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Operator shall establish a joint operating account ( "Operating Account ") with this <br />City, which shall be funded by the City on the 1st of each month with 1 /12th of <br />the Approved Operating Budget. The purpose of this account is to deposit all <br />funds collected by TAP for the operations of the Airport to pay Operating Costs <br />and Operator's Management Fee in accordance with the Approved Operating <br />Budget for FY 2014 -15 which is marked as Exhibit "C" and attached to this <br />Contract for all purposes as though fully set out herein and each year thereafter <br />during the term of this Agreement. Operator may apply to the City Manager or <br />designee for a payment in excess of the monthly Approved Operating Budget <br />Payment when the Operator receives an invoice for an annual or bulk payment <br />that exceeds the monthly amount (including the payment for the month in which <br />the Operator applies for the advance payment) accumulated in the Operating <br />Account to pay for the item. Operator shall submit the invoice for consideration <br />together with such other documentation or information as City may reasonably <br />require, to determine the necessity and appropriateness of the advance payment. <br />3.1.20 In coordination with the City: <br />a. Maintain proper accounting of Airport assets; <br />b. Perform general accounting services; <br />c. Assist the City in establishing rates (including lease rates), fees and charges <br />for Airport airfield and facilities use; <br />d. Ensure that Airport financial records and supporting documentation are <br />properly maintained and available for review by the City and its auditors at its <br />request; <br />3.1.21 Prepare and submit written financial reports, financial plans and supporting <br />statistical data to the City Manager as well as any other reports on an "as <br />requested" basis. Within thirty (30) days after the end of each month during the <br />term of this Contract, the Operator shall submit a report in electronic format to the <br />Finance Department with a copy to the City Manager describing the activities and <br />expenditures resulting from the Airport Funds allocated during the previous one- <br />month period. <br />3.1.22 Prepare and submit as needed an annual financial reconciliation of the contract <br />revenues and expenses at the end of each Fiscal Year. Also, submit <br />comprehensive annual audited financial statements and related reports for the <br />Operator, prepared by an independent, external audit firm by February 1 of the <br />following year. <br />3.1.23 Accounting and Financial Controls. Operator shall comply with any accounting <br />and financial controls approved by the City for the management of all Airport <br />funds. <br />3.1.24 Invoices. Operator shall bill, on behalf of the City, for all monies due to the City <br />in connection with the Airport, including but not limited to monies due pursuant <br />