Dept. of Trans. AFTER ACCEPTANCE Serial No. Contract No. 06-025-06-41 11-068004 PROGRESS PAYMENT VOUCHER %complete: %time: Location: 100% 100% 11-IMP-7-1.1/7.0 Federal Project: ACIM-008-2(99) ACIM-008-2(99) ACST-X025(26) Progress payment No. 24 Payment period ending: 09-27-05 COFFMAN SPECIALTIES INC 4375 JUTLAND DRIVE STE 260 SAN DIEGO CA 92117 Escrow No. 02162 Total Estimate This Estimate 1. Contract Itms Without Mobil. 27,861,767.92 158,019.89 2.a. Extra Work 1,329,424.28 12,376.64 b. Adjustment Comp. 749,239.14 92,642.92 3. Materials on Hand 4. Earned Subject to Retention 29,940,431.34 263,039.45 5. Mobilization 3,068,663.00 0.00 6. Total Work Completed 33,009,094.34 7. Deductions -786,833.79 -458,600.00 8. a.Contract Retentions -1,483,869.59 0.00 b. Unsatisfactory Prog. 0.00 52,269.61 c. Reduction after 95% Comp. 1,483,869.59 1,483,869.59 9. Total pay to Contractor 32,222,260.55 1,340,578.65 10. Reduction Amt to Escrow -1,483,860.00 -1,483,860.00 11. Payment to Escrow 1,483,860.00 12. Net Pymt. this Estimate -143,281.35