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2005-373
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2005-373
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Last modified
8/15/2016 11:49:03 AM
Creation date
9/30/2015 9:25:41 PM
Metadata
Fields
Template:
Official Documents
Official Document Type
Agreement
Approved Date
11/15/2005
Control Number
2005-373
Agenda Item Number
7.K.
Entity Name
Florida Inland Navigation District
Subject
Jungle Trail Shoreline Stabilization Phase II-A
Project Number
IR-05-39
Supplemental fields
SmeadsoftID
5279
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EXHIBT A <br /> ( 1 ) Authorized Expenditures : Project funds shall not be spent except as consistent <br /> with the project agreement cost estimate that was approved by the Board, which shall be <br /> an attachment to the project agreement. This cost estimate will establish the maximum <br /> funding assistance provided by the District and the percentage of funding provided by <br /> each party to the project . The District will pay the lesser of (a) the percentage total of <br /> project funding that the Board has agreed to fund, or (b) the maximum application <br /> funding assistance amount. <br /> (2) Phase I Reimbursement : In accordance with these rules , reimbursement cannot <br /> be made on a Phase I application until a construction contract is executed by the applicant <br /> for the construction phase of the project. If the Phase I project is completed but a <br /> construction contract is not executed by the three (3 ) year project deadline, then the <br /> District shall only allow one ( 1 ) year from the Phase I project deadline to enter into the <br /> required construction contract before the Phase I funding is cancelled. <br /> (3 ) Reimbursement Requests : All project costs shall be reported to the District <br /> and summarized on the Reimbursement Request Form . All requests for reimbursement <br /> shall include supporting documentation such as billing statements for work performed <br /> and cancelled payment vouchers for expenditures made . <br /> (4) Retainage : The District shall retain ten percent ( 10%) of all reimbursement <br /> payments until final certification of completion of the project. The District shall withhold <br /> any reimbursement payment, either in whole or part, for non-compliance with the terms <br /> of this agreement . <br /> (5 ) Check Presentations : A District representative shall present the final <br /> reimbursement check to the project sponsor during a public commission meeting or <br /> public dedication ceremony for the project facility . <br /> Specific Authority 374. 976(2) FS. Law Implemented 374. 976(1) FS. History — New 12- 17-90, Amended <br /> 6-24-93, Formerly 16T-2. 011, Amended 3-31-99, 7-30-02 <br /> 6613-2 .012 - Accountability. <br /> The following procedures shall govern the accountability of program funds : <br /> ( 1 ) Accounting : Each project sponsor is responsible for maintaining an accounting <br /> system that meets generally accepted accounting principles and for maintaining such <br /> financial records as necessary to properly account for all program funds . <br /> 20 <br />
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