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HomeMy WebLinkAboutDIV Policy Budget09/0S/2002 00:35 317-232-5144 DIV PDLICY BUDGET PAGE 07 UNITED STATES OF AMERICA STATE OF INDIANA COUNTY OF CLARK JEFFERSONVILLE REDEVELOPMENT DISTRICT TAXABLE TAX INCREMENT REVENUE BONDS OF 2000 iNTEREST MATURITY ORIGINAL AU~TICATION RATE.. DAT~E ~ DATE 3% January 157 2028 January 19, 2000 January 19, 2000 REGISTERED OWNER: STATE OF INDIANA, ACTiNG BY AND THROUGH THE INDIANA DEPAK'IMENT OF TRANSPORTATION PRINCIPAL AMOUNT: TI-nlEB MILLION DOLLARS ($3,000,000) The Jeffersonville Redevelopment Commission ("Commission"), acting in the name of the CiW of Seffersonville ("City"), for value ~eceivexi, hereby acknowledges itself indebted and promises to pay, but solely out of Tax Incremem (defined in the Bond P~solution defined below), subject to the Sen/or Obligatiom (as defined in the Bond Resolution) and the funds or accounB held under the Bond Resolution to the registered owner (named above) or registered assigns, the principal Amount set forth above, or so much of the Principal Amount as shall have been advanced, on the Maturity Date set forth above (unless paid or prepaid or redeemed earlier as hereinafter provided), and to pay interest thereon on the unpaid balance from the dates of payment recorded hereon at the rate per annum xtated above until the Principal is paid. Imerest shall be payable on January 15~ and July 15ta of each year, commencing no later than January 15, 2008. Interest shall be calculated on the basis of twelve 30-day months for a 360-day year. The principal of this Bond is payable in lawful money of the United States of America upon presentation at the office of the Paying Agent or at the principal corporate trust office of any successor paying agent appointed under the Bond Resolution hereinafter defined. Interest on this Bond shall be paid by check mailed to the registered owner of this Bond at the address as it appears on the registration books kept by the Registrar as of the fifleenth day immediately preceding the interest payment date or at such other address as is provided to the Registrar in writing by the registered owner. THIS BOND DOES NOT CONSTITUTE A CORPORATE OBLIGATION OF THE CITY OF JEFFEKSONVILLE, BUT CONSTITUTES AN OBLIGATION OF THE CITY OF JEFFERSONVILLE REDEVELOPMENT DISTRICT ("DISTRICT") AS A SPECIAL TAXING DISTRICT, IN THE NAME OF THE CITY, PAYABLE SOLELY FROM TAX INCREMENT, 89/89/2882 88:39 317-232-5144 DIV POLICY BUDGET PAGE 88 ACCOUNTS ESTABLISHED UNDER THE BOND RESOLUTION. NEITHER THE FAITH AND CREDIT NOR THE TAXING POWER OF THE DISTRICT OR THE CITY OF SEFFERSONVILLE IS PLEDGED TO PAY THE pRINCIPAL OF OK INTEREST ON THIS BOND. This Bond is the Jeffersonville Redevelopment District Taxable Tax Increment Revenue Bond of 2000 ("Bond"), issued in the aggregate principal mount of $3,000,000. The Bond is issued pursuant to the Amended and Restated Bond Resolution adopted by Jeffersonville Redevelopment Commission ("Comm/ssion") on December 15, 1999 ("Bond Resolution"), and in strict compliance with lC 36-7-14, IC 36-7-25 and all related and supplemental acts as in effect onthe issue date of the Bonds, including lC 5-1-i4 (collectively, "Act"), for the purpose of evidencing a loan to the Commission from the State of Indiana ("State"), acting by and through the Indiana Department of Transportation ("INDOT"), and procuring such loan to finance certain local public improvements as more fully described in the Bond Resolution), including issuance exposes of the Bonds. Such local public improvements consist of the construction of certain road improvements in, serving or benefitting the Inner City Road Economic Development Area ( Economic Development Area ), an economic development area under the Act and the District. Payment of the purchase price of this Bond shall be made in installments from time to time, with such installments recorded on the Record of Payment for 1999 Bond attached hereto. The Bond is equally and ratably secured by and entitled to the protection of the Bond Resolution. Serdor Obligations (defined in the Bond Resolution) payable prior to the 1999 Bond may be issued as described below. Parity Obligations (defined in the Bond Resolution) may also be issued as described below. To secure payment of the Debt Service (defined in the Bond Resolution) and performance of all other covenants of the Commission and the District nnder the Bond Resolution, the Commission, acting in the name of the City of Jeffersonville, pursuant to the Bond Resolution, has pledged lax Increment and the funds and accounts lleld under the Bond Resolution to the Bonds, subject to prior payment of the Senior Obligations. Reference is hereby made to the Bond Resolution for a description of the rights, duties and obligations of the Colllmission, the District and the Owner, thc terms and conditions upon which the Bonds is issued and the terms and conditions upon which the BoM will be paid at or prior to maturity, or will be deemed to be paid and discharged upon the making ofprovisinns for payment therefor. Copies of the Bond Resolution a~e on file at the office of the Commission and a copy of the Bond Resolution was provided to the Purchaser (defined in the Bond Resolution). THE OWNER OF THIS BOND, BY ITS ACCEPTANCE OF THIS BOND, HEREBY AGREES TO ALL THE TERMS, CONDITIONS AND OTHER PROVISIONS OF THE BOND RESOLUTION. The Bond is redeemable at the option of the Commission, on any date, in whole or in pa~, in the order of maturity determined by the Commission, upon seven days' notice, without premium, plus interest accrued to the date fixed for redemption. The Bond is subject to mandatory sinking fund redemption prior to maturity at a ~edemption price equal to the principal mount thereof, plus accrued interest, on January 15th and July 15t~ on the dates and in the amounts set forth on the aRached Schedule A. Schedule A may be adjusted upon completion of the Project (as defined in the Bond Resolution) upon agreement of the Commission and the Registered Owner in accordance with the terms of the Bond Resolution. So long as iNDOT is the Owner of the Bond, no notice of redemption need be given. The Commission has issued end may issue from time to time Senior Obligations payable 576114.1 2 89/89/2882 88:39 317-232-5144 bIV POLICY BUDGET PAGE from Tax increment prior to payment of thc Bonds. Such Senior Obligations are described in this Bond as the "Senior Obligations," The Commission reserves the right to authorize and issue additional bonds or enter into leases payable from Tax Increment, ranking on a parity with the Bonds, as provided in the Bond Kesolution. Such parity obligations are described in this Bond as "Parity Obligations." The Commission may, without the consent of, or notice to, the Owner of this Bond, adopt a supplemental resolution to the Bond l~esointion under certain circumstances as described in the Bond Resolution. The Owner of not less than 51 percent in ag~egate principal amount of thc Bond tl~en outstanding shall have the right, from time to time, anything contained in the Bond I~esointion to the contrary notwithstanding, to consent to and approve thc adoption by the Commission of such supplemental resolutions as shall be deemed necessary and desirable by the Commission for the purpose of modifying, altering, amending, adding to or rescinding, in any particular, any of thc terms or provisions contained in the Bond P, esolution or in any supplemental resolution other than those provisions covered by the paragraph above. This Bond is transferable or exchangeable only upon the books of the Commission kept that purpose at the ofi~ce of the l~.¢gistrar by the Owner in person, or by its attorney duly authorized in writing, upon sunrender of this Bond, together with a written instrument of transfer or exchange satisfactory to the l~egistrar, duly executed by thc Owner or its attorney duly authorized in writing, and thereupon a new fully registered or Bond in the same aggregate principal amount and series and o£the same maturity, shall be executed and delivered in the name of the t~ansferee or the Registered Owner, as the case may be, therefor. The Registrar shall not be obligated to (a) register, transfer or exchange the Bond during a period of 15 days next preceding mailing of a notice of redemption of the Bond, or (b) to register, transfer or exchange the Bonds selected, called or being called for redemption in whole or in pan after mailing notice of such call. The City and the Kegistrar may treat and consider the person in whose name this Bond is registered as the absolute owner hereof for all purposes, including for the puq~ose of receiving payment of, or on account of, the principal hereof. This Bond may be transferred or exchanged without cost to the Owner, except for any tax or governmental charge requ/red to be paid with respect to the transfer or exchange, which taxes or governmental charges are payable to the person requesting such transfer or exchange. If this Bond shall have become duc and payable in accordance with its terms or shall have been duly called for redemption or irrevocable instructions to call this Bond or a poztion thereof for redemption shall have been given, and the whole amount of the principal of and interest so due and payable on this Bond or portion thereof then outstanding shall be paid or (i) sufficient moneys, or (ii) direct obligations of, or obligations the principal of and interest on which are unconditionally guaranteed by, the United States of America, the principal of and the interest on which when due will provide sufficient moneys for such purpose, or (iii) obligations of any state of the United States America or any political subdivision thereof, the full payment of principal of and interest on which (a) are unconditionally guaranteed or insured by thc United States of'America, or (b) are provided for by an irrevocable deposit of securities described in clause (ii) above and are not subject to call or redemption by the issuer thereof prior to maturity or for which irrevocable instructions to redeem haYe been given, shall be held in trust for such purpose, and provision shall also have been made for paying ali fees and expenses in connection with the redemption, then and in that case this Bond shall no longer be deemed outstanding or an indebtedness of the District. It is hereby certified, recited and declared that all acts, conditions and things required to be done precedent to and in the execution, issuance, sale and delivery of thls Bond have been properly done, happened and performed in regular and due form as prescribed by law, and that thc total 09/09/2002 08:39 317-232-5144 DIV POLICY BUDGET PAGE R-1 indebtedness of the District, including this Bond, does not exceed any constitutional or statutory limitation of indebtedness. This Bond shall not be valid or become obligatory for any purpose until the certificate of authentication hereon shall have been duly executed by the authorized representative of the Registrar. IN WITNESS WHEREOF, the Seffersonville Redevelopment Commission has caused this Bond to be executed by the manual or facsimile signatures of the Mayor, in the name of the City o£ -:cffersonville0 for and on behalf of the 3effersonville Redevelopment District, and attested by the manual or facsimile signature of the Clerk-Treasurer, who has caused the seal o£ the City of ~efJ:ersonville to be impressed or a facsimile thereof to be printed hereon. (SEAL) Attest: ~76114,1 4 09/89/2002 08:39 317-232-5144 DIV POliCY BUDGET PAGE 02 FIRST AMENDMENT OF AND SUPPLEMENT TO AGREEMENT FOR LOAN NO. IB dated as of Jauuary 19, 2000 ("First Amendment"), by and between the State of Indiana, acting by and thtou§h the Indiana Department of Transportation ("INDOT"), and the City of Seffersonville ("Local Goxernment"), which First Amendment amends and supplements the Agreement for Loan No. 1B made and entered into as of August 5, 1999 ("Original Agreement"), by and between INDOT and Lo~al Oovernment, as provided in this First Amendment. (Notwithstanding anything in this First Amendment to the contrary, t~ms used in this First Amendment and not defined are used with the same meanings as are ascribed to such terms in the Original Agreement,) WHEREAS, INDOT and Local Government duly entered into the Original Agreement to provide for the Loan fOr the Project; and WttEREAS, in structuring the loan and ¢ffecting the Project, 1NDOT and Local Government determined that it was in their best interests to amend and supplement the Original Agreement as provided in this First Amendment; NOW, THEREFORE, in consideration of the mutual covenants contained in this First Amendment and the Original Agreement, INDOT and Local Government mutually covenant and agree as follows: A. Section 2 of the Original Agreement is amended and restated as follows: The Loan shall be evidenced by bonds to be issued by Local Government in accordance with Indiana law ("Bonds"). The Bonds evidencing the Loan stroll be paid by Local Government to the $1B, acting by and through INDOT, not later than the date that is twenty (20) years after the date of completion of Local Gowmment's portion of the Project, but in no event later than January 15, 2028 ("Maturity Date"). The Loan shall b~ paid in aoeordance with the final tera~s of the Bonds, which shall be cetxheied to INDOT by Local Government on the Closing Date (d~fined below) and constitute the Plan for Repayment of the Loan: .INDOT shall deposit into an account in the SIB fund esWblished by the State of Indiana ("SIB Fu~d") the proceeds of the sale of the Bonds and all payments of principal of and interest on the Bonds received from Local Government. Exhibit A to the Original Agreement is hereby deleted and is of no further force and effect. C. Section 4 of the Original Agreement is amended and restated as follows: Payment of the Bonds evidencing the Loan shall begin not later than five (5) years al~er the date of completion of Locai (]overmnenfs portion of~e Project, but in no event later than Jenuaty 15, 2008. 555228.5 09(09/2002 08:35 317-232-5144 DIV POLICY BUDGET PAGE 03 The Original Agreement is amended and supplemented by the addition of (i) each of thc following paragraphs, numbered 13 through 23, and (ii) Bxhibit I to this First Amendment: 13. Subject to paragraph 14, on the Closing Date: INDOT agrees to purchase the Bonds e~id~ncing thc Loan for the SIB, and Bo Local Government agrees to sell to, and privately place with, rNDOT for the SIB, the Bonds, as provided in this Agreemant, as amended and supplemented. "Closing Date" means the date of original i~uane~ of the Bonds, 14. The purchase price for the Bonds is one hundred (100) percent of thc aggregate principal anlount thereof, or $3,000,000.00, and without accrued interest (thc "Purchase Price"). 15. No .placement fee, underwriter's discount or tike fee is payable by Local Government or INDOT or any other persons in connection with the transactions contemplated by this Agrc~nent, as amended and supplemented. 16. The further terms and conditions of thc Bonds am provided in the resolution pursuant to which the Bonds will be issued by the Local Government acting through its Redevelopment Commission, as such resolution may be amended and suppIemented from time to time ("Bond Resolution"), and the security and sonrees of payment for the Bonds are also provided in the Bond Resolution. 17. The Bonds shall be registered to and in the name of"State of Indiana, acting by and through the Indiana Depaxtment of Transportation, for the State Infrastru~ Bank Program." 18. Subject to the other provisions of this Agreement, as amended and supplemented, on the Closing Date, the Bonds shall be delivered to INDOT for the account and benefit of the State Infrastructure Bank Program, against payment of the Purchase Price, in immediately available funds, to Local Government for deposit in an account in the SIB Fund. 19. In addition, as a condition precedent to the issuance and sale of the Bonds, on the Closing Date, INDOT, by its Commissioner, its Chief Financial Officer or a Deputy Commissioner, shall execute and deliver to Local Govermnem ~S$228.5 - 2 - 89/89/2662 88:39 317-232-5144 DIV POLICY BUDGET PAGE 04 and the other addressees thereof, au investment letter, substantiall~ in the form of Exhibit. I, relating to the placement of the Bonds with INDO? ("Iavastmeat I.~tt~"). 20. Ifauy provision of this Agreement, as arnanded and supplemented, shall for any reason be held to be invalid or unenforceable, the invalidity or unenforceabllity of such provision shall not affect any remaining provision, and this Agreemenlg as amended and supplemented, shallbe construed and in force as if such invalid or unenforceable provision had not been contained herein. 21. IN-DOT and Local Government, as applicable, agree that they will (i) execute any and all agreements, documents and instruments, including the Investment Letter and a certificate as to the final terms of the Bonds, and (ii) take such other actionz as may be necessary or appropr/ate, to give effect to the transactions contemplated by th/s Agreement, as amended and supplemented. 22. No waiver by INDOT or Local Government of any term or condition of this Agreement, as amended and supplemented, shall be deemed or construed as a waiver of any other term or condition hereof, nor shall a waiver of any breach be deemed to constitute a waiver of any subsequent breach, whether of the same or ora different section, subsection, paragraph, clause, phrase or other provision hereof. 23. This Agreement, as amended and supplemented, together with the Bond Resolution and all the other agreements, ecrtificatcs and instruments relating to the Bonds and the SIB Program, merge and supersede all prior negotiations, rcprcscntslions and agreements between INDOT and Local Government relating to the issuance and placement of the Bonds, and constitute thc entire agreement betxveen INDOT and Local Government with re,peet to the issuance and placement of the Bonds. INDOT and Local Govennnent understand and agree that this First Amendment shall not be effective unless and until it is approved as to form aud legality by the Attorney Ocneral of Indiana or the Attorney General's authorized representative, and the date shown under the signature thereof is the effective date hereof. Except as prov/ded in ~ Fkst Amendment, thc provisions of the Original Agreement shall remain the same on and after the execution and delivery of this First Amendment. Pursuant to Indiana Code 22-9-1-10, Local Government and its subcontractors, if any, shall not discriminate agaitmt any employee or applicant for employment, to be 55:5228.5 - 3 = 09/09/2002 08:39 317-232-5144 DIV POLICY BUDGET PAGE 05 employed in the performance of work under th~s F~st Amendment, with respect to hire, tenure, terms, or conditions or privileges of c~nployment~ because of race, color, religion, sex, ~sabili~', national origin or ancestry. B~ach of this covenant may be regarded as a material breach of this First Amendment. Insofar as authorized by law, this Agreement shall be binding upon INDOT and Local Govenuncnt and their successors or assigns. Maintaining a Drug-Free Workplace: Local Government hereby covenants and agrees to (i) make a good faith effort to provide and maintain during thc term of this First Amendment a drag-free workplace, and (ii) given written notice to IN'DOT within ten (10) days after receiving actual notice that an employee of Local Government has been convicted of a criminal drug violation occurring in Local Government's workplace. In addition to the provisions of paragraph 1 above, if the total amount set forth in finis First Amendment is in excess of $25,000, Local Government hereby further agrees that this First Amendment is expressly subject to the terms, conditions and presentations contained in the Drug-Free Workplace certification executed by the Local Government in junction with this First Amendment and which is appended as an attachment hereto.' It is further expressly agreed that the failure of Local Government to, in good faith, comply with the terms of subparagraph 1 above, or falsifying or otherwise violating the terms of the certification referenced in subparagraph 2 above shall constitute a material breach of this First Amendment. Any person executing this First Amendment by or on behalf of INDOT hereby represents and warrants that such person has been duly authorized by such person's principal to execute this First Amendment on such principal's behalf, Local Government represents and warrants to FNDOT that the person sigubag this First Amendment has been duly authorized to do so by and on behalf of Local Govermllent, Wherever possible, each provision of this First Amendment shall be interpreted ha such m~mer as to be effective and valid under applicable law, but if any provision of this First Amendment shall be prohibited by or invalid under applicable law, such provision shall be haeffective only to the extent of such prohibition or invalidity, without invalidating the remainder of such provision or the remaining provisions of tMs First Amendment 555228.5 - 4 - 88:39 317-232-5144 POLICY BUDGET PAGE 86 CAL GO¥~RNN~NT ~'i'AIE; OF LNDIANA lndl~nn l~paz'tmen! of ~l'nmspottalion Appel, ed: INDIANA DEPARTMENT OF TRANSPORTATION 100 North Senate Avenue Room N755 Indianapolis, Indiana 46204-2249 (317) 232-5533 FAX: (31 7) 232-0238 An Equal Opportunity Employer · http://www, state, in.us/dot FRANK 0 'BANNON, Governor CRISTI~E 3/L KLIKA, Commissioner Date: January 9, 2001 Writer's Direct Line 3 ! 7-232-5640 Gary Eaton, INDOT Policy and Budget Tim Miller, INDOT Policy and Budget Tony Hedge, INDOT Accounting and Control Bruno Ca,zian, rNDOT Program Development Rick Whitney, INDOT Executive Office Mayor Thomas Galligan, City of Jeffersonvilte Peggy Wilder, City of Jeffersonville Clay Baird, Town of Clarksvitle Trish White, Town of Clarksville John Minta, Town of Clarksville Jorge Lanz, Jacobi, Toombs and Lar~, Inc. From: Chris Kubik, INDOT Policy and Budget, SIB Program Manager Re: Funding recap for bridge portion of the Intercity Road Project The bridge portion of the intercity road project is scheduled for letting as part of an INDOT project on 1- 65, Contract R-25141. The bridge project will have separate identity within the bid and has been given a designation number of 9880132. The following highlights represent the procedures for the funding of the bridge project: The contract is scheduled for letting in March or April of 200 t. ,, The contract is part of an IN'DOT project, but will have distinct identity via the DES number. A contract will be awarded based on traditional INDOT bid procedures. · The amount for the bridge portion ofthe project will be funded l00% with SIB fands' NoMPO federal funds will be used on the local bridge project. · When the contract is awarded, 1NDOT will draw down funds for the bridge projects from the SIB account. The contract amount will be equally shared between the Town of Clarksville and the City of Jeffersonville (The Communities). The SIB funds will be disbursed and a check will be sent directly to each community. This allows for proper paper recordings of proceeds and receipts. · The communities will, in mm, pay INDOT for their respective 50% share of the project cost (the same amount as the check disbursed from the SIB). The submitted funds will be placed in the Local Revolving Fund for payment to the contractor as needed. · INDOT wilt perform C.E2 for the bridge project as part of the larger 1-65 project being awarded. Any and all INDOT costs associated with C.E. for the bridge project will be billed to the communities at the end of construction of the bridge project. The communities will split these costs equally from additional monies from the SIB account. The same disbursement procedures from above will be followed. · Any overruns that occur on the br/dge project will need to have an associated change order. All change orders will be billed to the communities as incurred. The communities will need to draw down additional funds from the SIB; again on a 50/50 basis before any change orders are approved. ~Y-O~-OO 11:11 From:ICE MILLER DO~IADIO A RY~ DQNADIO & RYAN ~' TO: COMPANY: PAX #: 13172362219 T-379 P.01/~4 dob-3e3 TRANSMITTAL COVER SH~EET C~ TO FO~OW: ~ Y~ ~ No ~: ~ ~ ~ ~ '~ ~ TO: Fr~mlCE ~ILLER DONADIO & RYAN ICE MILLER DONADIO & RYAN 1~1T2382219 T-379 P.02/04 Job-383 r=b,~ 4, 20oo Ms. A~e Marie ~alIigan CitT.Cmmty l~,.~ild;nE 501 F~st Corot Ave~ 4 Jeifcrsonville, Indiana 47130 Re: Jeffersonville lntercity Rond P~ject Dear An~e Marie: P. acloscd please find our invoice with resp~ot to the Intercity Road financing. In order to obtain adi~anccs on this loan, you should contact Mr. Richard Whimey, Chief Financial Officer at INDOT at (317) 232-1472 to obi'_~{~ tha necessary papca~vork. If we cala be of any assistance or if you have any questions please do not hesitate to call Buddy or mo. We have appn:ciated the oppommity to work with the Cit~ on this financing. Very mdy yours, MmLER DONADIO & RYAN Lu~ A,~E 'son One American Square · Box 82001 · Indianapolis, Indiana 46282-0002 Telephone: (317) 236-2100 o Facsimile: (~17) 236.2219 Indianapolis · Chicago · South Bend 11:12 From:iCE MILLER OONADIO & RYA~ 13172362219 ICJ MILLER DONADIO &RYAN T-379 P.05/04 Job-383 February2,2000 City of 1effersonvffie Redevelopme~vt Commission c/o Anne Marlo Galligan S01 East Court Avenue, 4~ Floor ,Teffersonville, Indimm 47130 FEE FOR gltRVICF-,S ~EI~.~D THROUGH FEBRUARY :2, 2000 OUR F1LE NUMBER: 04~:)8.0010 Re: Jeffersonville Redevelopment District Taxable Tax Increment Revenue Bonds of 2000 ('*Bond'*) lee for legal services rendered from Ma~ch, 1994 through February 2, 2000 in connection with the iss~ce of the Bond, includ!n~ l~!!me~ous meetings and conferences with state and local officials regarding the financing for the Intercily Road; pivpm'ation of proceedings for creating allocation area, bond resolution and related proceedings; review and preparation of loan agreement and amendment thor~o with resl~t to the lntewity Road loan; preparation of closing documents and Bond; supervision o£ clos!_n_g on Bond and rendeaing legal opinion ~provlJlg iasuane~ of thc; Bond in the aggre~te principal amount of $3,000,000. TOTAL LEOAL FEES AND COSTS FOR THIS MATTER .............. $74,000,00 On~ American Square * Box 82001 · Iadiena, polis, Indiana 462824)002 Telephone: (317) 236-2100 * Facsimile: (319) 236-2219 Indianapolis · Chicago * South Bend From:ICE ~ILLER DOHADIO & RYAN MITL.LER DONADIO - &RYAN 13172362219 T-379 P.04/04 Job-383 gUBMIT Rt~MITTANCE TO: ICE MILLER DONADIO & RYAN P.O. B~x 7700 Indianapolis, Indiana 46277-3633 (317) 236-2412 CLII~T NAlVffi: Cil~ of,l~f'ersonville $¢fl~rso~ville Re, development District Taxable Tax lno~mcnt Revenue Bc~ts of 2000 MATTE,R#: 04798.0010 PLEASE REMIT TOTAL INVOICE BALANCE DI~, .................. $74,000.00 $'/9259,1 One American Sq,uam * BOx 812001 Telephone. (317) 236-2100 * Indianapolis · Chicago ·South Bend LEGAL ~ BUSINESS ADVISORS August 2, 2000 WRITER'S DiI~ECT NUMBER: (317) 236-2339 Fax: (317) 5924641 Beeper (317) 461-8325 Peggy Wilder, Clerk Treasurer City of Jeffersonville City-County Building, Room 421 501 E. Court Avcmue Jeffersonville, IN 47130 RE: Invoice for Inner City Road Project Dear Peggy: Thank you for submitting the letter to Chris Kubik on May 24, 2000 regarding our fee in the amount of $74,000.00 for the Inner City Road Project. You asked us to keep you informed as to the receipt of payment and as of today, we have not received payment. If you have any questions, please feel free to contact me at any of the numbers above. Kindest regards. TKD/lmz Very truly yours, ICE MILLER mi,^ °* K..DoWns Butler Fairman Seufert INVOICE CITY OF JEk~RSONVILLE DEPARTMENT OF REDEVELOPMENT 501 EAST COURT AVENUE JEi~LRSONVILLE, IN 47130 Re: ,lob Invoice Number: 36480 January 24, 2000 3386 NEW INTERCITY ROAD BRIDGE OVER 1-65 For engineering services performed in connection with new intercity road bridge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the Agreement dated January 31, 1996. Comulting Services t~om November 01, 1999 through December 31, 1999 Billing Group: 0201 BRIDGE DESIGN AND PLANS Lump Sum Fee 85.00% Pement Complete Less Previously Invoiced (80.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: $88.000.00 $74,800.00 $70,400.00 $4.400.00 Billing Group: 0202 RETAINING WALL DESIGN AND PLANS Lump Sum Fee 85.00% Percent Complete Less Previously Invoiced (80.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: $14,000.00 $11,900.00 $11.200.00 $700.00 Otc- ,, BUTIzER, FAIRMAN and SEUFERT, INC. Project 3386 Billing Group: 0203 PRECONSTRUCTION CONFERENCE Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Billing Group: 03 PUBLIC HEARING Lump Sum Fee Invoice: 36480 January 24, 2000 Page 2of3 0.00% Percent Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 99 ADDITIONAL SERVICES Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: $1,000.00 $0.00 $0.00 $0.00 $1,500.00 $0.00 $0:00 $0.00 Z Butler l:air man Seufcrt INVOICE FOUNDED 1961 8450 WESTFIELD BLVD, SUITE 300 INDIANAPOLIS, IN 46240-8302 TEL 317 716 4615 FAX 317 713 4616 CITY OF $EIq~ERSONVILLE DEPARTMENT OF REDEVELOPMENT 501 EAST COURT AVENUE YEPi~gRSONVILLE, IN 47130 Re: Job Invoice Number: 36480 January 24, 2000 3386 NEW INTERCITY ROAD BRIDGE OVER 1-65 For engineering services performed in connect on with inew intercity road bridge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the Agreement dated January 31, 1996. Comulting Services fi.om November 01, 1999 through December 31, 1999 Billing Group: 020i BRIDGE DESIGN AND PLANS Lump Sum Fee 85.00% Percent Complete Less Previously Invoiced (80.00%) Contract Amount: $88,000.00 Fee Earned: $74,800.00 Prior Fee Billings: $70,400.00 Current Fee Total: $4,400.00 Billing Group: 0202 RETAINING WALL DESIGN AND PLANS Lump Sum Fee 85.00% Pement Complete Less Previously Invoiced (80.00%) Contract Amount: Fee Earned: Prior Fee Billings: $ t4,000.00 $11,900.00 $11,200.00 Current Fee Total: $700.00 I~UTI~ER, FAIR,MAN and SEUFERT, INC. Invoice: 36480 Project: 3386 January 24. 2000 Billing Group: 0203 PRECONSTRUCTION CONFERENCE Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) P~ge 2 of 3 Billing Group: 03 PUBLIC HEARING Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Curcent Fee Total: Billing Group: 99 ADDITIONAL SERVICES Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: $1,000.00 $0.00 $0.00 $0.00 $1,500.00 $0.00 $0.00 $0.00 Butler Falrman Seufert INVOICE CITY OF J~p~RSONVILLE DEPARTMENT OF REDEVELOPMENT 501 EAST COURT AVENUE ~EFFERSONVILLE. IN 47130 Re: Job Invoice Number: 36480 January 24, 2000 3386 NEW INTERCITY ROAD BRiDGE OVER 1-65 For engineering services performed in connection with new intercity road bridge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the Agreement dated January 31, 1996. Comulting Services from November 01, 1999 through December 31, 1999 Billing Group: 0201 BRIDGE DESIGN AND PLANS Lump Sum Fee 85.00% Percent Complete Less Previously Invoiced (80.00%) Contract Amount: $88,000.00 Fee Earned: $74,800.00 Prior Fee Billings: $70,400.00 Current Fee Total: $4,400.00 Billing Group: 0202 RETAINING WALL DESIGN AND PLANS Lump Sum Fee 85.00% Percent Complete Less Previously Invoiced (80.00%) Contract Amount: $14.000.00 Fee Earned: $11,900.00 Prior Fee Billings: $11,200.00 Current Fee Total: $700.00 .,JIL 13D'TIzER, FA][RMAN and SEUFERT, INC. Project: 3386 Billing Group: 0203 PKECONSTRUCTION CONFERENCE Invoice: 36480 January 24, 2000 Page 2 of 3 Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Billing Group: 03 PUBLIC HEARING Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 99 ADDITIONAL SERVICES Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: $t,000.00 $0.00 $0.00 $0.00 $1,500.00 $0.00 $0.00 $0.00 INVOICE Butler Fairman CITY OF JEFFERSONVILLE DEPARTMENT OF REDEVELOPMENT 501 EAST COURT AVENUE JEH~ERSONV1LLE, IN 47130 Re: Job Invoice Number: 36480 January 24, 2000 3386 NEW INTERCITY ROAD BRIDGE OVER 1-65 For engineering services performed in connection with new intercity road bridge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the Agreement dated January 31, 1996. Consulting Services from November 01, 1999 through December 31, 1999 Billing Group: 0201 BRIDGE DESIGN AND PLANS Lump Sum Fee 85.00% Pement Complete Less Previously Invoiced (80.00%) Contract Amount: Fee Earned: Prior Fee Billings: $88,000.00 $74,800.00 $70,400.00 Current Fee Total: $4,400.00 Billing Group: 0202 RETAINING WALL DESIGN AND PLANS Lump Sum Fee 85.00% Percent Complete Less Previously Invoiced (80.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: $14,000.00 $11,900.00 $11,200.00 $700.00 BUTLER, FAIRMAN and SEUFERT, INC. Project: 3386 Billing Group: 0203 PRECONSTRUCTION CONFERENCE Lump Sum Fee 0.00% Pement Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 03 pLrBLIC HEARING Lump Sum Fee 0.00% Pement Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 99 ADDITIONAL SERVICES Invoice: 36480 January 24. 2000 Page 2 of 3 $1,000.00 $0.00 $0.00 $0.00 $1,500.00 $0.00 $0.00 $0.00 BUTLER, FAIRMAN and SEUFERT, INC. Project: 3386 Invoice: 36480 January 24. 2000 Page 3 of 3 Project Totals: *** Total Project Invoice Amount: $5,100.00 Billine Summary Professional Services Reimbursable Expenses: Outside Services: Other Services and Fees: Finance Charges: Fixed Fee: Total: Current Prior Total $5,100.00 $82,038.24 $87,138.24 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $5,100.00 $82,038.24 $87,138.24 Aged Receivables: current 31-60 days 61-90 days 91-120 days + 121 days $5,100.00 $0.00 $7.650.00 $0.00 $0.00 THANK YOU BUTLER, FAIRMAN AND SEUp.~,T, INC. Bradley D. Watson, P.E Controller CiTY OF' .. JEFFERSON¥[LLE, INDIANA On Account of Appropriation for To Butler~ Fairman ~nd Seufert, Inc. Address8450 Westfield Blvd Ste. 300. Indpls., IN E ORDER ITEMIZED CL^~U OOLLA.S CTS, 46240 191~ NO. Nov. 22 For enqineerinq services performed in connection with ._ the new intercity road bridqe and approach inter- sections over 1-65. In accordance with the Aqreement dated Ja_n_u_a_ry___3.~ 1996____.C_h_a__r§es_.f__rgm November i~ 1998~ >, to October 31 1999, TOTAL DUE THIS INVOICE $7165000 (See letterhead for itemized breakdown) Pursuant to the provisions and penalties of Chapter 155. Acts of 1953. I hereby certify that the foregoing is just and correct, that the amount claimed is legally' due after allowing all Just credits, and that no part of the same has been paid. Butler, Fairman and Seufert, Inc. Date November 22, 19 99 ~2¢..~w.. ~ ~_.~--- Controller SIGNATURE TITLE. I CERTIFY that the within bill is Irue And correct; that the supplies and materials therein Itemlze,d and lot which charge is made were ordered by me and were necessary lo the public business Iha. t each and every Ilem Z Z 0 0 Butler Falrn~an Seufert INVOICE CITY OF IEI~t-izRSONVILLE DEPARTMENT OF REDEVELOPMENT 501 EAST COURT AVENUE JEp.p~.RSONVILLE. IN 47130 Re: Job Invoice Number: 36181 November 22, 1999 3386 NEW INTERCITY ROAD BRIDGE OVER 1-65 For engineering services performed in connection with new intercity road bridge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the Ageement dated January 31, 1996. Consulting Services from November 01, 1998 through October 3L 1999 Billing Group: 020i BRIDGE DESIGN AND PLANS Lump Sum Fee 80.00% Percent Complete Less Previously Invoiced (72.50%) Contract Amount: $88,000.00 Fee Earned: $70,400.00 Prior Fee Billings: $63,800.00 Current Fee Total: $6.600.00 Billing Group: 0202 RETAINI/q'G WALL DESIGN AND PLANS Lump Sum Fee 80.00% Percent Complete Less Previously Invoiced (72.50%) Contract Amount: $14,000.00 Fee Earned: $11,200.00 Prior Fee Billings: $10,150.00 Current Fee Total: $1,050.00 B LF]-LER, FAII~,MAN and SEUFERT, INC. Project: 3386 Billing Group: 0203 Invoice: 36181 November 22. 1999 Page 2 of 3 PRECONSTRUCTION CONFERENCE Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 03 PUBLIC HEARING Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 99 ADDITIONAL SERVICES $ i .000.00 $0.00 $0.00 $0.00 $1,500.00 $0.00 $0.00 $0.00 BLr'f'LER, FAIR_MAN and SEUFERT, INC. Project: 3386 Invoice: 36181 November 22. 1999 Page 3 of 3 Project Totals: *** Total Project Invoice Amount: $7,650.00 Billln~t Summary Professional Se,wices Reimbursable Expenses: Outside Services: Other Services and Fees: Finance Charges: Fixed Fee: Total: Current Prior Total $7,650.00 $74,388.24 $82.038.24 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $7,650.00 $74,388.24 $82,038.24 Aged Receivables: current $7.650.00 31-60 days 61-90 days 91-120 days +121 days $0.00 $0.00 $0.00 $0.00 THANK YOU BUTLER, FAI~MAN AzND SEUie.ei<T,/NC. Bradley D. Watson, P.E. Controller City Form No. 201 (Rev. 1964) CiTY OF ..JEFFERSONVILLE, INDIANA On Account of Appropriation for To Butler~ Fairman ~nd Seufert, Inc. Address8450 Westfield Blvd Ste. 300. IndDls., IN E OROER ITEMIZEO CLAIM OOL~R$ CTS. 46240 5Dy. 22 For enqineerinq services performed in connection with the new intercity road bridqe and approach inter- sections over 1-65. In accordance with the Aqreement dated Ja9~2~3_~ 1996~_~ba__r. ges from November 1, 1998, to October 31, 1999. -- TOTAL DUE THIS INVOICE ~7.650)0 (See letterhead for itemized breakdown) Pursuant to the provisions and penalties of Chapter 155. Acts of 1953. I hereby cedify that the foregoing is just and correct, that the amount claimed is [egalty'due after allowing all Just credits, and that no part of the same has been paid. Butler, Fairman and Seufert, Inc. Date November 22, 1999 ~,~ (_3....--- Controller SIGNATURE TITLE I CERTIFY Ihat the within bill is true and correct; that the supplies and materials Ihereln llemize~ and for which charge is made ware ordered by me and were necessary to the public business that each a~nd every I~em has Z Z INVOICE CITY OF IEiq-mRSONVILLE DEPARTMENT OF REDEVELOPMENT 50i EAST COURT AVENUE JEtZF~RSONVILLE. IN 47130 Re: Job Invoice Number: 36181 November 22, 1999 3386 NEW INTERCITY ROAD BRIDGE OVER 1-65 For engineering services performed in connection with new intercity road bridge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the Agreement dated January 31, 1996. Consulting Services from November 01, 1998 through October 31, 1999 Billing Group: 0201 BRIDGE DESIGN AND PLANS Lump Sum Fee 80.00% Percent Complete Less Previously Invoiced (72.50%) Contract Amount: $88.000.00 Fee Earned: $70.400.00 Prior Fee Billings: $63.800.00 Current Fee Total: $6.600.00 Billing Group: 0202 RETAINI2qG WALL DESIGN AND PLANS Lump Sum Fee 80.00% Pement Complete Less Previously Invoiced (72.50%) Contract Amount: $14.000.00 Fee Earned: $ I 1.200.00 Prior Fee Billings: $10.150.00 Current Fee Total: $1.050.00 BUYER, FAIRMAN and SEUFERT. INC. Invoice: 36181 Project: 3386 November 22, 1999 Billing Group: 0203 PRECONSTRUCTION CONFERENCE Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Billing Group: 03 PUBLIC HEARING Lump Sum Fee Page 2 of 3 0.00% Percent Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 99 Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: ADDITIONAL SERVICES $i,000.00 $0.00 $0.00 $0.00 $1.500.00 $0.00 $0.00 $0.00 BLrl~LER. FAII>,MAN and SEUFERT. INC. Project: 3386 Invoice: 36181 November 22. 1999 Page 3 of 3 Project Totals: *** Total Project Invoice Amount: $7,650.00 Billing Summary Professional Se,vices Reimbursable Expenses: Outside Services: Other Services and Fees: Finance Charges: Fixed Fee: Total: Current Prior Total $7,650.00 $74,388.24 $82,038.24 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.130 $0.00 $7,650.00 $74,388.24 $82,038.24 Aged Receivables: current 31-60 days 61-90 days 9 I- 120 days + 121 days $7,650.00 $0.00 $0.00 $0.00 $0.00 THANK YOU BUTLER, FAIRMAN AND SEUk~T, INC. Bradley D. Watson, P.E. Controller .,..c,,~,. b, s,,,..o.,, o,* ..... ,. C LAI M el,, Fo,m .o. =0, (R.. ,~.~ A C~IM, TO BE PROPERLY ITEMIZED MUST SHOW: KIND OF SERVICE, WHERE PERFORMED, DATES SERVICE RENDERED, BY WHOM, RATE PER DAY, NUMEER OF HOURS, RATE PER HOUR, PRICE PER FOOT~ PER YARD, PER HUNDRED, PER POUND, PER TON, ETC, CiTY OF ..OEFFERSONV[LLE, TN0[RNA On Account of Appropriation for To Butler~ Fairman ~nd Seufert, Inc. Address8450 Westfield Blvd., Ste. 300, IndDls., IN I.I~E ORDERNO. ITEMIZED CL~'M DOLORS CTS. 46240 Nov. 22 For enqineerinq services performed in connection with the new intercity road bridqe and approach inter- sections over 1-65. In accordance with the Aqreement dated J~__3.~ 1996_.__~g~ from November 1, 1998, to October 31~ 1999. TOTAL DUE THIS INVOICE $7.65i0 ISee letterhead for itemized breakdown/ Pursuant to the provisions and penalties of Chapter 155. Acts of 1953. I hereby certify that the foregoing is just and correct, that the amount claimed is legally'due after allowing all Just credits, and that no part of the same has been paid. Butler, Fairman and Seufert, Inc. Date November 22, ~999 ~.¢~,~ c_~._~ Controller S~GNAT~RE TITLE I CERTIFY that the within bill is true and correct; that Ihe supplies and materlal~ therein Ilemize~ and tot which charge is made were ordered by me and were necessary to [he public business that each and every Item has Z Butler l:airman Seu~ert INVOICE CITY OF JEPP~RSONVILLE DEPARTlV[ENT OF REDEVELOPMENT 501 EAST COURT AVENUE JEFFERSONVILLE. IN 47130 Re: Job Invoice Number: 36181 November 22, 1999 3386 NEW INTERCITY ROAD BRIDGE OVER 1-65 For engineering services performed in connection with new intercity road bridge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the A~eement dated January 31, 1996. Consulting Services from November 01, 1998 through October 31, 1999 Billing Group: 0201 BRIDGE DESIGN AND PLANS Lump Sum Fee 80.00% Percent Complete Less Previously Invoiced (72.50%) Contract Amount: $88,000.00 Fee Earned: $70,400.00 Prior Fee Billings: $63,800.00 Current Fee Total: $6,600.00 Billing Group: 0202 RETAINING WALL DESIGN AND PLANS Lump Sum Fee 80.00% Percent Complete Less Previously Invoiced (72.50%) Contract Amount: Fee Eamed: Prior Fee Billings: Current Fee Total: $14,000.00 $11,200.00 $10,150.00 $I.050.00 BUTLER. FAIRMAN and SEUFERT, INC. Project: 3386 Billing Group: 0203 Invoice: 36181 November 22, 1999 Page 2 of 3 PRECONSTRUCTION CONFERENCE Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Contxact Amount: Fee Earned: Pr/or Fee Billings: Current Fee Total: Billing Group: 03 PUBLIC I-I~ARING Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Fee Earned: Pr/or Fee Billings: Current Fee Total: Billing Group: 99 ADDITIONAL SERVICES $ i .000.00 $0.00 $0.00 $0.00 $1,500.00 $0.00 $0.00 $0.00 BLFI~ER, FAIRMAN and SEUFERT, INC. Pro)ect: 3386 Invoice: 36181 November 22. 1999 Page 3 of 3 Project Totals: *** Total Project Invoice Amount: $7,650.00 Billing Summary Professional Services Reimbursable Expenses: Outside Services: Other Services and Fees: Finance Charges: Fixed Fee: Total: Current Prior Total $7,650.00 $74,388.24 $82,038.24 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $7,650.00 $74,388.24 $82,038.24 Aged Receivables: current $7,650.00 31-60 days 61-90 days 91-120 days +12i days $0.00 $0.00 $0.00 $0.00 THANK YOU BUTLER, FAIRMAN AND SEUI~.e. RT, INC. Bradley D. Watson, P.E. Controller CITY OF ..JEFFERSONVILLE, INDIANA On Account of Appropriation for To Butler~ Fairman ~nd Seufert, Inc. Address8450 Westfield Blvd., Ste. 300. Indpls., IN E ORDER ITEMIZED CLAIM DOLORS CTS. 46240 Nov. 22 For enqineerinq services performed in connection with the new in[ercity road bridqe and approach inter- 'sec[ions over 1-65. In accordance with the Aqreement dated a~__3.~ 1996~__C_bA~As__from November 1, 1998~ to October 31, 1999. TOTAL DUE THIS INVOICE ISee letterhead for itemized breakdown) Pursuant to the provisions and penalties of Chapter 155. Acts of 1953. I hereby certify that the foregoing is just and correct, that the amount claimed is legally' due after allowing ail Just credits, and that no part of the same has been paid. Butler~ Fairman and Seufert~ Inc. Date November 22, 19 99 ~ (_3,~. Controller SIGNAT~fRE TITLE I CERTIFY that the wilhin bill is Irue and correct; that the supplle= and malerlals therein ltemizeFi and lot which charge is maGe were ordered by me and were necessery ~o the public buslnese that each and every item has Z Z Ib VOlC CITY OF YEFFERSONVILLE DEPARTMENT OF REDEVELOPMENT 501 EAST COURT AVENUE iEt~pi:RSONVIY,LE. IN 47130 Re: Job Invoice Number: 3618 i November 22, 1999 3386 NEW IlqTERCITY ROAD BRIDGE OVER 1-65 For engineering services performed in connection with new intercity road br/dge and approach intersections over 1-65 at approximate Station 10+265, Line "A", at approximately a right angle to the centerline of 1-65. In accordance with the Agreement dated January 31, !.996. Consulting Services from November 01, 1998 through October 3L 1999 Billing Group: 0201 BRIDGE DESIGN AND PLANS Lump Sum Fee 80.00% Percent Complete Less Previously Invoiced (72.50%) Contract Amount: $88,000.00 Fee Earned: $70.400.00 Prior Fee Billings: $63,800.00 Current Fee Total: $6.600.00 Billing Group: 0202 RETAINING WALL DESIGN AND PLANS Lump Sum Fee 80.00% Percent Complete Less Previously Invoiced (7250%) $14,000.00 Contract Amount: Fee Earned: $11.200.00 Prior Fee Billings: $10.1.50.00 Current Fee Total: $1.050.00 BUTLER, FAIRMAN and SELrFERT, INC. Invoice: 36181 Project: 3386 November 22. 1999 Billing Group: 0203 PRECONSTRUCTION CONFERENCE Lump Sum Fee 0.00% Percent Complete Less Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 03 PUBLIC HEAR1NG Lump Sum Fee 0.00% Percent Complete 1.ess Previously Invoiced (0.00%) Contract Amount: Fee Earned: Prior Fee Billings: Current Fee Total: Billing Group: 99 ADDITIONAL SERVICES Page 2 of 3 $1.000.00 $0.00 $0.00 S0.00 $1.500.00 $0.00 $0.00 $0.00 BLrr'LER, FAERMAN and SEUFERT, INC. Project: 3386 Invoice: 36181 November 22, 1999 Page 3 of 3 Project Totals: *** Total Project Invoice Amount: $7,650.00 Billing Summary Professional Se.wices Reimbursable Expenses: Outside Services: Other Services and Fees: Finance Charges: Fixed Fee: Total: Current Prior Total $7,650.00 $74,388.24 $82,038.24 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 SO.iX) $0.00 $0.00 $0.00 $0.00 $7,650.00 $74,388.24 $82,038.24 Aged Receivables: $7.650.00 31-60 days 61-90 days 91-120 days +121 days $0.00 $0.00 $0.00 $0.00 THANK YOU BUTLER, FAIRMAN AND SEU~c. rrr, INC. Bradley D. Wmon, Controller