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7. Audits& Inspections: All Su brecipient records with respect to any matters covered by <br /> this Agreement shall be made available to the City,its designees orthe Federal <br /> Government,at any time during normal business hours,as often as the City deems <br /> necessary,to audit,examine,and make excerpts or transcripts of all relevant data. Any <br /> deficiencies noted in audit reports must be fully cleared by the Su brecipient within 30 <br /> days after receipt by the Subrecipient. Failure of the Subrecipientto comply with the <br /> above audit requirements will constitute a violation of th is Agreement and may result in <br /> the withholding of future payments. The Subrecipient hereby agrees to have an annual <br /> agency audit conducted in accordance with current City policy concerning Su brecipient <br /> audits and,as applicable,2 CFR Part 200(Uniform Administrative Requirements,Cost <br /> Principles,and Audit Requirements for Federal Awards). <br /> C. Reporting and Payment Procedures <br /> 1. Program Income: The Subrecipientshall report quarterly all program income as defined <br /> at 24 CFR 570.500(a)generated by activities carried out with CDBG funds made <br /> available under th is Agreement. The use of program income by the Subrecipientshall <br /> comply with the requirements set forth at 24 CFR 570.504. By way of further limitations, <br /> the Su brecipient may use such income during the contract period for activities permitted <br /> u nderth is Agreement and shall reduce requests for additional funds by the amount of any <br /> such program income balances on hand. All unused program income shall be returned to <br /> the City at the end of the contract period. Any interest earned on cash advances from the <br /> U.S. Treasury is not program income and shall be remitted promptly to the City. <br /> 2. Indirect Costs: If indirect costs are charged,the Su brecipient will develop an indirect cost <br /> allocation plan for determining the appropriate Su brecipient's share of administrative <br /> costs and shall submit such plan to the City for approval, in a form specified by the City. <br /> 3. Payment Procedures and Timing: The City will pay to the Subrecipient funds available <br /> u nderthis Agreement based upon information submitted by the Subrecipient and <br /> consistent with any approved budget and City policy concerning payments. With the <br /> exception of certain advances, payments will be made for eligible expenses actually <br /> incurred by the Subrecipient,and not to exceed actual cash requirements. Payments will <br /> be adjusted by the City in accordance with advance fund and program income balances <br /> available in Subrecipient accounts. The Su brecipient agrees to submit payment request <br /> at least quarterly. In addition,the City reserves the right to liquidate funds available under <br /> this Agreementforcosts incurred by the City on behalf of the Subrecipient. <br /> 4. Progress Reports: The Subrecipientshall submit regular Progress Reports to the City in <br /> the form, content,and frequency as required by the City as set forth in Exhibit"A"Section <br /> I.D. of this agreement. <br />