Laserfiche WebLink
City of Santa Ana <br />Agreement No.: D2201000 <br />Project No.: C-06-8478-1 10 <br />Page 18 of 48 <br />(d) The Recipient is obligated to make all payments required by this Agreement to the State Water Board, <br />notwithstanding any individual default by its constituents or others in the payment to the Recipient of fees, <br />charges, taxes, assessments, tolls or other charges ("Charges") levied or imposed by the Recipient. The <br />Recipient must provide for the punctual payment to the State Water Board of all amounts which become <br />due under this Agreement and which are received from constituents or others in the payment to the <br />Recipient. In the event of failure, neglect or refusal of any officer of the Recipient to levy or cause to be <br />levied any Charge to provide payment by the Recipient under this Agreement, to enforce or to collect <br />such Charge, or to pay over to the State Water Board any money collected on account of such Charge <br />necessary to satisfy any amount due under this Agreement, the State Water Board may take such action <br />in a court of competent jurisdiction as it deems necessary to compel the performance of all duties relating <br />to the imposition or levying and collection of any of such Charges and the payment of the money <br />collected therefrom to the State Water Board. Action taken pursuant hereto shall not deprive the State <br />Water Board of, or limit the application of, any other remedy provided by law or by this Agreement. <br />(e) Each Payment must be paid in lawful money of the United States of America by check or other <br />acceptable form of payment set forth at www.waterboards.ca.gov/make a payment. <br />The Recipient must pay Payments and Additional Payments from Net Revenues and/or other amounts <br />legally available to the Recipient therefor. <br />B.2.7 Pledged Revenues. <br />B.2.7.1 Establishment of Enterprise Fund and Reserve Fund. <br />In order to carry out its System Obligations, the Recipient covenants that it shall establish and maintain or <br />shall have established and maintained the Enterprise Fund. All Revenues received shall be deposited <br />when and as received in trust in the Enterprise Fund. As required in this Exhibit, the Recipient must <br />establish and maintain a Reserve Fund. <br />B.2.7.2 Pledge of Net Revenues, Enterprise Fund, and Reserve Fund <br />The Obligation hereunder shall be secured by a lien on and pledge of the Enterprise Fund, Net <br />Revenues, and any Reserve Fund on parity with the Parity Obligations. The Recipient hereby pledges <br />and grants such lien on and pledge of the Enterprise Fund, Net Revenues, and any Reserve Fund to <br />secure the Obligation, including payment of Payments and Additional Payments hereunder. The <br />Enterprise Fund, Net Revenues in the Enterprise Fund, and any Reserve Fund shall be subject to the lien <br />of such pledge without any physical delivery thereof or further act, and the lien of such pledge shall be <br />valid and binding as against all parties having claims of any kind in tort, contract, or otherwise against the <br />Recipient. <br />B.2.7.3 Application and Purpose of the Enterprise Fund. <br />Subject to the provisions of any outstanding System Obligation, money on deposit in the Enterprise Fund <br />shall be applied and used first, to pay Operations and Maintenance Costs, and thereafter, all amounts <br />due and payable with respect to the System Obligations in order of priority. After making all payments <br />hereinabove required to be made in each Fiscal Year, the Recipient may expend in such Fiscal Year any <br />remaining money in the Enterprise Fund for any lawful purpose of the Recipient. <br />B.2.8 No Prepayment. <br />Pursuant to State Water Board's Debt Management Policy, adopted on October 3, 2017, the Recipient <br />may not prepay any portion of the principal and interest due under this Agreement without the written <br />consent of the Deputy Director of the Division. <br />Exhibit C <br />