INDUSTRIES INC TRAUMA RESPONSE BAGS - FDNY 20191202162 4/1/2019 3/31/2024 $3,637,790.001900076
FLIGHT SUITS GENTEX AVIATION HELMETS 20201200931 10/1/2019 9/30/2022 $227,492.021900262
FORRESTER FENCE CO INC FENCING: FURNISH, INSTALL AND REPAIR 20200000046 8/1/2019 7/31/2024 $273,150.001900026
FORT ORANGE PRESS INC SCANNABLE ELECTION BALLOTS, PRIMARY AND GENERAL 20151203183 4/1/2015 12/31/2020 $5,931,200.001400242
Tuesday, April 7, 2020 Page 18 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
FRANK GARGIULO & SON INC ACS - FRUITS & VEGETABLES (FRESH, SEASONAL) 20191203661 6/18/2019 8/17/2020 $308,647.071900245
FRANK GARGIULO & SON INC DOC - FRUITS & VEGETABLES (FRESH, SEASONAL) 20191203106 6/1/2019 7/31/2020 $1,723,662.361900235
FRIEDLANDER M&R SUPPLY CO INC STEEL: SHEETS, PLATES AND BARS_RE-AD 20161201801 11/1/2015 10/31/2020 $734,990.001600097
FURNITURE PRO CORP TRADITIONAL WOOD OFFICE FURNITURE 20201201291 12/1/2019 11/30/2022 $919,587.571900212
G E PICKERING INC CONTAINERS, BIOHAZARD (FDNY) 20151202071 3/1/2015 2/27/2021 $54,491.001500097
G E PICKERING INC LIFE SUPPORT PRODUCTS AND PARTS, BRAND SPECIFIC 20161200571 1/1/2016 12/31/2020 $365,000.001500509
G E PICKERING INC PATIENT TRANSFER EQUIPMENT, FERNO, BRAND SPECIFIC 20161200706 1/1/2016 12/31/2020 $1,542,500.001500483
GABRIELLI TRUCK LEASING LLC EQUIPMENT II, RENTAL OF VARIOUS 20151203601 5/15/2015 5/14/2021 $14,060,220.001400134
GABRIELLI TRUCK LEASING LLC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181200856 11/1/2017 10/31/2022 $15,193,500.001700012
GABRIELLI TRUCK SALES LTD GRP EUCLID HD BRAKES, PARTS & ACCESSORIES 20151202761 5/1/2015 4/30/2020 $542,400.001500131
GABRIELLI TRUCK SALES LTD GRP WEATHERHEAD FITTING & HOSE ENDS 20171201096 3/1/2017 2/28/2022 $179,400.001700025
GABRIELLI TRUCK SALES LTD GRP: BENDIX BRAKES HEAVY DUTY 20170000062 10/1/2016 9/30/2021 $929,200.001600189
GABRIELLI TRUCK SALES LTD GRP: BETTS INDUSTRIES,AUTOMOTIVE LIGHT PRODUCTS 20151200211 8/1/2014 7/30/2020 $98,000.001400470
GABRIELLI TRUCK SALES LTD GRP: CUMMINS DIESEL ENGINE 20181200211 9/1/2017 8/31/2022 $1,540,000.001700283
GABRIELLI TRUCK SALES LTD GRP: DANA & EATON AXLES RE-AD 20170000077 9/1/2016 8/31/2021 $320,000.001600166
GABRIELLI TRUCK SALES LTD GRP: KENWORTH TRUCKS 20180000287 8/1/2017 7/31/2022 $1,200,000.001700192
GABRIELLI TRUCK SALES LTD GRP: MACK TRUCKS 20151200241 10/1/2014 9/29/2020 $16,330,000.001400417
GABRIELLI TRUCK SALES LTD GRP: MGM AIR BRAKE CHAMBERS & COMPONENTS 20190000241 9/1/2018 8/31/2023 $180,000.001800210
GABRIELLI TRUCK SALES LTD GRP: MIDLAND BRAKES 20191201681 2/7/2019 2/6/2024 $238,000.001900068
GABRIELLI TRUCK SALES LTD GRP: RETRAC MIRRORS 20191202401 5/1/2019 4/30/2024 $405,000.001900059
GABRIELLI TRUCK SALES LTD GRP: STEMCO GUARDIAN SEALS & HUBCAPS 20170000106 9/1/2016 8/31/2021 $560,000.001600077
Tuesday, April 7, 2020 Page 19 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
GABRIELLI TRUCK SALES LTD GRP: VOLVO TRUCKS, MEDIUM/HEAVY DUTY 20161201712 6/29/2016 6/28/2021 $293,810.001600014
GABRIELLI TRUCK SALES LTD TRUCK TRACTOR AND VARIOUS TRAILERS - DSNY 20201200841 10/10/2019 10/9/2024 $5,145,819.001900236
GABRIELLI TRUCK SALES LTD TRUCK, 16 C.Y. COLLECTION - PARKS 20171201246 11/30/2016 11/28/2020 $1,838,688.001700003
GABRIELLI TRUCK SALES LTD TRUCK, 18CY DUMP W/SNOW PLOW HITCH - DSNY 20191202011 3/28/2019 3/27/2024 $26,750,240.651900041
GABRIELLI TRUCK SALES LTD TRUCK, 3000 GALLON GASOLINE FUEL TANK - DSNY 20200000316 7/15/2019 7/14/2022 $817,239.721900035
GABRIELLI TRUCK SALES LTD TRUCK, 4400 GALLON DIESEL FUEL TANK - DSNY 20200000301 7/15/2019 7/14/2022 $880,708.721900036
GABRIELLI TRUCK SALES LTD TRUCK, CAB AND CHASSIS W/BOX BODY OR MTD FORKLIFT 20201201111 11/20/2019 11/19/2024 $2,316,493.001900169
GABRIELLI TRUCK SALES LTD TRUCK, CABLE SCRAPPER - FDNY 20171200781 9/21/2016 9/19/2020 $6,296,069.001600145
GABRIELLI TRUCK SALES LTD TRUCK, CAR CARRIER, VARIOUS - DEP 20171203061 4/21/2017 4/20/2021 $1,022,447.001700104
GABRIELLI TRUCK SALES LTD TRUCK, CLASS 4 AND 5 WITH VARIOUS BODIES - FDNY 20191201486 1/20/2019 1/19/2024 $14,481,142.131800262
GABRIELLI TRUCK SALES LTD TRUCK, CLASS 5, RACK W/VARIOUS BODIES (RE-AD) 20191200871 10/1/2018 9/30/2023 $2,386,790.001800253
GABRIELLI TRUCK SALES LTD TRUCK, COLLECTION, DIESEL & HYBRID OPTION - DPR 20191201996 3/15/2019 3/14/2024 $3,245,672.001800345
GABRIELLI TRUCK SALES LTD TRUCK, DIESEL/ELECTRIC HYBRID DRY FREIGHT -DSNY 20191201636 1/31/2019 1/30/2024 $3,234,241.991800329
GABRIELLI TRUCK SALES LTD TRUCK, HEAVY DUTY 4X4, SPREADER/3.5 C.Y. DUMP BODY 20181201606 1/15/2018 1/14/2021 $19,337,400.821700351
GABRIELLI TRUCK SALES LTD TRUCK, HEAVY DUTY RACK BODY - FDNY 20161202882 5/24/2016 5/22/2020 $1,474,494.001600082
GABRIELLI TRUCK SALES LTD TRUCK, HEAVY DUTY WRECKER - DSNY 20171200271 8/31/2016 8/29/2020 $13,230,150.601600228
GABRIELLI TRUCK SALES LTD TRUCK, HOIST FITTED CHASSIS - DSNY 20170000017 7/1/2016 6/29/2020 $2,063,286.341500376
GABRIELLI TRUCK SALES LTD TRUCK, HYDRAULIC TRAFFIC MARKING SCARIFIER - DOT 20201201561 1/15/2020 1/14/2023 $2,394,901.561900299
GABRIELLI TRUCK SALES LTD TRUCK, JET RODDER & VACUUM COMBINATION - DSNY 20201200001 8/15/2019 8/14/2024 $7,904,289.951900040
GABRIELLI TRUCK SALES LTD TRUCK, OIL TANK - DOT 20171202146 2/20/2017 2/19/2022 $681,114.831600464
GABRIELLI TRUCK SALES LTD TRUCK, RADIO EMERGENCY PATROL - NYPD 20171200316 9/1/2016 8/30/2020 $10,473,300.001600277
Tuesday, April 7, 2020 Page 20 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
GABRIELLI TRUCK SALES LTD TRUCK, SAFETY BACKUP - DEP 20181201502 1/15/2018 1/14/2021 $2,028,400.001700379
GABRIELLI TRUCK SALES LTD TRUCK, SHAFT MAINTENANCE MACHINIST - DEP 20181201531 1/21/2018 1/20/2021 $1,826,784.001700218
GABRIELLI TRUCK SALES LTD TRUCK, SPREADER SPRAYER SNOW PLOWER - DOT 20191201336 12/15/2018 12/14/2023 $7,620,546.001800120
GABRIELLI TRUCK SALES LTD TRUCK, TANDEM AXLE HEAVY DUTY WRECKER - DSNY 20171201216 12/1/2016 11/29/2020 $5,789,121.201600352
GABRIELLI TRUCK SALES LTD TRUCK, TILT BODY CONTAINER, ROLL ON/OFF - DSNY 20161202747 5/16/2016 5/14/2020 $15,485,445.501600016
GABRIELLI TRUCK SALES LTD TRUCK, UTILITY WITH VARIOUS BODIES - DOT (RE-AD) 20181202073 4/1/2018 3/31/2023 $1,311,784.001800039
GABRIELLI TRUCK SALES LTD TRUCK, WELDING - DSNY 20161202701 4/25/2016 4/23/2020 $3,404,664.001600031
GABRIELLI TRUCK SALES LTD TRUCK, WRECKER 8 & 10 TON - DOT 20161202881 6/1/2016 5/30/2020 $1,007,136.001500616
GABRIELLI TRUCK SALES LTD TRUCK,(19,000 GVW) DUMP W/VARIOUS BODIES 20191201861 3/15/2019 3/14/2024 $947,149.001800339
GABRIELLI TRUCK SALES LTD TRUCK,(26,000 GVW) DUMP W/VARIOUS BODIES 20191201801 3/15/2019 3/14/2024 $3,357,427.001700049
GABRIELLI TRUCK SALES LTD TRUCK,(33,000 GVW) DUMP W/VARIOUS BODIES RE-AD 20191202506 6/1/2019 5/31/2024 $2,276,543.001900136
GABRIELLI TRUCK SALES LTD TRUCK,(37,000 GVW) DUMP W/VARIOUS BODIES 20191202041 3/15/2019 3/14/2024 $4,139,024.001800319
GABRIELLI TRUCK SALES LTD VEHICLE - PICKUP TRUCKS, LIGHT/MEDIUM/HEAVY DUTY 20191202387 5/1/2019 4/30/2024 $1,088,250.001900038
GARDEN STATE HWY PRODUCTS INC CONES, TRAFFIC, RECYCLED PLASTIC 20201201231 2/2/2020 1/31/2025 $837,120.001900179
GARDEN STATE HWY PRODUCTS INC SIGN POST, STEEL, U CHANNEL 20180000001 12/1/2017 11/30/2020 $988,642.501700111
GARDEN STATE HWY PRODUCTS INC TRAFFIC SIGN INSTALLATION: PARTS 20171202162 6/1/2017 5/31/2022 $360,456.551700067
GARNER ENVIRONMENTAL SVCS INC EMERGENCY PREPAREDNESS,RESPONSE GOODS&RELATED SVC 20171202598 3/1/2017 3/31/2021 $5,000,000.001700085
GARTNER INC GARTNER SUBSCRIPTION BASED RESEARCH & ADVISORY SERVIC 20196201381 6/13/2019 6/12/2023 $17,500,000.00
GAYLE CORPORATION KSB PUMPS & PARTS (BRAND SPECIFIC) RE-AD 20151200437 9/1/2014 8/20/2020 $3,000,000.001400371
GBSA INC DBA GRAYSTONE GROUP AD PLACEMENT SRVCS CTW-RECRUITMENT 20201200678 9/30/2019 9/29/2022 $5,881,150.001900078
GE OIL & GAS COMPRESSION ENTERPRISE & COOPER BESSMER PARTS (GE SOLE SOURCE) 20171200196 7/1/2016 6/29/2020 $5,885,184.001300503
Tuesday, April 7, 2020 Page 21 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
GEMTOR INC HARNESS AND LIFE SAVING BELT 20151203256 6/1/2015 5/31/2020 $1,523,750.001500332
GENERAL FOUNDRIES INC CASTINGS: MANHOLE FRAME, COVER AND MISCELLANEOUS 20190000076 8/1/2018 7/31/2023 $3,164,354.451800167
GENERAL FOUNDRIES INC IRON CASTINGS, WATER MAIN (DEP-BWSO) 20191201427 12/1/2018 5/31/2023 $1,090,745.001700233
GENERAL FOUNDRIES INC MANHOLE EXTENSION RINGS 20190000136 1/1/2019 12/31/2023 $1,792,415.651700236
GENERAL SALES ADMINISTRATION GRP:FEDERAL SIGNAL SYSTEMS & COMPONENT LIGHTS 20160000151 8/1/2015 7/31/2021 $1,620,000.001500174
GENEVA WORLDWIDE INC TRANSCRIPTION SERVICES - 3 YEAR RENEWAL 20181200631 5/1/2018 4/30/2021 $507,500.001300449
GENEVA WORLDWIDE, INC. LANGUAGE SERVICES 20186201636 6/3/2018 6/2/2021 $5,265,000.00
GENEVA WORLDWIDE, INC. LANGUAGE SERVICES. 20196000000 7/1/2018 6/30/2021 $4,722,804.00
GEN-PROBE SALES & SERVICE INC TIGRIS DTS SYSTEM, ASSAY KITS AND REAGENTS 20161200481 8/1/2015 7/31/2021 $3,800,437.501500520
GENUINE PARTS COMPANY CITYWIDE AUTOMOTIVE PARTS, SUPPLY AND STAFFING 20181201336 1/4/2018 1/3/2023 $129,181,535.001100241
GEORGE S COYNE CHEMICAL CO INC ORTHOPHOSPHORIC ACID (D.E.P.) 20200000121 7/1/2019 6/30/2022 $17,034,939.751900092
GLOBAL ENVIRONMENTAL PRODUCTS GRP: JOHNSTON/ALLIANZ SWEEPER PARTS 20180000166 8/1/2017 7/31/2022 $9,700,000.001700188
GLOBAL ENVIRONMENTAL PRODUCTS STREET SWEEPER, FOUR (4) WHEEL, 5 C.Y. MID DUMP 20181202251 4/15/2018 4/14/2021 $86,645,430.101800001
GLOBAL ENVIRONMENTAL PRODUCTS SWEEPER,5 C.Y. ELECTRIC HYBRID FOUR WHEEL - DSNY 20171203271 6/20/2017 6/19/2021 $17,655,041.591700030
GLOBAL FOOD INDUSTRIES LLC DOC - BAKING PRODUCTS AND BAKED GOODS 20191202776 5/1/2019 6/30/2020 $91,050.001900122
GLOBAL FOOD INDUSTRIES LLC DOC COMMISSARY ITEMS 20181202566 4/1/2018 3/31/2021 $1,466,170.001800092
GLOBAL FOOD INDUSTRIES LLC HRA EFNAP - SHELF STABLE 20191202282 3/15/2019 3/14/2022 $195,782.401900089
GLOBAL FOOD INDUSTRIES LLC PASSOVER FOODS 20181204156 6/20/2018 6/19/2020 $13,330.001800223
GLOBAL FOOD INDUSTRIES LLC SAUCES, SEASONING, SPICES & CONDIMENTS 20181203256 5/1/2018 6/30/2020 $32,947.801800209
GLOBAL FOOD INDUSTRIES LLC SNACKS 20181203421 5/11/2018 6/30/2020 $6,238.201800260
GLOBAL MONTELLO GROUP CORP GASOLINE AND ETHANOL BLENDS, BULK DELIVERY 20171201292 12/15/2016 12/18/2021 $63,062,747.001600078
Tuesday, April 7, 2020 Page 22 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
GLOBAL PACKAGING SOLUTIONS LLC FANS, ELECTRIC,DESK,& WALL (CSH) 20180000226 9/1/2017 8/31/2022 $188,610.161600348
GLOBAL PROTECTION CORP CONDOMS 20191200586 10/1/2018 9/30/2023 $1,661,040.001800058
GLOBAL PROTECTION CORP CONDOMS & LUBRICANT PACKETS 20171201651 4/1/2017 3/31/2022 $4,379,000.001600174
GLOBAL SOLAR CENTER LLC ELECTRIC VEHICLE SUPPLY EQUIPMENT 20171202491 4/3/2017 4/2/2021 $536,025.001500663
GOLDEN PLATTER FOODS INC DOC - HALAL MEATS & POULTRY 20191203256 6/1/2019 7/31/2020 $235,000.001900139
GOLDEN PLATTER FOODS INC DOC - HALAL PROCESSED FRESH & FROZEN FOODS 20191202716 5/1/2019 6/30/2020 $398,944.981900121
GOLDEN PLATTER FOODS INC DOC: PROCESSED FRESH & FROZEN FOODS (GP) 20191203797 6/13/2019 8/12/2020 $621,659.761900185
GOLDEN PLATTER FOODS INC DOC-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203076 5/21/2019 6/30/2020 $1,980,000.001900155
GOLDEN PLATTER FOODS INC KOSHER FOODS 20191203181 5/1/2019 6/30/2020 $61,475.001900191
GOLDFARB & GOLDFARB VARSITY SAFETY APPAREL 20171200946 1/1/2017 12/31/2021 $6,300,000.001600291
GP JAGER INC JWC ENVIRONMENTAL GRINDERS, CONTROLLERS & PARTS 20191201696 2/1/2019 1/31/2024 $2,510,000.001800036
GRADE A PETROLEUM CORPORATION OIL, LUBRICATING, AUTOMOTIVE, VIRGIN 20151201292 2/1/2015 1/30/2021 $365,821.501400356
GRADE A PETROLEUM CORPORATION SYNTHETIC DIESEL ENGINE OIL 20171201891 2/1/2017 1/30/2021 $20,340.001600391
GREEN ASPHALT CO LLC ASPHALT PAVING MIX/COLD PATCHING 20171202296 2/23/2017 2/22/2022 $75,000.001600282
GREEN WAY SALES INC GRP: STEPP TAR KETTLES 20171201741 2/1/2017 1/31/2022 $371,250.001700068
GREENLANE ENVIRONMENTAL & RAIN BARREL & DIVERTER KIT 20181201201 2/28/2018 2/27/2023 $625,000.001700101
GT POWER SYSTEMS INC GENERATOR, DIESEL, PORTABLE TRAILER MOUNTED - DEP 20201202101 3/15/2020 3/14/2025 $3,454,152.002000004
GT POWER SYSTEMS INC GENERATOR, TRAILER MOUNTED DIESEL DRIVEN - DSNY 20161202371 4/22/2016 4/20/2020 $9,592,067.501500318
GUARANTEE RECORDS MANAGEMENT OFF-SITE RECORDS STORAGE AND ASSOCIATED SERVICES 20121202551 4/16/2012 4/15/2022 $38,558,445.041200151
H BARBER & SONS INC BEACH CLEANER,TRACTOR DRAWN, RAKE TYPE-DPR 20161200737 1/1/2016 12/31/2020 $479,628.001500485
H BARBER & SONS INC GRP: H.BARBER BEACH CLEANING EQUIPMENT 20151202401 6/1/2015 5/31/2020 $750,000.001500003
Tuesday, April 7, 2020 Page 23 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
H D SMITH HOLDING COMPANY PHARMACEUTICALS FOR FDNY EMS 20181200961 9/1/2017 8/31/2022 $1,234,200.001700130
H J MURRAY & CO INC HOSE, FIRE RACK WITH COUPLINGS 20191200826 10/28/2018 10/27/2023 $582,996.101700365
H J MURRAY & CO INC NOZZLES & FITTINGS 20171200301 11/1/2016 10/31/2021 $98,691.651600275
H O PENN MACHINERY CO INC EQUIPMENT II, RENTAL OF VARIOUS 20151203736 5/15/2015 5/14/2021 $19,688,880.001400134
H O PENN MACHINERY CO INC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181201006 11/1/2017 10/31/2022 $14,628,000.001700012
H O PENN MACHINERY CO INC GENERATOR, DIESEL, PORTABLE TRAILER MOUNTED - DEP 20201202041 3/15/2020 3/14/2025 $572,999.002000004
H O PENN MACHINERY CO INC GRP: CATERPILLAR EQUIPMENT 20181200151 9/1/2017 8/31/2022 $4,365,000.001700240
H O PENN MACHINERY CO INC RENTAL, PAVEMENT PROFILERS - DOT 20201200646 10/1/2019 9/30/2024 $3,149,800.001900108
H SCHRIER & COMPANY INC ACS: SHELF-STABLE FOOD PRODUCTS 20191202926 5/1/2019 6/30/2020 $47,011.001900170
H SCHRIER & COMPANY INC BEVERAGES 20181203183 5/1/2018 6/30/2020 $38,198.141800217
H SCHRIER & COMPANY INC CEREALS 20181202777 5/1/2018 6/30/2020 $474,292.001800214
H SCHRIER & COMPANY INC DOC - BAKING PRODUCTS AND BAKED GOODS 20191202791 5/1/2019 6/30/2020 $8,558.901900122
H SCHRIER & COMPANY INC DOC - SHELF-STABLE FOOD PRODUCTS 20191203423 6/10/2019 8/9/2020 $309,930.081900211
H SCHRIER & COMPANY INC DOC COMMISSARY ITEMS 20181202537 4/1/2018 3/31/2021 $1,217,500.001800092
H SCHRIER & COMPANY INC HRA EFNAP - SHELF STABLE 20191202311 3/15/2019 3/14/2022 $21,577,053.001900089
H SCHRIER & COMPANY INC SAUCES, SEASONING, SPICES & CONDIMENTS 20181203241 5/1/2018 6/30/2020 $67,503.901800209
HACH COMPANY GRP: WATER ANALYSIS EQUIPMENT 20191200466 9/1/2018 8/31/2023 $485,000.001800164
HACH COMPANY PROCESS ANALY, LAB EQUIPMENT AND SUPPLIES RE-AD 20201202221 2/28/2020 2/26/2025 $1,243,315.841900287
HADJIMINAS & COMPANY LLC SCOOTER, TWO (2) WHEEL, NON-STRADDLE TYPE - NYPD 20170000391 8/1/2016 7/30/2020 $2,550,000.001600309
HD SUPPLY CONSTRUCTION SUPPLY SAW, CONCRETE, WALK-BEHIND - DOT 20191201831 3/2/2019 3/1/2024 $10,018,464.251800306
HEALTH CARE EQUIP & PARTS CO I HAND SANITIZER GEL 20191201201 12/15/2018 12/14/2023 $218,349.601800069
Tuesday, April 7, 2020 Page 24 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
HELICOPTER SERVICES INC HELICOPTER, MOSQUITO CONTROL - DOHMH 20191202056 3/25/2019 3/24/2022 $4,054,286.001900002
HENRICH EQUIPMENT CO INC GRP: GASBOY COMMERCIAL AND FLEET PARTS 20201200871 2/5/2020 2/4/2025 $432,000.001900259
HENRICH EQUIPMENT CO INC GRP: SPATCO EQUIPMENT AND ACCESSORIES 20151200556 9/1/2014 8/30/2020 $616,000.001400444
HENRICH EQUIPMENT CO INC GRP: VEEDER-ROOT TANK MEASURING SYSTEM 20191201862 4/1/2019 3/31/2024 $410,000.001900057
HENRY SCHEIN SUPPLY INC MEDICAL SUPPLIES 20161200556 11/1/2015 10/31/2020 $44,640.001400474
HENRY SCHEIN SUPPLY INC NON-REBREATHER MASKS & NASAL CANNULAS 20161200466 10/1/2015 9/30/2020 $928,100.001500222
HERA SPORTS SURFACES LLC SYNTHETIC TURF MATERIALS - PARKS 20201202356 3/18/2020 3/17/2025 $2,616,194.601900321
HERC RENTALS INC EQUIPMENT II, RENTAL OF VARIOUS 20151203496 5/15/2015 5/14/2021 $26,678,088.001400134
HERC RENTALS INC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181201051 11/1/2017 10/31/2022 $18,642,910.001700012
HERC RENTALS INC EQUIPMENT, RENTAL OF VARIOUS III - DOT 20191201846 3/2/2019 3/1/2024 $9,222,160.001800313
HERC RENTALS INC RENTAL, PAVEMENT PROFILERS - DOT 20201200647 10/1/2019 9/30/2024 $4,603,800.001900108
HERC RENTALS INC RENTAL: PAVEMENT PROFILERS: DOT 20151201591 1/1/2015 12/31/2020 $2,872,000.001400326
HERMAN MILLER INC OFFICE FURNITURE - OPEN SPACE 20201200961 11/1/2019 10/31/2024 $14,739,566.001800050
HIGHWAY TECH SIGNAL EQUIPMENT CONNECTED VEHICLES, PEDESTRIAN IMAGE DETECTION SYS 20181201681 3/1/2018 2/28/2021 $327,575.001700211
HILO EQUIPMENT & SERVICES LLC ELECTRIC FORKLIFTS, VARIOUS SIZES - CTWD 20201202191 3/15/2020 3/14/2025 $1,064,950.002000039
HILO EQUIPMENT & SERVICES LLC FORKLIFTS, DIESEL, 7,000 LB AND 25,000 LB - DSNY 20201201951 3/2/2020 3/1/2025 $3,012,032.851900323
HI-TECH FIRE & SAFETY INC PERSONAL SAFETY SYSTEM ROPE BAG (RE-AD) 20171202777 4/3/2017 4/2/2022 $2,382,750.001600279
HOFFMAN INTERNATIONAL INC DBA AUTOMATIC PAVING MACHINE TRACK TYPE - DOT 20201200526 7/30/2019 12/20/2021 $1,823,693.331500030
HOFFMAN INTERNATIONAL INC DBA EQUIPMENT, RENTAL OF VARIOUS (DOT) RE-AD 20201200226 8/10/2019 8/9/2023 $1,500,000.001900194
HOFFMAN INTERNATIONAL INC DBA EQUIPMENT, RENTAL OF VARIOUS I - DOT 20201200736 7/30/2019 10/31/2022 $642,180.001700012
HOFFMAN INTERNATIONAL INC DBA EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181200661 11/1/2017 10/31/2022 $13,439,400.001700012
Tuesday, April 7, 2020 Page 25 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
HOFFMAN INTERNATIONAL INC DBA FRONT END LOADER 1.4 C.Y. W/ARTICULATED FRAME-DSNY 20181200391 8/21/2017 8/20/2020 $1,021,697.951700127
HOFFMAN INTERNATIONAL INC DBA GRP: CASE TRACTORS, CONSTRUCTION 20160000002 7/1/2015 6/30/2021 $1,940,000.001500172
HOFFMAN INTERNATIONAL INC DBA GRP: VOLVO/INGERSOLL/BLAW KNOX PAVING MACHINES 20201200676 7/30/2019 8/31/2022 $3,391,418.731700274
HOFFMAN INTERNATIONAL INC DBA LOADER,BACKHOE W/4-WHEEL DRIVE & EXTENDABLE STICK 20201201981 3/2/2020 3/1/2025 $1,009,613.362000035
HOFFMAN INTERNATIONAL INC DBA MOBILE LIGHT TOWERS & BALLOON LIGHTING_SYSTEMS 20201200691 7/30/2019 1/26/2022 $1,331,265.001600326
HOGAN ASPHALT LLC HOT ASPHALT PAVING MIX DEL. INTO CITY TRUCKS RE-AD 20201201352 1/1/2020 12/31/2020 $6,146,114.391600399
HOLZBERG COMMUNICATIONS INC 911 OPERATIONAL HEADSETS 20171202297 4/3/2017 4/2/2022 $184,934.501700050
HTRS INC DBA HEMPSTEAD TIRE TIRES, MEDIUM DUTY TRUCK 20191202641 6/1/2019 5/31/2024 $1,425,000.001900003
HTRS INC DBA HEMPSTEAD TIRE TIRES, MEDIUM DUTY TRUCK VARIOUS SIZES 20201200916 10/15/2019 10/14/2024 $658,970.001900141
HUDSON MACHINERY LLC EXCAVATOR, TRAILER MOUNTED, VACUUM - DOT 20191202881 6/5/2019 6/4/2024 $786,762.661900086
HUDSON MOTORS PARTNERSHIP VEHICLE, SUV, HYBRID ELECTRIC, HIGHLANDER 20181203136 6/1/2018 5/31/2021 $2,503,500.001800065
HUDSON VALLEY FIRE & SAFETY IN FIRE EXTINGUISHER MAINTENANCE & RELATED SERVICES 20201200751 9/28/2019 9/30/2024 $89,307.401900070
HYDRA-SHIELD MANUFACTURING INC HYDRANT LOCKING DEVICE, (CUSTODIAN) BRAND SPECIFIC 20171202311 6/1/2017 5/31/2021 $1,560,653.721700071
HYDRO AIR HUGHES LLC HYDRAULIC TEST BENCH - DSNY 20171200136 8/15/2016 8/14/2021 $882,386.741600249
HYMAN BRICKLE & SON INC BLANKETS, NON-WOVEN 20171203226 6/29/2017 6/28/2022 $575,308.621600438
IDEXX DISTRIBUTION INC COLILERT KITS AND ACCESSORIES (BRAND SPECIFIC) 20171200241 11/1/2016 10/31/2021 $1,183,582.451500668
IEH AUTO PARTS LLC NON-GENUINE BRAKE PARTS/ACCESSORIES - MEDIUM DUTY 20171200751 10/17/2016 10/16/2021 $280,000.001600384
IMPACT ABSORPTION INC GRP: ATTENUATORS, TRUCK MOUNTED, UMAD 20191201141 2/1/2019 1/31/2024 $1,000,000.001800012
IMPACT RECOVERY SYSTEMS INC LANE SEPARATOR SYSTEMS, BRAND SPECIFIC(DOT)RE-AD 20190000271 8/1/2018 7/31/2023 $578,465.001800183
IMPERIAL BAG & PAPER CO LLC BLEACH SOLUTION, SODIUM HYPOCHLORITE 20171202851 6/27/2017 6/26/2022 $550,750.271600447
IMPERIAL BAG & PAPER CO LLC HAND HELD DUST PAN & WALL AND CEILING DUSTER 20171201441 2/1/2017 1/31/2022 $146,772.001700011
Tuesday, April 7, 2020 Page 26 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
IMPERIAL BAG & PAPER CO LLC SOLVENT WIPES (CSH) 20161201652 1/12/2016 1/10/2021 $173,400.001500496
IMPERIAL BAG & PAPER CO LLC TOWEL: PAPER, ROLL AND DISPENSER 20201200991 1/11/2020 1/10/2025 $2,635,535.001900232
IN-CITY ENTERPRISES INC STEEL CURB FACING (D.O.T) RE-AD 20180000406 9/1/2017 8/31/2022 $976,750.001700245
INDUSTRIAL USA INC TARPAULIN, POLYETHYLENE 20161201006 12/1/2015 11/30/2020 $41,726.251500578
INELTECH CORPORATION ANVIC ECONDRIVE SLIP LOSS RECOVERY CONTROL PARTS 20201201366 12/1/2019 11/29/2024 $965,112.002000005
INTERNATIONAL INSIGNIA CORP MEDALS (NYPD) 20141201756 1/1/2014 6/28/2020 $169,971.251400043
INTERPRETERS UNLIMITED INC LANGUAGES SERVICES 20196201156 5/1/2019 4/30/2021 $980,000.00
INTERTEK USA INC LABORATORY TESTING - BQA ASSORTED PRODUCT CLASSES 20180000046 7/1/2017 6/30/2020 $1,309,860.001600136
JACK DOHENY COMPANIES INC GRP: STETCO/VACTOR/SEWER EQUIPMENT 20161200181 8/13/2015 8/12/2020 $750,000.001500196
JACK LOCONSOLO & COMPANY INC POOL PAINTS 20190000016 8/1/2018 7/31/2023 $778,012.001800149
JAG TEXTILE COMPANY SHEETING - DOC 20151200901 11/1/2014 10/30/2020 $803,000.001400434
JAMAC FROZEN FOOD CORPORATION ACS - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203706 6/3/2019 8/2/2020 $42,088.801900178
JAMAC FROZEN FOOD CORPORATION ACS BAKING PRODUCTS AND BAKED GOODS 20191203571 6/3/2019 6/30/2020 $54,235.441900173
JAMAC FROZEN FOOD CORPORATION ACS-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203317 6/3/2019 6/30/2020 $66,698.001900174
JAMAC FROZEN FOOD CORPORATION ACS-PROCESSED AND FROZEN FOODS 20191203872 6/13/2019 8/12/2020 $97,052.991900227
JAMAC FROZEN FOOD CORPORATION DOC - BAKING PRODUCTS AND BAKED GOODS 20191202761 5/1/2019 6/30/2020 $165,120.001900122
JAMAC FROZEN FOOD CORPORATION DOC - HALAL PROCESSED FRESH & FROZEN FOODS 20191202731 5/1/2019 6/30/2020 $298,557.641900121
JAMAC FROZEN FOOD CORPORATION DOC - SHELF-STABLE FOOD PRODUCTS 20191203511 6/10/2019 8/9/2020 $27,816.001900211
JAMAC FROZEN FOOD CORPORATION DOC: PROCESSED FRESH & FROZEN FOODS (GP) 20191203811 6/13/2019 8/12/2020 $1,494,815.201900185
JAMAC FROZEN FOOD CORPORATION HRA EFNAP - SHELF STABLE 20191202342 3/15/2019 3/14/2022 $890,520.001900089
JAMAC FROZEN FOOD CORPORATION KOSHER FOODS 20191203061 5/1/2019 6/30/2020 $768,680.601900191
Tuesday, April 7, 2020 Page 27 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
JAMAICA HARDWARE & PAINTS INC WRINGER, MOP 20171202986 6/29/2017 6/28/2022 $93,325.401700018
JANEICE PRODUCTS COMPANY INC CAN, SAFETY FOR GASOLINE STORAGE 20161201351 2/1/2016 1/31/2021 $83,712.501500621
JANEICE PRODUCTS COMPANY INC SPRAYERS 20170000152 7/1/2016 6/30/2021 $77,756.601500654
JAY BEE DISTRIBUTORS INC BEVERAGES 20181203166 5/1/2018 6/30/2020 $5,907.201800217
JAY BEE DISTRIBUTORS INC CEREALS 20181202748 5/1/2018 6/30/2020 $780,260.221800214
JAY BEE DISTRIBUTORS INC DOC - SHELF-STABLE FOOD PRODUCTS 20191203406 6/10/2019 8/9/2020 $368,600.001900211
JAY BEE DISTRIBUTORS INC DOC COMMISSARY ITEMS 20181202581 4/1/2018 3/31/2021 $881,060.001800092
JAY BEE DISTRIBUTORS INC HRA EFNAP - SHELF STABLE 20191202266 3/15/2019 3/14/2022 $2,231,173.081900089
JAY BEE DISTRIBUTORS INC SNACKS 20181203451 5/11/2018 6/30/2020 $34,731.791800260
JCI JONES CHEMICALS INC CHLORINE, LIQUID - DEP 20180000061 7/1/2017 6/30/2020 $2,988,338.001700143
JESCO INC GRP: HYPAC ROLLERS 20181200587 10/1/2017 9/30/2022 $490,000.001700276
JET STREAM FUELS INC LIQUID SALT BRINE - DSNY 20201201216 11/1/2019 10/31/2022 $2,226,960.002000025
JGW MACHINE LIMITED PUBLIC SPACE RECEPTACLE BINS 20171202011 3/1/2017 2/28/2022 $2,349,550.001600187
JOE BASIL CHEVROLET INC SUV, EXTENDED FULL SIZE, UNMARKED - NYPD 20171200541 9/24/2016 9/22/2020 $1,705,080.001600351
JOE BASIL CHEVROLET INC SUV, FULL SIZE, UNMARKED - NYPD 20171200526 9/24/2016 9/22/2020 $1,605,000.001600333
JULIAN A MCDERMOTT CORP GRP: J.A. MCDERMOTT VEHICULAR LIGHTS & COMP RE-AD 20170000256 7/30/2016 7/29/2021 $375,000.001600102
K&G ELECTRIC MOTOR & PUMP CORP GRP: INGERSOLL-RAND AIR COMPRESSORS 20161201816 6/27/2016 6/26/2021 $846,000.001600025
KAMAN INDUSTRIAL TECH CORP INDUSTRIAL BEARINGS AND SEALS (RE-AD) 20181200572 10/1/2017 9/30/2022 $95,000.001700151
KEEFE GROUP LLC CEREALS 20181202761 5/1/2018 6/30/2020 $90,307.201800214
KEEFE GROUP LLC DOC COMMISSARY ITEMS 20181202536 4/1/2018 3/31/2021 $2,304,300.001800092
KEEFE GROUP LLC DOC COMMISSARY ITEMS II RE-AD 20181204066 6/6/2018 6/5/2021 $300,000.001800296
Tuesday, April 7, 2020 Page 28 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
KEEFE GROUP LLC RADIOS; PERSONAL AM/FM (DOC) 20171202762 5/1/2017 4/30/2022 $430,250.001600459
KELLY & HAYES ELECTRICAL SUPPL PIPE, COPPER TUBING, RIGID 20161201456 3/1/2016 2/28/2021 $173,045.001500622
KEMIRA WATER SOLUTIONS INC LIQUID FERRIC CHLORIDE - DEP (WWTP) 20191201411 12/1/2018 11/30/2021 $17,513,220.001900063
KFH INDUSTRIES INC HOSE, FIRE 20191201786 5/1/2019 4/30/2024 $4,556,020.501800301
KINGSLAND PRIME MEATS LLC DOC-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203152 5/21/2019 6/30/2020 $287,500.001900155
KLEAR VIEW APPLIANCE CORP AIR CONDITIONERS, WINDOW INSTALLED AND PORTABLE 20190000121 10/1/2018 9/30/2023 $3,815,075.001700112
KOEHLER-BRIGHT STAR LLC LANTERNS, HAND, & ACCESSORIES BRAND SPECIFIC 20151201861 2/1/2015 1/30/2021 $550,959.751400373
KONICA MINOLTA BUSINESS PHOTOCOPIERS 20161202251 6/1/2016 5/31/2021 $17,009,309.401500473
KOVATCH MOBILE EQUIPMENT CORP GRP: KOVATCH MOBILE EQUIPMENT 20161201666 1/18/2016 1/17/2021 $1,200,000.001500618
KOVATCH MOBILE EQUIPMENT CORP TRUCK, 2000 GPM HIGH PRESSURE PUMPER - FDNY 20171203106 5/12/2017 5/11/2020 $5,399,312.171600295
KRACKELER SCIENTIFIC INC LAB SUPPLIES, CONSUMABLES, REAGENTS & EQUIPMENT 20201202266 4/1/2020 3/31/2025 $164,178.842000065
KRACKELER SCIENTIFIC INC LABWARE, GLASS & PLASTIC, DISPOSABLE & REUSEABLE 20201200781 12/1/2019 11/30/2024 $971,200.001900039
KRYSTAL TOUCH OF NY INC STEEL, WAREHOUSE STOCK RE-AD 20190000541 10/1/2018 9/30/2023 $991,800.001800251
KUEHNE CHEMICAL COMPANY INC LIQUID CAUSTIC SODA - DEP (BWT) 20191201891 5/1/2019 4/30/2021 $4,742,003.001600126
KUEHNE CHEMICAL COMPANY INC LIQUID CAUSTIC SODA (SODIUM HYDROXIDE) - DEP(BWSO) 20171202866 6/1/2017 5/31/2020 $15,397,140.001500482
KUEHNE CHEMICAL COMPANY INC SODIUM HYPOCHLORITE SOLUTION - DEP (BWSO) 20200000166 12/18/2019 12/17/2020 $1,099,522.001600297
KUEHNE CHEMICAL COMPANY INC SODIUM HYPOCHLORITE SOLUTION - DEP (BWT) 20201202026 2/29/2020 2/28/2022 $16,118,370.101500459
L I PROLINER INC GRP: PUBLIC SAFETY EQUIPMENT 20161201336 3/2/2016 3/1/2021 $130,000.001500657
L-3 COMMUNICATIONS SECURITY & NON-IONIZING L-3 SAFEVIEW BODY SCANNERS 20181203271 10/1/2017 9/29/2020 $3,923,661.801800022
LAERDAL MEDICAL CORPORATION HEAD IMMOBILIZER/FDNY 20150000016 8/1/2014 7/30/2020 $474,000.001400150
LAERDAL MEDICAL CORPORATION LAERDAL LIFESAVING PRODUCTS (BRAND SPECIFIC) 20191201576 2/1/2019 1/31/2024 $2,125,000.001800011
Tuesday, April 7, 2020 Page 29 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
LANDSCAPE STRUCTURES INC PLAYGROUND EQUIPMENT&PARTS BY LANDSCAPE STRUCTURES 20181200197 9/1/2017 8/31/2022 $975,000.001700264
LANGUAGE LINE SERVICES, INC. LANGUAGE SERVICES 20186201621 6/3/2018 6/2/2021 $5,625,000.00
LANGUAGE LINE SERVICES, INC. LANGUAGE SERVICES 20186201608 6/3/2018 6/2/2021 $6,285,000.00
LAPIETRA MACHINERY & EQUIPMENT LIFT, SCISSOR - DSNY 20191201366 12/12/2018 12/11/2023 $494,162.501800270
LAPIETRA MACHINERY & EQUIPMENT PLATFORM, TELESCOPIC AND ARTICULATED BOOM DSNY 20191201606 2/1/2019 1/31/2024 $2,088,768.001800268
LARRY KONG DBA GLOBAL SUPPLY U SANITARY NAPKINS(CSH)(BUY AGAINST) 20201201966 2/1/2020 9/30/2021 $65,750.001600107
LDV INC MOBILE COMMAND CENTER-DSNY 20201201711 2/15/2020 2/14/2025 $2,416,591.001900231
LEGEND & WHITE ANIMAL CANINE FOOD FOR NYPD 20181200017 6/1/2017 3/31/2021 $210,636.331700098
LEGEND & WHITE ANIMAL CANINE FOOD FOR NYPD 20181201831 2/1/2018 3/31/2021 $321,300.001700160
LEGEND & WHITE ANIMAL PET SUPPLIES FOR OEM 20181200061 6/18/2017 6/17/2020 $194,631.601700121
LEXISNEXIS RISK SOLUTIONS INC SUBSCRIPTION: LEXIS NEXIS FCRA SERVICES 20160000226 7/1/2015 6/30/2020 $1,500,000.001500282
LH REPORTING SERVICES INC STENOGRAPHIC REPORTING SERVICES 20180000106 7/1/2017 6/30/2020 $245,200.001700048
LIBERTY GLASS CO INC AUTOMOTIVE SAFETY GLASS 20161201996 3/1/2016 2/28/2021 $1,256,250.001600001
LIC MOTOR GROUP LLC SUV, PLUG-IN HYBRID ELECTRIC VEHICLE (PHEV) 20191202191 4/1/2019 3/31/2024 $3,550,000.001900080
LIFE TECHNOLOGIES CORPORATION ABI REAGENTS, CONSUMABLES, & SUPPLIES SOLE SOURCE 20161201726 12/1/2015 11/30/2020 $7,990,000.001500650
LIFE-ASSIST INCORPORATED SLISHMAN TRACTION SPLINTS (BRAND SPECIFIC) 20181202296 4/1/2018 3/31/2023 $578,900.001800083
LIFEGUARD SYSTEMS INC SCUBA DRY SUITS AND ACCESSORIES BRAND SPECIFIC 20171201756 3/1/2017 2/28/2022 $419,419.301600314
LIFTKING MANUFACTURING CORP FORKLIFT, ROUGH TERRAIN - NYPD 20181202611 5/1/2018 4/30/2023 $2,685,000.001800053
LIMITED ENTERPRISE INC EFFENCO ACTIVE STOP-START SYSTEMS-(BRAND SPECIFIC) 20200000332 7/15/2019 7/14/2024 $6,180,637.501900113
LIMITED ENTERPRISE INC FLOOR MACHINE, SCRUBBING, WAXING & POLISHING-CSH 20200000226 7/5/2019 7/3/2024 $256,000.001900081
LIMITED ENTERPRISE INC PATCH, TIRE, BAR CODE, RUBBERIZED - DSNY 20201200886 3/1/2020 2/28/2025 $374,400.001900278
Tuesday, April 7, 2020 Page 30 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
LIMITED ENTERPRISE INC VISTA BRAKE AND PARK LOCKS (BRAND SPECIFIC) 20201201576 2/1/2020 1/31/2023 $995,100.002000034
LINDEN BLVD PLUMBING SUPPL COR RADIANT OVERHEAD HEATERS 20161201771 1/1/2016 12/31/2020 $952,372.001500570
LIVING GROUP LLC OUTDOOR TABLES AND CHAIRS FOR DOT - BRAND SPECIFIC 20180000181 7/1/2017 6/30/2020 $271,506.001700155
LOGMEIN USA INC GOTO MEETING SOFTWARE LICENSES 20201201096 2/1/2020 1/31/2023 $489,600.001800102
LONG FENCE COMPANY INC BARRICADES, STEEL, CROWD CONTROL 20171200436 1/31/2017 1/30/2022 $806,250.001600330
LONGO ELECTRICAL-MECHANICAL IN GRP: ELECTRIC MOTORS AND PARTS 20181201666 3/1/2018 2/28/2023 $246,340.581700320
LOUZOUN ENTERPRISES INC DBA GRP TOYOTA 20171200256 11/1/2016 10/31/2021 $843,750.001600193
LSL INDUSTRIES INC MEDICAL SUPPLIES 20171202176 5/2/2017 4/30/2022 $385,308.001600302
M BROWN FITTING SPECIALISTS IN GRP: LINCOLN LUBRICATION PROD & EQUIP. INDUSTRIAL 20161200197 10/1/2015 9/30/2020 $511,000.001500369
M BROWN FITTING SPECIALISTS IN NON GENUINE AUTOMOTIVE LUB. EQUIP/SUPPLIES RE-AD 20161201546 2/1/2016 1/31/2021 $288,000.001600091
MACHINERY VALUES OF NJ INC BRAND SPECIFIC OEM MACHINE TOOLS (DEP) 20191201247 12/1/2018 11/30/2023 $813,700.001800229
MACK TRUCKS INC TRUCK, 17C.Y. DUAL PURPOSE SALT SPREADER/DUMP-DSNY 20191200376 8/27/2018 8/26/2021 $13,884,218.341800146
MACK TRUCKS INC TRUCK, 25 C.Y. DUAL COMPARTMENT COLLECTION - DSNY 20181201937 3/20/2018 3/19/2021 $134,288,531.801700148
MACK TRUCKS INC TRUCK, 25 C.Y. REAR LOADING COLLECTION - DSNY 20181201981 3/29/2018 3/28/2021 $195,385,759.901700140
MACK TRUCKS INC TRUCK, 2500 GAL STREET FLUSHER W/PLOW HITCH-DSNY 20191201231 11/20/2018 11/19/2023 $5,295,462.001800255
MACK TRUCKS INC TRUCK, 4X2 SALT SPREADER, 8 C.Y. W/SNOW PLOW- DSNY 20191201592 1/31/2019 1/30/2024 $12,038,478.001800254
MACK TRUCKS INC TRUCK, CNG POWERED, COLLECTION 25 C.Y. DSNY RE-AD 20201202011 3/15/2020 3/14/2025 $20,212,734.002000042
MACK TRUCKS INC TRUCK,6X4 SALT SPREADER, 16 C.Y. W/SNOW PLOW-DSNY 20191200256 8/15/2018 8/14/2023 $48,304,980.701800162
MACK TRUCKS INC TRUCK,WASTE COMPACTING SPECIAL ALLEY - DSNY(RE-AD) 20201200556 9/30/2019 9/29/2024 $10,327,014.001900205
MADE FRESH SALADS INC DOC: PROCESSED FRESH & FROZEN FOODS (GP) 20201201651 11/19/2019 8/12/2020 $263,520.001900185
MAGID GLOVE & SAFETY MFG CO LL GOGGLES SAFETY GLASSES AND MEGAPHONES (BULL HORNS) 20170000346 9/1/2016 8/31/2021 $43,800.001600236
Tuesday, April 7, 2020 Page 31 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
MAJOR WORLD CDJR LLC DBA MAJOR AWD POLICE SEDAN - NYPD 20161202356 5/1/2016 4/29/2020 $11,220,475.001600140
MAJOR WORLD CDJR LLC DBA MAJOR GRP: CHRYSLER, DODGE AND PLYMOUTH 20161201366 6/1/2016 5/31/2021 $629,000.001600009
MAJOR WORLD CDJR LLC DBA MAJOR VANS, HYBRID MINI 20181202074 4/1/2018 3/31/2021 $3,907,800.001700382
MAJOR WORLD CDJR LLC DBA MAJOR VEHICLE - PICKUP TRUCKS, VARIOUS PAYLOADS 20201202102 3/15/2020 3/14/2025 $1,125,640.001900239
MAJOR WORLD CDJR LLC DBA MAJOR VEHICLE, SPECIAL SERVICE (SSV) - NYPD 20181202191 5/1/2018 4/30/2021 $8,710,225.001700103
MAJOR WORLD CHEVROLET LLC AUTOMOBILE, ELECTRIC CROSSOVER 20201202131 3/15/2020 3/14/2023 $2,473,275.001900252
MAJOR WORLD CHEVROLET LLC CARS, PASSENGER, HYBRID ELECTRIC PLUG-IN, VOLT 20190000361 7/1/2018 6/30/2021 $707,380.001800213
MALVESE EQUIPMENT COMPANY INC EQUIPMENT II, RENTAL OF VARIOUS 20151202717 5/15/2015 5/14/2021 $1,550,000.001400134
MALVESE EQUIPMENT COMPANY INC EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181200946 11/1/2017 10/31/2022 $13,001,880.001700012
MALVESE EQUIPMENT COMPANY INC EQUIPMENT, RENTAL OF VARIOUS III - DOT 20191202161 3/15/2019 3/14/2024 $5,194,800.001800313
MALVESE EQUIPMENT COMPANY INC GRP: FORD TRACTORS 20161201186 5/1/2016 4/30/2021 $770,000.001600037
MALVESE EQUIPMENT COMPANY INC GRP: MOTT HAMM. KNIFE/ALAMO MOWER 20191201096 1/1/2019 12/31/2023 $445,000.001800321
MALVESE EQUIPMENT COMPANY INC GRP: VAC-ALL SWEEPERS 20171200346 9/1/2016 8/31/2021 $2,450,000.001600386
MALVESE EQUIPMENT COMPANY INC RENTAL, PAVEMENT PROFILERS - DOT 20201200361 8/15/2019 8/14/2024 $2,984,800.001900108
MALVESE EQUIPMENT COMPANY INC TRACTORS, DIESEL, VARIOUS 20171203031 4/17/2017 4/16/2021 $724,172.961700073
MANDEL METALS INC SIGN BLANKS, ALUMINUM 20170000287 7/1/2016 6/30/2021 $1,946,730.421500568
MANSFIELD OIL COMPANY OF MARINE ENGINE DIESEL EXHAUST FLUID 20201201636 2/1/2020 1/31/2025 $964,479.851900105
MAPLECREST LINCOLN-MERCURY INC TRUCK, 5 C.Y. DUMP, 4X4 BEACH WAGON - PARKS 20171203076 5/15/2017 5/14/2020 $821,472.001700070
MARINE TEMPERATURE SYSTEMS INC GRP: KOHLER MARINE GENERATORS RE-AD 20191200016 8/1/2018 7/31/2023 $1,350,000.001800271
MARQUIS BUSINESS SYSTEMS LLC DOCUMENT SHREDDING MACHINES 20200000031 9/1/2019 8/31/2024 $1,501,200.001900034
MASIMO AMERICAS INC PULSE CO-OXIMETER AND ACC.(BRAND SPECIFIC)FDNY 20191201711 3/1/2019 2/28/2023 $2,703,150.001800315
Tuesday, April 7, 2020 Page 32 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
MASTER'S TRANSPORTATION INC BUS, PRISONER TRANSPORT - NYPD 20171201786 1/15/2017 1/14/2022 $5,764,130.001700026
MATERIAL IMPORTS LLC BLANKETS:THERMAL - FDNY 20151202551 6/29/2015 6/28/2021 $70,240.001500006
MAXIMUM SECURITY GROUP INC LOCKSMITH SERVICES, RESIDENTIAL, COMMERCIAL & AUTO 20190000106 9/1/2018 8/31/2023 $1,679,220.001300205
MCGRATH MUNICIPAL EQUIPMENT LL GRP: FALCON ASPHALT REPAIR EQUIPMENT 20171200871 10/27/2016 10/26/2021 $2,125,000.001600396
MCNEILUS FINANCIAL INC DBA GRP: MCNEILUS TRUCK BODY 20181200781 10/1/2017 9/30/2022 $525,000.001700125
MED-ENG LLC MED-ENG EOD BOMB SUITS & HELMETS (RE-AD) 20151202687 5/1/2015 4/29/2020 $1,370,100.001500248
MERCEDES BENZ MANHATTAN INC GRP: MERCEDES BENZ SMART CAR 20171202281 3/10/2017 3/9/2022 $1,750,000.001600372
MERCHANTS AUTOMOTIVE GROUP INC LEASING, VEHICLES, VARIOUS NON-DESCRIPT-NYPD 20191202206 3/15/2019 3/14/2023 $64,173.601900096
MERCURY ENTERPRISES INC FLOWSAFE II EZ CPAP MASKS (BRAND SPECIFIC) 20171203421 6/1/2017 5/31/2022 $2,106,000.001700108
MERCURY PAINT CORP PAINTS, BRIDGE (D.O.T.) 20170000526 10/1/2016 9/30/2021 $2,591,502.501600303
MERCURY PAINT CORP PPG PAINT AND PAINT SUPPLIES 20181201096 12/1/2017 11/30/2022 $412,500.001700241
METRO ENVIRONMENTAL SERVICES L FUEL SITE MAINTENANCE SRVS,CITYWIDE(RE-AD) 20201201516 1/21/2020 1/20/2023 $12,770,900.001800300
METRO HYDRAULIC JACK CO INC GRP FOR BLACKHAWK/HEIN-WERNER/LINCOLN JACKS 20191200271 12/1/2018 11/30/2023 $320,000.001800009
METRO HYDRAULIC JACK CO INC STANLEY HANDHELD HYDRAULIC TOOLS (BRAND SPECIFIC) 20191201111 12/1/2018 11/30/2023 $445,000.001700258
METRON-FARNIER LLC SINGLE-JET TYPE WATER METERS 20171201172 1/1/2017 12/30/2020 $5,572,250.001600300
METROPOLITAN FOODS INC ACS - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203751 6/3/2019 8/2/2020 $45,095.001900178
METROPOLITAN FOODS INC ACS: SHELF-STABLE FOOD PRODUCTS 20191202941 5/1/2019 6/30/2020 $31,902.021900170
MICHAEL BUSINESS MACHINES CORP DOCUMENT SHREDDING MACHINES 20200000016 9/1/2019 8/31/2024 $14,480.001900034
MICHAEL STAPLETON ASSOCIATES L GSA - EXPLOSIVES DETECTION CANINE SERVICES 20191202221 4/16/2019 8/13/2023 $40,071,980.001900118
MIDI INC MIDI SHERLOCK ID SYSTEM 20181200676 10/1/2017 9/30/2020 $138,820.001700230
MIDWEST MEDICAL SUPPLY CO LLC MEDICAL SUPPLIES 20161200541 11/1/2015 10/31/2020 $188,503.901400474
Tuesday, April 7, 2020 Page 33 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
MILEA TRUCK SALES CORP GRP: CRANE CARRIER RE-AD 20181200106 8/1/2017 7/31/2022 $448,000.001700167
MILL WIPING RAGS INC RAGS,WIPING,COTTON & COTTON BLENDS 20200000062 8/7/2019 8/6/2024 $298,535.001900064
MILLER ADVERTISING AGENCY INC AD PLACEMENT SRVCS CTW-NON-RECRUITMENT 20201200661 9/30/2019 9/29/2022 $14,080,550.001900078
MINUTEMAN INTERNATIONAL INC VACUUM CLEANERS, WET/DRY 20 GALLON & 5-6 GALLON 20171203016 5/1/2017 4/30/2022 $344,000.001600392
MIVILA CORP DBA MIVILA FOODS ACS: SHELF-STABLE FOOD PRODUCTS 20191202896 5/1/2019 6/30/2020 $198,547.801900170
MIVILA CORP DBA MIVILA FOODS ACS-PROCESSED AND FROZEN FOODS 20191203887 6/13/2019 8/12/2020 $170,444.801900227
MIVILA CORP DBA MIVILA FOODS BEVERAGES 20181203151 5/1/2018 6/30/2020 $8,925.801800217
MIVILA CORP DBA MIVILA FOODS CEREALS 20181202776 5/1/2018 6/30/2020 $34,720.001800214
MIVILA CORP DBA MIVILA FOODS DOC - SHELF-STABLE FOOD PRODUCTS 20191203436 6/10/2019 8/9/2020 $112,604.801900211
MIVILA CORP DBA MIVILA FOODS INDIVIDUALLY PACKAGED CONDIMENTS 20181202821 5/1/2018 6/30/2020 $5,138.641800206
MIVILA CORP DBA MIVILA FOODS SAUCES, SEASONING, SPICES & CONDIMENTS 20181203227 5/1/2018 6/30/2020 $42,216.851800209
MIVILA CORP DBA MIVILA FOODS SNACKS 20181203481 5/11/2018 6/30/2020 $38,725.001800260
MOBILIGHT INTERNATIONAL LIGHT TOWER, PORTABLE, SOLAR POWERED 20181201756 3/8/2018 3/7/2023 $747,440.001700339
MONDIAL AUTOMOTIVE INC GRP: LEECE-NEVILLE 20170000031 8/1/2016 7/31/2021 $73,526.531600024
MONDIAL AUTOMOTIVE INC GRP: NIEHOFF ALTERNATORS 20170000511 12/1/2016 11/30/2021 $945,000.001600269
MONDIAL AUTOMOTIVE INC NON-GEN: DPF EMISSION REPLACEMENT PARTS 20181200691 9/27/2017 9/26/2022 $680,000.001700292
MONDIAL AUTOMOTIVE INC NON-GENUINE STARTER, ALTERNATOR & GENERATOR PARTS 20181202627 5/1/2018 4/30/2023 $1,000,000.001700288
MORTON SALT INC SALT, HIGHWAY DEICING 20191200721 10/1/2018 9/29/2020 $1,813,000.001800297
MOTOROLA SOLUTIONS INC GRP: MOTOROLA RADIOS (PARTS ONLY) 20161201876 4/1/2016 3/31/2021 $670,000.001500370
MRC INC GAMETIME BRAND PLAYGROUND EQUIPMENT & PARTS 20181200586 9/1/2017 8/31/2022 $980,000.001700261
MUELLER COMPANY LLC FIRE HYDRANT 20171201321 2/1/2017 1/31/2022 $1,055,000.001600229
Tuesday, April 7, 2020 Page 34 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
MUELLER COMPANY LLC GRP FOR TAPPING MACHINES 20181201591 1/12/2018 1/11/2023 $780,000.001700081
MUELLER COMPANY LLC HYDRANT, FIRE (SMITH TYPE) 20190000466 8/1/2018 7/31/2022 $4,180,426.201700142
MUELLER COMPANY LLC TAPPING SLEEVES 20171201126 1/1/2017 12/31/2021 $13,282,244.001600227
NADLER MOBILE LLC MOBILE TRAILERS (VARIOUS) - DSNY 20161201786 2/15/2016 2/14/2021 $969,665.001600124
NADLER MOBILE LLC NON-COMBUSTIBLE TRAILER CONTRACT 20171203121 6/1/2017 5/31/2022 $1,545,779.251600479
NASHVILLE MEDICAL & EMS PRODUC EMERGENCY RESPONSE SUPPLIES (FDNY-EMS) 20151203121 6/30/2015 6/29/2020 $931,835.001400405
NASHVILLE MEDICAL & EMS PRODUC MEDICAL SUPPLIES 20160000166 11/1/2015 10/31/2020 $72,742.501400474
NASHVILLE MEDICAL & EMS PRODUC MEDICAL SUPPLIES 20171201276 2/1/2017 1/31/2022 $351,500.001600302
NATIONAL CHEMICAL LABS OF PA I FLOOR STRIPPER, HEAVY DUTY 20151202146 4/1/2015 6/29/2020 $129,600.001500151
NATIONAL INDUSTRIES FOR THE NYSPSP CATALOG AND STOREHOUSE ITEMS 20201201141 1/1/2020 12/31/2024 $35,000,000.001900223
NATIONWIDE AUTO PAINTING INC AUTO BODY AND CHASSIS REPAIR SERVICES, CITYWIDE 20201201171 12/1/2019 11/30/2022 $6,256,012.501900181
NCH CORPORATION OIL, LUBRICANTS, INDUSTRIAL 20151203781 6/1/2015 5/31/2021 $861,840.001400409
NCS PEARSON INC MMPI-2-PSYCHOLOGICAL TESTS, 1ST 3YR RENEWAL 20181201936 1/1/2018 12/31/2020 $332,752.501500010
NEDERMAN CORPORATION NEDERMAN PRODUCTS AND COMPONENTS - BRAND SPECIFIC 20191201156 11/1/2018 10/31/2023 $8,027,066.701800165
NETA SCIENTIFIC INC AGILENT SCIENTIFIC SUPPLIES (BRAND SPECIFIC) 20200000181 7/1/2019 6/30/2024 $1,170,000.001900058
NEW ENGLAND FIRE EQUIPMENT GRP WATEROUS PUMPS, PTO'S & ACCESSORIES 20191200166 10/1/2018 9/30/2023 $600,000.001800269
NEW HAVEN CHLOR-ALKALI LLC SODIUM HYPOCHLORITE SOLUTION (PARKS DEPARTMENT) 20171203046 5/18/2017 5/17/2022 $1,626,925.001700136
NEW YORK SAND & STONE LLC AGGREGATES, HOT MIX ASPHALT(HWYS) 20171201261 6/1/2017 5/31/2021 $19,612,800.001500664
NEW YORK STATE INDUSTRIES FOR NYSID CATALOG AND STOREHOUSE ITEMS 20201201126 1/1/2020 12/31/2024 $9,000,000.001900218
NEW YORK STATE INDUSTRIES FOR NYSID SERVICES CATALOG 20151203797 6/8/2015 6/7/2021 $20,000,000.001400463
NEWCOM WIRELESS SERVICES LLC GPS/GIS MAPPING EQUIPMENT AND ACCESSORIES 20181201503 1/12/2018 1/11/2023 $5,494,000.001700299
Tuesday, April 7, 2020 Page 35 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
NIGHTINGALE CORP OFFICE FURNITURE - SEATING 20201201186 12/1/2019 11/30/2024 $4,731,562.501800050
NIKA INDUSTRIES LLC GPS TRACKING DEVICES 20201202056 3/15/2020 3/14/2025 $194,322.552000032
NORTHEAST BATTERY & ALTERNATOR AUTOMOTIVE BATTERIES, LEAD ACID & DRY CELL 20160000212 7/1/2015 6/30/2020 $1,670,784.051500324
NOV PROCESS & FLOW TECHNOLOGIE GRP: PUMPS, DEWATERING, ROBBINS & MYERS RE-AD 20181202326 4/1/2018 3/31/2023 $630,000.001700015
NOV PROCESS & FLOW TECHNOLOGIE OEM MOYNO PUMPS AND PARTS (BRAND SPECIFIC) DEP 20181202206 4/5/2018 4/4/2023 $1,049,603.941700117
NSI NEAL SYSTEMS INC GRP: CHESSELL FLOW METER 20161201171 4/1/2016 3/31/2021 $979,000.001600036
NUENERGEN LLC DEMAND RESPONSE SERVICES 20190000061 7/1/2018 6/30/2020 $786,460.001300558
NY GO EXPRESS INC DBA GO EXPRE TRUCKING SERVICES WITH DRIVERS AND LABOR 20171202671 2/24/2017 2/23/2022 $820,625.001700044
NYC MOTORCYCLES INC DBA HARLE GRP: HARLEY DAVIDSON MOTORCYCLES 20181202281 4/1/2018 3/31/2023 $450,000.001800079
NYC MOTORCYCLES INC DBA HARLE MOTORCYCLES, NYPD 20181202176 4/1/2018 3/31/2021 $2,419,799.921700390
OCTANE FORKLIFTS INC FORKLIFTS, VARIOUS SIZES, DCAS 20201200301 8/25/2019 8/24/2024 $1,229,895.001900110
OER SERVICES LLC EQUIPMENT, RENTAL OF VARIOUS (DOT) RE-AD 20201200511 9/15/2019 9/14/2023 $652,200.001900194
OLIN CORPORATION AMMUNITION: SHELLS & CARTRIDGES 20191201621 2/1/2019 3/31/2024 $1,181,250.001800123
ONLY THE BEST FOR LESS INC MICROWAVE OVENS 20191200526 12/17/2018 12/16/2023 $320,092.501800113
OPEN PLAN SYSTEMS LLC SURPLUS HERMAN MILLER ACTION OFFICE FURNITURE 20151202417 4/1/2015 3/31/2021 $2,792,874.001400491
ORASURE TECHNOLOGIES INC ORAQUICK ADVANCE(R) RAPID HIV-1/2 ANTIBODY TEST 20191200991 7/1/2018 6/30/2021 $1,661,662.921800261
ORBIS CORPORATION WASTE BINS, ORGANICS COLLECTION (DSNY) 20161200166 9/1/2015 8/31/2020 $10,314,750.001400345
PACIFIC ENERGY CORP FUEL OIL - HPD 20171202896 4/5/2017 6/30/2020 $6,103,996.001700222
PACIFIC LINK INTERNATIONAL COR SHOWER, CURTAINS, HOOKS & BATH MATS 20161201021 11/2/2015 11/1/2020 $50,029.201500474
PACTO CORPORATION DOC COMMISSARY ITEMS 20181202596 4/1/2018 3/31/2021 $401,170.001800092
PAPER MART INC ENVELOPES, KRAFT PAPER (CITYWIDE) 20200000091 10/1/2019 9/30/2024 $672,665.101900103
Tuesday, April 7, 2020 Page 36 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
PAPER MART INC ENVELOPES, KRAFT PAPER (CSH) 20200000106 10/1/2019 9/30/2024 $742,730.001900074
PAPER MART INC ENVELOPES, SPECIAL WINDOW (FISA) 20180000241 3/15/2018 3/14/2023 $271,340.501700184
PAPER MART INC ENVELOPES,COMMERCIAL,PLAIN,WINDOW & COLORS 20180000451 6/1/2018 5/31/2023 $305,447.251700282
PAPER MART INC PAPER, CARBONLESS, MULTIPART 20191201397 5/1/2019 4/30/2024 $411,585.601800318
PAPER MART INC PAPER, DUAL PURPOSE 20151202569 4/1/2015 3/30/2021 $35,134,172.001400471
PAPER MART INC PAPER, INDEX #4 20171200961 6/1/2017 5/31/2022 $675,400.001600380
PAPER MART INC PAPER, OFFSET 20180000121 3/29/2018 3/28/2023 $266,944.001700196
PAPER MART INC PAPER: CONTINUOUS/ CARBONLESS; CARBON INTERLEAF 2 20191201516 2/28/2019 2/27/2024 $1,028,187.001800215
PARACO GAS OF NEW YORK INC LIQUEFIED PETROLEUM (LP) GASES: PROPANE (D.E.P) 20181201921 3/1/2018 2/28/2023 $2,707,700.001800060
PARADISE PILLOW INC PILLOWS, DISPOSABLE "18 X 24" (CSH) 20161201906 4/1/2016 3/31/2021 $131,082.121600015
PARISER INDUSTRIES INC BLEACH, DRY LAUNDRY, ORGANIC CHLORINE 20191200736 10/28/2018 10/27/2023 $321,876.081800105
PARK SALES AND SERVICE INC FIRE EXTINGUISHER MAINTENANCE & RELATED SERVICES 20201200706 9/28/2019 9/30/2024 $516,489.001900070
PARK SURGICAL CO INC PHARMACEUTICALS FOR FDNY EMS 20181200556 9/1/2017 8/31/2022 $64,256,255.001700130
PARTNERS IN SAFETY INC DRUG TESTING SERVICES, NYCDOT_RENEWAL #2 20191202626 9/1/2019 8/31/2020 $341,660.001200534
PARTS AUTHORITY LLC NON GEN: AUTOMOTIVE LAMPS MINI/SEALED BEAM 20181203046 6/1/2018 5/31/2023 $120,000.001800095
PARTS AUTHORITY LLC RADIATORS, RADIATOR-CORES AND AIR COOLERS 20201202071 3/15/2020 3/14/2025 $465,000.001900271
PATIFCO CORPORATION TOWELS,PAPER, SINGLE FOLD 20201200796 4/1/2020 3/31/2025 $2,889,600.001900233
PAUL CONGELOSI SALES INC TRAILER, TWO (2) HORSE CAPACITY RE-AD 20181202147 4/5/2018 4/4/2023 $954,750.001800075
PCS PUMP AND PROCESS INC OEM FAIRBANKS NIJHUIS PUMPS & PARTS(RE-AD) 20161203211 6/1/2016 5/30/2020 $5,000,000.001600244
PECKHAM ASPHALT RESALE CORP DB ASPHALT CEMENT, BULK DELIVERY 20151203737 6/28/2015 6/27/2021 $86,396,375.001500146
PECKHAM MATERIALS CORP CALCIUM CHLORIDE SOLUTION 20180000271 9/2/2017 9/1/2022 $2,312,500.001700154
Tuesday, April 7, 2020 Page 37 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
PECKHAM MATERIALS CORP HOT ASPHALT PAVING MIX DEL. INTO CITY TRUCKS RE-AD 20201201276 1/1/2020 12/31/2020 $13,801,308.751600399
PETERS CHEMICAL COMPANY BRIDGE DEICING CHEMICALS, LIQUID & SOLID 20191201051 11/1/2018 10/31/2022 $3,582,000.001800324
PETERS CHEMICAL COMPANY LIME, HYDRATED, BULK (DEP) - BWS 20170000241 1/1/2017 12/31/2022 $440,325.001600296
PETERSEN MANUFACTURING CO INC HIGH-END RECEPTACLE LITTER BASKET (DSNY) 20171201576 1/2/2017 1/1/2022 $2,422,500.001600188
PEWAG INC TIRE CHAINS, CABLES AND ACCESSORIES 20170000061 9/1/2016 8/31/2021 $195,000.001600074
PHARMA-SMART INTERNATIONAL INC PHARMA-SMART INTERNATIONAL BLOOD PRESSURE KIOSK 20201201591 3/2/2020 2/28/2023 $1,953,600.001800249
PHILIPS NORTH AMERICA LLC PHILIPS HEARTSTART DEFIBRILLATORS (BRAND SPECIFIC) 20151201921 3/1/2015 2/28/2021 $17,618,832.701400050
PINE BUSH EQUIPMENT COMPANY IN TRACTORS, DIESEL, VARIOUS 20181200751 10/1/2017 9/30/2020 $341,512.161700073
PITNEY BOWES INC DIGITAL MAIL SYSTEMS 20161200527 12/16/2015 12/15/2020 $5,770,295.201500263
PLAINFIELD FRUIT & PRODUCE ACS - FRUITS & VEGETABLES (FRESH, SEASONAL) 20191203647 6/18/2019 8/17/2020 $278,203.341900245
PLAINFIELD FRUIT & PRODUCE DOC - FRUITS & VEGETABLES (FRESH, SEASONAL) 20191203091 6/1/2019 7/31/2020 $206,912.211900235
PLUSLUX LLC WASHING MACHINE & DRYER, HIGH TEMP 20191200122 2/1/2019 1/31/2024 $354,075.001800178
PME TECHNOLOGIES INC FEDERAL VERTICAL MITERING BAND SAW - DSNY 20161202986 6/15/2016 6/14/2021 $577,550.001600217
POINT BLANK ENTERPRISES INC BODY ARMOR VEST 20181201951 4/1/2018 3/31/2023 $1,015,324.001800014
POLYGRAMMIC LLC HAND BIOMETRIC READER (BRAND SPECIFIC) 20180000316 7/1/2017 6/30/2021 $2,878,556.341700109
POSEIDEN PRODUCTIONS INC PORTABLE ROCK CLIMBING WALLS (RE-AD) 20171200481 10/1/2016 9/30/2021 $407,248.001600156
PRAXAIR DISTRIBUTION INC ACETYLENE 20191201306 11/25/2018 11/24/2023 $313,875.001900005
PRECISE KIT PROMOTIONS INC COTS: FOLDING, ADULT SIZE 20161201846 6/15/2016 6/14/2021 $1,600,000.001600060
PROACT SERVICES CORPORATION RENTAL OF WATER FILTRATION SYSTEM - PARKS 20161203226 6/20/2016 6/18/2020 $404,677.521600201
PROGRESS SOLAR SOLUTIONS LLC LIGHT TOWER, PORTABLE, SOLAR POWERED 20181200542 10/1/2017 9/30/2022 $1,406,660.001700339
PROGRESSIVE HYDRAULICS INC GRP: PARKER HANNIFIN, HOSE, FITTINGS, ADAPTERS ETC 20180000436 9/1/2017 8/31/2022 $752,000.001700284
Tuesday, April 7, 2020 Page 38 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
PROMEGA CORPORATION PROMEGA GENETIC IDENTITY PRODUCTS 20191200061 6/1/2019 5/31/2024 $6,343,698.751800197
PROMEGA CORPORATION PROMEGA POWERPLEX FUSION SYSTEM 20181201246 11/1/2017 10/31/2020 $1,457,292.001700338
PUCK PRODUCTIONS LLC PIPE AND FITTINGS, CAST IRON 20191200661 10/1/2018 9/30/2023 $81,707.211700152
PUMPING SERVICES INC OEM POLYCHEM SLUDGE COLLECTION_(RE-AD) 20181200706 9/1/2017 8/31/2022 $5,000,000.001700133
PVS CHEMICAL SOLUTIONS INC SODIUM BISULFITE - DEP (BWT) 20191202671 5/1/2019 4/30/2022 $4,057,200.001900156
PVS MINIBULK INC SODIUM HYPOCHLORITE SOLUTION (PARKS DEPARTMENT) 20201202237 3/3/2020 5/17/2022 $631,271.811700136
QIAGEN LLC QIAGEN SUPPLIES AND REAGENTS (BRAND SPEC) 20151200766 11/1/2014 10/30/2020 $582,000.001400283
QUALITY FACILITY SOLUTIONS COR BACK-UP OFFICE CLEANING SERVICES, CITYWIDE 20190000151 11/1/2018 10/31/2020 $2,797,039.851200552
QWICK KURB INC LANE SEPARATOR SYSTEMS, BRAND SPECIFIC (DOT) 20190000211 8/1/2018 7/31/2023 $4,014,930.001800049
QWICK KURB INC PREMIUM RUBBER SPEED BUMPS (BRAND SPECIFIC) 20191202596 6/1/2019 5/31/2024 $357,669.651900135
R J SHERMAN & ASSOCIATES INC CHIPPER, STUMP GRINDER 20191202987 6/15/2019 6/14/2024 $1,915,247.001900016
RAYMOND OF NEW JERSEY LLC PALLET TRUCK, 4,500 LBS - DSNY 20191202012 3/15/2019 3/14/2024 $370,900.001800341
RCA ASPHALT LLC HOT ASPHALT PAVING MIX DEL. INTO CITY TRUCKS RE-AD 20201201261 1/1/2020 12/31/2020 $11,602,689.001600399
READY AMERICA INC EMERGENCY WATER FOR OEM 20171202327 4/1/2017 3/31/2022 $644,400.001700093
RECONROBOTICS INC RECON ROBOTICS (BRAND SPECIFIC) - NYPD 20201200136 8/1/2019 7/31/2021 $433,860.001900215
RECYCLING EQUIPMENT SERVICE CO GRP: HARRIS TRANSPAK MODEL 375 RE-AD 20151200154 8/1/2014 7/30/2020 $300,000.001300388
RED MOUNTAIN INC GRP: SMOKE CHECK 1667 OPACITY METER RE-AD 20171202776 4/20/2017 4/19/2022 $1,000,000.001700024
RED'S GARAGE LTD GRP: WESTERN SNOW PLOWS 20190000451 10/1/2018 9/30/2023 $1,400,000.001800267
RELIANCE FOUNDRY CO LTD MARTELLO BOLLARDS (BRAND SPECIFIC) 20171200061 8/1/2016 7/31/2021 $1,110,000.001600286
RELX INC RENEWAL OF SUBSCRIPTION NON-FCRA SERVICES 20201201726 4/1/2020 3/31/2022 $10,000,000.001500221
RESCUE OPERATIONS INTL GROUP L ATLANTIC SIGNAL COMTAC V PATRIOT HEADSET 20200000286 7/15/2019 7/14/2022 $524,810.001900255
Tuesday, April 7, 2020 Page 39 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
REV AMBULANCE GROUP ORLANDO IN AMBULANCE, TYPE 1 - FDNY 20191202236 5/18/2019 5/17/2024 $162,727,162.751900014
RGBS ENTERPRISES INC DISTECH CONTROL PARTS 20161202626 5/1/2016 4/30/2021 $616,000.001500084
RING POWER CORPORATION LOADER, ARMORED MULTI-TERRAIN - NYPD 20171201861 2/1/2017 1/30/2021 $5,246,470.001700027
RINI TANK AND TRUCK SERVICE IN AUTOMOTIVE, TERMINALS, TOOLS & ACCESSORIES 20181202131 5/1/2018 4/30/2023 $1,302,000.001800068
RINI TANK AND TRUCK SERVICE IN CONTAINERS, SHARPSAFE, PUNCTURE PROOF FOR FDNY/EMS 20191200931 10/15/2018 10/14/2023 $849,636.001800047
RINI TANK AND TRUCK SERVICE IN GRP: OPW FUELING SYSTEM 20181202747 6/1/2018 5/31/2023 $617,625.001800143
ROBBINS SALES COMPANY INC DOC - SHELF-STABLE FOOD PRODUCTS 20191203496 6/10/2019 8/9/2020 $1,978,032.801900211
ROBBINS SALES COMPANY INC HRA EFNAP - II 20191202536 4/4/2019 5/4/2022 $1,681,527.361900144
ROBBINS SALES COMPANY INC HRA EFNAP - SHELF STABLE 20191202281 3/15/2019 3/14/2022 $5,361,401.281900089
ROBBINS SALES COMPANY INC HRA EFNAP - SHELF STABLE 20191202551 3/15/2019 3/14/2022 $1,721,539.681900089
ROBINSONS INDUSTRIAL GAS & CYLINDERS, OXYGEN 20181203106 6/27/2018 6/26/2023 $861,850.001700201
ROBINSONS INDUSTRIAL GAS & LABORATORY SPECIALTY GASES 20171200286 10/1/2016 9/30/2021 $863,394.351600256
ROB-ROY ENTERPRISES INC PREPARED MEALS FOR NYPD 20191200302 7/1/2018 6/30/2021 $188,622.001800098
ROBUR CORPORATION GRP: ROBUR CHILLER UNITS RE-AD 20151202868 5/1/2015 4/30/2021 $744,000.001500232
ROMAN STONE CONSTRUCTION CO BARRIER: CONCRETE RE-AD 20181200347 12/1/2017 11/30/2022 $7,020,000.001700229
ROMEO FOODS INC ACS - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203766 6/3/2019 8/2/2020 $6,655.561900178
ROMEO FOODS INC ACS-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203331 6/3/2019 6/30/2020 $473,164.201900174
ROMEO FOODS INC DOC - HALAL MEATS & POULTRY 20191203271 6/1/2019 7/31/2020 $285,752.001900139
ROMEO FOODS INC DOC-MEATS AND POULTRY FOR GENERAL POPULATION (GP) 20191203151 5/21/2019 6/30/2020 $850,557.201900155
ROMEO FOODS INC HRA EFNAP - SHELF STABLE 20191202341 3/15/2019 3/14/2022 $503,820.001900089
ROSCO INC GRP: ROSCO AUTOMOTIVE MIRRORS & ACCESSORIES 20171203646 6/1/2017 5/31/2022 $337,500.001700033
Tuesday, April 7, 2020 Page 40 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
ROSEHILL POLYMERS LTD RUBBER PEDESTRIAN TRAFFIC ISLANDS 20181202476 6/1/2018 5/31/2021 $299,950.001800110
ROSEWOOD FIRE EQUIPMENT CO INC FIRE EXTINGUISHERS 20201200631 10/1/2019 9/30/2024 $234,200.001900216
ROSS EQUIPMENT INC GRP: HORTON PRODUCTS 20161201217 12/1/2015 11/30/2020 $560,000.001500658
ROSS EQUIPMENT INC GRP: RED DOT HEATERS 20181200136 9/1/2017 8/31/2022 $210,000.001700275
ROSS VALVE MANUFACTURING CO IN GRP FOR ROSS PRESSURE REGULATOR VALVES DEP 20151202986 5/1/2015 4/30/2020 $700,000.001400538
ROUTE 23 AUTOMALL LLC GRP FORD 20161202102 6/29/2016 6/28/2021 $9,921,980.001600026
ROYAL EXTERMINATING CO INC INTEGRATED PEST MANAGEMENT & RELATED SRVC,CITYWIDE 20201200481 9/1/2019 8/31/2024 $5,263,681.031900013
RUBBER STAMPS INC MARKING DEVICES 20161200511 12/30/2015 12/29/2020 $271,411.251500453
RYAN HERCO PRODUCTS CORP PVC PIPE, FITTINGS AND VALVES. 20181201966 3/1/2018 2/28/2023 $229,250.001800037
S & H UNIFORM CORPORATION SNEAKERS: CANVAS - DOC 20170000496 10/10/2016 10/9/2021 $2,184,000.001600034
SAFARILAND LLC HELMETS, BALLISTIC HELMETS 20181201321 10/1/2017 9/30/2022 $10,400,000.001700306
SAFETY INSTRUMENTS INC RKI GAS MONITORING INSTRUMENTS AND PARTS 20161200646 11/1/2015 10/31/2020 $1,002,000.001500371
SAFEWARE INC SAFETY EQUIPMENT AND SUPPLIES (FDNY) 20201200346 1/1/2020 12/31/2024 $1,170,000.001900192
SAFEWARE INC THERMAL IMAGING CAMERAS, PARTS & ACCESSORIES BRAND 20191201651 3/1/2019 2/28/2024 $4,143,391.791900083
SAF-GARD SAFETY SHOE CO FOOTWEAR, SAFETY - SHOEMOBILE (D.O.T.) 20151200167 8/1/2014 7/30/2020 $1,700,000.001400397
SAGAMORE LIGHTS INC GRP: WHELAN SAFETY LIGHTS & EQUIPMENT 20171202911 6/30/2017 6/29/2022 $1,971,900.001700120
SAM TELL AND SON INC COMBI-OVENS: ELECTRIC/GAS WITH RACKS - DOC 20191200706 12/1/2018 11/30/2023 $2,346,955.301800071
SAM TELL AND SON INC COMMERCIAL APPLIANCES - KITCHEN 20161200061 8/1/2015 7/31/2020 $1,266,693.501400379
SAM TELL AND SON INC KITCHEN APPLIANCES 20160000256 8/1/2015 4/30/2020 $1,231,868.001400389
SAM TELL AND SON INC ROTATING RACK OVENS 20181201111 12/1/2017 11/30/2022 $519,377.701700359
SAM TELL AND SON INC STEAM PANS/LIDS, ROAST PANS (DOC) 20171202102 4/4/2017 4/3/2022 $1,843,780.001600458
Tuesday, April 7, 2020 Page 41 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
SANITATION REPAIRS INC GRP: AMERICAN ROLL OFF 20181200436 10/1/2017 9/30/2022 $742,500.001700189
SCHULTZ FORD LINCOLN INC CAR, POLICE HYBRID SEDAN - NYPD 20191200781 10/15/2018 10/14/2021 $10,474,100.001800199
SCHULTZ FORD LINCOLN INC VEHICLE - PICKUP TRUCKS, LIGHT/MEDIUM/HEAVY DUTY 20191202386 5/1/2019 4/30/2024 $629,880.001900038
SCHULTZ FORD LINCOLN INC VEHICLE - PICKUP, LIGHT DUTY RE-AD 20200000152 7/1/2019 6/30/2024 $487,810.001900234
SEABOARD ASPHALT PRODUCTS CO ASPHALT RELEASE AND REMOVAL AGENTS 20171202026 6/30/2017 6/29/2022 $1,259,280.001600462
SEAGRAVE FIRE APPARATUS LLC GRP: SEAGRAVE FIRE APPARATUS 20191200361 1/1/2019 12/31/2024 $6,400,000.001800289
SEAGRAVE FIRE APPARATUS LLC TRUCK, 1000 GPM SQUAD PUMPER - FDNY 20191202851 6/5/2019 6/4/2024 $5,472,742.001900053
SEAGRAVE FIRE APPARATUS LLC TRUCK, 2000 GPM PUMPER APPARATUS - FDNY 20191201561 1/1/2019 10/29/2020 $29,199,501.001500532
SEAGRAVE FIRE APPARATUS LLC TRUCK, 75' AERIAL PLATFORM APPARATUS - FDNY. 20171201111 11/30/2016 11/28/2020 $19,523,655.001500632
SEAGRAVE FIRE APPARATUS LLC TRUCK,100' TRACTOR DRAWN AERIAL - FDNY 20161202341 5/8/2016 5/6/2020 $20,997,320.001500533
SECURITAS SECURITY SERVICES USA INC ARMED SECURITY GUARD SERVICES 20196200676 12/1/2018 11/30/2021 $284,000,000.00
SECURITAS SECURITY SERVICES USA INC UNARMED SECURITY GUARD SERVICES 20196200662 12/1/2018 11/30/2021 $28,000,000.00
SECURITY EQUIPMENT CORPORATION AEROSOL IRRITANT PROJECTORS-NYPD (BRAND SPECIFIC) 20171200601 10/1/2016 9/30/2021 $470,200.001600417
SENECA MINERAL COMPANY BRIDGE DEICING CHEMICALS, LIQUID & SOLID 20191200947 11/1/2018 10/31/2022 $1,833,000.001800324
SENSUS USA INC TURBINE WATER METERS(D.E.P.) 20171201082 1/1/2017 12/31/2021 $3,344,550.001500566
SERPENTIX CONVEYOR CORPORATION OEM SERPENTIX CONVEYOR PARTS FOR DEWATERING SYSTEM 20181200826 11/1/2017 10/31/2022 $1,196,471.001700260
SID TOOL CO INC DBA BRAND SPECIFIC OEM MACHINE TOOLS (DEP) 20191201246 12/1/2018 11/30/2023 $1,209,906.241800229
SID TOOL CO INC DBA MAINTENANCE REPAIR & OPERATION SUPPLIES 20181202386 6/1/2018 5/31/2023 $1,054,680.001700175
SID'S SUPPLY COMPANY INC BATHROOM AND PLUMBING SUPPLIES: MISC. 20161202161 5/30/2016 5/29/2021 $132,700.881600080
SIEMENS INDUSTRY INC CONNECTED VEHICLES, ROADSIDE UNIT - DOT 20190000331 7/1/2018 6/30/2021 $575,522.501800062
SIGNALISATION VER MAC INC SIGNS, PORTABLE TRAFFIC MESSAGE 20171201066 11/1/2016 10/31/2022 $3,608,360.001600350
Tuesday, April 7, 2020 Page 42 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
SIMMONS COVERING SERVICE INC SALT STOCKPILE COVERINGS-DSNY RE-AD 20151200976 11/14/2014 11/12/2020 $65,225.001400468
SINGER EQUIPMENT COMPANY INC COMMERCIAL APPLIANCES - KITCHEN 20161200046 8/1/2015 7/31/2020 $3,757,985.001400379
SKY SUPPLY COMPANY INC CANS,GARBAGE,PLASTIC LIDS & DOLLY 20161201141 12/1/2015 11/30/2020 $355,481.001500396
SPAULDING MFG INC GRP: SPAULDING ASPHALT 20160000001 7/1/2015 6/30/2021 $742,500.001400429
SPECTRUM BIOTECHNOLOGIES LLC VARIOUS OPEN TOP CONTAINERS AND DOLLY 20161202658 6/1/2016 5/31/2021 $2,419,635.001600133
SPITALE CONSTRUCTION RESOURCES FENCING: FURNISH, INSTALL AND REPAIR 20200000032 8/1/2019 7/31/2024 $6,810,454.111900026
SPORTPROSUSA INC SYNTHETIC TURF REPLACEMENT & REPAIR PART 20181200046 8/1/2017 7/31/2022 $441,638.001600424
SPRAGUE OPERATING RESOURCES LL AVIATION JET A FUEL, BULK DELIVERY 20161202101 5/1/2016 4/30/2021 $2,870,125.001500480
SPRAGUE OPERATING RESOURCES LL DIESEL AND BIODIESEL, BULK DELIVERY & RACK PICK UP 20191202656 6/1/2019 5/31/2020 $35,574,381.901500576
SPRAGUE OPERATING RESOURCES LL HEATING OIL, BIOBLEND & BIOHEAT, BULK DELIVERY 20151203796 6/1/2015 5/31/2020 $34,692,797.001400546
STANDARD FUSEE CORPORATION DBA FLARES, HIGHWAY 20191201187 12/1/2018 11/30/2023 $749,960.641800077
STAR CREATIONS INC KITCHEN APPLIANCES 20151202581 5/1/2015 4/30/2021 $1,933,030.751400389
STAR POLY BAG INC FILM, STRETCH WRAP FOR PALLETIZING 20171202761 6/1/2017 5/31/2022 $151,212.521600449
STARBOARD MARINE INC RAYMARINE PRODUCTS FOR NYPD/FDNY - BRAND SPECIFIC 20201201756 2/1/2020 1/31/2023 $3,238,664.592000038
STAT PLUMBING SUPPLY INC GRP: MILLIKEN PLUG VALVES-BRAND SPECIFIC (RE-AD) 20151201096 11/1/2014 10/30/2020 $1,255,730.001400504
STAT PLUMBING SUPPLY INC LEAD FREE VALVES & GASKETS 20171200646 10/1/2016 9/30/2021 $1,056,000.001600254
STATE OF NEW YORK DEPT OF AUTOMATIC DISHMACHINE SOAP AND RINSE - DOC 20171200886 11/1/2016 10/31/2021 $2,579,200.001600139
STATE OF NEW YORK DEPT OF CORCRAFT CATALOG AND STOREHOUSE ITEMS 20201201246 1/1/2020 12/31/2024 $50,000,000.001900210
STEELCASE INC FURNITURE & RELATED SERVICES, CITYWIDE 20166201682 5/1/2016 4/30/2021 $12,000,000.00
STEELCASE INC OFFICE FURNITURE - PRIVATE OFFICE 20201200271 8/1/2019 7/31/2024 $8,924,197.361800050
STEPHAN GREEN ENTERPRISES INC TRAILER, ENCLOSED CARGO - DSNY 20171202356 3/20/2017 3/19/2022 $103,086.251700065
Tuesday, April 7, 2020 Page 43 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
STERLING ROPE CO INC PERSONAL SAFETY SYSTEM ROPES (FDNY) 20181200166 9/1/2017 8/31/2022 $2,472,181.251600481
STEWART & STEVENSON POWER GRP RELIABILT (REBUILT DETROIT DIESEL PARTS) 20201201321 1/1/2020 12/31/2024 $370,000.001900197
STEWART & STEVENSON POWER GRP: ALLISON TRANSMISSION 20181200196 8/30/2017 8/29/2022 $1,050,000.001700273
STEWART & STEVENSON POWER GRP: DETROIT DIESEL ENGINES 20170000316 12/1/2016 11/30/2021 $375,000.001600289
STEWART & STEVENSON POWER GRP: DETROIT DIESEL SERIES 50 & 60 ENGINE PARTS 20170000361 10/1/2016 9/30/2021 $3,195,000.001600038
STEWART & STEVENSON POWER GRP: DONALDSON EMISSIONS RETROFIT 20170000331 9/1/2016 8/31/2021 $1,062,000.001600020
STEWART & STEVENSON POWER GRP: NORTHERN LIGHTS MARINE GENERATORS 20191200136 8/1/2018 7/31/2023 $978,750.001800117
STEWART & STEVENSON POWER NON-GENUINE AUTOMOTIVE FILTERS & CARTRIDGES 20171202581 4/1/2017 3/31/2022 $775,000.001700005
STONE PAVERS INC DISTINCTIVE GRANITE MATERIALS 20191201171 12/1/2018 11/30/2023 $780,424.001800091
STORAGE BATTERY SYTEMS LLC TRANSFER SHUTTLE CARTS ACCESSORIES - DSNY 20191200121 8/1/2018 7/31/2023 $2,298,813.501800190
STORR TRACTOR COMPANY EQUIPMENT, PARK AND GROUNDS MAINTENANCE 20171200016 8/1/2016 7/30/2020 $6,398,243.201600253
STORR TRACTOR COMPANY GRP: TORO EQUIPMENT 20161200136 8/15/2015 8/14/2021 $570,000.001500080
STORR TRACTOR COMPANY TRACTOR, BEACH, 4 WHEEL DRIVE - DPR 20171203256 5/30/2017 5/29/2021 $1,496,260.001700002
STRATTON BINDING CORP BOOKS, RECORD, LOG FOR NYPD 20190000091 8/1/2018 7/31/2023 $1,986,250.001700386
STRATTON BINDING CORP BOOKS, RECORD/CUSTOM LEDGER FOR NYPD 20170000121 10/1/2016 9/30/2021 $1,850,000.001600068
STRYKER SALES CORP PATIENT TRANSFER EQUIPMENT (BRAND SPECIFIC) 20161201997 6/30/2016 6/29/2021 $5,008,210.001500640
STRYKER SALES CORP STRYKER MEDICAL EQP & PARTS(BRAND SPECIFIC)- READ 20201200856 10/1/2019 9/30/2024 $672,997.421900315
SUEZ TREATMENT SOLUTIONS INC SUEZ CLIMBER SCREENS AND PARTS (SOLE SOURCE) 20201201306 11/21/2019 11/20/2024 $4,196,096.001900101
SUMMIT HELICOPTERS INC GRP: BELL HELICOPTER CONSUMABLE PARTS 20180000376 8/1/2017 7/31/2022 $1,610,000.001700119
SUMMIT PAPER COMPANY MOP WRINGER & BUCKET (D.O.C) 20161202041 6/1/2016 5/31/2021 $215,212.001600021
SUMMIT PAPER COMPANY PAPER, TOILET, ROLL, WHITE (CSH) 20181201576 3/1/2018 2/28/2023 $9,146,400.001700363
Tuesday, April 7, 2020 Page 44 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
SUPER SEER CORPORATION HELMETS, DISORDER CONTROL/SCOOTER, NYPD 20171202927 5/1/2017 4/30/2022 $2,748,000.001700144
SURYS INC SECUREMARK DECALS 20181200466 5/1/2018 4/30/2021 $133,446.301500251
SZY HOLDINGS LLC DBA EVER READ BBRAUN CATALOG BRAND SPECIFIC 20161201531 2/16/2016 2/15/2021 $2,624,678.981500543
SZY HOLDINGS LLC DBA EVER READ EMERGENCY RESPONSE SUPPLIES (FDNY-EMS) 20151203122 6/30/2015 6/29/2020 $324,010.001400405
SZY HOLDINGS LLC DBA EVER READ KIT, FIRST-AID 20190000526 7/2/2018 7/1/2023 $539,550.001800134
SZY HOLDINGS LLC DBA EVER READ MEDICAL SUPPLIES 20171201622 2/1/2017 1/31/2022 $1,271,969.001600302
SZY HOLDINGS LLC DBA EVER READ SURGICAL TAPE, CLOTH 20171200691 1/1/2017 12/31/2021 $289,366.681600310
T MINA SUPPLY INC CORPORATION STOP & QUARTER BENDS (TAPS) 20171200421 10/1/2016 9/30/2021 $938,938.901600242
T MINA SUPPLY INC DUCTILE IRON PIPE & FITTING 20161202236 5/1/2016 4/30/2021 $2,796,507.301500567
T MINA SUPPLY INC FIRE HYDRANT 20171201426 1/2/2017 1/1/2022 $3,136,020.001600229
T MINA SUPPLY INC RESILIENT SEATED GATE VALVES & PARTS 20191202116 4/1/2019 3/31/2022 $1,870,851.001800147
TABB TEXTILE CO INC TERRY TOWELING - DOC 20151200887 11/1/2014 10/30/2020 $675,000.001400434
TACTICAL MEDICAL SOLUTIONS INC ACTIVE SHOOTER RESPONSE KIT (BRAND SPECIFIC) ARK 20191200841 10/15/2018 10/14/2023 $946,780.001800184
TAUB'S CARPET & TILE CORP FLOOR TILE - VINYL & ACCESSORIES 20151202552 4/15/2015 4/14/2020 $687,603.001400487
TAVA PRODUCTS LLC LABORATORY SUPPLIES, CONSUMABLES & EQUIPMENT 20191201006 5/1/2019 4/30/2021 $539,500.001500166
TAVA PRODUCTS LLC MAINTENANCE REPAIR & OPERATION SUPPLIES 20181201876 6/1/2018 5/31/2023 $7,154,000.001700175
TEAM HENDEL PRODUCTS LLC PREPARED MEALS FOR NYPD_RE-AD CLASS #1 20191201816 12/1/2018 6/30/2021 $392,364.001900050
TEE PEE AUTO SALES CORP DBA GRP FOR MILLER INDUSTRIES BODIES (CHALLENGER) 20171202416 3/30/2017 3/29/2022 $460,000.001700029
TEK-SALES INC OEM DEZURIK VALVES AND PARTS (BRAND SPECIFIC) 20171200451 9/7/2016 9/6/2021 $7,230,000.001600151
TELOG INSTRUMENTS INC FLOW MONITORING EQUIPMENT-BRAND SPECIFIC 20171203241 6/1/2017 5/31/2022 $2,147,175.001600375
TELOG INSTRUMENTS INC TELOG DATA LOGGERS & SENSORS (BRAND SPECIFIC)- DEP 20201201606 2/1/2020 1/30/2025 $585,000.001900168
Tuesday, April 7, 2020 Page 45 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
TERI NICHOLS INSTITUTIONAL FOO ACS - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203721 6/3/2019 8/2/2020 $257,495.341900178
TERI NICHOLS INSTITUTIONAL FOO DOC - CHEESE, MILK, EGGS, BUTTER, MARGARINE 20191203302 6/3/2019 6/30/2020 $539,274.001900120
THE MONROE CABLE CO INC CABLE: FIRE ALARM SIGNAL (FDNY)(RE-AD) 20191200091 8/6/2018 8/5/2023 $4,628,085.001700322
THE REMI GROUP LLC EQUIPMENT MAINTENANCE PROGRAM - OGS 20171200976 1/23/2017 1/23/2021 $6,900,000.001600471
THOMAS J MORRIS JR DBA AMMUNITION: SHELLS & CARTRIDGES 20201200571 9/1/2019 8/31/2024 $3,750,000.001900011
TIERNEY & COURTNEY OVERHEAD DO OVERHEAD DOOR REPLACEMENT PARTS 20190000302 8/1/2018 7/31/2023 $1,115,440.001800201
TILCON NEW YORK INC AGGREGATES, HOT MIX ASPHALT(HWYS) 20171201262 6/1/2017 5/31/2020 $29,133,285.001500664
TILCON NEW YORK INC FINE AND COARSE AGGREGATES 20171201306 12/17/2016 12/16/2021 $2,211,353.601600056
TILCON NEW YORK INC HOT ASPHALT PAVING MIX DEL. INTO CITY TRUCKS RE-AD 20171203721 5/5/2017 12/30/2020 $22,630,962.901700334
TONY'S FISH & SEAFOOD CORP ACS-PROCESSED AND FROZEN FOODS 20191203857 6/13/2019 8/12/2020 $73,487.551900227
TRACKEDLIFTS INC TRACKED AERIAL LIFT W/UTILITY TRAILER (RE-AD) 20191200601 9/6/2018 9/5/2023 $858,995.001800284
TRAFFIC LANE CLOSURES LLC LANE SEPARATOR SYSTEMS, BRAND SPECIFIC(DOT)RE-AD 20190000286 8/1/2018 7/31/2023 $795,275.001800183
TRAFFIC LANE CLOSURES LLC MOBILE LIGHT TOWERS & BALLOON LIGHTING_SYSTEMS 20171200841 1/27/2017 1/26/2022 $226,640.001600326
TRAFFIC SAFETY SERVICE LLC GRP: SCORPION TRUCK MOUNTED ATTENUATOR 20181200736 10/1/2017 9/30/2022 $742,500.001700255
TRANSPO INDUSTRIES INC GRP: ENERGY ABSORPTION SYS. INC. IMPACT ATTENUATOR 20171200496 12/1/2016 11/30/2021 $490,000.001600272
TRECAN COMBUSTION LIMITED GRP: TRECAN COMBUSTION PARTS RE-AD 20181202146 4/1/2018 3/31/2023 $250,000.001800045
TRECAN COMBUSTION LIMITED SNOW MELTER, PORTABLE, 60 TON/HOUR - DSNY 20171200001 8/15/2016 8/14/2021 $1,861,796.271600219
TRISTATE APTMT FURNISHERS LLC FURNITURE: INFANT & HOUSEHOLD FOR ACS & DHS 20171201846 5/1/2017 4/30/2022 $8,892,400.001600225
TRIUS INC BEACH AND PARKS GARBAGE COLLECTOR - PARK 20171201351 1/1/2017 12/31/2020 $1,673,883.001700042
TRIUS INC CHAINS, TIRE - DSNY 20161202418 5/1/2016 4/30/2021 $1,947,500.001600072
TRIUS INC GRP: AIR-FLO PRODUCTS 20180000136 8/1/2017 7/31/2022 $1,188,000.001700187
Tuesday, April 7, 2020 Page 46 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
TRIUS INC GRP: BOSCH-REXROTH SPREADER CONTROL RE-AD 20181201786 3/10/2018 3/9/2023 $1,980,000.001800052
TRIUS INC GRP: GO 4 SCOOTERS PARTS 20201202206 4/1/2020 3/31/2024 $247,500.002000068
TRIUS INC GRP: HI-WAY SALT SPREADER 20171201531 3/1/2017 2/28/2022 $5,049,000.001700023
TRIUS INC GRP: VAC-CON SEWAGE & SLUDGE PUMPS RE-AD 20181201787 3/1/2018 2/28/2023 $875,000.001800048
TRIUS INC GRP: WAUSAU-EVEREST PARTS 20191200496 8/15/2018 8/14/2023 $3,920,000.001800224
TRIUS INC LIQUID SALT BRINE - DSNY 20201201201 11/1/2019 10/31/2022 $4,374,750.002000025
TRIUS INC SCOOTER, THREE (3) WHEELED - NYPD 20181202521 3/13/2018 4/14/2022 $4,149,800.001700135
TROJAN TECHNOLOGIES GROUP ULC TROJAN UV EQUIPMENT GENUINE REPAIR(GRP)PARTS 20201202281 4/1/2020 3/31/2025 $9,010,750.002000037
TRU SUPPLY COMPANY LLC POWER SAW BLADE: DIAMOND FIRE RESCUE 20191200631 9/1/2018 8/31/2023 $658,800.001800170
TRUCK KING INTL SALES & SVCS I GRP: INTERNATIONAL TRUCKS 20191200511 10/1/2018 9/30/2023 $1,185,000.001800272
TRUCK KING INTL SALES & SVCS I TRUCK, BOOM - DEP 20171200811 10/15/2016 10/13/2020 $1,575,336.001500518
TRUCK KING INTL SALES & SVCS I TRUCK, BOX BODY 14FT, WITH LIFT GATE - NYPD 20181201471 1/10/2018 1/9/2023 $3,044,646.961700265
TRUCK KING INTL SALES & SVCS I TRUCK, CREW CAB, RACK BODY - NYPD 20171200901 10/15/2016 10/13/2020 $3,454,500.001600313
TRUCK KING INTL SALES & SVCS I TRUCK, STAGE TOW - DPR 20181202791 5/10/2018 5/9/2023 $501,952.001700374
TULLY CONSTRUCTION CO INC - HOT ASPHALT PAVING MIX DEL. INTO CITY TRUCKS RE-AD 20201201652 1/1/2020 12/31/2020 $19,723,967.001600399
TURTLE & HUGHES INC BALLASTS 20201200256 9/1/2019 8/31/2024 $240,000.001900100
TYR SPORT INC DBA THE FINALS LIFEGUARD UNIFORMS & BATHING SUITS -BRAND SPECIFIC 20191200241 12/15/2018 12/14/2023 $777,856.501800235
U S BANK NATIONAL ASSOCIATION PROCUREMENT CARD RFP 20171201381 12/9/2016 12/8/2020 $0.001400208
U S MOBILE HEALTH EXAMS INC CITYWIDE HEARING CONSERVATION SERVICES 20191201216 5/1/2019 4/30/2020 $125,000.001200004
UNIFORMS BY PARK COATS INC UNIFORMS (DOB) 20151200811 11/1/2014 10/30/2020 $580,333.151300197
UNIFORMS BY PARK COATS INC UNIFORMS (HPD/DCAS/DEP) 20161200976 2/1/2016 1/31/2021 $2,161,260.501500457
Tuesday, April 7, 2020 Page 47 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
UNI-SELECT USA INC GRP: ARVINMERITOR AFTER MARKET PARTS 20160000196 7/15/2015 7/14/2020 $2,847,500.001500275
UNITED ENVELOPE LLC ENVELOPE, SPECIAL WINDOWS 20171200736 1/1/2017 12/31/2021 $898,700.001600093
UNITED METRO ENERGY CORP GASOLINE AND ETHANOL BLENDS, BULK DELIVERY 20171201291 12/15/2016 12/18/2021 $36,094.801600078
UNITED METRO ENERGY CORP HEATING OIL, BIOBLEND & BIOHEAT, BULK DELIVERY 20151203751 6/1/2015 5/31/2020 $62,063,770.001400546
UNITED RENTALS (NORTH AMERICA) EQUIPMENT II, RENTAL OF VARIOUS 20151203376 5/15/2015 5/14/2021 $22,042,424.801400134
UNITED RENTALS (NORTH AMERICA) EQUIPMENT, RENTAL OF VARIOUS (DOT) RE-AD 20201200541 9/15/2019 9/14/2023 $595,387.001900194
UNITED RENTALS (NORTH AMERICA) EQUIPMENT, RENTAL OF VARIOUS I - DOT 20181200871 11/1/2017 10/31/2022 $26,600,720.001700012
UNITED RENTALS (NORTH AMERICA) EQUIPMENT, RENTAL OF VARIOUS I - DOT 20191202176 3/20/2019 10/31/2022 $3,247,400.001700012
UNITED SIX CORP DBA HUB SPRING GRP: DAYTON AUTO & TRUCK SPRINGS AND ACCESSORIES 20151201697 2/1/2015 1/30/2021 $360,000.001400509
UNITED SUPPLY CORPORATION ARTS, CRAFTS, SPORTS & RECREATION SUPPLIES 20181203091 5/1/2018 4/30/2023 $698,500.001800082
UNIVERSAL ATLANTIC INC HRA EFNAP - II 20191202567 4/4/2019 5/4/2022 $1,656,990.001900144
UNIVERSAL ATLANTIC INC KOSHER FOODS 20191203046 5/1/2019 6/30/2020 $4,260.001900191
UNIVERSAL COFFEE CORP ACS BAKING PRODUCTS AND BAKED GOODS 20191203556 6/3/2019 6/30/2020 $90,632.981900173
UNIVERSAL COFFEE CORP ACS: SHELF-STABLE FOOD PRODUCTS 20191202956 5/1/2019 6/30/2020 $118,237.791900170
UNIVERSAL COFFEE CORP BABY FOOD 20181203946 5/17/2018 6/30/2020 $99,105.981800136
UNIVERSAL COFFEE CORP BEVERAGES 20181203181 5/1/2018 6/30/2020 $52,148.841800217
UNIVERSAL COFFEE CORP DOC - BAKING PRODUCTS AND BAKED GOODS 20191202836 5/1/2019 6/30/2020 $83,491.301900122
UNIVERSAL COFFEE CORP DOC - SHELF-STABLE FOOD PRODUCTS 20191203466 6/10/2019 8/9/2020 $276,315.701900211
UNIVERSAL COFFEE CORP DOC COMMISSARY ITEMS 20181202538 4/1/2018 3/31/2021 $10,930.001800092
UNIVERSAL COFFEE CORP HRA EFNAP - SHELF STABLE 20191202296 3/15/2019 3/14/2022 $1,246,680.001900089
UNIVERSAL COFFEE CORP INDIVIDUALLY PACKAGED CONDIMENTS 20181202806 5/1/2018 6/30/2020 $211,950.001800206
Tuesday, April 7, 2020 Page 48 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
UNIVERSAL COFFEE CORP KOSHER FOODS 20191203031 5/1/2019 6/30/2020 $96,110.001900191
UNIVERSAL COFFEE CORP PASSOVER FOODS 20181204157 6/20/2018 6/19/2020 $3,507.521800223
UNIVERSAL COFFEE CORP SAUCES, SEASONING, SPICES & CONDIMENTS 20181203226 5/1/2018 6/30/2020 $208,244.501800209
USA APPAREL COMPANY INC GLOVES, RE-AD 20171202266 5/1/2017 4/30/2022 $710,950.531700014
VALENTE YEAST COMPANY INC DOC - BAKING PRODUCTS AND BAKED GOODS 20191202821 5/1/2019 6/30/2020 $177,948.101900122
VANGUARD DIRECT INC COMMERCIAL PRINTING AND DIRECT MAIL 20160000061 9/15/2015 9/14/2020 $2,776,054.001500214
VANGUARD DIRECT INC ENVELOPES FOR BOARD OF ELECTIONS 20181201126 6/1/2018 5/31/2023 $427,984.121700341
VANGUARD DIRECT INC PRINTED DOCUMENTS FOR CITY COUNCIL MEETINGS 20180000256 3/15/2018 3/14/2023 $1,406,550.001700183
VANGUARD DIRECT INC PRINTED ELECTION SUPPLIES 20161200376 11/28/2015 11/27/2020 $841,999.751500156
VANGUARD DIRECT INC PRINTED SNAP-OUT FORMS, CARBON & CARBONLESS 20181200331 6/1/2018 5/31/2023 $334,175.001700314
VASSO WASTE SYSTEMS INC GRP: GALBREATH REPLACEMENT PARTS 20201200467 9/1/2019 8/31/2024 $750,000.001900237
VASSO WASTE SYSTEMS INC GRP: HEIL DUMP & WASTE BODY PARTS 20170000376 12/1/2016 11/30/2021 $3,400,000.001600268
VASSO WASTE SYSTEMS INC SWEEPER, INDUSTRIAL, 4-WHEEL, DIESEL - DSNY 20181202401 4/15/2018 4/14/2021 $573,202.701800042
VECTORNATE USA INC COVERALLS, SUMMER/WINTER - PARKS 20191202416 5/1/2019 4/29/2024 $1,172,414.201900021
VEHICLE MAINTENANCE PROGRAM IN NON GENUINE TRUCK WHEELS,BRAKE DRUMS & ACCS(RE-AD) 20181203751 6/15/2018 6/14/2023 $1,650,000.001800186
VENTURE CONSTRUCTION INC EQUIPMENT II, RENTAL OF VARIOUS 20151202866 5/15/2015 5/14/2021 $1,872,000.001400134
VERITIV OPERATING COMPANY AMMONIUM HYDROXIDE - HOUSEHOLD AMMONIA 20171201771 2/15/2017 2/14/2022 $51,458.441600441
VIKEN DETECTION CORP HEURESIS LEAD PAINT ANALYZER - BRAND SPECIFIC 20201201036 11/1/2019 10/31/2024 $1,722,742.001900302
VISTA OUTDOOR SALES LLC AMMUNITION, SPEER 9MM LUGER 124GR., BRAND SPECIFIC 20181202716 5/21/2018 5/20/2023 $16,835,000.001800080
VOIANCE LANGUAGE SERVICES LLC LANGUAGE SERVICES 20186201801 6/3/2018 6/2/2021 $5,999,850.00
VOLVO CONSTRUCTION EQUIPMENT WHEEL LOADER, 2.0 C.Y. ARTICULATING - DSNY 20191202746 6/25/2019 6/24/2022 $20,231,878.871900061
Tuesday, April 7, 2020 Page 49 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
VOLVO CONSTRUCTION EQUIPMENT WHEEL LOADER, 6.5 C.Y., WASTE HANDLING - DSNY 20191202086 3/12/2019 3/11/2024 $13,764,722.661800322
W B MASON COMPANY INC BRUSHES, JANITORIAL 20181203931 6/29/2018 6/28/2023 $218,024.001700272
W B MASON COMPANY INC OFFICE SUPPLIES DIRECT DELIVERY 20161201591 7/1/2016 6/30/2021 $15,000,000.001500392
W CAMPBELL SUPPLY CO LLC ALL TERRAIN EMERGENCY VEHICLES (BRAND SPECIFIC) 20171203166 5/24/2017 5/23/2022 $475,030.001700205
W CAMPBELL SUPPLY CO LLC GRP: TELMA FRICTIONLESS BRAKES & ACCESSORIES 20201200766 12/1/2019 11/30/2024 $445,000.001900202
W W GRAINGER INC MAINTENANCE REPAIR & OPERATION SUPPLIES 20181203197 6/1/2018 5/31/2023 $3,236,070.001700175
WATERLOGIC USA INC WATER PURIFICATION SYSTEM:EQUIPMENT & MAINTENANCE 20201201816 2/25/2020 2/28/2025 $1,434,960.001900049
WATS INTERNATIONAL INC FRESHENER, AIR (SOLID GEL BASE TYPE) 20191200886 10/1/2018 9/30/2023 $1,269,600.001700286
WENGER CORPORATION TRAILER, SHOW WAGON - DPR 20181201651 2/1/2018 1/31/2021 $1,591,720.001700354
WEST PUBLISHING CORP DBA SUBSCRIPTION:WEST ONLINE LEGAL CONTENT & SOLUTIONS 20181202177 6/30/2018 6/29/2023 $11,305,000.001800256
WESTBROOK MARKETING LLC LINERS,POLYETHYLENE, PEST REPELLENT (INSECT) 20151202806 4/30/2015 4/28/2020 $68,850.001400202
WESTBROOK MARKETING LLC TASK WIPERS 20171200752 12/1/2016 11/30/2021 $922,240.001600250
WEX BANK FUEL CARD SERVICES - OGS 20191202431 6/22/2019 6/21/2021 $5,000,000.001900256
WIDMER TIME RECORDER CO INC MACHINES, STAMPING: TIME/DATE AND PAYROLL 20201200946 1/1/2020 12/31/2024 $920,290.001900154
WILD PENGUIN CORPORATION DOC - SHELF-STABLE FOOD PRODUCTS 20191203451 6/10/2019 8/9/2020 $3,440.001900211
WILD PENGUIN CORPORATION DOC COMMISSARY ITEMS 20181203031 4/1/2018 3/31/2021 $3,736,240.001800092
WILD PENGUIN CORPORATION DOC COMMISSARY ITEMS II RE-AD 20181204083 6/6/2018 6/5/2021 $39,000.001800296
WILD PENGUIN CORPORATION HRA EFNAP - II 20191202521 4/4/2019 5/4/2022 $797,760.001900144
WILD PENGUIN CORPORATION HRA EFNAP - SHELF STABLE 20191202283 3/15/2019 3/14/2022 $1,008,946.081900089
WILLO PRODUCTS COMPANY INC DETENTION HARDWARE AND EQUIPMENT 20171202746 4/3/2017 4/2/2022 $3,326,888.001700051
WORLDCARE INTL INC DBA MEDSTOC EMERGENCY RESPONSE SUPPLIES (FDNY-EMS) 20151202836 6/30/2015 6/29/2020 $180,255.001400405
Tuesday, April 7, 2020 Page 50 of 51
AWARDED VENDOR TITLE CONTRACT# START DATE END DATE ESTIMATED VALUE
Active Requirement Contracts by VENDOR BID#
XERO FLOR AMERICA LLC GREEN ROOF MATERIALS 20191200691 12/1/2018 11/30/2023 $6,543,382.001800293
XEROX CORPORATION ENTERPRISE PRINT MANAGEMENT 20200000047 7/1/2019 6/30/2020 $7,000,000.001300478
XEROX CORPORATION PHOTOCOPIERS 20161202327 6/1/2016 5/31/2021 $7,553,794.001500473
X-L PLASTICS INC LINERS,POLYETHYLENE, HEAVY DUTY 20161201112 1/1/2016 12/31/2020 $11,675,356.001500397
XYLEM DEWATERING SOLUTIONS INC GODWIN PUMP SYSTEMS AND PARTS (BRAND SPECIFIC) DEP 20191201501 12/31/2018 12/30/2023 $7,520,000.001800171
XYLEM WATER SOLUTIONS USA INC SANITAIRE DIFFUSER SYSTEMS (BRAND SPECIFIC) - DEP 20171200391 9/1/2016 8/30/2020 $2,892,329.901500624
YSI INC YSI TELEMETRY BUOY SYSTEM & GRP (BRAND SPECIFIC) 20161202191 5/1/2016 4/30/2021 $2,730,000.001500528
ZICLACITIES S L TEMPORARY BUS BOARDERS 20191200106 6/15/2018 6/14/2021 $2,999,965.371800238
ZIEGLER CHEMICAL & MINERAL COR ASPHALT CEMENT, PREPACKAGED RE-AD 20200000211 7/1/2019 6/30/2024 $2,759,700.001900220
ZIPCAR INC CAR SHARING SERVICES, CITYWIDE 20191200976 9/25/2018 9/24/2023 $6,500,000.001900009
Z-MEDICA LLC BELT TRAUMA KITS (BRAND SPECIFIC) 20201200076 11/1/2019 10/31/2021 $2,047,900.001600442
ZULCO INTERNATIONAL INC EMERGENCY RESPONSE SUPPLIES (FDNY-EMS) 20151202851 6/30/2015 6/29/2020 $34,795.001400405
1062Total Contracts:
Tuesday, April 7, 2020 Page 51 of 51