HomeMy WebLinkAboutDAYLE MCINTOSH CENTER 4 -2002
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AGREEMENT BETWEEN THE CITY OF SANTA ANA AND
DAYLE MCINTOSH CENTER FOR USE OF
COMMUNITY DEVELOPMENT BLOCK GRANT FUNDS
This Agreement, made and entered into this \~ ~ day of \\-~~ \ L , 2m L- ,
by and between the City of Santa Ana, a charter city and municipal corporation of the State of
California ("CITY") and DAYLE MCINTOSH CENTER, a California nonprofit corporation
("SUBRECIPIENT"),
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Recitals:
A. The CITY, as an entitlement recipient and grantee of the United States Department of
Housing and Urban Development ("RUD") Community Development Block Grant ("CDBG")
Program, desires to enter this Agreement with the SUBRECIPIENT for the expenditure of CDBG
funds in accordance with Title 24, Part 570 of Code of Federal Regulations 24 CFR 570.000, et seq.
("CDBG REGS"); and
B. CITY has applied for and received CDBG funds from RUD pursuant to Title I ofthe
Housing and Community Development Act of 1974, Public Law 93-383, as amended ("ACT"); and
C. The SUBRECIPIENT is a private nonprofit agency that has been selected by the CITY
to receive CDBG funds and administer such financial assistance; and to provide the services
described in "Exhibit A," hereinafter referred to as "said program" and SUBRECIPIENT represents
that it is qualified and willing to operate said program.
D. The CITY and SUBRECIPIENT have duly executed this Agreement for the expenditure of
such funds; and
WHEREFORE, it is agreed by and between the parties, that the foregoing Recitals are a
substantive part of this Agreement and the following terms and conditions are approved and
together with all exhibits and attachments hereto, shall constitute the entire Agreement between the
CITY and SUBRECIPIENT:
I. SUBRECIPIENT'S OBLIGATIONS
A. Non-Profit Status - Representations and Warranties.
(a) Authority. SUBRECIPIENT is a duly organized and existing non-profit corporation
in good standing and authorized to do business under the laws of the State of California.
SUBRECIPIENT has full right, power and lawful authority to accept the funding hereunder and
to undertake all obligations as provided herein and the execution, performance and delivery of
this Agreement by SUBRECIPIENT has been fully authorized by all requisite actions on the part
of SUBRECIPIENT.
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(b) Experience. SUBRECIPIENT is a qualified provider of the services to be provided
hereunder.
(c) Familiarity With Services Required. By executing this Agreement,
SUBRECIPIENT warrants that (i) it has thoroughly investigated and considered the services to
be performed and provided hereunder, (ii) it has carefully considered how the services should be
performed, and (iii) it fully understands the facilities, difficulties and restrictions attending
performance of the services under this Agreement.
(d) No Conflict. To the best of SUBRECIPIENT'S knowledge, SUBRECIPIENT'S
execution, delivery and performance of its obligations under this Agreement will not constitute a
default or a breach under any contract, agreement or order to which SUBRECIPIENT is a party
or by which it is bound.
(e) No Bankruptcy. SUBRECIPIENT is not the subject of any current or threatened
bankruptcy proceeding.
(1) No Pending Legal Proceedings. SUBRECIPIENT is not the subject of a current or
threatened litigation that would or may materially affect SUBRECIPIENT'S performance under
this Agreement.
(g) Application Veracity. All provIsIOns of and information provided in
SUBRECIPIENT'S application for funding submitted to CITY including any exhibits are true
and correct in all material respects.
(h) No Pending Investigation. SUBRECIPIENT is not aware that it is the
subject of any current or threatened criminal or civil action investigation by any public agency,
including without limitation a police agency or prosecuting authority, that would relate to affect
performance of the Agreement or provision of services hereunder.
B. Amount of Grant and Quarterlv Disbursement. The amount granted to
SUBRECIPIENT is $ 10,000 ("CDBG FUNDS"), and such funds shall be expended by
SUBRECIPIENT within a time period not exceeding twelve (12) consecutive months following
the date of this Agreement. The CDBG FUNDS shall be disbursed by CITY to
SUBRECIPIENT on a quarterly basis (October, January, April and July) subject to and upon
receipt and approval of a complete SUBRECIPIENT'S quarterly activity report, with the final
payment subject to the satisfaction of the condition precedent of submittal of complete reporting
information due on or before July 15 of the applicable funding year, as hereinafter more fully set
forth. SUBRECIPIENT shall be obligated to perform such duties as would normally extend
beyond the term, including but not limited to obligations with respect to indemnification, audits,
reporting, data retention/reporting, and accounting.
C. Use of Funds. SUBRECIPIENT agrees to use all federal funds provided by CITY to
SUBRECIPIENT pursuant to this Agreement to operate said program, as set forth in "Exhibit A,"
attached hereto and by this reference incorporated herein. SUBRECIPIENT'S failure to perform as
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required may, in addition to other remedies set forth in this Agreement, result in readjustment ofthe
amount of funds CITY is otherwise obligated to pay to SUBRECIPIENT under Paragraph II hereof.
D. Allowable Costs. SUBRECIPIENT agrees to complete said program on or before
June 30, 2003 and to use said funds to pay for necessary and reasonable costs allowable under the
federal law and regulations to operate said program. Said amounts shall include, but not be limited
to, wages, administrative costs, and employee benefits comparable to other similarly situated
employees. Other allowable program costs are detailed in the Budget, as set forth in "Exhibit B,"
attached hereto and by this reference incorporated herein. SUBRECIPIENT shall use all income
received from said funds only for the same purposes for which said funds may be expended
pursuant to the terms and conditions of this Agreement.
E. Licensing. SUBRECIPIENT agrees to obtain and maintain all required licenses,
registrations, accreditation and inspections from all agencies governing its operations.
SUBRECIPIENT shall ensure that its staff shall also obtain and maintain all required licenses,
registrations, accreditation and inspections from all agencies governing SUBRECIPIENT's
operations hereunder.
F. Zoning. SUBRECIPIENT agrees that any facility/property used in furtherance of
said program shall be specifically zoned and permitted for such use(s) and activity(ies). Should
SUBRECIPIENT fail to have the required land entitlement and/or permits, thus violating any local,
state or federal rules and regulations relating thereto, SUBRECIPIENT shall immediately make
good- faith efforts to gain compliance with local, state or federal rules and regulations following
written notification of said violation(s) from the CITY or other authorized citing agency.
SUBRECIPIENT shall notify CITY immediately of any pending violations. Failure to notify CITY
of pending violations, or to remedy such known violation(s) shall result in termination of grant
funding hereunder. SUBRECIPIENT must make all corrections required to bring the
facility/property into compliance with the law within sixty (60) days of notification of the
violation(s); failure to gain compliance within such time shall result in termination of grant funding
hereunder.
O. Separation of Accounts. All funds received by SUBRECIPIENT from CITY
pursuant to this Agreement shall be maintained in an account in a federally insured banking or
savings and loan institution with record keeping of such accounts maintained pursuant to applicable
OMB Circular A-lIO requirements. SUBRECIPIENT is not required to maintain separate
depository accounts for CDBO FUNDS; provided however, the SUBRECIPIENT must be able to
account for receipt, obligation and expenditure of CDBO FUNDS pursuant to applicable OMB
Circular A-II 0 requirements.
H. Audit Report ReQuirements. SUBRECIPIENT agrees that if SUBRECIPIENT
receives Three Hundred Thousand Dollars ($300,000.00) or more in federal funds,
SUBRECIPIENT shall have an annual audit conducted by a certified public accountant in
accordance with the standards as set forth and published by the United States Office of Management
and Budget. SUBRECIPIENT shall provide CITY with a copy of said audit by October I of the
year following the program year in which this Agreement is executed.
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1. Record KeeoingfReDorting. SUBRECIPIENT shall keep and maintain complete and
adequate records and reports to assist CITY in meeting and maintaining its record keeping
responsibilities under the CDBG REGS, including the following:
(1) Records
a. Documentation evidencing program income requirements in
conformity with 24 CFR 570.504(b((2)(i), (ii) and 24 CFR 570.503(b)(3) and 24
CFR 570.208(a)(2)(B) ofthe income level of persons and/or families participating
in or benefiting by the SUBRECIPIENT program.
b. Documentation of the number of persons and/or families participating
in or benefiting by the SUBRECIPIENT program.
c. Household information shall include number of persons, identification
of head of household, race/etlmicity, and income verification.
d. Documentation of all CDBG FUNDS received from CITY.
e. Documentation of expenses as identified in the Budget Proposal,
including evidence of incurring the expense, invoices for goods or services, copies
of any and all contracts or documentation pertaining to costs for subcontractors,
plus all other invoices for which CDBG FUNDS were expended, and any payments
therefor.
f. Any such other related records as CITY shall reasonably require or as
required to be maintained pursuant to the CDBG REGS.
1. ReDorts
(i) Payment Request. Concurrently with the submittal of each
quarterly report, on or before the 15th day of October, January,
April and July, SUBRECIPIENT shall submit both: an original
invoice and true copies of invoices, receipts, agreements or
other documentation supporting and evidencing how the CDBG
FUNDS have been expended during the applicable quarter.
(ii) Quarterly Activity Report: SUBRECIPIENT agrees to keep monthly
records of all ethnic and racial statistics of persons and families benefited by
SUBRECIPIENT in the performance of its obligations under this Agreement,
including, but not limited to, the number of low and moderate income persons
and households assisted in accordance with federal income limits, the number
of female heads of households assisted, new program information and year-to-
date program statistics on expenditures, caseload and activities..
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J. Access to Records. CITY and the United State Government and/or their representatives
shall have access for purposes of monitoring, auditing, and examining SUBRECIPIENT's activities
and performance, to books, documents and papers, and the right to examine records of
SUBRECIPIENT's subcontractors, bookkeepers and accountants, employees and participants in
regard to said program. CITY and the United States Government and/or their representatives shall
also schedule on-site monitoring at their discretion. Monitoring activities may also include, but are
not limited to, questioning employees and participants in said program and entering any premises or
any site in which any of the services or activities funded hereunder are conducted or in which any of
the records of SUBRECIPIENT are kept. Nothing herein shall be construed to require access to any
privileged or confidential information as set forth in federal or state law.
K. Location of RecordslRequired Length of Record Keeping. All accounting records,
reports, and evidence pertaining to all costs, expenses and the CDBG FUNDS of
SUBRECIPIENT and all documents related to this Agreement shall be maintained and kept
available at SUBRECIPIENT'S office or place of business for the duration of the Agreement and
thereafter for five (5) years after completion of an audit in conformity with the CDBG REGS., s.
Records which relate to (a) complaints, claims, administrative proceedings or litigation arising
out of the performance of this Agreement, or (b) costs and expenses of this Agreement to which
CITY or any other goverurnental agency takes exception, shall be retained beyond the five (5)
years until complete resolution or disposition of such appeals, litigation claims, or exceptions. In
the event SUBRECIPIENT does not make the above-referenced documents available within the city
of Santa Ana, California, SUBRECIPIENT agrees to pay all necessary and reasonable expenses
incurred by CITY in conducting any audit at the location where said records and books of account
are maintained.
L. Compliance with LawlProgram Income. SUBRECIPIENT acknowledges that the funds
being provided by CITY for said program are received by CITY pursuant to the ACT as amended
and that expenditures of these funds shall be in accordance with the ACT and all pertinent
regulations issued by agencies of the federal goverurnent, including, but not limited to, all
regulations found at Title 24 of the Code of Federal Regulations. Program income received by
SUBRECIPIENT shall be retumed to CITY unless otherwise provided for in this Agreement.
SUBRECIPIENT agrees to comply fully with all federal, state and local laws and court orders
applicable to its operation whether or not referred to in this Agreement.
M. Standing. SUBRECIPIENT shall be in good standing, without suspension by the
California Secretary of State, Franchise Tax Board and Internal Revenue Service. Any change in
the corporate status or suspension of SUB RECIPIENT shall be reported immediately to CITY.
N. Confidentiality. Without prejudice to any other provisions of this Agreement,
SUBRECIPIENT shall, where applicable, maintain the confidential nature of information provided
to it concerning participants in accordance with the requirements of federal and state law. However,
SUBRECIPIENT shall submit to CITY and or HUD or its representatives, all records requested,
including audit, examinations, monitoring and verifications of reports submitted by
SUBRECIPIENT, costs incurred and services rendered hereunder.
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O. Indeoendent Contractor. SUBRECIPIENT agrees that the performance of
obligations hereunder are rendered in its capacity as an independent contractor and that it is in no
way an agency of CITY.
P. Violation of Terms and Conditions. SUBRECIPIENT agrees that if
SUBRECIPIENT violates any of the terms and conditions of this Agreement or any prior
Agreement whereby CDBG funds were received by SUBRECIPIENT, or if SUBRECIPIENT
reports inaccurately, or if on audit there is a disallowance of certain expenditures, SUBRECIPIENT
agrees to remedy the acts or omissions causing the disallowance or repay CITY all amounts spent in
violation thereof.. If SUBRECIPIENT engaged in fraudulent activity to obtain and/or justify
expenditure of the CDBG funds granted hereunder, SUBRECIPIENT shall be required to reimburse
the CITY of all such funds that were obtained/spent under fraudulent circumstances.
Q. Equipment. SUBRECIPIENT agrees to maintain a record for each item of non-
expendable personal property acquired under the terms of this Agreement. Said record shall be
made available to CITY upon request. The term "non-expendable personal property" shall include
leased and purchased equipment.
R. Prohibited Use. SUBRECIPIENT hereby certifies and agrees that it will not use
funds provided through this Agreement to pay for entertainment, meals or gifts.
S. Lobbving. SUBRECIPIENT certifies that it will comply with federal law (31
U.S.c. 1352) and regulations found at 24 CFR Part 87, which provide that no appropriated funds
may be expended by the recipient of a federal contract, grant, loan or cooperative agreement to pay
any person for influencing or attempting to influence an officer or employee of any agency,
Member of Congress, or an officer or employee of a Member of Congress in connection with
awarding of any federal contract, the making of any federal grant or loan, entering into any
cooperative agreement and the extension, renewal, amendment or modification of any federal
contract, grant, loan or cooperative agreement. SUBRECIPIENT shall sign a certification to that
effect in a form as set forth in "Exhibit C," attached hereto and by this reference incorporated herein.
SUBRECIPIENT shall submit said signed certification to CITY prior to performing any of its
obligations under this Agreement and prior to any obligation arising on the part of CITY to pay any
sums to SUBRECIPIENT under the terms and conditions of this Agreement.
If any funds other than Federal appropriated funds have been paid or will be paid to
any person for influencing or attempting to influence an officer or employee of any agency, a
Member of Congress, an officer or employee of Congress, or an employee of a Member of
Congress in connection with this Federal contract, grant, loan, or cooperative agreement, the
undersigned shall complete and submit a "Disclosure Form to Report Lobbying," in accordance
with its instructions (see C-l).
T. Financial Interest. SUBRECIPIENT agrees that except for the use ofCDBG funds
to pay salaries and other related administrative or personnel costs, no persons who exercise or have
exercised any function with respect to CDBG activities assisted under the terms of this Agreement,
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or who are in a position to participate in a decision-making process or gain inside information with
regard to such activities, may obtain a financial interest or benefit from a CDBG-assisted activity of
SUBRECIPIENT, either for themselves or those with whom they have family or business ties,
during their tenure or for one year thereafter. This prohibition applies to any person who is an
employee, agent, consultant, officer, or elected or appointed official of CITY, or of
any designated public agencies, or the SUBRECIPIENT.
U. Davis-Bacon Act. All laborers and mechanics employed by contractors or
subcontractors in the performance of construction work, including alterations and repairs, in excess
of $2,000.00, financed in whole or in part with federal funds shall be paid wages at rates not less
than those prevailing on similar construction in the locality as determined in accordance with the
Davis-Bacon Act, as amended, 40 U.S.C. sections 276a - 276a-5. Any such construction contract
shall include and comply with the required contract provisions and rules set forth in 29 C.F.R. 95.5.
Further, the payroll reports (along with the "Statement of Compliance") and basic records are
required to be maintained and submitted, or made available, pursuant to 29 C.F.R. 95.5(a)(3). No
payment, advance, grant, loan or guarantee of funds shall be approved by the federal agency unless
there is on file with the agency a certification by the contractor that the contractor and its
subcontractors have complied with the provisions of 29 C.F.R. 95.5. . A breach of the contract
clauses in 29 C.F.R. 95.5 may be grounds for termination of the contract, and for debarment as a
contractor/subcontractor, as provided in 29 C.F.R. 95.12. Labor standards interviews/investigations
shall be made as necessary to assure compliance [29 C.F.R. 95.6(a)(3)].
V. Drug Free Workplace. SUBRECIPIENT certifies that it has established the following
drug-free workplace policy:
I. The unlawful manufacture, distribution, dispensing, possession or use of a
controlled substance is prohibited in the workplace for any employee involved in a federally funded
program.
2. As an employee working in conjunction with a federally funded program, the
employees of SUBRECIPIENT will be required to:
a) Abide by the terms above in statement I.
b) Notify appropriate officials of SUBRECIPIENT and CITY officials of
any criminal drug statute conviction for a violation occurring in the workplace not
later than five days after such conviction.
3. The United State Department of Housing and Urban Development will be
notified within ten days after receiving notice of any such violation.
4. Within 30 days of receiving such notice, appropriate personnel action will be
taken against such employee, up to and including termination.
Each such employee shall be required to participate satisfactorily in a drug abuse
assistance or rehabilitation program approved for such purposes by a federal, state or local health,
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law enforcement, or other appropriate agency.
II. CITY'S OBLIGATIONS
A. Payment of Funds. Upon execution of this Agreement by SUBRECIPIENT, CITY shall
pay to SUBRECIPIENT from CDBG funds, when, if and to the extent received from HUD, for
CITY's 2002-2003 CDBG program year amounts expended by SUBRECIPIENT in carrying out
said program for fiscal year 2002-2003 pursuant to this Agreement up to a maximum aggregate
payment ofTEN THOUSAND Dollars ($ 10,000) in installments determined by CITY. Payments
shall be made to SUBRECIPIENT through the submission of invoices on a quarterly basis (October,
January, April and July) in a form prescribed by CITY, detailing such expenses. CITY shall pay
such invoices within thirty (30) days after receipt thereof provided CITY is satisfied that such
expenses have been incurred and documented within the scope and provisions of this Agreement
and that SUBRECIPIENT is in compliance with the terms and conditions ofthis Agreement.
B. Audit of Account. CITY shall include an audit of the account maintained by
SUBRECIPIENT in CITY's annual audit of all CDBG FUNDS in accordance with Title 24 of
the Code of Federal Regulations and other applicable federal laws and regulations.
III. NONDISCRIMINATION
SUBRECIPIENT agrees that no person on the ground of race, age, color, national origin,
religion or sex will be excluded from participation in, be denied the benefits of, or be subjected to
discrimination under any program or activity funded in whole or in part with CDBG funds.
IV. CONFLICT OF INTEREST
SUBRECIPIENT agrees that no officer, employee, agent or assignee of CITY having direct
or indirect control of any CDBG monies granted to the CITY, inclusive of the subject CDBG
FUNDS, shall serve as an officer of SUBRECIPIENT. Further, any conflict or potential conflict of
interest of any officer of SUBRECIPIENT shall be fully disclosed in writing prior to the execution
of this Agreement and said writing shall be attached and deemed fully incorporated as a part hereof.
Notice shall be sent by SUBRECIPIENT to CITY regarding any changes or modifications to its list
of officers.
V. SPECIAL CERTIFICATION FOR RELIGIOUS ENTITIES
If SUBRECIPIENT is a religious entity, SUBRECIPIENT hereby agrees that in connection
with the provision of the services SUBRECIPIENT shall provide with CDBG funds:
A. SUBRECIPIENT shall not discriminate against any employee or applicant for
employment on the basis of religion and shall not limit employment or give preference in
employment to persons on the basis of religion.
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B. SUBRECIPIENT shall not discriminate against any person applying for the services
SUBRECIPIENT agrees to provide under the terms of this Agreement on the basis of religion and
shall not limit such services or give preference to applicants for such services on the basis of
religion.
C. SUBRECIPIENT shall NOT provide religious instruction or counseling, conduct
any religious worship or services, or engage in any religious proselytizing, or exert any religious
influence in the provision of the services in said program. The parties agree that this covenant is
intended to and shall be construed for the limited purpose of assuring compliance with respect to the
use of CITY funds by SUBRECIPIENT with applicable constitutional limitations respecting the
establishment of religion as set forth in the establishment clause under the First Amendment of the
United States Constitution and Article I, Section 4 of the California Constitution, and is not in any
manner intended to restrict other activities of SUB RECIPIENT.
D. Where the services to be provided under said program are rendered on property
owned by the primarily religious entity SUBRECIPIENT, CDBG funds may also be used for minor
repairs to such property which are directly related to the cost of rendering the services under said
program, where the cost constitutes in dollar terms only an incidental portion of the CDBG
expenditure for rendering the services under said program.
VI. PROHIBITION OF NEPOTISM.
SUBRECIPIENT agrees not to hire or permit the hiring of any person to fill a position
funded through this Agreement if a member of that person's immediate family is employed in an
administrative capacity by SUBRECIPIENT. For the purposes of this section, the term "immediate
family" means spouse, child, mother, father, brother, sister, brother-in-law, sister-in-law, father-in-
law, mother-in-law, son-in-law, daughter-in-law, aunt, uncle, niece, nephew, stepparent and
stepchild. The term "administrative capacity" means having selection, hiring, supervisor or
management responsibilities.
VII. NOTICES
Notices to the parties shall, unless otherwise requested in writing, be sent by U.S. Mail,
postage prepaid, and addressed as follows:
TO CITY:
City of Santa Ana
Community Development Agency (M-25)
20 Civic Center Plaza
P.O. Box 1988
Santa Ana, California 92702-1988
TO SUBRECIPIENT:
Dayle Mcintosh Center
13272 Garden Grove Blvd.
Garden Grove, CA 92843-2205
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VIII. ASSIGNABILITY
None of the duties of, or work to be performed by, SUBRECIPIENT under this Agreement
shall be subcontracted or assigned to any agency, consultant, or person without the prior written
consent of CITY. SUBRECIPIENT must submit all subcontracts and other agreements that relate
to this Agreement to CITY. No subcontract or assignment shall terminate or alter the legal
obligations of SUB RECIPIENT pursuant to this Agreement.
IX. HOLD HARMLESS
SUBRECIPIENT shall indemnify, defend and save harmless CITY, its officers, employees,
agents, representatives and volunteers from and against any and all damages to or for loss of use of
property and for injuries to or death of any person or persons, including property and employees or
agents of CITY, and shall defend, indemnify and save harmless CITY, its officers, employees,
agents, representatives and volunteers from and against any and all claims, demands, suits, actions
or proceedings of any kind or nature, including, but not by way of limitation, workers compensation
claims and including attorney fees and reasonable expenses for litigation or settlement, resulting
from or arising out of the negligent or wrongful acts, errors or omissions of SUB RECIPIENT, its
officers, directors, employees, agents, subcontractors and suppliers arising out of
SUBRECIPIENT's performance of this Agreement.
X. INSURANCE
A. In accordance with the provisions of Section 3300 ofthe Labor Code, if
SUBRECIPIENT has any employees it is required to be insured against liability for worker's
compensation or to undertake self-insurance. Prior to commencing performance of this
Agreement, SUBRECIPIENT agrees to obtain and maintain employer's liability insurance with
limits not less than $1,000,000 per accident. If SUBRECIPIENT has no employees, nor
workers' compensation coverage, it must execute a Declaration available from the CITY, and
update as is necessary.
B. SUBRECIPIENT shall obtain, at its sole cost, a policy or policies of commercial
general liability insurance, or equivalent form, with a combined single limit of not less than
$1,000,000 per occurrence.
Such insurance shall: (1) name the City of Santa Ana, its officers, agents,
representatives, employees and volunteers as additional insureds; (2) be primary with respect to
insurance or self-insurance programs maintained by the CITY; (3) contain standard separation of
insureds provisions; and (4) give to CITY prompt and timely notice of claim made or suit
instituted arising out of SUBRECIPIENT's operations hereunder.r
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SUBRECIPIENT shall: (a) prior to exercising any right under this Agreement,
furnish properly executed certificates of insurance and additional insured endorsement to the
CITY which shall clearly evidence all coverages required above; (b) provide that such insurance
shall not be materially changed or terminated except on 30 days prior written notice to the CITY;
(c) maintain such insurance for the period covered by this Agreement; and (d) replace such
certificates for policies expiring prior to the expiration of this Agreement.
XI. REVERSION OF ASSETS
A. Upon the expiration of this Agreement, SUBRECIPIENT shall transfer to CITY any
CDBG funds on hand at the time of the expiration of this Agreement as well as any accounts
receivable attributable to the use ofCDBG funds. [24 CFR 570.503(b)(8).]
B. Any real property under SUBRECIPIENT's control that was acquired or improved
in whole or in part with CDBG funds in excess of$25,000.00 must either be:
1. Used, where CITY has given written approval, to meet one of the national
objectives stated in 24 CFR 570.208 until five (5) years after expiration of this Agreement, or for
such longer period of time as detennined to be appropriate by CITY; or
2. If not used in accordance with subparagraph A above, SUBRECIPIENT
shall pay to CITY an amount equal to the current fair market value of the property less any portion
of the value attributable to the expenditure ofnon-CDBG funds for acquisition of, or improvement
to, the property. Such payment is program income to CITY.
C. Subject to the obligations set forth herein, title to equipment acquired under the
tenns of this Agreement will vest upon acquisition in SUBRECIPIENT. When said equipment
which has been acquired in accordance with this Agreement and all applicable regulations is no
longer needed for said program, disposition of said equipment will be made as follows:
1. Items of equipment with a current per unit fair market value of less than
$5,000.00 may be retained, sold or otherwise disposed of with no further obligation to CITY.
2. Items of equipment with a current fair market per unit value of $5,000.00 or
more may be retained or sold and CITY shall have the right to an amount calculated by multiplying
the current market value or proceeds from the sale by CITY's share of federal funds used to acquire
the equipment, in accordance with 24 CFR 85.32(e)(2).
D. SUBRECIPIENT hereby agrees, upon the demand of CITY, to execute,
acknowledge and deliver, or cause any person or entity who may have any claim to rights hereunder
or under any document, instrument or agreement executed in furtherance of the services and
activities to be perfonned hereunder, to execute, acknowledge and deliver, to CITY assigrunent(s),
quit claim deed(s) or such other and further instruments, documents and agreements as may be
necessary, in the sole and absolute discretion of CITY, to vest in CITY all of SUBRECIPIENT's
right, title and interest (if any it may have) in and to CITY, CDBG or other federal, state and/or
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local accounts or program funds or allocation of funds to which CITY is or may be entitled, either
for its own account or as fiduciary or trustee for others, which were obtained for the purpose of the
performance of this Agreement or any previous agreements relating to the same subject matter or
activities as this Agreement, together with any instruments, loans, grants or advances by
SUBRECIPIENT on behalf of CITY, in furtherance of the activities hereunder or thereof.
SUBRECIPIENT's obligations and responsibilities set forth in this paragraph "XI.
REVERSION OF ASSETS:' and in paragraph "XII. TERMINATION" and other requirements
pertaining to program income shall not be affected by the termination of this Agreement and shall
survive the date of termination of this Agreement for such period of time as CITY and/or HUD
deems necessary for the responsibilities, duties and obligations to be performed and completed to
the satisfaction of CITY and HUD.
XII. TERMINATION
A. This Agreement may be terminated on thirty (30) days' written notice by either
party. In the event of such termination, SUBRECIPIENT shall only be entitled to reimbursement
for approved expenses incurred to the effective date of termination.
B. This Agreement may be suspended or terminated by CITY upon five (5) days'
written notice for violation by SUBRECIPIENT of Federal Laws governing the use of Community
Development Block Grant Funds. In the event of such suspension or termination, SUBRECIPIENT
shall only be entitled to reimbursement for approved expenses incurred up to the effective date of
suspension or termination.
C. Pursuant to 24 CFR 85.43, in the event SUBRECIPIENT defaults by failing to fulfill
all or any of its obligations hereunder, CITY may declare a default and termination of this
Agreement by written notice to SUBRECIPIENT, which default and termination shall be effective
on a date stated in the notice which is to be not less than ten (10) days after certified mailing or
personal service of such notice, unless such default is cured before the effective date oftermination
stated in such notice. If terminated for cause, CITY shall be relieved of further liability or
responsibility under this Agreement, or as a result of the termination thereof, including the payment
of money, except for payment for approved expenses incurred for services satisfactorily and timely
performed prior to the mailing or service of the notice oftermination, and except for reimbursement
of (1) any payments made for services not subsequently performed in a timely and satisfactory
manner, and (2) costs incurred by CITY in obtaining substitute performance.
D. The grant of funds under this Agreement may be terminated for convenience in
accordance with 24 CFR 85.44.
E. In the event this Agreement is terminated as set forth in subparagraphs XII.A.
through XII.D., inclusive, SUBRECIPIENT agrees to immediately return to CITY upon CITY's
demand and prior to any adjudication of SUBRECIPIENT's rights, any and all funds not used, and
to comply with paragraph "XI. REVERSION OF ASSETS" ofthis Agreement.
12
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7/6101LS
XIII. LIMITATION OF FUNDS
The United States of America, through HUD, may in the future place programmatic or fiscal
limitations on the use of CDBG funds which limitations are not presently anticipated. Accordingly,
CITY reserves the right to revise this Agreement in order to take account of actions affecting HUD
program funding. In the event of funding reduction, CITY may, in its sole and absolute discretion,
reduce the budget of this Agreement as a whole or as to costs category, may limit the rate of
SUBRECIPIENT's authority to commit and spend funds, or may restrict SUBRECIPIENT's use of
both its uncommitted and its unspent funds. Where HUD has directed or requested CITY to
implement a reduction in funding, in whole or as to a cost category, with respect to funding for this
Agreement, CITY's City Manager or delegate is authorized to act for CITY in implementing and
effecting such a reduction and in revising, modifying, or amending the Agreement for such
purposes. Where CITY has reasonable grounds to question SUBRECIPIENT's fiscal
accountability, financial soundness, or compliance with this Agreement, CITY may suspend the
operation of this Agreement for up to sixty (60) days upon five (5) days written notice to
SUBRECIPIENT of its intention to so act, pending an audit or other resolution of such questions.
In no event, however, shall any revisions made by CITY affect expenditures and legally binding
commitments made by SUBRECIPIENT before it received notice of such revision, provided that
such amounts have been committed in good faith and are otherwise allowable and that such
commitments are consistent with HUD cash withdrawal guidelines.
XIV. EXCLUSIVITY AND AMENDMENT OF AGREEMENT
This Agreement supersedes any and all other agreements, either oral or in writing, between
the parties hereto with respect to the use of CITY's CDBG funds by SUBRECIPIENT and contains
all the covenants and agreements between the parties with respect to such employment in any
manner whatsoever. Each party to this Agreement acknowledges that no representations,
inducements, promises or agreements, orally or otherwise, have been made by any party, or anyone
acting on behalf of any party, which are not embodied herein, and that no other agreement or
amendment hereto shall be effective unless executed in writing and signed by both CITY and
SUBRECIPIENT.
XV. LAWS GOVERNING THIS AGREEMENT
This Agreement shall be governed by and construed in accordance with the laws of the State
of California, and all applicable federal laws and regulations.
XVI. VALIDITY
The invalidity in whole or in part of any provision of this Agreement shall not void or affect
the validity of any other provision of this Agreement.
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7/6/01LS
XVII. MISCELLANEOUS PROVISIONS
a. Each undersigned represents and warrants that its signature hereinbelow has the power,
authority and right to bind their respective parties to each of the terms of this Agreement, and shall
indemnify CITY fully, including reasonable costs and attorney's fees, for any injuries or damages to
CITY in the event that such authority or power is not, in fact, held by the signatory or is withdrawn.
b. All Exhibits and Attachments referenced herein and attached hereto shall be incorporated
as if fully set forth in the body of this Agreement.
IN WITNESS WHEREOF, the parties hereto have executed this Agreement as of the last date and
year written below.
DA TED:Je=r:f-o 1--
CIT~
DAVID N. REAM
City Manager
ATTEST:
APPROVED AS TO FORM:
ATRlCIA E. HEALY
Clerk of the Council
M-::'-~
j;v-JOSEPH W. FLETCHER
City Attorney
SUBRECIPIENT:
DATE:
~A~~~U
Name: jl,. ~ t ~1Ut.-
Title: C>fe.C4.~l~ l>i.te...;-I-ok.-
Tax ID:
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Dayle McIntosh Center
Goals and Objectives
FY 2002-2003
City of Santa Ana CDBG
Goal: To increase the availability of independent living services for residents of Santa
Ana who are significantly disabled.
Objective I: Implementation of a service delivery plan specifically for the target area.
Activities:
. Assign a field service coordinator to work in Santa Ana two days per week;
. Provide a laptop computer and cell phone for coordinator so that information and
resources will be available and so that consumer files might be maintained;
. Reseach, compile, and update community resources within the area, which may
be used to assist clients;
. Establish at least two satellite sites, where coordinator might meet with local
residents who are disabled.
Objective 2: Initiation of outreach strategies to identify those who might benefit from
independent living services.
Activities:
. Identify and contact all relevant public and private agencies in the city to establish
cross-referral procedures; 24 contacts annually;
. Conduct presentations at community sites and groups; 12 annually;
. Post notices on bulletin boards in public areas; 3 monthly;
. Place announcements in local newspapers and on local radio stations; 6 annually;
. Attend community events within Santa Ana; 8 annually.
Objective 3: Provision of information, services, and training for Santa Ana residents with
disabilities.
Activities:
. Conduct intake procedure and open consumer files with new clients; 10 monthly;
. Assess needs of incoming clients; 10 monthly;
. Develop service goals, objectives, and time-lines for persons seeking specific
assistance; 8 monthly;
. Coordinate services to assure that participating Santa Ana residents receive
necessary assistance; 100 clients annually;
. Achieve at least 80% ofthe goals, objectives, and time-lines defined in the
individual service plans of participants.
Exhibit A
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Outreach Santa Ana Program Budget
Line Item:
Field Service Coordinator
Employee Benefits
Communications
Equipment/Supplies
Local Travel
Insurance
Staff Development
Disability Accommodation
Printing/Postage
Total
Total
Program
$10,216
$2,042
$600
$3,000
$800
$600
$300
$1,200
$600
~19.158
Source:
City of Santa Ana
State AB204-SSR
Fund Raising/In-Kind Donations
Total
Santa Ana
CDBG
$7,000
$1,388
$408
$660
$544
$0
$0
$0
$0
$10.000
Revenues
Amount
$10,000
$6,000
$1.158
~
tf./lIelr B
"'"
0/...
69%
68%
68%
22%
68%
0%
0%
0%
0%
52%
Other
$3,216
$654
$192
$2,340
$256
$600
$300
$1,200
$600
$9.158
6
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Certification Regarding Lobbying
Certification for Contracts. Grants. Loans. and Cooperative Agreements
The undersigned certifies, to the best of his or her knowledge and belief, that:
(1) No Federal appropriated funds have been paid or will be paid, by or on behalf of the
undersigned, to any person for influencing or attempting to influence an officer or
employee of any agency, a Member of Congress, an officer or employee of Congress, or
an employee of a Member of Congress in connection with the awarding of any Federal
contract, the making of any cooperative agreement, and the extension, continuation,
renewal, amendment, or modification of any Federal contact, grant, loan or cooperative
agreement.
(2) If any funds other than Federal appropriated funds have been paid or will be paid to
any person for influencing or attempting to influence an officer or employee of any
agency, a Member of Congress, an officer or employee of Congress, or an employee of a
Member of Congress in connection with this Federal contract, grant, loan, or cooperative
agreement, the undersigned shall complete and submit Standard Form-LLL, "Disclosure
Form to Report Lobbying," in accordance with its instructions.
(3) The undersigned shall require that the language ofthis certification be included in the
award documents for all subawards at all tiers (including subcontract, sub grants, and
contracts under grants, loans, and cooperative agreements) and that all subrecipients shall
certify and disclose accordingly.
This certification is a material representation of fact upon which reliance was placed
when this transaction was made or entered into. Submission of this certification is a
prerequisite for making or entering into this transaction imposed by Section 1352, Title
31, U. S. Code. Any person who fails to file the required certification shall be subject to
a civil penalty of not less than $10,000 and not more than $100,000 for each such failure.
~y(~ Me-:t:, fr,.>4 (b.~
Grante'elContactor Organization
Program Title
R1J.~ Au'llk...
Name of Certifying Officer
~l~~
Date
EXHIBIT C
Page 1 of2
~
"""
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SUBRECIPIENT warrants the following:
1. SUBRECIPIENT will comply with Public Law 88-352, Title VI ofthe Civil Rights
Act of 1964 (42 U. S. C. section 2000 et seq.) and implementing regulation in 24 CFR
Part 1.
2. No person in the United States shall on the ground of race, color, religion, national
origin, or sex, be excluded from participation in, or be denied the benefits of, or be
subjected to discrimination under any program or activity funded in whole or in part with
community development funds made available pursuant to the ACT.
3. All laborers and mechanics, employed by contractors or subcontractors in the
performance of construction work financed in whole or in part with community
development funds shall be paid wages at rates not less than those prevailing on similar
construction in the locality as determined in accordance with the Davis-Bacon Act, as
amended, 40 U. S. C. Sections 276 a 1-5, except for individuals who perform services for
which they volunteered; do not receive compensation for such services; or are paid
expenses, reasonable benefits, or a nominal fee for such services; and are not otherwise
employed at any time in construction work.
4. SUBRECIPIENT will comply with all Federal statutes applicable to projects funded
with community development funds, except that (a) SUBRECIPIENT does not assume
CITY'S environmental responsibilities described at 24 CFR 570.604; and (b)
SUBRECIPIENT does not assume CITY'S responsibility for initiating the review process
under Executive Order 12372.
EXHffiIT C
Page 2 of2
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DISCLOSURE OF LOBBYING ACTIVITIES
Complete this form to disclose lobbying activities pursuant to 31 U.S.C. 1352
Approved by OMS
0345-0046
See reverse for oublic burden disclosure.)
1. Type of Federal Action: 2. Status of Federal Action: 3. Report Type:
D a. contract D a. bidlofferlapplication D a. initial filing
b. grant b. initial award b. material change
c. cooperative agreement c. post-award For Material Change Only:
d.loan year quarter ____
e. loan guarantee date of last report -
f. loan insurance
4. Name and Address of Reporting Entity: 5. If Reporting Entity in No.4 is a Subawardee, Enter Name
DPrlme o Subawardee and Address of Prime:
Tier ____, if known:
Conaresslonal District, If known: Canaressional District, If known:
6. Federal Department/Agency: 7. Federal Program Name/Description:
CFDA Number, Ifapplicab/e:
8. Federal Action Number, Ifknown: 9. Award Amount, if known:
$
10. a. Name and Address of Lobbying Entity b. Individuals Performing Services (including address if
(if individual, last name, first name, MI): different from No. 1 Oa)
(last name, first name, MI):
(attach Continuation Sheet(s) SF-LLLA. if necessary)
11. Amount of Payment (check all that apply): 13. Type of Payment (check all that apply):
$ ----- D actual D plannad o a. retainer
D b. ana-lime fae
12. Form of Payment (check all that apply): o c. commission
D a. cash D d. conllngant fee
D b. in-kind: specify: nature _____ D e. defarred
value D f. olhe,: apoclfy:
14. Brief Description of Services Performed or to be Performed and Date(s) of Service, including officer(s),
employee(s), or Member(s) contacted, for Payment Indicated In Item 11:
laUaell Continuation Shaa/ls) SF-LLLA, If necessarY)
15. Continuation Sheet(s) SF.LLLA attached: DYea [lNo
16 Information requesL8d through this form i8 lIulhorlzed by lilIe 31 U.S.C. seclion Signature:
. 1352. This disclosure of lobbying acUvlUes 18 a material representation of 'act
upon which reliance was placed by the liar above when this transaction wall made Print Name:
Of entered into. This disclosure 18 raqulred pursuant to 31 U.s.C. 1352. Thil
InJormaUa'l will be reported to the Congress semi-annualy entS wUl be available fer Title:
pubic Inlpllctla'l. Any person who fail& to file the requi'ed dltc:lcsul8 shall be
lubject lc a civil penalty cf net hlll1hat $10,000 and not more than $100.000 fer Telephone No.: Date:
eac:h ludl failure.
. . .... . ... ::\ Authorized for Local Reproduction
Fede",1 H~l!Ollly:. .. . .. Slandard Fo"" LLL (Rev. 7-97)
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STATE
COMPENSATION
INSURANCE
FUND
HOME OFFICE
SAN FRANCISCO
All EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
"-"
'-'
A- - ~ODRi; df-S--/f
682897-02
RENEWAL
SP
2-36-51-65
PAGE 1
AT 12.01 A.M.
INTERIM BILLING RATE MODIFICATION
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002
DAYLE MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
ANY CONTRADICTION BETWEEN THE POLICY AND THIS ENDORSEMENT WILL BE
CONTROLLED BY THIS ENDORSEMENT.
IT IS AGREED THAT THE INTERIM BILLING RATE AND RATING PLAN
CREDITS (DEBITS) ARE AMENDED AS FOLLOWS.
EFFECTIVE FROM 4/01/02 TO 4/01/03
RATING PLAN MODIFIER 0.87000
ESTIMATED PREMIUM DISCOUNT MODIFIER
0.82913
COMPOSITE FACTOR APPLIED TO BASE RATES
TO DERIVE INTERIM BILLING RATES.
0.72134
APPROV ED A,s 1 U 1 UK",
aura Sheedy
Deputy Cily AtlorTlcy
NOTHING IN THIS ENDORSEMENT CONTAINED SHAll BE HELD TO VARY. ALTER. WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR LIMITATIONS OF THIS
POLICY OTHER THAN AS STATED. NOTHING ELSEWHERE IN THIS POLICY SHAll BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
~..-d-^
-
APRIL 4, 2002 2900F
~RE~
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
AUTHORIZED REPRESENTATIVE
STATE
COMPENSATION
INSURANCE
FUND
HOME OFFICE
SAN FRANCISCO
ALL EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
INTERIM BILLING RATE
(1M
MODIFICATION
H
REP 01
682897-02
RENEWAL
SP
2-36-51-65
PAGE 2
AT 12.01 A.M.
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002
DAYLE MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
CONTINUED
****************************************************************
* *
* PREMIUM DISCOUNT SCHEDULE EFFECTIVE 4/01/02 TO 4/01/03 *
* *
* ESTIMATED MODIFIED PREMIUM IS DISCOUNTED *
* ACCORDING TO THE FOLLOWING SCHEDULE: *
* *
* FIRST ABOVE *
* $2,500 $2,500 *
* 0.0% 17.5% *
* *
**********************~*****************************************
THE ESTIMATED PREMIUM DISCOUNT IS BASED ON AN ESTIMATE OF YOUR
PAYROLL. ACTUAL PREMIUM DISCOUNT APPLIED AT FINAL BILLING WILL
BE BASED ON THE ACTUAL PAYROLL REPORTED ON YOUR POLICY AND
SUBJECT TO AUDIT.
NOTHING IN THIS ENDORSEMENT CONTAINED SHALL BE HELD TO VARY, ALTER, WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR LIMITATIONS OF THIS
POLICY OTHER THAN AS STATED. NOTHING ELSEWHERE IN THIS POLICY SHALL BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
~1>-eJ-^
-
APRIL 4, 2002 2900F
~RE~
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
AUTHORIZED REPRESENT A TIVE
STATE
COMPENSATION
INSURANCE
I=UND
HOME OFFICE
SAN FRANCISCO
ALL EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
. INTERIM BILLING RATE MODIFICATION
..,..,.
-
REP 01
682897-02
RENEWAL
SP
2-36-51-65
PAGE 3
AT 12.01 A.M.
-
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002
DAYLE MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
CONTINUED
IT IS FURTHER AGREED THAT THE FOLLOWING STANDARD CLASS CODE,
BASE RATE AND INTERIM BILLING RATE SHALL APPLY FROM
4/01/02 TO 4/01/03
STANDARD INTERIM
CLASS BASE BILLING
CODE RATE* RATE*
8742 2.08 1.50
8810 1. 70 1.23
8804 9.59 6.92
-
* THE BASE RATE IS PROVIDED FOR YOUR INFORMATION. IT IS THE
RATE WHICH STATE FUND HAS FILED WITH THE DEPARTMENT OF
INSURANCE. THE INTERIM BILLING RATE WILL BE USED ON PAYROLL
REPORTS. IT TAKES INTO ACCOUNT RATING PLAN CREDITS (OR
DEBITS) WHICH WILL APPLY AT FINAL BILLING.
NOTHING IN THIS ENDORSEMENT CONTAINED SHALL BE HELD TO VARY, ALTER, WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR LIMITATIOl'IS OF THIS
POLICY OTHER THAN AS STATED. NOTHING ELSEWHERE IN THIS POLICY SHALL BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
~~~"
-
APRIL 4, 2002 2900F
~~
PRESIDENT
AUTHORIZED REPRESENTATIVE
STATE
COMPENSATION
.I'NSURANCE
FUND
HOME OFFICE
SAN FRANCISCO
ALL EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
'-'
""""
REP 01
682897-02
RENEWAL
SP
2-36-51-65
PAGE 1
AT 12.01 A.M.
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002
.
- -
DAYLE MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
ANY CONTRADICTION BETWEEN THE POLICY AND THIS ENDORSEMENT WILL BE
CONTROLLED BY THIS ENDORSEMENT.
IT IS AGREED THAT THE FOLLOWING CLASSIFICATION(S) IS (ARE)
HEREBY ADDED TO AND MADE A PART OF THIS POLICY.
RATE(S) EFFECTIVE UP TO 4/01/03
STANDARD
CLASS DESCRIPTION OF WORK
INTERIM
BASE BILLING
RATE* RATE*
8742 SALESPERSONS--OUTSIDE.
2.08 1.73
8810 CLERICAL OFFICE EMPLOYEES--N.O.C.
1. 70 1. 42
IF THIS CLASSIFICATION CHANGE RESULTS IN INCREASED POLICY PREMIUM,
YOU ARE ENTITLED, AS PROVIDED BY INSURANCE CODE SECTION 11753.1,
TO REQUEST THAT THE CLASSIFICATION DECISION BE RECONSIDERED BY
THE WORKERS' COMPENSATION INSURANCE RATING BUREAU OF CALIFORNIA,
525 MARKET STREET, SUITE 800, SAN FRANCISCO, CALIFORNIA 94105-2716.
*THE BASE RATE IS PROVIDED FOR YOUR INFORMATION. IT IS THE RATE
WHICH STATE FUND HAS FILED WITH THE DEPARTMENT OF INSURANCE.
THE INTERIM BILLING RATE WILL BE USED ON PAYROLL REPORTS. IT
TAKES INTO ACCOUNT RATING PLAN CREDITS (OR DEBITS) WHICH WILL
APPLY AT FINAL BILLING.
NOTHING IN THIS ENDORSEMENT CONTAINED SHALL BE HELD TO VARY, ALTER, WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR L1MITATIQIIIS OF THIS
POLICY OTHER THAN AS STATED. NOTHING ELSEWHERE IN THIS POLICY SHALL BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
7Z..~~
-
MARCH 28, 2002 9955
~RE~
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
AUTHORIZED REPRESENTATIVE
'-'
......,
.
/
.-
ACORD.
CERTIFICi
-0::
- .UJo
OF LIABILITY INSU:'"' ,,-,Nce OPID OATE(NMIIlOIYY)
. ~AYLE-1 06/13/02
THIS CERTIFICATE IS ISSUED AS A MATTER OF INFORMATION
ONLY AND CONFERS NO RIGHTS UPON THE CERTIFICATE
HOLDER. THIS CERTIFICATE DOES NOT AMEND, EXTEND OR
ALTER THE COVERAGE AFFORDED BY THE POLICIES BELOW.
INSURERS AFFORDING COVERAGE
"~
PRODUCER
Chapman , Associates
License #0522024
P. O. Box 5455
Pasadena CA 91117-0455
Phone: 626-405-8031 Fax:626-405-0585
INSURED
Dayle McIntosh Center
13272 Garden Grove Bl.
Garden Grove CA 92843
INSURER A:.
INSURER s-
,
'I INSURER C
INSURER 0
INSURER E
NIAC
COVERAGES
THE POLICIES OF INSURANCE LISTED BELOW HAVE BEEN IssueD TO THE INSURED NAMED ABOVE FOR THE POLICY PERIOD INDICATED NOTWITHSTANDING
ANY REQUIREMENT, TERM OR CONDITION OF ANY CONTRACT OR OTHER DOCUMENT WITH RESPECT TO WHICH THIS CERTIFICATE MAY BE ISSUED OR
MAY PERTAIN, THE INSURANCE AFFORDED BY THE POLICIES OESCR!8ED HEREIN IS SUBJECT TO All THE TERMS. EXCLUSIONS AND CONDITIONS OF SUCH
POllCIES_ AGGREGATE LIMITS SHOWN MAY HAVE BEEN REDUCED BY PAID CLAIMS.
lrf~: TYPE OF INSURANCE I POLICY NUMBER
~ .~~NERAL LIABILITY I
A f_>;:....:..._~~~MERCIALGENE'~:~~~L~IA8111TY I 200202327NPO
, I CLAIMS MADE X: OCCUR I
riTP;ofessional
i-~' .----- --..- -.---.------
~~t~CTM~bt7f}yE
OS/25/02
PJl}+~~~~fJW'J}?N , LIMITS
~ EACH OCCURRENCE : $ 1000000
-- ~
OS/25/03 FIRE DAMAGE (Any one fireJ i $ 50000
: MED EXP (Any ~~~ person) --I s,500-6----
! PERSONAL&ADVINJURY $1000000
I~ENERAlAGGREGATE $ 3000000
PRODUCTS - COMPtOP AGG $ 1000000
Emp Ben _ 1000000
COMBINED SINGLE LIMIT I $ 1000000
OS/25/03 (Eaaccldenl) -----+-=-
BODILY INJURY I $
(PerpersOl1) I.
II i BODll YINJURY
(Peraoodent)
,
I
I PROPERTY DAMAGE
{Per accident)
I AUTO ONLY - EA ACCIDENT $
I OTHER THAN EA ACC i $
: AUTO ONLY:
--
..-
: GEN'L AGGREGATE LIMIT APPLIES PER:
i-: i-l PRO- I I
: i POLICY I ,JECT I ! lOC
i A~OMOBILE LIABILITY
A ~ ANY AUTO
:1 ALL OWNED AUTOS
L-i SCHEDULED AUTOS
! -Xl HIRED AUTOS
r-,
~.!J NON-OWNED AUTOS
,
!
200202327NPO
i
I
I
i
I 0 ~C()Rlvl
.'~,/' :_> ,Co , I
,:~,~/.;j ~~~,<~, ~/-.--T
>'F;V City Atlorney !
OS/25/02
.--
~ ---.---- -.- ---------
i
GARAGE LIABILITY !
, ANY AUTO i
. ,
: EXCESS LIABILITY I
A I OCCUR CLAIMS MADE ,
- ,
.
AGG! $
~ --...-..-.--
: . 1000000
1.1000000
-i $ ---~- .--
200202327UMBNPO
, OS/25/02
i EACH OCCURRENCE
OS/25/03 i AGGREGATE
DEDUCTIBLE
X-, RETENnQN .10000
WORKERS COMPENSATION AND
EMPLOYERS' LIABILITY
;$
I.
; : ~JR~l~~YTS iU~~- i
___'---_______..1_____
E L EACrl ACCIDENT S
.
E L DISEASE - EA EMPLOYEE S
: E' ~__;ISEA;-~---~O~~~y LIMIT: S
OTHER
:
DESCRIPTION OF OPERATIONSfLOCATIONSNEHICLESIEXCLUSIONS ADDED BY ENDORSEMENT/SPECIAL PROVISIONS
The City of Santa Ana, their respective officers, employees, agents,
volunteers and representatives are named as additional insured with respect
to the operations of the named insured.
CERTIFICATE HOLDER
I y I ADDITION LINSURED INSURER LETTER
CANCELLATION
, A
CITYSAN SHOULD ANY OF THE ABOVE OESCRIBED POLICies BE CANCelLED BEFORE THE EXPIRATION
DATE THEREOF, THE ISSUING INSURERWllL~ MAil ...3.L DAYS WRITTEN
NOTICE TO THE CERTIFICATE HOLDER NAMED TO THE lEFT, BU~DO". --'1"'r'lt
City of Santa Ana ...." ..~~_I",;g- 1 ~~'#<"""~"~~r_LJ~Jlllie )I;~~ -A""Llio
Attn: Mike Linares ~1ll""1PrL9,
20 Civic Center Plaza
Santa Ana CA 92701 AUTHORIZED REPR'~0TIVE O)!J,,.&
... ~ ./ifif . -." ",...,"~
I <9ACORO CORPORATION 1988
ACORD 25-S (7/97)
~
""'"
Fr~: Jai~~Noriega At: Chapman & Associates F;!IxIO: Chapman Associates To: lucy
'-'
Date: 01106J2oo3 12:47 PM Page: 2012
"""
ENDORSEMENT
POLICY "'UMBER: 200202327NPO
I NSl'Kt.ll COMPANY NAMt.: Non-Profits Insurance of California
THIS EI\DORSEMENT CHANGES THE POLICY. PLEASE READ IT CAREfULLY.
ADDITIONAL INSURED-DESTGNA TED PERSON OR
ORGANTZA nON
This endorsement modifies inslIrancL' provided under the following:
COMMERCIAL GEl\ERAL LIABILITY COVERAGE PART
SCHEDULE
Narne uf Pc~son ur Organl/ation'
City of Santa Ana and its Officers, A~ents, Employees and
Volunteers are named as additional insured as respects their interest in
connection with the named insured.
(If no entry appears above. infonnation required to complete this endorsement will be sho\vn in
the Declarations as applicable to this endorsement.)
WHO IS AN INSURED (SeClton II) ;, amended 10 include as an insured the person Or
vrg;:mization shown in the Sch~dule as an insured but only with respect to liability arising out of
your operations or premises o\\'ned by or rL'ntetl to you.
IT IS AGRF-F-D THAT ANY INSURANCE MAINTAINED BY THE cn y m SANTA ANA
SII,\LL APPL Y IN EXCESS OF. AND NOT CO~l'RlBUTE WITH, INSl iI(",'ICE PROVIDED
[\ \' TI liS POLlCY
\amed Insured'
DaIle MCintOsh Ceorer
1.3272 Garden Grove Blvd.
G,mien Gn.,\'c, C\ 928-13
.\ P Pk ~J \_i ELl
Authorized Representalive: d._ n' ....
Daled 01106103 , W7 ~
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CERTIFIC
- Zoo ~ -
-E OF LIABILITY INSU~NCeAyEf~~ 06/13/02
THIS CERTIFICATE IS ISSUED AS A MATTER OF INFORMATION
ONLY AND CONFERS NO RIGHTS UPON THE CERTIFICATE
HOLDER. THIS CERTIFICATE DOES NOT AMEND, EXTEND OR
ALTER THE COVERAGE AFFORDED BY THE POLICIES BELOW.
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FiRODUCER
Chapman & Associates
License #0522024
P. O. Box 5455
Pasadena CA 91117-0455
Phone: 626-405-8031 Fax: 626-405-0585
Dayle McIntosh Center
13272 Garden Grove Bl.
Garden Grove CA 92843
INSURER A:.
INSURER 8:
INSURER C
INSURER 0:
i INSURER E'
INSURERS AFFORDING COVERAGE
NIAC
INSURED
COVERAGES
THE POLICIES OF INSURANCE LISTED BELOW HAVE BEEN ISSUED TO THE INSURED NAMED ABOVE FOR THE POLICY PERIOD INDICATED. NOTWITHSTANDING
ANY REQUIREMENT, TERM OR CONDITION OF ANY CONTRACT OR OTHER DOCUMENT WITH RE5PECTTO WHICH THIS CERTIFICATE MAY BE IssueD OR
MAY PERTAIN, THE INSURANCE AFFORDED BY THE POLICIES DESCRIBED HEREIN IS SUBJECT TO ALL THE TERMS, EXCLUSIONS AND CONDITIONS OF SUCH
POLICIES, AGGREGATE LIMITS SHOWN MAY HAVE BEEN REDUCED BY PAID CLAIMS
'~ , 6~~lrjMMfDD/YY DATE~{i~rDrr~?N .--
TYPE OF INSURANCE POLICY NUMBER LIMITS
l.G~NERAL LIABILITY EACH OCCURRENCE : , 1000000
200202327NI?O I OS/25/02 OS/25/03 FIRE DAMAGE (Any one fire) r $ 50.000
A ~_C_O~MERCIAl GENE~_L1ABllITY I i - -- -- .-- --- ----
t~ CLAIMS MADE -~ OCCUR I MED EXP (Anyone person) , 5000
X Professional PERSONAL & ADV INJURY $ 1000000
---- - - -
GENERAL AGGREGATE ,3000000
--- -------- -----
I GEN'l AGGRE~~~E liMIT APPLIES PER: PRODUCTS. COMPIOP AGG I $ 1000000
- 'I' PRO n Emp Ben. I 1000000
; ! ..POLlCY JECr lOC
~OMOBILE LIABILITY COMBINED SINGLE LIMIT 1'1000000
A X ANY AUTO 200202327NPO OS/25/02 OS/25/03 (Eaaccidenl)
i AI, l OWNED AUTOS BODll Y INJURY ,
fl SCHEDULED AUTOS TC FORM (Per person)
,', ..,OvtD AS
~ HIRED AUTOS . /:tJr ./ f~.1 BODilY INJURY ,
l---?5:l NON-OWNED AUTOS (Per accident)
PROPERTY DAMAGE
' - -I - --.. .. I I'-ft,. ,
: ,~.' ./ (Per accident)
GARAGE LIABILITY ~~CpIJty City Attorney AUTO ONLY. EA ACCIDENT $
r---1 ANY AUTO OTHER THAN EAACC ,
I ' AUTO ONLY' AGG I $
l_~~CESS LIABILITY __ EACH OCCURRENCE , 1000000
A 1-' OCCUR [, CLAIMS MADE 200202327UMBNPO , OS/25/02 OS/25/03 AGGREGATE ,1000000
, ,
'--~l ~EOUCTIBLE $
-, $
X RETENTION $ 10000 "--r
WORKERS COMPENSATION AND ~O~R~I~~y,:sl ~
: EMPLOYERS' LIABILITY E.L EACH ACCIDENT ,
I I I EL DISEASE. EA EMPLOYEE $
i
, E.L DISEASE. POLICY LIMIT ,
OTHER I
I I
DESCRIPTION OF OPERATlONSILOCATIONSNEHICLES/EXClUSIONS ADDED BY ENDORSEMENT/SPECIAL PROVISIONS
The City of Santa Ana, their respective officers, employees, agents,
volunteers and representatives are named as additional insured with respect
to the operations of the named insured.
CERTIFICATE HOLDER Iy ADDITIONAL INSURED; INSURER LETTER: CANCELLATION
CITYSAN SHOULD ANY OF THE ABOVE DESCRIBED POLICIES BE CANCELLED BEFORE THE EXPIRATION
DATE THEREOF, THE ISSUING INSURER WILL WlllnlabIlAUUiAl MAIL ..3.L DAYS WRITTEN
NOTICE TO THE CERTIFICATE HOLDER NAMED TO THE LEFT, BU~- ,"'-
City of Santa Ana -':-II.fTJ" i.-II.. I U.'~_A\UI."r.~ !A.lI_~..A"'~
Attn: Mike Linares .4!"___~"""9.
20 Civic Cen ter Plaza
Santa Ana CA 92701 AUTHORIZED RE:~:':.. 7 t, .A@ACORD CORPORATION 1988
,
ACORD 25-S (7/97)
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From: Jajm~ Noriega At: Chapman & Associates Fi='''ID: Chapman Associates To: Lucy
"""
Date: 0110612003 12:47 PM Page: 2 of 2
-..I
ENDORSEMENT
POLICY NUMBER: 200202327NPO
INSUKELJ COMPANY NAME: Non-Profits Insurance of California
THIS EI'iDORSEMENT CHANGES THE POLICY. PLEASE READ IT CAREfULLY.
ADDITIONAL INSURED-DESIGNATED PERSON OR
ORGANIZATION
This endorsement modifies insurance provided under the following:
COMMERCIAL GET\ERAL LIABILITY COVERAGE PART
SCHEDULE
NUlm: Df P~rs(Jn or Organl/l1liOlr
City of Santa Ana and its Officers, Agents, Employees and
Volunteers are named as additional insured as re.~pects their interest in
connection with the named insured.
(If no efltry appears above, infonnation required to complete this endorsement will be shown in
the Declarations as applicable to this endorsement.)
WHO IS AN INSURED (Section II) is amended to include as an insured the person Or
organization shown in the Schedule as an insured but only with respect to liability arising out of
your operations or premises owned by or renled to you.
IT IS AGREED THAT ANY INSURANCE MAINTAINED BY THE CITY Of SANTA ANA
SJlALl APPL Y lN EXCESS OF, AND NOT CONTRIBUTE WITH, INSliKANCl PROVJDELJ
BY TI liS POLICY
Named Insured:
Dayle Mcintosh Center
13272 Garden Grove Blvd.
Garden Grove. CA 92813
Authoriz.ed Representative: 1:"1..._ n' -
Dated: 01/06/03 , W7 .......--
APPROVED AS TO FORM
~~t:if:'~17
;)Q1Irry Ciry Attorney
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STATE
COMPENSATION
INSURANCE
FUND
HOME OFFICE
SAN FRANCISCO
ALL EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
I NTERJ-lo!
I,' l
........
BILLING RATE
MODIFICATIO~. .
~
"'.0''''0'',..,
REP 01~~~;'
682897-02
RENEWAL
SP
2-36-51-65
PAGE 1
AT 12.01 A.M.
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002
b~YLE MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
ANY CONTRADICTION BETWEEN THE POLICY AND THIS ENDORSEMENT WILL BE
CONTROLLED BY THIS ENDORSEMENT.
IT IS AGREED THAT THE INTERIM BILLING RATE AND RATING PLAN
CREDITS (DEBITS) ARE AMENDED AS FOLLOWS.
EFFECTIVE FROM 4/01/02 TO 4/01/03
RATING PLAN MODIFIER
0,87000
ESTIMATED PREMIUM DISCOUNT MODIFIER
0.82913
COMPOSITE FACTOR APPLIED TO BASE RATES
TO DERIVE INTERIM BI~LING RATES.
0.72134
'.,". ,C\.') j 0 FORM
~0-ee/7~
PZ~~~CdY
-i" I V City Attorney
NOTHING IN THIS ENDORSEMENT CONTAINED SHALL BE HELD TO VARY, ALTER, WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR L1MITATI<.?fI$ OF THIS
POLICY OTHER THAN AS STATED. NOTHIN9 ELSEWHERE IN THIS POLICY SHALL BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
77---4-~
-
APRIL 4, 2002 2900F
~RES~
AUTHORIZED REPRESENTATIVE
'-"
...,
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'. STATE
COMPENSATION
INSURANCE
FUND
HOME OFFICE
SAN FRANCISCO
ALL EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
INTERUlBILLING
I
,
'-'
RATE
MODIFICATION ~.
( .
....,
REP 01
682897-02
RENEWAL
SP
2-36-51-65
PAGE 2
AT 12.01 A.M.
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002
~fiAYL~ MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
CONTINUED
****************************************************************
*
* PREMIUM DISCOUNT SCHEDULE EFFECTIVE
*
*
*
*
~{
4/01/02 TO
4/01/03
'k
ESTIMATED MODIFIED PREMIUM IS DISCOUNTED
ACCORDING TO THE FOLLOWING SCHEDULE:
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ok
*
FIRST
$2,500
0.0%
ABOVE
$2,500
17 .5%
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1,
*
*
*
*
***********************r****************************************
THE ESTIMATED PREMIUM DISCOUNT IS BASED ON AN ESTIMATE OF YOUR
PAYROLL. ACTUAL PREMIUM DISCOUNT APPLIED AT FINAL BILLING WILL
BE BASED ON THE ACTUAL PAYROLL REPORTED ON YOUR POLICY AND
SUBJECT TO AUDIT.
NOTHING IN THIS ENDORSEMENT CONTAINED SHALL BE HELD TO VARY, ALTER, WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR L1MITATIO!lS, OF THIS
POLICY OTHER THAN AS STATED. NOTHING" ELSEWHERE IN THIS POLICY SHALL BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
77~~--
AUTHORIZED REPRESENTATIVE
APRIL 4, 2002 2900F
~~
PRESIDENT .
\wi
....,
. .
STATE
" COMPENSATION
INSURANCE
FUND
HOME OFFICE
SAN FRANCISCO
All EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
INTERIM -BILLING RATE MODIFICATION
( i
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68'2891":;:02" .
RENEWAL
SP
2-36-51-65
PAGE 3
'~.
t~Yt
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002
AT 12.01 A.M.
-
DAYLE MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
CONTINUED
IT IS FURTHER AGREED THAT THE FOLLOWING STANDARD CLASS CODE,
BASE RATE AND INTERIM BILLING RATE SHALL APPLY FROM
4/01/02 TO 4/01/03
STANDARD INTERIM
CLASS BASE BILLING
CODE RATE* RATE*
8742 2.08 1.50
8810 1. 70 1.23
8804 9.59 6.92
-
* THE BASE RATE IS PROVIDED FOR YOUR INFORHATION. IT IS THE
RATE WHICH STATE FUND HAS FILED WITH THE DEPARTMENT OF
INSURANCE. THE INTERIM BILLING RATE WILL BE USED ON PAYROLL
REPORTS. IT TAKES INTO ACCOUNT RATING PLAN CREDITS (OR
DEBITS) WHICH WILL APPLY AT FINAL BILLING.
NOTHING IN THIS ENDORSEMENT CONTAINED SHAll BE HELD TO VARY, ALTER, WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR lIMITATI~~,.OF THIS
POLICY OTHER THAN AS STATED, NOTHING elSEWHERE IN THIS POLICY SHAll BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
AUTHORIZED REPRESENTATIVE
APRIL 4, 2002 2900F
~RE~
77~
....
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. ." ~~-
STATE
"COMPENSATION
INSURANCE
FUND
HOME OFFICE
SAN FRANCISCO
ALL EFFECTIVE DATES ARE
AT 12:01 AM PACIFIC
STANDARD TIME OR THE
TIME INDICATED AT
PACIFIC STANDARD TIME
.......
i!
--
REP 01
682897-02
RENEWAL
SP
2-36-51-65
PAGE 1
ENDORSEMENT AGREEMENT
EFFECTIVE APRIL 1, 2002 AT 12.01 A.M.
- .
'DAYLE'MC INTOSH CENTER
FOR THE DISABLED, INC
13272 GARDEN GROVE BLVD
GARDEN GROVE, CA 92843
ANY CONTRADICTION BETWEEN THE POLICY AND THIS ENDORSEMENT WILL BE
CONTROLLED BY THIS ENDORSEMENT.
IT IS AGREED THAT THE FOLLOWING CLASSIFICATION(S) IS (ARE)
HEREBY ADDED TO AND MADE A PART OF THIS POLICY.
RATE(S) EFFECTIVE UP TO 4/01/03
STANDARD
CLASS DESCRIPTION OF WORK
INTERIM
BASE BILLING
RATE" RATE*
2.08 1. 73
1. 70 1.42
8742 SALESPERSONS--OUTSIDE.
8810 CLERICAL OFFICE'BMPLOYEES--N.O.C.
IF THIS CLASSIFICATION CHANGE RESULTS IN INCREASED POLICY PREMIUM,
YOU ARE ENTITLED, AS PROVIDED BY INSURANCE CODE SECTION 11753.1,
TO REQUEST THAT THE CLASSIFICATION DECISION BE RECONSIDERED BY
THE WORKERS' COMPENSATION INSURANCE RATING BUREAU OF CALIFORNIA,
525 MARKET STREET, SUITE 800, SAN FRANCISCO, CALIFORNIA 94105-2716.
*THE BASE RATE IS PROVIDED FOR YOUR INFORMATION. IT IS THE RATE
WHICH STATE FUND HAS FILED WITH THE DEPARTMENT OF INSURANCE.
THE INTERIM BILLING RATE WILL BE USED ON PAYROLL REPORTS. IT
TAKES INTO ACCOUNT RATING PLAN CREDITS (OR DEBITS) WHICH WILL
APPLY AT FINAL BILLING.
NOTHING IN THIS ENDORSEMENT CONTAINED SHALL BE HELD TO VARY, ALTER, WAIVE
OR EXTEND ANY OF THE TERMS, CONDITIONS, AGREEMENTS, OR L1MITATIQNS OF THIS
POLICY OTHER THAN AS STATED. NOTHING ELSEWHERE IN THIS POLlCy'"SHALL BE
HELD TO VARY, ALTER, WAIVE OR LIMIT THE TERMS, CONDITIONS, AGREEMENTS OR
LIMITATIONS OF THIS ENDORSEMENT.
COUNTERSIGNED AND ISSUED AT SAN FRANCISCO:
AUTHORIZED REPRESENTATIVE
MARCH 28, 2002 9955
~RE~
77~
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