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� i <br /> 6.3A <br /> Page 39 <br /> � <br /> 1 ARTICLE 8 PAYMENT PROCEDURES I <br /> 2 8.01 BASIC COMPENSATION <br /> 3 The Basic Compensation provided fo� in Section 7.03 will be paid monthly in arrears, <br /> 4 with the first payment earned as of January 31, 2011. The Authority will make each <br /> 5 payment within fifteen (15) days after it receives from Contractor a timely and complete <br /> 6 monthly statement required by Section 8.07. <br /> 7 8.02 SUPPLEMENTAL PROCESSING FEES <br /> 8 Any fees earned by Contractor under Section 7.06 will be paid monthly in arrears, <br /> 9 concurrently with payment of the Basic Compensation due under Section 8.01. <br /> 10 8.03 PASS THROUGH COSTS REIMBURSEMENT <br /> 11 The interest reimbursement provided for in Section 7.09 will be made monthly in <br /> 12 accordance with the debt service schedule provided by Contractor until the principal <br /> 13 amount of the loan(s) approved by the Authority is paid. The interest rate on capital <br /> 14 equipment will be adjusted as part of the compensation adjustment process for Rate <br /> 15 Year One only, based on a market based on the change in the interest rate on United <br /> 16 States Treasury 10-year notes between March 2008 (3.5%) and July 2010, based on <br /> 17 official United States Treasury data. If Contractor incurs other costs which are <br /> I8 reimbursable under Section 7.09, it shall include these costs, together with information <br /> 19 sufficient to substantiate the amount and purpose of each expense, in the monthly <br /> 20 statement required by Section 8.07 due the month immediately following the month in <br /> 21 which the cost was incurred. The Authority will pay the cost reimbursements due <br /> 22 concurrently with payment of the Basic Compensation due under Section 8.01. <br /> 23 8.04 GATE FEES FOR PUBLICLY HAULED WASTE <br /> 24 Contractor will pay to Authority (by wire transfer or otherwise as Authority may direct) the <br /> 25 amount of all Gate Fees collected from Persons delivering Self-Hauled Materials to the <br /> 26 Transfer Station. Such payments will be made no less often than bimonthly, but possibly <br /> 27 as frequently as daily. These payments will be reflected in the monthly statement from <br /> 28 Contractor required by Section 8.07. <br /> 29 8.05 REVENUE FROM SALE OF RECYCLABLE MATERIALS <br /> 30 � Contractor will pay to the Authority (by wire transfer or otherwise as Authority may direc#)�------ Fom <br /> 31 all Revenue earned from third parties for the sale of Recyclable Materials delivered to or te� ` <br /> 32 recovered at the Shoreway Center, except as noted in Attachment 4, Section "Targeted text ; <br /> 33 Recyclable Materials", relating to revenue from the�sale of_materials_recovered_from_the________.._ Fom <br /> 34 transfer station not requiring processing at the MRF„_until_the_annual Revenue______________________.._____ Fom <br /> 35 Guarantee, or the Prorated Revenue Guarantee for 2011 as determined by Section <br /> 36 7.07.B, has been remitted. Thereafter, Contractor shall pay to Authority seventy five <br /> 37 percent (75%) of such Revenue, unless otherwise adjusted by Section 7.07.D.3. Such <br /> 38 payments wilt be made on or before the fifteenth (15th) day of each month based on <br /> 39 sales during the immediately preceding month. These payments will be reflected in the <br /> 40 � monthly statement from Contractor required by Section 8.07. _:._---• Fom <br /> �--------------------------------------------- - <br /> 41 <br /> 42 The Revenues received by Contractor from the sales of Recyclable Materials are held in <br /> 43 trust for the benefit of the Authority and such Revenues shall be disbursed only as <br /> 44 provided in this Agreement and shall not be subject to levy or attachment or lien by or for <br /> OperaUng Agreement for Shoreway Center <br /> Page - 30 - �/30/09 <br />