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ATTACHMENT 1 <br /> RATE RESERVE AGREEMENT <br /> This Rate Reserve Agreement(the"Agreement")is made as of March 20,2018 by and between <br /> Pleasanton Garbage Service. Inc..a California corporation(the "Collector"),and the City of Pleasanton <br /> (the"City").with reference to the following: <br /> A. The Collector and the City are parties to that certain Refuse Collection Agreement dated <br /> May 16, 1989.as amended(the"Current Collection Agreement"),under which the Collector has <br /> accumulated a franchise rate reserve and certain franchise rate deficits. <br /> B. The City Council has approved, and the Collector and the City have agreed to execute <br /> that certain Agreement for Solid Waste. Recyclable Materials and Organic Materials Collection Services <br /> (the"New Collection Agreement"),which will replace the Current Agreement effective July 1.2018. <br /> C. The parties wish to eliminate the franchise rate reserve and deficits described above <br /> under the Current Collection Agreement. in accordance with the terms described herein. <br /> NOW.THEREFORE, in and for mutual covenants herein and other good and valuable <br /> consideration.the receipt and adequacy of which are hereby acknowledged.the parties hereby agree as <br /> follows: <br /> 1. For purposes of this Agreement.capitalized terms used herein shall have the following <br /> meanings: <br /> "Collector"means Pleasanton Garbage Service. Inc..a California corporation. <br /> "Current Collection Agreement"shall mean the Refuse Collection Agreement dated May 16, <br /> 1989.as amended. <br /> "Deficit"shall mean the aggregate of the rate reserve deficits existing under the Current <br /> Collection Agreement as of June 30. 2018.as determined in accordance with the Current <br /> Collection Agreement based on records prepared according to GAAP(which will be$975.317 in <br /> accordance with the Current Collection Agreement). <br /> "GAAP"shall mean generally accepted accounting principles in the United Stated consistently <br /> applied. <br /> "New Collection Agreement"means the Agreement for Solid Waste. Recyclable Materials and <br /> Organic Materials Collection Services,effective July 1. 2018. <br /> "Profit on the Unamortized Balance" means the amount resulting from dividing the Unamortized <br /> Balance as of June 30. 2018 by 0.90 and, from the resulting quotient,subtracting the Unamortized <br /> Balance as of June 30.2018(which will be$130.145). <br /> "Reserve"shall mean the rate reserve existing under the Current Collection Agreement as of June <br /> 30. 2_018.as determined in accordance with the Current Collection Agreement and this <br /> Agreement based on records prepared according to GAAP(which was$4.298.737 as of March <br /> 31.2017 in accordance with the audited financial statement for Collector as of such date received <br /> by the City). The amount of the Reserve at June 30,2018 is unknowable but Collector has <br /> represented to City that,while a number of factors can affect the absolute balance.it is currently <br /> reasonable to believe that it is sufficient to provide for the Deficit.the Unamortized Balance.and <br /> Page 1 of 3 <br /> 8y <br />