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HomeMy WebLinkAbout09/10/2020 - Regular Minutes - Rock Prairie Management District No. 2 (2)ROCK PRAIRIE MANAGEMENT DISTRICT NO. 2 MINUTES OF MEETING OF BOARD OF DIRECTORS September 10, 2020 The Board of Directors (the "Board") of Rock Prairie Management District No. 2 (the "District") met in regular session, open to the public on September 10, 2020, in accordance with the duly posted notice of meeting, and the roll was called of the duly constituted members of said Board of Directors, as follows: Uri Geva — President Hays Glover — Vice President William Lewis — Assistant Vice President Jonathan Stark — Secretary Mark Lindemulder — Assistant Secretary and all of whom participated in the meeting via telephone conference call, except Director Lewis, thus constituting a quorum. Also attending the meeting via telephone conference call were James Murr of College Station Town Center, Inc. ("CSTC"); Cynthia Colondres of Municipal Accounts & Consulting, L.P. ("MAC"); Josh Campbell of EHRA Engineering ("EHRA"); Avik Bonnerjee of B&A Municipal Tax Service, LLC ("B&A"); and Christina Cole and Julie Kime of Schwartz, Page & Harding, L.L.P. ("SPH"). The President called the meeting to order and declared same open for such business as might properly come before it. EXPLANATION OF TELEPHONE CONFERENCE CALL MEETING PROCEDURES AND CALL TO ORDER Ms. Cole explained to the Board the procedures to be used during the telephone conference call meeting. In connection therewith, she informed the participants that the meeting would be recorded, and requested that participants clearly state his or her name before speaking, including when making or seconding a motion. Ms. Cole further explained that she would conduct a roll call vote for all motions and that Board members should wait to vote on a motion until his or her name has been called. Similarly, Ms. Cole stated that a full roll call of all participants would be conducted at the start of each telephone conference meeting for attendance purposes. The President called the meeting to order and declared it open for such business as might regularly come before the Board. PUBLIC COMMENTS The Board began by opening the meeting for public comments. There being no members of the public present, the Board continued to the next item of business. PUBLIC HEARING REGARDING ADOPTION OF THE DISTRICT'S 2020 TAX RATE AND LEVY OF THE DISTRICT'S 2020 TAX RATE AND ADOPTION OF AN ORDER IN CONNECTION THEREWITH The Board conducted a hearing regarding the imposition of a proposed maintenance tax rate for 2020. Mr. Bonnerjee confirmed that notice of this hearing was duly published in The Eagle, as provided by law. It was noted that no taxpayers appeared at the hearing. Upon motion by Director Glover, seconded by Director Stark and unanimously carried, the hearing was closed. The Board then discussed the setting of the 2020 tax rate. After discussion on the matter, Director Glover moved that: (i) the Board adopt the tax rate as proposed at the District's August 13, 2020, meeting and as reflected in the notice mailed by B&A; (ii) the Board levy a 2020 maintenance tax rate of $0.50 per $100 of valuation; (iii) the Order Levying Taxes attached hereto as Exhibit A be adopted in connection therewith and that the President be authorized to execute and the Secretary to attest same on behalf of the Board and the District, and (iv) SPH be authorized to provide the City of College Station, Texas, with notice of the adoption of such tax rate in accordance with the City's ordinance consenting to the creation of the District. Director Stark seconded said motion, which carried unanimously. AMENDMENT TO THE DISTRICT INFORMATION FORM RELATIVE TO THE DISTRICT'S 2020 TAX RATE Ms. Cole presented and discussed with the Board an Amendment to the District Information Form relative to the District's 2020 tax rate. After discussion regarding said Form, Director Glover moved that the Amendment to the District Information Form be approved, that a majority of Board members be authorized to execute the Amendment to the District Information Form on behalf of the Board and the District, and that all Board members present join in the filing of the Amendment to the District Information Form, as evidenced by a majority of Board members executing same. Director Stark seconded said motion, which carried unanimously. Director Stark disconnected from the call at this time. APPROVAL OF MINUTES The Board next considered approval of the minutes of its regular meeting held on August 13, 2020. After review and discussion, Director Glover moved that the minutes for said Board meeting be approved, as written. Director Lindemulder seconded said motion, which unanimously carried. 2 565780 TAX ASSESSOR/COLLECTORS REPORT Mr. Bonnerjee then presented and reviewed with the Board the Tax Assessor -Collector Report for the month ended August 31, 2020, including checks presented for payment. A copy of such report is attached hereto as Exhibit B. After discussion, Director Glover moved that the Tax Assessor -Collector Report be approved and that the checks identified therein be approved for payment. Director Lindemulder seconded said motion, which unanimously carried. BOOKKEEPING REPORT Ms. Colondres presented to and reviewed with the Board a Bookkeeping Report, a copy of which report is attached hereto as Exhibit C, including checks presented for payment. Following discussion, Director Glover moved that said Bookkeeping Report be approved and that the checks identified in the report be approved for payment. Director Lindemulder seconded the motion, which unanimously carried. ENGINEERING REPORT Mr. Campbell presented and reviewed with the Board an Engineering Report dated September 10, 2020, a copy of which is attached hereto as Exhibit D. Following presentation of the Engineer's Report and discussion of the action items contained therein, Director Glover moved to concur in the payment of the pay estimate and approval of change orders as set forth in the Engineer's Report. Director Lindemulder seconded the motion, which unanimously carried. CONVEYANCES AND BILLS OF SALE OF UTILITY FACILITIES Ms. Cole then presented and reviewed with the Board Conveyances and Bills of Sale of Utility Facilities from College Station Downtown Residential, LLC, relative to water, sanitary sewer and drainage facilities to serve (i) Midtown Reserve Subdivision Phase 100 and (ii) Midtown Reserve Subdivision 102. Following review, Director Glover moved that the Board accept such Conveyances and Bills of Sale of Utility Facilities and authorize the President to execute same on behalf of the District. Director Lindemulder seconded the motion, which unanimously carried. DEVELOPER'S REPORT The Board considered the Developer's Report. Mr. Murr presented a verbal report on the status of development within the District. STATUS OF INERLOCAL AGREEMENT BETWEEN THE DISTRICT AND THE CITY OF COLLEGE STATION Ms. Cole advised that SPH has received a revised form of lnterlocal Agreement from the City, and that SPH will be reviewing same and providing comments to the City. No action was taken by the Board at this time. 3 565780 ATTORNEY'S REPORT The Board considered the Attorney's Report. Ms. Cole advised the Board that she had nothing of a legal nature to discuss with the Board that was not already covered under previous agenda items. FUTURE AGENDA ITEMS The Board considered items for placement on future agendas. No specific agenda items, other than routine and ongoing matters were requested to be placed on a future agenda. p no further business to come before the Board, on motion made by Director Glover, seconded by Director Lindemulder, and unanimously carried, the meeting was adjourned. Secretary , -4 565780 LIST OF ATTACHMENTS Rock Prairie Management District No. 2 Minutes of Meeting of September 10, 2020 Exhibit A Order Levying Taxes Exhibit B Tax Assessor -Collector Reports Exhibit C Bookkeeping Report Exhibit D Engineering Report 5 565780 EXHIBIT "A" MUNICIPAL ACCOUNTS CONSULTING, L.p Rock Prairie Management District No. 2 Bookkeeper's Report September 10, 2020 1281 Brittmoore Road • Houston, Texas 77043 • Phone: 713.623.4539 • Fax: 713.629.6859 Num Rock Prairie MD No. 2 - GOF Cash Flow Report - Checking Account As of September 10, 2020 Name Memo Amount Balance BALANCE AS OF 08/14/2020 $64,002.80 Receipts Interest Earned on Checking 2.18 Total Receipts 2.18 Disbursements 1111 B&A Municipal Tax Service Tax Assessor Collector Fees (250.00) 1112 EHRA Engineering Engineering Fees (758.75) 1113 Municipal Accounts & Consulting, LP Bookkeeping Fee (468.45) 1114 Schwartz, Page & Harding, L.L.P. legal Fees (3,711 95) Fees BBVA USA Service Charge (2.18) Total Disbursements (5,191.33) BALANCE AS OF 09/10/2020 $58,813.65 BBVA USA -PREMIER - #XXXX0276 1 Financial Institution (Acct Number) Rock Prairie Management District No. 2 Account Balances As of September 10, 2020 Issue Maturity Interest Account Date Date Rate Balance Notes Fund: Operating Checldng Account(s) BBVA USA -I REM1EL (XXXX0276) 0.10 % 58,813.65 Checking Account Totals for Operating Fund: $58,813.65 Grand total for Rock Prairie Management District No. 2: $58,813.65 Rock Prairie MD No. 2 - GOF Actual vs. Budget Comparison August 2020 August 2020 June 2020 - August 2020 Annual Actual Budget Over/(Under) Actual Budget Over/(Under) Budget Revenues 14100 Developer Advance 0 0 0 50,033 50,033 0 50,033 14350 Maintenance Tax Collections 0 0 0 30,000 30,000 0 60,000 14380 Interest Earned on Checking 2 3 0 5 8 (2) 30 Total Revenues 2 3 0 80,038 80,041 (2) 110,063 Expenditures 16330 Legal Fees 3,671 5,000 (1,329) 8,575 15,000 (6,425) 60,000 16350 Engineering Fees 759 2,500 (1,741) 4,280 7,500 (3,220) 30,000 16430 Bookkeeping Pees 417 550 (133) 2,059 1,650 409 6,600 16450 Legal Notices & Other Publ, 0 0 0 0 0 0 2,000 16455 Sl3 2 Expenses 250 250 0 500 750 (250) 3,000 16460 Printing & Office Supplies 55 83 (28) 97 250 (153) 1,000 16470 Filing Fees 0 75 (75) 64 225 (1(31) 900 16480 Delivery Expense 24 42 (17) 176 125 51 500 16520 Postage 3 4 (1) 3 12 (9) 50 16530 Insurance & Surety Bond 0 0 0 0 0 0 3,713 16540 Travel Expense 0 108 (108) 0 325 (325) 1,300 16560 Miscellaneous Expense 12 83 (71) 100 250 (150) 1,000 Total Expenditures 5,191 8,696 (3,505) 15,854 26,088 (10,234) 110,063 Excess Revenues (Expenditures) ($5,189) ($8,693) 83,504 $64,184 353,953 $10,231 $0 3 ASSETS Current Assets Checking/Savings 11100 • Cash in Bank 11105 • Cash in Bank - Tax Account Total Checking/Savings Total Current Assets TOTAL ASSETS LIABILITIES & EQUITY Liabilities Current Liabilities Accounts Payable 12000 • Accounts Payable Total Accounts Payable Total Current I..iabilitics Total Liabilities Equity 13010 • Unallocated Fund Balance Net Income Total Equity TOTAL LIABILITIES & EQUITY Rock Prairie MD No. 2 - GOF Balance Sheet As of August 31, 2020 Aug 31, 20 64,003 38,946 102,949 102,949 102,949 4,939 4,939 4,939 4,939 33,826 64,184 98,010 102,949 4 EXHIBIT "B" Honesty I Efficiency I Transparency ! Accountability I Continw MUNICIPAL TAX SERVICE,LLC • I ROCK PRAIRIE MANAGEMENT DISTRICT 2 C FOR THE MONTH ENDING August 31, 202D • B & A MUNICIPAL TAX SERVICE,1.I.0 13333 NORTHWEST FREEWAY, STE 620 HOUSTON, TX 77040 MAIN 713-900-2680 TOIL FREE 1.888-598-7409 1 L)NICIPAL TAX SERVICF,I.I C ROCK PRAIRIE MANAGEMENT DISTRICT 2 FOR THE PERIOD ENDING 8/31/20 ECENABLES SUMMARY 2019 Balance Forward Levy at 05/31/20 FYE CAD Changes / Uncollectible Outstanding Balance forward Prior Years (2018-2010) at 05/31/20 FYE CAD Changes / Uncollectible Total Levy to be collected Collection prior months (all years) 2019 Taxes Collected net NSF & KR Refunds during current month Taxes Collected for Prior Years net NSF & KR Refunds • $0.00 $0.00 $0.00 $0.00 OMB $0.00 $0.00 $0.00 0.00 0.00 0.00 0.00 Total Outstanding Balance 0.00 AX ACCOUNT Beginning Balance — Tax Account 7,028.70 Income Taxes Collected Current Year $0.00 Taxes Collected Prior Year $0.00 Penalties & Interest $0,00 Collection Fee Paid $0,00 Overpayments $0.00 NSF or Reversals, Bank Charges $0.00 Other Fees & Court Costs, Etc $5.30 Earned Interest $0.00 $5.30 MEM Expenses • K# 1057 Brazos CAD-4th Qtr 2020 Assessment (Reporting Only) K# 1080 B&A Municipal Tax Service, LLC - Invoice MD2-085 K# 1081 B&A Municipal Tax Service, LLC - Invoice MD2-086 K# 1082 Brazos CAD - 1st Qtr 2021 Assessment (Holding Ck) K# 1083 Brazos CAD - 2nd Qtr 2021 Assessment (Holding Ck) K# 1084 Brazos CAD - 3rd Qtr 2021 Assessment (Holding Ck) K# 1085 Brazos CAD - 4th Qtr 2021 Assessment (Holding Ck) • • Ending Balance —Tax Account 5,372.87 7,034.00 $180.75 $518.00 $962.38 $0.00 $0.00 an $0.00 $0.00 $1,661.13 13333 NORTHWEST FREEWAY, STE 620 MAN 713-900-2680 HOUSTON, TX 77040 TOLL FREE 1-888-598-7409 2 B &A MUNICIPAL TAX SERVICE,LLC • OUTSTANDING TAXES - YEAR TO DATE • BALANCE FORWARD CAD SUPPLEMENTS & 10/01/19 CORRECTIONS UNCOLLECTIBLE TAX YEAR 2019 2018 2017 $76,036.03 $49,461.25 $19,962.78 EXEMPTIONS & TAX RATES TAX HOMESTEAD YEAR EXEMPTION 2020 0.00% 2019 0.00% 2018 0.00% 2017 0.00% DISTRICT VALUES TAX LAND & YEAR IMPROVEMENTS 2019 gik 2018 2017 14,898,546 9,881,920 4,069,643 ($2,736.10) $0.00 $0.00 OVER 65! DISABLED 0 0 0 0 AG NET 14,370 28,690 27,010 $0.00 $0.00 $0.00 ROCK PRAIRIE MANAGEMENT DISTRICT 2 FOR THE PERIOD ENDING 8/31/20 CID • OUTSTANDING COLLECTIONS TAXES $73,299.93 $0.00 $49,461.25 an $0.00 $19,962.78 ($0.00) ($0.00) DEBT SERVICE M & O RATE RATE 0.00000 0.00000 0.50000 0.00000 0.50000 0.00000 0.50000 0.00000 PERSONAL PROPERTY 909,670 309,850 0 EXEMPTIONS 1,162, 600 328,210 104,096 CONTRACT TAX RATE 0.00000 0.00000 0.00000 0.00000 COLLECTIONS PERCENTAGE 100.00% 100.00% 100.00% TOTAL RATE 0.00000 0.50000 0.50000 0.50000 TOTAL VALUE SR KR W14,659, 986 12 12 9,892,250 30 30 3,992,557 47 47 ap, & A MUNICIPAL TAX SERVICE, LLC 333 NUR'1'IIWEST FREEWAY, STE 620MEM 1MAIN 713-90(I-2680 OUSTON,'I'X 77040 OI,L FREE. 1-88R-598-74 }9 MUNICIPAI TAX SFRVICF,LLI. 0 BEGINNING BALANCE ROCK PRAIRIE MANAGEMENT DISTRICT 2 FOR THE PERIOD ENDING 8/31/20 INCOME 10% Rendition Penalty_ Bad Check Charges CAD Refund Excess Allotment Collection Fee Earned Interest Overpayments Penalty & Interest Rollback Tax Collected Taxes Collected PROFIT & LOSS CURRENT MONTH 08/01/20 - 08/31/20 7,592.52 0.00 0.00 5.30 0.00 0.00 0.00 0.00 0.00 0.00 Total Income 5.30 EXPENSES • Audit/Records 0.00 Bank Charges 0.00 Bond Premium 0.00 CAD Fees 0.00 Certificate of Value 0.00 Copies 30.40 Correction Roll Refunds 0.00 Correction Roll Rendition Refunds 0.00 Continuing Disclosure 0.00 Court Affidavits 0,00 Delinquent Tax Attorney Assistance 15.00 Delinquent Tax Attorney Fee 0.00 Installment Tracking 0.00 Unclaimed Property Report 0.00 Legal Notices 0.00 Mailing & Handling 0.00 Meeting Travel & Mileage 0.00 Overpayment Refund 0.00 Public Hearing 0.00 Records Retention 0.42 Roll Update & Processing 0.00 Senate Bill 2 to CAD (5 Y- History) 0.00 Supplies 0.00 Tax Assessor Collector Fee - AB 518.00 Tax Rate Preparation & Calculation 0.00 Transfer to Rollback Collected 0.00 Transfer to Maintenance & Operating C.00 Transfer to Debt Service 0.00 4ID563.82 ENDING BALANCE 7&34.Q.Q FISCAL YEAR 6/01/20 - 8/31/20 ill38,946.02 0.00 0.00 5.30 0.00 10.12 0.00 0.00 0.00 0.00 15.42 0.00 0.00 50,00 180.75 0.00 ID 59.80 0.00 0,00 0.00 0.00 30.0C 0.0C 0.00 0.00 0.00 21.61 11.27 0.00 up 0.00_ 1.26 Aik 18.75 1110, 0.00 0.00 1,554.00 0.00 W 0.00 30,000.00 0.00 31,927.44 Z3 4Qo • l3 3 A OR1I!WISSUNICIPAL TAX SERVICE, LE 411. C 13333NDRD!WESTFREEWAY, STE620 HaISTON, TX 77040 MAIN 713-900-2080 1,L FREE 1-888-598-74 MUNICIPAL TAX SERVICE,LLC ROCK PRAIRIE MANAGEMENT DISTRICT 2 FOR THE PERIOD ENDING 8/31/20 YEAR TO YEAR COMPARISON 2019 % 2018 VARIANCE October $3,394.55 4.46%' $0.00 0.00% 4.46% • I November $569.00 5.41% $0.00 0.00% 5.41% 0 • December $4,111.95 11.02% $0.00 0.00% 11.02% January $41,438.41 67.55% $38,113.40 77.06% -9.51 % 1 February $25.50 67.58%' $11,321.65 99.95% -32.37% I March $0.00 67.58% — $0.00 99.95% -32.37% April $0.00 67.58%' $13.75 99.97%-32,39% May $23,760.52 100.00%' $0.00 99.97% 0.03% • June $0.00 100.00% $0.00 99.97% 0.03% • July $0,00 100.00%H___ $12.45 100.00% 0.00% August $0.00 100.00% $0,00 100.00% 0.00% r September $0.00 $0.00 100.00% B & A MUNICIPAL TAX SERVICE, LLC 13333 NORTIIWEST FREEWAY, STE 620 HOUSTON, TX 77040 MONTHLY COLLECTIONS MAIN 713-900-2680 TOLL FREE 1-888-598-740° 5 ROCK PRAIRIE MANAGEMENT DISTRICT NO 2 MUNICIPAL TAX SERVICE,LLC FOR THE PERIOD ENDING 08/25/20 • • PLEDGED SECURITIES REPORT SECURITIES PLEDGED AT 105% OVER FDIC INSURED $250,000 • MD COLLATERAL SECURITY AGREEMENT ON FILE : YES TAX BANK ACCOUNT HELD AT: WELLS FARGO / BANK OF NEW YORK MELLON COLLATERAL SECURITY REQUIRED: NO TYPE OF PLEDGED INVESTMENT: • • 411111, N COMPLIANCE W! DISTRICT INVESTMENT POLICY: YES • B A MUNICIPAL TAX SERVICE 13333NORTHWESTFREEWAY SUITE KO HOUSTON TX 7704C MAIN 713.900-MO TOLL FREE 1-88B-59B-7109 PS STATE OF TEXAS § COUNTY OF BRAZOS § Avik Bonnerjee, being duly sworn, says that he is the Tax Assessor -Collector for the above named District and the foregoing contains a true and correct report accounting for all taxes collected for said District during the month therein stated. • L- Avik Bonnerjee, RTA • SWORN TO AND SUBSCRIBED BEFORE ME, this 1st day of September 2020. REBECCA LYNN BREWER Notary ID #1258819 21 My Commission Expires March'', 2024 • ,(.1J14w ebecca Lynn Brewer otary Public, State of Texas otary ID #1258819 My Commission Expires March 1, 2024 ..S BRAZOS CENTRAL APPRAISAL DISTRICT lip BRAZOS COUNTY, TEXAS 4051 PENDLETON DR BRYAN, TX 77a02.2465 Mr. Avik Bonnerjee Registered Texas Assessor Collector B&A Municipal Tax Service LLC 13333 Northwest Freeway, Suite 250 Houston, TX 77040 fa • Mark W. Price Chief Appraiser (979)774-4100 (979)774-4196 Fax November 14, 20219 Rock Prairie Management District #2 STATEMENT Below are the quarterly payment amounts and due dates for the 2020 Brazos Central Appraisal District Operating Budget, as mandated by State I ,aw. • Section 6.06 State Property Tax Code states: "Unless the governing body of a unit and the chief appraiser agree to a different method of payment, each taxing unit shall pay its allocation in four equal payments to be made at the end of each calendar quarter, and the first payment shall be made before January 1 of the year in which the budget takes effect. A payment is delinquent if not paid on the date it is due. A delinquent payment incurs a penalty of 5 percent of the amount of the payment and aLcrues interest at an annual rate of 10 percent. If the budget is amended, any change in the amount of a unit's allocation is apportioned among the payments remaining." 1 Quarter due by December 31, 2019 $180.75 2"d Quarter due by March 31, 2020 $180.75 3ftl Quarter due by June 30, 2020 $180.75 4th Quarter due by September 30, 2020 $180.75 Total Allocation $723.00 q.oi. ao IdSq MUNICIPAL TAX SERVICE, LLC Bill To Rock Prairie Management District No. 2 13333 Nurttrvvest Freeway Suite 620 Houston TX 77040 Invoice Date Invoice # 9/1/2020 MD2-085 Description Unit Count Rate Amount Avik Bc nncrjee, IRA - Tax Asscssor Collector Fee September 515.30 515.30 2020. 2019 Additional Unit Count Invoiced 2020 3 0.90 2.70 Thank you for your business. Total ss I $,00 R, (. ,.9v e.,u. lOso 13333 Northwest Freeway Suite 50S s Houston, TX 77040 PH: 713 3C0-2680 a www.bamunitax,com MUNICIPAL TAX SERVICE, LLC Bill To Rock Prairie Management District No. 2 13333 Northwest Freeway Suite 620 Houston TX 77040 Invoice Date Invoice # 9/1/2020 MD2-086 Description Unit Count Rate Amount Copies 196 0.20 3920 Postage, Mailing, and Handling (1) 0,72 0.72 Roll Update & Processing (July 2020) 1.5 75.00 112.50 Records Retention 0.42 0.42 Meeting Travel Time/Mileage/Time (July) 22.54 22.54 Tax Rate Publication - Notice to Publish August 27th (The 787.00 787.00 Eagle) Thank you for your business. Total $ 962.38 13333 Northwest Freeway, Suite 620 Houston, TX 77040 a PH:713-900-2680 rr www.bartunitax.com EXHIBIT "C" • ORDER LEVYING TAB 111111111111111 WHEREAS, Rock Prairie Management District No. 2 (the "District") is authorized to levy a maintenance tax not to exceed $1.00 per each $100 of assessed valuation within the District in order to pay operation, maintenance and administrative expenses; and WHEREAS, it is necessary for the Board of Directors of the District to fix a specific rate of tax to be levied for the tax year 2020, based on the District's tax rolls for 2020, which have been prepared and certified by the Brazos Central Appraisal District. Now, Therefore; BE IT ORDERED BY THE BOARD OF DIRECTORS OF ROCK PRAIRIE MANAGEMENT DISTRICT NO. 2 THAT: Section 1: There is hereby levied an ad valorem maintenance tax of $0.50 on each $100 of assessed valuation of taxable property within the District for the tax year 2020, for the purpose of providing funds for the payment of operation, maintenance and administrative expenses of the District and other purposes as allowed by law. Sec ion 2: The District's tax assessor -collector is hereby authorized to collect the taxes of the District. Section 3: The taxes levied hereby shall become due and payable upon the receipt of the tax bill unless otherwise specifically provided by law and shall be paid on or before the 31 st day of January, 2021. All taxes not paid before February 1, 2021, shall become delinquent on that date, and there shall be added thereto such penalties, interest, court costs, expenses of foreclosure sales, attorneys' fees and other expenses as are provided by law. PASSED AND ADOPTED this the loth day of September, 2020. ATTEST: Seer a ', Board of Directors i �OI .. RI CI . `�S 7 i 4. W i -3-..;..••• iii ,.. S. d1/OOi11111��‘��``` 499236 President, Board of Directors EXHIBIT "D" • TBPE No. F-726 TBPLS No.10092300 ENG'NEERI... THE FUTURE SINCE 1936 ROCK PRAIRIE MANAGEMENT DISTRICT NO. 2 ENGINEERING REPORT SEPTEMBER 2020 Engineering Report, including: a. Authorize the design and/or advertisement of bids for construction of facilities within the District and approval o{ related Stormwater plans, including District. 1. Status of design of Lakeway Drive Reserve, Phase 200 No Update. Board Action: None. b. Authorize the award of/or concurrence in award of contracts for the construction of facilities within the District, authorizing acceptance of Texas Ethics Commissions l"TEC") Form 1295 and approva: of any storm water permits. Board Action: None. c. Status of construction of facilities to serve land within the District, including he approval of any pay estimates and change orders and authorize acceptance of TEC Form 1295, including: 1. Construction of on site sanitary sewer trunk line by Greens Prairie Investors, Ltd. Contractor Greens Prairie Investors, Ltd. Contract Days 120 days Approved Extensions 0 days Contract Completion Date 8, 30/2018 Date Approved Comment Contract Bid 9mount $322,584.00 5/2/2018 Notice to Proceed Issued Quantity Adjustment ($53.337.33) 7/9/2020 Remove Dewateiing Total Contract Amount $269,246.67 Pay Request No. S242 322.00 Total Pay Requests $242,322.00 Remaining on Contract 7/9/2020 $26,924.67 10.00% of Contract Remaining Construction is substantially complete. Board Action: None. EHRA Engineering 110011 N en _a I'SIONS • DESIGNJNG'6., ne Rock Prairie Management District No. 2 September 2020 Page 2 2. Midtown Reserve, Phase 104 by Greens Prairie Investors, Ltd. Contractor Contract Days Approved Extensions Contract Completion Date Greens Prairie Investors, Ltd. 160 0 Contract Bid Amount S471.655,50 Total Contract Amount $471,655.50 Total Pay Requests $0.00 Remaining on Contract $471,655.50 Construction is underway, Board Action: None. days days Date Approved, Comment MID 3. Irrigation of Phase I Park Development by Green Teams, Inc. Contractor Green Tams, Inc Contract Days 45 days Approved Extensions 0 days Contract Completion Date 5/10/2020 Notice to Proceed Issued 100.00clo of Contract Remaining Date Approved Comment Contract Bid Amount $435,305.00 3/27/2020 Notice to Proceed Issued Change Order No. 1 $5,760.00 For Approval Sleeves & Meter Change Order No. 2 $5,756.00 For Approval Sieves & Irr. Heads Change Order No. 3 $16,400,0Q ror Approval Bore Under Road Total contract Amount $463,221.00 Pay Request No. 1 S231,304.50 - 2020 Pay Request No. 2 $157,208.40 Fnr Approval Total Pay Requests S388,512.90 Remaining on Contract S74,708.10 1. 1' -• If C.,ntr; ' R. Construction is underway. Board Action: approve Change Orders No. 1, 2, and 3, and Pay Request No. 2. EHRA EHRA Engineering 10011 Meadowglen Lane I Houston, Texas 77042 I t 713.784.4500 I f 713.784.45/ 1 ENGINEERING THE FUTURE SINCE 1936 Rock Prairie Management District No. 2 September 2020 Page 3 4. Landscaping of Phase I Park Development by Greener Images Contractor Contract Days Approved Extensions Contract Completion Date Contract Bid Amount Quantity Adjustment No.1 Total Contract Amount Pay Request No. 1 Pay Request No. 2 Total Pay Requests Remaining on Contract Greener Images 30 0 4/25/2020 Construction is underway. Board Action: None. $98,695.44 S13,504.15 $112,199.59 $86,520.44 S11,692.59 $98,213.03 $13,986.56 days days DateApproved 3/27/2020 4/9/2020 4/9/2020 8/13/2020 5. Midtown Reserve, Phase 105 by Greens Prairie Investors, Ltd. Contractor Contract Days Approved Extensions Contract Completion Date Contract Bid amount Total Contract Amount Greens Prairie Investors, ..ta. 150 0 10/4/2020 Total Pay requests Remaining on Contract Board Action: None. 51.961.787.50 $1,961,787.50 $0.00 $1,961,787,50 days days mment Notice to Proceed Issue° Add Alternate Bid Items 12.47% of Contract Remaining Comment alroceed Issued 100.00% or 1. ontract Remaining EHRA EHRA Engineering 110011 Meadowglen Lane 1 Houston, Texas 770421 t 713.784.4509 11713.784.4577 ENGINEERING THE FUTURE SINCE 1936 Rock Prairie Management District No. 2 September 2020 Page 4 6. Midtown City Center, Phase 301 by Greens Prairie Investors, Ltd. Contractor Contract Days Approved Extensions Contract Completion Date Greens Prairie Investors, Ltd. 45 days days ate Akroves � Comment Contract Bid Amount S159,299.00 Notice to Proceed Issued Change Urger No. 1 S8.918.00 8/13/2020 Waterline Relocate Total Contract Amount $168,217.00 Total Pay Requests $0.00 Remaining on Contract $168,217.00 100.00% of Contract Remaining Board Action: None. d. Acceptance of site and/or easement conveyances for facilities to be constructed for the District and acceptance of Facilities for operation and maintenance purposes. 1. Conveyance and Bill of Sale of Utility Facilities relative to water, sanitary sewer and drainage facilities for Midtown Reserve Subdivision Phase 100. • 2. Conveyance and Bill of Sale of Utility Facilities relative to water, sanitary sewer and di ginag,. facilities for IVlidtnwn Reserve Phase 102. Board 9.ction: A.pprove Conveyance and Bill of Sale of 1 tility Facilities for Midtown Reserve Phase 100 and Phase 102. e. Status or acceptance by the City of Lollege Station, Texas for maintenance of ,t -eetc. 1. Town Lake Drive, formerly Bird Pond Road Board Action: None. EHRA EHRA Engineering 110011 Meadowglen Lane I Houston, Texas 77042 I t 713.784.4500 `713.784.4577 ENGINEERING THE FUTURE SINCE 1936