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Contracts & Agreements_111-2021
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Contracts & Agreements_111-2021
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6/23/2021 3:30:17 PM
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6/23/2021 3:29:48 PM
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Contracts & Agreements
Subject
CDBG Funding
Details
Subrecipient Boys & Girls Club
Date
6/21/2021
Document Number
111-2021
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invoice, as applicable Failure of Subrecipient to respond in writing within 30 days of the date of <br />notice from City shall render the reimbursement request null and void. <br />E Changes in Grant Allocation. City reserves the right to reduce the grant allocation <br />to Subrecipient when City's fiscal monitoring indicates that Subrecipient's rate of expenditures <br />will result in unspent funds at the end of the Program year Changes in the grant allocation may <br />be made after consultation with Subrecipient. <br />Section 3. Financial Management. <br />A. Accounting Standards. Subrecipient shall comply with 24 CFR 84.21-28 and <br />adhere to the accounting principles and procedures required therein, utilize adequate internal <br />controls, and maintain necessary source documentation for all costs incurred. <br />B Cost Principles Subrecipient shall administer its program in conformance with <br />OMB Circulars A-122, "Cost Principles for Non -Profit Organizations," or A-21, "Cost Principles <br />for Educational Institutions" as applicable. These principles shall be applied for all costs <br />incurred whether charged on a direct or indirect basis. <br />C Indirect Costs If indirect costs are charged, Subrecipient will develop an indirect <br />cost allocation plan for determining the appropriate Subrecipient's share of administrative costs <br />and shall submit such plan to City for approval, in a form specified by City <br />D Program Income Subrecipient shall report quarterly all program income (as <br />defined at 24 CFR 570.500(a)) generated by the Activities carried out with CDBG funds made <br />available under this Agreement. The use of Program income by Subrecipient shall comply with <br />the requirements set forth in 24 CFR 570 504 By way of further limitation, Subrecipient may <br />use such income during the contract period for Activities permitted under this Agreement and <br />shall reduce requests for additional funds by the amount of any such Program income balances <br />on hand. All unexpended Program income shall be returned to City at the completion of this <br />Agreement. Any interest earned on cash advances from the U S Treasury and from funds held <br />in a revolving fund account is not Program income and shall be remitted promptly to City <br />Section 4. Documentation and Record Keeping. <br />A. Records to be Maintained. Subrecipient shall maintain all records required by the <br />Federal regulations specified in 24 CFR 570 506 that are pertinent to the activities to be funded <br />under this Agreement. Such records shall include but not be limited to <br />1 Records providing a full description of each Activity undertaken, <br />2 Records demonstrating that each Activity undertaken meets one of the <br />National Objectives of the CDBG program, <br />3 Records required to determine the eligibility of Activities, <br />4 Records required to document the acquisition, improvement, use or <br />disposition of real property acquired or improved with CDBG assistance, <br />5 Records documenting compliance with the fair housing and equal <br />opportunity components of the CDBG program, <br />Page 3 of 12 <br />Q.\!JANET\CDBG\2021-2022\PSAs\Approved by DJM 6-10-21\21-22 PSA Agreement - Boys and Girls.doc <br />Doc ID. f5096ab75aa326196823c9ab505ba6e8a12c9068 <br />
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