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7- AA19-04; TPM19-01;DA18-02_2800 N MAIN STREET
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7- AA19-04; TPM19-01;DA18-02_2800 N MAIN STREET
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g. Any proposed project, which includes a Food Service Establishment, shall comply <br />with City’s Ordinance No. NS-26-70 for Fat, Oil, and Grease (FOG) Control <br />Program, and its subsequent requirement for construction of a Grease Interceptor. <br /> <br />Developer shall contact City’s Planning and Building Department to incorporate <br />design of the required grease interceptor of adequate size, into the project’s plumbing <br />plans, and to determine an appropriate location for it within the project site. <br /> <br />h. Drainage Assessment area fee. <br /> <br />Note: The above fees are current and subject to change. The applicant must pay the <br />prevailing rate at the time payment is made. Federal Clean Water Protection <br />Enterprise Fee Surcharge of 26% added to public improvement plan check, <br />sewer lateral/water service, street work permit, and grading permit fees. <br /> <br />8. Street work shall be required to be performed by a licensed contractor. The contractor <br />must provide the following prior to issuance of the street work permit. <br /> <br />a. A City of Santa Ana business license. <br /> <br />b. A Certificate of Insurance of general liability containing requirements as set forth by <br />the City Attorney. <br /> <br />c. A Contractors license (with approved classification). <br /> <br />d. Proof of Worker’s Compensation Insurance. <br /> <br />e. Two (2) sets of the approved street improvement plans and traffic control plans. <br /> <br />If there are any new connections to the City’s Water Main, provide an approved <br />application for installation of Water Service. For an application, Contact Water <br />Division, at (714) 647-3320, for assistance. <br /> <br />9. Should the developer seek a building permit release or recordation of the final map prior <br />to completing the off-site improvements, the developer must provide a cash bond (or cash <br />deposit) in an amount specified by the City of Santa Ana upon approval of all <br />improvement plans and unit quantities. This cash bond (or cash deposit) shall guarantee <br />the construction of all necessary improvements. The cash deposit shall be released after <br />the passage of the mechanics lien period from the date that all improvements have been <br />completed and the street work permit has been signed off by the Public Works Agency’s <br />Construction Inspector. The deposit amount will be determined based upon grading and <br />street improvement plans. <br />
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