HomeMy WebLinkAbout25D - AGMT - SOFTWARE SUPPORTREQUEST FOR
COUNCIL ACTION
CITY COUNCIL MEETING DATE:
DECEMBER 20, 2016
TITLE:
AGREEMENT AMENDMENT WITH ACTIVE
NETWORK FOR MAINTENANCE AND
SUPPORT OF CLASS SOFTWARE
(STRATEGIC PLAN NO. 5,6C)
ti
CITY MANAGER
RECOMMENDED ACTION
CLERK OF COUNCIL USE ONLY:
❑ As Recommended
❑ As Amended
❑ Ordinance on 18' Reading
❑ Ordinance on 2nd Reading
❑ Implementing Resolution
❑ Set Public Hearing For
CONTINUED TO
FILE NUMBER
Authorize the City Manager and Clerk of the Council to execute a second amendment to the
agreement with Active Network for maintenance and support of CLASS software, which will
extend the term end -date from November 30, 2016 to November 30, 2017 and increase the total
amount under the existing agreement and amendment by $11,965.91 for the renewal period for a
total amount of $34,230.88 for the three-year period, subject to non -substantive changes
approved by the City Manager and City Attorney,
DISCUSSION
The City utilizes a software application to process recreational class registrations and facility
reservations for its athletic fields, recreation centers and senior centers. The system is essential
for operations, but requires on-going maintenance and support from Active Network to be
functional.
The City purchased the system over 10 years ago. In June 2015, the City entered into its most
recent yearly maintenance and support agreement and has amended it once to extend the term
end -date. This amendment will extend the term end -date one final time as the software will be
obsolete in November 2017. PRCSA has already started the process for selecting new software.
The effective date of the agreement amendment will be November 30, 2016, which is when the
vendor signed the amendment, before the expiration of the previous amendment. The vendor
has continued to provide services on the same terms and conditions.
STRATEGIC PLAN ALIGNMENT
Approval of this item allows the City to meet Goal #5 - Community Health, Livability, Engagement &
Sustainability, Objective #6 (Focus projects and programs on improving the health and wellness of
all residents), Strategy C (Integrate a variety of health and wellness programs into existing
25D-1
Agreement Amendment with Active Network for
Maintenance and Support of CLASS Software
December 20, 2016
Page 2
programming at each of the city's community/recreation centers (e.g. Develop equitable health
access points)).
FISCAL IMPACT
Funds are available in the following account for the specified year:
Accounting Unit
Gerardo Mouet
Executive Director
Parks, Recreation and Community Services
Agency
FY 16/17
11,965.91
APPROVED AS TO FUNDS AND ACCOUNT:
Francisco Gutierrez
Executive Director
Finance and Management Services Agency
25D-2
AMENDMENT (No. 2)
TO THE AGREEMENT
This Amendment No. 2 (this "Amendment") is made effective as of (the
"Amendment Effective Date") by and between City of Santa Ana ("Client") and Active Network, LLC (successor in
Interest to The Active Network, Inc.) ("Active") and emends that certain Products and Services Agreement, dated as
of June 9, 2015 as amendment by Amendment #1 dated November 30, 2015 (together the "Agreement") entered
Into by the Parties. Client and Active are also individually referenced herein as a "Party" and collectively as the
"Parties." Capitalized terms used but not defined herein shall have the meanings ascribed to such terms in the
Agreement.
NOW THEREFORE in consideration of the mutual covenants, recitals and promises contained in
this Amendment and for other good and valuable consideration, the receipt and sufficiency of which Is hereby
acknowledged by each Party, the Parties hereto hereby agree as follows:
Changes to the Agreement.
Section 6.1 Termination of the Agreement is deleted in its entirety and replaced with the following:
6.1 Termination. This Agreement will terminate on November 30, 2017, unless terminated:
(a) at the option of either party if the other party materially defaults in the performance or observance
of any of its obligations hereunder and fails to remedy the default within thirty (30) days after receiving
written notice thereof; or
(b) without limiting (a), at the option of Active if Client breaches its payment obligations, provided that
the right of termination will be in addition to all other rights and remedies available to the parties for breach
or default by the other, or
(c) as allowed in Section 23,
2, Full Force and Effect. Except as expressly modified herein, the Agreement remains in full force
and effect. All references in the Agreement to "this Agreement," "hereto," "hereof," "hereunder" or words of like Import
referring to the Agreement shall mean the Agreement as amended by this Amendment. In the event any of the terms
and conditions of the Agreement conflict with the terms and conditions of this Amendment, the terms and conditions
of this Amendment shall prevail only as to the subject matter expressly stated herein.
3. Counterparts. This Amendment may be executed in several counterparts, each of which shall be
deemed an original, but all of which together shall constitute one and the same document, binding against each of the
Parties. To the maximum extent permitted by law or by any applicable governmental authority, this Amendment may
be transmitted by facsimile, electronic mail (including pdf) or other transmission method with the same validity as if it
were an Ink -signed document and any counterpart so delivered shall be deemed to have been duly and validly
delivered and be valid and effective for all purposes.
IN WITNESS WHEREOF,. the Parties hereto have executed this Amendment as of the Amendment
Effective Date,
Active Network, LLC City of Santa Ana
by its authorized signatory by its authorized signatory
25D-3
Name: 1411a,,s ' fr,vu,rar"'-
Name:
David Cavazos
Title:
Title:
City Manager
/
Date:
Date:
Approved es to Form:
Attest:
Recommended for Approval:
n M. Funk
Assistant City Attorney
Revised 03!1012014
Maria D. Huizar
Clerk of the Cotincil
Gerardo Mouet
Executive Director, PRCSA
25D-3
ACTIVE
netwca*
Contact Into:
717 N. Hamood Street
Dallas, TX 752.01 United States
Phone: 489-251-0300 Option 4 - Fax: 469-533-3940
Questions? Email us at AalissAR&CILIve corn
Bill To:
CITY OF SANTA ANA
Attn: Accounts Payable
PO BOX 1988 M-23
SANTA ANA, CA 92702 United States
Invoice
CITY OF SANTA ANA
Cast Invoice Invoice Dato Customer PO#
3610 4100153843 31 -AUG -16
Ship Tor
CITY OF SANTA ANA.
AM:
PO BOX 1988 W23
SANTA ANA, CA 92702 United States
Please Pay this Amount:
Notes:
Yearly installment 1 of 1
Due Date Transaction Type Curr
29 -NOVAS INV -INC COM SOL USD
UOM Unit Price Ext Amount
Year 6,685.25 6,685.25
Year 4,264,25 4,254.25
Year 182.33 182.33
Year 678.70 678.70
Year 185,38 165.38
Sup -total: 11,865.91
Tax Total: 0.00
Invoice Total; 11,965.91
Balance Due: 11,965,91
Please Remit Check Payment to our Lockbox: Please Remit Wire/ACH Payments to:
Active Network, LLC Beneficiary's Bank: JP Morgan Chase, New York NY 10004
26158 Network Place Benellclary's Bank SWIFT BIC: CHASUS33
Chicago, IL 60673-1261 Banefclary's Account Number: 455194881
Beneficiary's Bank Wire Routing Number: 021000021
Beneficiary's Bank ACH Routing Number: 124001545
Beneficiary's Name: Active Network, LLC
Beneficiary's Address: 10182 Telesis Court, San Diego, CA 92121
TO PAY BY CREDIT CARD OR ACH, OR TO SET IJP RECURRING PAYMENT, PLEASE CONTACT US AT A I'veARfw cove com.
PLEASE BE SURE TO INCLUDE ACTIVES INVOICE NUMBER ON YOUR REMITTANCE
2501-4
Safes Person Sates Order # - Order Type Quote If
Terms
Mainz Renewal
3C4100003'774 -6 -R29 -AUG -16
90 NET
13:27;19 -R29 -AUG -16 13:27:19
Ln
Item #
Description Delivery Method
Ordered Invoiced
Class � Maintenances& Support Renewal -
1
70719MR.
Registration (includes Flex Reg) - per
1,00
1.00
workstation: 12/01/2016 -- 11/30/2017:
Class- Maintenance & Support Renewal -
2
70721MR
Reservations (Includes QulckRez) - per
1.00
1.00
workstation: 12/01/2016 -11/3012017:
3
T0636MR
Class - Maintenance & Support Renewal -
1.00
1,00
Crystal Reports: 12/01/2016 -1 1 /3000 17:
Class - Maintenance & Support Renewal -
4
70667MR
Brochure.link (Desktop Publishing
1.00
1,00Integration)
- per server. 12/01/2016 -
11/30/2017::
Class - Maintenance & Support Renewal -
5
70708MR
Muldlingual.-Front Desk- par workstation:
1.00
1.,00
1210112016 -- 11/3012017:
Please Pay this Amount:
Notes:
Yearly installment 1 of 1
Due Date Transaction Type Curr
29 -NOVAS INV -INC COM SOL USD
UOM Unit Price Ext Amount
Year 6,685.25 6,685.25
Year 4,264,25 4,254.25
Year 182.33 182.33
Year 678.70 678.70
Year 185,38 165.38
Sup -total: 11,865.91
Tax Total: 0.00
Invoice Total; 11,965.91
Balance Due: 11,965,91
Please Remit Check Payment to our Lockbox: Please Remit Wire/ACH Payments to:
Active Network, LLC Beneficiary's Bank: JP Morgan Chase, New York NY 10004
26158 Network Place Benellclary's Bank SWIFT BIC: CHASUS33
Chicago, IL 60673-1261 Banefclary's Account Number: 455194881
Beneficiary's Bank Wire Routing Number: 021000021
Beneficiary's Bank ACH Routing Number: 124001545
Beneficiary's Name: Active Network, LLC
Beneficiary's Address: 10182 Telesis Court, San Diego, CA 92121
TO PAY BY CREDIT CARD OR ACH, OR TO SET IJP RECURRING PAYMENT, PLEASE CONTACT US AT A I'veARfw cove com.
PLEASE BE SURE TO INCLUDE ACTIVES INVOICE NUMBER ON YOUR REMITTANCE
2501-4