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RES 2004-0417 - Subdivision agmt, Meadow Ridge ptAAHA, O N�,4'sf i�\E" `,� El E Public Works Department Elk f `i MAR I tg Omaha/Douglas Civic Center r j 'r�E"1C .il� 2 1819 Farnam Street,Suite 601 oo. " March 30, 2004 Omaha,Nebraska 68183-0601 A° try 1 E r! (402)444-5220 4TEo FEBR)r O MA fl eq ,} Telefax(402)444-5248 City of Omaha Norm Jackman,P.E. Mike Fahey,Mayor Acting Public Works Director Honorable President and Members of the City Council, The attached Resolution approves the Subdivision Agreement among State Street LLC, Meadow Ridge/Shadowbrook Homeowners Association, Inc., Sanitary and Improvement District(S.&I.D.) 484 of Douglas County,Nebraska and the City of Omaha. This Subdivision Agreement covers the public improvement of Meadow Ridge(Lots 290-481),a subdivision located Northeast of 156th and State Streets. This Subdivision Agreement stipulates which public improvements will be built by S.&.I.D. 484, those which will be paid for by special assessment and those to be paid for by General Obligation of S.&I.D.484. The estimated total cost of improvements is$2,342,492.00 of which$882,520.00 will be paid by General Obligation. The Agreement provides an administrative fee to be paid by the District to the City based on 1%of the construction costs. The fee for this phase of construction is $10,792.00 which may be a general obligation of the district. The City will use this fee to fund additional personnel in the Planning and Public Works Departments to facilitate the processing of developments. If S.&I.D. 484 is annexed by the City, any outstanding General Obligation Debt would be assumed by the City. The Public Works Department requests your consideration and approval of the attached Resolution and Subdivision.Agreement. Respectfully submitted, This action has been reviewed and found to be in conformance with the Master Plan. 77/4t— crAlryllNorm Jackman, P.E. Date Robert C. Peters Date Acting Public Works Director Planning Director Ap oved as to Fu ing: R o C. y Council for Consideration: 3 n Stanley P. imm Date Mayor's Office Date Finance Director P:\PW2\5035sap.doc A roved: cam. —1 Larry N. Foster, Acting Director Date Parks, Recreation and Public Property Department MEADOW RIDGE LOTS 290 THROUGH 481, INCLUSIVE THIS AGREEMENT made and entered into this today of r, / , 2004, by and between State Street, L.L.C. a Nebraska limited liability company, inafter referred to p as"Subdivider"), Meadow Ridge/Shadowbrook Homeowners Association,Inc.,a Nebraska non-profit corporation (hereinafter referred to as the " Association"), Sanitary and Improvement District No. 484 of Douglas County, Nebraska (hereinafter referred to as "District"), and the City of Omaha, a Municipal Corporation in the State of Nebraska (hereinafter referred to as "City"). W ITN ESS ETH: WHEREAS, Subdivider is the owner of the land included with the proposed plat attached hereto as Exhibit"A", which parcel of land (hereinafter referred to as the"Meadow Ridge Area to be Developed") also known as Lots 290 through 481, inclusive, Meadow Ridge, is outside the corporate limits of the City and within the City's zoning and platting jurisdiction; WHEREAS, Subdivider is the owner of the land included with the proposed plat attached hereto as Exhibit "A", which parcel of land (hereinafter referred to as the Lots 290 through 481, inclusive, "Meadow Ridge Area to be Developed") also known as Meadow Ridge, is outside the corporate limits of the City and within the City's zoning and platting jurisdiction; and, WHEREAS, the Subdivider proposes that the District will build public improvements in the area to be developed; and WHEREAS, the Subdivider and the District wish to connect the system of sanitary sewers to be constructed by the District within the Total Area to be Developed to the sewer system of the City; and WHEREAS, the Subdivider has or will create the Meadow Ridge/Shadowbrook Homeowners Association, Inc. comprised of the property owners of Lots 290 through 481, inclusive, Meadow Ridge; and WHEREAS, the parties wish to agree upon the manner and extent to which public funds may be expended in connection with public improvements to be constructed within the area to be developed or serving the area to be developed and the extent to which the contemplated public improvements specially benefit property in the area to be developed and to what extent the cost of same shall be specially assessed. NOW, THEREFORE, IT IS AGREED AS FOLLOWS: For the purpose of this Agreement, the following words and phrases shall have the following meanings: A. The "cost"or"entire cost"of a type of improvement shall be deemed to include all construction costs, engineering fees, attorney's fees, testing expenses, publication costs, financing costs and miscellaneous costs. In this connection, financing costs shall include all fiscal agent's warrant fees and bond fees, and interest on warrants to date of levy of special assessments. The date of levy of special assessment shall mean within six (6) months after acceptance of the improvement by the Board of Trustees of the District. The District shall make the improvements to 156th Street as shown on Exhibit"D". When the property on the west side of such improvements is developed, the City to the extent permitted by law, will require the Subdivider thereof or the Sanitary and Improvement District formed by them to reimburse the District their pro rata share (based on frontage plus interest, of such costs. Additionally, the District agrees to participate with Douglas County and any other Sanitary and Improvement District involved in the reconstruction of 156th & State Street intersection. Such participation combined with other projects the District is participating in with Douglas County and other Sanitary and Improvement Districts shall not require the District to exceed a four (4%) percent general obligation debt to value ratio. B. "Property benefitted" shall mean property within the Subdivider's subdivision (Exhibit "A") which constitutes building sites. Outlots are not considered building sites. C. "Street intersections"shall be constructed to mean the area shown on the attached street intersection drawing (Exhibit"D") D. "General obligation" shall mean unassessable capital costs. SECTION I Subdivider and District covenant that Subdivider shall, and the District covenants that the District will contemporaneously with the filing of the final plat, present to the City Clerk for the benefit of the City binding contracts in full force and effect calling for the timely and orderly installation of the following public improvements, according to the terms of those contracts. That the District shall also provide and deliver to the City written confirmation of a binding agreement between the District and its fiscal agent calling for the placement of the warrants or bonds of the District for the installation of the improvements set forth herein: A. Concrete paving of all streets dedicated, per the plat(Exhibit"A"), all of said paving to be twenty-five (25) feet in width, except for those streets with a width greater than twenty-five (25) feet, which streets shall be extra-width paving, if any (approved by the Public Works Department), as shown on paving plan prepared by RD Engineering, Inc., a copy of which is attached hereto as Exhibit "D". B. Storm sewers, inlets, manholes, and related appurtenances constructed in street rights-of-way and easements, per plat(Exhibit"A", plans and specifications for said sewer improvements to be approved byCityprior to startingconstruction of said p PP improvements to be located as shown on storm sewer plan prepared by RD Engineering, Inc., a copy of which is attached hereto as Exhibit "C". C. All sanitary sewer mains, manholes and related appurtenances constructed in dedicated street rights-of-way and easements per plat (Exhibit "A"), same to be located as shown on sanitary sewer layout prepared by RD Engineering, Inc., a copy of which is attached hereto as Exhibit "B". D Water and gas distribution mains located within dedicated street rights-of-way dedicated per plat (Exhibit"A") to be installed by the Metropolitan Utilities District. (Contract with MUD will be provided as soon as available but in no event longer than four (4) months from the date of execution of this agreement.) 2 E Street lighting for public streets dedicated per plat (Exhibit "A") to be installed by the Omaha Public Power District. (Contract with OPPD will be provided as soon as available but in no event longer than four (4) months from the date of execution of this agreement.) F Underground electrical service to each of the lots in the area to be developed to be installed by the Omaha Public Power District. (Contract with OPPD will be provided as soon as available but in no even longer than four (4) months from the date of execution of this agreement). G Sidewalks along both sides of all public streets within the area to be developed shall be constructed by the Subdivider or District according to the following schedule: (1) Sidewalks shall be constructed immediately abutting vacant lots on either side of any block or cul-de-sac (i.e. circle) as soon as the lots comprising sixty-five (65%) percent of the abutting footage on such side have been built upon. (2) Sidewalks shall be constructed immediately abutting built-upon lots as soon as weather permits. (3) In any event, all sidewalks shall be constructed upon both sides of any public streets within three (3) years of the recording of the subdivision plat. (4) The sidewalks on the rear of any double fronted lot or on any outlot shall be maintained (including snow removal) by the Association with jurisdiction over such lot. H. A"Park Fee Contribution"chart is attached as Exhibit"F", which identifies park fee contributions and potential park acquisition and improvement costs. Park site acquisition and improvement costs shall be approved by the Park and Recreation Board and may be a general obligation of the District. SECTION II The parties agree that the entire cost of all public improvements paid for by the District and set out in Section I herein shall be defrayed as follows: A. One hundred (100%) percent of the entire cost of all street and sidewalk construction shall be paid by special assessment against the property benefitted within the area to be developed, except for street intersections and certain extra- width and major street paving which may be a general obligation, as indicated in Exhibit "D". Any landscaped areas within the traffic circles shown on Exhibit "D" shall be approved by the City Public Works and Parks Departments and shall be paid for privately and maintained by the Association. B. One hundred (100%) percent of the entire cost of all sanitary sewers, including manholes and other appurtenances, shall be paid by special assessment against property benefited within the area to be developed, provided: (1) Connection charges paid to other sanitary and improvement districts shall be specially assessed to the extent of special benefit to properties in the 3 District, and the remainder may be a general obligation of the District. (2) The District's total cost of any outfall sanitary sewer line to be constructed by the District, within the boundaries of the District, shall be specially assessed except that portion of the Sanitary Outfall Sewer which the pipe size is greater than 8" diameter may be a general obligation of the District. (3) The total cost of any outfall sanitary sewer serving the entire District constructed outside the District boundary by the District may be a general obligation of the District, as indicated in Exhibit "B". C. The cost of storm sewers and appurtenances may be a general obligation of the District. D. One hundred (100%) percent of the entire cost of water distribution system serving the area to be developed shall be specially assessed against the property benefited within the area to be developed, except water lines that exceed eight (8) inches in diameter, in which case the difference in cost between the eight (8) inches in diameter may be a general obligation of the District. One hundred (100%) percent of the entire cost of water and gas approach mains may be a general obligation of the District. All refunds from MUD shall be credited to the Bond - Construction Account of the District. E. One hundred (100%) percent of the entire cost of monthly contract charges paid to the Omaha Public Power District for furnishing lighting of public streets shall be paid from the operating fund of the District. F. The entire cost of the installation of electrical power service and gas distribution system shall be specially assessed against the property within the area to be so developed. The refunded charge from the Omaha Public Power District and MUD shall be credited in accordance with law, and if so credited to the District, it shall be credited to the Bond - Construction Account of the District. G. Any payments to other sanitary and improvement districts, sanitary districts or municipalities for any fees or charges will not be a general obligation of the District, except as otherwise provided in this agreement. H. Payments for interceptor sewer connection charges to the City of Omaha may, as provided in Section IX herein, be a general obligation of the District. No funds of the District are to be used for the installation or maintenance of telephone equipment. J. The Sediment and Erosion Control Plan to be submitted to NDEQ and the City of Omaha for compliance with NPDES regulations is attached hereto and incorporated herein as Exhibit "E". PMRNRD must approve said plan prior to City Engineer's second signature on the Final Plat. The initial construction cost of grading and piping for temporary sediment and erosion control facilities shall be paid for privately by each Subdivider for each respective subdivision. Removal of said sediment and erosion control measures shall be a general obligation of the District. 4 All silt basins are to remain inplace until seventy-five 75% percent of the Y ( ) drainage sub-basin serviced by these erosion control measures are fully developed, or with the written permission of the City Public Works Department authorizing their removal. Sediment removal shall be paid as follows: (1) During the initial construction of public streets and sewers, the District may pay for the removal as a general obligation of the District; a separate bid item shall be included in the public improvements contract for this work. (2) For all subsequent sediment removal, the District shall pay for the work from its operating fund. (3) Basin closure or removal may be a general obligation of the District. K. It is mutually agreed that the District shall pay a fee of one (1%) percent of the construction cost to the City to facilitate the review and processing of developments to include engineering, planning, legal and other miscellaneous expenses incurred by the City, and is estimated to be $10,792. The fee shall be paid for all District contracts issued for public improvements. The fee may be a general obligation of the District. The fee shall be paid prior to the City Engineer's second signature based on the estimated costs shown on the Source and Use of Funds form unless such project has been contracted for. In such instance, the fee shall be paid on the actual contract amount. Once the projects have been completed and the costs certified by the District's engineers,then the District shall pay any additional monies which are due within thirty (30) days of the engineers cost certificate. The District may receive a refund from the City if the improvement costs, as certified by the District's engineers, are less than shown on the Source and Use of Funds form. The District must request a refund from the City with the engineer's certified costs and letter submitted to the Public Works Department. Such refund shall be paid within thirty (30) days. L. The prior Subdivision Agreement between the parties dated April 8, 2003 stated that the District had been authorized to spend $169,882.00 in hard costs for construction of the District's park. Additions and corrections to the park plan were made by and between the District and Parks Department which results in the hand costs increasing to $211,844.00. The Parks Board approved the District to spending up to $248,459.25. The City hereby specifically approves the District's expenditure for park construction and soft costs of $248,459.25. The neighborhood park fee for this subdivision is $39,829.85 (40.03 acre x $995 = $39,829.85). The District, per this agreement, is authorized to spend $248,459.25 on park improvements ($211,459.25 for hard costs + $36,615.25 for soft costs) and has been approved to spend $105,000 on park site acquisition ($87,500 for acquisition + $17,500 for soft costs) for a total expenditure of $353,459.25 ($248,459.25 + $105.00.00). The District previously received credit for park fees of $167,160.00 (168 acres x $995) for the projects known as Lots 201 through 416, Waterford and Lots 1 5 through 289, Meadow Ridge. Therefore, the District would be entitled to reimbursement for excess acquisition and park construction costs of$186,299.25. The neighborhood park fees for this development (Lots 290 through 481, Meadow Ridge) would be $39,829.85 (40.03 acres x $995 = $39,829.25). Therefore, because the District has an outstanding reimbursement due ($186,299.25) that exceeds the fee of$39,829.25, no fees are due and the reimbursement is reduced to $146,470.00 ($186,299 - $39,829.25). This provision supercedes the provisions of Section II (L) of the Subdivision Agreement between the parties dated April 8, 2003. M. The District shall make a payment to the City prior to recording the Final Plat for trails/boulevard fees in the amount of $8,366.27. The payment is for the area contained on Exhibit "A". N. The District shall make a payment to the City of$16,452.33 for Community Parks when the District's current debt ratio is below 10% and the City's Parks and Finance directors request the payment. The payment is for the area contained on Exhibit "A ll. /''� SECTION III Credit or funds of the District may be used to pay for any public improvements specified in this agreement, but not for any other purpose. Storm warning sirens purchase or installation are not to be a General Obligation of the District or payable over more than two (2) years from installation, PROVIDED, HOWEVER, the District may issued warrants for the purpose of paying for repairs, maintenance, and operating costs of the District, such warrants to be paid out of funds obtained by the District through its general fund tax levy, or where allowed by law, may be paid from special assessments or fees or charges. Maintenance, repair, and reconstruction of a public improvement shall not be a general obligation of the District nor shall construction warrants be issued therefrom without the prior written approval of the City Engineer. The District shall not acquire any interest in real property without the prior approval of the City of Omaha. SECTION IV A. City covenants and agrees that should the City, by reason of its annexation of the District, or any area thereof, prior to the District's levy of special assessments for the improvements authorized in this agreement thereby succeed to said District's power to levy special assessments, that City will levy same in accordance with this agreement. B. All parties covenant and agree that nothing in this agreement shall be construed so as to oblige the City to annex the area to be developed or any part thereof. C. The District shall not sue, nor fund any lawsuit to prevent any annexation of property within the District by the City except in the event the City annexes only a part of the District, the District does not waive its right to contest a property division of assets and liabilities. 6 SECTION V Subdividers and District covenant and agree that the District created by the Subdividers will: A. Abide by and incorporate into all of its construction contracts the provisions required by the regulations of the City pertaining to construction of public improvements in subdivisions and testing procedures therefore. B. Except as may otherwise be agreed to by City, all of said District's levy of special assessments shall be made in such a manner so as to assure that the entire burden of the levy is borne, on an equitable basis, by lots or parcels which are truly building sites. If any lot, parcel or other area within the area to be developed is not a building site by reason of insufficient size or dimensions, or by reason of easements or similar burdens, or for any other reason, then no portion of the total amount shall be levied against said unbuildable lot, parcel or other area. C. The District shall provide the following information to the City Engineer at least twenty (20) days prior to the meeting of the Board of Trustees of the District held to propose the levy of special assessments: (1) A detailed schedule of the proposed special assessment and/or the amount of general obligation costs of any improvement or acquisition. (2) A plat of the area to be assessed. (3) A full and detailed statement of the entire cost of each type of improvement, which statement or statements shall separately show: (a) The amount paid to the contractor (b) A special itemization of all other costs of the project, including but not limited to, all engineering fees, attorney fees, testing expenses,. publication costs, financing costs, including but not limited to, interest on all warrants to the date of levy of special assessments, estimated fiscal agent's warrant fees and bond fees. (c) A special itemization of all costs of the District not itemized in (a) and (b) above. D. The District agrees that it will not unreasonably delay acceptance of an improvement and that the District shall levy special assessments within six (6) months after acceptance of the improvement. In addition to the above notice requirement, the District shall also, twenty (20) days prior to the Board of Equalization hearing of the District, give notice in writing to the City that the Board off Equalization will be convened on that date for the consideration of the levying of special assessments and equalization and 7 a apportionment of debt. SECTION VI A. The District agrees to annually levy a minimum ad valorem property tax rate of 88 cents per$100 of taxable valuation for all tax collection years through the year that all District warrants can be paid on a cash basis and/or are converted to bonded debt. B. On or about June 1st of each year following the issuance of District bonds, the District's fiscal agent will deliver to the City Finance Director for review and approval a cash flow projection by year for a fifteen (15) year period. The cash flow projection shall include, but not be limited to, existing and projected taxable valuation, a projected annual debt service levy, a projected annual general fund levy, existing and projected cash receipts, cash disbursements and available finances in the bond fund and general fund of the District. C. The District's Board of Trustees agrees to adopt tax rate levies sufficient to fund the succeeding years general fund bond projected obligations as required in the cash flow projections. SECTION VII In the performance of this agreement, the District shall not discriminate against any parties of race, national origin, sex, age, political or religious affiliations in violation of federal or state laws or local ordinances. SECTION VIII A. Subject to the conditions and provisions hereinafter specified, the City hereby grants permission to the District to connect its sewer system to the sewer system of the City for a period not to exceed ten (10) years, in such manner and at such place or places designated on plans submitted by the District and approved by the City. B. Upon the completion of any Sanitary Outfall Sewer, if any, built by the District, the City shall be granted and they shall accept control and operation of the facility. The District shall convey by proper legal instrument all its rights, easements, title, and interest in such Sanitary Outfall Sewer to the City. The form of acquisition shall be upon approved City forms. C. Without prior written approval by the City, the District shall not permit any sewer lines or sewers outside the presently described boundaries to be connected to: the sewer or sewer lines of the District, any sewer from the District's boundaries to the sewers of the City, any outfall sewer of the City, or any sewage treatment plant of the City. The City shall have exclusive control over connections to its sewers whether inside or outside the District's boundaries. The District shall not collect connection charges for such connections. 8 D. At all times all sewage from and through said District into the City sewer system shall be in conformity with the ordinances, regulations and conditions applicable to sewers and sewage within the City as now existing and as from time to time may be amended. E. Before any connection from any premises to the sewer system of the District may be made, a permit shall be obtained for said premises and its connection from the proper department of the City, which permit shall be obtainable on the same terms, conditions and requirements of the City and for the same permit fee of the City applicable from time to time to permit property outside the City to connect to the sewer system of the City; it being expressly understood that the City reserves the right to collect all connection charges and fees as required by City ordinances or rules now or hereafter in force; all such connections shall comply with minimum standards prescribed by the City. F. Notwithstanding any other provisions of this agreement, City retains the right to disconnect the sewer of any industry, or other sewer user within the area to be developed, which is discharging into the sewer system in violation of any applicable ordinances, statute, rule or regulation. G. The District warrants that it has not employed or retained any company or person, other than a bona fide employee working for the District, to solicit or secure this agreement, and that it has not paid or agreed to pay any company or person, other than a bona fide employee working for the District, any fee, commission, percentage, brokerage fee, gifts, or making of this agreement. For breach or violation of this warranty, the City shall have the right to annul this agreement without liability. The District shall require the same warranty from each contractor with whom it contracts in any way pertaining to it sewage system. The prohibition provided for herein shall not apply to the retention of any attorney or other agent for the purpose of negotiating the provisions of this agreement where the existence of such agency has been disclosed to the City. H. Subletting, assignment, or transfer of all or part of any interest of the District hereunder is prohibited without prior written approval of the City of Omaha. The District expressly agrees that it is and shall be: (1) Bound by and to any provisions of any ordinances, rules and regulations hereafter made and adopted by the City of Omaha applicable to sanitary and improvement districts whose sewers connect direct or indirectly with or into.sewers or sewage systems of he City of Omaha; and (2) Bound by any terms and provisions which by ordinance, resolution, or rule of the City of Omaha shall hereafter adopt or provide as being applicable o or required in contracts with sanitary and improvement districts or in order to permit or continue the discharge of any sewage from a sanitary and improvement district to flow into or through any part of the sewer or sewage system of the City of Omaha. J. The District agrees to collect an "equivalent front footage charge" in conformance 9 with the following: Where the property with which sewer connection is sought to be made is not within the bounds of a regular sanitary sewer district or private sewer district, or where such property has not been assessed or has not paid for the construction of the sewer to which connection is sought to be made, then in such case the Chief Plumbing Inspector of the Permits and Inspections Division shall not issue a permit for such sewer connection until the property owner shall have paid to the Improvement District an equivalent front footage charge for the number of front feet of the entire property with such connection is sought to be made. The equivalent front footage charge shall be the current charge in conformance with the requirements of the Omaha Municipal Code. The front footage charge collected shall be used to defray the general obligations of the Sanitary and Improvement District. SECTION IX A. Payment for Construction of Interceptor Sewers. The District shall make payment to the City of Omaha for the fee in the amount of $181,824.00 for the construction of interceptor sewers. This fee is computed as follows for the lots shown on the plat (Exhibit "A"). Lots 290 through 481, Meadow Ridge (single family) $947.00 per lot consisting of 192 lots equals $181,824.00 If the area is replatted or the use of the lots is changed, the fee charges shall be changed by the City on the basis of the wastewater flow generated compared to that generated by single family residences. B. Additional Plat. In the event the Subdivider shall plat additional lots which will be in the District which he wishes to connect to the Omaha sewer system, this agreement shall be amended by the parties to provide payment of the current fee for the additional lots before any sewer permits are issued by the City of Omaha. C. Special Sewer Connection Fee. The District and the City agree that payment made under Section IX-A of this agreement shall constitute a Special Sewer Fee for the area described in Section IX- A and shall be collected by the District as a Special Sewer Fee or shall be levied as a Special Assessment against the real estate described in Section IX-A as follows: (1) Amount of Special Sewer Connection Fee The real estate shall be charged the special sewer fee amount as set forth in IX-A for each lot or parcel. 10 (2) Time of Collection The Special Sewer Connection Fee shall be collected by the District from the owner of each lot or parcel of real estate shown in Section IX-A prior to the time any such lot or parcel is built upon and before the building sewer is connected to the sanitary sewer system of the District. (3) Extent of Collection The Special Sewer Connection Fee will be collected by the District on each lot from the date of this agreement until the District has collected by such payment or through Special Assessment the entire amount paid by the District to the City, as described in Section IX-A. The entire proceeds collected by the District will be used by the District to pay off the warrants or other debts incurred by the District in obtaining the funds paid to the City as required in Section IX-A. D. City Sewer Connection and Sewer Use Fees to be Paid The City may collect, within the area to be developed, the City's sewer connection and permit fees as provided by existing City ordinances, and its sewer use and connection fees as now or hereafter existing. Such fees shall be in addition to the payments provided for in Section IX-A herein; however, the City shall reduce its "Special Connection Fee-Papillion Creek Watershed"for any lot listed in Section IX- A herein, by the amount paid by the District for that lot pursuant to that section and collected by the District from the party for whom the connection is made. E. Issue of Sewer Permit No sewer permit will be issued by the City for any construction on any lot in the area described in Section IX-A until proof is furnished to the City of payment to the District of the Special Sewer Connection Fee or levy of the Special Assessment for that particular lot as called for in Section IX-A. F. Audit of District's Records The City shall have access at all times to the District records for the purpose of auditing the accounts pertaining to collection of the Special Sewer Connection Fee. G. Upon execution of this agreement, the District shall make payment to the City in cash or warrants immediately convertible into cash in the amount as stated in Section IX-A of this agreement. The City shall accept and retain such monies to make progress payments for the design, construction and construction supervision for building interceptor sewers. SECTION X A. Installation of entrance signs or related fixtures and any median landscaping and related fixtures shall be paid for by the Subdivider for their respective 11 subdivisions. Plans for such proposed improvements that are to be located in public right-of-way and a proposed maintenance agreement for the improvements must be submitted to the City for review and approval prior to the installation of improvements. B. No separate administrative entity nor joint venture, among the parties, is deemed created by virtue of this Subdivision Agreement. C. The administration of this Subdivision Agreement shall be through the offices of the undersigned officers for their respective.entities. D. The Subdivider shall transfer ownership of outlots to the Association contemporaneously with the filing of the final plat. All outlots shall, for the Lots 290 through 481, inclusive, Meadow Ridge Plat, be owned and maintained by the Association as common area. The Association shall have the right to seed, sod, landscape, install trees, install a subdivision entrance sign and install other improvements which are ordinarily installed at subdivision entrance areas by associations so long as such improvements do not interfere with the public right- of-way, including maintaining proper sight distance for operators of motor vehicles. No District funds shall be used for the acquisition, improvement or maintenance of common areas. E. The District shall construct a temporary access road on Lot 302, Meadow Ridge, which shall serve as access from State Street to the subdivision until such time as the permanent connection to State Street is made at 153rd Street. Costs associated with removal of such temporary access shall be paid out of the District's General Fund. F. This Subdivision Agreement shall be binding upon the parties, their respective successors and assigns and shall run with the land shown on Exhibit "A". IN WITNESS WHEREOF, we, the executing parties, by our respective duly authorized agents, hereby-enter into this agreement, effective on the day and year first above written. . ATTEST:, � f CITY OF OMAHA By: CITY CLERK MAYOR at- ATTEST: SANITARY AND IMPROVEMENT DISTRICT NO. 484 OF DOUG COUNTY, EBRASKA C RK Date CHA A Date 12 ATTEST: SUBDIVIDER Lots 290 through 481, inclusive, Meadow Ridge STATE STREET, L.L.C., a Nebraska limited liability company By:'tattL, Barbara Udes Shaw, Manager Date 3-1'A MEADOW RIDGE/SHADOWBROOK HOMEOWNERS ASSOCIATION, INC., ATT T: a Nebra a non-profit cor oration By: Ja,n" L. McDppald ,PpOsident UDa le: 'WO V APPROVED AS TO FORM tT C ATTORNEY TE O NEBRASKA ) ) ss. COUNTY OF DOUGLAS ) Before me the undersigned, Notary Public,appeared > wgcna.5. 6r4ua1 Chairman and ign)A Ytic Daratd , Clerk, of Sanitary and Improvement District of 484 of Douglas County, Nebraska and acknowledged their execution to be their voluntary act and deed and the voluntary act and deed of said District. WITNESS my hand eltsr 041.1� al this day of 41'1 a..+.�01/4.. 2004. N; Icrg Notary Public OTAC', <minmuimo\` MY COMMISSION EXPIRES: JULY 26,2005 13 • STATE OF NEBRASKA ) ) ss. COUNTY OF DOUGLAS ) Before me the undersigned, Notary Public,appeared Barbara Udes Shaw,to me known to be the Manager of State Street, L.L.C., a Nebraska limited liability company and acknowledged her execution to be her voluntary act and deed and the voluntary act and deed of said limited liability company. WITNESS my hand R rr i Seal this pd�''�� day ofu 2004. • 0-0-0 • � ) F. Notary Public STATE OF NEBRASKA ) ��.,,FoF ias3% � SS. nnmilloo° COUNTY OF DOUGLAS )MYCOM�IViISSIONEXPIRES: JUL'(26,2005 Before me the undersigned, Notary Public, appeared Jana L. McDonald, to me known to be the President of Meadow Ridge Homeowners Association, Inc., a Nebraska non-profit corporation and acknowledged her execution to be her voluntary act and deed and the voluntary act and deed of said corporation. �..�```7EN l•rr'�' Ial, p o!Ct/�CAL 2004. WITNESS my hand ar. 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I U a 3. i ir 2 gt oI 'aw $ R b ^ a 4n lio ll et cop o ty .a fi o a 2 i N o o o o bo W i p i a a. v um d N �, Ch D d 3 1 PO N N I,C I " t 011 NIV cOn r• W m w O G g $ 5 c ash CITY OF OMAHA LEGISLATIVE CHAMBER Omaha,Nebraska RESOLVED BY THE CITY COUNCIL OF THE CITY OF OMAHA: WHEREAS, State Street LLC proposes to build a subdivision to be known as Meadow Ridge (Lots 290-481) which will be located Northeast of 156th and State Streets; and, WHEREAS, Sanitary and Improvement District (S.&I.D.) 484 will build public improvements in this subdivision; and, WHEREAS, State Street LLC and S.&I.D. 484 wish to construct a sanitary sewer system and connect said system to the Sanitary Sewer System of the City of Omaha; and, WHEREAS,the parties wish to agree upon the manner and the extent to which public funds may be expended in connection with public improvements to be constructed within the area to be developed or serving the area to be developed and the extent to which the contemplated public improvements specifically benefit property in the area to be developed and to what extent the cost of the same shall be specially assessed; and, WHEREAS,S.&I.D.484 agrees to pay$181,824.00 as a sewer connection fee to be used for the construction of the sewers in the Papillion Creek Watershed; and, WHEREAS,S.&I.D.484 agrees to pay$8,366.27 to the City to be used for trails and boulevards contained in the City's Park Master Plan; and, WHEREAS, S.&I.D. 484 agrees to pay$10,792.00 as an Administrative Fee to the City to fund additional employees in the Planning and Public Works Departments to facilitate the processing of developments; and, WHEREAS State Street LLC has or will create Meadow Ridge/Shadowbrook Homeowners Association, Inc., who will be responsible for identified ongoing maintenance as contained in the Agreement; and, By Councilmember Adopted City Clerk Approved Mayor c 25 CITY OF OMAHA • LEGISLATIVE CHAMBER Omaha,Nebraska PAGE 2 WHEREAS, a Subdivision Agreement has been prepared setting forth all the provisions mentioned above. NOW,THEREFORE,BE IT RESOLVED BY THE CITY COUNCIL OF TEE CITY OF OMAHA: THAT, the Subdivision Agreement among the City of Omaha, Sanitary and Improvement District 484 of Douglas County, Nebraska, State Street LLC and Meadow Ridge/Shadowbrook Homeowners Association,Inc., as recommended by the Mayor,providing for the public improvements,a 1%Administrative Fee,Boulevard/Trail Fee and sewer connection to the Omaha Sanitary Sewer System, is hereby approved. P:\PW2\5036sap.doc APPROVED AS TO FORM: CITY ATTORNEY DAT ak o pamot. By Cdaiicilmernber Adopted APR 1 3..20o4.-" '—O • City Clerk Approved ' """''' 9ioy Mayor I b c K > > () 5 ilIIUtIHIii N O P fU. ffli =sm cn CD 's It, a . \ o -t rD 4"st P. o ,, < "ci °o oo Y `` OZ a O po y 0 O { C7 4. VCD R. cijpri g 0 fir-+ t< < fw Uthdd A \ J CA