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Backup Documents 04/12/2016 Item #16I1 1 6 I MISCELLANEOUS CORRESPONDENCE BOARD OF COUNTY COMMISSIONERS April 12, 2016 1. MISCELLANEOUS ITEMS TO FILE FOR RECORD WITH ACTION AS DIRECTED: A. CLERK OF COURTS: 1) Items to be Authorized by BCC for Payment: B. DISTRICTS: 1) Heritage Bay Community Development District: Meeting Agenda 12/30/2015; 01/07/2016 Meeting Minutes 12/30/2015; 01/07/2016 2) Naples Heritage Community Development District: Meeting Agenda 01/05/2016 Meeting Minutes 01/05/2016 3) Port of the Islands Community Improvement District: Meeting Agenda 01/15/2016 Meeting Minutes 01/15/2016 C. OTHER: 11 11 MIK 2 4 zcico Heritage Bay Community Development Dirict__ _ Board of Supervisors Edwin Hubbard,Chairman Calvin Teague,District Manager Ronald A.Grant,Vice Chairman Gregory Urbancic,District Counsel John May,Assistant Treasurer Dennis Gagne,Assistant Secretary Richard Brodeur,Assistant Secretary Special Meeting Agenda December 30,2015—9:00 a.m. 1. Roll Call 2. Public Comments on Agenda Items 3. Discussion on Lake Bank Modifications Requested by the HOA 4. Discussion on Engineering Contract 5. Supervisors' Requests and Audience Comments 6. Adjournment NOTES:The next meeting is scheduled for January 7,2016 at 9:00 a.m. District Office: Meeting Location: 210 N.University Drive,Suite 702 Heritage Bay Clubhouse Coral Springs,FL 33071 10154 Heritage Bay Boulevard 954-753-5841 Naples,FL 1 6 1 18 1 Ad Proof. Naptes Battu News Sales Rep:Ivonne Gori(N9103) Phone:(239)262-3161 Email:ivonne.gori@naplesnews.com Account Information. l >Insertion Information Date: 12/16/15 This is a proof of your ad scheduled to run on the dates indicated below. Account Number:531394(N063481) Please confirm placement prior to deadline by contacting your account Company Name:HERITAGE BAY COMMUNITY rep at(239)262-3161. Ad Id:849669 P.O.No,: Total Cost:$280.96 Contact Name: Email:Janice.Swade@STServices.com Tag Line:Notice of Special Meeting Heritage B Address: 210 N UNIVERSITY DR# 702, CORAL SPRINGS, FL, Start Date:12/22/15 Stop Date:12/22/15 33071-7320 Number of Tunes:1 Class:16180-Notice Phone:(954)753-0380 Fax:(954)755-6701 Publications:ND-Naples Daily News,ND-Internet-naplesnews.com >Ad Proof I agree this ad is accurate and as ordered. Notice of Special Meeting Heritage Bay Community Development District A special meeting of the Board of Supervisors of the Heritage Bay Community Development District to discuss lake bank modifications requested by the HOA, the final District Engineering contract,any other matter that may be properly presented before the Board is scheduled to be held Wednesday, December 30,2015 at 9:00 A.M.in the Heritage Bay Clubhouse, 10154 Heritage Bay Boulevard,Naples,Florida. The meeting is open to the public and will be conducted in accordance with the provisions of Florida Law for Community Development Districts.The meeting may be continued to a date, time and place to be specified on the record at the meeting. A copy of the agenda forPthis meeting may be obtained from Severn Trent Services,210 N.University Drive,Suite 702,Coral Springs,Florida 33071. There may be occasions when one or more Supervisors will participate by telephone. At the above location there will be present a speaker telephone so that any interested person cart attend the meeting at the above location and be fully informed of the discussions taking place either in person or by telephone communications. Any person requiring special accommodations at this meeting because of a disability or physical impairment should contact the District Office at(954)753-5841 at least two calendar days prior to the meeting. Each person who decides to appeal any decision made by the Board with respect to any matter considered at the meeting is advised that person will need a record of the proceedings and that accordingly,the person may need to ensure that a verbatim record of the proceedings is made,Including the testimony and evidence upon which such appeal is to be based. Calvin Teague District Manager December 22,2015 No.849669 Thank you for your business. Our commitment to a quality product includes the advertising in our publications. As such,Journal Media Group reserves the right to categorize,edit and refuse certain classified ads.Your satisfaction is important. If you notice errors in your ad,please notify the classified depart mens immediately so that we can make corrections before the second print date. The number to call is 239-263-4700. Allowance may not be made for errors reported past the second print date.The Naples Daily News may not issue refunds for classified advertising purchased in a package rate;ads purchased on the open rate may be pro-rated for the remaining full days for which the ad did not run. IIS V 6 I �.. 1 December 10, 2015 To: Ed Hubbard Chairman, Heritage Bay Community Development District On behalf of the Long Range Planning Committee and the Heritage Bay HOA, I am requesting that the CDD complete a preliminary investigation into the feasibility of expanding the current golf practice facility South, by building a bulkhead and displacing a small portion of the capacity in CDD Lake 19(aqua range). I understand that you have been provided a copy of the proposed golf practice area expansion plan, and the calculated amount of water that will be displaced by the project.We request that this preliminary investigation start immediately, since the HOA Board will shortly be debating upon the scope of the capital plan that we wish to put to a member vote in March. In order for the Board to include the expansion of the golf practice area in the capital program,we need to have a preliminary indication that the impact on Lake 19 would be acceptable to the CDD and other authorities having jurisdiction(SFWMD etc.). Since we are not at the stage of having an approved project,we want to keep all expenses associated with the development of the capital program to a minimum. In the unlikely event that there are financial expenditures associated with this request, I am authorizing an expenditure of up to$1,000 at this time to be born by the Heritage Bay HOA. If it is identified that the costs associated with this preliminary investigation will exceed this amount, please advise me as soon as possible so the Board can consider how best to proceed. Should the project be approved, expenses associated with work related to the expanded practice facility, which will include installation of the bulkhead, placement of fill to match the current elevation of the practice facility,and grass planting and/or landscaping will be born by the Heritage Bay HOA. Finally,we ask that you, as Chairman of the Heritage Bay CDD,document.the position of the CDD and all authorities having jurisdiction on the acceptability of the proposed expansion to the LRPC and HOA. Further, we request that you clarify, in the form of a revised Memorandum of Understanding between the CDD and the HOA, the CDD position regarding which party will have responsibility for the expenditures associated with the bulkhead and/or modified lake bank maintenance. Thank you for your support, Bob Lukas Vice President, Heritage Bay HOA Board of Directors 1 6 I 1. 4rAl V. r itt,,,,,,o'•-•',',., ,1g. .• ' - -.,9,,,. ,-„:.....!,,,,e,,A, --,-- -;-:. 1 • - t. -.,,e,,,4 t",,:- ti,'''.,.•LIA"...z:c':,.-A,-;,:,, , , . 4. i • * , ----7,...1 --.,, . • , r ) • ak'•'•''',4filr.r ,,,:tV."'-' "..41•';. Et.t14-, t1, --t: rr:17.-- -:-- ,-.:„., . ....... - - ,_.........„, . .,,I,7„...44 1:3 tart '' ';'-'1t-•:tAr 'CC ALPfil'is,'• q -' . ' C.,Pri,r11.i. -t-Xli I . • 1 •um% 8 ''''''.'It-1'A7, \ 4ea ‘) rit1. i ..; -.7'. ,2 1:1 - .s.;1 , 44 ..„Av,,,,,'0,-„*,,,;•?-;.t°Wie' 4,:,,44:"Atf',,,.:::4::•144 11 0 .4.41fr.:',> .ti 141 NAN .--k.-.4:1,!a•-..,:,..,,,,t,.-..;,,,..s, 4 , 1 ,/- a• *iijoe iv i 7.4. ;),•f,*-,,.,or Fq / tina ''' kfl(-Z44-:*ii i.' tfatiP4` / 16,.2.,---, •r - , •-- Z ., d. .,„;:;,,,,,,.: -,•,.' -I'm4-06;;•:,;. s',...'.1 klith ,.7A', S.47,-, .14,,.... 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'!;,' . 4.--r,,,L'7'%.'4..._W.'4','-'-'--'4' ar4p,-h•14%!°- i1 .`- •"7-.,„,,-c-IT'i--41.°':-4,7'704,4,' :'.9'.7':.`",:, :,..,,,'A,i.T.';'''''1:4-ffP:81-:',Ii.P-4.01',Z ,-,.,A,,.:V,z..te.3-A -14;--t-1;:*rii'-:--i•Iti--7,14,07''.`:.;i*41.-c,rtilk.,4_4:rty;'a ,t,,,_1-,-._-_,,,4,i,"V.Nct,4iO4:-..,7--,::',--,;,,-.:,.:',‘,.Z. .4,,,,,,,,_,,.„,-04,f&-w.t,-- s-_11,1!• •--',' t',.%-.,k,,,..+,77,1v-ia•Vw.tly.L.,.,s,e1,5,m;:a.,..„4.- 1611 ...: 1 ,� h r_. c:f4,•;-;:\''''':::-' , .,„ ,,,,,.,. ,... ,.4. ,t,..„..„.. , . vl 5,J••,••••,,,,i,1„...•, .. . rt,\ ,,,,i, :.: ,,,,,„.,,,i. , , • ...) .1_,,,,,...-pi,vi ti' It s ..*'' '' 2 (ill EllY( : t C t- t o *Y ° k° kt •00411 401 V it-' � TMI4 Ea " 4 441 Illimmi , ,o • iff O j la o : 4 s 441 *F?�.f cr `ate.a SPECIAL MEETING-CDD BOS 12/30/15 SUBJECT: HOA PROPOSED LAKE BANK MODIFICATIONS FOR GOLF PRACTICE FACILITY Discussion items and timeline of"how we got to where we are now": October 2015: Green Committee presented proposed golf practice facility to the LRPC -GC and LRPC had been consistently advised that before any proposals could move forward they must be reviewed with and approved by the CDD as we own this lake November 2015: LRPC made the formal golf practice facility proposal to homeowners December 8: EH sent a letter to Don Porter, Chairman of the LRPC, requesting a formal request from the HOA as I needed to present the plans to the CDD in a formal setting for approvals December 10: formal request received from Bob Lukas for the CDD to discuss the proposal and advance a position -- ItJ r\-6441 00.446 December 11: meeting held with SFWMD to discuss options and how best to proceed -attended by EH, Justin Faircloth and Josh Lockhart of CPH (our engineering firm) -SFWMD advised of 3 potential options, with option 1 being a simple letter modification" if no impact on the lake "water quality" was determined. Option 2 would be required if the proposed "water quality" i.e. water volume, is impacted and this would also require a "letter modification"with proof that the related water volume taken up by the construction would be replaced on a 1:1 basis with a 6:1 new lake bank slope. This option 2 usually takes up to 30 days for approvals once the request of SFWMD is made. Option 3 requires a "full permit modification". -Josh Lockhart advised us, after reviewing the actual "basin 3" make up, that the "wet retention volume required (actual feet)" and "wet retention volume provided" indicated that there is NO excess water volume available and we must proceed with option 2; i.e. make up the lost water volume somewhere in basin 3 (lakes 13-27) NOTE: actual water volume as measured by the actual lake bank circumference vs. actual water depth. Important distinction. December 14: (BOS received this communication as well) EH sent a letter to Bob Lukas advising him that we must proceed with option 2 as we need to make up the lost water volume, calculated at 0.19 acres or 8211 square feet. -EH also advised Bob of our planned special meeting of December 30 and encouraged Bob to convene a meeting with all parties present to determine IF the HOA wished to proceed with this requirement OR terminate this proposal December 23: A meeting was held at the request of Bob Lukas and the decision was made to proceed with this proposal. -Attending this meeting from the CDD was Justin Faircioth, Jeffrey Satfield of CPH Engineering, and myself. Other attendees represented the HOA board, the Long Range Planning Committee, T.K. Matthews, Kevin Schaal, Gordon Lewis, golf course designer, and the Green Committee. Conclusion of the meeting: �� cos 0( tSvp / GAN J 'U t5p -the Green Committee was charged with finding a suitable spot or spots to remediate the lost water volume and a decision is forthcoming. Gordon Lewis to look at all options with lake 19, aqua range lake, being the preferred lake to work on. Plans to be back by w/o January 3. -the HOA was advised that the CDD has already spent about$1000, the upper limit of dollars to be covered by the HOA as identified in Bob Lukas letter dated December 10 and he indicated he would pay for this amount PLUS any dollars spent on behalf of this continuing study. CPH to bill the CDD and CDD to request payment from the HOA. -Green Committee and Gordon Lewis to define the scope of work to help CPH keep the overall costs to a minimum -CPH, when requested, to work with the HOA and ensure that ALL remediation work meets the SFWMD requirements and then work with the CDD when requesting the formal "letter of modification". CPH can utilize the expertise of Glase Construction as well when identifying likely areas for remediation and that the required volume of water can be achieved in the identified area(s). Overall comments from the Chairman: -work will be overseen by CPH to ensure all requirements are met and building a bulkhead will in fact alleviate any washout issues going forward. Furthermore, rebuilding a lake bank, with littorals, and at a 6:1 slope will only enhance the lake bank being reconstructed. (_tu1V 1-)124A-0(2. 2At4vM or u No FJz -- TD (g-i-V- r ),4-o f 6 w nt&/LAS 1 p.WLA- ` Wfit , Nrvh - ice-um/3 ONGAf ) MA1 r 1-aez AGREEMENT FOR PROFESSIONAL ENGINEERING SERVICES WITH CPH, INC. THIS AGREEMENT made and entered into the_day of January, 2016 by and between the: Heritage Bay Community Development District 5911 County Lakes Road Fort Myers,FL 33905 , hereinafter referred to as the"CLIENT"and: CPH, Inc., a Corporation. whose principal address is: 500 W. Fulton Street, Sanford, FL 32771, and whose local address is 2216 Altamont Avenue, Fort Myers, FL 33901, hereinafter referred to as "ENGINEER". The CLIENT and ENGINEER are collectively referred to herein as the"parties". WITNESSETH WHEREAS, the CLIENT desires to retain the ENGINEER, in accordance with the applicable provisions of law, to furnish general consulting services that may including engineering, surveying, planning, architectural, environmental, and/or landscape architectural services and to perform those tasks outlined and described in Section 2, hereof, and as specifically set out in Work Orders to be issued under this Agreement;and WHEREAS, the CLIENT desires to employ the ENGINEER for the performance to support the activities, programs and projects of the CLIENT upon the terms and conditions hereinafter set forth, and the ENGINEER is desirous of performing such services upon said terms and conditions; and WHEREAS, the ENGINEER hereby warrants and represents to the CLIENT that it is competent and otherwise able to provide professional services to the CLIENT;and WHEREAS, all submissions submitted by the ENGINEER in its bid/RFP/RFQ are hereby incorporated herein to the extent not inconsistent with the CLIENT'S solicitation for the services described herein. NOW, THEREFORE, in consideration of the mutual covenants and agreements hereinafter contained and other good and valuable consideration, the receipt and sufficiency of which is hereby acknowledged, it is agreed by and between the parties hereto as follows: 1 1 6 1 13 1 SECTION 1: GENERAL 1.1 The term "ENGINEER" as used in this Agreement is hereby defined herein to include all principals of ENGINEER including, but not limited to, full time employees, professional or otherwise, and all other, agents, employees and/or subcontractors retained by ENGINEER to perform its obligations hereunder. 1.2 This Agreement is for continuing professional engineering services for CLIENT projects. It is anticipated that separate projects will be required of ENGINEER during the term of this Agreement.All capabilities provided by the ENGINEER are available for service to the CLIENT. 1.3 The recitals herein are true and correct and form and constitute a material part of this Agreement upon which the parties have relied. 1.4 Each party hereto represents to the other that it has undertaken all necessary actions to execute this Agreement, and that it has the legal authority to enter into this Agreement and to undertake all obligations imposed on it. SECTION 2: SCOPE OF SERVICES The ENGINEER shall diligently and in a professional and timely manner perform the work included in each Work Order. 2.1 WORK ORDERS"SCOPE OF SERVICES" Projects to be performed by the ENGINEER, as defined in this Section shall be authorized in a written Work Order issued by the CLIENT in a form similar to Exhibit B. Work Orders by the CLIENT shall include a detailed project description with an anticipated completion schedule. Prior to the CLIENT issuing the Work Order, the CLIENT may direct the ENGINEER to submit to the CLIENT a"Proposal"for the Work Order. The ENGINEER's Proposal shall include a detailed scope of services for the Work Order, a proposed method of compensation,and the ENGINEER's proposed schedule of completion, and a listing of special reimbursable expenses. The ENGINEER shall review Work Orders and notify the CLIENT in writing of inadequacies for CLIENT's correction, if warranted. 2.2 CHANGE ORDERS Revisions to any Work Order shall be authorized in writing by the CLIENT as a Change Order. Each Change Order shall include a schedule of completion for the work authorized, compensation, and methods of compensation. Change Orders shall identify this Agreement and the appropriate Work Order number. The Change Orders may contain additional instructions or provisions specific upon certain aspects of this Agreement pertinent to the work to be undertaken. Such supplemental instructions or provisions shall not be construed as a modification of this Agreement. Agreement between the parties on and execution of any change order shall constitute a final settlement and a full accord and satisfaction of all matters relating to the change and to the impact of the change on unchanged work, including all direct and indirect costs of whatever nature, and all adjustments to the ENGINEER's schedule. 2.3 MEETINGS At the request of the CLIENT or the CLIENT's designated representative, CPH shall attend routine meetings to represent, make presentation, or otherwise support a CLIENT request. All meeting shall be billed directly to the CLIENT on a "time and materials" basis following the fee scheduled attached as Exhibit"A". 2 F 1 6 ..sr SECTION 3: ENGINEER'S RESPONSIBILITIES 3.1 The ENGINEER shall be responsible for the professional quality, accepted standards, technical accuracy and the coordination of all services furnished by the ENGINEER under this Agreement as well as the conduct of its staff, personnel, employees and agents. The ENGINEER shall, without additional compensation, correct or revise any errors or deficiencies in its work product for each specific Work Order. The ENGINEER shall work closely with the CLIENT on all aspects of the work and services. 3.2 Neither the CLIENT's review, approval or acceptance of, nor payment for, any of the services required shall be construed to operate as a waiver of any rights under this Agreement or of any cause of action arising out of the performance of this Agreement and the ENGINEER shall be and remain liable to the CLIENT in accordance with applicable law for all damages to the CLIENT caused by the ENGINEER's negligent performance or failure to perform any of the services furnished under this Agreement. SECTION 4: CLIENT RIGHTS AND RESPONSIBILITIES The CLIENT shall provide the services described below in a timely fashion at no cost to the ENGINEER. 4.1 The CLIENT shall furnish a CLIENT official representative, as appointed by the designated representative, to administer, review and coordinate Work Orders and/or Meeting Requests. 4.2 The CLIENT shall make CLIENT's personnel available where, in the CLIENT's opinion, they are required and necessary to assist the ENGINEER. The availability and necessity of said personnel to assist the ENGINEER shall be determined solely at the discretion of the CLIENT. 4.3 The CLIENT shall examine all of the ENGINEER's work and indicate the CLIENT's approval or disapproval within a reasonable time so as not to materially delay the work of the ENGINEER. 4.4 The CLIENT shall transmit instructions, relevant information, and provide interpretation and definition of CLIENT policies and decisions with respect to any and all materials and other matters pertinent to the work covered by this Agreement. 4.5 The CLIENT shall give written notice to the ENGINEER whenever the CLIENT's designated representative knows of a development that affects the work and scope of services, timing of the ENGINEER's services, or a defect or change necessary in the work of the ENGINEER. SECTION 5: COMPENSATION 5.1 GENERAL Compensation to the ENGINEER for services performed on each Work Order shall be defined and indicated in the Work Order as"fixed fee/lump sum", or based on the fee schedule attached as Exhibit"A" either as "time and materials"; "cost-plus-a-fixed-fee"; or, "guaranteed maximum-not-to-exceed" basis. The type and amount of compensation for each Work Order shall be described on the Work Order. Compensation for general meetings as described within section 2.3 herein shall be billed on an hourly basis utilizing the attached fee schedule (Exhibit"A"). All meetings shall be billed directly to the CLIENT on a "time and materials" basis following the fee scheduled attached as Exhibit "A". Reimbursable expenses, if identified in a Work Order or required as part of a CLIENT requested meeting, shall be paid to the ENGINEER in addition to the compensation for services and shall include expenditures made by the ENGINEER, or its employees, in the interest of the work effort for the following expenses: (a) Expenses of transportation, when traveling in connection with a project, in accordance with Sections 112.061(7)and(8), Florida Statutes,or their successors. 3 iói (b) Expenses of long distance telephone calls,cell phone usage, and facsimile transmission (c) Expenses of reproductions, postage and handling of material associated with the work effort. (d) If authorized in writing in advance by the CLIENT, the cost of other expenditures made by the ENGINEER in the interest of the work effort. (e) The fee schedule attached as Exhibit "A" will be reviewed annually and may be modified at the request of the ENGINEER with the approval of the CLIENT. If modified, the new rates will be established as if reflected in Exhibit"A". 5.2 INVOICE PROCESS Invoices which are received by the CLIENT, will be processed for payment within thirty (30) days of receipt by the CLIENT. The ENGINEER will be notified of any disputable items contained in invoices submitted by the ENGINEER within fifteen(15) days of receipt by the CLIENT with an explanation of the deficiencies. The CLIENT and the ENGINEER will make every effort to resolve all disputable items contained in the ENGINEER's invoices. Approved revised invoices received by the CLIENT will be processed for payment within thirty(30)days of receipt by the CLIENT. Each invoice shall reference this Agreement, the appropriate Work Order and Change Order if applicable, and billing period. A billing period represents the dates in which the ENGINEER completed work referenced in an invoice. Invoices are to be forwarded directly to: Wale: Heritage Bay CDD C/o Severn Trent Services titre: Assistant District Manager Address: 5911 Country Lakes Drive Ft. Myers,FL 33905 Te sphofla: 239-245-7118 239-245-7120 Justin.fairclothna.stservices.com SECTION 6:WORK COMMENCEMENT/IMPLEMENTATION SCHEDULE/LENGTH OF AGREEMENT 6.1 WORK COMMENCEMENT ENGINEER shall commence work on each Work Order within ten (10)days after receipt by ENGINEER of a written notice-to-proceed from the CLIENT's Designated Representative, as set forth in the Work Order, or as otherwise agreed upon between the CLIENT and ENGINEER and set forth in the Work Order. 6.2 IMPLEMENTATION SCHEDULE ENGINEER and the CLIENT agree to make every effort to adhere to the schedules established for the various Work Orders as described in the Work Order. However, if ENGINEER is delayed at any time in the progress of the work by any act or omission of the CLIENT, or of any employee of the CLIENT,or by any other ENGINEER employed by the CLIENT, or by changes ordered in the work, or by strikes, lock outs, fire, unusual delay in transportation, unavoidable casualties, or any other causes of force majeure not resulting from the inactions or actions of ENGINEER and beyond ENGINEER's control which would not reasonably be expected to occur in connection with or during performance of the work, or by delay 4 ofH authorized by the CLIENT pending a decision, or by any cause which the CLIENT shall decide to justify the delay, the time of completion shall be extended for such reasonable time as the CLIENT approves. It is further expressly understood and agreed that ENGINEER shall not be entitled to any damages or compensation, or be reimbursed for any losses on account of any delay or delays resulting from any of the aforesaid causes. Additional or reduced compensation to ENGINEER may be negotiated to the mutual agreement of the parties in the event delays cause Work Order pricing to increase or decrease; provided, however, ENGINEER shall not receive additional compensation for delays that occur in any way as a result of ENGINEER's acts or omissions. 6.3 LENGTH OF AGREEMENT This Agreement shall be for a one (1) year period from its date of execution and shall be automatically renewed annually, unless terminated as provided herein. SECTION 7: DESIGNATED REPRESENTATIVES 7,1 GENERAL The CLIENT designates the CLIENT Manager or his designated representative, to represent the CLIENT in all matters pertaining to and arising from the work and performance of this Agreement. The designated representative, shall have the following responsibilities: 7.1.1 Examination of all work and rendering, in writing, decisions indicating the CLIENT's approval or disapproval within a reasonable time so as not to materially delay the work of the ENGINEER; 7.1.2 Transmission of instructions, receipt of information, and interpretation and definition of the CLIENT's policies and decisions with respect to design, materials, and other matters pertinent to the work covered by this Agreement; 7.1.3 Giving prompt written notice to the ENGINEER whenever the CLIENT's official representative knows of a defect or change necessary in the project; and 7.1.4 Coordinating and managing the ENGINEER's preparation of any necessary applications to governmental bodies,to arrange for submission of such applications. 7.2 DESIGNATED REPRESENTATIVES Until further notice from the CLIENT Manager,the designated representative for this Agreement is: Nam Calvin Teague-Severn Trent Management Services l'it.1O: District Manager Telephone: 239-245-7118 x.301 Fax: 239-245-7120 Errmaii: cal.teague(a?_stservices.com ENGINEER's designated representative is: Jeffrey M. Satfield, P.E. CPH,Inc. 5601 Mariner Street—Suite 105 Tampa, FL 33609 Telephone Number: 239-332-5499 E-mail address:jsatfield@cphcorp.com 5 , , 1 1611 SECTION 8:TERMINATION/SUSPENSION OF AGREEMENT 8.1 TERMINATION BY THE CLIENT FOR CAUSE The CLIENT may terminate this Agreement or any Work Order by written notice for convenience at any time for any one(1)or more of the reasons as follows: 8.1.1 If, in the CLIENT's opinion, adequate progress on any phase of the services to be provided under a Work Order is not being made by the ENGINEER due to the ENGINEER's failure to perform; or 8.1.2 If, in the CLIENT's opinion, the quality of the services performed by the ENGINEER is not in conformance with commonly accepted professional standards, standards of the CLIENT, and the requirements of Federal and/or State regulatory agencies, and the ENGINEER has not corrected such deficiencies in a timely manner as reasonably determined by the CLIENT;or 8.1.3 The ENGINEER or any employee or agent of the ENGINEER is indicted or has a direct charge issued against him for any crime arising out of or in conjunction with any work that has been performed by the ENGINEER;or 8.1.4 The ENGINEER becomes involved in either voluntary or involuntary bankruptcy proceedings, or makes an assignment for the benefit of creditors;or 8.1.5 The ENGINEER violates the Standards of Conduct provisions herein. 8.1.6 In the event of any of the causes described in this Section, the CLIENT's Designated Representative may send a certified letter to the ENGINEER requesting that the ENGINEER show cause why the Agreement or any Work Order should not be terminated. If assurance satisfactory to the CLIENT of corrective measures to be made within a reasonable time is not given to the CLIENT within fifteen (15) calendar days of the date of the letter, the CLIENT may consider the ENGINEER to be in default, and may then immediately terminate this Agreement or any Work Order in progress under this Agreement. 8.2 TERMINATION BY ENGINEER FOR CAUSE The ENGINEER may cancel this Agreement, subject to the provisions of Subsection 8.2.3, if: 8.2.1 The CLIENT materially fails to meet its obligations and responsibilities as contained in the CLIENT's Rights and Responsibilities;or 8.2.2 The CLIENT fails to pay the ENGINEER in accordance with this Agreement. 8.2.3 In the event of either of the causes described in Subsection 8.2, the ENGINEER shall send a certified letter requesting that the CLIENT show cause why the Agreement should not be terminated. If adequate assurances are not given to the ENGINEER within fifteen (15) days of the receipt by the CLIENT of said show cause notice, then the ENGINEER may consider the CLIENT to be in default, and may immediately terminate this Agreement. 8.3 TERMINATION BY THE CLIENT WITHOUT CAUSE Notwithstanding any other provision of this Agreement, the CLIENT shall have the right at any time to terminate this Agreement in its entirely without cause, or terminate any specific Work Order without cause, provided that thirty(30) days prior, written notice is given to the ENGINEER of the CLIENT's intent to terminate. In the event that this Agreement is terminated, the CLIENT shall identify any specific Work Order(s) being terminated and the specific Work Order(s)to be continued to completion pursuant to the provisions of this Agreement. This Agreement will remain in full force and effect as to all authorized Work Order(s)that are to be continued to completion. 6 8.4 PAYMENT IN THE EVENT OF TERMINATION In the event this Agreement or any Work Order is terminated or canceled prior to final completion without cause, payment for the unpaid portion of the services and reasonable costs of closures of the Agreement and any Work Order, provided by the ENGINEER to the date of termination and any additional services thereafter will be determined by negotiation between the CLIENT and ENGINEER. No amount shall be allowed for anticipated profit on unperformed services or other work. 8.5 ACTION FOLLOWING TERMINATION 8.5.1 Upon receipt of notice of termination, given by either party, the terminated party shall promptly discontinue all services and other work, unless the notice provides otherwise. 8.5.2 In the case of the CLIENT terminating the ENGINEER, the ENGINEER shall within ten (10) calendar days, or any extensions as approved by the CLIENT's Designated Representative, deliver to the CLIENT all work product, data, documents, and other documents that have been obtained or prepared by the ENGINEER or at its direction in performing the services under this Agreement, regardless of whether the work on such documents,has been completed or is in progress. CL-.1E*rrJ1 sLit(!bc res Po S.ble^{of A MASonoble- aAM ^iS�rF( of coST�o f1cins,er Sv- wort erJcl4c�t"or id.t) N • AM's Pt'34114' SECTION 9: INDEMNITY AND INSURANCEI1-34� 9.1 GENERAL 9.1.1 ENGINEER agrees to indemnify and hold harmless the CLIENT/public agency and its officers and employees, from liabilities, damages, losses, and costs, including, but not limited to, reasonable attorneys' fees, to the extent caused by the negligence, recklessness, or intentionally wrongful conduct of the ENGINEER and other persons employed or utilized by the ENGINEER in the performance of the contract. The extent of the above-referenced indemnification provisions shall be limited to $2,000,000.00 per occurrence. Additionally, such indemnification shall not include claims of, or damages resulting from, gross negligence, or willful, wanton, or intentional misconduct of the CLIENT or its officers, directors, agents, or employees,or for statutory violation or punitive damages except and to the extent the statutory violation or punitive damages are caused by or result from the acts or omissions of the ENGINEER or any of the ENGINEER'S contractors, subcontractors, sub-subcontractors, materialmen, or agents of any tier or their respective employees. The parties further agree that this provision satisfies the requirements of Florida Statute Section 725.08 so that the indemnification provisions are valid and binding upon the parties to this Agreement. 9.1.2 The execution of this Agreement by the ENGINEER shall obligate the ENGINEER to comply with the indemnification provision in this Agreement; however, the ENGINEER must also comply with the provisions of this Agreement relating to insurance coverages. 9.2 INSURANCE The ENGINEER shall obtain or possess and continuously maintain the following insurance coverage, from a company or companies, with a Best Rating of A-or better, authorized to do business in the State of Florida: Worker's Compensation: The ENGINEER shall provide Worker's Compensation for all of their employees. The limits will be statutory limits for Worker's Compensation and $1,000,000 for Employer's Liability. 7 G 0 fl Comprehensive General Liability:The ENGINEER shall provide coverage for all operations including, but not limited to, Contractual, Products and Complete Operations and Personal Injury. The limits will not be less than$1,000,000 CSL or its equivalent. Comprehensive Automobile Liability: The ENGINEER shall provide complete coverage for owned and non-owned vehicles for limits not less than$1,000,000 CSL or its equivalent. Professional Liability: The ENGINEER shall provide professional liability insurance as well as errors and omission insurance in a minimum amount of$2,000,000 CSL or its equivalent. All insurance other than Worker's Compensation and Professional Liability to be maintained by the ENGINEER shall specifically include the CLIENT as an additional insured, The ENGINEER shall provide Certificates of Insurance to the CLIENT, evidencing such insurance, prior to the issuance of the first Work Order under this Agreement from the CLIENT. These Certificates of Insurance shall become part of this Agreement. The CLIENT shall be named as an additional insured on the ENGINEER's liability insurance. The insurance coverage shall contain a provision that requires that prior to any changes in the coverage, except increases in aggregate coverage, thirty (30) days prior notice will be given to the CLIENT by submission of a new Certificate of Insurance. The ENGINEER shall furnish Certificate of Insurance directly to the CLIENT's Designated Representative. The certificates shall clearly indicate that the ENGINEER has obtained insurance of the type, amount and classification required by these provisions. 9.3 Nothing in this Agreement or any action relating to this Agreement shall be construed as the CLIENT's waiver of sovereign immunity beyond the limits set forth in Section 768.28, Florida Statutes. 9.4 The CLIENT shall not be obligated or liable under the terms of this Agreement to any party other than the ENGINEER. There are no third party beneficiaries to this Agreement. SECTION 10: STANDARDS OF CONDUCT 10.1 The ENGINEER warrants that it has not employed or retained any company or person, other than a bona fide employee working solely for the ENGINEER, to solicit or secure this Agreement and that the ENGINEER has not paid or agreed to pay any person, company, corporation, individual or firm other than a bona fide employee working solely for the ENGINEER, any fee, commission, percentage, gift, or any other consideration, contingent upon or resulting from the award of making this Agreement. 10.2 The ENGINEER hereby certifies that no undisclosed conflict of interest exists with respect to the present Agreement, including any conflicts that may be due to representation of other clients, other contractual relationships of the ENGINEER, or any interest in property that the ENGINEER may have. The ENGINEER further certifies that any conflict of interest that arises during the term of this Agreement will be immediately disclosed in writing to the CLIENT. 10.3 If the CLIENT determines that any employee or representative of the ENGINEER is not satisfactorily performing his assigned duties or is demonstrating improper conduct pursuant to any assignment under this Agreement, the CLIENT shall so notify the ENGINEER, in writing. ENGINEER shall immediately remove such employee or representative of the ENGINEER from such assignment. 10.4 The ENGINEER shall not publish any documents or release information regarding this Agreement to the media without prior approval of the CLIENT. 8 y t: r, SECTION 11: ACCESS TO RECORDS/AUDIT 11.1 The ENGINEER shall maintain books, records, documents, time and costs accounts and other evidence directly related to its performance of services under this Agreement. All time records and cost data shall be maintained in accordance with generally accepted accounting principles. 11.2 The ENGINEER shall maintain and allow access to the records required under this Section for a period of five (5) years after the completion of the services provided under this Agreement and date of final payment for said services, or date of termination of this Agreement. In connection with its services to the CLIENT pursuant to this Agreement, the ENGINEER agrees to fully comply with the provisions of Section 119.0701, Florida Statutes pertaining to Florida's Public Records Law. Said compliance will include the ENGINEER taking appropriate and necessary steps to comply with the provisions of Section 119.0701 (2)(a)-(d), Florida Statues. SECTION 12:CODES AND DESIGN STANDARDS 12.1 All the services to be performed by the ENGINEER shall in the minimum be in conformance with commonly accepted professional codes and standards, standards of the CLIENT, and the regulations of any Federal and/or State and/or regulatory agencies. 12.2 The ENGINEER shall be responsible for keeping apprised of any changing codes or regulations, which regulations must be applied to the Work Order to be performed under this Agreement. SECTION 13: ASSIGNABILITY The ENGINEER shall not sublet, assign or transfer any interest in or work under this Agreement. Claims for the money due or to become due, may be assigned to a bank, trust company, or other financial institution without such CLIENT approval however notice of such assignment or transfer shall be furnished promptly to the CLIENT. SECTION 14: CONTROLLING LAWSNENUE/INTERPRETATION This Agreement is to be governed by the laws of the State of Florida. Venue for any legal proceeding related to this Agreement shall be in Collier County, Florida. This Agreement is the result of bona fide arms length negotiations between the CLIENT and ENGINEER and all parties have contributed substantially and materially to the preparation of the Contract. Accordingly, this Agreement shall not be construed or interpreted more strictly against any one party than against any other party. SECTION 15: FORCE MAJEURE Neither party shall be considered in default in performance of its obligations hereunder to the extent that performance of such obligations, or any of them, is delayed or prevented by Force Majeure. Force Majeure shall include, but not be limited to, hostility, revolution, civil commotion, strike, epidemic, fire, flood, wind, earthquake, explosion, any law, proclamation, regulation, or ordinance or other act of government, or any act of God or any cause whether of the same or different nature, existing or future; provided that the cause whether or not enumerated in this Section is beyond the control and without the fault or negligence of the party seeking relief under this Section. SECTION 16: EXTENT OF AGREEMENT This Agreement, together with the Exhibits constitutes the entire Agreement between the CLIENT and the ENGINEER and supersedes all prior written or oral understandings in connection therewith. This Agreement may only be amended, supplemented or modified by a formal written amendment. Any alterations, amendments, deletions, or waivers of the provisions of this Agreement shall be valid only when expressed in writing and duly signed by the parties. 9 SECTION 17: NOTICES Whenever either party desires to give notice unto the other, it must be given by written notice, sent by registered United States mail, email, hand delivered, commercial overnight courier (i.e. FedEx or UPS), addressed to the party for whom it is intended, at the place last specified, and the place for giving of notice shall remain such until it shall have been changed by written notice in compliance with the provisions of this Section. For the present, the parties designate the following as the representative places for giving of notice,to-wit: (A) For the CLIENT: Name: Heritage Bay CDD C/o Severn Trent Services Title: Assistant District Manager Address: 5911 Country Lakes Drive Ft. Myers, FL 33905 Telephone: 239-245-7118 Fax: 239-245-7120 Email: Justin.faircloth(cstservices.com (B) For the ENGINEER: David A.Gierach, P.E. CPH, Inc. 500 West Fulton Street Sanford, FL 32771 Telephone Number: 407-322-6841 Fax: 407-330-0639 E-mail address: dgierach@cphcorp.com Written notice requirements of this Agreement shall be strictly construed and such requirements are a condition precedent to pursuing any rights or remedies hereunder. The ENGINEER agrees not to claim any waiver by CLIENT of such notice requirements based upon CLIENT having actual knowledge, implied, verbal or constructive notice, lack of prejudice or any other grounds as a substitute for the failure of the ENGINEER to comply with the express written notice requirements herein. ****Signatures on following page**** 10 IN WITNESS WHEREOF, the parties hereto have made and executed this Agreement on the respective dates under each signature:the CLIENT through its Board of Supervisors taking action on the day of January 2016,and the Board of Supervisors'signing by and through Its duly authorized corporate officer having the full and complete authority to execute same. ATTEST. CPH,INC. 04101 it Secretary Patricia Hunt Did A.f3ieracdt,P.E. President Date: 12/17/15 ATTEST: Heritage Bay Community Development District By: Chairperson Secretary Date: 4643— 11 Fje ,, 4 aW EX"A" Rates & Reiznbiirsables CPH STANDARD RATES CPH STANDARD RATES T Category Rate Category Rate Principal $160 Principal Landscape Architect $188, Sr.Project%inngor 5156 8r.Landscape Architect $125 Project Manager $140 Landscape Architect $105 Professional Engineer $130 Sr.Landscape Designer $100 Sr.Project Engineer 8125 Landscape Designer 985 Project Engineer $116 Project Desianor $110 Project Coordinator $90 Principal Traffic Engineer $180 Sr.Dostgn Technician $105 Sr.Traffic Engineer $135 Design Technician $95 Traffic Engineer $115 Sr.CADD Technician SES Traffic Analyst $105 CADD Technician $75 Senior Graphic Designer $125 Principal Environmental Scientist $160 Graphic Designer $75 Senior Environmental Scientist $125 Lead Environmental Solentlet $105 Cleric Administrative $75 lerh:al II $80 Environmental Scientist 995 Clerical I $40 01$Analyst $103 Network Admin.(I) Arborist $125 Sr.Construction Manager $120 Construction Manager Siff Principal Planner $160 Construction Meld Representative ti $100 Sr.Planner $130 Construction Field Personnel 1 $80 Planner $100 Principal Surveyor $160 Principal Architect $160 Sr.Proresslehat Surveyor 5130 PProfessional S rveyor and Trapper 5125 Sr.Architect $140 Field Tochniclenlboaignor $105 Senior Architectural Manager stag Surveyor in Training $100 Architect 3525 Survey Pleject Managent:ADD $100 'Meld Crew Coordinator —$`03- Senior Architectural Designer $120 9 Survey Party Ch1 $ $7575 Architectural Designer $105 Survey Instrument Man —$55- Architectural -353Architectural Coordinator $45 Surveying SFCAbD Tech 390 Surveying CADD Tech $75 Principal Structural Engineer $180 Survey Crew(2 Man) $133 Senior Structural Engineer $140 Survey Crew(Construction Staking•2 Man) WY Survey Crow(3 Man) $165 Structural Engineer $115 OPS(1 Man)!Robotics $130 _ CPS(2 Man) $165 Principal MEP Engineer $160 1 Man ScanneriLaser Survey Crew $285 MEP Project Engineer $115 2 Man Scanner/Laser Survey Crew $290 MEP Project Designer 9110 MEP Design Technician $95 Schedule of Reimbursable Charges Copies(88W) Plots(SSW) Mileage At Current IRS 8.5 x 1i $0.05 Each 11 X17 $0.21 Each Rates 8.5 x 14 $0.10 Each 12 X18 $0.24 Each Phone At Coat Postage At Cost 11 x 17 $0.20 Each 15 x 21 $0.35 Each Outside Reimbursable* At Cost 34 X 22 $0.83 Each Copia*(Color) 24 X 38 3 0.96 Each 8.5 x 11 $0.25 Each 30 X 42 $1.42 Each 8.5 x 14 $0.30 Each 36 X 48 $1.92 Each 11 x 17 $0.35 Each Silting and Reimbursable Rates Are Subject To Periodic Review and Adjustment Mylar. Plots(Color/Bond) Updated;December 14,2015 24 x 36 $9.00 Each 24 x 38 324.00 Each 32 x 42 $13.00 Each 30 x 42 $33.00 Each 36 a 48 $48.00 Each X6 1 1 r EXHIBIT B WORK ORDER FORM Work Order Number Heritage Bay Community Development District Master Agreement/Contract Number: Dated: Contract/Project Title Purchase Order No. Consultant: CPH,Inc. Consultant/Contractor's Business Address,Phone Number,Fax Number and E-mail Address 500 West Fulton Street,Sanford,FL 32771 Email Address:jsatfieid@cphcorp.com ATTACHMENTS TO THIS WORK ORDER METHOD OF COMPENSATION DRAWINGS/PLANS/SPECIFICATIONS FIXED FEE BASIS SCOPE OF SERVICES TIME BASIS-NOT TO EXCEED AMOUNT SPECIAL CONDITIONS TIME BASIS-LIMITATION OF FUNDS PRICING(INFORMATION UNIT PRICE BASIS-NOT TO EXCEED AMOUNT WO TERMS AND CONDITIONS TIME FOR COMPLETION: Days of the effective date to this Work Order Effective date-this Work Order: Date of Execution by Client Time for completion: The services to be provided by the Consultant/Contractor shall commence upon execution of this Work Order by the parties and shalt be completed within the time frame indicated above. Failure to meet the stated completion requirement may be grounds for termination for default. Work Order Amount: Dollars Expressed In Numbers: $ Dollar Amount Written Out: in Witness Whereof,the parties hereto have made and executed this Work Order on the respective dates under each signature:The Client by and through its duly authorized corporate officer and the Consultant/Contractor by and through its duly authorized corporate officer having the full and complete authority to execute same. CPH,Inc. Signature, Printed Name;Title,&Date Heritage Bay Community Development District Signature Printed Name,Title,and Date C:\Usersljsatfield\Desktop\HB\Copy of Exhibit B--WORK ORDER--Generic 16 Eo ( ra1 mkgsi By �lYl(Z MINUTES OF SPECIAL MEETING HERITAGE BAY COMMUNITY DEVELOPMENT DISTRICT A special meeting of the Board of Supervisors of the Heritage Bay Community Development District was held on Wednesday, December 30, 2015 at 9:00 a.m. in the Heritage Bay Clubhouse, 10154 Heritage Bay Boulevard,Naples,Florida. Present and constituting a quorum were: Edwin Hubbard Chairman Ronald Grant Vice Chairman John May Assistant Treasurer Dennis Gagne Assistant Secretary Richard Brodeur Assistant Secretary Also present were: Cal Teague District Manager Greg Urbancic District Counsel Jeff Satfield CPH, Inc. Josh Lockhart CPH, Inc. Bob Lukas HOA Vice President Members of HOA Long Range Planning Committee and Master Board The following is a summary of the minutes and actions taken at the special December 30, 2015 Heritage Bay Board of Supervisors meeting FIRST ORDER OF BUSINESS Roll Call Mr.Teague called the meeting to order and called the roll. SECOND ORDER OF BUSINESS Public Comments on Agenda Items There were no comments from the public. THIRD ORDER OF BUSINESS Discussion on Lake Bank Modifications Requested by the HOA • Mr. Hubbard introduced a request from the HOA that they be allowed to make modifications to Lake#19 to allow for development of a golf practice facility. 1 6 1 1 1 December 30, 2015 Heritage Bay CDD • A timeline of how we got to where we are now was presented including information on the meeting held with SFWMD to discuss options and how best to proceed; a copy of which is attached for the record. • A lengthy discussion ensued with regard to the HOA request. • Actions or information that is needed to be completed to accommodate the HOA request to make modifications to Lake #19 which will allow them to construct a golf practice facility were identified: > Land usage needed to facilitate this project will need to be identified and legal support identified for facilitating this effort. > All legal, engineering and permitting costs associated with this project must be paid for by the HOA. ➢ The HOA must rely on the CDD Engineer (CPH) to identify all requirements and prepare any specifications to satisfy the SFWMD to obtain any needed permit modifications required. Once issues and actions required are developed by CPH for the HOA they will be forwarded to the BOS for review and comment. > Ongoing maintenance of any structures constructed by the HOA will be the responsibility of the HOA. Mr. Hubbard MOVED that in order to address the IIOA request to construct a golf practice facility utilizing Lake #19 the following must be adhered to: land usage swap to be identified with legal support; all costs associated with the project be paid by the HOA including legal, engineering and permitting; rely on CPH, Inc. to identify requirements/specs to satisfy SFWMD requirements; any reviews affecting lake banks going forward must be reviewed by the CDD BOS and; ongoing maintenance of any structures constructed by the HOA will be the responsibility of the HOA, and Mr. Grant seconded the motion. • The prior motion was discussed. On VOICE vote with Mr. Hubbard, Mr. Grant, Mr. May and Mr. Brodeur in favor and Mr. Gagne opposed the prior motion was approved. 2 1 1611 B December 30, 2015 Heritage Bay CDD • When the scope of service for the HOA is prepared by CPH, it will be sent to the BOS for review. FOURTH ORDER OF BUSINESS Discussion on Engineering Contract • The Agreement for Professional Engineering Services with CPH, Inc. was discussed. • It was requested a revision regarding requirements for CPH to provide District records upon termination of the contract be added. Client shall be responsible for a reasonable administrative cost to transfer such work product or documents. On MOTION by Mr. May seconded by Mr. Gagne with all in favor the Agreement for Professional Engineering Services with CPH, Inc. was accepted and the Chairman was authorized to execute the agreement. FIFTH ORDER OF BUSINESS Supervisors' Requests and Audience Comments • The Bridge preconstruction meeting is scheduled for the week of January 11, 2016. The project is still on schedule to begin in February. • Maintenance of Lakes 30 A and B by the Umbrella Association will be placed on the next meeting agenda. SIXTH ORDER OF BUSINESS Adjournment There being no further business, lOn MOTION by Mr. May seconded by Mr. Gagne with all in favor the meeting was adjourned 6,e:ft(.:1 ____ , c:::::''' —c, 1,---4-0"`"-- Calvin Teagui_ Edwin Hubbard Secretary Chairman 3 16i EE0Tm MAK 21,2oi co Heritage Bay Community Development District sy`� ' Board of Supervisors Edwin Hubbard,Chairman Calvin Teague,District Manager Ronald A.Grant,Vice Chairman Gregory Urbancic,District Counsel John May,Assistant Treasurer Jeffrey Satfield,District Engineer Dennis Gagne,Assistant Secretary Richard Brodeur,Assistant Secretary Regular Meeting Agenda January 7,2016—9:00 a.m. 1. Roll Call 2. Public Comments on Agenda Items 3. Approval of the Minutes of the December 3,2015 Meeting 4. Old Business A. Lake& Wetland Management Contract Discussion B. Transfer of Environmental Resource Permit 11-02234-P from Lennar to the District Update C. Lake Management Program Discussion D. Umbrella Association Discussion E. Bridge Project Update 5. New Business 6. Manager's Report A. Approval of Financials, Check Register and Invoices B. Field Manager's Report C. Follow up 7. Attorney's Report 8. Engineer's Report 9. Supervisors'Requests and Audience Comments 10. Adjournment NOTES: The next meeting is scheduled for March 3,2016 at 9:00 a.m. District Office: Meeting Location: 210 N.University Drive,Suite 702 Heritage Bay Clubhouse Coral Springs,FL 33071 10154 Heritage Bay Boulevard 954-753-5841 Naples,FL 1611 El Agenda Package 14 IL......: ,.._ake &Wetland MANAGEMENT Heritage Bay Community Development District Custom lake management proposal December 23, 2015 • City of Fort Myers • Lee County• Florida Prepared for: MJloth/ Property Manager Severn r. Trentustin Services 5911 CountryLakes Drive Fort Myers, Florida 33905 a Prepared by: Gonzalo Ayres Lake and Wetland Management, Inc. Orlando-Tampa Fort Myers Office Port Charlotte Office 13721 Jetport Commerce Lane, Suite #5 24610 Sandhill Boulevard, Suite 204 Fort Myers, Florida 33913 Punta Gorda, Florida 3398 (239) 313-6'47 Office• (239) 313- 13 6950 Fax (941) 391 5387 Office • (941) 391 5018 Fax Orlando Office 4625 Old Winter Garden Road, Suite B4 Orlando, Florida 32811 (407) 985-4263 Office • (407) 988- 85 4265 Fax westcoast@lakeandwetland.com •www.lakeandwetland.com b Agenda Package 15 ' .4' '' Lake &Wetland MANAGEMENT LAKE SERVICE AGREEMENT This Agreement is made between Lake and Wetland Management, Inc. Orlando- Tampa, and: December 23, 2015 Mr. Justin Faircloth Heritage Bay Community Development District c/o Severn Trent Services Justin.faircloth@stservices.com 5911 Country Lakes Drive (239) 245 7118 Office Fort Myers, Florida 33905 (239) 245-7120 Fax Both Heritage Bay C.D.D. (CUSTOMER) and Lake and Wetland Management (LWM) agree to these terms and conditions for Special Service Agreement: Description of Service A. Lake management service including algae, border grass, and invasive exotic plant control including submersed vegetation for twenty nine (29) lakes totaling approximately 55,054 linear feet. 1. LWM shall provide all supervision, labor, herbicide, equipment, materials and incidentals necessary for the maintenance treatment. 2. LWM will visit the site four (4) times monthly with treatments as necessary to control undesirable growth. A minimum of fifty two (52) visits will be performed annually (including quarterly aquatic consultations). 3. All Florida Exotic Pest Plant Council (FLEPPC) listed invasive exotic species will be treated in place with EPA-certified herbicides. No vegetation or algae will be removed from the waterway. 4. Native vegetation will be left for the benefit of fish and wildlife, unless otherwise requested. 5. Casual debris, defined as cups, plastic and other man-made materials, will be removed during scheduled service visits. Large or dumped items, coconuts, palm fronds and other landscape debris are not included. 6. A comprehensive management report will be submitted detailing work performed upon completion of each service visit, one hard copy to the Golf Course Superintendent, one electronic copy to Severn Trent. Lake and Wetland Management,Inc.Orlando-Tampa (239) 313.6947 Office • (239)313-6950 Fax • westcoast@lakeandwetland.com • www.lakeandwetland.com Agenda Package 16 Lake Service Agreement Page 2 7. Algae Control. Algae will be maintained to within the littoral shelf only. Any algae that expands beyond the littoral shelf will be chemically treated upon identification. Algae will be manually removed if chemical treatment fails. 8. Border grasses, vines and brush will not exceed 3%. 9. Quarterly water samples will be performed to test pH, temperature & Dissolved Oxygen for up to 5 sites. 10. Aquatic Consultation on a quarterly basis with staff. 11. Littoral Zones/ Plantings: A. Littorals behind residential homes will not exceed a maximum width of five (5) feet. Any littorals growing outside of this zone will be treated. B. Littorals along the golf course & common areas will be left in their natural state. C. No littorals will be left within the driving range portion of Lake 1 including the area with fountain. 12. Ground crew will manually pull weeds on each lake every month (12 times per year). All debris will be hauled off site. B. Lake management service (30A and 30B) including algae, border grass, submersed vegetation and invasive exotic plant control for two (2) lakes totaling 17,856 linear feet. 1. LWM shall provide all supervision, labor, herbicide, equipment, materials and incidentals necessary for the maintenance treatment. * Treatments will include aggressive treatment of Pondweed growing up form bottom of lakes. 2. LWM will visit the site twice monthly with treatments as necessary to control undesirable growth. A minimum of twenty four (24) visits will be performed annually. 3. All Florida Exotic Pest Plant Council (FLEPPC) listed invasive exotic species will be treated in place with EPA-certified herbicides. No vegetation or algae will be removed from the waterway. 4. Native vegetation will be left for the benefit of fish and wildlife, unless otherwise requested. 5. Casual debris, defined as cups, plastic and other man-made materials, will be removed during scheduled service visits. Large or dumped items, coconuts, palm fronds and other landscape debris are not included. 6. A comprehensive service report will be submitted detailing work performed upon completion of each service visit. Lake and Wetland Management, Inc.Orlando-Tampa (239)313.6947 Office • (239)313-6950 Fax • westcoast@lakeandwetland.com • www.lakeandwelland.com 1iRj Agenda Package 17 Lake Service Agreement Page 3 Investment Schedule A. LWM agrees to perform the lake management service stated above on a monthly basis for the total sum of$4,449.55 monthly. B. LWM agrees to perform the lake management service (30A and 30B) stated above on a monthly basis for the total sum of$1,876.00 monthly. Conditions: 1. Ownership of property is implied by CUSTOMER with acceptance of this Agreement. In the event that CUSTOMER does not expressly own the areas where the above stated services are to be provided, CUSTOMER represents that express permission of the owner is given and that authorization to commence the above mentioned services is allowed. In the event of dispute of ownership, CUSTOMER agrees to hold harmless LWM for the consequences of such services. 2. LWM shall not be responsible for acts beyond its reasonable control, including adverse soil and / or water conditions, adverse weather conditions, unavailable materials, Acts of God, war, acts of vandalism, theft or third party actions. CUSTOMER further states that neither party shall be responsible in damages or penalties for any failure or delay in performance of any of its obligations caused by above named incidences. 3. Invoices submitted for work completed shall be paid within 30 days of receipt. A finance charge of 1.500% per month or an annual percentage rate of 18.000% will be computed on all past due balances. 4. Any incidental activity not explicitly mentioned in this proposal is excluded from the scope of work. 5. This proposal shall be valid for 30 days. Either party may cancel this contract with 30-day written notice. This Agreement automatically renews upon anniversary of execution date, unless notice is given by either party with at least 30 days written notice. 6. If LWM is required to enroll in any third-party compliance programs, invoicing or payment plans that asses fees in order to perform work for CUSTOMER, those charges will be invoiced back to CUSTOMER as invoiced to LWM. 7. LWM will maintain insurance coverage, which includes but is not limited to; General Liability Property Damage, Automobile Liability, and Workman's Compensation at its own expense. 8. No alterations or modifications, oral or written, of the terms contained above shall be valid unless made in writing, and wholly accepted by authorized representatives of both LWM and the CUSTOMER. Customer acceptance — The above prices, specifications and conditions are hereby accepted. Gonzalo.Ayres Gonzalo Ayres Authorized signature Date Lake and Wetland Management, Inc. Orlando-Tampa Heritage Bay C.D.D. Lake and Wetland Management,Inc.Orlando-Tampa (239)313-6947 Office • (239)313-6950 Fax • westcoasf@lakeandwetland.com • www.lakeandwetland.com s loll 1,3 1 Agenda Package 18 I f Lake &Wetland c.....Vcimuno, MANAGEMENT SPECIAL SERVICE AGREEMENT This Agreement is made between Lake and Wetland Management, Inc., and: December 23, 2015 Heritage Bay Community Development District c/o Severn Trent Services Justin.faircloth@stservice.com 210 North University Drive, Suite #702 (239) 245-7118 Office Coral Springs, Florida 33071 (239) 245-7120 Fax Both Heritage Bay and Lake and Wetland Management agree to these terms and conditions for Special Service Agreement: Description of Service Amount One time additional herbicide treatment of 30A and 30B to target pondweed. Total: $16,000.00 Conditions: 1. Ownership of property is implied by CUSTOMER with acceptance of this Agreement. In the event that CUSTOMER does not expressly own the areas where the above stated services are to be provided, CUSTOMER represents that express permission of the owner is given and that authorization to commence the above mentioned services is allowed. In the event of dispute of ownership, CUSTOMER agrees to hold harmless LWM for the consequences of such services. 2. LWM shall not be responsible for acts beyond its reasonable control, including adverse soil and / or water conditions, adverse weather conditions, unavailable materials, Acts of God, war, acts of vandalism, theft or third party actions. CUSTOMER further states that neither party shall be responsible in damages or penalties for any failure or delay in performance of any of its obligations caused by above named incidences. Lake and Wetland Management,Inc. {239)313-6947 Office • (239)313-6950 Fax • office@lakeandwetland.com • www.lakeandwetland.com ri LJ2:% Agenda Package 19 Special Service Agreement Page 2 3. Invoices submitted for work completed shall be paid within 30 days of receipt. A finance charge of 1.500% per month or an annual percentage rate of 18.000% will be computed on all past due balances. 4. Any incidental activity not explicitly mentioned in this proposal is excluded from the scope of work. 5. This proposal shall be valid for 30 days. Either party may cancel this contract with 30-day written notice. This Agreement automatically renews upon anniversary of execution date, unless notice is given by either party with at least 30 days written notice. 6. If LWM is required to enroll in any third-party compliance programs, invoicing or payment plans that asses fees in order to perform work for CUSTOMER, those charges will be invoiced back to CUSTOMER as invoiced to LWM. 7. LWM will maintain insurance coverage, which includes but is not limited to; General Liability Property Damage, Automobile Liability, and Workman's Compensation at its own expense. 8. No alterations or modifications, oral or written, of the terms contained above shall be valid unless made in writing, and wholly accepted by authorized representatives of both LWM and the CUSTOMER. Customer acceptance —The above prices, specifications and conditions are hereby accepted. Gowvra.lv-Ayrek Gonzalo Ayres Authorized signature Date Lake and Wetland Management, Inc. Heritage Bay C.D.D. Lake and Wetland Management,Inc. (239}313-6947 Office • (239)313-6950 Fax • office@lakeandwetland.com • www.lakeandwetland.com n Faircloth,Justin From: ehubbard@heritagebaycdd.com Sent: Thursday, December 10, 2015 4:30 PM To: Teague, Calvin Cc: Faircloth,Justin Subject: Umbrella Association,Inc.and the Heritage Bay Articles of Incorporation Attachments: Heritage Bay Articles of Insorporation.pdf Hi Cal As the result of our December 3 board meeting and the discussion which ensued as to whether the Umbrella Association may have the ability to take over maintenance responsibilities for the two recreational lakes, lakes 30A and 30B, I decided to investigate the Articles of Incorporation for Heritage Bay which define the reason for the creation of the Umbrella Association, Inc, as well as its responsibilities. I have included a pdf. file of the Heritage Bay Articles of Incorporation for our Board of Supervisors to read to gain the understanding of why you and I have been encouraging the Umbrella Association, Inc to take over this responsibility. I have additionally included in this email a summary of the Articles with specific reference to the Umbrella Association, Inc. I would appreciate you sending this email on to the Board of Supervisors as well as Jack Osborn, President of the Umbrella Association, Inc. Jack's email is ,jacktall@hotmail.com We can plan to discuss this as a agenda item for our planned February meeting. Thank you, Ed Heritage Bay Articles of Incorporation • Preliminary Statement (pages 1-2) (underlining added by Ed Hubbard for clarity) -Page 2: "whereas the Bayvest property and the Centex property are contiguous, will share in the maintenance of certain property and improvements intended to benefit both the Bayvest property and Centex property and" -Page 2: "whereas, the "Associaton" (as hereinafter defined) will be assigned the Army Core of Engineers permit and the South Florida Water Management District permit for the recreational lakes (as herinafter defined) and" -Page 2: "whereas Declarant specifically wishes to provide for the maintenance of certain portions of a common pass through water management system, maintenance described herein of the road surface each and all of which are for the common benefit of the Property and all owners thereof" I, , , -Page 2: "whereas to provide a means for meeting the purpose and intents as set forth herein, Declarant has incorporated the Heritage Bay Umbrella Association, Inc. a Florida Corporation not for profit ("Association") • Definitions: -"Association" "shall mean and refer to the Heritage Bay Umbrella Association, Inc, a Florida non-profit corporation" -"Common Expenses" "shall mean and include the actual and estimated expenses incurred by the Association for maintenance, operation and other services required or authorized to be performed by the Association which is attributable to the Common Property, including any reasonable reserves " ''Common Expenses shall specifically include, but not be limited to, costs and expenses of maintenance,repair and operation of any portions of the Storm Water Management System if the same is to be maintained by the Association" -"Common Property" " more particularly described in exhibit "D". "It is contemplated that the interest granted to the Association over the Common Property shall be an easement only, which easement shall be sufficient to fulfill the Associations responsibilities under the declaration" • Recreational Lakes (page 16) -described in exhibit "F". Hubbard comment, while not a clear copy of page 2 of 2 of the recreational lakes description (part of the Articles), it does appear that there are in fact 3 recreational lakes as defined on the map as "RL". This could mean that the large lake within The Quarry CDD areas of responsibility could in fact be considered part of the Umbrella Association, Inc areas of responsibility. This was discussed by Jack May at our December 3 Heritage Bay Board CDD meeting. This will need to be clarified by the Umbrella Association, Inc. -"Use Restrictions"-defined in exhibit "G": all defined as responsibility of The Quarry Community Association • Exhibit I-"By-Laws of the Heritage Bay Umbrella Association, Inc" -Section 5-"Powers and Duties of the Board. "All of the powers and duties of the Association shall be exercised by the board. Such powers and duties of the board shall include, but not be limited to, all powers and duties set forth in the Heritage Bay Documents Edwin B Hubbard Chairman, Heritage Bay Community Development District ehubbard@heritagebaycdd.com 2 I 1 ij 0 Heritage Bay Community Development District Financial Report November 30,2015 Prepared by SEVERN TRENT SERVICES hv,l# U 1 6 1 Heritage Bay Community Development District Table of Contents FINANCIAL STATEMENTS Balance Sheet-All Funds Page 1 Statement of Revenues,Expenditures and Changes in Fund Balance General Fund Pages 2-3 Debt Service Fund Page 4 SUPPORTING SCHEDULES Trend Report Pages 5-6 Non-Ad Valorem Special Assessments Page 7 Cash and Investment Report Page 8 Bank Reconciliation Pages 9-10 Check Register and Invoices Pages 11-32 io : i R Heritage Bay Community Development District Financial Statements (Unaudited) November 30, 2015 161 W HERITAGE BAY Community Development District Governmental Funds Balance Sheet November 30, 2015 SERIES 2014 GENERAL DEBT SERVICE ACCOUNT DESCRIPTION FUND FUND TOTAL ASSETS Cash-Checking Account $ 908,469 $ - $ 908,469 Due From Other Funds - 716,620 716,620 Investments: Certificates of Deposit-24 Months 51,392 - 51,392 Money Market Account 24,156 - 24,156 Deferred Cost - 13,235 13,235 Reserve Fund - 599,680 599,680 Revenue Fund 151,166 151,166 TOTAL ASSETS $ 984,017 $ 1,480,701 $ 2,464,718 LIABILITIES Accounts Payable $ 24,948 $ - $ 24,948 Due To Other Funds 716,620 - 716,620 TOTAL LIABILITIES 741,568 - 741,568 FUND BALANCES Restricted for: Debt Service - 1,480,701 1,480,701 Assigned to: Operating Reserves 60,124 - 60,124 Reserves-Erosion Control 14,687 - 14,687 Unassigned: 167,638 - 167,638 TOTAL FUND BALANCES $ 242,449 $ 1,480,701 $ 1,723,150 TOTAL LIABILITIES&FUND BALANCES $ 984,017 $ 1,480,701 $ 2,464,718 Report Date: 12/28/2015 Page 1 01-1 4 11 1 HERITAGE BAY Community Development District General Fund Statement of Revenues,Expenditures and Changes in Fund Balances For the Period Ending November 30, 2015 ANNUAL ADOPTED YTD YTD VARIANCE($) NOV-15 ACCOUNT DESCRIPTION BUDGET BUDGET ACTUAL FAV(UNFAV) ACTUAL REVENUES Interest- Investments $ 500 $ 82 $ 12 $ (70) $ 5 Special Assmnts-Tax Collector 250,000 120,000 146,118 26,118 143,484 Special Assmnts-Wall Project 62,500 31,250 38,965 7,715 38,262 Special Assmnts-Reserves 31,250 15,625 19,482 3,857 19,131 Special Assmnts-Discounts (13,750) (6,600) (8,219) (1,619) (8,024) TOTAL REVENUES 330,500 160,357 196,358 36,001 192,858 EXPENDITURES Administration P/R-Board of Supervisors 8,000 1,000 1,000 - - FICA Taxes 612 77 77 - - ProfServ-Engineering 14,000 2,400 - 2,400 - ProfServ-Legal Services 5,000 834 813 21 813 ProfSery-Mgmt Consulting Sery 39,394 6,566 6,566 - 3,283 ProfServ-Property Appraiser 5,156 5,156 - 5,156 - ProfSery-Special Assessment 5,150 - - - - ProfServ-Web Site Maintenance 750 226 67 159 33 Auditing Services 3,600 - - - - Postage and Freight 1,300 216 322 (106) 312 Insurance-General Liability 13,000 13,000 14,348 (1,348) - Printing and Binding 1,000 166 215 (49) 18 Legal Advertising 1,200 200 1,029 (829) 1,029 Misc-Bank Charges 750 124 128 (4) 72 Misc-Assessmnt Collection Cost 6,876 3,338 3,927 (589) 3,857 Office Supplies 550 92 - 92 - Annual District Filing Fee 175 175 175 - - Total Administration 106,513 33,570 28,667 4,903 9,417 Field ProfSery-Field Management 12,360 2,060 2,060 - 1,030 R&M-Contingency 2,000 334 - 334 - Wall Improvements 218,500 36,420 7,938 28,482 7,938 Total Field 232,860 38,814 9,998 28,816 8,968 Report Date:12/28/2015 Page 2 1 6 1 1 11 rTio HERITAGE SAY Community Development District Genera/A Statement of Revenues, Expenditures and Changes in F For the Period Ending November 30, 2015and Balances ANNUAL ACCOUNT DESCRIPTION ADOPTED YTD BUDGET YTD VARIANCE($) NOV-15 .....±.1252:___ ACTUAL Lakes and Ponds ----`_ FAV(UNFgy) ACTUAL Contracts-Lake and Wetland R&Mracts Leaping 60,744 10,124 R&M-Lake 5,000 10,124 ake Erosion 834 5,062 R&M-Contingency 35,000 5,834 - 834 Impr-Miscellaneous 5,000 369 5,465 834 _ 369 Reserve Lakes 2,000 334 834 Total Lakes and Ponds �31�50 31250 334 138,994 ________I___________:.431,250 Debt S vice 49,210 �-_." 10,493 38,717 Operating Loan Repayment 31 33,333 Interest Expense-Note - Cost of Issuance 6,670 - Total Debt Service 40 21 (21) -1��_ 38 12 3__________z_ �3 5`9 (3,538) TOTAL EXPENDITURES 1-=559 3,559) 12 518,370 -'" 121,594 Excess(deficiency)of revenues 52,717 68,877 23,828 Over(under)expenditures ( 030 __ 38,763 OTHER FINANCING SOURCES -�� 1"43=641 104,878 USES - 1_ 69 _ Loan/Note Proceeds - - 3,538 3,538 Contribution to(Use of)Fund Balance - TOTAL FINANCING SOURCES (187,870) USES) 187,870 - Net change in fund balance 3,538 3,538 - $ (1$ (1" 678870) $ 38,763 FUND BALANCE, BEGINNING(OCT 1,2015) $ 147""` 7 $ 108 416 95,270 $ 169 030 FUND BALANCE, 95,270 95,270 ENDING $ (_____,____2600) $ 134 033 -- $ 242��,g4_9 Report Date: 12/28/2015 Page 3 1611 I x HERITAGE BAY Community Development District Series 2014 Debt Service Fund Statement of Revenues, Expenditures and Changes in Fund Balances For the Period Ending November 30,2015 ANNUAL ADOPTED YTD YTD VARIANCE($) NOV-15 ACCOUNT DESCRIPTION BUDGET BUDGET ACTUAL FAV(UNFAV) ACTUAL REVENUES Interest-Investments $ - $ - $ 13 $ 13 $ 6 Special Assmnts-Tax Collector 1,308,564 218,094 769,552 551,458 755,680 Special Assmnts-Discounts (52,343) (8,724) (30,918) (22,194) (30,185) TOTAL REVENUES 1,256,221 209,370 738,647 529,277 725,501 EXPENDITURES Administration ProfServ-Arbitrage Rebate 600 - - - - ProfServ-Property Appraiser 19,628 - - - - ProfServ-Trustee Fees 6,815 - - - - Misc-Assessmnt Collection Cost 26,171 4,362 14,773 (10,411) 14,510 Total Administration 53,214 4,362 14,773 (10,411) 14,510 Debt Service Principal Debt Retirement 545,000 - - - - Interest Expense 654,360 327,180 327,180 - 327,180 Total Debt Service 1,199,360 327,180 327,180 - 327,180 TOTAL EXPENDITURES 1,252,574 331,542 341,953 (10,411) 341,690 Excess(deficiency)of revenues Over(under)expenditures 3,647 (122,172) 396,694 518,866 383,811 OTHER FINANCING SOURCES(USES) Contribution to(Use of) Fund Balance 3,647 - - - - TOTAL FINANCING SOURCES(USES) 3,647 - - - - Net change in fund balance $ 3,647 $ (122,172) $ 396,694 $ 518,866 $ 383,811 FUND BALANCE, BEGINNING(OCT 1,2015) 1,084,007 1,084,007 1,084,007 FUND BALANCE, ENDING $ 1,087,654 $ 961,835 $ 1,480,701 Report Date: 12/28/2015 Page 4 h 161r Heritage Bay Community Development District Supporting Schedules November 30, 2015 161181 eeeeee m $ oomo oo � ogo � oo � o � oooo a m ^ m . ,, . ...- .,, m ,,,, ,,, c m O O Of(f Oe mN O O am O O O O O O m m 1(I yUS pp84_ YO lppm 0 ^ ppO N ti 2 o m ^ nN m- ,6- -, 0O ppm ,i-N 0 gm W e Sm Vyt7m O •- (V (V a %wC , pp pp V 10 0 00 0 0 0 MI O N O ^1 O*0 2 0 OI 0 0 0 0 N 1S 2 M n 110 0 ( r 0 J a o �n ry m io to ok in ro v_ N n A v r� e�to e v 04 o gR Q,'''0' 7, :.-1 a m ui ui 0 r v ^ - 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Ca C CO o 01. co N0 m (.7CL c0 W rn Z ,- N O d N m Q N Z - to,)- 69 Ip N N CU Z Cr) L ca c ,,�g ami r LO r v 0 m w +� .0 n (D O W J 0 1 6 c 1 1 Heritage Bay Community Development District Cash and Investment Balances November 30,2015 ACCOUNT NAME BANK NAME MATURITY YIELD BALANCE GENERAL FUND Operating Checking Account-MuniNow SunTrust N/A 0.05% $ 646 Checking Account CNL N/A 0.00% 907,823 (2) Subtotal 908,469 Certificate of Deposit-24 Months(#9194) BankUnited 02/13/16 0.52% 51,392 Money Market Account Stonegate Bank N/A 0.25% 24,156 Subtotal General Fund 984,017 DEBT SERVICE FUND Series 2014 Deferred Cost Fund US Bank N/A 0.05% 13,235 Series 2014 Reserve Fund US Bank N/A 0.05% 599,680 Series 2014 Revenue Fund US Bank N/A 0.05% 151,166 Subtotal Debt Service 764,081 (1) Total $ 1,748,098 Note 1 Invested in First American Obligation Fund Note 2 $1,030,953.93 transferred to US Bank Revenue Fund 12/21/15 Report Date: 12/28/2015 Prepared By: Page 8 Severn Trent Management Services 162131 Heritage Bay CDD Bank Reconciliation Bank Account No. 5148 SunTrust Statement No. 11-15 m urroi ler Statement Date 11/30/2015 G/L Balance(LCY) 646.23 Statement Balance 646.23 G/L Balance 646.23 Outstanding Deposits 0.00 Positive Adjustments 0.00 Subtotal 646.23 Subtotal 646.23 Outstanding Checks 0.00 Negative Adjustments 0.00 Differences 0.00 Ending GIL Balance 646.23 Ending Balance 646.23 Difference 0.00 Posting Document Document Cleared Date Type No. Description Amount Amount Difference Deposits 11/30/2015 ACH CREDIT SunTrust-Bank Interest Income G/L 0.15 0.15 0.00 Total Deposits 0.15 0.15 0.00 Page 9 e U i .,,!_ B l Heritage Bay CDD Bank Reconciliation Bank Account No. 9727 CNL Bank-GF Statement No. 11-15 CNL Statement Date 11/30/2015 G/L Balance(LCY) 907,822.78 Statement Balance 907,822.78 G/L Balance 907,822.78 Outstanding Deposits 0.00 Positive Adjustments 0.00 Subtotal 907,822.78 Subtotal 907,822.78 Outstanding Checks 0.00 Negative Adjustments 0.00 Differences 0.00 Ending GIL Balance 907,822.78 Ending Balance 907,822.78 Difference 0.00 Posting Document Document Cleared Date Type No. Description Amount Amount Difference Deposits 11/5/2015 DEP00162 Collier Cty Tax Coll/FY15 Excess Fee Rfnd& G/L 35,862.61 35.662.61 0.00 11/16/2015 WIRE TFR 11 COLLIER CTY TAX COLL:Assmnts Rcvd G/L 238,010.32 238,010.32 0.00 11/16/2015 JE000991 CNL BANK-Incoming Wire fee(Collier Cty G/L 30.00 30.00 0.00 11/30/2015 WIRE TFR 11 COLLIER CTY TAX COLL:Assmnts Rcvd G/L 661,971.41 661,971.41 0.00 Total Deposits 935,674.34 935,674.34 0.00 • Page 10 I 41 1 Ii i_ n Bank Account-Check Details Monday,December 28,2015 Period:10/01/15..11/30/15 Page 1 HERITAGE BAY CDD STSWATER\MPOLANEC This report also includes bank accounts that only have balances. Bank Account:Date Filter:10/01115..11/30/15 Check Printed Voided Entry Original Bal. Bal. Entry Date Check No. Description Amount Amount Amount Status Entry S Accou Account No. No. 5148 SunTrust Phone No. 10/02/15 P 000888 RONALD A.GRANT 184.70 184.70 0.00 Posted Emplo 1 899 10/02/15 P 000889 EDWIN B.HUBBARD 184.70 184.70 0.00 Posted Emplo 3 900 10/02115 P 000890 JOHN C.MAY 184.70 184.70 0.00 Posted Emplo 4 901 10/02/15 P 000891 DENNIS P.GAGNE 184.70 184.70 0.00 Posted Ernplo 5 902 10/02/15 P 000892 RICHARD R.BRODEUR 184.70 184.70 0.00 Posted Emplo 6 903 10/13/15 To 000893 FEDEX 98.76 98.76 0.00 Posted Vendo V00002 904 10/13/15 To 000894 LAKE&WETLAND 5,062.00 5,062.00 0.00 Posted Vendo V00074 905 10/13/15 To 000895 SEVERN TRENT 4,333.02 4,333.02 0.00 Posted Vendo V00007 906 10/13/15 To 000896 STANTEC CONSULTING 1,875.00 1.875.00 0.00 Posted Vendo V00036 907 11/02/15 To 000897 HERITAGE BAY CDD 24,000.00 24.000.00 0.00 Posted Vendo V00032 908 SunTrust 36,292.28 36,292.28 0.00 Page 11 1611 Eli Attendance Confirmation for BOARD OF SUPERVISORS District Name: Heritage Bay Board Meeting Date: 10/1/15. In Attendance Name Please X Paid Y 1 Edwin Hubbard 2 Ronald A.Grant Yes N. \f 3 Dennis Gagne }{ Yes \/ 4 Richard Brodeur /X` Yes "1 5 John May `74•-•._ Yes The supervisors present at the above referenced meeting should be compensated accordingly Ap v pa - - — y -- f . Agy 4)/1/ (District .nager Sit i .'re ._. Date **PLEASE RE RN SIGNED DOCUMENT TO 80881 GONZALEZ** Page 12 1 6 .- 1 B „A, Invoice Number Invoice Date Account Numbers Page r 5-174-57521 1 Sep 29,2015 L """" """" 1 nr 3 FedEx Tax ID: 71-0427007 Billing Address: Shipping Address: SEVERN TRENT/HERITAGE BAY SEVERN TRENT/HERITAGE BAY Invoice Questions? Contact FedEx Revenue Services 210 N UNIVERSITY DR STE702 210 N UNIVERSITY DR STE 702 Phone: (800)622 1147 CORAL SPRINGS FL 33071-7320 CORAL SPRINGS FL 33071-7320 M-F 7 AMto 8 PM CST Sa 7 AM to 6 PM CST Fax: (800)548-3020 Internet: www.fedex.com Invoice Summary Sep 29,2015 FedEx Express Services Transportation Charges 15.05 Base Discount -5.75 Special Handling Charges 0.19 Total Charges USD $9.49 TOTAL THIS INVOICE USD $9.49 You saved$5.75 in discounts this period) Other discounts may apply. net 2 71115 Detailed descrintinns of siircharnac ran ha Inr.atarf atfprfax rnm Page 13 1 6 1 1 1 Invoice Number \ Invoice Date \ Account Number \ Page 5-174-57521 Sep 29,2015 3 of 3 FedEx Express Shipment Detail By Payor Type(Original) Ship Data:Sep 21,2015 Cust.Ref.:R.Grant-Ha agenda uncle Ref.#2: Payer:Third Party Ref:if3: • Fuel Surcharge FedEx has applied a fuel surcharge of 2.00%to this shipment • Distance Based Pricing,Zone 2 • FedEx has audited this shipment for correct packages,weight,and service.Any changes made are reflected in the invoice amount • The packego weight exceeds the maximum for the packaging type,therefore,FedEx Pakwas rated as Customer Packaging. Automation INET Sender llesigont Tracking ID 774558934014 Cal Teague Stephanlo Rabe Service Type FedEx 2Day Severn Trent Services Severn Trent Services Package Type Customer Packaging 5911 Country Lakes Drive 210 N UNIVERSITY DR Zone 02 FORT MYERS FL 33905 US POMPANO BEACH FL 33071 US Packages 1 Rated Weight 3.0 Ibs,1.4 kgs Declared Value USD 1.00 Transportation Charge 15.05 Delivered Sep 23,2015 10:29 Fuel Surcharge 0.19 Svc Area Al Declared Value Charge 0.00 Signed by .DEBBIE Discount -----._._-._ -5.75 FedEx Use 000000000/00059801_ Total Chow USD $9.49 Third Party Subtotal USD $9.49 Total FedEx Express USD $9.49 Page 14 11/I-01-00-0021103,01301-0049626 1 6 1 1 B 1 Fed Invoice Number \ Invoice Date Account Number \ Page 5-181-67726 Oct 06,2015 I of 4 FedEx Tax ID: 71-0427007 Billing Address; Shipping Address; SEVERN TRENT/HERITAGE BAY SEVERN TRENT/HERITAGE BAY Invoice Questions? 210 N UNIVERSITY OR STE 702 210 N UNIVERSITY OR STE 702 Contact FedEx Revenue Services CORAL SPRINGS FL 33071-7320 CORAL SPRINGS FL 33071-7320 Phane: ►800)622 1147 M-F 7 AMto 8 PM CST Sa 7 AM to 6 PM CST Fax: (800)548-3020 Invoice Summary Oct 06,2015 Internet: www.fedex.com FedEx Express Services Transportation Charges 96.05 Base Discount -40.25 Special Handling Charges 33.47 Total Charges USO $89.27 TOTAL THIS INVOICE USD $89.27 RECEIVED CORALSPRiNCS,FL You saved$40.25 In discounts this period! Other discounts may apply. oC( 1 2015 SEVI1FtN TRENT ENVIRONMENTAL SERVICES.INC. • Page 15 1611Bi ,-. _ :,,,,, ,,, Invoice Number \ Invoice Date \ Account Number \ Page 5-181-67726 Oct 06,2015 _ 3 of 4 FedEx Express Shipment Detail By Payor Type(Original) Ship Date:Sep 24,2015 Gust.Ref.:heritage bay agenda peck Ref.#2: Payer Third Party Ref.113: • fuel Surcharge•FedEx has applied a fuel surcharge of 2.D0%to this shipment • The delivery commitment for FedEx 2Dey to residences(Including home offices)is 7 P.M.the second business day for Al,A2,M,A3,A4,A5,AG,AM,PM,and RM service areas. • Distance Based Pricing,Zone 1 • Package Delivered to Recipient Address-Release Authorized Automation CAFE Recipient Tracking ID 643393664105 SEVERN TRENT SERVICES RICHARD BRODEUR Service Type FedEx 2Day SEVERN TRENT SERVICES 10046 LIONS BAY CT Package Type FedEx Pak 710 UNIVERSITY OR NAPLES FL 34120 US Zone 02 POMPANO BEACH FL 33071 US Packages 1 Rated Weight 2.0 lbs,0.9 kgs Transportation Charge 14,90 Delivered Sop 28,2015 10:37 Fuel Surcharge 0.33 Svc Area A6 Discount -5.60 Signed by see above DAS Rest 3.55 FodEx Use 000000000/0006980/02 Residential Delivery 3.50 Tate)Charge USD $16.66 Ship Date;Sep 24,2015 Gust.Ref.:heritage bay agenda pack Retie Payer Third Party Ret,#3: • Fuel Surcharge-FedEx has applied a fuel surcharge of 2.00%to this shipment • The delivery commiunentfor FedEx 2Day to residences(Including home offices)is 7 P.M.the second business day for Al,A2,AA,Al,A4,A5,A6,AM,PM,end RM service areas. • Distance Based Pricing,Zone 2 • Package Delivered to Recipient Address•Release Authorized Automation CAFE Seeder Recipient Tracking In 643393664116 SEVERN TRENT SERVICES DENNIS P.GAGNE Service Type FedEx 20ay SEVERN TRENT SERVICES 10042 LIONS BAY COURT Package Type FedEx Pak 210 UNIVERSITY DR NAPLES FL 34120 US Zone 02 POMPANO BEACH FL 33071 US Packages 1 Rated Weight 2.0 ts,0.9 kgs Transportation Charge 14.90 Delivered Sep 28,2015 10:37 Fuel Surcharge 0.33 Svc Area A6 Discount -5.60 Signed by see above Residential Delivery 3.50 FadEx Use 000000000/0005980/02 DAS Rest 3.55 Total Charge USD $16.68 Ship Date:Sep 24,2010 Cast.Ref::heritage bay agenda pack Ret,#2 Payor:Third PartyRef#3: • Nei Surcharge-FedEx has applied a fuel surcharge of 2.00%to this shipment • The delivery commitment for FedEx 2Day to residences(including borne offices)is 7 P.M.the second business day for Al,A2,AA,A3,A4,A5,A6,AM,PM,and RM service areas. • Distance Based Pricing,Zone 2 • Package Delivered to RecipientAddress-ReleaseAuthorized Automation CAFE Seeder Recipient Tracking ID 643393664138 SEVERN TRENT SERVICES EDWIN HUBBAHU Service Type FedEx 2Day SEVERN TRENT SERVICES HERITAGE BAY COD Package Type FedEx Pak 210 UNIVERSITY OR 10263 BATOR BAY COURT Zone 02 POMPANO BEACH FL 33071 US NAPLES FL 34120 US Packages 1 Rated Weight 2.0 Ibs,0.9 kgs Transportation Charge 14 90 Delivered Sep 20,2015 10:42 Residential Delivery 3.50 Svc Area A6 Discount 5.60 Signed by see above DAS Resi 3.55 FedEx Use 000000000/0005980/02 Fuel Surcharge 0,33 Total Charge USD $16.68 Page 16 1278-01-00-0035016-0t01-003344 l 6 i i . Invoice Number \ Invoice Date \j Account Number .) Page 5-181-67726 "- Oct 06,2015 ' — defil• Ship Date:Sep,24,2015 — Cast.Rel.:heritage bay agendu pack RAO: Payor:Third Party • Nei Surcharge.FedEx has applied a fuel surcharge of 2 00%to this shipment • The down,„onmitwoot rer reigv 20aY to residences(including home offices'is 7 P M.the second husine RS day for Al,47.AA,43,A4,A5,416,AM,PM,and RM service areas, • Distance Rased Pricing,Lone? - ... ... • Package Delivered to Recipient Address-Release Authorized ....m.. ====== Automation CAFE Seeder Recipient •=••••=111 ......... Tracking Ill 643393664149 SEVERN TRENT SERVICES JOHN MAY ....... Service Typo FedEx 20 ay SEVERN TRENT SERVICES 10260 GATOR BAY CT. .... ..g. Package Type FedEx Pak 210 UNIVERSITY DR NAPLES FL 34120 US „...... ....=.. Zone 02 POMPANO BEACH FL 33071 US ====== ,,,,... .... Packages 1 ...—.. ====== Hated Weight 2.0(Ids,0.9 kgs Transportation Charge 14.90 Delivered Sep 28,2015 10:41 Fuel Surcharge ..m... 033 ....am. Svc Area AD DAS Rest 355 Signed by see above Residential Delivery 3.50 ......... FedEx Use 000000000/0005980/02 Discount -5.60 ......_....._...... Total Charge USD ---- Matt --- ... Ship;Date:Sap 4-2015 . . Cast,Refzbaritaga Day agenda peek .ROPIZ. , ',.. " .• ,.,: .. .': :: ,, ---.. — Papatlitrird.ParAy,; :-.:..."!'.' , . Rein '. " .. : . , '. " '. •; " .:. ,-.:',.": ',,-..,..,,c, .',': —=.---= • Fuel Surcharge-FedEx hes applied a fuel surcharge of 2 DO%to this shipment ......... „„.„,...., • Distance Rased Pricing,Zone 2 Automation CAFE Sender• Redolent Tracking ID 643393684150 SEVERN TRENT SERVICES URBANCIC GREGORY Service Type FedEx 2Day SEVERN TRENT SERVICES GOOD LETTE,COLEMAN,JOHNSON,P Package Type FedEx Pak 210 UNIVERSITY DR 4001 TAMIAMI TRAIL N. Zone 02 POMPANO BEACH FL 33071 US NAPLES FL 34103 US Packages I Rated Weight 2.0 lbs,0.9 kgs Delivered Sep 28,2015 08:39 Transportation Charge 14.90 Svc Area A4 Discount -5.60 Signed by .STEVENSON Fuel Surcharge__ .._ 019 _............. _ FedEx Use 0001300000/0005980L Total Ziarge USD Stia ti OgOiliot, iglei.:41*,:-..,..:.:i ,.!:-f.,f,,,,,,..".;4'.'*litif4,_:Etior.,'ita..,g.0.*y....044.11d0:oac•::. : ,,,,,,:!,:.::.4ii:, t.,..„,‘,..– :.\',,-...;.,,4,,•_'",,,,..i.11,,„tir„.4].,,,z,,...,'.:;;;41.k.';:•:',','IMAW4 ::A • ..•.-..:-:--.!,.,-',•,,,..i:: ..f,.;:; -!. -,.2,-;,,,,4-1.1.#,:ir,,,,0,1-1:!;,;.f,..0,;,1,-,,,Aiv,:yrAp,:,.;,,,,,,,,,,,, rayinp•-t RIM NAY':',-',?,:.:::;;g.:;.. ".!:•:'.:,:-.....—.:',' 1;,r..':-,,'1,i,':.....-.,•:.eer*7-1".-:,,,':.-'.'. -•2.,-'...-,•-•','.'...;'.I',:'".. . ,. ,:; ':.., .. '','•.'......,.. 1-. 44!...).k'.!•..'-":"...' 14:;".''..,7.,'.:-..41" i''-a----- . .. . . ,.. .... .. .. „ . • Fuel Surcharge-FedEx has applied a fuel surcharge of 2.00%to this shipment. • The delivery commitment for FedEx2Day to residences(Including home offices)is 7P.M.the second business day for Al,42,AA,A3,A4,115,AS,AM,PM,end RM service areas. • Distance Based Pricing,Zone 6 • Package Delivered to Recipient Address-Release Authorized Automation CAFE Seeder Recipient Tracking 10 643393664182 SEVERN TRENT SERVICES RONALD GRANT Service Type FedEx 2Day SEVERN TRENT SERVICES HERITAGE BAY COO Package Type Fed Ex Pak 210 UNIVERSITY DR °CARRIAGE LANE Zone 08 POMPANO BEACH FL 33071 US LACONIA NH 03246 US Packages 1 Rated Weight 1.0 lbs,0.5 kgs Transportation Charge 21.55 Delivered Sep 28,2015 12:25 Residential Delivery 3.50 Svc Area M Fuel Surcharge 0.28 Signed by see above Discount 12.25 FedEx Use 000000000/0006068/02 Total Charge USO $1336 Third Party Subtotal USD $89.27 Total FedEx Express USD $89.27 FON G5,1'.1. Page 17 1 279-01 4/0•0035016-000 1.0083 4 4 3 16 i g Lake&Wetland Management Invoice \t ' 100 E.Linton Blvd.,Suite BOOB j` `l Delray Beach,FL 33483 Date Invoice# 10/1/2015 2054 Bill To Heritage Bay COD e%Severn trent Services 210 N.University Drive.,Ste.702 Coral Springs,FL 33071 Account# Terms 1525 Net 30 Quantity Description Rate Amount October- Lake Maintenance-31 Lakes 3,696.00 3,696.00 October- Littoral/Wetland Maintenance 966.00 966.00 October-Floridone Treatment 400.00 400.00 Pr* r41 tV?takt/mow. RECOMMEND FOR APPROVAL,,,: Cltarire Account At: OW Current Remaining - _. -------_ lJalanc� Dater: �a,/`75 OCT 7 1(115 Thank you for your business. Total 55,062.00 For Billing Questions Please Call 561-303.1013 Payments/Credits $0,00 Balance Due Page 115,062,00 1 I „? i , , SEVERN Severn Trent Environmental Services,Inc. 16337 Park Row TRENT Houston,Texas 77084 SRO INVOICE: STES 2080979 �I Telephone 281 578 4200 Page: 1 Fax 281 398 3715 Invoice Date: 09/24/15 Salesperson: Management Services N. / SOLD TO '\ f SHIP TO 1-01712 HERITAGE BAY CDD HERITAGE BAY CDD 210 NORTH UNIVERSITY DRIVE 210 NORTH UNIVERSITY DRIVE SUITE 702 SUITE 702 CORAL SPRINGS FL 33071 CORAL SPRINGS FL 33071 USA USA REF Cust PO Ship Via Terms S144896 NET 30 DAYS Item: Unit Description Quantity U/M Price Extension SEPTEMBER 2015 MANAGEMENT FEES MANAGEMENT FEE- ADMIN 1.00 EA 3,187.17 3,187.17 001.531027.51201.5000 MANAGEMENT FEES-FIELD OP SVC 1.00 EA 1,000.00 1,000.00 001.531016.53901.5000 OFFICE SUPPLIES .00 EA 0.00 0.00 001.551.002.51301.5000 COPIES 1.00 EA 0.20 0.20 001.547001.51301.5000 FAXES .00 EA 0.00 0.00 001.541003.51301.5000 POSTAGE 1.00 EA 6.31 6.31 001.541006.51301.5000 PHONE .00 EA 0.00 0.00 001.541003.51301.5000 PASS THRU 1.00 EA 126.84 126.84 07/30/15 CAL TEAGUE -. GODADDY.COM - BUISNESS PLUS WEBSITE BUILDER & DOMAIN RENEWAL, WEB HOSTING 1.00 EA 12.50 12.50 AUGUST MONTHLY WEBSITE BILLING it di; Sub Total: 4,333.02 Misc Charges; 0,00 Freight: 0.00 Tax Amount: 0,00 Total: 4,333.02 DETACH AND RETURN WITH REMITTANCE Invoice: 2.080979 Customer: 1-01712 HERITAGE BAY CDD 4,333.02 REMIT TO: Severn Trent Environmental Services,Inc. Page 19 Mail Code 5161 P.O.Box 660367 Remittance Amount Dallas,TX 75266-0367 1611 13 1 aoStantec INVOICE Page 1 of I Invoice Number 954775 Invoice Date September 1 I,2015 Purchase Order 215612649 Customer Number 83654 Project Number 215612649 Bill To Please Remit To Heritage Bay CDD Stantec Consulting Services Inc.(SCSI) Justin Faircloth 13980 Collections Center Drive c/o Severn Trent Services Chicago IL 60693 5911 County Lakes Drive ! United States Fort Myers FL 33905 United States Project Heritage Bay Bridge Support Services Project Manager Haines,Mark D Contract Upset 5,100.00 Current Invoice Total(USD) 1,875.00 Contract Billed to Date 4,850.00 For Period Ending September 4,2015 Top Task 202 Engineering Services Total Invoiced Previously Current Invoke Invoiced Progress Charge 2,500.00 x 90%Complete 2,250.00 375.00 1,875.00 Top Task Subtotal Engineering Services 1,875.00 Total Fees&Disbursements 1,875.00 INVOICE TOTAL(USD) 1,875.00 Due on Receipt RECOMMEND FOR APPROVAL /4,1e-,1 ei Charge Account #: ia.�e,J) 7'"'tr;, Current Balance: G y j e,c.) Remaining Balance: LSO. — Date: Q/ t ' Please contact Colleen Hofferber if you have any questions concerning this invoice. Phone:(239)649-4040 E-mall: Colleen,Hofferber( Stantec.com **PLEASE INCLUDE AN INVOICE#WITH PAYMENT** Thank you. Page 20 Bank Account-Check Details Monday,December 28,2015 Period:10/01/15..11/30/15 Page 2 HERITAGE BAY CDD STSWATER1MPOLANEC Check Printed Voided Entry Original Bal. Bal. Entry Date Check No. Description Amount Amount Amount Status Entry S Accou Account No. No. 9727 CNL Bank-GF Phone No. 239 834-6070 11/03/15 To 3001 PUBLIC RISK INSURANCE 14,348.00 14,348.00 0.00 Posted Vendo V00008 909 11/05/15 To 3002 COLLIER CTY PROPERTY 23,378.46 23,378.46 0.00 Posted Vendo V00020 910 11/05/15 To 3003 LLS TAX SOLUTIONS INC 600.00 600.00 0.00 Posted Vendo V00073 911 11/05/15 To 3004 SEVERN TRENT 4,553.33 4,553.33 0.00 Posted Vendo V00007 912 11/05/15 To 3005 STANTEC CONSULTING 2,541.25 2,541.25 0.00 Posted Vendo V00036 913 11/09/15 To 3006 COLEMAN,YOVANOVICH& 958,75 958.75 0.00 Posted Vendo V00075 914 11/09/15 To 3007 DEPT OF ECONOMIC 175.00 175.00 0.00 Posted Vendo V00014 915 CNL Bank-GF 48,554.79 48,554.79 0.00 Page 21 1 0 B 1 INVOICE Public Risk Insurance Agency P.0.Box 2416 �:�r Heritage Bay CDD Daytona Beach, FL 32115 1632 at74,-17,W4'. 10/08/2015 ar 1°t Robin Faircloth ;- 1a` 6, Karen Bryan :,31410015 s ", 1 of 1 MiffErattriO 9.348.00 Heritage Bay CDD ir Heritage Bay Community Development District f , Invoice#41902 210 N.University Drive 01-880-09-10 Suite 702 Thank Yrau Coral Springs,FL 33071 Please detach and return w tL payment Customer:Heritage Bay CDD =Zth.t0.10:4:017.0fAHVOI, ' e xtai oo . c,' ' troj '- z Y. .sp y' fsvex Policy#01-880-09-10 10/01/2015-10/01/2016 Illinois National Insurance Co 41902 10/01/2015 Renew policy Public Officials&Employment Practices Liability- 9,348.00 9,348.00 Thank You,,,,( Public Risk Insurance Agency (386)252-6176" !** , ' 1. P.O.Box 2416 Daytona Beach, FL 32115 10/08/2015 Page 22 1611 :77! 1 INVOICE Public Risk Insurance Agency rziTZti Heritage Bay CDD P.0. Box 2416 Daytona Beach, FL 32115 1632 EMEMPal 10/05/2015 F--4,3in Robin FaIrcloth :.,targittri Karen Bryan EttrINE 1 of 1 witigiffv7i -mirlamargemssil nimmittitm 5,000.00 EM1).':'rc;o7,31E1 Heritage Bay COD ratrormazial Invoice#41842 Heritage Bay Community Development District PK2FL1 0114805 15-11 210 N.University Drive Suite 702 Thank You Coral Springs,FL 33071 Please detach and r&Airn with paymerir Customer:Heritage Bay CDD wow OVOlikeek WiMOLIOW7V: e,,OWMJIMPOI0004~: t.c Policy#PK2FL1 0114805 15-11 10/01/2015-10/01/2016 Preferred Gov Insurance Trust 41842 10/01/2015 Renew policy Business Auto-Renew policy 500.00 General Liability-Renew policy 4,500.00 OCT 1 2 2015 w 'arm; 5,000.00 Thank You Public Risk insurance Agency (386)252-6176 P.O.Box 2416 10/05/2015 Daytona Beach, FL 32115 Page 23 1 6 1 1 q ` t COLLIER COUNTY PROPERTY APPRAISER ABE SKINNER, CFA (2/ « October 1, 2015 Heritage Bay Community Development District Ms. Elizabeth Langston Severn Trent Services 210 N. University Dr. #702 Coral Springs, FL 33071 Attention: Ms. Langston Pursuant to Florida Statute Chapter 197.3632(2), F.S. the amount listed below is the amount billed to you for administrative costs associated with the assessment of the 2014 (FY 2015-2016) Non-Ad Valorem Tax Roll for the above local government. Total $ 23,378.46 The total amount is due at that time. Sincerely yours, Abe Skinner, CFA Property Appraiser 4,puf)S1' i)Ciegf �_.. OCT 6 zoi5 Donald L. Berry Director of Accounting „ • i45 3950 Radio Road • Naples,Florida 34104-3750 • (239)252-8141 • Fax:(230)252-2071 Page 24 www.collierappraiser.corn 6 1 1 8 1 LLS Tax Solutions Inc. 2172 W.Nine Mile Rd. Tax So!. tions Inc. Pent Pensacola,FL 32534 Telephone 850-754-0311 Email:liscottpil lstax.com INVOICE BILL TO: Heritage Bay Community Development District DATE: October 8, 2015 c/o Severn Trent Management Services INVOICE# 000799 J 210 N.University Dr.,Ste.702 Coral Springs,FL 33071 DESCRIPTION AMOUNT Total billings in connection with the$17,490,000 Heritage Bay Community Development District(Collier County,Florida)Capital Improvement Revenue Refunding Bonds,Series 2014—Arbitrage Calculation for the period ended August $600.00/ 12,2015. PAYMENT TER 1. Due and Payable upon receipt Total $600.00 2. Please include the invoice number on your check or wire transfer Mail checks to LLS Tax Solutions Inc. 2172 W. Nine Mite Road#352, Pensacola FL 32534 or submit electronic payments to NFCU,Account Name LLS Tax Solutions Inc., ABA#256074974,Account#7022553064 Thank You For Your Business! Page 25 k�� ,. .: tl a SEVERN Severn Trent Environmental Services,Inc. 16337 Park Row TRENT Houston,Texas 77084 SRO INVOICE: STES 2081446 SERVICES Telephone 281 578 4200 Page: 1 Fax 281 398 3715 Invoice Date: 10/01/15 Salesperson: Management Services i , HLP TO S SOLD TO .� 1-01712 HERITAGE BAY COD HERITAGE BAY CDD 210 NORTH UNIVERSITY DRIVE 210 NORTH UNIVERSITY DRIVE SUITE 702 SUITE 702 CORAL SPRINGS FL 33071 CORAL SPRINGS FL 33071 USA USA REF Cust PO Ship Via Terms S145581 NET 30 DAYS Item: Unit Description Quantity U/M Price Extension. OCTOBER 2015 MANAGEMENT FEES MANAGEMENT FEE- ADMIN 1.00 EA 3,282.83 3,282.83 001.531027.51201.5000 MANAGEMENT FEES-FIELD OP SVC 1.00 EA 1,030.00 1,030.00 001.531016.53901..5000 OFFICE SUPPLIES .00 EA 0.00 0.00 001.551002.51301.5000 COPIES 1.00 EA 197.00 197,00 001.541001.51301.5000 OA 7. 8 2015 FAXES .00 EA 0.00 0.00 001.541003.51301.5000 POSTAGP1.00 EA 10.17 10,17 001.541006.51301.5000 f. . ! " PHONE .00 EA 0.00 ' 0,00 001.591003.51301.5000 . WEB HOSTING 1.00 EA 33.33 33.33 OCT - SEPT 2016 MONTHLY WEBSITE BILLING Sub Total: 4,553.33 Misc Charges: 0.00 Freight: 0.00 Tax Amount: 0.00 Total: 4,553.33 DETACH AND RETURN WITH REMITTANCE Invoice: 2081446 Customer: 1-0171.2 HERITAGE BAY COD 4,553.33 REMIT TO: Severn Trent Environmental Services,Inc. Page 26 Mail Code 5161 P.O.Box 660367 Remittance Amount Dallas,TX 75266-0367 0 StantecINVOICE Page 1 of 2 Invoice Number 964808 Invoice Date October 7,2015 Customer Number 83654 Project Number 215612349 Bill To Please Remit To Heritage Bay COD Stantec Consulting Services Inc,(SCSI) Calvin Teague 13980 Collections Center Drive C/O Severn Trent Services Chicago IL 60693 210 North University Drive,Suite 702 United States Coral Springs FL 33071 Federal Tax ID 11-2167170 United States Project Description: Heritage Bay CDD FY 2015 Engineering Services Stantec Project Manager: Kennedy,Mike Stantec Office Location: Fort Myers FL Authorization Amount: $15,000.00 Authorization Previously Billed: $12,194,00 Authorization Bitted to Date: $14,485.25 Current Invoice Due: $2,291.25 For Period Ending: October 2,2015 Due on Receipt Page 27 16 1 1 • ,8 i INVOICE Page 2 of 2 Invoice Number 964808 Project Number 215612349 Top Task 210 FY 2015 Engineering Services I Professional Services Category/Employee Hours Rate Current Amount Hardy,Sabina E 0.75 91.00 68.25 0.75 68.25 Martin,Steven A 13.00 157.00 2,041.00 13.00 2,041.00 Williams,Lauren N 2.00 91.00 182.00 2.00 182.00 Professional Services Subtotal 15.75 2,291.25 Top Task 210 Total 2,291.25 Total Fees&Disbursements $2,291.25 INVOICE'1OTIA..L(USD) $2,291.25 nECC1v:,u GOFtt\1_SPftit:G;, FL 1 4 •,,N RECOMMEND FOR APPROVAL J •5_�'s-4-I:' ' --- Charge Account#:,__1'1'-'"4_3",„ ,.4-.,.•.-,,� - ,: Current Balance: -- Remaining Balance:-- __ ---------- Date: /,1 f�(I= _.__._ . eA: Page 28 , 6 1 1 il,:;;L:: f 6 4^' N oy,�o " �Oy66; �u ^O 11 K la 6 K ;�¢¢ V 0 .t _2 y Z Z s I W T 112 2 ,, U 2 l^g it4 $ . B 5 g o 6w°Zz o, D o r w o . 1 "' l a 5 t 0 $ 1.~ a (•tti,Vi61 §' 1 5l' � ,, LL ffl ... $ 2 .3! 216. 01 g c� o �W . 3 F �1 ,n4 o A o! iF ° ro 2c 11.0.50 ?t rr n 6 ,g S L 17 2 F- D g b 1k ul 1 z Z r, 6 6$ K 2.5 t a s ,Vg z 1% H•l. g?, / "1- 1 ,1 ? p .),H 'wa3g :ariG��yy "� N $ O9) O O O 8 Fi h IQ �" m a N a ^nA 4 $ $ $ 8 $ 8 8 '8 ate',. to`-; z• s 8 a $ tt�+y oil 1 4 ?ill':, aAp.. c +aim t;�r m m ji AA N i 3 z z z S�" FS i 43i* :.kc;?;:,.;,,,4i; b C F [q D a C.: t 4 nfY'%.N N N N v .k xr O N O O O c:i i As Stantec INVOICE Page 1 of 1 Invoice Number 965315 Invoice Date October 9,2015 Purchase Order 215612649 Customer Number 83654 Project Number 215612649 Bill To Please Remit To Heritage Bay CDD Stantec Consulting Services Inc.(SCSI) Justin Faircloth 13980 Collections Center Drive c/o Severn Trent Services Chicago IL 60693 5911 County Lakes Drive United States Fort Myers FL 33905 United States Project Heritage Bay Bridge Support Services Project Manager Haines.Mark D Contract Upset 5,100.00 Current Invoice Total(USD) 250.00 Contract Billed to Date 5,100.00 For Period Ending October 2,2015 Top Task 202 Engineering Services Total invoiced Previously Current Invoice Invoiced Progress Charge 2,500.00 x 100%Complete 2,500.00 2,250.00 250.00 Top Task Subtotal Engineering Services 250.00 Total Fees&Disbursements 250.00 INVOICE TOTAL(USD) 250.00 Due on Receipt RECOMMEND FOR APPROVAL Charge Account#: Current Balance: cO OCT Remaining:Balance: .0o _ — 8 447/5. Date: Please contact Colleen Hofferber if you have any questions concerning this invoice. Phone:(239)649-4040 E-mail:Colleen.Hofferber@Stantec,com •"PLEASE INCLUDE AN INVOICE#WITH PAYMENT" Thank you. Page 30 1611 Coleman,Yovanovich&Koester,P.A. Northern Trust Bank Building 4001 Tamiami Trail North,Suite 300 Naples,Florida 34103-3556 Telephone; (239)435-3535 Fax: (239)435-1218 Page: 1 Heritage Bay COD September 30,2015 Attn.Cal Teague File No: 6176-001M Severn Trent Management Services Statement No: 15 210 N.University Dr.Ste 702 Coral Springs FL 33071 RECEIVED CORAL SPRINGS,FL NOV 2 2)15 Geri Rep ...,.,....an:Ti4L Previous Balance $3,802.50 Fees Hours 09/03/2015 GLU Review email correspondence from Doug Waldorf on revised loan documents; Brief review of revised documents;Draft email correspondence to Cal Teague with revised documents 0.50 182.50 09/04/2015 GLU Review and respond to email correspondence from Cal Teague on final loan documents 0.10 32.50 09/14/2015 GLU Exchange multiple email correspondence with Doug Waldorf on resolution for loan; Exchange email correspondence with Cal Teague on resolution for loan 0.25 81.25 09/17/2015 GLU Review and respond to email correspondence from Doug Waldorf; Review email correspondence from Cal Teague 0.10 32.50 09/22/2015 GLU Review email correspondence from Justin Faircloth;Initial draft of construction contract;Draft email correspondence to Justin Faircloth with draft construction contract 1.50 457.50 09/30/2015 GLU Review agenda for Board of Supervisors meeting 0.50 162.50 Professional Foes through 09/30/2015 2.95 958.75 Total Current Work 958.75 P yments Total Payments Through 10/26/2015 7 -3,802.50 Balance Due / $958.75 Page 31 16 1 1 ii, 1AiN M N CI CO 0- • a S .m m N ' o N w O N a M1 E i= o . ° E -s .h LL w gF r, g c c ffi E � _ o "v ▪ F m E d 1.e b 'A' v - 1u N V r= y p m y .!g n Q' N �5' - W w ^ v Coyo �.t o'�y Q a W oC p e C 1 yy 6 c 0. m U n ,, 0 C N n ° N Q mj yn' r m. N 4 V tJ° m C N O ` 0: E o+ W� o g? st c c P m�� 3L a E m n N_ 8 L, 3 0 nN a• .1,-6 '-8 U w E --� o+ rn c o n ^ c g g. Q ` G m m 5 m m m N hi: QO ci N c O ac°g$ m �&, g m 53LL _O e C Y LC °Nc ^ F '�IL �NNa E �' S Un4 'q ui x'69 '^� n m a, 2a2, UI m n.rEE EmE th ii gag N,�. E E y�mm�`m 18SEg . >0,0T do.% c U Zw U 1 n-- m B S x tii w z �tmm tiCi�Or c2 v �'�06# aC u.4 Era LL m a 4 aW ° 9. CEJ E S a. N � � g9 gy = $ o m • aw rn00 ,„ 2 E a> .c � nrn nm ^cn 0f Sa$ m z'N rQo E E E I c8gin Mo o 3 a°-' 0 B °,11 3E s I '❑ t o O m n ° w`ti Iy 5 5' E 1,9' o a 'Ycv �.�y0T.' c, c _I I tl ^ w Q _ m N Oa ooVQ • Z" Wa`pgO Cpu Z 8' pV u E a 8s woa e ;tapgaw 43 ..s- e. 2g G y T re - pw. C la 9 3 vaOa za RtlQaE 6.0 'v r ',e' ; `- p10aW $ S O Ow Ve .n e.p dntCi > 0 Q F_ r V Z p 8 ' � c � c Sdod oEg Y_r y$ 5,,, 0.0.,,-.E:-.-§ n2. d ywc y x UNEggm uggU � 8cozs _ nmom n z LL5uO5 oca-� Q �° r m * m d $ a . aarn2 a o m f v '_ S ST m n n o i- 0 de >o m EzowowBof 0 i 3 4 p 1- $ w a g ) o fV 7 - .v_T Q7 U . §15 11.i. a lmt F MnE8i� mmE OE � CO A > LLJ �= : cm0 FH' � 0 � peE vIN U N` c Wiaga =a NEm 0 y . X• - vi 5 J 5 oS ya7 9 m E i. mww 5 I Cii}m 3 $ 1_,,V.- :1 n S, yif i V Em C c z 1Ee ccn oe zNN Wm vn.v "-affQmcEJ _NI wa wE & nf, w g io oNE, g 0� [ Ov _,.s . _ 1,_o@m am w r zm E :• � x . BE o � =s � g2 gE-'mal8e� $ 4>ce>+ ° �'S i o ow ? aBo ¢. p 2'• 9,egooP82 dcc a 0 y tipQ 4- u) QVaz �.11;K .F O _x.., ,, JLL OU NQK JY,UNm• QK US NQ o 16 1 1 81 Heritage Bay CDD Severn Trent Services Field Management Report Site Inspection - 12/16/2015 1. Lake Management:The water level is continuing to drop in the lakes and water will soon stop flowing out the two outfalls,however,there is still movement within the system between basins.Additional lake maintenance information is found below,all lake issues are low density unless otherwise noted. a. Algae on Lakes: 2,4,6,7, & 10. b. Littorals: i. Numerous palm trees need to be sprayed/removed on the following lakes:8, 12, 19, 20,&23(See comments on Non-CDD Issues).• . � 3 ti.: { 2 s ~ f ii. The littorals throughout the lakes are really taking hold and doing well and appeared to have survived sufficiently after the heavy Summer rains(lakes 8 &26 pictured). 4 HE • •• r n t 1 6 1 1 E m iii. Canna were found floating on the east side of lake 20,which were likely dislodged from the planted area on the west bank of the lake.Several groupings of these plants were installed on the east side of lake 20 and on the northern corners of lake 28. • - "fief 4:1e4 re Aft� •�� �• E q ' • ,y� nE' 4= 1, 4 iv. Alligator flag is a native plant and is present in several of the lakes. The Board may want to consider a management approach in the near future before this littoral begins to grow in thick patches among the various lakes. Present in lakes:6, 11,&14. 4# `fie ito k tpS4 � YY R t, $k Y { Stc r• k 4 m n aka 14. c. Rocks: i. No issues observed.The southeast corner of lake 30A will need blanket coverage, not just spot spraying,for the extended near future. d. Weeds: v. Alligator Weed in Lakes: 10. vi. Brazilian Pepper: No issues observed. 2 i vii. Cattails in Lakes: 2. „..\3 viii. Climbing Hemp Vine in Lakes: No issues observed. ix. Duck Potato in lakes: No issues observed. x. Hydrilla in Lakes:6. xi. Illinois Pond Weed in Lakes: 6, 10, 19, 20, 26,30A, &30B(lakes 30A&30B pictured—Medium density). .V£' � 'FW' a 'S C x wax �hA < • 4 , ,a�i' - "' ;f{G xii. Red Ludwigia in lakes: 1,3,4,& 12 (lakes 1 &3 pictured). Medium to high density on all lakes. Even though this is a natural plant treatment is needed for it not to overtake in these lakes. l - xiii. Spatterdock in lakes: No issues observed. 3 xiv. Torpedo Grass in Lakes: 1,6, 10, 11, 14, 16, 18, 19, 20, 23,24, 26, 30A, &30B. e. Fish/Aquatic Life:No issues observed. f. Trash in Lakes:Minimal trash observed, no need for a clean-up. g. Bulkheads: No issues observed. h. Clippings/Debris in Lakes: i. Clippings in Lakes:4,6, 14, & 19.The Golf Course was back to using the blowers on the fairways and surrounding areas. YG ii. Debris in Lakes:30A.A plant was found in the lake between the last two homes on the south side of Biscayne Lane. Residents should be reminded that no additional organic material should be added to the lakes. • E if " h sxa -' .mss • i Y &� r#..'41',4-'t .fib, i[ � J � 41454* 2. Dissolved Oxygen (D.O.)Tests:The next tests will be conducted in January 2016. 4 1 16 ! 1B1 1 3. Lake Bank Erosion: a. It appears that an irrigation head is causing a washout on the northeastern bank of lake 1 by the second tee box.This damage is on the golf course side and is estimated at$500.00 to repair.A section of grass was also removed above the lake bank, however,this appears to be intentional by the course. ,1‘ , ,,,,..7 : ,;:i.,...„,„ ,,,,,,,......„,,,o,,,,,,,:,...,.,,,,,,,7:7;;;:it,--,,,,,, ,.., i., ,,,,, .,,, :„„ .,,, 91, \''',..,:‘' l4 h n 1 , •. . f ' ,,''''t;',;.', -.;- „.>)•,-',,. ...,. -,.' . � r. a I i ar � '„i:• ,y 4, '� i ce"/,�' `, r '4: Y.. 3 I � •*� =�i>:71 � ...h .l. A E p, a� A a.. .'.dr -:;..4,t` :iri t s !1 ,tom 1 b. It seems that a washout north isside beginof form the cart path drain repair on the lakening 1.to Additional finer materialon may be necessary to help the larger rocks stay in place if erosion continues. t 40.t „ vwgri, 0...r pro il,' x- !.,, 5 1 6 l 1 ,r 1.3 c. A washout continues to form on the west side of lake 19 just north of the tee box. It appears that a repair will be necessary in the near future. i 4 c R 'tg ' • � .df�: "Wit y^ ���" • ti E 3 � fcr'1 ��iy �''e,"; • x; 4. Storm Drainage System: a. Control Structures: i. The weeds on the rocks of structure W2L30 need to be sprayed out. ii. Basin 1:Control Structure L3L10 is currently flowing. Control Structure L5L6 was not flowing. iii. Basin 2:Control Structure L12L20 is currently flowing. iv. Basin 3:Control Structures L25L30 and L27L30 are not flowing at this time. v. Basins 4&5:Control Structures L28L30 and L29L30 are not flowing at this time. 6 6 1 1 1 r vi. Basin 6:Control Structures L30000O2 and L30000O3 are continuing to flow, but should stop in the near future. , .ye .,, •-- , fir. xk 'fit ' S ^ ,� ,^ 3 7." CKs' a, AVM'.: y h 4YK ikk, b. Drains: No issues observed. c. Roadway Catch Basins: No issues observed. ii ,.„., „....„ ,..i.- --.„, 4:. t-.1., d. Catch Basins: No issues observed. e. Inter-Connect/Drain Pipes:No issues observed. f. Illicit Discharges: No issues observed. g. Lake Drainage Pipes:There is a cart path drain pipe that is floating on lake 9 that should be weighted down. £ a �ti` f a 4t,:p X i k„-,,a,:.3/4”, .f,V": �✓. r..v.� "�F..0 ire. 7 -I 5. Fish/Wildlife Observations:The presence of a wide variety of wildlife is highly visible throughout the District. yam^ 4 ,y N 0.APo ' �* Wn y,�j^`� 1 * J, . _, ,40, i , , ,c.}.t Y F C yy�.A'if a v! xl ..,, �`�"tF tY !� ,E., �'irl SII ,, ,v ..wi.._ n'ae <• k� i ,. !`_ ti & ,.��" ' Mfr !n � ❑ Bass ® Bream n Catfish n Gambusia ® Egrets ® Herons Coots n Gallinules ®Anhinga !Cormorant Osprey ® Ibis ®Woodstork ❑Otter ®Alligators ®Snakes ®Turtles U Other Species: Duck,Hawk,lack, Deer 6. Residential Complaints/Concerns: No reported issues_ 7. Non-CDD Ov : a. TheIssues flag at thebserguaredd house should be replaced as it is torn on the edges. e: 'g� M i i r SgAt ^ rtethe s x r 1;1_s... 12- 1�.' t b. The pile of rip rap and trash remains on the southwest corner of lake 2 on the western section of the lake. bn, f -b4f<�' 3y k. ,t,.P a ro ;>e t.. p -•_. of 7 7 ',: i s� +yrs ,-.:r ,•,, ::,, *-.;,i.. ...„,5,- , , , "Ittr` Aja r 8 I c. There is a Brazilian pepper tree growing between the fairways of holes 4 &5 north of lake 2. SFWMD has been contacted regarding our concern of the pepper trees on their adjacent property and we have recently learned that they are planning to send this work out for bid in early 2016. We have provided SFWMD with the contact information of Golf Course staff to arrange access. a ''' '41K4,4, :' '',..,'. 7 ' It i (e --t-t? ,i,:iAlti.,-64,' ,', itt. 5 t : d. The two dead trees remain behind 10111 Biscayne Lane on the golf course berm that should be removed. vim �:V 1- r / t �,�j pp r,". Vilit- J�, .A .._. e. The fire system backflow preventer near the Maintenance Facility has a slow leak that should be repaired. lo i . ,i, - 4,` iti .., '; . i ,t„..t .,,,,t,..... .t:.; ,„. .4 .,-;,,,.:. - ,..,,,,,,,,,,,,,..w,,„ros 4.4. , „„,„._;....._*-4-,./: ' - !'° 0 , * 9 f. There is a broken board on the bridge on the west side that should be replaced as well as nails sticking up that should be nailed back down. These items are recommended to be addressed to avoid a safety issue. � �,d�ra� - 'r Vis'c'� � �' 1.,;:ee,,, , ••• -,.-- -,....;;,,,f?,,'''.. •'4 . s g. LaMorada has replaced the berm plantings in front of tract U as requested.The silt fence is still present around tract U, but will be removed soon. a 'if" .fit srt aX z h. Palms are beginning to grow all around the lakes throughout the golf course.Those below the high water mark will be sprayed/removed by Lake and Wetland Management, however,those above the high water mark are the responsibility of the course. a ar .„rte .";" rg. , ,, r. L i r f 01a 10 I6U ' i. Trash is beginning to pile up behind the homes along Lions Bay Court and Escambia Bay Court in the preserve area.A cleanup is recommended to help curb this activity from becoming a greater issue. i agt r i f4+"y�-xM i7 "k 9 v 7 tti24.\,, II ,i'!.. Li 8. Follow up items: . , Heritage Bay CDD Follow Up Tasks Summary Follow Up Task Reported On• Assigned Action Completed Erosion on lakes 1,2,4,5,6,10,12,14,17,19,22,23,24,30B : 11/25/2014 Floating Pipes lakes 2,5,7,8,9,10,11,13,14,17,18,19,24,26 , 9/25/2014 ; 1 removed,18 added Repair broken pipe on lake 3 , 5/27/2015 ! Golf Course i In Process Repair pipe on lake 5 5/27/2015 i Golf Course In Process Remove trash on the bank of lake 2 . 7/15/2015 Golf Course Remove silt fence in tract U : 7/15/2015 ! LaMorada Vendor In Process Remove dead trees behind 10111 Biscayne Ln. 11/18/2015 Golf Course Field Manager Tasks 4 ' Inspect video of interconnect recordings 9/25/2014 Completed Write letter to The Quarry requesting removal of Brizillian Pepper ,10/17/2014 Quarry Community i In Progress Trees ' As soda Iton . i Discuss with Superintendent when Golf Course trimmings in the lakes 10/17/2014 Golf Course ? water recedes ,.. Lake Bank Review i On Going , • . Littoral Planting Reviews . On Going Erosion Restoration Site Visit , . Completed Southwest 7/15/2015 Contact Southwest Development regarding lake 27 repair In Progress Development i CDD Contractor Tasks . ; Spray out weeds on 30A&in control structure W2L30 8/26/2015 Lake&Wetlands i Completed Address algae concerns&various weed issues on lakes 2,5,8,10, 9/16/2015 Lake&Wetla nds I Completed 11,12,20,21,&27 • Spray out palm on the west bank of lake 20 9/16/2015 Lake&Wetlands In Progress Spray out palms on the north bank of lake 19 10/21/2015 Lake&Wetlands In Progress Spray out palms on the north east bank of lake 23 10/21/2015 Lake&Wetlands In Progress Spray out ferns on the bulkheads of lake 19 10/21/2015 Lake&Wetlands I Completed Treat torpedo grass on lakes 6,11,&20 10/21/2015 Lake&Wetlands ! Completed Treat red ludwigia on lakes 3&12 10/21/2015 Lake&Wetlands , In Progress l.• Treat the various plant issues on lake 12 11/18/2015 Lake&Wetlands i Completed Spray out the palms on the west ba nk of lake 24 11/18/2015 Lake&Wetlands In Progress Spray out the weeds in the rocks on control structure W2L30 11/18/2015 Lake&Wetlands 1. ROA Contractor Tasks i. Remove trash from the preserve along Lions Bay Ct.&Escambla Bay Ct 12/16/2015 Buttonwood Horn eowner Com plaints/Concerns 12 • 1 ,,..,..„:„, , 1 6 1 ' ....4, ........t . ' . , ... . . . N I, CD e cn oo . o .. .= .c .. .1 U <I U) (0 CO a. - - • cDo c, co csi N Co 1 I A N- 0 32 c ...r 2. 0. . 2. N. N E E E fin m = 0 o 0 . 0 E E ' E < < < %.A. },...; °c3). a) a) a a IX' E E E o 0 . 0 0 0 0 i',' .,._. t t' 12, . o g .c7 ''.....i., a. -0 .°-.3' 0. cn 1r, D Cl) ....... 4.... ....... .. Et .. 0 PP, CI 0 , 0. a LP0 cl = • Cl) Ill cd. r.:. 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WI 1- 1- to.rGo32c3 co to w jco ..-. o o C- 1- . . - 1- 1 16 • Ti I4kR211au40 lj By boa - MINUTES OF MEETING HERITAGE BAY COMMUNITY DEVELOPMENT DISTRICT The regular meeting of the Board of Supervisors of the Heritage Bay Community Development District was held on Thursday,January 7, 2016 at 9:00 a.m. in the Heritage Bay Clubhouse, 10154 Heritage Bay Boulevard,Naples,Florida. Present and constituting a quorum were: Edwin Hubbard Chairman Ronald Grant Vice Chairman John May Assistant Treasurer Dennis Gagne Assistant Secretary Richard Brodeur Assistant Secretary Also present were: Calvin Teague District Manager Gonzalo Ayers Lake&Wetland Management Resident The following is a summary of the actions taken at the January 7, 2016 Heritage Bay Board of Supervisors meeting. FIRST ORDER OF BUSINESS Roll Call Mr.Teague called the meeting to order and called the roll. SECOND ORDER OF BUSINESS Public Comments on Agenda Items There not being any,the next item followed. THIRD ORDER OF BUSINESS Approval of the Minutes of the December 3,2015 Meeting Mr. Teague stated each Board member received a copy of the minutes of the December 3,2015 meeting and requested any additions, corrections or deletions. There not being any, On MOTION by Mr. Grant seconded by Mr. Brodeur with all in favor the minutes of the December 3, 2015 meeting were approved. a cti,a 6 1 January 7, 2016 Heritage Bay CDD FOURTH ORDER OF BUSINESS Old Business A. Lake&Wetland Management Contract Discussion • Discussion ensued with regard to the Lake & Wetland Management contract and proposals for Lakes 1-29; Lakes 30 A&B;and addressing the Illinois Pond Weed in Lakes 30 A&B. • Mr. Gonzalo Ayers from Lake & Wetland Management addressed questions from the Board noting this would be a one year contract. • Upon further discussion, the Board agreed to continue the current contract at existing rates until March when it is felt that an agreement with the Umbrella Association would hopefully be in place for them to assume responsibility for Lakes 30 A&B. The record will reflect Mr.Ayers left the meeting. B. Transfer of Environmental Resource Permit 11-02234-P from Lennar to the District Update • It was reported an extension has been granted until April 14, 2016. The transfer of the permit will be discussed at the Quarry meeting tomorrow and an update on this from their DM will be provided after the meeting. • Discussion ensued with regard to the section of the permit requiring water quality testing by the Quarry Community Association(Exhibit G). C. Lake Management Program Discussion • CPH is developing a lake monitoring program for presentation at the next meeting. D. Umbrella Association Update • Discussion ensued with regard to the role of the Umbrella Association and the documents creating it stating that they are responsible for maintenance of Lakes 30 A&B. Mr. May MOVED to authorize the Chairman to prepare a letter to the President of the Umbrella Association defining purpose to attend the next meeting of the Association based on specific researched documentation relating to the Association's responsibility for maintenance of Lakes 30 A &B and Mr. Grant seconded the motion. 2 1 1 1 mu January 7, 2016 Heritage Bay CDD • The prior motion was discussed including the benefit of the District Manager to also attend the meeting and that notes of the meeting be provided to the Board. • The goal is to have the Association assume responsibility for lake maintenance which includes water quality,lake bank weeding and the littoral shelf. On MOTION by Mr. May seconded by Mr. Grant with all in favor the Chairman and District Manager were authorized to send a letter to the President of the Umbrella Association requesting time on their next meeting agenda to attend and present information regarding the roles and responsibilities of the Umbrella Association with notes of this meeting being distributed to the Heritage Bay Board of Supervisors. E. Bridge Project Update • A pre-construction meeting is scheduled for January 12, 2016. The first week of February construction start date will be verified. FIFTH ORDER OF BUSINESS New Business There not being any,the next item followed. SIXTH ORDER OF BUSINESS Manager's Report Mr.Teague addressed the following: A. Approval of Financials,Check Register and Invoices • The financials for the period ending November 30,2015 were reviewed. On MOTION by Mr. May seconded by Mr. Gagne with all in favor the November 30,2015 financials were accepted. • Moving forward five copies of the agenda package will be sent to Mr. Hubbard in one Fed Ex package(third/fourth day delivery)for pick up by the Board. B. Field Manager's Report • The Field Management Report for site inspection conducted on December 16, 2015 was reviewed; a copy of which is attached for the record. The following was noted: 3 January 7, 2016 Heritage Bay CDD > The Alligator Flag will be sprayed out and not allowed to get established. ➢ The Red Ludwigia will be treated and not allowed to get established. > The Chairman will have a blast email prepared requesting residents NOT throw organic material into the lakes. ➢ It was reported Lake 7 near the green on#12 is scummy. > Possible sighting of Pleco Catfish on Lake 17;Justin to follow up. > If the palms along the lake bank are in the Lake & Wetland Management contract have them address it. ➢ Kevin and his staff will address the erosion caused by the irrigation leak on Lake 1. C. Follow Up • Tract U has been repaired with the larger trees installed; and the silt fencing has been removed. • CPH contract has been finalized and we are waiting for the new fee schedule. SEVENTH ORDER OF BUSINESS Attorney's Report There being no report,the next item followed. EIGHTH ORDER OF BUSINESS Engineer's Report There being no report,the next item followed. NINTH ORDER OF BUSINESS Supervisors' Requests and Audience Comment • Chairman Hubbard commented that the golf course bulkhead project is a dead issue and not being pursued;Kevin will remove the Brazilian Pepper as identified; and he spoke with a worker who used to work at the quarry who said the lakes are 40 to 50 feet deep. • Supervisor Brodeur questioned if we had billed the Master HOA for the legal and engineering expenses incurred on the golf course project. He was assured we would once they are received. TENTH ORDER OF BUSINESS Adjournment There being no further business, 4 1 6 1 1 B 1 January 7, 2016 Heritage Bay CDD On MOTION by Mr. May seconded by Mr. Gagne with all in favor the meeting was adjourned at 10:16 a.m. j Calvin Teag> — - ir Edwin Hubbard Secretary / Chairman 5 161 •1 r. • ire -Ell uy14111?2 L 201k.� 13 v Naples Heritage Community Development District Board of Supervisors Peter J.Lombardi,Chairman Calvin Teague,District Manager Peter V.Ramundo,Vice Chairman Gregory L.Urbancic,District Counsel Kenneth R.Gaynor,Assistant Secretary William McAnly,District Engineer Gerald G.James,Assistant Secretary Richard J.Leonhard,Assistant Secretary Meeting Agenda January 5,2016—9:00 a.m. 1. Roll Call 2. Public Comment on Agenda Items 3. Approval of the Minutes of the November 10,2015 Meeting 4. Old Business A. Discussion of Resolution 2015-05 Requesting A Detail Analysis of Water Levels 5. New Business A. Lake#14 Fountain Proposals 6. Manager's Report A. Approval of Financial Statements 7. Attorney's Report 8. Supervisors' Requests 9. Audience Comments 10. Adjournment The next meeting is scheduled for Tuesday,March 1,2016 at 9:00 a.m. District Office: Meeting Location: 210 N.University Drive,Suite 702 Naples Heritage Golf and Country Club Clubhouse Coral Springs,FL 33071 8150 Heritage Club Way 954-753-5841 Naples,FL 2 161132 ii RESOLUTION 2015-05 A RESOLUTION OF THE BOARD OF SUPERVISORS OF THE NAPLES HERITAGE COMMUNITY DEVELOPMENT DISTRICT REQUESTING A DETAIL ANALYSIS OF WATER LEVELS WHEREAS,Naples Heritage is a residential golf community that values and strives to create an environmentally favorable storm water system for the residents of Naples Heritage,and WHEREAS,Naples Heritage feels strongly that low water levels within the community's storm water retention system negatively impact the water quality; fish population and habitat for shore birds of the ponds and WHEREAS,as an Audubon Society community,the community desires to promote a favorable and supportive eco system for water fowl and other aquatic life and WHEREAS, the Naples Heritage Community Development District would like to have all County, State and Federal agencies cooperatively initiate a review of the conditions with an identification of options available to prevent the drastic fluctuation of water levels with the Naples Heritage Community Development District. NOW THEREFORE,Naples Heritage Community Development District Board of Supervisors requests the Rookery and South Florida Water Management District to recognize this issue and join together and become involved by having staff begin research to identify options and considerations for completing this detailed analysis to address the need for consistent surface water levels. Approved by the Board of Supervisors this 71/'day of April,2015. • Chairman Assistant Secretary ) ;$ Irrigation Concepts, LLC 771 14th Avenue N.W. Naples, Fl 34120 12/29/2015 883467 Name/Address Naples Heritage Community Development Dis 11150 Heritage Club Way Naples,Florida 34112 f g4 a s 1p A tit ` dal` R 1 - z ' , ar f�'r.,Ziz,."` F....... Labor(2 technicians) M5452-SC Master series 5 HP 208-240 1 0.00 5452-F 5 HP 208-240 with lights,with GFCI electric 1 0.00 panel 820483 assembly nozzle 5 HP royal with flow straightener 860031 ALC assembly cable 8/4 50foot with 1 0.00 disconnect Foot 860031 8/4 cable 245 0.00 870793 3 light set 35 w LED 120 VAC 1 0.00 CBA 35-w LED color board assembly 3 0.00 860024 ALC 3 assembly cable 3 pin 14/3 50 foot 1 0.00 Foot 860024 14/3 cable 245 0.00 12,078.00 12,078,00 *Note: $4026.00 due when estimate is signed $4026.00 due when Irrigation Concepts,LLC arrives on property with equipment $4026.00 due within 2 weeks of job completion Total $12,078.00 Phone# Fax# 239438-8062 239-775-3900 Customer signature - Owner signature i R. 9 E 4 11 NAPLES HERITAGE Community Development District Financial Report November 30,2015 Prepared by SEVERN SERVICES 1611 , NAPLES HERITAGE Community Development District Table of Contents FINANCIAL STATEMENTS Balance Sheet Page 1 Statement of Revenues,Expenditures and Changes in Fund Balances General Fund Page 2 SUPPORTING SCHEDULES Non-Ad Valorem Special Assessments Page 3 Cash and Investment Balances Page 4 Check Register Page 5 161182.1 NAPLES HERITAGE Community Development District Financial Statements (Unaudited) November 30,2015 NAPLES HERITAGE Community Development District General Fund Balance Sheet November 30,2015 ACCOUNT DESCRIPTION TOTAL ASSETS Current Assets Cash-Checking Account $ 44,631 Investments: Money Market Account 26,547 Total Current Assets 71,178 TOTAL ASSETS S 71,178, LIABILITIES Current Liabilities Accounts Payable $ 2,220 Total Current Liabilities 2.220 TOTAL LIABILITIES 2,220 FUND BALANCES Assigned to: Operating Reserves 19,200 Reserves-Road and Lakes 10,000 Unassigned: 39,758 TOTAL FUND BALANCES $ 68,958 TOTAL LIABILITIES&FUND BALANCES $ 71,1781 Report Date: 12/14/2015 Page 1 1 6 1 1 ,,,,,,„_, LA''''.-4- 2 , NAPLES HERITAGE Community Development District General Fund Statement of Revenues,Expenditures and Changes in Fund Balances For the Period Ending November 30,2015 ANNUAL YTD ACTUAL ADOPTED YEAR TO DATE YEAR TO DATE VARIANCE(S) AB A%OF NOV-15 NOV-1S ACCOUNT DESCRIPTION BUDGET BUDGET ACTUAL FAV(UNFAV) ADOPTED BUD BUDGET ACTUAL REVENUE$ Interest-Investments $ 100 $ 16 $ 24 $ 8 24.00% $ 8 $ 10 Special Assmnls-Tax Collector 79,897 13,316 45,050 31.734 56.39% 13,316 45,050 Special Assmnts-Discounts (3,196) (533) (1,809) (1,276) 56.60% (533) (1,809) TOTAL REVENUES 76,801 12,799 43,265 30,466 58.33% 12,791 43,251 EXPENDITURES Administration P/R-Board of Supervisors 5,000 1,000 1,000 - 20.00% 1,000 1,000 RCA Taxes 383 77 77 - 20.10% 77 77 ProfServ-Engineering 1,000 168 - 166 0.00% 83 - ProfServ-Field Management 700 116 - 116 0.00% 58 - ProfServ-Legal Services 2,000 334 - 334 0.00% 167 - ProfServ-Mgml Consuking Sery 20085 3,348 3,348 - 18.67% 1,674 1,674 ProfServ-Property Appraiser 1,199 1,199 1,199 - 100.00% - - Auditing Services 3,000 - - - 0.00% - - Postage and Freight 1,500 250 88 162 5.87% 125 88 Insurance-General Liability 8,325 8,325 8,399 (74) 100.89% - - Printing and Binding 650 108 23 85 3.54% 54 16 Legal Advertising 2,500 416 410 6 16,40% 208 - Misc-Bank Charges 620 104 80 24 12.90% 52 40 Misc-Assessmnt Collection Cost 1,596 288 885 (599) 54.13% 286 885 Mise-Contingency 376 62 67 (5) 17.82% 31 33 Office Expense 410 68 - 68 0.00% 34 - Annual District Filing Fee 175 175 175 - 100.00% - - Total Administration 49,521 16,014 15,731 283 31.77% 3.829 3,793 Feld Misc-Contingency 17,280 2,880 - 2,880 0.00% 1,440 - Total Field 17,280 2,880 - 2,880 0.00% 1,440 - Reserves Reserve-Roads and Lakes 10,000 - - - 0.00% - - Total Reserves 10,000 - - - 0.00% - - TOTAL EXPENDITURES a RESERVES 76,601. 18,894 15,731 3,163 20.48% 5,269 3,793 • Excess(deficiency)of revenues Over(under)expenditures - (6,095) 27,534 33,629 0.00% 7,522 39,458 Net change in fund balance $ - $ (6,095) $ 27,534 $ 33,629 0.00% $ 7,522 $ 39,458 FUND BALANCE,BEGINNING(OCT 1,2015) 41,424 41,424 41,424 FUND BALANCE,ENDING $ 41,424 5 35,329 $ 88,958 Report Date:12/14/2015 Page 2 1 ? NAPLES HERITAGE Community Development District Supporting Schedules November 30,2015 1 6 ! 1 132 NAPLES HERITAGE Community Development District Non-Ad Valorem Special Assessments (Collier County Tax Collector-Monthly Collection Distributions) For the Fiscal Year Ending September 30,2016 Discount I Gross Date Net Amount (Penalties) Collection Amount Received Received Amount Costs Received Assessments Levied $ 79,897 Allocation% 100% 11/05/15 $ 511 $ 29 $ 10 $ 550 11/13/15 14,865 632 303 15,800 11/30/15 27,001 1,148 551 28,700 TOTAL $ 42,377 $ 1,809 $ 864 $ 45,050 %COLLECTED 56,4% Report Date: 12/14/2015 Page 3 1 13 2 16i NAPLES HERITAGE Community Development District Cash and Investment Balances November 30,2015 ACCOUNT NAME BANK NAME YIELD MATURITY DALANCE GENERAL FUND Checking Account-Operating SunTrust 0.07% N/A $ 44,631 Money Market Account BankUnited 0.45% N/A 26,547 Total $ 71,177 Report Date: 12/14/2015 Page 4 l61i , C O Ort N OD N .(p 0 0 0 0 r r 7 C) r O rO N- N R O E ni w w N,-O) 6 O r 0 ,6 6r9 m m m A A m m m in - i» w » » en to y ( 2 Y w N 44 w w u w w v U * o C vo a_ NMMpp u mQppMRppNoooopp U Q U) N N N N N . 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V r r V r N N O V O a 1•••• V e.- 0 V W h 1N N CO CO E Uea Z J 00000 MiMr) MrriMMM M n M tri m 88888888888888 82, 888 E mi z a Z 0 7 2 W 8 8 8 0 8 8 8 0 8 8 8 8 8 8 8 8 8 88 cc 0 Page 5 r 4 .44 MINUTES OF MEETING BY erne_ e_ NAPLES HERITAGE COMMUNITY DEVELOPMENT DISTRICT The regular meeting of the Board of Supervisors of the Naples Heritage Community Development District was held on Tuesday, January 5, 2016 at 9:00 a.m. at the Naples Heritage Golf and Country Clubhouse, 8150 Club Way,Naples,Florida. Present and constituting a quorum were: Peter J. Lombardi Chairman Peter Ramundo Vice Chairman Kenneth R. Gaynor Assistant Secretary Gerald James Assistant Secretary Richard Leonhard Assistant Secretary Also present were: Calvin Teague District Manager Patrick Dorbad NHCA General Manager The following is a summary of the discussions and actions taken at the January 5, 2016 Board of Supervisors meeting. FIRST ORDER OF BUSINESS Roll Call The meeting was called to order and all Supervisors were present with the exception of Mr.Ramundo who joined the meeting later. SECOND ORDER OF BUSINESS Public Comment on Agenda Items There not being any,the next item followed. THIRD ORDER OF BUSINESS Approval of the Minutes of the November 10,2015 Meeting Mr. Lombardi stated each Board member received a copy of the minutes of the November 10,2015 meeting and requested any corrections,additions or deletions. A minor change was made which will be incorporated into the amended minutes. X611 2 January 5, 2016 Naples Heritage CDD On MOTION by Mr. Leonhard seconded by Mr. Gaynor with all in favor the minutes of the November 10, 2015 meeting were approved as amended. FOURTH ORDER OF BUSINESS Old Business A. Discussion of Resolution 2015-05 Requesting a Detail Analysis of Water Levels • It was reported that there were no responses to the resolution sent to SF WMD or Collier County regarding the request to study water levels in the area. • No further action on this item is required at this time. FIFTH ORDER OF BUSINESS New Business A. Lake#14 Fountain Proposals • Mr. Gaynor presented a proposal for a new fountain on Lake#14. The record will reflect Mr. Ramundo joined the meeting. • Purchasing of the fountain was discussed. On MOTION by Mr. Gaynor seconded by Mr. James with all in favor the purchase of a new fountain from Irrigation Concepts in an amount not to exceed $13,000 with the Master HOA paying for the annual maintenance contract was approved. • Discussion ensued with regard to installing lake aerators. • It was agreed lake health should be reviewed before investing in aerators even on a trial basis. A list of firms that do this type of analysis which should include bathymetric analysis will be provided for consideration. SIXTH ORDER OF BUSINESS Manager's Report A. Approval of Financial Statements • The financial statements for the period ending November 30, 2015 were reviewed. 2 i 6 1 1 1 January 5, 2016 Naples Heritage CDD On MOTION by Mr. Ramundo seconded by Mr. James with all in favor the November 30, 2015 financials were accepted. SEVENTH ORDER OF BUSINESS Attorney's Report There not being any,the next item followed. EIGHTH ORDER OF BUSINESS Supervisor's Requests There not being any,the next item followed. NINTH ORDER OF BUSINESS Audience Comments There not being any,the next item followed. TENTH ORDER OF BUSINESS Adjournment There being no further business, On MOTION by Mr. James seconded by Mr. Gaynor with all in favor the meeting was adjourned. ,.__.4---- 4,...-„>) c7u,--- Cal Teague ".. Peter J.Lombardi eA,..........._ Secretary Chairman 3 1, 6 I 4iqiu44. � - � c Port of the Islands Community Improvement District Board of Supervisors By— _J.Anthony Davis, Chairman Calvin Teague,District Manager Norine Dillon,Vice Chairperson Daniel Cox, District Counsel Dale Lambert,Assistant Secretary Ronald Benson,District Engineer Theodore Bissell,Assistant Secretary Richard Ziko,Assistant Secretary Regular Meeting Agenda Friday,January 15,2016— 10:00 a.m. 1. Call to Order and Roll Call 2. Approval of the Minutes of the December 18,2015 Meeting 3. Public Comment on Agenda Items 4. Old Business A. Review of Landscape Maintenance Performance 5. New Business 6. District Manager's Report A. Acceptance of Financial Statements and Check Register as of December 31,2015 B. Discussion of Follow-Up Items 7. Field Manager's Report A. Discussion of December 2015/January 2016 Field Manager's Report B. Orchid Cove Meter Issue 8. Attorney's Report A. Update on Hotel Bankruptcy Lawsuit/Redevelopment of Site 9. Engineer's Report • 10. Supervisors' Requests 11. Public Comment Period 12. Adjournment The next meeting is scheduled for Friday, February 19,2016 at 10:00 a.m. District Office: Meeting Location: Scvcm Trcnt Services,Inc. Orchid Cove Clubhouse 5911 Country Lakes Drive 25005 Peacock Lane Fort Myers,Florida 33905 Naples,Florida 34114 239-245-7118 http://poicid.com/ 239-430-0806 1 6 1 1 B 3 Naples DailyNews P Naples, FL 34110 Affidavit of Publication Naples Daily News PORT OF THE ISLANDS PORT OF THE ISLANDS 210 N UNIVERSITY DR #702 CORAL SPRINGS FL 33071 REFERENCE: 531686 2015 701437 State of Florida Counties of Collier and Lee 144TltEOFMCTINGS Before the undersigned authority, personally PORTO THE ISil�N S appeared Dan McDermott, says that he serves as CO MMUNtrylUPROVEMENTp'STIRICT• the Inside Sales Supervisor, of the Naples Daily A " l, « { 1,, 4d�rd �5yp't k cif the *. 1,;0 isle news, a daily newspaper published at Naples, in Cqm_ untt' mp r"14 riot will h ld t eirmeetings Collier County, Florida: that the attached copy of Lanes)llapi oridg,341T t,i 00a1" a wiT► ,1 1 eachu advertising was published in said newspaper on dates ,4�Itas Q11 + , < listed. 3 z : d Affiant further says that the said Naples Dail o�t0$er &, t3� i<:� " s y P y .� NpC+Q tit l k2m .' i5a 4 a rrfi . News is a newspaper published at Naples, in said '� j �� .m �t` �t `�,�`�` k ��� Collier County, Florida, and that the said newspaper F}�rhar�• 5 ' has heretofore been continuously day and has been A rlf� ;Y ; rte xx , 41 entered as second class mail matter at thepost ' a1Yrt r <" xz �. ,� 1 office in Collier County, Florida, for a period of R p r itis �r , , °4, ,,tu E r. 1 year next pretending the first publication of the tember16 2Oi6 , attached copyof advertisement; and affiant romised1‘;,:i13,49:.‘..0440.0,844... ..„.01`g Att`he V i;d V li P to>9.r ir4 o €Tt to M p �dr w i any person, firm or corporation any discount, rebate, C° thOyuA a1�E cgtnaiunll_l lmprlsver dltt�l7istr t Mlee`t At contig commission or refund for the purpose of securing taadate,timartdlctrt+ttbespeIF[ trfpr� m4P44 = 5 r ar 5 g this advertisement for publication in the said bf ; - ,azo �} n§ e im fi�qct ionswhert neormores perv1 newspaper. wi 1 Partic,, ; ate a er � � 4 Any p �'�G ri �sp 40*-001''turn a to f the ►eetingsi u m or hysica l I'm a meatshouldco tact e O Oft ,stag AD SPACE:5 3 Co. tp y Se er Vo ees (954,1753 58+1 l fs (;)e n e pr►a e c nt m"_tln ou-§�rre ,ea In FILED ON:10/0 3/15 speeefr 9m Y'ed,please egatac_ the iqr llet� -�er�Ttit (800):955 770 tt r alts m`contact the iris i0f�c two 1 dart'. it qr tp the ate of:41,-1,u*t mge: PUBLISHED ON: s �* F �� �� `. s hi erso hS dei s appeal any action t ' Sept ember 25, 2 015 at these rnee#tngs is a wised thatperson will'need a reco r the proceedings and`accordinglY,the person rna n to ens a verbatim,record oto the proceedings ., ,,ir ciudingl 1 testimony and:evidence..upon which,such appeal i tg he bas Calvin Teague, Ristric Manager , September 2.2015( :,.-.r ,.,,.a - . .;NO 701 �/ , Signature of Affiant ---(7":"--- C,. /% , Sworn to and Subscribed before me this ')L , d v_o.f c ' _ , 29- 15 1 'av~N•, / IVONNE GOR1 Personally known by me' - i,,'iJ L�l'�` r , �,. ( \ -RIFT Notary Public State of Florida Commission#FF 900870 v �.�. My Comm.Expires Jul 16,2019 6a.r s Banded through National Notary Assn. 7 .:.' 3 Eros,: Claire Campbell inion?'sotoav:ri.corn g Subject: POI Notes Jan 2016 Date: January 13,2016 at 3:28 PM To: Dillon Norine iionxi iembavgmal.com, Edge,Robert Robert.Edges@STServicas.corn, tbissall@-ernbargmailcom, sc7.iko@enbarcriai..00rr, dalelaribert@emoar:rnaii.corn, anthony i adava.cc %,, n'i, kei;In;2ter�'(. assc';sc.net Walk through performed Monday January 11 with Robert Soto and Kathryn Kehimeier. Ot. • Recommending to remove Oak Tree hacked by Power Electric company on Newport Drive. • Core grasses along Cays Drive were trimmed/cut back. • During/after rain, we noticed ant mounds starting to appear at many areas, we did a complete treatment last week. • We are starting to remove all weeds and cut backs preparing for mulch installation next week. • Due to Holiday schedule, we fell a little behind. Water plant push back is scheduled for next week. Thank you, Claire Campbell pbe• ishacio soto's Lawn Service, Inc. rj. !,�,r+.�Y 2830 35th Avenue NE Naples, FL 34120 Sotolawn.com Phone: (239)354-1080 Fax:(239)354-1045 Contact us: Claire infoPsotolawn.com (Office) Robert robert@sotolawn.com Donna donna@sotolawn.com Lila lilaPsotolawn.com (irrigation) `� Agenda Page#11 Port of the Islands Community Improvement District Financial Report December 31,2015 Prepared by SEVERN TRENT, SERVICES 1 j Agenda Page#12 PORT OF THE ISLANDS Community Improvement District Table of Contents FINANCIAL STATEMENTS Balance Sheet-All Funds Page 1 General Fund Statement of Revenues,Expenditures and Changes in Fund Balance Page 2 Trend Report Page 3 Enterprise Fund Statement of Revenues,Expenditures and Changes in Fund Balance Page 4-5 Trend Report Page 6 SUPPORTING SCHEDULES Check Register Page 7-8 Special Assessments-Collection Schedule .......................................................... Page 9 Construction Schedule .......................................................... Page 10-12 CIP Status Report Page 13-14 Cash Flow Projections Page 15-16 Cash Flow Projections-5 year Page 17 Monthly Activity Report Page 18-23 Accounts Receivable Ageing Report(90+days outstanding)......... Page 24-25 Repair and Maintenance Detail Reports Page 26-28 1 6 1 1 B 3 Agenda Page#13 Port of the Islands Community Improvement District Financial Statements (Unaudited) December 31, 2015 .L. 6 PORT OF THE ISLANDS Agenda Page#14 Community Improvement District Governmental and Enterprise Funds Balance Sheet December 31,2015 GENERAL WATER AND ACCOUNT DESCRIPTION FUND SEWER FUND TOTAL 1 ASSETS Cash-Checking Account $ 302,467 $ 752,930 $ 1,055,397 Accounts Receivable 417 6,838 7,255 Assessments Receivable 337,552 958,606 1296,158 Allow-Doubtful Collections (337,552) (958,606) (1296,158) Due From Other Funds 816,875 - 616,875 • Investments: Money Market Account 91,134 6,789 97,923 Construction Fund - 25,180 25,180 Prepaid Items 2,007 2,007 4,014 Fixed Assets Land - 293,061 293,061 Infrastructure - 15,426,890 15,426,890 Accum Depr-Infrastructure - (5,025,456) (5,025,456) Equipment and Furniture - 327,167 327,167 Accum Depr-Equip/Furniture - (117,178) (117,178) TOTAL ASSETS $ 1,012,900 $ 11,698,228 $ 12,711,128 LIABILITIES Accounts Payable $ - $ 51 5 51 Accrued Expenses 2,583 2,594 5,177 Deposits - 35,000 35,000 Other Current Liabilities - 544 544 Revenue Bonds Payable-Current - 551,529 551,529 Due Ta Other Funds - 616,875 616,875 Revenue Bonds Payable-LT - 2,406,616 2,406,616 TOTAL LIABILITIES 2,683 3,613,209 3,615,792 FUND BALANCES/NET ASSETS Fund Balances Nonspendable: Prepaid Items 2,007 2,007 4,014 Assigned to: Operating Reserves 103,762 - 103,762 Unassigned: 904,548 - 904,548 Net Assets Invested in capital assets, net of related debt - 7,945,795 7,945,795 Restricted for Debt Service - 25,180 25,180 Unrestricted/Unreserved - 112,037 112,037 TOTAL FUND BALANCES/NET ASSETS $ 1,010,317 $ 8,085,019 8 9,095,336 TOTAL LIABILITIES 8,FUND BALANCES!NET ASSETS $ 1,012,900 $ 11,698,228 $ 12,711,128 Report Date: 1/4/2016 1 ` J. , .t PORT OF THE ISLANDS Agenda Page#15 Community Improvement District General Fund Statement of Revenues,Expenditures and Changes in Fund Balances For the Period Ending December 31,2015 ANNUAL YTD ACTUAL ADOPTED YEAR TO DATE YEAR TO DATE VARIANCE($) ASA%OF DEC-15 ACCOUNT DESCRIPTION BUDGET BUDGET ACTUAL FAV(UNFAV) ADOPTED BUD ACTUAL REVENUES Interest-Investments $ 1,673 $ 417 $ 161 $ (256) 9.52% $ 35 Interest-Tax Collector - - 1 1 0.00% - Special Assmnts-Tax Collector 334,109 111,370 272,870 161,500 81.67% 122,042 Special Assmnts-CDD Collected 96,490 32,164 - (32,164) 0.00% - Special Assmnts-Discounts (17,224) (5,742) (10,811) (5,069) 62.77% (4,732) TOTAL REVENUES 415,048 138,209 262,221 124,012 63.18% 117,346 EXPENDITURES Administration PIR-Board of Supervisors 7,000 1,500 2,000 (500) 28.57% 500 FICA Taxes 536 134 153 (19) 28.54% 38 ProfServ-Engineering 19,000 4,750 2,077 2,673 10.93% 1,067 ProfServ-Legal Services 20,000 5,000 2,857 2,143 14.29% 1,037 ProfServ-Mgmt Consulting Sery 30,995 7,749 7,749 - 25.00% 2,583 ProfServ-Property Appraiser 5,012 5,012 4,635 377 92.48% - ProfServ-SpecialAssessment 10,100 10,100 - 10,100 0.00% - Auditing Services 3,500 1,750 - 1,750 0.00% - Postage and Freight 800 150 111 39 18.50% 94 Rental-Meeting Room 350 75 75 - 21.43% - Insurance-General Liability 9,718 2,430 2,007 423 20.65% - Printing and Binding 600 150 150 - 25.00% 29 Legal Advertising 1,000 250 - 250 0.00% Miscellaneous Services 1,380 345 223 122 16.16% 95 Misc-Assessmrlt Collection Cost 6,682 2,227 5,241 (3,014) 78.43% 2,346 Misc-Web Hosting 1,000 250 142 108 14.20% 71 Office Supplies 350 87 39 48 11.14% 19 Annual District Filing Fee 175 175 175 - 100.00% - Total Administration 117,998 42,134 27,834 14.500 23.42% 7,879 Field Contracts-Mgmt Services 100,000 25,000 26,556 (1,556) 26.56% 9,889 Contracts-Landscape 82,630 20,708 22,707 (1,999) 27.41% 7,402 Electricity-Streetlighting 18,000 4,500 3,690 810 20.50% 1,230 Utility-Irrigation 17,000 4,251 4,806 (555) 28.27% 1,381 R&M-Renewal and Replacement 70,000 17,500 (2,397) 19,897 -3.42% (2,822) R&M-Roads&Alleyways 8,220 2,055 - 2,055 0.00% - R&M-Signage 1,000 250 - 250 0.00% - Total Field 297,050 74,264 55,362 18,902 18.64% 17,280 TOTAL EXPENDITURES 415,048 116,398 82,996 33,402 20.00% 25,159 Excess(deficiency)of revenues Over(under)expenditures - 21,811 179,225 157,414 0.00% 92,186 Net change in fund balance $ - $ 21,811 $ 179,225 $ 157,414 0.00% $ 92,186 FUND BALANCE,BEGINNING(OCT 1,2015) 831,092 831,092 831,092 FUND BALANCE,ENDING $ 631,092 $ 852,903 $ 1,010,317- Report Date: 1/4/2016 2 .1 , 6 P a s i 3 k 3� PORT OF THE ISLANDS Agenda Page#16 Community Improvement District Trend Report-General Fund Statement of Revenues,Expenditures and Changes in Fund Balances For the Period Ending December 31,2015 TOTAL Oct Nov Dec Actual Thru Adopted Account Description Actual Actual Actual 12/3112015 Budget Revenues Interest-Investments $ 73 $ 52 $ 35 $ 161 $ 1,673 Interest-Tax Collector 1 - - 1 - Special Assmnts-Tax Collecto 3,576 147,252 122,042 272,870 334,109 Special Assmnls-CDD Wester - - - 96490 Special Assmnts-Discount (10:) (5,890) (4,732) (10,811) (17,224) Total Revenues 3,462 141,414 117,345 262,221 416,048 Expenditures Administrative PIR-Board of Supervisors 1,000 5W 500 2,000 7,000 FICA Taxes 77 38 38 153 536 ProtServ•Engineemrg - 1,010 1,067 2,077 19,020 ProlServ-Legal Services 980 841 1,037 2,857 20,000 ProServ-MgmtConsulting Sero 2,583 2,583 2,583 7,749 30,995 ProfServ-Properly Appraiser 4,635 - - 4,635 5,012 ProfServSpeclal Assesemen - - - - 10,100 Auditing Servicer - - - - 3,500 Postage and Freigh. - 17 94 111 600 Rental-Meeting Room 50 25- - 75 350 Insurance-GeneralLiabilit 2,007 - - 2,007 9,718 Printing and Bindinc - 121 29 150 600 LegalAdvertisinl - - - - 1,000 Miscellaneous Servicer 48 81 95 223 1,380 Misc-AssessmntColecton Cos 68 2,827 2,346 5,241 6,682 Misc-Web Hosing 71 - 71 142 1,000 Office Supplies 19 19 39 350 Annual District Filing Fey - 175 - 175 175 Total Administrative 11,519 8,237 7,879 27,634 117,998 Field Contracts-Mgml Services 8,333 8,333 9,889 26,556 100,000 Contracts-Landscape 8,902 8,402 7,402 22,707 82,830 Electricity-Streedightin' 1,229 1,230 1,230 3,690 18,000 Utility-Irrigator 1,569 1856 1,381 4,800 17,000 R&M-Renewal and Replacement 225 - (2,622) (2,397) 70000 R&M-Roads&Alleyways - - _ - 8,220 R&M-Signags - - - - 1,000 Total Field 18,258 19,821 17,280 55,362 297,050 Total Expenditures 29,777 28,058 25,159 82,996 415,048 Excess(deficiency)of revenues Over(under)expenditures (28315) 113,356 92,106 179,225 - Other Financing Sources(Uses) Conlrfrution to(Use 00 Fund Balance - - - - - Total Financing Sources(Uses) • - - - - Net change in fund balance $ (26,315) $ 113,356 $ 92,186 $ 179,225 $ - Fund Balance,Beginning(Oct 1,2015) 831,092 831,092 Fund Balance,Ending $ 1,010,317 $ 831,092 Report Date: 1/4/2016 3 ,,,f. 3 ! 1 I? PORT OF THE ISLANDS Agenda Page#17 Community Improvement District Water And Sewer Fund Statement of Revenues,Expenses and Changes in Net Assets For the Period Ending December 31,2015 ANNUAL YTD ACTUAL ADOPTED YEAR TO DATE YEAR TO DATE VARIANCE($l AS A%OF DEC-15 ACCOUNT DESCRIPTION BUDGET BUDGET ACTUAL FAV(UNFAV) ADOPTED BUD ACTUAL OPERATING REVENUES Interest-Investments $ 287 $ 71 $ 11 $ (60) 3.83% $ 3 Water Revenue 59,070 14,769 11,607 (3,162) 19.65% 4,219 Sewer Revenue 89,320 22,330 16,630 (5,700) 18.62% 6,245 Irrigation Fees 121,990 30,497 30,833 336 25.28% 9,600 Special Assmnts-Tax Collector 933,964 311,321 785,118 453,795 81.92% 342,200 Special Assmnts-CDD Collected 331,781 110,587 - (110,587) 0.00% - Special Assmnts-Discounts (50,629) (16,876) (30,312) (13,436) 59.87% (13,268) Other Miscellaneous Revenues - - 1,060 1,060 0.00% 275 TOTAL OPERATING REVENUES 1,485,763 472,699 794,945 322,246 53.50% 349,274 OPERATING EXPENSES Personnel and Administration P/R-Board of Supervisors 7,000 1,500 2,000 (500) 28.57% 500 FICA Taxes 536 134 153 (19) 28.54% 38 ProfServ-Engineering 19,000 4,750 2,077 2,673 10.93% 1,067 ProfServ-Legal Services 20,000 5,000 2,858 2,142 14.29% 1,037 ProfServ-Mgmt Consulting Sery 31,122 7,782 7,781 1 25.00% 2,594 ProfServ-Property Appraiser 14,009 14,009 12,989 1,020 92.72% - ProfServ-Special Assessment 8,617 8,617 - 8,617 0.00% - Auditing Services 3,500 1,750 - 1,750 0.00% - Postage and Freight 700 175 158 17 22.57% 121 Rental-Meeting Room 350 75 75 - 21.43% - Insurance-General Liability 9,719 2,430 2,007 423 20.65% - Pnnting and Binding 600 150 150 - 25.00% 29 Legal Advertising 1,000 250 - 250 0.00% - Miscellaneous Services 2,600 650 562 88 21.62% 175 Misc-Assessmnt Collection Cost 18,679 8,226 14,696 (8,470) 78.68% 6,579 Office Supplies 350 87 39 48 11.14% 19 Total Personnel and Administration 137,762 53,585 45,545 8,040 33.06% 12,159 Water-Sewer Comb Services Contracts-Mgmt Services 309,533 77,383 82,199 (4,816) 26.56% 30,611 Contracts-Generator Maint 1,750 - - - 0.00% - Communication-Teleph-Field 4,270 1,067 1,490 (423) 34.89% 274 Utility -General 86,000 21,501 20,044 1,457 23.31% 6,695 R&M-Irrigation 22,570 5,642 203 5,439 0.90% - R&M-LiftStation 6,000 1,500 18,549 (17,049) 309.15% 7,987 R&M-Potable Water Lines 8,000 1,500 - 1,500 0.00% - R&M-Water Plant 10,000 2,500 307 2,193 3.07% - R&M-Waste Water Plant 16,000 3,999 (6,403) 10,402 -40.02% (6,528) R&M-Sewer Lines 6,000 1,500 27 1,473 0.45% - R&M-Backflow Inspection 4,000 999 - 999 0.00% - Report Date:1/4/2016 4 ''' ' q .:.,,. 3 PORT OF THE ISLANDS Agenda Page#18 Community Improvement District Water And Sewer Fund Statement of Revenues,Expenses and Changes in Net Assets For the Period Ending December 31,2015 ANNUAL YTO ACTUAL ADOPTED YEAR TO DATE YEAR TO DATE VARIANCE(S) ASA%OF DEC-15 ACCOUNT DESCRIPTION BUDGET BUDGET ACTUAL FAV(UNFAV) ADOPTED BUD ACTUAL Misc-Licenses&Permits 7,375 6,375 1,000 5,375 13.56% - Cap Outlay-Waste Water Plant 60,796 15,198 - 15,198 0.00% - Total Water-Sewer Comb Services 540,294 139,164 117,416 21,748 21.73% 39,041 Debt Service Principal Debt Retirement 551,529 - - - 0.00% - Interest Expense 103,831 51,916 8,653 43,263 8.33% - TotalDebtService 655,360 51,916 8,653 43,263 1.32% - TOTAL OPERATING EXPENSES 1,333,436 244,685 171,614 73,051 12.87% 51,200 Operating income(loss) 152,327 228,034 623,331 395,297 409.21% 298,074 Change in net assets $ 152,327 $ 228,034 $ 623,331 $ 395,297 409.21% $ 298,074 TOTAL NET ASSETS,BEGINNING(OCT 1,2015) 7,461,688 7,461,688 7,461,688 TOTAL NET ASSETS,ENDING $ 7,614,016 $ 7,689,722 $ 8,085,019 Report Date: 1/4/2016 5 i (cHl PORT OF THE ISLANDS Agenda Page#19 Community Improvement District Trend Report-Water And Sewer Fund Statement of Revenues, Expenses and Changes in Net Assets For the Period Ending December 3.1,2015 TOTAL j Oct Nov Dec Actual Thru Adopted Account Description Actual Actual Actual 1213112015 Budget Operating Revenues Interest-Investments $ 5 $ 3 $ 3 $ 11 $ 287 Water Revenue 3,353 4,035 4,219 11,607 59,070 Sewer Revenue 4,873 5,511 6,245 16,630 89,320 Irrigation Fees 10,257 10,977 9,600 30,833 121,990 Special Assmnls-Tax Collecto 10927 412,888 342,200 765,116 933,964 Special Assmnts-COD Collector - - - - 331,761 Special AssmnLs-Discount! (528). (16,516) (13,268) (30,312) (50,629) Other Miscellaneous Revenuer 385 400 275 1,060 Total Operating Revenues 28,372 417,298 349,274 794,945 1,485,763 Operating Expenses Personnel and Administration PJR-Board of Supervisors 1,000 500 500 2,000 7,000 FICA Taxes 77 38 38 153 536 ProfServ-Engineering - 1,010 1,067 2,077 19,000 ProfServ-Legal Services 980 841 1,037 2,858 20,000 ProfServ-Mgml Consulting Sea 2,594 2,594 2,594 7,781 31,122 ProfServ-Property Appraiser 12,989 - - 12,989 14,009 ProfServ-Special Assessmen - - - - 8,617 Auditing Service: - - - - 3,500 Postage and Freigh 20 17 121 158 700 Rental-Meeting Room 50 25 - 75 350 Insurance-GeneralLiabilh 2,007 - - 2,007 9,719 Printing and Bindin( - 121 29 150 600 LegalAdvertisinl - - - - 1,000 Miscellaneous Servicer 215 173 175 562 2,600 Misc-Assessmnt Collection Cos 190 7,927 6,579 14,696 18,679 Office Supplies - 19 19 39 350 Total Personnel and Administration 20,122 13,265 12,159 45,545 137,782 Water-Sewer Comb Services Contracts-MgntServices 25,794 25,794 30,611 82,199 309,533 Contracts-GeneratorMainl - - - • - 1,750 Communication-Teleph-Flair 943 273 274 1,490 4270 Utility-Genera 6,670 6,680 6,695 20,044 86,000 R&M-Irrigation 203 - - 203 22,570 R&M-LittStatior - 10,562 7,987 18,549 6,000 R&M-Potable Water Lines - - - - 6,000 R&M-Water Plan - 307 - 307 10,000 R&M-Waste Water Plan 40 83 (6,526) (6,403) 16,000 R&M-Sewer Lines - 27 - 27 6,000 R&M-Baektlow Inspectior - - - - 4,000 Misc-Licenses&Permit* 1,000 - - 1,000 7,375 Cap Outlay-Waste Water Plan - - - - 60,796 Total Water-Sewer Comb Services 34,650 43,726 39,041 117,416 540,294 Debt Service Principal Debt Retirement - - - - 551,529 Interest Expense - 8,653 - 8,653 103,831 Total Debt Service - 8,653 - 6,653 655,360 Total Operating Expenses 54,772 65,644 51,200 171,614 1,333,476 Operating income(loss) $ (26,400) $ 351,654 $ 298,074 623,331 152,327 Net Assets,Beginning(Oct 1,2015) 7,461,688 7,461,688 Net Assets,Ending $8,085,019 $7,614,015 Report Date: 1/4/2016 6 ": ; 4. . ,. 0 3 *WA .., Agenda Page#20 Port of the Islands Community Improvement District Supporting Schedules December 31, 2015 1611 O N O N N N l") r 0 0 0 0 CO m Of) 0)) ^ O 00 O O O O 0 O n N N O O d'N O O aN C N W r O N N 1, 00 Q 0 0 z 0) N 6 0) 0 0 V 0 0 N n O 0 6447; 4 N N 0 pp�� M 4 0 6 M 0 0 0 o 04049 N N M 0 0 0 0 0 LU In N fA 0 0 60 0 0 0 N 0 0 N 0 M 0 N E O N ."4,0.'0.:(10).0.0..q.<1.01.3_0 ,0 CO d)fA 0(9 N 0 N U) too N ` N 0 C0 N f9 0, 39 f9 a OD n NN # S (9 f9 (9 df 4 f9 f9 4 S N 69 m 10 W VJ O W d m a) L (9 0 0 v C u CO M m o p oo o o p t01 NNMMMMM ? mm N $ $ 8m $ @ (ON (0010 N § § :9; Q N N N p N fap N N N N ��LU�{j 88 N CO N p N 2, to pN C . a o . . 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U N N N N cV N N(� N N fN cJ N Q 20 'cZs 'alRg.IPPIA8a -sAc% vvv ‘ta- ?i' r a a 20 000000000000000000000 )?Z a a a a v v v a e v 7 a v a v a e a s iou 3 PORT OF THE ISLANDS Agenda Page#23 Community Improvement District Non-Ad Valorem Special Assessments Collier County Tax Collector-Monthly Collection Report For the Fiscal Year ending September 2016 ALLOCATION BY FUND DISCOUNT! GROSS DATE NET AMOUNT (PENALTIES) COLLECTION AMOUNT GENERAL WATERISEWER RECEIVED RECEIVED AMOUNT COSTS RECEIVED FUND FUND Assessments Levied FY 2016" $ 1,230,319 $ 323,431 $ 906,888 Allocation% 100% 26% 74% 10/27/15 $ 12,629 $ 717 $ 258 $ 13,604 $ 3,576 $ 10,027 11/16/15 $ 121,527 $ 5,167 $ 2,480 $ 129,174 $ 33,958 $ 95,216 11/30/15 $ 405,451 $ 17,240 $ 8,275 $ 430,966 $ 113,294 $ 317,672 12/14/15 $ 396,316 $ 16,691 $ 8,088 $ 421,096 $ 110,699 $ 310,396 12/31/15 $ 41,001 $ 1,309 $ 837 $ 43,147 $ 11,343 $ 31,804 TOTAL $ 976,925 $ 41,123 $ 19,937 $ 1,037,986 $ 272,870 $ 765,116 %Collected 84.37% 84.37% 84.37% TOTAL OUTSTANDING $ 192,334 $ 50,561 $ 141,772 Year Parcel ID Description Amount Comments FY 2010 1058920500 POI Hotel 119,627 bankruptcy FY 2011 1058920500 POI Hotel 119,627 bankruptcy FY 2012 1058920500 POI Hotel 119,638 bankruptcy FY 2013 1058920500 POI Hotel 119,638 bankruptcy FY 2014 1058920500 POI Hotel 119,637 bankruptcy FY 2014 1058920005 POI Realty LLC 268,677 FY 2015 various Lake Huron,LLC 33,753 Total Delinquent Parcels-Tax Collector 900,597 FY 2015 1058920500 POI Hotel 119,746 bankruptcy FY 2015 1058920513 Marando,Dominic 6,761 FY 2015 1058920005 POI Realty LLC 268,658 Total Delinquent Parcels-Direct Billed 395,165 Total Current Parcels-Direct Billed 466,002 TOTAL DELINQUENT/OUTSTANDING 1,954,098 Note**: Lake Huron,LLC parcels were direct billed subsequent to budget adoption. Report Date:1/4/2016 9 e 3 PORT OF THE ISLANDS Agenda Page#24 Community Improvement District Series 2010 Special Assessment Revenue Bond 1.Recap of Capital Project Fund Activity Through December 31,2015 Bond Issued(Construction Account) $ 5,500,000 Source of Funds:Interest Earned $ 8,613 Use of Funds: COI $ (42,700) COI(costs transferred to checking account) $ (5,000) Disbursements: Water Treatment Plant $ (5,333,694) Disbursements: Lift Station Rehab $ (102,040) $ (5,483,433) Adjusted Balance in Construction Account December 31,2015 $ 25,180 2.Funds Available For Construction at December 31,2015 Book Balance of Construction Account at December 31,2015 $ 25,180 Construction Funds available at December 31,2015 $ 25,180 3.Investments-BB&T at December 31,2015 Estimated Type Yield Principal Construction Fund: 0.12% $ 25,180 ADJ:Outstanding Amounts Due $ - Balance at December 31,2015 $ 25,180 4. General Bond Information Issued: 2010 Matures: 2020 Bond Interest Rate: 3.51% FY 2016 budgeted bond payment as%of gross assessments(water/sewer fund): 52% NOTE: The November statement was not available as of this report date. Report Date:1/4/2016 10 3 PORT OF THE ISLANDS Agenda Page#25 Community Improvement District Construction Schedule IAMOUNT OF CAPITAL WATER TREATMENT LIFT STATION REQ.# DATE CONTRACTOR REQUISITION OUTLAY 001 PLANT REHAB COI 10/20/10 Greenberg Traurig $ 10,000 $ - $ 10,000 $ - $ - COI 10/20/10 BB&T 2,700 2,700 COI 10/20/10 Severn Trent Management Svcs 15,000 15,000 COI 11/02/10 Dan Cox 15,000 15,000 1 11/09/10 Port of the Islands CID(reimb) 321,537 321,537 321,537 2 11/18/10 South Florida Excavation 26,504 26,504 26,504 3 11/24/10 Naples Daily News 151 151 151 4 01/04/11 Century Link 26,311 26,311 26,311 5 12/16/10 South Florida Excavation 18,009 18,009 18,009 6 02/01/11 Hole Montes 2,561 2,561 2,561 7 02/01/11 Hole Montes 16,200 16,200 16,200 8 02/01/11 Hole Montes 13,207 13,207 13,207 9 02/10/11 Benchmark EnviroAnalytical,Inc. 1,019 1,019 1,019 10 02/17/11 Hole Montes 1,983 1,983 1,983 11 03/07/11 Hole Monies 6,250 6,250 6,250 12 03/16/11 South Florida Excavation 12,762 12,762 12,762 13 03/29/11 Cardinal Contractors 27,000 27,000 27,000 14 04/06/11 Hole Montes 13,850 13,850 13,850 15 05/05/11 South Florida Excavation 18,587 18,587 18,587 16 05/16/11 Cardinal Contractors 95,029 95,029 95,029 17 05/19/11 Hole Montes 39,585 39,565 39,565 18 06/14/11 KW Controls 1,039 1,039 1,039 19 06/14/11 Cardinal Contractors 196,572 196,572 196,572 20 07/06/11 Hole Montes 19,575 19,575 19,575 21 07/22/11 Cardinal Contractors 170,192 170,192 170,192 22 07/27/11 Hole Montes 22,325 22,325 22,325 23 08/19/11 Cardinal Contractors 156,353 156,353 156,353 24 08/30/11 Hole Montes 19,700 19,700 19,700 25 09/16/11 South Florida Excavation 6,971 6,971 6,971 26 09/16/11 South Florida Excavation 4,602 4,602 4,602 27 09/16/11 Cardinal Contractors 278,893 278,893 278,893 28 09/27/11 Michael Evans Computers 3,255 3,255 3,255 29 10/17/11 Cardinal Contractors 85,416 85,416 85,416 30 11/03/11 Hole Montes 833 833 833 31 11/03/11 Hole Montes 43,975 43,975 43,975 33 11/23/11 KW Controls 24,337 24,337 24,337 Total FY 2011 $ 1,717,261 $ 1,674,561 $ 42,700 $ 1,674,561 $ - 32 11/14/11 Cardinal Contractors $ 266,314 $ 266,314 $ - $ 266,314 34 12/15/11 South Florida Excavation 4,602 4,602 4,602 35 12/15/11 BCI Technologies 7,121 7,121 7,121 36 12/15/11 ITT Water Equipment Tech 586,787 586,767 588,767 37 12/16/11 Cardinal Contractors 647,523 647,523 647,523 38 12/30/11 Hole Montes 43,673 43,673 43,673 39 01/24/12 Hole Montes 25,610 25,610 25,610 40 01/24/12 Cardinal Contractors 174,823 174,823 174,823 41 01/30/12 KW Controls 73,011 73,011 73,011 42 02/24/12 Cardinal Contractors 240,416 240,416 240,416 43 03/15/12 Cardinal Contractors 246,740 246,740 246,740 44 04/05/12 Hole Montes 48,232 48,232 48,232 45 04/23/12 Cardinal Contractors 89,577 89,577 89,577 46 05109/12 ITT Water Equipment Tech 30,578 30,578 30,578 47 05/16/12 Cardinal Contractors 82,629 62,629 62,829 48 05/17/12 KW Controls 12,169 12,169 12,169 49 06/12/12 Hole Montes 65,277 65,277 65,277 50 06/12/12 Severn Trent Environmental Svcs 9,027 9,027 9,027 Report Date:1/4/2016 11 1611 PORT OF THE ISLANDS Agenda Page#26 Community Improvement District Construction Schedule IAMOUNT OF CAPITAL WATER TREATMENT LIFT STATION REQ.* DATE CONTRACTOR REQUISITION OUTLAY 001 PLANT REHAB 51 06/12/12 BCI Technologies 20,000 20,000 20,000 52 06/13/12 Cardinal Contractors 207,112 207,112 207,112 53 06/29/12 Soto's Lawn Service,Inc. 19,680 19,660 19,680 54 07/18/12 Cardinal Contractors 13,633 13,633 13,633 55 07/25/12 W.E.Johnson Equipment 33,088 33,088 33,083 56 08/03/12 Hole Montes 49,982 49,982 49,982 57 09/04/12 Severn Trent Environmental Svcs 3,045 3,045 3,045 58 09/04/12 Cardinal Contractors 195,290 195,290 195,290 59 09/19/12 Hole Montes 21,350 21,350 21,350 60 09/19/12 BCI Technologies 33,279 33,279 33,279 61 09/19/12 Cardinal Contractors 52,400 52,400 52,400 I Total FY 2012 $ 3,282,946 $ 3282,946 $ - $ 3,282,946 $ - I 62 10/16/12 RMA Geological Consultants $ 5,990 $ 5,990 $ - $ 5,990 63 10/16/12 Cardinal Contractors 151,859 151,859 151,859 64 11/01/12 Hole Montes 10,027 10,027 10,027 85 12/11/12 Severn Trent 48,567 48,567 48,567 66 01/09/13 RMA Geological Consultants 9,170 9,170 9,170 67 01/17/13 Hole Montes 8,138 8,138 8,138 68 01/17/13 RMA Geological Consultants 16,746 16,746 16,746 69 01/17/13 Severn Trent 1,569 1,569 1,569 70 02/05/13 Cardinal Contractors 26,705 26,705 26,705 71 02/05/13 KW Controls 12,169 12,169 12,169 72 02/05/13 Hole Montes 2,533 2,533 2,533 73 02/21/13 KW Controls 12,169 12,169 12,169 74 04/23/13 RMA Geological Consultants 1,600 1,600 1,600 75 10/11/13 Xylem 43,747 43,747 43,747 76 02/25/14 Xylem 25,200 25,200 25,200 I Total FY 2013 $ 376,187 $ 376,187 $ - $ 376,187 $ - I I Total FY 2014 $ - $ - $ - $ - $ - I 77 02/11/15 Fortiline $ 8,700 $ 8,700 78 03/04/15 Fortiline 148 148 79 03/04/15 Ferguson 319 319 80 03/26/15 Severn Trent 9,596 9,596 81 04/08/15 KW Controls 5,346 5,346 82 04/08/15 Gulf States Electric 5,240 5,240 83 04/08/15 Gulf States Electric 6,770 6,770 84 04/08/15 Xylem 1,964 1,964 85 04/08/15 Xylem 697 697 86 04/17/15 KW Controls 5,346 5,346 87 04/17/15 KW Controls 5,346 5,348 88 04/17/15 KW Controls 2,180 2,180 89 04/17/15 Severn Trent 12,965 12,965 90 04/29/15 KW Controls 5,346 5,346 91 04/29/15 KW Controls 32,076 32,076 Total FY 2015 $ 102,040 $ - $ - $ - $ 102,040 Grand Total $ 5,478,433 $ 5,333,694 $ 42,700 $ 5,333,694 $ 102,040 Interest FY 2011 Interest $ 5,744 FY 2012 Interest 2,291 FY 2013 Interest 303 FY 2014 Interest 173 FY 2015 Interest 98 FY 2016 Interest 3 $ 8,613 Report Date:1/4/2016 12 1611 6 1 i. PORT OF THE ISLANDS Agenda Page#27 Community Improvement District All Funds Capital Improvement Program-Status Report Updated thru 12/31/15 ROADS PROGRAM Project No. PAID FY 2018 FY 2018 PAID IN Pt PROJECT Project Name or Description Budget 1't ESTIMATE I'1 2016 INCEPTION TO FY 2017 FY 2018 FY 2019 FY 2020 STATUS DATE :R-3 Road reauAadnB-Stella Mens and feet of sRei Roes feS : $- - K $ $x s l�+,126000 atrfagriyr=UUtilbh toed ham 4T Paving 5M 7/1: 3 `�' '1/0 0T 00JS . " $ .1 i 125 000 TOW Road$filogrgm_ ,.,, „ .,.-.,- i.., ..2,..,t A-'i ,. .C,S% 4-. i ti a.a0A J 1n..; tez '-'S'-,-,-:-.',',' . .l,.200,000 , Total General Fund1 S -I$ -I$ -I 8 .1$ -IS -I$ -I$ 250,000 IRRIGATION PROGRAM PROJECT PAID NO. PROJECT NAME OR DESCRIPTION FY 2016 FY 2018 PAID IN FY INCEPTION TO FY 2017 FY 2018 FY 2019 FY 2020 PROJECT Budget r'" ESTIMATe) 2018DATE m STATUS 1-13 Replace well pump/motor $ - $ - $ - $ - $ 15,000 $ - $ - $ - 1-14 Upgrade irrigation system $ - $ - $ - $ - $ - $ 40,000 $ - $ - Total Irrigation Program $ - $ $ - $ - $ 16,000 $ 40,000 $ - $ - WATER PROGRAM W-19 Video surveillance and monitoring $ 10,000 $ 10,000 $ - $ - $ - $ - $ - ST project W-22 Fire hydrant repair and replacement $ - $ - $ 3,090 $ - $ - $ - $ - ST project W-24 Replace well pump/motor $ - $ - $ - $ - $ 15,000 $ - $ - $ - W-25 Replace water plant membrane $ - $ - $ - $ - $ 70,000 $ - $ - $ - W-26 Raw water line $ - $ - $ - $ - $ - $ - $ $ 700,000 W-27 Finished water line S - $ - $ - $ - $ - $ - $ - $ 300,000 Total Water Program $ 10,000 $ 10,000 5 - $ 3,090 $ 86,000 5 - a - 5 1,000,000 WASTEWATER PROGRAM ST combined L SCADA and control panel for lift stations $ 30,796 $ 30,796 $ - $ 77,137 $ 30,796 $ 30,796 $ - $ - wNVW-26 MBR Membranes $ 20,000 $ 20,000 $ - $ - $ 60,000 $ - $ - $ - ST Mico,Equipment Replacement 8 - $ - $ - $ - $ - $ - $ - $ - Lift station upgrade $ - $ - S - $ _,$ 80,000 $ 80.000 $ 80,000 $ 80,000 Lift station pump replacement $ - $ - $ - $ - $ 15,000 $ 15,000 $ 15,000 $ 15,000Replace 1 blower tor process control $ - $ - $ - $ - 8 20,000 $ - $ - $ - Total Wastewater Program $ 50,796 $ 50,798 $ - $ 77,137 $ 206,796 $ 126,796 $ 95,000 $ 95,000 Total Water/Sewer Fundi$ 60,796 J$ 60,798 I$ _I S 90,2271$ 305,7981 S 185,7961$ 95,000 I$ 1,095,000 NOTE Iii:The amounts shown in the'FY 2016 ESTIMATE'columns reflect the most recent approximation of what the District expects to spend on each project between October 1, 2015 and September 30,2016. NOTE 12): The amounts shown in the'PAID IN FY 2016'column reflects project expenses incurred between October 1,2015 and September 30,2016.The total of these columns will tie to the amounts reported as'Year to Date Actual-Capital Outlay'in the corresponding monthly financial statements. NOTE(3):The'PAID INCEPTION TO DATE'columns reflect any payments made between FY 2006 and present. Report Date'1/4/2016 13 16 : 1 3 PORT OF THE ISLANDS Agenda Page#28 Community Improvement District All Funds Capital Improvement Program-Status Report Completed Projects Project No.I Project Name or Description I Project Total I Co Data on Comments G-1 Collier County Zoning/Fire Station Property $ 22,324 3F 1l))2009 Completed in FY 2010 G-2 Sign Variance Petition-Union Road $ 42,883311/1/2009 Completed in FY 2011 R1&2 (Road resurfacing and repair 1$ 473,138 w :4i00rl Completed in FY 2007 I-1 Irrigation&Fire Control Panel Upgrade $ 54,621 ,,,,, ,ilikagits Completed in FY 2008 1-2 Irrigation Supply Well Project $ 34,765 4i g`'j Completed in FY 2009 1-3 WWlfieltl Mechanical Upgrades $ 218,732 OR—•K+ e Completed in FY 2009 I-4 3rd well to provide irrigation water supply $ 287,793 ta*s`'i" '1 X19 Completed in FY 2010 I-5 Wellfield SCADA $ 27,587 Mg "!✓+tt Completed in FY 2010 1.6 Electrical Upgrades for Wellfield and W WrP Generator $ 247,386 sA ':+'t 0 Completed in FY 2010 1-7 Canal PS Modifications $ 4.269 _1f.;,c111.9/2009 Completed in FY 2010 1-10 Wellhead Retrofitting $ 11,615 ,-•''l$/34/2p12 Completed in FY 2012 1-11 Well Monitoring $ 16,748i1-1.'e.1,1113040.44 Completed in FY 2013 s f 1.19/3 1-12 Pump Retrofitting $ 10,770 _7. 91�Completed in FY 2013 W 2 Water Treatment Plant replace transfer pumps $ 9,887 -i Completed in FY 2008 • W-4 Water Treatment Plant-repairs to building(roof,doors,windows,painting) $ 14050 "."..77t. Completed in FY 2008 W-5 Water Treatment Plant-replace metal launders and walkways on softening unit&other repairs $ 56,877 111411' Completed in FY 2009 W-6 Water Treatment Plant-replace gaseous sham storage/feed sys(chlorine)w/liquid chem(bleach) $ 36,088`t.a19/301$b09 Completed in FY 2009 W-7 Water Treatment Plant-air condition room that houses compliance monitoring equipment $ 3,901 0.11.41°!<.+ -o'+Completed in FY 2008 W-13 Water Treatment Plant-design new WTP $ 488,844( Completed in FY 2011 W-14A Water Treatment Plant-New Construction $ 4,409,326 r A .•4 Completed in FY 2014 W-148 Water Treatment Plant-Inspection of new construction $ 440,894 1 a`td01"3 Completed in FY 2013 W-15 Water Treatment Plant-New meter replacement program(with backflow prevention) $ 257,514 .te,-9L300/20.13 Completed in FY 2013 W-17 SCADA $ 223,093 s� '1 l(Qf Completed in FY 2009 W-23 Storrrsvater Rendon Ponds $ 110,776�1 Completed in FY 2011/2012 W-23a Disinfection Conversion-free chlonno to chloramines $ 11,427 t 012009 Completed in FY 2009 I W W-5 Wastewater Treatment Plant-two new mixers $ 18,810 j` tail'ie ,?', Completed in FY 2008 I WW-8 Wastewater Treatment Plant-add second rouse pump $ 111,973 A•""' Completed in FY 2008 Wastewater Treatment Plant-replace gaseous chem storage/feed systems(chlorine and sulfur dioxide)w/liquid W W -10 them(bleach and solum thiosulfate) $ 36.088 r` •a. ;.Completed in FY 2009 WW-13A Reuse Storage Tank $ 585,259 4130/2910 Completed in FY 2010 WW-133 Automation of reuse water system and supplemental water $ 55358 w 4(31/20i0 Completed in FY 2010 WW-18 DyneLift MBR Membrane System $ 1,112,360 le/Mitt R Wi Completed in FY 2011 WW-19 Electrical service upgrades at WWTP $ 231,100 z°n;$j30j9AQ9 Completed in FY 2009 WW-20 New W WTP Generator $ 115776 d Completed In FY 2009 WW-23 SCADA and control panel for lift stations $ 77,137 110, 4 Completed in FY 2014 Report Date:1/4/2116 14 161j .,,, 3 ,, ,) PORT OF THE ISLANDS Agenda Page#29 Community Improvement District General Fund Cash Flow Projections JAN FEB MAR APR MAY JUN JUL AUG SEP 2018 2016 2016 2016 2016 2016 2016 2016 2016 Cash Beginning Balance $ 393,601 $ 984,015 $ 960,138 $ 938,010 $ 913,876 $ 882.448 $ 851,021 $ 817,586 $ 785,634 Cash Inflow 10,552 10,552 10,552 13,552 139 139 139 139 139 Cash Outflow (36,436) (34,429) (32,679) (34,686) (31,566) (31,566) (33,573) (32,091) (31,566) CD Investment Add:Prepaid Items 2,007 - - - - - - - - Add: Due from WS Fund 616,875 - - - _ - Less:Current Liabilities(as of 12/31/15: (2,583) - - - - - - - - Total Estimated Cash Balance WITHOUT past due assessments or FY 2016 direct billing $ 984,015 $ 960,138 $ 938,010 $ 913,876 $ 882,448 $ 851,021 $ 817,586 $ 785,634 $ 754,207 Total Estimated Cash Balance WITH past due assessments and FY 2016 direct billing $1,428,733 $1,404,856 $1,382,728 $1,358,594 $ 1,327,166 $1,296,739 $1,262,304 $ 1,230,352 $1,198,925 Cash Receipts Special Assessments $ 12,640 $ 12,640 $ 12,640 $ 12,640 $ - $ - $ - $ - $ - Special Assessments-Discount (2,227) (2,227) (2,227) (2,227) - - - - - Interest 139 139 139 139 139 139 139 139 139 Total Cash Inflow $ 10,552 $ 10,552 $ 10,552 $ 10,562 $ 139 $ 139 $ 139 $ 139 $ 139 Operating Expenditures Administrative P/R-Board of Supervisors $ 500 $ 500 $ 500 $ 500 $ 500 $ 500 $ 500 $ 1,000 $ 500 FICA Taxes 45 45 45 45 45 45 45 45 45 ProfServ-Engineering 1,583 1,583 1,583 1,583 1,583 1,583 1,583 1,583 1,583 ProfServ-Legal Services 1,666 1,666 1666 1,666 1,666 1,666 1,666 1,666 1,666 ProfServ-Mgmt Consulting Sery 2,583 2,563 2,583 2,583 2,583 2,583 2,583 2,583 2,583 ProfSery-Property Appraiser - - - - - - - - - ProfServ-Special Assessment - - - - - - - - - Annual Audit 1,750 1,750 - - - - - - - Postage and Freight 50 50 50 50 50 50 50 50 50 Rental-Meeting Room 25 25 25 25 25 25 25 50 25 Insurance-General Liability 2,007 - - 2,007 - - 2,007 - - Printing&Binding 50 50 50 50 50 50 50 50 50 Legal Advertising 63 83 83 83 83 83 83 83 83 Miscellaneous Services 115 115 115 115 115 115 115 115 115 Misc.-Assessmnt Collection Cost 1,113 1,113 1,113 1,113 - - - - - Misc.-Web Hosting 83 83 83 83 83 83 83 83 83 Office Supplies 29 29 29 29 29 29 29 29 29 Annual District Filing Fee - - - - - - - - - Total Administrative $ 11,682 $ 9,675 $ 7,925 $ 9,932 $ 6,812 $ 8,812 $ 8,819 $ 7,337 $ 6,812. Maintenance Contracts-Mgmt Services $ 8,333 $ 8,333 $ 8,333 $ 8,333 $ 8,333 $ 8,333 $ 8,333 $ 8,333 $ 8,333 Contracts-Landscape 6,902 6,902 6,902 6,902 6,902 6,902 6,902 6,902 6,902 Electricity-Streetlighting 1,500 1,500 1,500 1,500 1,500 1,500 1,500 1,500 1,500 Utility-Irrigation 1,417 1,417 1,417 1,417 1,417 1,417 1,417 1,417 1,417 R&M-Renewal&Replacement 5,833 5,833 5,833 5,833 5,833 5,833 5,833 5,833 5,833 R&M-Roads and Alleyways 685 685 685 685 685 685 685 685 685 R&M-Signage 83 83 83 83 83 83 83 83 83 Total Maintenance $ 24,754 $ 24,754 $ 24,754 $ 24,754 $ 24,754 $ 24,754 $ 24,754 $ 24,754 $ 24,754 Total Cash Outflow $ 36,436 $ 34,429 $ 32,679 $ 34,666 $ 31,556 $ 31,666 $ 33,573 $ 32,091 $ 31,566 Report Date,1/4/2016 15 e 4»kw PORT OF THE ISLANDS Agenda Page#30 Community Improvement District Water and Sewer Fund Cash Flow Projections JAN FEB MAR APR MAY JUN JUL AUG SEP 2018 2018 2018 2016 2016 2010 2010 2010 2016 Cash Beginning Balance $ 759,719 $ 127,961 $ 133,938 $ 141,665 $ (478,074) $ (497,072) 9 (516,069) $ (557,339) $ (578,881) Cash Inflow 56,899 56,899 56,899 56,599 27,082 27,082 27,082 27,062 27,082 Cash Outflow-Expenses (73,195) (50,922) (49,172) (676639) (46,059) (46,059) (68,331) (48,584) (48,059) Add:Prepaid hems 2,007 - - - - - - - Less:Cue to General Fund (818,875) - - - • - - - - Less:Current Liabilities(as of 12/31/15) (595) - - - - - - - - Total Estimated Cash Balance WITHOUT past due assessments or FY 2015fFY 2018 direct billing $ 127,961 $ 133,939 $ 141,865 S (478,074) $ (497,072) 5 (518,069) $ (557,339) $ (578,861) 5 (595,858) Total Estimated Cash Balance WITH past due assessments and FY' 2016 direct billing $1,445,402 5 1,451,379 $ 1,459,106 $ 839,387 $ 820,369 $ 801,372 $ 760,102 $ 740,580 $ 721,583 Cash Receipts Special Assessments-Tao Collector $ 35,443 $ 35,443 $ 35,443 $ 35,443 $ • $ - 5 - S - $ - Special Assessments-Discount (5,605) (5,605) (5,605) (5,605) - - - - - Water/Sewer/Irrgation Revenue 27,038 27,038 27,038 27,038 27,038 27.038 27,039 27,038 27,038 InterestiMiscetaneous 24 24 24 24 24 24 24 24 24 Total Cash Inflow $ 56,899 $ 56,899 $ 56,899 $ 56,899 $ 27,082 $ 27,062 $ 27,082 $ 27,082 $ 27,062 Operating Expenditures Administrative • PIR-Board of Supervisors $ 500 5 500 $ 500 $ 500 $ 500 $ 500 5 500 $ 1,000 $ 500 FICA Taxes 45 45 45 45 45 45 45 45 45 ProServ-Engineering 1,583 1,583 1,583 1,583 1,583 1,583 1,583 1,583 1,583 ProSery-Legal Services 1,888 1,888 1,666 1,888 1,666 1,666 1688 1,668 1,888 ProfServ-Mgmt Consulting Sery 2,594 2,594 2,594 2,594 2,594 2,594 2,594 2,594 2,594 ProfServ-Property Appraiser - - - - - - - - ProfServ-Special Assessments - - - - - - - • - Annual Audit 1,750 1,750 - - - - - - Postage and Freight • 58 58 58 58 58 58 58 58 58 Rental-Meeting Room 25 25 25 25 25 25 25 50 25 Insurance-General Liability 2,007 - - 2,007 - - 2,007 - - Printing&Binding 50 50 50 50 50 50 50 50 50 Legal Advertising 83 e3 83 83 83 83 83 83 83 Miscellaneous Services 217 217 217 217 217 217 217 217 217 Misc.-Assessmre Collection Cost 3,113 3,113 3,113 3,113 - - - - - Office Supplies 42 42 42 42 42 42 42 42 42 Total Administrative $ 13,732 $ 11,725 $ 9.975 $ 11,982 $ 8,862 $ 8,882 9 8,869 9 7,387 5 6882 Maintenance Contracts-Mgmt Services $ 25,794 $ 25,794 $ 25,794 9 25,794 $ 25,794 9 25,794 S 25,794 5 25,794 $ 25794 Contracts-Generator Maint - - - 1,750 - - - - - Cornmurtiwlion-Tsleph-Field 358 358 356 358 358 358 358 350 356 Utility-General 7,107 7,167 7,167 7,107 7,167 7,107 7,187 7,187 7,187 R&M-Irrigation 1,880 1,880 1,880 1,980 1,880 1,880 1,880 1,880 1,850 R&M-Lift Station 500 500 500 500 500 500 500 500 500 R&M-Potable Water Lines 500 500 500 500 500 500 500 500 500 R&M-Waler Plant 833 833 833 833 833 833 833 833 853 R&M-Waste Water Plant 1,333 1,333 1,333 1,333 1,333 1,333 1,333 1,333 1,333 R&M-Sewer Lines 500 500 600 600 600 500 500 600 500 REM-Backflow Inspection 333 333 333 333 333 333 333 333 333 MIsc-Licenses&Permits - - - - - - - - - CIP' 20,285 - - 20,285 - - 20,265 - - Total Maintenance $ 59,483 9 39,197 $ 39,197 $ 81,213 $ 38,197 $ 39,197 $ 59,463 0 39.197 $ 39,197 Debt Service Principal and Interest $ - $ - $ - $ 803,444 $ - 9 - $ - $ - $ - Total Debt Service $ - $ - $ - $ 803,444 $ - $ - $ - $ - $ - Total Cash Outflow $ 73,195 5 50,922 $ 49,172 $ 678,839 0 48,059 $ 46,059 9 68,331 $ 48,584 $ 46,059 `NOTES: Estimated CIP costs for anticipated projects are shown quarterly. Report Date:1/4/2016 16 rt! D PORT OF THE ISLANDS Agenda Page#31 Community Improvement District All Funds Cash Flow Projections-5 Year GENERAL FUND ADOPTED PROPOSED PROPOSED PROPOSED PROPOSED FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 Operating Revenues Assessments(Net) $413,373 $413,373 $413,373 $413,373 $413,373 Interest/Miscellaneous $2,153 $2,153 $2,153 $2,153 $2,153 Total Operating Revenues $415,526 $415,528 $415,526 $415,528 $415,528 Operating Expenditures Administrative $121,898 $125,347 $129,107 $132,981 $136,970 Maintenance $293,830 $302,645 $311,724 $321,076 $330,708 Total Operating Expenditures $416,526 $427,992 $440,832 $454,056 $467,678 Capital Expenditures CIP Projects $0 $0 $0 $0 $0 Total Capital Expenditures $0 $0 $0 $0 $0 Estimated Ending Cash Balance WITHOUT past due assessments or FY 2016 direct billing $ 754,207 $728,901 $690,371 $638,218 Estimated Ending Cash Balance WI I H past aue assessments and FY 2016 direct biking $ 1,198,925 $1,173,619 $1,135,089 $1,082,936 WATER AND SEWER ENTERPRISE FUND ADOPTED PROPOSED PROPOSED PROPOSED PROPOSED FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 Operating Revenues Assessments(Net) $1,093,920 $1,093,920 $1,093,920 $1,093,920 $1,093,920 Water/Sewer/Irrigation Revenue $245,800 $245,800 $245,800 $245,800 $245,800 Interest/Miscellaneous $285 $285 $285 $285 $285 Total Operating Revenues $1,340,005 $1,340,005 $1,340,005 $1,340,006 $1,340,006 Operating Expenditures Administrative $145,237 $145,237 $145,237 $145,237 $145,237 Maintenance $480,170 $480,170 $480,170 $480,170 $480,170 Total Operating Expenditures $625,407 $625,407 $625,407 $625,407 $626,407 Capital Expenditures CIP Projects $50,796 $305,796 $165,796 $95,000 $1,095,000 Total Capital Expenditures $50,796 $305,796 $165,796 $95,000 $1,095,000 Debt Service Principal and Interest $655,360 $655,360 $655,360 $655,360 $655,360 Total Debt Service $655,360 $655,360 $655,360 $655,360 $655,360 Estimated Ending Cash Balance WITHOUT past due assessments or FY 2016 direct billing $ (595,858) ($702,416) ($738,177) ($1,773,938) Estimated Ending Cash Balance WITH past due assessments and FY FY 2016 direct billing $ 721,583 $615,025 $579,264 ($456,497) NOTE: The above calculations assume 100%of assessments(including direct billing)will be received in FY 2017- 2020. 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O r0. 54 <N Z• 4 • O O N N u.' a' N q O C,) n r 2 W O 04 �o a D Cr) U A H a �r � a w ao F F r U m m O 4 W U 0 O a w U CO m co Qi W w• Z z ••ui ••cnw O to W rn W U W FE. U A 0 4 ra w-1 r.0 AF t-i • U H N q U afra CO F F F ▪ F N H H H 'Z+ • z aG o tea'tea'a ti z N www o o za' oo0 E U m 4• 4 0 UUto _e Severn Trent Environmental Services Agenda Page#40 Port of the Islands Repair and Maintenance Budget Applied against budget account,copies of invoices available upon request Cap S 20,000 Contract: Oct 2015-Sept.2016 Inv.Date Service Vendor Invoice/ Invoice$ Month Description 10/07/15 Water Plant Cummins Power South Troubleshoot&Repair to Display Control-LIGHTNING STRIKE CLAIM 080-93537 3,883.38 Flushed out Sand From Backflow @ 105 Morningside Cay. Water Meter Had Debris Causing Backflow to Dump. Labor 5.75 hrs @$77-1.5 O/T @ 10/15/15 Water/Backflow Severn Trent $115 WO 46397 500.50 Called in For Locates Leaking at Meter Boxes. Used Trackhoe to Excavate area @ 25050 Peacock Lane to Trace Down Leak. Excavated Meters Back 10/08&10/13/15 Irrigation Severn Trent to Road&Fire Hydrant Valve. Filled in Area. WO 46398 1,235.25 Televised,Excavated&Repaired Break in Line of Sewer Lateral @ 162 10/30-10-31 Sewer Lines Severn Trent Newport Dr Unit 1202 WO 48440 1,500.00 10/06/15 Water Plant Severn Trent Replaced(8)12 Volt Dura12-5F2 Batteries in Rack Mounted UPS WO 46382 423.79 7,542.92 Oct.2015 09/23/15 Misc ABC Fire Equipment Sale 10-Tfuelext-Insp-Ext SVC"o"ring/Collar 51181 240.09 240.09 Nov.2015 7,783.01 Nov.YTD 26 POI Rebate For November 2015 3520 Maintenance 67230 ` ) �a Severn Trent Environmental Services Port of the Islands Agenda Page#41 Chemical Budget iinst budget account,copies of invoices availal Cap $ 20,000 Contract: Oct 2015-Sept.2016 inv.Date Service Vendor Description Invoice* Invoice$ Month 10/05/15 Dumont Hypochlorite Solutions-Sodium Hypochlorite 356138 202.50 Hypochlorite Solutions-Sodium Hypochlorite-As4000- 10/05/15 Dumont 356137 1,182.98 Reverse Osmosis Antiscalant 10/19/15 Dumont Sodium Dydroxide Solution 357909 184.25 10/19/15 Dumont Hypochlorite Solutions-Sodium Hypochlorite 357910 135.00 1,704.73 Oct Total 11/02/15 Dumont Hypochlorite Solutions-Sodium Hypochlorite 359950 148.50 11/02/15 Dumont Hypochlorite Solutions-Sodium Hypochlorite-Sodium 359949 332.75 Peroxide 11/16/15 Hawkins Hypochlorite Solutions-Sodium Hypochlorite 3800814 228.00 11/16/15 Hawkins Sodium Hydroxide-Sodium Hypochlorite 3800813 259.22 968.47 Nov Total 2,673.20 YTD Total 27 P01 Rebate For November 2015 3520 Chemical 84300 4 yt Q ice, i;w lgi Severn Trent Environmental Services Agenda Page#42 Poit of the Islands Instrumentation&Tech Applied against budget account,copies of Invoices available upon request Cap $ 15,000 Contract: Oct 2015•Sept.2016 Inv.Date Service Vendor Invoice# Invoice$ Month Description Replaced(8)-12Volt Dura12.5F2 Batteries in Rack Mounted UPS. Labor 2.75 hrs g$100 10/06115 Severn Trent -Materials$135.26+10% WO 46382 423.79 423.79 Oct.2015 Replaced Batteries in UPS&PLC Cabinets,in Plant Lift Station,in Irrigation Pump Station Panel and Odorless Pupm Station Cabinet. Replaced PLC Batteries in SMT 1500 UPS in 11/04/15 Severn Trent Master PLC Cabinet. WO 46414 816.48 816.48 Nov.2015 1,240.27 Nov.YTD 28 POI Rebate For November 201$ 3520 instrumentation 67190 1611 opt— ‘1‘.— I le...(1.t\re / December 2015 Field Managers Report Water Treatment Plant Operations and Maintenance The Water Treatment Plant produced and distributed 2.33 MG for the month of December which is an average of.075 MGD. Wastewater Plant Operations and Maintenance The Wastewater Treatment Plant treated approximately 2.28 MG for the month of December which is an average of.074 MGD Reuse System Operations and Maintenance The reuse system delivered 7.82 MG for the month of December which is an average of.252 MGD. Permit Compliance: Water Treatment Plant: Wastewater Treatment Plant: *All permit requirements met *All permit requirements met CMMS Work Order Report—April 2015 Summary Total#of WO's 288 Total#of Preventative 282 Total#of Corrective 6 Total#of WO's Completed 288 Total Hours 124.0 1 noropAr 1404 niorlii..414.04" 24 Hr Emergency Contact: (239)631.3022 12600 Union Road Naples,Florida 34114•Tel 239-642-9219• Fax 239-642-9469 www.severntrentservices.com - %11‘,..., 11(.....„.1.17 1 e_e-.. , ., 4., ,i,„, I 1 ' 3 k'cit41° ...3 ,,, - December 2015 Field Managers Report At Our Treatment Facility • Replaced 6"drain valve for Membrane Bioreactor Skid #2 • Replaced pneumatic valve actuator on Skid#2 drain valve • Replaced universal power supply for Membrane Bioreactor Skid #1 Programmable Logic Computer In The Community: • Completed repair to sewer clean out line at 245 Stella Maris S. which had caused a minor wash out under the driveway. The cause of the problem was found to be an old abandoned drain line which had been installed as a temporary line for the builder's construction office trailer when the homes were built. When the drain line was installed there was a 2"gap left around the end of the line where it entered the sewer clean out. The gap was sealed with concrete and the washout was backfilled with more concrete to prevent any further problems. • Facilitated the addition of a lone street light that had previously been removed from the CID's bill and therefore was no longer being serviced by LCEC. It has since been repaired and will again be serviced by LCEC in the future. • Removed an irrigation meter box for an unused meter on Newport Dr. where honey bees had made a massive hive. The meter box itself was disposed of and the county notified of the hive since it was located on county property. '�» .+U, VA 6 r "Fifa {., 4 ,'o- 60,--!...$v....‘ t fie' 4 4 i �mss+ _ �`' . alt �.., I s€k',r" ::::: :. �i4,'a. a �gldS r -''p�'�s/5 1.'*='(i {.S' i t 3Y F e� "r C a i9 1 ,,q J� '•,. I i Mi^" 9 ;z ffr , ki (,,, ';114-41a4 dr t .,. . ,g. > Its*4 e3 spa`""., ^�'����«��9a � r" � � ; New valve&actuator for MBR Skid#2 New back up battery for MBR Skid#1 Bee hive in meter box on Newport Dr, 2 4te¢ *food* iiloreo,1406«.4' ,. 24 Hr Emergency Contact: (239)6914022 12600 Union Road Naples,Florida 34114•Tel 239-642-9219• Fax 239-642-9469 www.severntrentservices.com o 01-0t-- %,,‘.._ sv,„.0...„\te I i 3 3 ,,,,..„,.„ s „, , December 2015 Field Managers Report 5 . Potable Water Report 4.5 4 3.5 3 2.834 2:875 2 741 2.587'A 2.461 10 2.5 2.319 r. �,� �� 7 278 2 247 r.D2.044 1.925 1.929 1.910 2 1 777 r ` 1.791 _ 2.092 2.132 1.98 2.143 2.072 `�_ 1.5 �/� 1 1.648 1.403y i1 1 434 1.533 1.579'411111111111111111111111111379 403_ 1 498 1.498 1.08 1.052 0.969 1.142 1.182 1.021 1.202 0.5 5% 7% 5% 6% 6% 8% 8% 9% 6% 7% 8% 8% 8% 8% 5% 4% 7% 8% 6% 6% 8% 7% 0 --. , Mar- Apr-14 May- Jun-14 Jul-14 Aug- Sep- Oct-14 Nov- Dec- Jan-15 Feb- Mar- Apr-15 May- Jun-15 Jul-15 Aug- Sep- Oct-15 Nov- Dec- 14 14 14 t#- 14 14 15 15 1a 15 15 15 15 I t Water Produced -U-Water Died %Water Lova «Approximately.31 MG was used for flushing or treatment plant usage;approximately.18 MG was unaccounted for making up the 8%water loss total, 8.893 Irrigation Water Report 9.0 8. 6.1_8.709 - _.. 8_693 _....8.8(12_._..8:354 _.�.. 1025__ 8.0 Allk 7.0 6.541 6.27 184VINIV 6.9:: 5.98 .062 6.95-.047 6.05.290 5.247 6.325 S4g 6.299 ..181 165 6.179 2 5.784 5.8 a' 5.657 ii ..472 5.0 5.285 5.229 4.0 s nic 4.444 4.701 CI 2 3.921 3.961 3.0 2.0 - 1.0 - 4% 9% 9% 3% 6% 8% 7% 7% 8% 8% 8% 6% 8% 6% 7% 5% 6% 6% 8% 7% 8% 0.0 Mar-14Apr-14 May- Jun-14 Jul-14 Aug- Sep- Oct-14 Nov- Dec- Jan-15Feb-15Mer-15Apr-15 May- Jun-15 Jul-15 Aug- Sep- Oct-15 Nov- Dec- -1.0 14 14 14 14 1415 15 15 r. 15 fe_.. -6-Irrigation Meter -�Irrigation Billed t%Water Loae «Approximately 1.19 million gallons(MG)reuse for POI CID Properties;approximately.64 MG was unaccounted for making up the 8% water loss total» 3 n' . 11/#44.rioritowoefol.441, 241*Emergency Contact:(239)69f3022 12600 Union Road Naples,Florida 34114•Tel 239-642-9219• Fax 239-642-9469 www.severntrentservices.com Teague, Calvin From: Ron Benson <RonBenson@hmeng.com> Sent: Friday, December 18,2015 6:56 PM To: Teague,Calvin Cc: Daniel Cox Subject: RE: POI-Orchid Cove Attachments: 0154Fire_Hyd Exist Water-Sht2(1).pdf;0154Fire_Hyd Exist Water-Shtl (1).pdf Cal I believe these drawings are current. I believe these are the drawings which were prepared for the Fire District so they would know where the fire hydrants are located at POI(to help demonstrate that the fire protection system meets all standards as the flow and pressure could be tested to be sufficient). The only fire hydrants on the potable water system are those for the North Hotel which feed a sprinkler system which was a retrofit into an existing building and the CID could not take the responsibility for the guarantees required by the State of Florida if connecting non-potable water to a building. The fire hydrants on that water line are private and had been private likely going back to before the CID was created. Also,the fire hydrant in the middle of BRH property in an open field which was on a private water line which BRH abandoned,was capped off at the water main(or possibly a valve locked closed)and I recall reminding the utility contractor to make sure that the hydrant was bagged so the fire district didn't fine anyone for an inoperable hydrant. We also removed that private hydrant from the drawings which were provided to the fire district. Also note that there is a fire protection system pipeline along the BRH property either on BRH owned property for which the CID has an easement or along the edge of BRH property on Union Road all the way out to the Gun Club where the CID easement ends. Future redevelopment of the N.Hotel and BRH properties would be provided fire hydrants as required for County permits at that time and would either end up being private or CID hydrants depending on whether they were place on private property or on CID owned property(such as a potential future dedicated road)and also depending upon how the developer designs their system(either as a single point of connection requiring a meter,or as a community-type system meeting CID requirements). I would be happy to discuss any fire hydrants on the CID system and which are private and which are public why. A couple of cases might help in understanding some of the differences. When the South Hotel and Marina properties wanted to get County permits they had to get a fire review and they needed to install fire hydrants on their private property. The CID agreed to allow them to connect directly to the CID fire/irrigation line under the condition that these pipes would only feed the fire protection system and that the property owner was responsible for maintenance of the fire hydrants. In situations where Condos needed fire hydrants near buildings in order to get County permits,the CID told them the same thing. In some cases, the CID may have later made agreements for maintenance. The key was that the irrigation tap was separate and had a meter. Fire hydrants on CID property(owned or easements)generally along roads(a location required for approval of County permits) are generally CID owned and maintained. Best wishes. Ron Ronald E. Benson,Jr., Ph.D., P.E. Senior Vice President/Principal Hole Montes,Inc. 950 Encore Way Naples,Florida 34110 (239)254-2000 1 (239)254-2098(fax) (239)777-1611(mobile) Original Message From: Ron Benson Sent:Friday, December 18,2015 6:24 PM To:'Teague,Calvin' Cc:'Daniel Cox' Subject:PO1-Orchid Cove Cal These simplified exhibits tell the story. The CID wanted Orchid Cove to install their potable water and Fire/Irrigation water systems to be connected at both the north and south ends of the community. This would have provided for the new Orchid Cove pipes to reinforce the CID existing pipelines which would be a benefit for both Orchid Cove residents and the entire CID utility customer base. This is because a looped system has many benefits. The CID knew that the old asbestos cement water line in Union Road would eventually need replacement and a loop through Orchid Cove would be a benefit to the entire CID community. Power Corp.simply did not want to consider that the CID had any control over what they did. The CID Board sent Dan and Ron to meet with Power Corp and their engineer on this and other issues to no avail. In fact, Power Corp told the CID that their contractor could tap the CID potable water line in Union Road without any permissions and that is just what they did. Power Corp's position was that the CID was responsible to provide them with a point of connection where they wanted to build it and if the CID didn't like their utility system design then it could remain a private system with a single point of connection meter for potable water and for fire/irrigation. That is what they did for fire/irrigation,but the CID eventually agreed to take the potable water and sanitary sewer systems from the HOA. There is no way to ever go back and accommodate the developer's decision on the potable water system as the CID Option would have required building a section of potable water line at a larger diameter at an incremental cost(there was never any opportunity for the CID to discuss any possible cost sharing for that incremental cost as the developer had made up his mind and simply said no). The issue with regard to the fire/irrigation system still has one possibility and that is for the Orchid Cove HOA to construct(or pay to construct)the connection on the north along the property line between Orchid Cove and the North Hotel(or along Union Road jog in the road around N Hotel). The extra cost which Power Corp incurred in order to make the fire/irrigation system a single point of connection(where they used a Collier County Utilities standard detail,incorrectly in fact,to get a County approval) might have offset the cost of the second connection on the north side of the subdivision. The detail that Power Corp's engineer used was what is used as the point of separation from the public utility and private property owner's responsibility. It is also used when the fire protection is privately owned and maintained on the other side of the meter. The position of the CID was that if the CID was to maintain the fire system that it be built to the CID standards and include completing the loop with the connection near the NE corner of Orchid Cove. A looped fire system would be better for both Orchid Cove residents as well as all CID residents and be consistent with a community asset. A design which was for a private fire protection system which only serves Orchid Cove was to assure that the rest of the CID utility customers would get no benefit from the pipe running through Orchid Cove. I personally told the developer and his engineer that the large backflow preventer was not required since the CID was providing service with non-potable water and in fact the CID did not wish them to install it. They installed it anyway and we all remember the ongoing issues related to that backflow preventer until we suggested that they simply remove it if they didn't want to continue maintenance of it. The CID Board was involved in all of these decisions back when this was happening and were looking out for the interests of the community. In the end,the developer did what he wanted and the CID Board made the decision to not accept the developer built utility system other than to provide water at the point of connection and to accept the lift station which pumps the sanitary sewage to the wastewater treatment plant. It was a policy decision made by the Board many years ago with input from the District Manager,District Engineer,and District Legal Counsel. 2 1 6 1j3 Earlier this year,I included mention of making the connection between the Orchid Cove fire pipeline near the NE corner of the subdivision as a potential HOA project which would allow removal of the fire/irrigation master meter near the clubhouse. One additional consideration has always been my strong recommendation regarding this. That is that we get some sort of assurance from Orchid Cove HOA that all irrigation pipelines were installed off of the fire protection pipeline using appropriate flow meters. That is probably the case,but it would seem reasonable to require the HOA to make that statement if the CID Board were ever to consider removal of the master meter. So,this is likely the explanation which I would provide in a public meeting on this topic. If you wish me to attend the,next meeting, I could probably bring a projector and screen along with a limited number of color handouts and explain the difference between the original CID approach(benefit all customers where possible)and the developer approach to build it how they wanted to build it and to only benefit the residents of the subdivision and at a minimum standard. Best wishes. Ron Ronald E. Benson,Jr., Ph.D., P.E. Senior Vice President/Principal Hole Montes,Inc. 950 Encore Way Naples,Florida 34110 (239)254-2000 (239)254-2098(fax) (239)777-1611(mobile) Original Message From: RICOH-NP-EE@hmeng.com [mailto:RICOH-NP-EE@hmeng.com) Sent: Friday, December 18,2015 5:41 PM To: Ron Benson Subject:Message from "RICOH-NP-EE" This E-mail was sent from"RICOH-NP-EE"(MP C4503). 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' - r IV/ 9 I OW -8 / -'>' /•'•/' I -- •••0,..ivit g, 3 ""w":11* 13 4' - ........, „._....,:. -I - 'Y ....„ . ,. • z---..--..-.._._...•_.._-_,_ i.--_ - - - _-_-_..._.-.,.-..„,..-..-......-.,,..- ..-..,.....- "--- , ,7=-,- ------- ---- - - _ -- --,., ---------------- ..... ."-------ft-.------:-- --,, „ - .,,1-:,----- ---- -- - --- -- X ,t i 5-iin pirt- 4_J . k �Zot MINUTES OF MEETING By-------.__�- '-----`♦ PORT OF THE ISLANDS COMMUNITY IMPROVEMENT DISTRICT The regular meeting of the Board of Supervisors of the Port of the Islands Community Improvement District was held Friday, January 15, 2016 at 10:00 a.m. at the Orchid Cove Clubhouse;25005 Peacock Lane;Naples,Florida. Present and constituting a quorum were: J. Anthony Davis Chairman Norine Dillon Vice Chairperson Theodore Bissell Assistant Secretary Dale Lambert Assistant Secretary Richard Ziko Assistant Secretary Also present were: Calvin Teague District Manager Robert Edge Field Manager Steve Spillers Severn Trent Services Operations Robert Soto Soto's Lawn Service Jean Kungle POI Realty Ray Cooper Resident Dan Cramer Resident John DelDebbio Resident Mike Henrys Resident Mr. and Mrs.Jackson Resident Bob Johnson Resident Kathryn Kehlmeier Resident Randy Resch Resident Kevin McPeak Resident Audrey Sanders Resident The following is a summary of the discussions and actions taken at the January 15,2016 Port of the Islands Community Improvement District's Board of Supervisors Meeting. FIRST ORDER OF BUSINESS Call to Order and Roll Call Mr. Davis called the meeting to order;Mr. Teague called the roll. Monday,2/8/16 January 15,2016 Port of the Islands CID SECOND ORDER OF BUSINESS Approval of the Minutes of the December 18,2015 Meeting Mr. Teague stated each Board member received a copy of the Minutes of the December 18,2015 Meeting and requested any additions,corrections or deletions. There not being any, On MOTION by Mr. Lambert seconded by Mr. Bissell with all in favor, the Minutes of the December 18, 2015 Meeting were approved. THIRD ORDER OF BUSINESS Public Comment on Agenda Items • A resident inquired about zoning issues for the hotel. It is not residential. • Mr.Resch inquired about a request he made for information regarding maintenance contracts. This was to be discussed under item 7B. Mr. Resch's request must be submitted in writing to Mr.Teague. Mr.Lambert MOVED to table Agenda Item 7B,Orchid Cove Meter Issue,to the February meeting at the request of resident,Mr.Randy Resch, and Mrs.Dillon seconded the motion. • Copies of maintenance contracts are necessary for this discussion,according to Mr. Resch. • Irrigation water collects in the area,according to Mr.Edge. • The irrigation company should do a wet test to determine whether or not there is a leak. However,there does not appear to be a leak. On VOICE vote with all in favor,the prior motion was approved. • Once Mr. Teague receives the request,he will provide the documents. FOURTH ORDER OF BUSINESS Old Business A. Review of Landscape Maintenance Performance Mr. Soto discussed his walk-through with Ms.Kehlmeier on January 11,2016; a copy of the notes from this walk-through are attached hereto as part of the public record. 2 Monday,2/8/16 A, w04. �4 January 15,2016 Port of the Islands CID • This is the best time to remove the Oak Tree. A ballpark estimate to remove both the Oak Tree and Palm Tree which is under the power line is approximately$375. IOn MOTION by Mrs.Dillon seconded by Mr.Ziko with all in favor, Soto's Lawn Service was authorized to remove the Oak Tree and Palm Tree in the easement,as discussed, in an amount not to exceed $375. • There is damage at the easement on U.S.41 at the median. The gutter coming off of the road is washing out onto the easement. Mr. Soto was asked to take photographs of the area periodically. • A woman was attacked by a swarm of Honey Bees. The county was contacted since it is county property. Mr.Davis asked Mr.Edge to follow up with the Marco Island Honey Company to remove the Queen Bee. FIFTH ORDER OF BUSINESS New Business • Mr.Benson will be needed to attend next month's meeting. SIXTH ORDER OF BUSINESS District Manager's Report A. Acceptance of Financial Statements and Check Register as of December 31,2015 • Funds are coming in from all but two important sources. • Mr. Teague indicated the CDD does not necessarily have to allow early payment discounts on assessments. • The charge of$1,009.50 was for the engineer to work with Soto for the CAD drawings. • A charge for batteries was discussed. There have been replacements in the battery back-up system as well as a couple of CPUs at the plant. Batteries need to be replaced once per year. Mr. Bissell MOVED to accept the Financial Statements and Check Register as of December 31,2015. • There remains approximately $25,000 in the Construction Fund. Lift station charges have not been reflected yet,but may be reflected this month. 3 Monday,2/8/16 q 4 , } January 15,2016 Port of the Islands CID Mr.Lambert SECONDED the prior motion. There being no further discussion, On VOICE vote with all in favor, the Financial Statements and Check Register as of December 31,2015 were accepted. B. Discussion of Follow-Up Items • Mr. Soto was supposed to submit a quote for removal of the Pepper Trees. ➢ Mr.Edge commented the DEP is going to treat and remove the Pepper Trees on the fence line. This will take time. He advised allowing DEP to do this before having Mr.Soto become involved. Soto already removed the Pepper Trees out to the well road. • The lightning damage claim is currently being worked on. SEVENTH ORDER OF BUSINESS Field Manager's Report A. Discussion of December 2015/January 2016 Field Manager's Report Mr. Edge discussed the Field Manager's Report; a copy of which is attached hereto and made part of the public record. • There was a minor washout at Stella Maris South,which was caused by an old drain line going into the sewer line. The gap was repaired. • A streetlight which was not serviced by LCEC has finally been serviced by them. Anytime there is trouble,it will be handled by LCEC within seven days. • The meter box was removed and all beehives have been disposed of. Mr. Spillers will investigate having the Queen Bee removed. B. Orchid Cove Meter Issue As discussed earlier,this item was tabled to the next meeting. EIGHTH ORDER OF BUSINESS Attorney's Report A. Update on Hotel Bankruptcy Lawsuit/Redevelopment of Site • Mr. Teague commented the people who purchased the North Hotel want both parcels. Purchase of the property does not appear to be positive. NINTH ORDER OF BUSINESS Engineer's Report Mr. Benson submitted a report regarding Orchid Cove;a copy of which is attached hereto and made part of the public record. 4 Monday,2/8/16 J. i IB3 January 15,2016 Port of the Islands CID TENTH ORDER OF BUSINESS Supervisors' Requests • Mr.Bissell commented on the electrical meter which was recently installed. There have been no complaints. • Mrs. Dillon commented Ms. Kungle spoke with Ms. Janet Starnes regarding the refugium. It will be 2020 before anyone can look at this. The manatees were moved. Mr.Jim Calvin is trying to reinstitute the Standing Watch Program for the manatees. • Mr. Lambert requested an annual engineering report for the roads along with suggested projects. A formal report has not been done in a long time. Mr. Teague will obtain a copy of the last report and will determine the cost for a new report. ELEVENTH ORDER OF BUSINESS Public Comment Period • Ms.Kungle commented the Appreciation Party for the Water Plant will be held on February 19, 2016 at 12:30 p.m. She is working with Mr. Edge on the details. It will be announced in the next newsletter. TWELFTH ORDER OF BUSINESS Adjournment There being no further business, On MOTION by Mr. Bissell seconded by Mr. Lambert with all in favor,the meeting was adjourned at approximately 11:11 a.m. i Calvin Teague J.Ant o Da is Secretary Chai+• 5 Monday,2/8/16