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City of Santa Ana <br />Agreement No.: D2201000 <br />Project No.: C-06-8478-1 10 <br />Page 17 of 48 <br />B.2.3 Interest Rate and In -Lieu of Interest Charges. <br />(a) The Recipient agrees to make all Payments according to the schedule in Exhibit E, and as otherwise <br />set forth herein, at an interest rate of two and six -tenths percent (2.6%) per annum. <br />(b) Interest will accrue beginning with each disbursement. <br />(c) In lieu of, and not to exceed, interest otherwise due under this Agreement, the Recipient agrees to pay <br />the following charge(s), as further set forth in Exhibit E: <br />• an Administrative Service Charge <br />• a Small Community Grant Fund Charge <br />B.2.4 [Reserved.] <br />B.2.5 Obligation Absolute <br />The obligation of the Recipient to make the Payments and other payments required to be made by it <br />under this Agreement, from the Net Revenues and/or other amounts legally available to the Recipient <br />therefor, is absolute and unconditional, and until such time as the Payments and Additional Payments <br />have been paid in full, the Recipient must not discontinue or suspend any Payments or other payments <br />required to be made by it hereunder when due, whether or not the Project, or any related part thereof is <br />operating or operable or has been completed, or its use is suspended, interfered with, reduced or <br />curtailed or terminated in whole or in part, and such Payments and other payments shall not be subject to <br />reduction whether by offset or otherwise and shall not be conditional upon the performance or <br />nonperformance by any party of any agreement for any cause whatsoever. <br />B.2.6 Payment Timing. <br />(a) Beginning one year after Completion of Construction, the Recipient must submit an annual Payment <br />of the principal of the Project Funds, together with all interest accruing thereon. The Recipient must make <br />Payments fully amortizing the total principal of the Project by the Final Payment Date. Payments are <br />based on a standard fully amortized assistance amount with equal annual payments. <br />(b) The remaining balance is the previous balance, plus the disbursements, plus the accrued interest on <br />both, plus any Charge In Lieu of Interest, less the Payment. Payment calculations will be made beginning <br />one (1) year after Completion of Construction. Exhibit E is a payment schedule based on the provisions <br />of this Exhibit and an estimated disbursement schedule. Actual payments will be based on actual <br />disbursements. <br />(c) Upon Completion of Construction and submission of necessary reports by the Recipient, the Division <br />will prepare an appropriate payment schedule and supply the same to the Recipient. The Division may <br />amend this schedule as necessary to accurately reflect amounts due under this Agreement. The Division <br />will prepare any necessary amendments to the payment schedule and send them to the Recipient. The <br />Recipient must make each Payment on or before the due date therefor. A ten (10) day grace period will <br />be allowed, after which time a penalty in the amount of costs incurred by the State Water Board will be <br />assessed for late payment. These costs may include, but are not limited to, lost interest earnings, staff <br />time, bond debt service default penalties, if any, and other related costs. For purposes of penalty <br />assessment, payment will be deemed to have been made if payment is deposited in the U.S. Mail within <br />the grace period with postage prepaid and properly addressed. Any penalties assessed will not be added <br />to the assistance amount balance, but will be treated as a separate account and obligation of the <br />Recipient. The interest penalty will be assessed from the payment due date. <br />Exhibit C <br />