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that out of Net System Revenues there may be apportioned such sums for such purposes as are <br />expressly permitted by this Article V. <br />SECTION 5.02. Allocation of System Revenues. (a) In order to carry out and effectuate <br />the commitment and pledge contained in Section 5.01, the City agrees and covenants that all <br />System Revenues shall be received by the City in trust and shall be deposited when and as received <br />in the City of Santa Ana Water Revenue Fund (the "Water Revenue Fund") and which fund the <br />City agrees and covenants to maintain so long as any Installment Payments remain unpaid, and all <br />moneys in the Water Revenue Fund shall be so held in trust and applied and used solely as provided <br />herein. The City shall pay (i) directly or as otherwise required all Maintenance and Operation <br />Costs, (ii) to the Trustee, as assignee of the Authority, for deposit in the Payment Fund for Parity <br />Obligations, the amounts specified in any Issuing Instrument, as payments due on account of Parity <br />Obligations. In the event there are insufficient Net System Revenues to make all of the payments <br />contemplated by clause (ii) of the immediately preceding sentence, then said payments should be <br />made as nearly as practicable, pro rata, based upon the respective unpaid principal amounts of said <br />Parity Obligations. <br />(b) After the payments contemplated by paragraph (a) above have been made, any <br />remaining Net System Revenues shall be used to make up any deficiency in the Reserve Funds <br />and Reserve Accounts for Parity Obligations. In the event there are insufficient Net System <br />Revenues to make up all deficiencies in all Reserve Funds and Reserve Accounts for Parity <br />Obligations, such payments into Reserve Funds and Reserve Accounts shall be made as nearly as <br />practicable pro rata based on the respective unpaid principal amount of all Parity Obligations. Any <br />amounts thereafter remaining in the Water Revenue Fund may from time to time be used to pay <br />for capital expenditures for the Water System or any other lawful purpose of the City, including <br />payments on account of Subordinated Obligations, provided the following conditions are met: <br />(1) all Maintenance and Operation Costs are being and have been paid and are <br />then current; and <br />(2) all deposits and payments contemplated by clause (ii) of paragraph (a) <br />above shall have been made in full and no deficiency in any Reserve Fund or Reserve <br />Account for Parity Obligations shall exist. <br />SECTION 5.03. Additional Obligations. <br />(a) The City may not create any Obligations the payments of which are senior or prior <br />in right to the payment by the City of Parity Obligations. <br />(b) Without regard to Section 5.03(c), the City may at any time enter into or create an <br />obligation or commitment which is a Credit Provider Reimbursement Obligation or a Qualified <br />Swap Agreement provided the Obligation to which the Qualified Swap Agreement relates is a <br />Parity Obligation. <br />(c) After the initial issuance of Parity Obligations hereunder, the City may at any time <br />and from time to time issue or create any other Parity Obligations, provided: <br />(1) The City is not in default under the term of this Agreement. <br />17 <br />55394.00068\42092413.3 <br />