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HomeMy WebLinkAboutCity Council Resolution 2002-319CITY OF PLYMOUTH RESOLUTION NO. 2002-319 REDUCING REQUIRED FINANCIAL GUARANTEE THE RESERVE (20092) WHEREAS, in accordance with the development contract dated July 11, 2001, Rottlund Company, Inc., developer of The Reserve (20092), has agreed to install certain improvements for said development; and WHEREAS, the developer has completed a portion of the street, utility and site grading as noted below; and WHEREAS, the developer has requested a reduction of the required financial guarantee to reflect the completed work; NOW, THEREFORE, BE IT HEREBY RESOLVED BY THE CITY COUNCIL OF THE CITY OF PLYMOUTH, MINNESOTA; that the financial guarantee requirements are reduced as follows: That the required financial guarantee for the above items be reduced as detailed above from $4,713,410 ($3,142,273 x 150%) to $3,272,627 ($2,181,751 x 150%) to reflect the completed work. The Subdivision Bond No. 929219076 may be reduced accordingly. C Documents and Settnig,unfiee,eLocal Settmg, TempVC(R 2002-31953868 CCR 2002-319 doe ORIGINAL CURRENT NEW ITEM AMOUNT AMOUNT AMOUNT Street Constriction $ 1,004,392 $ 984,304 $ 584,547 Sanitary Sewer 437,289 196,780 174,916 Watermain 484,539 218,042 193,816 Storm Sewer 748,676 353,104 299,470 Boulevard and Drainage Swale Sod 15,800 15,800 15,800 Mitigation Pond Constriction 52,500 52,500 52,500 N[ -]RP Pond Constriction 52,500 5,250 5,250 Rain Garden 16,400 16,400 16,400 Street Signs (8 x 200) 1,600 1,600 1,600 Site Grading and Drainage Improvements 1,790,642 895,321 537,193 Park and Trail Improvements 57,000 57,000 57,000 Setting Iron Monuments 9,500 9,500 9,500 Design, Administration, Inspection, As-Builts 560,501 336,672 233,759 TOTAL $ 5,231,339 $3,142,273 $2,181,751 That the required financial guarantee for the above items be reduced as detailed above from $4,713,410 ($3,142,273 x 150%) to $3,272,627 ($2,181,751 x 150%) to reflect the completed work. The Subdivision Bond No. 929219076 may be reduced accordingly. C Documents and Settnig,unfiee,eLocal Settmg, TempVC(R 2002-31953868 CCR 2002-319 doe RESOLUTION NO. 2002-319 THE RESERVE (20092) Page Two FURTHER BE IT RESOLVED that the financial guarantee requirements for the following items per Section 8.1 of the approved development contract remain as follows: ORIGINAL CURRENT NEW ITEM AMOUNT AMOUNT AMOUNT Maintenance of Erosion and Sediment Control Plan, Street Sweeping, and Storm Sewer Cleaning Cash: $ 1,000 $ 1,000 $ 1,000 Letter of Credit No. 577: $ 156,500 $ 156,500 $ 156,500 Adopted by the City Council on July 9, 2002. C Documents and Settnig,unfiee,eLocal Settmg, TempVC(R 2002-31953868 CCR 2002-319 doe