Laserfiche WebLink
5.5 Accounting Services. In addition to management services herein, Contractor shall <br />provide accounting services to the City, including services pertaining to payment disbursement and <br />financial reporting. Contractor may provide these services or may employ accountants or outside <br />services to provide some or all of such services. For these accounting and administrative services <br />City shall pay Contractor, in addition to the Fixed Management Fee and Incentive Management <br />Fee, a separate "Accounting Fee" in the amount of Twenty-one Thousand Dollars ($ 21,000) per <br />annum (i.e., ($ 1,750) per month), to be adjusted annually by 3% beginning in year two. <br />5.6 City Council Appropriation. All Parties recognize that the continuation of this <br />Agreement after the close of any fiscal year of City, which fiscal year ends on June 30, of each <br />year, shall be subject to budget approval providing for or covering such contract items as an <br />expenditure in said budget. City does not represent that said budget item will be actually adopted, <br />said determination being the determination of the City Council at the time of the adoption of the <br />budget herein. No penalty should accrue to City in the event this provision shall be exercised. <br />Should termination be accomplished in accordance with this Section, a settlement shall be <br />negotiated by the Parties on items delivered, services provided, monies paid and monies due. <br />5.7 Renewal Term Fees. For any Renewal Term, the City Manager or their designee <br />and Contractor shall negotiate and agree upon any adjustment to the Fees ninety (90) days prior to <br />the commencement of the Renewal Term. <br />ARTICLE 6 - ACCOUNTS; WORKING FUNDS; RECORDS AND REPORTS <br />6.1 Bank Account. In connection with the operation and management of the Facility, <br />the following bank account shall be provided by City and Contractor in a bank or banks approved <br />by City, and shall be subject to City's audit and inspection (the "Bank Account"): <br />6.1.1 Operating Account. Contractor will supply a separate bank account (at a <br />bank approved by the City) for Contractor to deposit all Gross Revenue and pay related expenses <br />derived in connection with the operation and management of the Golf Course. City will initially <br />fund the bank account with funds necessary for operations. <br />Contractor will deposit revenue immediately. Contractor shall deposit daily into the account, <br />no later than the next business day following receipt, all gross revenues collected. If an armored <br />transport service is utilized, Contractor shall provide daily pick up of deposits on the next business <br />day following receipt of gross revenues. Under no circumstances will Contractor permit funds <br />collected to be taken anywhere off -site by any employee. Contractor will follow all other <br />procedures established by City for depositing daily cash receipts. <br />Contractor shall use the golf course revenue generated to pay Operating Expenses and to <br />collect Contractor's monthly Management and Accounting Fee. Contractor shall then submit <br />payments to City for the remaining net income generated on a monthly basis. If funds are needed <br />beyond the amount of revenue generated in a month and the initial bank account funds are used, <br />Contractor shall replenish the initial bank account funds first from the succeeding month's revenue. <br />Contractor shall also provide monthly reports and supporting documentation to City <br />reflecting gross revenues collected by Contractor and total operating expenses incurred by <br />-13- <br />