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line item in the Project Budget exceeds the amount allocated to that line item in the Project <br />Budget, (b) Project Costs for any matters not covered by a specific line item have been or will be <br />incurred, or (c) the undisbursed portion of the Loan proceeds together with any other available <br />construction sources is or may be insufficient to pay all construction of the Project that may be <br />payable under the Loan Documents or otherwise in connection with the construction, Developer <br />shall, within ten (10) days after it receives written notice thereof from City of any of the <br />foregoing matters, do one or more of the following: <br />(a) provide satisfactory evidence to City that Developer has previously paid such <br />excess or otherwise provided for such insufficiency (collectively, the "Excess <br />Cost") with funds from a source other than the HOME Loan; <br />(b) reallocate sufficient funds to pay the Excess Cost from funds allocated to <br />"Contingency" in the Project Budget; provided, however, that the Executive <br />Director's consent to any such reallocation shall be required; or <br />(c) deposit an amount equal to the Excess Cost in a non-interest bearing account (the <br />"Overrun Account") with City or Senior Lender from which withdrawals may be <br />made only with the consent of the Executive Director or Senior Lender but which <br />will be exhausted prior to any further disbursement for any line item, so that any <br />resulting surplus in any line item of the Project Budget will then be reallocated to <br />the line item(s) in which the Excess Costs are expected to be incurred. <br />City shall have no obligation to make further disbursements until Developer has paid or <br />otherwise provided for the overrun as required above. Amounts deposited by Developer in the <br />Overrun Account for any Excess Costs shall be disbursed by City or Senior Lender prior to the <br />disbursement of any remaining Loan proceeds in the manner described in subsection 9.3(c). <br />6.11 Cost Savings. Upon completion of and disbursement for all matters covered by any line <br />items in the Project Budget, any remaining undisbursed amounts allocated to that line item shall <br />be reallocated to "Contingency" and thereafter be available for disbursement in accordance with <br />the terms of this Agreement. <br />6.12 Retainage City will withhold a Retainage of 10% from each Disbursement for each <br />of the Hard Cost line items of the Project Cost Breakdown (and other line items thereof <br />designated for withholding of retainage) until all conditions to the final Disbursement of Hard <br />Costs have been satisfied. In lieu of City's withholding Retainage, Developer can by written <br />notice to City elect not to draw any overhead or profit as would otherwise be permitted under the <br />Construction Contract until such time as Retainage would otherwise have been released. <br />6.13 Holdback. The retainage otherwise available for disbursement shall be subject to a <br />holdback of one hundred twenty-five percent (125%) of the estimated cost (as determined by the <br />Executive Director) for "punch -list" items. Such holdback will be released when all punch -list <br />items have been completed to the satisfaction of City. <br />