Laserfiche WebLink
(b)Expense of Contractor's corporate office,except for the Accounting Fee. <br /> (c) Employee salaries or any compensation of any corporate or regional <br /> employee of Contractor. <br /> (d) Employee claims, fines.. Iawsuits, etc. resulting from Contractor's <br /> breach of the Agreement; any costs and expenses not authorized by this Agreement or approved <br /> by the Santa Ana City Manager; any costs, claims covered by Contractor's indemnity obligations <br /> hereunder, any costs incurred by Contractor to repair or replace any Facilities to the extent of <br /> damage resulting from the intentional misconduct or negligence of Contractor. <br /> 6.3 Insufficient Funds. Contractor shall monitor the Facility's cash flow and shall <br /> provide to City a report detailing projected cash flow in the event that Contractor projects an <br /> Operating Deficit, which exceed Operating Account funds available, to occur within thirty (60) <br /> days of providing such report. If at any time funds in the Operating Account shall be projected to <br /> be or are insufficient to pay the Facility's Expenses for the following 60 days, Contractor shall <br /> notify City and request a sufficient amount("Additional Working Capital")to satisfy same so that <br /> Contractor will have sufficient funds in the Operating Account to prevent any delinquency in <br /> payment for such expenses, and City agrees to provide such funds within thirty (30) days after <br /> Contractor notifies City. Contractor shall not be obligated to advance any of its own funds to or <br /> for the account of the Facility or City,nor to incur any liability unless City has furnished Contractor <br /> with funds necessary for the discharge thereof. In the event City fails to timely provide Contractor <br /> sufficient Additional Working Capital to pay expenses, Contractor shall be under no obligation to <br /> pay any bill if there are insufficient funds in the Operating Account. Notwithstanding the <br /> foregoing, if Contractor advances any funds in payment of an expense authorized by any Annual <br /> Budget Plan or budget, or an emergency expenditure, Contractor may reimburse itself from the <br /> Operating Account. <br /> 6.4 AccountinL Procedures/City's Right to Audit <br /> 6.4.1 Books and Records. Contractor shall keep records and invoices in <br /> connection with the Services to be performed under this Agreement. Contractor shall maintain <br /> complete and accurate records with respect to the costs incurred under this Agreement and any <br /> services, expenditures and disbursements charged to City, for a minimum period of three(3)years, <br /> or for any longer period required by law, from the date of final payment to Contractor under this <br /> Agreement. All such records and invoices shall be clearly identifiable. Contractor shall allow a <br /> representative of City to examine, audit, and make transcripts or copies of such records and any <br /> other documents created pursuant to this Agreement during regular business hours. City shall have <br /> the right to audit Contractor's accounting procedures and internal controls of Contractor's financial <br /> systems and to examine any cost, revenue, payment, claim, other records or supporting <br /> documentation resulting from any transactions under this Agreement. Contractor shall allow <br /> inspection of all work, data, documents, proceedings, and activities related to the Agreement for a <br /> period of three (3) years from the date of final payment to Contractor under this Agreement. <br /> Contractor shall provide an audit report to the City on or before December I' of each year, <br /> beginning December 1, 2027. <br /> -15- <br />