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September 24, 2018 REGULAR MEETING OF THE CITY COUNCIL OF TFiE CITY OF NEDERLAND 4:30 P.m_ September 24, 2018 1_ MEETING The meeting was called to order at 4:30 p.m. by Mayor Nugent at the Nederland City Office Building, 207 N. 12'" Street, Nederland, Texas. See attached for quorum. The following statement was posted: "PIJRSIJANT TO SECTION 30.07, PENAL CODE (TRESPASS BY LICENSE HOLDER WITH AN OPENLY CARRIED HANDGIJ143, A PERSON LICENSED UNDER SUBCHAPTER H, CHAPTER 411, GOVERNMENT CODE (MANUGUN LICENSING LAW), MAY NOT ENTER THIS PROPERTY WITH A HANDGUN THAT IS CARRIED OPENLY_" 2. INVOCATION AND PLEDGE OF ALLEGIANCE The invocation and pledge of allegiance were led by Gay Ferguson, City Clerk. 3. CONSENT AGENDA - All consent agenda items listed are considered to be routine by the City Council and will be enacted by one motion. There will be no separate discussion of these items unless a councilmember so requests, in which event the item will be removed from the Consent Agenda and considered separately. A motion was made by Councilmember Neal and seconded by Mayor Pro Tem Albanese to approve the Consent Agenda Items a-c as presented. MOTION CARRIED_ Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. a. August 2018 Departmental Reports b. Tax Assessor Collection Report - August 2018 c. Requests: • Consider action authorizing the closure of Street from Nederland Avenue to Atlanta Avenue on Wednesday, October 31" for the Seventh Street Baptist Church Block Party. • Consider action authorizing the closure of Boston Avenue between Twin City Highway and 14t^ Street on Saturday, October 20'' for the Fall Market may event. wimommilor Minutes Continued, September 24, 2018 4. REGULAR AGENDA a. A motion was made by Mayor Pro Tern Albanese and seconded by Councilmember Austin to accept the quarterly Hotel Occupancy Tax Fund financial reports from the Nederland Historical Society. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. b. Rob Woods, Director of Public Works; and Rick Bourque, Schaumburg & Polk, Inc., provided an update on the Nederland Avenue Paving and Drainage project. A schedule was handed out which reflected some adjustments. Milling has begun on the second phase of the project. Rain is predicted for the rest of the week so surface treatment will be pushed to next week. Mr. Bourque stated they anticipate less base repairs in the 2nd phase and the goal for completion of the project is around Thanksgiving. He said there may still be some minor work after that deadline but the project will be substantially complete. c. A motion was made by Councilmember Austin and seconded by Mayor Pro Tem Albanese to approve a request from Nederland ISD to utilize the Nederland Recreation Center as a secondary evacuation location for Hillcrest Elementary School. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. d. A motion was made by Mayor Pro Tem Albanese and seconded by Councilmember Austin to approve the Marion & Ed Hughes Public Library Strategic Plan and Technology Plan. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. e. Appointments: i. A motion was made by Councilmember Neal and seconded by Councilmember Austin to re-appoint Sylvia Root and Mike Roebuck to the Nederland Economic Development Corporation Board of Directors. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. ii. A motion was made by Councilmember Neal and seconded by Councilmember Austin to appoint Don Albanese and Stuart Kieschnick to the Nederland Economic Development Corporation Board of Directors. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, and Belaire. Noes: None. Abstain: Mayor Pro Tem Albanese. f. A motion was made by Mayor Pro Tern Albanese and seconded by Councilmember Neal to approve Ordinance No. 2018-27, approving the settlement filed in Entergy Texas, Inc.'s rate proceeding initiated on May 15, 2018. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. g. Chris Duque, City Manager, read the caption of Ordinance No. 2018-20, regarding granting a franchise agreement with Texas Gas Company. rommoollor Minutes Continued, September 24, 2018 A motion was made by Councilmember Austin and seconded by Councilmember Neal to postpone action on Ordinance No. 2018-20, granting a franchise agreement with Texas Gas Company. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. h. A motion was made by Mayor Pro Tem Albanese and seconded by Councilmember Austin to approve reimbursing EMHUGH, Ltd. For property damage related e to the City's recycling drop-off center at the Market Basket property. ON CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. i. James Gilly, Jr. with US Capital Advisors reported the bonds were offered and 6 bidders submitted very competitive offers. The lowest was Piper Jaffray with a rate of 3.243845 percent. He commended the city for its budgetary and financial policies that allowed the Standard and Poor's rating to remain at AA. A motion was made by Mayor Pro Tem Albanese and seconded by Councilmember Neal to approve Ordinance No. 2018-28, authorizing the issuance of City of Nederland, Texas, Tax and Revenue Certificates of Obligation, Series 2018. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, and Albanese. Noes: None. Abstain: Councilmember Belaire. j. A motion was made by Councilmember Austin and seconded by Councilmember Neal to approve Resolution 2018-14, providing written consent to the petition to include additional land in Jefferson County Water Control and Improvement District 10. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. k. Budget: i. A motion was made by Councilmember Austin and seconded by Mayor Pro Tern Albanese to approve Ordinance No. 2018-29, amending the fiscal year 2017-2018 budget. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. ii. A motion was made by Mayor Pro Tern Albanese and seconded by Councilmember Austin to approve Ordinance No. 2018-30, declaring certain utility accounts as uncollectable. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. iii. A motion was made by Councilmember Austin and seconded by Councilmember Neal to approve Ordinance No. 2018-31, utility rates and regulations. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. I. Minutes Continued, September 24, 2018 5. COMMUNICATION City Manager's Report: a. Miscellaneous: • October Th - City will be hosting the Chamber Coffee at the Public Safety Building • Trunk R Treat will be on Halloween and police and fire will be handing out candy. 6. ADJOURN There being no further business a motion was made by Mayor Nugent and seconded by Councilmember Austin to adjourn the meeting at 5:43 p.m. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. �IAND ; •=0: = q)). _ ' R. A. . Nugent ayor . City of Nede nd, Te xas . AYE OUN\\ I mItIt1 0 A/ WA _/ I At ay Fergus.", City Clerk City of Nederland, Texas CITY OF NEDERLAND COUNCIL MEETING ATTENDANCE SHEET NAME TITLE PRESENT ABSENT Mayor R.A. Nugent Ma Y / \.7 Talmadge Austin Council Member—Ward I v Billy Neal Council Member—Ward II V/ Don Albanese Council Member—Ward III V \/ Craig Belaire Council Member—Ward IV Chris Duque City Manager V Gay Ferguson City Clerk V Jesse Branick City Attorney Cheryl Dowden Director ry of Finance V, / Gary Porter Police Chief V ActingFire Chief V k/Terry Morton Robert Woods Director of Public Works George Wheeler Building Official Victoria Klehn Librarian Holly Guidry Human Resources Director ✓ V Joni Underwood Executive Secretary 1/7 Angela Fanette Parks Director AG R. •. Nugent, f=yor 41 'i II . iii ',ay Fer4�son, City CI=1k September 24, 2018 Date rr► ALLISON NATHAN GETZ �d1, �) TERRY WUENSCHEL TAX ASSESSOR-COLLECTOR I" , �. CHIEF DEPUTY * / \ • �?'EXA��'/ STATE OF TEXAS COUNTY OF JEFFERSON I, Allison Nathan Getz, P.C.C., the Tax Assessor-Collector of Jefferson County, Texas and also, by contract or statute, the Tax Assessor-Collector for CITY OF NEDERLAND, affirm, under oath, that this amount $33,399.30, represents all taxes collected for CITY OF NEDERLAND during the month of August 2018. r'1 Allison Nathan Getz, P.C.C. JEFFERSON COUNTY COURTHOUSE •P.O. BOX 2112 •BEAUMONT,TEXAS 77704-2112 PHONE: (409)835-8516 • FAX: (409)835-8589 RESOLUTION NO. 2018-14 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS GRANTING ITS CONSENT TO A PETITION BY LSP HIGHWAY 347, LLC FOR THE ADDITION OF 97.11 ACRES OF LAND TO THE JEFFERSON COUNTY WATER CONTROL AND IMPROVEMENT DISTRICT NO. 10 WITHIN THE CITY OF NEDERLAND'S AND CITY OF BEAUMONT'S EXTRATERRITORIAL JURISDICTION WHEREAS, the owner, LSP Highway 347, LLC, of 97.11 acres of land (the "land") and Jefferson County Water Control and Improvement District No. 10 (the "District") have submitted a petition (the "petition") for the addition of the land to the District a copy of which is attached hereto and labeled Exhibit"A"; and WHEREAS, the District is a political subdivision providing water and sanitary sewer services within the extraterritorial jurisdiction of the City of Nederland (the "City"); and WHEREAS, the land described in the petition is located within the extraterritorial jurisdiction of the City of Nederland and of the City of Beaumont and a portion of the land is located within the Nederland city limits; and WHEREAS, Section 42.0425 of the Texas Local Government Code provides that land may not be added to political subdivisions providing water and sanitary sewer services within the extraterritorial jurisdiction of the City unless the City grants its written consent by resolution or ordinance and provides that the City's written consent may include certain conditions; NOW,THERFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND,TEXAS: SECTION 1.That subject to the provisions of this Resolution, the City Council gives its written consent for the "District"to annex a 97.11 acre tract, as described in the petition attached as Exhibit A. SECTION 2.That the City's consent is conditioned upon the following: (1) the District's bonds and debt shall be and remain obligations of the District and (2) the District's bonds and debt shall not affect the City of Nederland's ability to issue debt. PASSED AND APPROVED this 24"day of SEPTEMBER, 2018. "yunnmp,p,, ' }I� 1.3.1= R.A."Dick" 1' gent,Mayor 1t / /.1 #AI // gay Fergu'on,City Cler" APPROVED AS TO FORM AND LEGALITY: Jesse -ranick "y Attorney City • Ne. rland,Texas 1 EXHIBIT A �r► PETITION FOR CONSENT TO INCLUDE ADDITIONAL LAND IN JEFFERSON COUNTY WATER CONTROL AND IMPROVEMENT DISTRICT NO. 10 THE STATE OF TEXAS § COUNTY OF JEFFERSON § TO THE HONORABLE MAYOR AND CITY COUNCIL OF THE CITY OF NEDERLAND: LSP Highway 347 LLC,a Texas limited liability company,being the holder of title to all of, and therefore, a majority in value of the land hereinafter described, as such values are indicated by the tax rolls of the central appraisal district of Jefferson County, Texas ("Landowner"), and Jefferson County Water Control and Improvement District No. 10 ("District") (Landowner and District hereinafter called "Petitioner"), acting pursuant to the provisions of Section 42.0425,Texas Local Government Code,as amended,respectfully petition for consent to include additional land in a water control and improvement district. In support of this petition,Petitioner shows as follows: The District,to which the land hereinafter described is sought to be annexed,exists under the terms and provisions of Article XVI,Section 59 of the Constitution of Texas and Chapters 49 and 51,Texas Water Code,as amended. Landowner is the sole owner and holder of fee simple title to the land sought to be annexed to the District, as indicated by the tax rolls of the central appraisal district of Jefferson County,Texas. Landowner represents and warrants that there are no holders of liens against said land. II. The land sought to be added to the District contains approximately 97.11 acres of land, more or less,and lies wholly within Jefferson County,Texas. No part of said area is within the limits of any incorporated city or town. Under the provisions of Section 42.001, Local Government Code,as amended,said area is within the extraterritorial jurisdiction of the Cities of Nederland and Beaumont,Texas and is not within such jurisdiction of any other city. All of the territory to be annexed may properly be annexed to the District. III. The land sought to be added to the area of the District is described by metes and bounds in Exhibit"A"attached hereto and incorporated herein for all purposes. IV. The general nature of the work proposed to be done in the area sought to be annexed shall be the purchase,construction,acquisition,repair,extension and improvement of land,easements, works,improvements,facilities,plants,equipment and appliances necessary to: (1) provide a water supply for municipal,domestic and commercial purposes; (2) collect, transport, process, dispose of and control all domestic, industrial or communal wastes whether in fluid,solid or composite state; (3) gather,conduct,divert and control local storm water or other harmful excesses of water in the area;and (4) provide, operate and maintain a fire department and/or firefighting services ("firefighting-facilities")within the area. V. The area of the District is urban in nature, is within the growing environs of the City of Nederland, and is in close proximity to populous and developed sections of Jefferson County. There is a necessity for the improvements described above because the land sought to be added to the District is not supplied with adequate water, sanitary sewer, drainage or fire-fighting facilities, nor is it presently economically feasible for such facilities to be added to said land. The health and welfare of the present and future inhabitants of the District,the land sought to be added to the District,and of territories adjacent thereto require the installation and acquisition of adequate water,sanitary sewer,drainage and fire-fighting facilities for and within the land sought to be added to the District. A public necessity exists for the addition of said lands to the District to promote and protect the purity and sanitary condition of the State's waters and the public health and welfare of the community, by and through the construction, extension, improvement, maintenance and operation of water,sanitary sewer,drainage and fire-fighting facilities. WHEREFORE, Petitioner respectfully prays that this petition be granted in all respects and that the City of Nederland give its consent to the annexation of the aforesaid land into said District. -2- LSP HIGHWAY 347 LLC, a Texas limited liability company/ By: ( +('if {( �' 1 ✓-1;4: 1 Nam : Rob t H.Chandler Title: Manager THE STATE OF TEXAS § COUNTY OF JEFFERSON § This instrument was acknowledged before me on this 18th day of June,2018,by Robert H.Chandler,Manager of LSP HIGHWAY 347 LLC,a Texas limited liability company,on behalf of said limited liability company. 734"-4 0 Ado - Liu.4 Notary Public in and for - State of Texas (SEAL) .0.2. BRENDA G RATUFF I �� oW NryID13944637 O `VApr 29, My mission Expires 344075.1 -11- IIIIL EXHIBIT A Legal Description of the Property TRACT I: BEING 96.33 acres of land out of and a part of Tract 1II,Walker-Arena Hwy 347, recorded in File No. 2015010541, Official Public Records, Jefferson County, Texas, part of the Pelham Humphries Survey, Abstract No.32,and part of the J. S. Johnson Survey Abstract No. 34,Jefferson County.Texas; said 96.33 acre tract being more fully described by metes and bounds as follows,to wit: Note: Bearings, coordinates, distances and acreage are based on the Texas Coordinate System of 1983, South Central Zone. US Survey Feet,and are referenced to SmartNet,North America. COMMENCING at a brass disk found in concrete for the Northeast corner of Tract IV of said Walker-Arena Hwy 347 plat; said brass disk being on the Southwesterly right of way line of a dedicated road named State Highway 347,a.k.a.Twin City Highway,and Southeast corner of a (Called 7.595) acre tract of land described in a deed to E. 1. DU PONT DE NEMOURS & COMPANY, recorded in Volume 845, Page 48, Deed Records, Jefferson County,Texas;having a Texas Coordinate of N: 13948890.88,E:3538794.39; THENCE, South 51 deg., 35 min., 00 sec., East(Called South 51 deg., 35 min., 09 sec., East), on the Southwesterly right of way line of said State Highway 347, a distance of 884.61'to a 1/2"steel rod,capped and marked"SOUTEX",found for the Southeast corner of a (Called 10.83) acre tract of land described in a deed to Triangle Waste Properties, LP, recorded in File No.2017034093,Official Public Records,Jefferson County,Texas;said steel rod being the most Easterly Northeast corner of the herein described tract; having a Texas Coordinate of N: 13948341.61,E:3539487.42; THENCE, South 51 deg., 35 min., 11 sec., East (Called South 51 deg., 35 min., 09 sec., East), continuing on the Southwesterly right of way line of said State Highway 347, a distance of 315.82' passing a 5/8"steel rod,capped and marked"JAMA GROUP",found for a common corner of said Tract III and a(Called 61.526)acre tract of land described in a deed to Walker-Arena Land Holdings, LLC, recorded in File No. 2013040591, Official Public Records,Jefferson County,Texas,continuing for a total distance of 1566.46'to a 5/8"steel rod found in concrete for the Northeast corner of a(Called 2.000)acre tract of land described in a deed to 347 Partners, LTD, recorded in File No. 2008004217,Official Public Records, Jefferson County,Texas;said 5/8"steel rod being the most Southerly Southeast corner of the herein described tract; THENCE, South 39 deg., 08 min., 50 sec., West, on the North line of said 347 Partners, LTD tract,the North line of a(Called 2.536) acre tract of land described in a deed to 347 -5- Partners, LTD tract, recorded in File No. 2008004808, Official Public Records, Jefferson County,Texas,the North line of a(Called 5.00)acre tract of land described in a deed to Kerr Enterprises, Inc., recorded in File No. 2002005775, Official Public Records, Jefferson County,Texas,and the North line of a(Called 60.136)acre tract of land described in a deed to Lower Neches Valley Authority, recorded in File No. 2007001740, Official Public Records, Jefferson County, Texas, a distance of 2133.51' to a 'A" steel rod found for the Northwest corner of the(Called 60.136)acre tract on the Northeasterly line of a 100' wide Gulf States Utilities Company right of way, recorded in Volume 370, Page 38, Deed Records,Jefferson County,Texas;said'''"steel rod being the Southwest corner of the herein described tract; THENCE, North 52 deg., 25 min., 26 sec., West (Called North 52 deg., 25 min., 13 sec., West), on the Northeasterly line of said Gulf States Utilities Company right of way, a distance of 1251.26' passing a 5/8" steel rod,capped and marked"JAMA GROUP", found for a common corner of said Tract III and the (Called 61.526) acre tract,continuing for a total distance of 2452.63'to a 5/8"steel rod,capped and marked"JAMA GROUP",found on the Southeasterly line of the (Called 7.595) acre tract; said 5/8" steel rod being the most Northerly Northwest corner of the herein described tract; THENCE, North 39 deg., 19 min., 32 sec., East (Called North 39 deg., 09 min., 39 sec., East), on the South line of the(Called 7.595)acre tract,a distance of 242.42' to a /2" steel rod, capped and marked "SOUTEX", found for the most Westerly corner of a (Called 0.5602) acre tract of land recorded as a Non-Exclusive Access and Utility Easement, recorded in File No.2015017352,Official Public Records,Jefferson County,Texas;said%2" steel rod being an angle point on the Northwesterly line of the herein described tract; THENCE, South 50 deg., 54 min., 40 sec., East, on the Southwesterly line of the (Called 0.5602) acre tract,a distance of 59.88' to a %2"steel rod,capped and marked"SOUTEX", found for the most Northerly Northwest corner of Tract II of said Walker-Arena Hwy 347 tract;said'/"steel rod being an angle point on the Northwesterly line of the herein described tract; THENCE, South 50 deg., 48 min., 57 sec., East (Called South 50 deg., 50 min., 21 sec., East),on the Southwesterly line of said Tract II,a distance of 466.75' (Called 466.69') to a '/2'' steel rod, capped and marked "SOUTEX",found for the most Southerly corner of said Tract II; THENCE, North 39 deg., 09 min.,23 sec., East(Called North 39 deg., 09 min., 41 sec., East),on the Southeasterly line of said Tract II and Tract I of said Walker-Arena Hwy 347 plat, a distance of 933.68' to a 'A"steel rod,capped and marked"SOUTEX",found for the most Easterly corner of said Tract I; THENCE, North 50 deg., 50 min., 35 sec., West(Called North 50 deg., 50 min., 21 sec., West),on the Northerly line of said Tract I,a distance of 466.53' (Called 466.69') to a %2" steel rod,capped and marked"SOUTEX'',found for the most Northerly corner of said Tract I: said `/" steel rod being on the Southerly line of a (Called 2.544) acre tract of land -6- described as an Easement Estate for Access and Utilities to serve Tracts II through IV, recorded in File No.2015013861,Official Public Records,Jefferson County,Texas; THENCE, North 39 deg., 10 min., 06 sec., East (Called North 39 deg., 09 min., 41 sec., East), on the Southerly line of the (Called 2.544) acre tract, a distance of 294.89' (Called 294.82')to a'/"steel rod,capped and marked"SOUTEX",found for corner; THENCE,continuing on the Southerly right of way line of the(Called 2.544)acre tract on the arc of a curve to the right having a radius of 240.00', an arc length of 68.16', a chord bearing of North 46 deg.,53 min.,31 sec.,East,a chord distance of 67.93'to a Y2"steel rod, capped and marked"SOUTEX", found for the most Westerly corner of the (Called 10.38) acre tract;said%2"steel rod being the most Northerly corner of the herein described tract; THENCE, South 50 deg., 50 min., 41 sec., East, on the Southwesterly line of the (Called 10.33) acre tract, a distance of 814.67' to a ''/2" steel rod, capped and marked "SOUTEX", found for the most Southerly corner of the(Called 10.83)acre tract; THENCE, North 39 deg., I 1 min., 11 sec., East, on the Southeasterly line of the (Called 10.83) acre tract, a distance of 642.67' to the POINT OF BEGINNING and containing 96.33 acres of land,more or less. TRACT II: Tract Number IV,of WALKER-ARENA HIGHWAY 347,a subdivision in Jefferson County,Texas as the same appears upon the map or plat thereof,on file and or record under County Clerk's File No.2015010541,Official Public Records of Jefferson County,Texas. -7- + , ..-_..GVW-.5----.--*_,S..nel— Vim\ SNXOL'ALN000 NOSN3ii'31' + ..—"'...7..,,::„.7, �R"'�; AVMHOIH ALp NNLL Z 008£96.60:194 S�'d3MoM SZIOA3Ax(1S Ap, Xava SS3NNON£LO-OIMI ; C i �b:91L f°�'lmq}yimdOl'ON'0'IA'0'M:NI100 NOSil3i331' i0.� f�esud..PKI L£L£ NOISN3LX3 3NI1i131tlMy' .0 .d 1'-.as a...,. ,_ i., �,. .. ' `r °�. �,t WI 1. 1 ''.'1,,,` l L 1 }{'w I•I 1tj • c . ,.. ''. ., ,ra ♦ u..k. r ,,,,, fl,.+Y.'s,.::.::.-. _I . . L'^ % fi -t . el x i 3f.d ` ` _ v 1 b _Y � �. _-' I ds -,.405,541,-`5!g -4+ 77 7 i 1 + Vis: " I � 1 - 4 - -,7.5515,1,5,,`;',„ Ift fid' M ,�, ,�, ....... 4. qi to `y $ $..^ a ▪9 e*, .. f sst , { �}+y•_iytTa 7R' .s-`tg st3•. � y yt u" +P j',' y s c'. �Jp 4'2', j11 fF 4!.', '7 �'It},y,i �} ''‘'''"....5 y si. 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I vsrte •mine Tara•.s w:..:.,1••m•m mra•{Ad•m.n.Rr MST TOTE PROD.MO:,.-DXM _ 3737 D«ton Dri roar...A,Ace.a LAO..a,>m.xr.•.Na.Da maws M•Sr.....,r.7oD' Yr..m. Y..Y. .. .._._.M m mm�.._ SOLJ`1 X :::".-11.";:y.M.,..a.a.Pr.,a x.-FF.MrPdeAYt6ur,T,...27642 - r ogre a e g83 L a mw.....m.... "N'Yno22 Mlle`r.mw•maO' P.M/tan•ME ay..Y.WBr:Na► •D a.N _._ P TmL4O92WPRaerrL�� .. nac•Eo Br:ANµSURVEYORS�INGINEERS x7 uc APPROWn Br: �,Qr utpsfurvegontom N101WAY 3aT M Bdn D. . UAL a• ..,.xLx HTR 0014.0 06044301.TEXAS 77705SHEET 1 OF 2 TRACT III '0".7111.:••••••• • := =,: 1171.'="" NAa iu /022.0.1.56 2t. 4242 r w. .N 42 aWM.>,t r (�T9x02 .y,°pxN.."4:11 w.My 2.544 ACRE TRACT FOR ACCESS ANO U11UnE5 _ lwumrr.e.W.a 44-A xee CUT OF WERSON COUNTHE9IWAY x7 i.av ,.=-47.,m.,,• 7 -«°un 7742 7 Fp mswwil,v.6Aa ,(•'FFWSON COUNTY,DOM �•'1`,-A•C SCALE. _x00 >sE:gyp`:. ...."N..•�''."�'ern.".,ve:r.p� _-_ _--� E (vueoNswa•e°6:367 -- '� .` ▪ art 1 ZI -- r Moon r 2.9101167426, �. own 4242, 4242.41w.......x_ I �� D. ' ik ▪ 44,420:.... 4207. ,_ :, xN.F ;. w .aNw I NOVA I I V ay. aP.2.. I pa.1=5"t.x.c I r.M.RaR.,x.t I r.. .a.x.a I ▪4242.▪ ........1er,wa.......r.N12.,7w..a. "' I I I r.wl7.ww,.0....< ▪ � r':1••' dam: ORDINANCE NO.2018-27 AN ORDINANCE BY THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS ("CITY") APPROVING THE SETTLEMENT FILED IN ENTERGY TEXAS,INC.'S RATE PROCEEDING INITIATED ON MAY 15, 2018; FINDING THAT THE MEETING COMPLIES WITH THE OPEN MEETINGS ACT; MAKING OTHER FINDINGS AND PROVISIONS RELATED TO THE SUBJECT;AND DECLARING AN EFFECTIVE DATE WHEREAS, on or about May 15, 2018 Entergy Texas, Inc. ("ETI" or "Company") filed a Statement of Intent with the City to increase electric rates in its service area by $117.5 million per year;and WHEREAS,ETI proposed to offset the first two years of the rate increase by about $100.8 million per year for income taxes that it over-collected as a result of the Tax Cuts and Job Act of 2017("TCJA");and WHEREAS, the City suspended the effective date of ETI's rates within its jurisdictional limits until September 17,2017,and retained the Lawton Law Firm,P.C.to review the Company's rate change request and proposed tariffs;and WHEREAS,the City denied ETI's rate request on September 10,2018;and WHEREAS, concurrently with its filing with the City, the Company filed its Statement of Intent with the Public Utility Commission of Texas("PUC"or"Commission") on May 15,2018,under Docket No.48371;and WHEREAS,the City intervened in Docket No.48371 at the Commission along with other cities pursuant to the Public Utility Regulatory Act("PURA")§33.025;and WHEREAS,ETI,PUC Staff,and other intervening parties participating in Docket No. 48371 have reached a settlement of ETI's base rate increase request;and WHEREAS, the settlement authorizes a $53.2 million increase to ETI's current adjusted revenues;and WHEREAS, the settlement provides that ETI will return to customers approximately$205 million(including interest)in excess deferred tax savings that accrued pursuant to the TCJA;and WHEREAS,the settlement provides that ETI will return to customers$25 million for tax over-collections in 2018 as a result of the TCJA;and WHEREAS,over the first four years rates are in effect, Residential customers will experience a $2.9 million annual decrease compared to current rates, Small General Service customers will receive a$1.3 million annual increase,and Street Lighting rates will decrease by about $900,000 per year. The impact on the remaining rates classes will average out to a$3.6 million annual decrease for General Service customers,a$700,000 annual increase for Large General Service customers,and a$1.1 million annual increase for Large Industrial Power Service customers;and WHEREAS,having reviewed the Company's rate change request and the terms of the proposed settlement, the Lawton Law Firm has recommended approval of the settlement agreement;and WHEREAS, settlement of the case will reduce the risk of an unanticipated or negative outcome and will also reduce litigation expenses;and 1 WHEREAS,the settlement will result in a just and reasonable outcome and is in the public interest. NOW THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND,TEXAS,THAT: Section 1. That the statement and findings set out in the preamble to this Ordinance are hereby in all things approved and adopted. Section 2. The settlement agreement proposed in PUC Docket No. 48731 is approved. Section 3. The meeting at which this ordinance was approved was in all things conducted in strict compliance with the Texas Open Meetings Act, Texas Government Code,Chapter 551. Section 4. This ordinance shall become effective from and after its passage. PASSED AND APPROVED this 24TH day of SEPTEMBER,2018. # 14 Mayor R9'Dick"Nugent mit' . alei A/ _.i A/� Gay Fergus 1 ,City Cler 1 e a, cialfrphynev 2 Ordinance Number a01%—a3 AN ORDINANCE AUTHORIZING THE ISSUANCE OF CITY OF NEDERLAND, TEXAS, TAX AND REVENUE CERTIFICATES OF OBLIGATION, SERIES 2018; AND LEVYING AN AD VALOREM TAX; PLEDGING CERTAIN NET REVENUES; AUTHORIZING THE EXECUTION OF A TRANSFER AND PAYING AGENCY AGREEMENT; AND OTHER MATTERS IN CONNECTION THEREWITH CITY OF NEDERLAND,TEXAS ADOPTED September 24, 2018 56432017.1 TABLE OF CONTENTS Page ARTICLE ONE THE CERTIFICATES SECTION 1.1 Authorization and Terms; Purpose 2 SECTION 1.2 Redemption 3 SECTION 1.3 Execution,Registration, Delivery, and Dating 5 SECTION 1.4 Registration, Transfer, and Exchange 6 SECTION 1.5 Mutilated, Destroyed, Lost, and Stolen Certificates 7 SECTION 1.6 Persons Deemed Owners 7 SECTION 1.7 Cancellation 7 SECTION 1.8 Book-Entry Only 8 ARTICLE TWO DEFINITIONS AND OTHER PROVISIONS OF GENERAL APPLICATION SECTION 2.1 Definitions 9 SECTION 2.2 Notices 13 SECTION 2.3 Effect of Headings and Table of Contents; Recitals 13 SECTION 2.4 Ordinance a Contract; Amendments 13 SECTION 2.5 Benefits of Ordinance 14 SECTION 2.6 Repealer 14 SECTION 2.7 Governing Law 14 SECTION 2.8 Severability 14 SECTION 2.9 Public Meeting 15 SECTION 2.10 Authority of Officers 15 ARTICLE THREE FORMS SECTION 3.1 Forms Generally 16 SECTION 3.2 Form of Definitive Certificate 17 SECTION 3.3 Form of Registration Certificate of Comptroller of Public Accounts 23 SECTION 3.4 Form of Certificate of Paying Agent 23 SECTION 3.5 Form of Assignment 24 SECTION 3.6 Form of Initial Certificate 24 SECTION 3.7 Insurance Legend 25 ARTICLE FOUR TAXES, REVENUES,AND FUNDS; INVESTMENTS SECTION 4.1 Certificate Fund 26 SECTION 4.2 Deposits to Certificate Fund; Excess Certificate Proceeds 26 SECTION 4.3 System Account 26 SECTION 4.4 Construction Accounts 27 SECTION 4.5 Investments and Security For Funds 27 SECTION 4.6 Tax Levy 27 56432017.1 1 TABLE OF CONTENTS Page SECTION 4.7 Net Revenues 28 SECTION 4.8 Issuance of Additional Obligations 29 ARTICLE FIVE COVENANTS SECTION 5.1 To Maintain Agency 30 SECTION 5.2 To Maintain and Operate the System and Insure Property 30 SECTION 5.3 Rates and Charges 31 SECTION 5.4 Records and Accounts,Annual Audit 31 SECTION 5.5 Special Covenants 31 SECTION 5.6 Covenants to Maintain Tax-Exempt Status 32 SECTION 5.7 Remedies in Event of Default 35 ARTICLE SIX DEFEASANCE SECTION 6.1 Discharge of Obligations 36 ARTICLE SEVEN SALE SECTION 7.1 Sale of the Certificates 38 SECTION 7.2 Payment of Costs of Issuance; Engagement of Bond Counsel 38 SECTION 7.3 Official Statement 38 ARTICLE EIGHT CONTINUING DISCLOSURE UNDERTAKING SECTION 8.1 Definitions 39 SECTION 8.2 Updated Information and Data 39 SECTION 8.3 Material Event Notices 40 SECTION 8.4 Limitations, Disclaimers, and Amendments 41 56432017.1 11 AN ORDINANCE AUTHORIZING THE ISSUANCE OF CITY OF NEDERLAND,TEXAS, TAX AND REVENUE CERTIFICATES OF OBLIGATION, SERIES 2018; AND LEVYING AN AD VALOREM TAX; PLEDGING CERTAIN NET REVENUES; AUTHORIZING THE EXECUTION OF A TRANSFER AND PAYING AGENCY AGREEMENT; AND OTHER MATTERS IN CONNECTION THEREWITH RECITALS 1. The City Council (the "Governing Body") of the City of Nederland, Texas (the "Issuer"), a home rule city, has given notice of its intent to issue certificates of obligation (the "Certificates") in an amount not to exceed $9,695,000 for the purpose of paying contractual obligations of the Issuer to be incurred for construction of public works, and purchase of materials, supplies, equipment, machinery, buildings, land, and rights-of-way for authorized needs and purposes, to wit: (1) improvements and expansion to existing sanitary sewer facilities; including replacement of main sewer lines and sewage treatment plant improvements; and (2) certain other costs related and incidental thereto and the issuance costs of the Certificates. The notice was published once a week for two consecutive weeks in a newspaper of general circulation in the Issuer, the first publication being before and not less than 30 days prior to the tentative date stated in the notice for the passage of this ordinance. 2. No petition signed by at least 5% of the qualified electors of the Issuer protesting the issuance of the Certificates has been presented to or filed with the City Clerk of the Issuer prior to the date set in such notice for passage of this Ordinance, nor has any such petition been filed as of this date. 3. The Governing Body has found and determined that $9,695,000 in aggregate principal amount of the Certificates described in such notice should now be issued and sold, and has adopted this ordinance authorizing issuance of such Certificates. 4. It is in the Issuer's best interest to issue the certificate of obligations described herein. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS, THAT: 56432017.1 1 ARTICLE ONE THE CERTIFICATES SECTION 1.1 Authorization and Terms; Purpose. A. Authorization, Title, Principal Amount, and Purpose. The Certificates are hereby authorized to be issued in the aggregate principal amount of $9,695,000 and are entitled the Issuer's "TAX AND REVENUE CERTIFICATES OF OBLIGATION, SERIES 2018", to pay contractual obligations incurred to make permanent public improvements and for other public purposes all as stated in Recital 1 hereto, pursuant to the authority conferred by and in conformity with the laws of the State of Texas, particularly Texas Government Code section 1502.052, and the Certificate of Obligation Act of 1971, Texas Local Government Code sections 271.041 through 271.065, each as now in effect. The Certificates shall have a Dated Date of October 1, 2018 (which is the "Dated Date" of the Certificates and to be inserted below"Dated Date"immediately below the title thereof). B. Denominations, Maturities, Rates of Interest. The Stated Maturities of the Certificates are September 1 of the years and the aggregate principal amounts set forth below in this Subsection, and interest on the Certificates of each Stated Maturity accrues from the Issue Date or the most recent Interest Payment Date to which interest has been paid or duly provided for, until such Certificates are paid or due provision therefor is made at or after the Maturity thereof, at the per annum rates set forth opposite such Stated Maturity below, calculated on the basis of a 360-day year of twelve 30-day months and payable semiannually on each March 1 and September 1 commencing March 1, 2019: Year of Principal Interest Year of Principal Interest Stated Amount Rate (%) Stated Amount Rate (%) Maturity Maturity 2019 $340,000 4.000% 2029 $485,000 3.000% 2020 350,000 4.000 2030 500,000 3.250 2021 365,000 4.000 2031 520,000 3.250 2022 380,000 4.000 2032 535,000 3.375 2023 395,000 4.000 2033 555,000 3.375 2024 410,000 4.000 2034 570,000 3.500 2025 425,000 4.000 2035 590,000 3.500 2026 440,000 4.000 2036 610,000 3.500 2027 460,000 3.000 2037 635,000 3.500 2028 475,000 3.000 2038 655,000 3.500 C. Payment. The principal of the Certificates is payable upon surrender, and the interest on the Certificates is payable, at the corporate trust office of the Paying Agent in Dallas, Texas or at such other city as designated by the Issuer upon Notice to the Registered Owners. Such place is herein referred to as the"Place of Payment". 56432017.1 2 The Issuer shall transfer the principal of the Certificates to the Paying Agent on or prior to the date it is due. If the specified date for any payment of principal (or Redemption Price) of or interest on the Certificates is a Saturday, Sunday, or legal holiday or equivalent (other than a moratorium) for banking institutions generally in the city of the Place of Payment,such payment may be made on the next succeeding day which is not one of the foregoing days without additional interest and with the same force and effect as if made on the specified date for such payment. D. Payment of Interest; Interest Rights Preserved. Interest on any Certificate is payable to the Registered Owner thereof as of the Record Date and is payable(i) by check sent by United States Mail, first-class postage prepaid, by the Paying Agent, to the address of the Registered Owner appearing in the Security Register, or (ii) by such other method acceptable to the Paying Agent requested in writing by the Registered Owner at the Registered Owner's risk and expense. In the event of a non-payment of interest on a scheduled payment date, and for 30 days thereafter, a new record date for such interest payment (a "Special Record Date") will be established by the Paying Agent, if and when funds for the payment of such interest have been received from the Issuer. Notice of the Special Record Date and of the scheduled payment date of the past due interest("Special Payment Date", which shall be 15 days after the Special Record Date) shall be sent at least five business days prior to the Special Record Date by United States mail, first class postage prepaid, to the address of each Registered Owner of a Certificate appearing on the registration books of the Paying Agent at the close of business on the last business day next preceding the date of mailing of such notice. Notice of the proposed payment of such Defaulted Interest and the Special Record Date therefor having been mailed as aforesaid, such Defaulted Interest must be paid to the Persons in whose names the Certificates (or their respective Predecessor Certificates) are registered on such Special Record Date. E. Legal Tender. The principal of and interest on the Certificates is payable in any coin or currency of the United States of America which at the time of payment is legal tender for the payment of public and private debts, without exchange or collection charges to the Registered Owner. SECTION 1.2 Redemption. A. Optional and Mandatory Redemption. The Certificates are subject to redemption at the option of the Issuer and by mandatory redemption prior to Stated Maturity on the Redemption Dates and Redemption Prices as provided in the Form of Certificate in Section 3.2. B. Exercise of Redemption Option. At least 45 days prior to a date of redemption (the "Redemption Date") (unless a shorter notification period shall be satisfactory to the Paying Agent), the Issuer shall notify the Paying Agent of its decision to exercise the right to optionally redeem Certificates, the principal amount of each Stated Maturity to be redeemed, and the Redemption Date. The decision of the Issuer to exercise the right to redeem Certificate shall be entered in the minutes of the Governing Body. 56432017.1 3 C. Selection of Certificates for Redemption. If less than all Outstanding Certificates of the same Stated Maturity are to be redeemed on a Redemption Date, the Paying Agent shall select at random and by lot the Certificates to be redeemed, provided that if less than the entire principal amount of a Certificate is to be redeemed, the Paying Agent shall treat such Certificate then subject to redemption as representing the number of Certificates Outstanding which is obtained by dividing the principal amount of such Certificate by$5,000. D. Notice of Redemption. Not less than 30 days prior to a Redemption Date, the Issuer shall cause a notice of redemption to be sent by United States Mail, first-class postage prepaid, in the name of the Issuer and at the Issuer's expense, by the Paying Agent to each Holder of a Certificate to be redeemed in whole or in part at the address of the Holder appearing on the Security Register at the close of business on the business day next preceding the date of mailing such notice, and any notice of redemption so mailed shall be conclusively presumed to have been duly given irrespective of whether received by the Holder. All notices of redemption shall state: (1) the Redemption Date, (2) the redemption price (the"Redemption Price"), (3) the principal amount and identification (by Issuer and Certificate name, CUSP number, Stated Maturity, interest rate, Dated Date, and, in the case of partial redemption, the Certificate numbers and respective principal amounts) of Certificates to be redeemed, (4) that on the Redemption Date the Redemption Price of each of the Certificates to be redeemed will become due and payable and that interest thereon shall cease to accrue from and after said date, and (5) that the Certificates to be redeemed are to be surrendered for payment of the Redemption Price at the Place of Payment, and the address of such Place of Payment. E. Limitation on Transfer/Exchange of Certificates. Neither the Issuer nor the Paying Agent is required to transfer or exchange any Certificates selected for redemption within 45 days of the Redemption Date, provided however, such limitation shall not be applicable to an exchange by the Holder of the unredeemed balance of a Certificate which is subject to partial redemption. F. Payment of the Redemption Price. If a Certificate is subject by its terms to redemption and has been called for redemption and notice of redemption thereof has been duly given as hereinabove provided, such Certificate (or the principal amount thereof to be redeemed) so called for redemption shall become due and payable, and if money sufficient for the payment of such Certificates (or of the principal amount thereof to be redeemed) at the then applicable Redemption Price is held for the purpose of such payment by the Paying Agent, then on the Redemption Date, interest on the Certificate (or the principal amount thereof to be redeemed) called for redemption shall cease to accrue and such Certificates shall no longer be deemed Outstanding hereunder. 56432017.1 4 If any Certificate called for redemption shall not be so paid upon surrender thereof for redemption, the same shall continue to bear interest from the Redemption Date therefore at the rate borne by such Certificates. SECTION 1.3 Execution, Registration, Delivery, and Dating. The Mayor of the Issuer shall execute the Certificates on behalf of the Issuer and such signature shall be attested by the City Clerk of the Issuer. The signature of either of said officers on the Certificates may be manual or facsimile. Certificates bearing the manual or facsimile signatures of individuals who were at the time the proper officers of the Issuer bind the Issuer, notwithstanding that such individuals or either of them cease to hold such offices prior to the certification and delivery of such Certificates. The Mayor of the Issuer is authorized and directed to execute and the City Clerk of the Issuer to attest the Initial Certificates in the name of Cede & Co. The Mayor of the Issuer is further authorized and directed to submit the Initial Certificates, together with the record of the proceedings authorizing the issuance thereof and any and all other necessary orders, certificates, and records, to the Attorney General of Texas for approval. After the Attorney General has approved such Certificates, the Mayor of the Issuer shall cause such Certificates to be delivered to the Comptroller of Public Accounts of the State of Texas for registration. If requested by the Attorney General or its representatives, or if otherwise deemed necessary to properly evidence the intent of the Issuer in the adoption of this Ordinance, the Mayor or Mayor pro tem of the Issuer may make such ministerial changes in the written text of this Ordinance as such officer determines are consistent with the intent and purposes of this Ordinance, which determination shall be final. Upon registration of the Certificates, the Comptroller is authorized and directed to deliver the Certificates in accordance with instructions of the Mayor of the Issuer. At any time thereafter the Issuer may deliver such Certificates to the Paying Agent together with definitive Certificates to be issued in exchange therefor, and the Paying Agent is directed, within not more than five business days following receipt of instructions from the payee named therein designating the Persons, Stated Maturities, and denominations to and in which such Certificates are to be transferred, register and deliver such definitive Certificates as provided in such instructions. The officers or acting officers of the Governing Body are authorized to execute and deliver on behalf of the Governing Body such certificates and instruments as may be necessary to accomplish or in furtherance of the delivery of the Certificates to and payment therefor by the Purchasers. All Certificates registered and delivered by the Paying Agent hereunder are to be dated by the Paying Agent the date of their registration. No Certificate is entitled to any right or benefit under this Ordinance, or is valid or obligatory for any purpose, unless there appears on such Certificate either a certificate of registration substantially in the form provided in Section 3.3, executed by the Comptroller of Public Accounts of the State of Texas or his duly authorized agent by manual signature, or a certificate of registration substantially in the form provided in Section 3.4, executed by the Paying Agent by manual signature, and either such certificate upon any Certificate is conclusive 56432017.1 5 evidence, and the only evidence, that such Certificate has been duly certified or registered and delivered. SECTION 1.4 Registration, Transfer, and Exchange. The Issuer shall cause to be kept at the Place of Payment a register (herein referred to as the "Security Register") in which, subject to such reasonable regulations as the Issuer or the Paying Agent may prescribe, the Paying Agent shall provide for the registration of the Certificates and of transfers of the Certificates as herein provided. Upon surrender for transfer of any Certificate at the Place of Payment, the Issuer shall execute, and the Paying Agent shall register and deliver, in the name of the designated transferee or transferees, one or more new Certificates of the same Stated Maturity, of any authorized denominations, and of a like aggregate principal amount. New Certificates registered, and delivered in an exchange or transfer will be delivered by the Paying Agent at the Place of Payment or sent by United States mail at the Registered Owner's written request, risk, and expense. At the option of the Registered Owner, Certificates may be exchanged for other Certificates of the same Stated Maturity, of any authorized denominations, and of like aggregate principal amount, upon surrender of the Certificates to be exchanged at the Place of Payment. Whenever any Certificates are so surrendered for exchange; the Issuer shall execute, and the Paying Agent shall register and deliver, the Certificates which the Registered Owner of Certificates making the exchange is entitled to receive. All Certificates issued in any transfer or exchange of Certificates shall be delivered to the Registered Owners at the principal corporate trust office of the Paying Agent or sent by United States Mail, first class, postage prepaid to the Registered Owners, and, upon the registration and delivery thereof, the same shall be the valid obligations of the Issuer, evidencing the same obligation to pay, and entitled to the same benefits under this Ordinance, as the Certificates surrendered in such transfer or exchange. Every Certificate presented or surrendered for transfer or exchange must be duly endorsed, or be accompanied by a written instrument of transfer in form satisfactory to the Paying Agent duly executed, by the Registered Owner thereof or his attorney duly authorized in writing. No service charge may be made to the Registered Owner for any registration, transfer, or exchange of Certificates, but the Issuer or the Paying Agent may require payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in connection with any transfer or exchange of Certificates. Neither the Issuer nor the Paying Agent is required (1) to transfer or exchange any Certificate during a period beginning 45 days prior to a redemption date hereunder and ending at the close of business on the day of mailing of a notice of redemption or (2) thereafter to transfer or exchange in whole or in part any Certificate so selected for redemption. 56432017.1 6 SECTION 1.5 Mutilated, Destroyed, Lost, and Stolen Certificates. If(1) any mutilated Certificate is surrendered to the Paying Agent, or the Issuer and the Paying Agent receive evidence to their satisfaction of the destruction, loss, or theft of any Certificate, and (2) there is delivered to the Issuer and the Paying Agent such security or indemnity as they require to save each of them harmless, then, in the absence of notice to the Issuer or the Paying Agent that such Certificate has been acquired by a bona fide purchaser, the Issuer shall execute and upon its request the Paying Agent shall register and deliver, in exchange for or in lieu of any such mutilated, destroyed, lost, or stolen Certificate, a new Certificate of the same Stated Maturity, and of like tenor and principal amount, bearing a number not contemporaneously outstanding. In case any such mutilated, destroyed, lost, or stolen Certificate has become or is about to become due and payable, the Issuer in its discretion may pay such Certificate instead of issuing a new Certificate. Upon the issuance of any new Certificate under this Section, the Issuer or the Paying Agent may require the payment of a sum sufficient to cover any tax or other governmental charge that may be imposed in relation thereto and any other expenses connected therewith. Every new Certificate issued pursuant to this Section in lieu of any mutilated, destroyed, lost, or stolen Certificate constitutes an original additional contractual obligation of the Issuer, whether or not the mutilated, destroyed, lost, or stolen Certificate is at any time enforceable by anyone, and the new Certificate is entitled to all the benefits of this Ordinance equally and ratably with all other Outstanding Certificates. The provisions of this Section are exclusive and preclude (to the extent lawful) all other rights and remedies with respect to the replacement and payment of mutilated, destroyed, lost, or stolen Certificates. SECTION 1.6 Persons Deemed Owners. The Issuer and the Paying Agent, and any agent of either, may treat the Registered Owner as the owner of a Certificate for purposes of receiving payment of principal of and (subject to Section 1.1) interest on the Certificate and for all other purposes whatsoever, whether or not the Certificate is due or overdue, and neither the Issuer nor the Paying Agent, or any agent of either, is affected by notice to the contrary. All payments made to or duly provided for the Bondholder in accordance with this Ordinance will be valid and effectual and will discharge the liability of the Issuer to the extent of the sums paid in or duly provided for. SECTION 1.7 Cancellation. All Certificates surrendered for payment,redemption, transfer, exchange, or replacement, if surrendered to the Paying Agent, are to be promptly canceled by it and, if surrendered to the Issuer, are to be delivered to the Paying Agent and, if not already canceled, are to promptly be canceled by the Paying Agent. The Issuer may at any time deliver to the Paying Agent for cancellation any Certificates previously certified and delivered which the Issuer acquires in any 56432017.1 7 manner whatsoever, and all Certificates so delivered are to be promptly canceled by the Paying Agent. No Certificate may be certified in lieu of or in exchange for any Certificate canceled as provided in this Section, except as expressly provided by this Ordinance. All canceled Certificates held by the Paying Agent are to be disposed of in accordance with the standard document retention policies of the Issuer. SECTION 1.8 Book-Entry Only. Notwithstanding the provisions contained in Sections 1.3, 1.4 and 1.5 relating to the payment, redemption and transfer/exchange of the Certificates, the Issuer hereby approves and authorizes the use of "Book-Entry Only" securities clearance, settlement and transfer system provided by The Depository Trust Company ("DTC"), a limited purpose trust company organized under the laws of the State of New York, in accordance with DTC's requirements and procedures, and authorizes the Issuer and the Paying Agent to take such as actions as are necessary to qualify the Certificates with DTC and to deliver the Certificates through DTC. Pursuant to the rules and procedures of DTC now in effect, the Certificates shall be deposited with DTC (or with the Paying Agent on behalf of DTC) who shall hold said Certificates for its participants (the "DTC Participants"). While the Certificates are so held, the Registered Owner of the Certificates on the Security Register for all purposes, including payment and notices, shall be Cede & Co., as nominee of DTC, notwithstanding the ownership of each actual purchaser or owner of each Certificate (the "Beneficial Owners") being recorded in the records of DTC and DTC Participants. In the event DTC determines to discontinue serving as securities depository for the Certificates or otherwise ceases to provide book-entry clearance and settlement of securities transactions in general or the Issuer determines that DTC is incapable of properly discharging its duties as securities depository for the Certificates, the Issuer covenants and agrees with the Registered Owners of the Certificates to cause Certificates to be printed in definitive form and provide for the certificated certificates to be issued and delivered to DTC Participants and Beneficial Owners, as the case may be. Thereafter, the Certificates in definitive form shall be assigned, transferred and exchanged on the Security Register maintained by the Paying Agent and payment of such Certificates shall be made in accordance with the provisions of Sections 1.3, 1.4 and 1.5. 56432017.1 8 ARTICLE TWO DEFINITIONS AND OTHER PROVISIONS OF GENERAL APPLICATION SECTION 2.1 Definitions. For all purposes of this Ordinance, except as otherwise expressly provided or unless the context otherwise requires: (1) The terms defined in this Section have the meanings assigned to them in this Section. (2) All terms defined herein include the plural as well as the singular. (3) All references in this Ordinance to designated "Articles", "Sections", "Exhibits", and other subdivisions are to the designated Articles, Sections, Exhibits, and other subdivisions of this Ordinance as originally adopted. (4) The words "herein", "hereof', and"hereunder" and other words of similar import refer to this Ordinance as a whole and not to any particular Article, Section, Exhibit, or other subdivision. "Certificate Fund" means the special fund of the Issuer created and established by the provisions of Section 4.1. "Certificates" means any obligation of the Issuer authorized to be issued by Article One, whether initially delivered or issued in exchange for or upon transfer or in lieu of any Predecessor Certificate. "Collection Date" means, for any year, the date that annual ad valorem taxes levied by the Issuer in that year become delinquent. "Debt Service Requirement"has the meaning stated in Section 4.6. "Fiscal Year" means the annual financial accounting period for the Issuer as established by the Issuer on or prior to the date of this Ordinance; provided, however, the Governing Body may change such annual financial accounting period to end on another date if such change is found and determined to be necessary for accounting purposes or is required by applicable law. "Governing Body" means the City Council of the Issuer. "Governmental Obligations" means (1) direct obligations of, or obligations the timely payment of the principal of and interest on which are fully and unconditionally guaranteed by, the United States of America, or (2) obligations authorized under Texas law from time to time for discharge and final payment of political or governmental obligations which, at the time of deposit have been assigned ratings in the highest rating category by a nationally recognized 56432017.1 9 investment rating firm, but in the case of both Clauses (1) and (2) only if such obligations may not be called for redemption prior to maturity. "Gross Revenues" for any period means all revenue during such period in respect or on account of the operation or ownership of the System, excluding refundable deposits, restricted gifts, refunds for amounts advanced in aid of construction, and grants in aid of construction, but including earnings and income derived from the investment or deposit of money in any special fund or account (other than earnings on the Certificate Fund) created and established for the payment or security of the Certificates. "Interest Payment Date" means a date specified in the Certificates as a fixed date on which an installment of interest thereon is due and payable. "Issue Date"means the date on which Certificates are first registered and delivered to the Purchasers in exchange for the purchase price therefor. "Issuer"has the meaning stated in the Recitals. "Maintenance and Operating Expenses" means all current expenses of operating and maintaining the System not paid from the proceeds of the Certificates, including the cost of all salaries, labor, materials, interest, repairs, and extensions necessary to provide efficient service, and each proper item of expense, but only if, in the case of repairs and extensions, they are, in the judgment of the Governing Body, necessary to keep the System in operation and render adequate service to the Issuer and its residents, or respond to a physical accident or condition that would otherwise impair the Certificates or Prior Obligations or Parity Obligations. "Maturity" when used with respect to any Certificate means the date on which the principal of such Certificate becomes due and payable as therein provided, whether at the Stated Maturity, by call for redemption, or otherwise. "Net Revenues" for any period means the Gross Revenues less the Maintenance and Operating Expenses. "Ordinance" means this Ordinance as finally passed and adopted by the Governing Body or as it may from time to time be supplemented, modified, or amended in accordance with the provisions hereof. "Outstanding" when used with respect to Certificates means, as of the date of determination, all Certificates theretofore issued and delivered under this Ordinance, except, without duplication: (1) Canceled Certificates: Certificates theretofore canceled by the Paying Agent or delivered to the Paying Agent for cancellation; (2) Gross Cash Defeasance: Certificates for whose payment or redemption money in the necessary amount has been theretofore deposited with the Paying Agent in trust for the Registered Owner of such Certificates, provided that, if such Certificates are 56432017.1 10 to be redeemed, notice of such redemption has been duly given pursuant to this Ordinance, irrevocably provided for to the satisfaction of the Paying Agent, or waived; (3) Replaced Certificates: Certificates in exchange for or in lieu of which other Certificates have been registered and delivered pursuant to this Ordinance; (4) Paid Missing Certificates: Certificates alleged to have been destroyed, lost, or stolen which have been paid as provided in Section 1.5; and (5) Net Cash Defeasance : Certificates for the payment of the principal of and interest on which money or Governmental Obligations or both are held by the Paying Agent or other bank or trust company and with the effect specified in Section 6.1; provided, however, that in determining whether the Registered Owners of the requisite principal amount of Certificates Outstanding have given any request, demand, authorization, direction, notice, consent, or waiver hereunder, Certificates owned by the Issuer or any other obligor upon the Certificates are disregarded and deemed not Outstanding, except that, in determining whether the Paying Agent is protected in relying upon any such request, demand, authorization, direction, notice, consent, or waiver, only Certificates which the Paying Agent knows to be so owned are required to be so disregarded. "Parity Obligations" means the obligations of the Issuer now or hereafter issued with a lien on Net Revenues on a parity with the lien on Net Revenues granted the Certificates. "Paying Agent" means the corporation named as the "Paying Agent" herein until a successor Paying Agent becomes such pursuant to the applicable provisions of this Ordinance, and thereafter"Paying Agent"means such successor Paying Agent. "Person"means any individual, corporation, partnership,joint venture, association,joint- stock company, trust, unincorporated organization, or government or any agency or political subdivision thereof. "Place of Payment" means a corporate trust office of the Paying Agent in the State of Texas, as established in Section 1.1. "Predecessor Certificates" of any particular Certificate means every previous Certificate evidencing all or a portion of the same debt as that evidenced by such particular Certificate, and, for purposes of this definition, any Certificate registered and delivered under Section 1.5 in lieu of a mutilated, lost, destroyed, or stolen Certificate is deemed to evidence the same debt as the mutilated, lost, destroyed, or stolen Certificate. "Prior Obligations"means the obligations of the Issuer so defined in Section 4.7. "Purchaser" means the initial purchaser or purchasers of the Certificates named in Section 7.1 of this Ordinance. 56432017.1 1 1 "Registered Owner" mean the registered owner, whose name appears in the Security Register, for any Certificate. "Regular Record Date" for the interest payable on any Interest Payment Date means the close of business on the 15th day (whether or not a business day) of the calendar month next preceding such Interest Payment Date. "Security Register" has the meaning stated in Section 1.4. "Stated Maturity" when used with respect to any Certificate means the date specified in such Certificate as the fixed date on which the principal of such Certificate is due and payable. "Subordinate Lien Obligations" means any bonds, notes, warrants, certificates of obligation, or any similar obligations hereafter issued by the Issuer that are payable, in whole or in part, from and equally and ratably secured by a lien on and pledge of the Net Revenues, such pledge being subordinate and inferior to the lien on and pledge of Net Revenues to payment of the Certificates. "System" means all of the Issuer's waterworks and sewer system, together with all future extensions, improvements, and additions thereto and replacements thereof, excluding from the foregoing, however, to the extent now or hereafter authorized or permitted by law, facilities of any kind which are declared by the Governing Body, prior to the acquisition or construction thereof by the Issuer, not to be a part of the System and which are acquired or constructed by or on behalf of the Issuer with the proceeds from the issuance of"Special Facilities Obligations", which are hereby defined as being special revenue obligations of the Issuer which are not payable from Net Revenues but which are payable from and secured by other liens on and pledges of any revenues, sources, or payments, not pledged to the payment of the Certificates. SECTION 2.2 Notices. Where this Ordinance provides for notice to Registered Owners of any event, such notice is sufficiently given (unless otherwise herein expressly provided) if in writing and mailed, first- class postage prepaid, to each Registered Owner, at the address of such Registered Owner as it appears in the Security Register. Neither the failure to mail such notice, nor any defect in any notice so mailed, to any particular Registered Owner affects the sufficiency of such notice with respect to all other Registered Owners. Any notice so mailed shall be conclusively presumed to have been duly given, whether or not the Registered Owner receives such notice. Where this Ordinance provides for notice in any manner, such notice may be waived in writing by the Person entitled to receive such notice, either before or after the event with respect to which such notice is given, and such waiver is the equivalent of such notice. Waivers of notice by Registered Owners are to be filed with the Issuer, but such filing is not a condition precedent to the validity of any action taken in reliance upon such waiver. SECTION 2.3 Effect of Headings and Table of Contents; Recitals. The section headings herein and in the Table of Contents are for convenience only and do not affect the construction hereof 56432017.1 12 The Recitals contained in the preamble hereof are hereby found to be true, and such Recitals are hereby made a part hereof for all purposes and are adopted as part of the judgment and findings of the Governing Body. SECTION 2.4 Ordinance a Contract;Amendments. This Ordinance constitutes a contract with the Registered Owners entered into upon the initial purchase of the Certificates, is binding on the Issuer and its successors and assigns whether or not so expressed, and may not be amended or repealed by the Issuer so long as any Certificate remains Outstanding except as permitted in this Section. The Issuer may, without the consent of or notice to any Registered Owner, from time to time and at any time amend this Ordinance in any manner not detrimental to the interests of the Registered Owners, including the curing of any ambiguity, inconsistency, or formal defect or omission herein or therein. In addition,the Issuer may, with the written consent of the Registered Owners of a majority in aggregate principal amount of the Certificates then Outstanding affected thereby, amend, add to, or rescind any of the provisions of this Ordinance; provided that, without the consent of the Registered Owners of all of the affected Outstanding Certificates, no such amendment, addition, or rescission may (1) change the Stated Maturity of the Certificates or any Interest Payment Date for an installment of interest thereon, reduce the principal amount thereof, or the rate of interest thereon, change the place or places at, or the coin or currency in, which any Certificate or the interest thereon is payable, or in any other way modify the terms or sources of payment of the principal of or interest on the Certificates, (2) give any preference to any Certificate over any other Certificate, (3) modify any of the provisions of the proviso to the definition of the term "Outstanding", or (4) modify any of the provisions of this Section, except to increase the percentage provided hereby or to provide that certain other provisions of this Ordinance cannot be modified or waived without the consent of the Registered Owner of each Certificate affected thereby. Any consent to any amendment hereof by the Registered Owner of any Certificate binds every future Registered Owner of the same Certificate and the Registered Owner of every Certificate issued upon transfer or in lieu thereof or in exchange therefor, in respect of anything done or suffered to be done by the Issuer in reliance thereon, whether or not notation of such action is made upon such Certificate. SECTION 2.5 Benefits of Ordinance. Nothing in this Ordinance, expressed or implied, is intended or may be construed to confer upon any Person (other than the Issuer and Registered Owners) any right, remedy, or claim, legal or equitable, under or by reason of this Ordinance or any provision hereof, this Ordinance and all its provisions being intended to be and being for the sole and exclusive benefit of the Issuer and the Registered Owners. SECTION 2.6 Repealer. All orders, ordinances, and resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Ordinance are hereby repealed and declared to be 56432017.1 13 inapplicable to the extent of such conflict, and the provisions of this Ordinance are controlling as to the matters prescribed herein. SECTION 2.7 Governing Law. This Ordinance is to be construed in accordance with and governed by the laws of the State of Texas and the United States of America. SECTION 2.8 Severability. If any provision of this Ordinance or the application thereof to any Person or circumstance is held to be invalid, illegal, or unenforceable, the remainder of this Ordinance and the application of such provision to other Persons and circumstances is nevertheless valid, legal, and enforceable and the Governing Body hereby declares that this Ordinance would have been enacted without such invalid provision or application. SECTION 2.9 Public Meeting The Governing Body officially finds, determines, and declares that notice of the adoption of this Ordinance was posted as required by law at a location within the Issuer in a place readily accessible to the general public at all times for at least 72 hours preceding the scheduled time of the meetings at which this Ordinance is read and approved; that such meetings were open to the public; and that public notice of the time, place, and purpose of such meetings was given as required by Texas Government Code chapter 551, as amended. SECTION 2.10 Authority of Officers. The Mayor, the Mayor Pro Tem, the City Clerk or any assistant City Clerk, Manager, Attorney, or Director of Finance of the Issuer, or any of them, are authorized to evidence adoption of this Ordinance and to do any and all things proper and necessary to carry out the intent hereof. [The remainder of this page intentionally left blank.] 56432017.1 14 ARTICLE THREE FORMS SECTION 3.1 Forms Generally. The Certificates,the Registration Certificate of the Comptroller of Public Accounts of the State of Texas to be reproduced on the initial Certificates, the Registration Certificate of the Paying Agent to be reproduced on subsequently delivered Certificates, and the form of Assignment to be reproduced on each of the Certificates are to be substantially in the forms set forth in this Article with such appropriate insertions, omissions, substitutions, and other variations as are permitted or required by this Ordinance, and the Certificates may have such letters, numbers, or other marks of identification (including identifying numbers and letters of the Committee on Uniform Securities Identification Procedures of the American Bankers Association) and such legends and endorsements (including any reproduction of an opinion of counsel or notice of insurance) thereon as may, consistently herewith, be determined by the officers executing such Certificates as evidenced by their execution thereof. Any portion of the text of any Certificates may be set forth on the reverse thereof, with an appropriate reference thereto on the face of the Certificate. The Certificates may be printed, lithographed, engraved, typewritten, photocopied, or produced by any combination of these methods, or produced in any other manner, all as determined by the officers executing such Certificates as evidenced by their execution thereof. The initial Certificates to be delivered to the Attorney General may be issued either(i) as a single fully registered certificate in the total principal amount of the Certificates with principal installments to become due and payable as provided in Section 1.1 hereof and numbered consecutively T-1 and upward, or (ii) as fully registered certificates, being one note for each stated maturity in the applicable principal amount and denomination and to be numbered consecutively from T-1 and upward(hereinafter called the"Initial Certificate(s)"). [The remainder of this page intentionally left blank.] 56432017.1 15 SECTION 3.2 Form of Definitive Certificate. Unless this certificate is presented by an authorized representative of The Depository Trust Company, a New York corporation ("DTC"), to the Issuer or its agent for registration of transfer, exchange, or payment, and any certificate issued is registered in the name of Cede & Co. or in such other name as is requested by an authorized representative of DTC (and any payment is made to Cede& Co. or to such other entity as is requested by an authorized representative of DTC), ANY TRANSFER, PLEDGE, OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL inasmuch as the registered owner hereof, Cede& Co.,has an interest herein. REGISTERED REGISTERED NO. $ United States of America State of Texas CITY OF NEDERLAND, TEXAS TAX AND REVENUE CERTIFICATE OF OBLIGATION, SERIES 2018 Interest Rate: Dated Date: Stated Maturity: CUSIP NO: October 112018 REGISTERED OWNER: PRINCIPAL AMOUNT: DOLLARS The City of Nederland, Texas (hereinafter together with its successors referred to as the "Issuer"), a body politic and municipal corporation duly organized and existing under and by virtue of the laws of the State of Texas, for value received, hereby promises to pay, but solely to and from the extent of the sources described herein, to the Registered Owner specified above or registered assigns, on the Stated Maturity specified above, the Principal Amount specified above, and to pay interest thereon to the Person herein specified from the Issue Date thereof, or from the most recent Interest Payment Date to which interest has been paid or duly provided for, until such principal is paid or duly provided for on or after such Stated Maturity or any earlier Redemption Date, semiannually on March 1 and September 1 in each year commencing March 1, 2019, at the per annum Interest Rate specified above, computed on the basis of a 360-day year of twelve 30-day months and, except as otherwise permitted by the Ordinance hereinafter referred to,to make the payments to the United States of America in the amounts and on the date therein described when due. Principal of this Certificate is payable at its Stated Maturity to the Registered Owner hereof, upon presentation and surrender, at the principal payment office of the Paying Agent executing the Registration Certificate of Paying Agent appearing hereon, which shall initially be BOKF,NA, or its successor in its designated place of payment, initially Dallas, Texas(the "Place of Payment"). 56432017.1 16 The interest so payable on, and paid or duly provided for on or within 10 days after, any Interest Payment Date will be paid to the Person in whose name this Certificate (or one or more Predecessor Certificates evidencing the same debt) is registered at the close of business on the Regular Record Date for such interest, which is the 15th day (whether or not a business day) of the calendar month next preceding such Interest Payment Date. Any such interest not so paid or duly provided for ceases to be payable to the Person in whose name such Certificate is registered on such Regular Record Date, and shall be paid to the Person in whose name this Certificate (or one or more Predecessor Certificates) is registered at the close of business on a Special Record Date for the payment of such Defaulted Interest to be fixed by the Paying Agent, notice whereof being sent to the Registered Owners of the Certificates not less than five business days prior to the Special Record Date. All such interest is payable at the Place of Payment. Such interest is payable (1)by check or draft mailed to the address of the Registered Owner as the same appears on the Security Register of the Issuer kept by the Paying Agent, as Registrar, or (2) in accordance with other customary arrangements acceptable to the Paying Agent made by the Registered Owner. The principal of this Certificate is payable at the Place of Payment upon presentation and surrender of this Certificate. All such payments must be made in such coin or currency of the United States of America as at the time of payment is legal tender for payment of public and private debts. If the specified date for any such payment is a Saturday, Sunday, or legal holiday or equivalent (other than a moratorium) for banking institutions generally in the city in which the Place of Payment is located, such payment may be made on the next succeeding day which is not one of the foregoing days without additional interest and with the same force and effect as if made on the specified date for such payment. This Certificate is one of the series specified in its title issued in the aggregate principal amount of$9,695,000 (the "Certificates") pursuant to an Ordinance adopted by the governing body of the Issuer (the "Ordinance"), to pay contractual obligations of the Issuer incurred construction of public works, and purchase of materials, supplies, equipment, machinery, buildings, land, and rights-of-way for authorized needs and purposes, to wit: (1) improvements and expansion to existing sanitary sewer facilities; including replacement of main sewer lines and sewage treatment plant improvements; and (2) certain other costs related and incidental thereto and the issuance costs of the Certificates, under and in strict conformity with the laws of the State of Texas, particularly Texas 1502.052 section and the Certificate of Obligation, Act of 1971, as amended, Texas Local Government Code sections 271.041 through 271.063, as amended. The Certificates with a Stated Maturity on or after September 1, 2027 may be redeemed at the option of the Issuer, on notice mailed to the Registered Owners thereof not less than 30 days prior to the Redemption Date as provided in the Ordinance, as a whole or from time to time in part in integral multiples of$5,000 principal on any date prior to their Stated Maturity, but not before September 1, 2026,upon payment of the Redemption Price, which is the principal amount thereof together with interest, if any, accrued from the most recent Interest Payment Date to the Redemption Date. The optional redemption of certificates may be conditioned upon issuance of one or more series of refunding bonds or obligations to pay the redemption price of the Certificates to be redeemed on or prior to the redemption date. 56432017.1 17 Certificates of a denomination larger than $5,000 may be redeemed in part (in, and leaving unredeemed, an authorized denomination) and upon any partial redemption of any such Certificate the same must be surrendered in exchange for one or more new Certificates of the same Stated Maturity in authorized denominations for the unredeemed portion of principal. Certificates (or portions thereof) for whose redemption and payment provision is made in accordance with the Ordinance cease to bear interest from and after the Redemption Date. If this Certificate (or any portion of the principal sum hereof) has been duly called for redemption and notice of such redemption duly given, then upon such redemption date this Certificate (or the portion of the principal sum hereof to be redeemed) is due and payable, and, if money for the payment of the redemption price and the interest accrued on the principal amount to be redeemed to the date of redemption is held for the purpose of such payment by the Paying Agent, interest ceases to accrue and to be payable hereon from and after the redemption date on the principal amount hereof to be redeemed. The Certificates of this series are payable from the proceeds of an ad valorem tax levied upon all taxable property within the Issuer, within the limitations prescribed by law, and are further payable from and secured by a lien on and pledge of the Net Revenues derived from the operation of the Issuer's waterworks and sanitary sewer system (the "System") as identified and defined in the Ordinance. In the Ordinance, the Issuer reserves and retains the right to issue additional obligations prior and superior in right to, on a parity with, or subordinate to the Certificates with respect to the lien on Net Revenues, and the Certificates are issued with the pledge of Net Revenues subordinate to the pledge of Net Revenues to the Issuer's other outstanding obligations, and any other obligations of the Issuer hereafter issued which are issued with a pledge of Net Revenues prior and senior to or on a parity with the pledge of Net Revenues to the Certificates. Reference is hereby made to the Ordinance, copies of which are on file in the principal corporate trust office of the Paying Agent, and to all of the provisions of which the Registered Owner by his acceptance hereof hereby assents, for definitions of terms; the description of and the nature and extent of the tax levied and the revenues pledged for the payment of the Certificates; the terms and conditions relating to the transfer or exchange of the Certificates; the conditions upon which the Ordinance may be amended or supplemented with or without the consent of the Registered Owner; the rights, duties, and obligations of the Issuer and the Paying Agent;the terms and provisions upon which this Certificate may be redeemed or discharged at or prior to the Stated Maturity thereof, and deemed to be no longer Outstanding thereunder; and for the other terms and provisions specified in the Ordinance. Capitalized terms used herein have the same meanings assigned in the Ordinance. The Ordinance permits, with certain exceptions as therein provided, the amendment thereof and the modification of the rights and obligations of the Issuer and the rights of the Registered Owners of the Certificates under the Ordinance at any time by the Issuer with the consent of the Registered Owners of a majority in aggregate principal amount of such Certificates at the time outstanding affected by such modification. Any such consent by the Registered Owners of this Certificate or any Predecessor Certificate herefor evidencing the same debt is conclusive and binding upon such Registered Owner and all future Registered Owners of 56432017.1 18 this Certificate and of any Certificate issued upon the transfer or in lieu hereof or in exchange herefor,whether or not notation of such consent is made upon this Certificate. As provided in the Ordinance and subject to certain limitations therein set forth, this Certificate is transferable on the Security Register of the Issuer,upon surrender of this Certificate for transfer to the Paying Agent at the Place of Payment, duly endorsed by, or accompanied by a written instrument of transfer in form satisfactory to the Paying Agent duly executed by, the Registered Owner hereof or its attorney duly authorized in writing, and thereupon one or more new fully registered Certificates of the same Stated Maturity, of authorized denominations, and for the same aggregate principal amount will be issued to the designated transferee or transferees. The Certificates are issuable as fully registered Certificates in denominations of principal, equal to $5,000 and any integral multiple thereof. Upon surrender of this Certificate for exchange to the Paying Agent at the Place of Payment, and subject to certain limitations set forth in the Ordinance, one or more new fully registered Certificates of the same Stated Maturity, of designated authorized denominations, and for the same aggregate principal amount will be issued to the Registered Owner of this Certificate. No service charge may be made for any transfer or exchange hereinabove referred to, but the Issuer or the Paying Agent may require payment of a sum sufficient to cover any tax or governmental charge payable in connection therewith. The Issuer, the Paying Agent, and any agent of either of them may treat the Person in whose name this Certificate is registered as the Registered Owner hereof for the purpose of receiving payment as herein provided and for all other purposes, whether or not this Certificate be overdue, and none of the Issuer, the Paying Agent, and any such agent is affected by notice to the contrary. It is hereby certified, covenanted, and represented that all acts, conditions, and things required to be performed, exist, and be done precedent to the issuance of this Certificate in order to render the same a legal,valid, and binding obligation of the Issuer have been performed, exist, and have been done, in regular and due time, form, and manner, as required by law, and that issuance of the Certificates does not exceed any constitutional or statutory limitation. In case any provision in this Certificate or any application thereof is deemed invalid, illegal, or unenforceable, the validity, legality, and enforceability of the remaining provisions and applications is not in any way affected or impaired thereby. The terms and provisions of this Certificate and the Ordinance are to be construed in accordance with and governed by the laws of the State of Texas. Unless either a Registration Certificate hereon has been executed by the Comptroller of Public Accounts of the State of Texas or his duly authorized agent or by the Paying Agent, respectively, by manual signature, this Certificate shall not be entitled to any benefit under the Ordinance or be valid or obligatory for any purpose. 56432017.1 19 IN WITNESS WHEREOF, the Issuer has caused this Certificate to be duly executed. c) ..R1-41/0 CITY OF NEDERLAND, TEXAS .'741 V; By Mayor C ty Clerk [The remainder of this page intentionally left blank.] 56432017.1 20 SECTION 3.3 Form of Registration Certificate of Comptroller of Public Accounts. REGISTRATION CERTIFICATE OF COMPTROLLER OF PUBLIC ACCOUNTS* OFFICE OF THE COMPTROLLER § OF PUBLIC ACCOUNTS § § REGISTER NO THE STATE OF TEXAS § I HEREBY CERTIFY that this Certificate has been examined, certified as to validity and approved by the Attorney General of the State of Texas, and duly registered by the Comptroller of Public Accounts of the State of Texas. WITNESS my signature and seal of office this Comptroller of Public Accounts (SEAL) of the State of Texas * Note to Printer: Not to appear on printed Certificates SECTION 3.4 Form of Certificate of Paying Agent. CERTIFICATE OF PAYING AGENT* This Certificate has been duly issued under the provisions of the within-mentioned Ordinance; the Certificate or Certificates of the above-entitled and designated series originally delivered having been approved by the Attorney General of the State of Texas and registered by the Comptroller of Public Accounts, as shown by the records of the Paying Agent. Registration Date BOKF NA as Paying Agent By Authorized Officer * Note to Printer: Not to appear on initial Certificates 56432017.1 21 SECTION 3.5 Form ofAssignment. ASSIGNMENT FOR VALUE RECEIVED the undersigned hereby sells, assigns, and transfers unto (Print or typewrite name, address, and zip code of transferee): (Social Security or other identifying number: ) the within Certificate and all rights thereunder, and hereby irrevocably constitutes and appoints... attorney to transfer the within Certificate on the books kept for registration thereof, with full power of substitution in the premises. DATED: NOTICE: The signature on this assignment Signature guaranteed: must correspond with the name of the registered owner as it appears on the face of the within Certificate in every particular. SECTION 3.6 Form of Initial Certificate. The Initial Certificate shall be in the form set forth in Section 3.2 except that the form of a single fully registered Certificate shall be modified as follows: (i) immediately under the name of the Certificate the headings "Interest Rate ", "Stated Maturity ", and "CUSIP No. " will be omitted; (ii) Paragraph one will read as follows: The City of Nederland, Texas (hereinafter together with its successors referred to as the "Issuer"), a body politic and municipal corporation duly organized and existing under and by virtue of the laws of the State of Texas, for value received, hereby promises to pay, but solely to and from the extent of the sources described herein, to the Registered Owner specified above or registered assigns, the hereinabove stated the Principal Amount on September 1 in each of the years and in principal amounts and bearing interest at per annum rates in accordance with the following schedule: 56432017.1 22 Year of Principal Interest Stated Maturity Amount Rate(%) (Information to be inserted from schedule in Section 1.1 hereof). (or so much thereof as shall not have been paid upon prior redemption) and to pay interest thereon computed on the basis of a 360-day year of twelve 30-day months to the Person herein specified from the Issue Date, or from the most recent Interest Payment Date to which interest has been paid or duly provided for, until such principal is paid or duly provided for on or after such Stated Maturity or any earlier Redemption Date, semiannually on March 1 and September 1 in each year commencing March 1, 2019, at the per annum Interest Rates specified above, computed on the basis of a 360-day year of twelve 30-day months. Principal installments of this Certificate are payable at its Stated Maturity or on a prepayment date to the registered owner hereof by BOKF,NA (the "Paying Agent"),upon its presentation and surrender, at its designated offices in Dallas,Texas(the"Place of Payment"). SECTION 3.7 Insurance Legend If bond insurance is obtained by the Issuer or the Purchaser for the Certificates, the Definitive Certificates and the Initial Certificate(s) shall bear an appropriate legend as provided by the insurer. 56432017.1 23 ARTICLE FOUR TAXES,REVENUES,AND FUNDS; INVESTMENTS SECTION 4.1 Certificate Fund. To pay interest on and to provide a sinking fund for the payment, redemption, and retirement of the Certificates, the Issuer hereby creates and shall maintain solely for such purposes (subject to the provisions of Section 5.5) a special fund designated as its "CERTIFICATES OF OBLIGATION, SERIES 2018, INTEREST AND SINKING FUND" (the "Certificate Fund"). The Issuer authorizes and directs its authorized officials to withdraw from the Certificate Fund and to transfer to the Paying Agent money on deposit in the Certificate Fund sufficient to pay the amount of principal or interest falling due on the Certificates, such transfer of funds to the Paying Agent to be made in such manner as will cause immediately available funds to be deposited with the Paying Agent on or before the last business day next preceding each Maturity or Interest Payment Date for the Certificates. SECTION 4.2 Deposits to Certificate Fund;Excess Certificate Proceeds. The Issuer, prior to a Maturity or Interest Payment Date for the Certificates, may deposit any of the Net Revenues to the Certificate Fund in accordance with Section 4.3. The Net Revenues, if deposited, shall be expended annually to pay principal of and interest on the Certificates as the same become due and payable. The Net Revenues so deposited shall be accounted for and transferred to the Paying Agent in accordance with the provisions of Section 4.1 governing other money in the Certificate Fund. The Issuer shall deposit accrued interest and premium, if any, received from the Purchaser and ad valorem taxes levied and collected to pay principal of or interest on the Certificates to the Certificate Fund. In addition, the Issuer shall deposit any surplus proceeds, including investment income therefrom, from the sale of the Certificates not expended for authorized purposes to the Certificate Fund. SECTION 4.3 System Account. The Issuer shall keep all Gross Revenues derived from operation of the System separate and apart from all other funds, accounts, and money of the Issuer and shall deposit amounts collected into the Issuer's "WATERWORKS AND SEWER SYSTEM ACCOUNT" (the "System Account"). The Issuer shall pledge and appropriate money in the System Account as required for the following purposes and in the order of priority shown: First: as a first charge on and claim against the Gross Revenues, to pay reasonable and proper Maintenance and Operating Expenses required by statute or ordinances authorizing the issuance of any indebtedness of the Issuer; Second: to deposit amounts required in the special funds and accounts established for payment of any obligations of the Issuer with a lien on Gross Revenues or Net Revenues prior or superior to the lien granted to secure payment of the Certificates; 56432017.1 24 Third: to deposit amounts required in the special funds and accounts established for the payment of the Certificates or any additional obligations of the Issuer secured by the Net Revenues on a parity with the Certificates; and Fourth: any Net Revenues remaining in the System Account after satisfying the foregoing payments, or making adequate and sufficient provision for the payment, security and benefit thereof, to be appropriated and used for any other Issuer purpose now or hereafter permitted by law. SECTION 4.4 Construction Accounts. Except as provided in Section 4.2, the Issuer will deposit proceeds derived from the sale of the Certificates (after paying costs of issuance) into special construction account or accounts created for the projects to be constructed with such proceeds. Pending completion of construction of the projects financed with such proceeds interest earned on the such proceeds must be accounted for, maintained, deposited, and expended as permitted by the provisions of Texas Government Code section 1201.043, as from time to time in effect, or as otherwise required by applicable law. Thereafter, such interest must be accounted for, maintained, deposited, and expended in accordance with Section 4.5. SECTION 4.5 Investments and Security For Funds. The Issuer is required to keep all money in such funds and accounts at a depository of the Issuer except when invested pursuant to this Section. Subject to Section 5.6, money in any fund established by this Ordinance may, at the option of the Issuer, be invested in a manner permitted by the provisions of the Public Funds Investment Act of 1987, Texas Government Code chapter 2256, subchapter A, as then in effect, the Public Funds Collateral Act, Texas Government Code chapter 2257, as then in effect, or by any other law applicable to the Issuer; provided that all such investments must be made so that money required to be expended will be available at the proper time or times. The Issuer shall credit or debit all interest and income or losses from deposits and investments in any fund or account established pursuant to the provisions of this Ordinance shall be credited to such fund or account. The Issuer shall sell investments promptly as necessary to prevent any default in connection with the Certificates. All money on deposit in the Funds for which this Ordinance makes provision(except any portion thereof as may be at any time properly invested as provided herein) shall be secured in the manner and to the fullest extent required by the laws of Texas for the security of public funds, and money on deposit in such Funds shall be used only for the purposes permitted by this Ordinance. SECTION 4.6 Tax Levy. To provide for the payment of the Debt Service Requirements, which are defined to be (i)the interest on the Certificates and (ii) a sinking fund for payment of principal of the Certificates at Stated Maturity or earlier redemption or a sinking fund of 2% (whichever amount is greater), the Issuer levies and shall levy for the current year and each succeeding year thereafter while the Certificates or any interest thereon is Outstanding, a sufficient tax on each 56432017.1 25 $100 of taxable property in the Issuer, within the limitations prescribed by law, adequate to pay such amounts, full allowance being made for delinquencies and costs of collection. Such tax shall be assessed and collected each year, and the same may not be diverted to any other purpose. The Issuer shall pay the taxes so levied and collected into the Certificate Fund. The Governing Body hereby declares its purpose and intent to provide and levy such tax, it having been determined that the existing and available taxing authority of the Issuer for such purpose is adequate to permit a legally sufficient tax in consideration of all other outstanding indebtedness. The Issuer shall determine the amount of taxes to be provided annually for the Debt Service Requirement in the following manner: A. Prior to establishing the annual tax rate, the Governing Body shall determine: (1) the amount of Debt Service Requirements to become due and payable on the Certificates between the Collection Date for the taxes then to be levied and the Collection Date for the taxes to be levied during the next succeeding calendar year; (2) the amount on deposit in the Certificate Fund (including surplus Certificate proceeds transferred to the Certificate Fund under Section 4.2) after (a) deducting therefrom the total amount of Debt Service Requirements to become due on Certificates prior to the Collection Date for the ad valorem taxes then to be levied and (b) adding thereto the amount of the Net Revenues, if any, to be appropriated and allocated to pay such Debt Service Requirements, if any, prior to the Collection Date for the ad valorem taxes then to be levied; and (3) the amount of Net Revenues, if any, to be appropriated and to be set aside for the payment of the Debt Service Requirements on the Certificates between the Collection Date for the taxes then to be levied and the Collection Date for the taxes to be levied during the next succeeding Fiscal Year. B. The Issuer shall assess and levy annually each year a tax to pay the Debt Service Requirements sufficient to provide tax revenues in the amount established in paragraph(1) above less the sum total of the amounts established in paragraphs (2) and (3), after taking into consideration delinquencies and costs of collecting such annual taxes. SECTION 4.7 Net Revenues. The Issuer covenants and agrees that the Net Revenues are hereby irrevocably pledged to the payment of the principal of and interest on the Certificates and the pledge of Net Revenues herein made for the payment of the Certificates shall constitute a lien on the Net Revenues in accordance with the terms and provisions hereof and be valid and binding without any physical delivery thereof or further act by the Issuer. The pledge of Net Revenues hereunder is subordinate to the prior pledge of Net Revenues to secure the Issuer's outstanding obligations secured by a pledge of Net Revenues to the extent of such pledge (together with prior obligations hereafter issued pursuant to Section 4.8 (the "Prior Obligations"). 56432017.1 26 Section 1208, Government Code, applies to the issuance of the Certificates and the pledge of the Net Revenues of the System granted by the Issuer under this Section, and such pledge is therefore valid, effective and perfected. If Texas law is amended at any time while the Certificates are Outstanding such that the pledge of the Net Revenues of the System granted by the Issuer under this Section is subject to the filing requirements of Chapter 9, Business & Commerce Code, then to preserve to the Bondholders the perfection of the security interest in said pledge, the Issuer agrees to take such measures as it determines are reasonable and necessary under Texas law to comply with the applicable provisions of Chapter 9, Business & Commerce Code and enable a filing to perfect the security interest in said pledge to occur. SECTION 4.8 Issuance of Additional Obligations. The Issuer hereby expressly reserves the right to hereafter issue bonds, notes, warrants, certificates of obligation, or similar obligations, payable, wholly or in part, as appropriate, from and secured by a pledge of and lien on the Net Revenues of the System prior and superior in right to, on a parity with the Certificates as Parity Obligations, or subordinate to the pledge of and lien on the Net Revenues in favor of the Certificates, without limitation as to principal amount, but subject to any terms, conditions, or restrictions applicable thereto under existing ordinances, laws, or otherwise. 56432017.1 27 ARTICLE FIVE COVENANTS SECTION 5.1 To Maintain Agency. The Issuer will at all times until the Certificates are duly paid maintain an agency meeting the qualifications herein described, for the performance of the duties of the Paying Agent hereunder. BOKF, NA, is hereby appointed Paying Agent for such purposes. The Issuer retains the right to replace the Paying Agent, and the Paying Agent may be removed from its duties hereunder at any time upon not less than 30 days notice with or without cause by action of the Governing Body entered in its minutes, but no such removal is effective until a successor has accepted the duties of the Paying Agent hereunder by written instrument. Every Paying Agent appointed hereunder must at all times be a commercial bank or trust company organized and doing business under the laws of the United States of America or of any state, authorized under such laws to exercise corporate trust powers, having a combined capital and surplus of at least $10,000,000, subject to supervision or examination by federal or state authority, registered as a transfer agent with the Securities and Exchange Commission. If such corporation publishes reports of condition at least annually pursuant to law or to the requirements of such supervising or examining authority, then for the purposes of this Section the combined capital and surplus of such corporation shall be deemed to be its combined capital and surplus as set forth in its most recent report of condition so published. Upon any change in the Paying Agent, the City agrees to promptly cause a written notice thereof to be sent to each Registered Owner affected by the change,which notice shall also give the address of the new Paying Agent, which shall be the designated Place of Payment. This Section is subject to the provisions of Section 8.2. The terms of the Transfer and Paying Agency Agreement with the initial Paying Agent are hereby approved in substantially the form and to the effect presented to the Governing Body on this date, and the Mayor and the Mayor Pro Tem of the Issuer, or either of them, and the City Clerk and any Assistant or Acting City Clerk of the Issuer, or any of them, are hereby authorized to execute and deliver such Transfer and Paying Agency Agreement. SECTION 5.2 To Maintain and Operate the System and Insure Property. The Issuer covenants and agrees that while the Certificates remain Outstanding it will maintain and operate the System with all possible efficiency and maintain casualty and other insurance on the properties of the System and its operations of a kind and in such amounts customarily carried by municipalities in the State of Texas engaged in a similar type of business and that it will faithfully and punctually perform all duties with reference to the System required by the laws of the State of Texas. All money received from losses under such insurance policies, other than public liability policies, are hereby pledged as security for the Certificates until and unless the proceeds are paid out in making good the loss or damage in respect of which such proceeds are received, either by replacing the property destroyed or repairing the property damaged, and adequate provision for making good such loss or damage must be made within 90 56432017.1 28 days after the date of loss. The payment of premiums for all insurance policies required under the provisions hereof shall be considered Maintenance and Operating Expenses. Nothing in this Ordinance may be construed as requiring the Issuer to expend any funds which are derived from sources other than the operation of the System but nothing herein may be construed as preventing the Issuer from doing so. SECTION 5.3 Rates and Charges. The Issuer hereby covenants and agrees that rates and charges for services afforded by the System will be established and maintained to provide Gross Revenues sufficient at all times: A. to pay all Maintenance and Operating Expenses; B. to produce Net Revenues sufficient (but subject to the maximum amount of Net Revenues pledged hereunder), together with any other lawfully available funds, to produce an amount of Net Revenues sufficient to pay the interest on and principal of the Certificates and any additional obligations of the Issuer hereafter issued on a parity therewith; and C. to pay other legally incurred indebtedness payable from the Net Revenues or secured by a lien on the System or the Net Revenues thereof. SECTION 5.4 Records and Accounts, Annual Audit. The Issuer covenants and agrees that so long as any of the Certificates remain Outstanding it will keep and maintain separate and complete records and accounts pertaining to the operations of the System in which complete and correct entries shall be made of all transactions relating thereto, as provided by Texas Government Code section 1502.067, as amended, or other applicable law. The Registered Owners or any duly authorized agent or agents of the Registered Owners may inspect the System and all properties comprising the same. The Issuer agrees that, following the close of each Fiscal Year, it will cause an audit of its books and accounts to be made by an independent firm of Certified Public Accountants. Copies of each annual audit shall be furnished to the Executive Director of the Municipal Advisory Council of Texas at his office in Austin, Texas, and, upon written request, to the original purchaser of the Certificates and any subsequent Registered Owner thereof Expenses incurred in making the annual audit of the operations of the System are Maintenance and Operating Expenses. SECTION 5.5 Special Covenants. The Issuer covenants that: A. Lawful Authority: it has the lawful power to pledge the Net Revenues supporting the Certificates and has lawfully exercised said powers under the laws of the State of Texas; B. No Encumbrance: as long as any Certificates or any interest thereon remain Outstanding, the Issuer will not sell, lease or encumber (except in the manner provided in Section 4.8) the System or any substantial part thereof, provided that this covenant shall not be 56432017.1 29 construed to prohibit the sale of such machinery, or other properties or equipment which has become obsolete or otherwise unsuited to the efficient operation of the System; and C. No Franchise: to the extent that it legally may, the Issuer further covenants and agrees that, so long as any of the Certificates, or any interest thereon, are Outstanding, no franchise shall be granted for the installation or operation of any competing systems other than those owned by the Issuer, and the operation of any such systems by anyone other than the Issuer is hereby prohibited. SECTION 5.6 Covenants to Maintain Tax-Exempt Status. A. Definitions. When used in this Section, the following terms have the following meanings: • "Closing Date" means the date on which the Certificates are first authenticated and delivered to the initial purchasers against payment therefor. "Code" means the Internal Revenue Code of 1986, as amended by all legislation, if any, effective on or before the Closing Date. "Computation Date"has the meaning set forth in Section 1.148-1(b)of the Regulations. "Gross Proceeds" means any proceeds as defined in Section 1.148-1(b) of the Regulations, and any replacement proceeds as defined in Section 1.148-1(c) of the Regulations, of the Certificates. "Investment"has the meaning set forth in Section 1.148-1(b)of the Regulations. "Nonpurpose Investment"means any investment property, as defined in section 148(b) of the Code, in which Gross Proceeds of the Certificates are invested and which is not acquired to carry out the governmental purposes of the Certificates. "Rebate Amount"has the meaning set forth in Section 1.148-1(b)of the Regulations. "Regulations" means any proposed, temporary, or final Income Tax Regulations issued pursuant to Sections 103 and 141 through 150 of the Code, and 103 of the Internal Revenue Code of 1954, which are applicable to the Certificates. Any reference to any specific Regulation shall also mean, as appropriate, any proposed, temporary or final Income Tax Regulation designed to supplement, amend or replace the specific Regulation referenced. "Yield"of (1) any Investment has the meaning set forth in Section 1.148-5 of the Regulations; and (2) the Certificates has the meaning set forth in Section 1.148-4 of the Regulations. 56432017.1 30 B. Not to Cause Interest to Become Taxable. The Issuer shall not use, permit the use of, or omit to use Gross Proceeds or any other amounts (or any property the acquisition, construction or improvement of which is to be financed directly or indirectly with Gross Proceeds) in a manner which if made or omitted, respectively, would cause the interest on any Certificate to become includable in the gross income, as defined in section 61 of the Code, of the owner thereof for federal income tax purposes. Without limiting the generality of the foregoing, unless and until the Issuer receives a written opinion of counsel nationally recognized in the field of municipal bond law to the effect that failure to comply with such covenant will not adversely affect the exemption from federal income tax of the interest on any Certificate, the Issuer shall comply with each of the specific covenants in this Section. C. No Private Use or Private Payments. Except as permitted by section 141 of the Code and the Regulations and rulings thereunder, the Issuer shall at all times prior to the last Stated Maturity of Certificates: (1) exclusively own, operate and possess all property the acquisition, construction or improvement of which is to be financed or refinanced directly or indirectly with Gross Proceeds of the Certificates, and not use or permit the use of such Gross Proceeds (including all contractual arrangements with terms different than those applicable to the general public) or any property acquired, constructed or improved with such Gross Proceeds in any activity carried on by any person or entity (including the United States or any agency, department and instrumentality thereof) other than a state or local government, unless such use is solely as a member of the general public; and (2) not directly or indirectly impose or accept any charge or other payment by any person or entity who is treated as using Gross Proceeds of the Certificates or any property the acquisition, construction or improvement of which is to be financed or refinanced directly or indirectly with such Gross Proceeds, other than taxes of general application within the Issuer or interest earned on investments acquired with such Gross Proceeds pending application for their intended purposes. D. No Private Loan. Except to the extent permitted by section 141 of the Code and the Regulations and rulings thereunder,the Issuer shall not use Gross Proceeds of the Certificates to make or finance loans to any person or entity other than a state or local government. For purposes of the foregoing covenant, such Gross Proceeds are considered to be "loaned" to a person or entity if: (1) property acquired, constructed or improved with such Gross Proceeds is sold or leased to such person or entity in a transaction which creates a debt for federal income tax purposes; (2) capacity in or service from such property is committed to such person or entity under a take-or-pay, output or similar contract or arrangement; or (3) indirect benefits, or burdens and benefits of ownership, of such Gross Proceeds or any property acquired, constructed or improved with such Gross Proceeds are otherwise transferred in a transaction which is the economic equivalent of a loan. E. Not to Invest at Higher Yield. Except to the extent permitted by section 148 of the Code and the Regulations and rulings thereunder, the Issuer shall not at any time prior to the final Stated Maturity of the Certificates directly or indirectly invest Gross Proceeds in any 56432017.1 31 Investment, if as a result of such investment the Yield of any Investment acquired with Gross Proceeds, whether then held or previously disposed of, exceeds the Yield of the Certificates. F. Not Federally Guaranteed. Except to the extent permitted by section 149(b) of the Code and the Regulations and rulings thereunder, the Issuer shall not take or omit to take any action which would cause the Certificates to be federally guaranteed within the meaning of section 149(b) of the Code and the Regulations and rulings thereunder. G. Information Report. The Issuer shall timely file the information required by section 149(e) of the Code with the Secretary of the Treasury on Form 8038-G or such other form and in such place as the Secretary may prescribe. H. Rebate of Arbitrage Profits. Except to the extent otherwise provided in section 148(f) of the Code and the Regulations and rulings thereunder: (1) The Issuer shall account for all Gross Proceeds (including all receipts, expenditures and investments thereof) on its books of account separately and apart from all other funds (and receipts, expenditures and investments thereof) and shall retain all records of accounting for at least six years after the day on which the last outstanding Certificate is discharged. However, to the extent permitted by law, the Issuer may commingle Gross Proceeds of the Certificates with other money of the Issuer, provided that the Issuer separately accounts for each receipt and expenditure of Gross Proceeds and the obligations acquired therewith. (2) Not less frequently than each Computation Date, the Issuer shall calculate the Rebate Amount in accordance with rules set forth in section 148(f) of the Code and the Regulations and rulings thereunder. The Issuer shall maintain such calculations with its official transcript of proceedings relating to the issuance of the Certificates until six years after the final Computation Date. (3) As additional consideration for the purchase of the Certificates by the Purchasers and the loan of the money represented thereby and in order to induce such purchase by measures designed to insure the excludability of the interest thereon from the gross income of the owners thereof for federal income tax purposes, the Issuer shall pay to the United States out of its general fund, other appropriate fund, or, if permitted by applicable Texas statute, regulation or opinion of the Attorney General of the State of Texas, the Certificate Fund, the amount that when added to the future value of previous rebate payments made for the Certificates equals (i)in the case of a Final Computation Date as defined in Section 1.148-3(e)(2) of the Regulations, one hundred percent (100%) of the Rebate Amount on such date; and (ii) in the case of any other Computation Date, ninety percent (90%) of the Rebate Amount on such date. In all cases, the rebate payments shall be made at the times, in the installments, to the place and in the manner as is or may be required by section 148(f) of the Code and the Regulations and rulings thereunder, and shall be accompanied by Form 8038-T or such other forms and information as is or may be required by Section 148(f) of the Code and the Regulations and rulings thereunder. (4) The Issuer shall exercise reasonable diligence to assure that no errors are made in the calculations and payments required by paragraphs (2) and(3), and if an error is made,to discover 56432017.1 32 and promptly correct such error within a reasonable amount of time thereafter (and in all events within one hundred eighty (180) days after discovery of the error), including payment to the United States of any additional Rebate Amount owed to it, interest thereon, and any penalty imposed under Section 1.148-3(h) of the Regulations. I. Not to Divert Arbitrage Profits. Except to the extent permitted by section 148 of the Code and the Regulations and rulings thereunder, the Issuer shall not, at any time prior to the earlier of the Stated Maturity or final payment of the Certificates, enter into any transaction that reduces the amount required to be paid to the United States pursuant to Subsection H of this Section because such transaction results in a smaller profit or a larger loss than would have resulted if the transaction had been at arm's length and had the Yield of the Certificates not been relevant to either party. J. Elections. The Issuer hereby directs and authorizes the Mayor Mayor Pro Tern, Secretary, Manger, Attorney, or Director of Finance of the Issuer, either or any combination of them, to make elections permitted or required pursuant to the provisions of the Code or the Regulations, as they deem necessary or appropriate in connection with the Certificates, in the Certificate as to Tax Exemption or similar or other appropriate certificate, form or document. SECTION 5.7 Remedies in Event of Default. In addition to all the rights and remedies provided by the laws of the State of Texas, the Issuer covenants and agrees particularly that in the event the Issuer (a) defaults in the payments to be made to the Certificate Fund, or(b) defaults in the observance or performance of any other of the covenants, conditions, or obligations set forth in this Ordinance, the Registered Owners of any of the Certificates shall be entitled to seek a writ of mandamus issued by a court of proper jurisdiction compelling and requiring the governing body of the Issuer and other officers of the Issuer to observe and perform any covenant, condition, or obligation prescribed in this Ordinance. No delay or omission to exercise any right or power accruing upon any default shall impair any such right or power or shall be construed to be a waiver of any such default or acquiescence therein, and every such right and power may be exercised from time to time and as often as may be deemed expedient. The specific remedies herein provided shall be cumulative of all other existing remedies and the specification of such remedies shall not be deemed to be exclusive. 56432017.1 33 ARTICLE SIX DEFEASANCE SECTION 6.1 Discharge of Obligations. Any Certificate is deemed paid and is no longer considered to be Outstanding within the meaning of this Ordinance when payment of the principal of and interest on such Certificate to the Stated Maturity thereof or(if notice of redemption has been duly given, irrevocably provided for, or waived as provided herein)to the redemption date has been made or has been provided for by deposit with the Paying Agent for such payment (or with any other bank or trust company which has agreed to hold the same for such purpose) (1) money sufficient to make such payment, (2) Governmental Obligations certified by an independent public accounting firm of national reputation to be of such maturities and interest payment dates and to bear such interest as will, without further investment or reinvestment of either the principal amount thereof or the interest earnings therefrom, be sufficient to make such payment, or (3) a combination of money and Governmental Obligations together so certified sufficient to make such payment, provided that all the expenses pertaining to the Certificates with respect to which such deposit is made have been paid or the payment thereof provided for to the satisfaction of the Paying Agent (and to such other bank or trust company). If such deposit is made with respect to some but not all of the Certificates then Outstanding, the Issuer shall designate the Stated Maturities of Certificates with respect to which such deposit is made. If such deposit is sufficient so to provide for the payment of the principal of and interest on some but not all Outstanding Certificates of a particular Stated Maturity so designated, the Paying Agent shall select the Outstanding Certificates of such Stated Maturity with respect to which such deposit is made by such random method as the Paying Agent deems fair and appropriate and which may provide for the selection of portions (equal to and leaving unredeemed an authorized denomination) of Certificates a denomination larger than$5,000. Notwithstanding anything herein to the contrary, no such deposit has the effect described in this Section (a) if made during the subsistence of a default in the payment of any Certificate unless made with respect to all of the Certificates then Outstanding or(b) unless accompanied by an opinion of counsel of recognized standing in the field of federal income taxation to the effect that neither such deposit nor the investment thereof adversely affects the excludability of interest on any Certificate from the gross income of any owner thereof for federal income tax purposes. The Paying Agent (or other bank or trust company) with which a deposit is made of money and Governmental Obligations for such purpose shall hold the deposit in a segregated account in trust or escrow for the Registered Owners of the Certificates with respect to which such deposit is made and, together with any investment income therefrom, the deposit may be disbursed solely to pay the principal of and interest on such Certificates when due, except that cash receipts may be withdrawn and paid to the Issuer provided the date and amount of such withdrawals are taken into account in the most recent verification of the accounting firm referred to in this Section. No money or Governmental Obligations so deposited may be invested or reinvested unless in Governmental Obligations and unless such money and Governmental Obligations not invested and such new investments are together certified by an independent 56432017.1 34 public accounting firm of national reputation to be of such amounts, maturities, and interest payment dates and to bear such interest as will, without further investment or reinvestment of either the principal amount thereof or the interest earnings therefrom, be sufficient to make such payment. At such times as a Certificate is deemed to be paid hereunder, as aforesaid, it is no longer entitled to the benefits of this Ordinance, except for the purposes of any such payment from such money or Governmental Obligations and for the provisions of Sections 1.4 and 1.5 and for the continuing compliance of the Issuer with the provisions of Section 5.6. Upon such deposit as described above, such Certificates shall no longer be regarded to be outstanding or unpaid. Provided, however, the Issuer has reserved the option, to be exercised at the time of the defeasance of the Certificates, to call for redemption at an earlier date those Certificates which have been defeased to their maturity date, if the Issuer (i) in the proceedings providing for the firm banking and financial arrangements, expressly reserves the right to call the Certificates for redemption, (ii) gives notice of the reservation of that right to the owners of the Certificates immediately following the making of the firm bank and financial arrangements, and (iii) directs that notice of the reservation be included in any redemption notices that it authorizes. 56432017.1 35 ARTICLE SEVEN SALE SECTION 7.1 Sale of the Certificates. The sale of the Certificates to Piper Jaffray& Co. (the "Purchaser"), at the price of par in the amount of$9,695,000, plus a net premium of$263,787.30, less an underwriters discount of $69,094.85, plus accrued interest thereon from the Dated Date to the date of initial delivery, is hereby confirmed and determined to be in compliance with the terms of the Notice of Sale, except for the requirement that no maturity may be adjusted by more than 10% which is waived, and the maturities submitted are approved. Delivery of the Certificates shall be made to the Purchaser as soon as practicable after the adoption of this Ordinance,upon payment therefor in accordance with the terms of sale. SECTION 7.2 Payment of Costs of Issuance;Engagement of Bond Counsel. The Issuer has in consultation with its financial advisor, USCA Municipal Advisors, LLC set aside an amount of the proceeds of the Certificates to pay costs of issuance of the Certificates. The amount of such proceeds will be designated in a closing letter prepared by the financial advisor, and in the absence of contrary written instructions included as part of such closing letter to deposit such proceeds with the Issuer, the Paying Agent will pay such costs of issuance on behalf of the Issuer in accordance with invoices. The Issuer hereby confirms engagement of Norton Rose Fulbright US LLP as Bond Counsel ("Bond Counsel") for the City in accordance with the terms of the Letter of Engagement between the Issuer and Bond Counsel. SECTION 7.3 Official Statement. The Issuer hereby approves and ratifies distribution of the Preliminary Official Statement and Notice of Sale and Bidding Instructions relating to the Certificates. The Issuer further approves and authorizes distribution of the Official Statement, dated the date hereof, substantially in the form of the Preliminary Official Statement but completed and modified to reflect the terms of sale of the Certificates and such other changes as the Mayor of the Issuer shall approve. The Mayor of the Issuer and City Clerk of the Issuer are authorized to execute and deliver for and on behalf of the Issuer sufficient copies of such Official Statement, and, in the form and content manually executed by said officials of the Issuer, the same shall be deemed approved by this Governing Body and constitute the Official Statement duly authorized for distribution. 56432017.1 36 ARTICLE EIGHT CONTINUING DISCLOSURE UNDERTAKING SECTION 8.1 Definitions. As used in this Article, the following terms have the meanings ascribed to such terms below: "EMMA"means the Electronic Municipal Market Access system. "MSRB"means the Municipal Securities Rulemaking Board. "Rule" means SEC Rule 15c2-12, as amended from time to time or officially interpreted by the SEC. "SEC"means the United States Securities and Exchange Commission. SECTION 8.2 Updated Information and Data. The Issuer shall provide annually to the MSRB through EMMA, within six months after the end of each fiscal year ending in or after September 30, 2018, financial information and operating data with respect to the Issuer of the general type included in the Preliminary Official Statement provided to the Purchaser in connection with its initial approval of its purchase of the Certificate of Obligations, being the information described in Exhibit A hereto. Any financial statements so to be provided shall be (1) prepared in accordance with the accounting principles set forth in Appendix A to the Official Statement, or as may otherwise hereafter be established consistent with Texas law and Generally Accepted Accounting Principles, and (2) audited, if the Issuer commissions an audit of such statements and the audit is completed within the period during which they must be provided. If audited financial statements are not so provided, then the Issuer shall provide audited fmancial statements for the applicable fiscal year to the MSRB through EMMA, when and if audited financial statements become available but if such audited financial statements are unavailable the Issuer will provide such fmancial statements on an unaudited basis within the above-described six-month period. If the Issuer changes its fiscal year, it will notify the MSRB through EMMA of the change (and of the date of the new fiscal year end) prior to the next date by which the Issuer otherwise would be required to provide fmancial information and operating data pursuant to this Section. The financial information and operating data to be provided pursuant to this Section may be set forth in full in one or more documents or may be included by specific reference to any document (including an official statement or other offering document, if it is available from the MSRB) that theretofore has been provided to the MSRB through EMMA or filed with the SEC, or may be provided in any other manner consistent with the Rule. 56432017.1 37 SECTION 8.3 Material Event Notices. The Issuer shall notify the MSRB through EMMA of any of the following events with respect to the Certificates in a timely manner, and not more than 10 business days after occurrence of the event: 1. Principal and interest payment delinquencies; 2. Non-payment related defaults, if material; 3. Unscheduled draws on debt service reserves reflecting fmancial difficulties; 4. Unscheduled draws on credit enhancements reflecting financial difficulties; 5. Substitution of credit or liquidity providers, or their failure to perform; 6. Adverse tax opinions the issuance by the Internal Revenue Service of proposed or final determinations of taxability, Notices of Proposed Issue (IRS Form 5701- TEB), or other material notices or determinations with respect to the tax-exempt status of the Certificates, or other material events affecting the tax status of the Certificates; 7. Modifications to rights of Registered Owners of the Certificates, if material; 8. Certificate calls, if material, and tender offers; 9. Defeasances; 10. Release, substitution, or sale of property securing repayment of the Certificates; if material; 11. Rating changes; 12. Bankruptcy, insolvency, receivership, or similar event of the Issuer, which shall occur as described below; 13. The consummation of a merger, consolidation, or acquisition involving the Issuer or the sale of all or substantially all of its assets, other than in the ordinary course of business, the entry into of a definitive agreement to undertake such an action or the termination of a definitive agreement relating to any such actions, other than pursuant to its terms, if material; and 14. Appointment of a successor or additional trustee or the change of name of a trustee, if material. The Issuer shall notify the MSRB through EMMA., in a timely manner, of any failure by the Issuer to provide financial information or operating data in accordance with Section 8.2 by the time required by such Section. 56432017.1 38 SECTION 8.4 Limitations, Disclaimers, and Amendments. The Issuer shall be obligated to observe and perform the covenants specified in this Section with respect to the Issuer and the Certificates while,but only while, the Issuer remains an "obligated person" with respect to the Certificates within the meaning of the Rule, except that the Issuer in any event will give the notice required by Section 8.3 of any Certificate calls and defeasance that cause the Issuer to be no longer such an"obligated person". The provisions of this Article are for the sole benefit of the Registered Owners and beneficial owners of the Certificates, and nothing in this Article, express or implied, shall give any benefit or any legal or equitable right, remedy, or claim hereunder to any other person. The Issuer undertakes to provide only the financial information, operating data, financial statements, and notices which it has expressly agreed to provide pursuant to this Article and does not hereby undertake to provide any other information that may be relevant or material to a complete presentation of the financial results, condition, or prospects of the Issuer or the State of Texas or hereby undertake to update any information provided in accordance with this Article or otherwise, except as expressly provided herein. The Issuer does not make any representation or warranty concerning such information or its usefulness to a decision to invest in or sell Certificates at any future date. UNDER NO CIRCUMSTANCES SHALL THE ISSUER BE LIABLE TO THE REGISTERED OWNER OR BENEFICIAL OWNER OF ANY CERTIFICATE ANY OTHER PERSON, IN CONTRACT OR TORT, FOR DAMAGES RESULTING IN WHOLE OR IN PART FROM ANY BREACH BY THE ISSUER, WHETHER NEGLIGENT OR WITHOUT FAULT ON ITS PART, OF ANY COVENANT SPECIFIED IN THIS ARTICLE, BUT EVERY RIGHT AND REMEDY OF ANY SUCH PERSON, IN CONTRACT OR TORT, FOR OR ON ACCOUNT OF ANY SUCH BREACH SHALL BE LIMITED TO AN ACTION FOR MANDAMUS OR SPECIFIC PERFORMANCE. No default by the Issuer in observing or performing its obligations under this Article shall constitute a breach of or default under this Ordinance for purposes of any other provision of this Ordinance. Nothing in this Article is intended or shall act to disclaim, waive, or otherwise limit the duties of the Issuer under federal and state securities laws. The provisions of this Article may be amended by the Issuer from time to time to adapt to changed circumstances resulting from a change in legal requirements, a change in law, or a change in the identity, nature, status, or type of operations of the Issuer, but only if (1) the provisions of this Article, as so amended, would have permitted an underwriter to purchase or sell Certificates in the primary offering of the Certificates in compliance with the Rule, taking into account any amendments or interpretations of the Rule to the date of such amendment, as well as such changed circumstances, and (2) either (a) the Registered Owners of a majority in aggregate principal amount (or any greater amount required by any other provision of this Ordinance that authorizes such an amendment) of the Outstanding Certificates consent to such amendment or (b) a Person that is unaffiliated with the Issuer (such as nationally recognized 56432017.1 39 bond counsel) determines that such amendment will not materially impair the interests of the Registered Owners and beneficial owners of the Certificates. The Issuer may also amend or repeal the provisions of this Article if the SEC amends or repeals the applicable provisions of the Rule or a court of final jurisdiction determines that such provisions are invalid,but in either case only to the extent that its right to do so would not prevent the Purchaser from lawfully purchasing the Certificates in the offering described herein. If the Issuer so amends the provisions of this Article, it shall include with any amended financial information or operating data next provided in accordance with Section 8.2 an explanation, in narrative form, of the reasons for the amendment and of the impact of any change in the type of financial information or operating data so provided. 56432017.1 40 This Ordinance is in force and effect from and after its final passage, and it is so ordained. PASSED AND ADOPTED on September 24, 2018. .4. N CITY OF NEDERLAND, TEXAS • AgOe-i45 =off, '•. �?,{j� ' Mayor peur 4, / of i ity Clerk 56432017.1 S-1 EXHIBIT A In the Preliminary Official Statement dated September 18, 2018, the quantitative financial information and operating data with respect to the Issuer of general type contained in Schedules 1 through 14 and certain information in the annual financial statements in Appendix C. 56432017.1 A-1 ORDINANCE NO.2018-29 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF NEDERLAND,TEXAS AMENDING THE FISCAL YEAR 2017- 2018 BUDGET IN ACCORDANCE WITH THE BUDGET AND THE CHARTER OF THE CITY OF NEDERLAND. WHEREAS,the City Council previously approved Ordinance No.2017-19,which adopted the Fiscal Year 2017-2018 City Budget;and, WHEREAS, the City Council deems it necessary to amend the current budget to adjust revenues and expenditures as set out in Attachment"A"attached hereto;and, WHEREAS,the 2017-2018 City budget states "That any unencumbered funds remaining on hand at the end of the fiscal year ending September 30, 2018 shall be construed with and classified with Miscellaneous revenue anticipated during the fiscal year beginning October 1, 2017 and ending September 30,2018,and such funds are hereby appropriated as a City Council Contingency Account for purposes approved by the City Council;and, NOW,THEREFORE,BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS: THAT the budget for the fiscal year 2017-2018 is amended to allow for adjustments in revenues and expenditures as set out in Attachment"A." THAT all ordinances and parts of ordinances in conflict herewith are expressly repealed. THAT the City Clerk shall file a true copy of this ordinance and said budget amendment with the Office of County Clerk of Jefferson County,Texas as provided by Section 102.011 of the Local Government Code. THAT,this being an ordinance not requiring publication,it shall take effect and be in force from and after its passage. PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND AT A 01641443,VIEETING THIS THE 24th DAY OF SEPTEMBER,2018. 104410: / i° _ R.A.Nugent ayor r; ��`/^ City of Nederland,Texas '1/4Cpl d� ay Ferg 'on,City Cl k APPROVED AS TO FORM AND LEGALITY: Jesse : anick, ' ttorney 1 CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2017-2018 DATE: September 24,2018 DEPARTMENT: Various FUND: General(01) AMOUNT CURRENT INCREASE PROPOSED ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET 01-0000-4110 Current Taxes 3,865,000 250,000 4,115,000 01-0000-4120 Industrial in lieu of Tax Payments 1,700,000 251,789 1,951,789 01-0000-4130 Sales Tax 3,050,000 150,000 3,200,000 01-0000-4480 Donations - 25,316 25,316 01-0000-4610 Interest Income 15,000 75,000 90,000 01-1100-6333 Travel&Training 4,000 (800) 3,200 01-1300-6110 Salaries&Wages 308,664 (2,000) 306,664 01-1300-6115 Extra Help 3,000 3,800 6,800 01-1300-6393 Contractual Services 48,000 14,000 62,000 01-1500-6110 Salaries&Wages 122,787 7,600 130,387 01-1500-6311 Auditing&Accounting 45,000 (7,000) 38,000 01-1600-6110 Salaries&Wages 151,331 1,400 152,731 01-1600-6314 Medical Svs and Pre Employ 8,500 (1,000) 7,500 01-1600-6393 Contractual Services 30,000 (23,000) 7,000 01-1601-6312 Consultant Services 900 3,000 3,900 01-1900-6265 Supplies/Minor Tools&Equipment 2,500 1,500 4,000 01-1900-6348 Electricity 9,000 (2,000) 7,000 01-1900-6380 Janitorial Services 22,440 (15,000) 7,440 01-2100-6110 Salaries&Wages 1,975,882 124,118 2,100,000 01-2100-6116 Certification Pay 94,470 (24,470) 70,000 01-2100-6121 Group Insurance 347,544 (7,544) 340,000 01-2100-6124 TMRS 147,225 3,000 150,225 01-2100-6128 Worker's Compensation 42,373 (4,000) 38,373 01-2100-6231 Wearing Apparel 19,000 4,900 23,900 01-2100-6265 Supplies/Minor Tools&Equipment 15,000 2,500 17,500 01-2100-6274 Safety Equipment 3,800 (2,000) 1,800 01-2100-6315 Computer System 12,000 20,000 32,000 01-2100-6322 Postage&Freight 6,000 (3,000) 3,000 01-2100-6341 Insurance General 28,000 (2,000) 26,000 01-2100-6380 Janitorial Services - 5,100 5,100 01-2100-6384 Prisoner Cost 25,000 5,000 30,000 TOTAL 12,102,416 854,209 12,956,625 Page of CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2017-2018 DATE: September 24,2018 DEPARTMENT: Various FUND: General(01) AMOUNT CURRENT INCREASE PROPOSED ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET 01-2101-6111 Overtime - 13,500 13,500 01-2101-6115 Extra Help 17,500 (8,855) 8,645 01-2101-6124 TMRS - 1,000 1,000 01-2101-6222 Motor Vehicle Fuel 6,200 (2,200) 4,000 01-2101-6236 Foods 16,800 (13,200) 3,600 01-2101-6265 Supplies/Minor Tools&Equip 3,000 (1,500) 1,500 01-2101-6393 Contractual Services - 16,000 16,000 01-2102-6333 Training&Travel 3,000 (2,400) 600 01-2200-6110 Salaries&Wages 1,027,251 (27,251) 1,000,000 01-2200-6111 Overtime 86,400 80,000 166,400 01-2200-6121 Group Insurance 152,897 (12,000) 140,897 01-2200-6124 TMRS 75,269 5,000 80,269 01-2200-6128 Worker's Compensation 17,776 (1,500) 16,276 01-2200-6380 Janitorial Services - 3,508 3,508 01-2200-6393 Contractual Services 4,000 (2,000) 2,000 01-2400-6110 Salaries&Wages 133,669 4,000 137,669 01-2400-6115 Extra Help 10,000 3,000 13,000 01-2400-6210 General Office Supplies 6,000 (3,000) 3,000 01-2400-6212 Books&Publications 1,500 (1,000) 500 01-2400-6380 Janitorial Services - 5,520 5,520 01-2400-6393 Contractual Services 22,000 (12,000) 10,000 01-3000-6110 Salaries&Wages 157,398 6,800 164,198 01-3000-6121 Group Insurance 24,805 3,000 27,805 01-3000-6210 General Office Supplies 4,000 (1,500) 2,500 01-3000-6341 Insurance General 4,400 10,400 14,800 01-3000-6349 Natural Gas 1,500 2,300 3,800 01-3100-6110 Salaries&Wages 415,936 6,000 421,936 01-3100-6111 Overtime 30,000 (12,000) 18,000 01-3100-6222 Motor Vehicle Fuel 35,000 (10,000) 25,000 01-3100-6246 Street&Bridge Supplies 105,000 (30,000) 75,000 01-3100-6348 Insurance Motor Equipment 7,800 (1,000) 6,800 01-3100-6354 Traffic Lights 9,000 (4,000) 5,000 01-3100-6366 Rental Equipment 10,000 (5,000) 5,000 01-3100-6730 Street Improvements 275,000 25,000 300,000 TOTAL 2,663,101 34,622 2,697,723 Page of CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2017-2018 DATE: September 24, 2018 DEPARTMENT: Various FUND: General (01) AMOUNT CURRENT INCREASE PROPOSED ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET 01-3400-6333 Travel&Training 2,500 (1,000) 1,500 01-5100-6110 Salaries&Wages 191,088 (6,000) 185,088 01-5100-6111 Overtime 24,000 (14,000) 10,000 01-5100-6115 Extra Help 125,000 (33,000) 92,000 01-5100-6126 Social Security 26,075 (2,000) 24,075 01-5100-6236 Foods 10,500 (2,500) 8,000 01-5100-6256 Chemicals&Insecticides 35,000 10,000 45,000 01-5100-6341 Insurance General 19,704 (2,500) 17,204 01-5100-6393 Contractual Services 12,000 5,000 17,000 01-5500-6115 Extra Help 44,500 (6,500) 38,000 01-5500-6341 Insurance General 19,100 (1,000) 18,100 01-5500-6348 Electricity 22,000 (6,000) 16,000 01-5500-6350 Bldg/Structure Improvements 6,000 1,500 7,500 01-9000-6315 Computer System 90,000 35,000 125,000 01-9000-6393 Contractual Services 203,731 (23,731) 180,000 01-9000-6406 Contingency 50,000 (25,000) 25,000 01-9000-6409 Vacation Buy Back 23,000 (23,000) - 01-9000-6411 Preventive Care Reimbursement 40,000 (40,000) - 01-9000-6907 Transfer to Capital Outlay Fund 332,448 200,000 532,448 01-9000-6393 Transfer to SIF - 50,000 50,000 TOTAL 1,276,646 115,269 1,391,915 Page of CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2017-2018 DATE: September 24,2018 DEPARTMENT: Various FUND: HoteUMotel(23),Parks Special(25) Water&Sewer(50) Solid Waste(52),Dispatch(70) AMOUNT CURRENT INCREASE PROPOSED ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET 23-0000-4393 Hotel Occupancy Tax 70,000 60,000 130,000 23-0000-6389 Payment to Chamber&Hist.Society 56,050 60,000 116,050 25-0000-6350 Buildings,Fixtures&Grounds - 11,200 11,200 25-0000-6720 Blds,Fixtures&Grounds 152,000 (11,200) 140,800 39-0000-4910 Transfer In - 50,000 50,000 50-6000-6256 Chemicals&Insecticides 300,000 (20,000) 280,000 50-6000-6323 Health Inspection Fees 18,200 2,810 21,010 50-6000-6404 Untreated Water 200,000 9,801 209,801 50-6100-6110 Salaries&Wages 238,302 7,000 245,302 50-6100-6393 Contractual Services 33,800 7,000 40,800 50-6200-6121 Group Insurance 35,558 (4,558) 31,000 50-6200-6222 Motor Vehide Fuel 4,000 2,000 6,000 50-6200-6348 Electricity 200,000 (20,000) 180,000 50-6300-6110 Salaries&Wages 442,215 3,000 445,215 50-6300-6111 Overtime 50,000 (7,000) 43,000 50-6300-6222 Motor Vehicle Fuel 22,000 (7,000) 15,000 50-6300-6247 Water&Sewer Mains 100,000 10,000 110,000 50-6300-6755 Water Distribution Lines 20,000 (5,130) 14,870 50-6300-6756 Sewer Collection Lines - 5,130 5,130 50-9000-6409 Vacation Buy Back 25,000 (25,000) - 50-9000-6411 Preventive Care Reimbursement 20,000 (20,000) - 52-0000-4360 Federal Emergency Mgmt Funds - 375,489 375,489 52-0000-4610 Interest Income 2,500 5,500 8,000 52-0000-4840 Solid Waste Service 1,575,000 47,215 1,622,215 52-3300-6110 Salaries&Wages 436,678 (12,000) 424,678 52-3300-6222 Motor Vehicle Fuel 63,000 17,000 80,000 52-3300-6258 Motor Vehicle Supplies 75,500 7,500 83,000 52-3300-6343 Insurance Motor Equipment 24,800 (5,200) 19,600 52-3300-6355 Vehicle&Equipment R&M 23,500 8,500 32,000 52-3300-6390 Waste Disposal 240,000 , 45,000 285,000 52-3300-6392 Disaster Debris Expense - 63,043 63,043 52-3000-6397 Green Waste Disposal 22,000 (2,000) 20,000 52-9000-6406 Contingency 45,306 (42,806) 2,500 52-9000-6411 Preventive Care Reimbursement 5,000 (5,000) - 70-2100-6110 Salaries&Wages 570,110 (4,000) 566,110 70-2100-6111 Overtime 55,000 16,000 71,000 70-2100-6113 Longevity 4,512 (1,500) 3,012 70-2100-6210 General Office Supplies 71,600 7,400 79,000 70-2100-6348 Electricity 9,000 (4,000) 5,000 TOTAL 5,210,631 624,194 5,834,825 JUSTIFICATION End of year line-item correction Dept.Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of ORDINANCE NO.2018-30 AN ORDINANCE ACCEPTING UTILITY ACCOUNTS RECEIVABLE CHARGE-OFFS IN THE AMOUNT OF $7,153.08 AS SHOWN IN ATTACHMENT"A"FOR THE YEAR ENDED 9-30-18 IN THE CITY OF NEDERLAND. WHEREAS,Generally Accepted Accounting Practices require that uncollectible accounts receivable be written off to reflect accurate revenues;and, WHEREAS,based on auditor recommendations it is desirable to present uncollectible accounts to be charged off, NOW,THEREFORE,BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND,TEXAS: Section 1.The City of Nederland's book of accounts of the Water Billing/Collecting Department are hereby corrected to reflect the following charge-offs for fiscal year 2017-18 in the amount of$7,153.08 as set forth in Attachment"A." Section 2.Charge-offs affected by this Ordinance are for accounting purposes only and are not to be construed as a release or forgiveness of indebtedness by the City. This provision shall in no way be construed to waive or discharge or dispense with the continued application of Section 106-32 of the Code of Ordinances concerning the accounts hereby affected. THAT this being an ordinance not requiring publication,it shall be effective from and after its passage. PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND AT A REGULAR MEETING THIS THE 24th day of September A.D.,2018. �(kLANp •.�L'; R.A.N ien, ayor ON1 *l�! °� City of Nederland,Texas .O * OUNT1 grsonafi ay Fer ,City C erk City of Nederland,Texas APPROVED AS TO FORM AND LEGALITY: Jes•- Br. ' ' City Attorney Ci I, of► derland,Texas ATTACHMENT"A" CITY OF NEDERLAND ACCOUNTS TO BE WRITTEN OFF FOR FYE 2017-2018 Account Number Amount 02-0080-02-0 119.23 02-0300-04-0 81.58 02-1360-02-0 135.56 02-1920-06-0 58.67 02-2530-12-0 175.48 04-1350-07-0 36.31 04-1700-24-0 31.96 04-1740-04-0 137.92 04-4380-00-0 259.01 05-0310-06-0 78.15 05-0410-13-0 660.57 05-0510-07-0 12.39 05-0890-05-0 166.94 05-1840-08-0 31.20 05-1960-05-0 85.15 05-3130-07-0 101.92 05-3910-23-0 45.32 05-4047-05-0 20.70 06-1370-05-0 38.28 07-0880-06-0 103.73 09-0130-24-0 116.19 10-0730-06-0 25.35 10-5140-01-0 426.45 11-1690-00-0 107.51 11-1791-01-0 62.41 12-0435-03-0 204.97 12-1320-07-0 17.74 13-0500-08-0 15.96 13-1160-13-0 60.03 13-1180-07-0 49.44 13-1490-08-0 116.98 13-2065-10-0 47.83 13-2070-26-0 36.56 13-2128-09-0 130.21 15-0080-00-0 17.43 15-0390-02-0 94.07 15-0560-04-0 54.62 15-2320-10-0 10.64 15-2905-20-0 81.04 16-0660-17-0 47.86 16-1340-17-0 143.52 16-1368-27-0 28.49 16-1690-00-0 91.85 16-2110-06-0 88.58 16-2220-03-0 78.08 17-0210-00-0 190.24 18-0830-00-0 121.73 18-1120-03-0 108.98 18-1710-00-0 186.56 19-0060-04-0 110.97 19-0065-03-0 35.58 19-0270-02-0 31.96 19-1060-04-0 402.83 19-1540-03-0 40.03 19-2630-03-0 43.19 19-3080-04-0 588.26 20-0840-27-0 77.27 20-1110-06-0 15.73 20-1725-02-0 23.16 21-1850-00-0 11.30 ATTACHMENT"A" PAGE 2 OF 2 21-2440-04-0 64.29 22-2440-00-0 53.99 22-2708-10-0 300.55 23-1130-16-0 49.84 23-1160-01-0 70.34 24-0403-11-0 92.40 TOTAL. $7,153.08 ORDINANCE NO. 2018-31 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS ESTABLISHING WATER AND SEWER RATES, WATER METER DEPOSITS, WATER AND SEWER CONNECTION FEES, WATER AND SEWER MAINTENANCE FEES, TRASH REMOVAL, AND GARBAGE RATES, AND PROVIDING FOR THE ADDITION OF STATE MANDATED SALES TAX TO THE GARBAGE PORTION OF THE RATE, INSIDE AND OUTSIDE THE CITY OF NEDERLAND, TEXAS, AND FURTHER PROVIDING FOR INTEREST PENALTIES, RE- CONNECTION CHARGES, TRANSFER FEES, AND RETURNED CHECK FEES AND REPEALING ORDINANCE NO. 2017-18. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND,TEXAS: WHEREAS, a revision should be made in the rates for utility services now being charged by the City of Nederland,Texas, inside the city limits and outside the city limits. SECTION 1. Repeal of Previous Ordinances and Regulations. 1. All other ordinances and/or regulations governing City of Nederland (CITY) water and sewer service in conflict with this ordinance are hereby repealed when this ordinance takes effect, provided, however, the repeal of prior ordinances does not waive, excuse, or vacate any balances due for water services provided hereunder and the CITY may collect such balances due. SECTION 2. Water and Sewer Systems. 1. The water system and sewer system are public utilities operated and maintained by the CITY. The systems shall be operated in accordance with ordinances and policies adopted by the CITY, State law, and/or Federal law. Subject to such requirements, the City Manager may make such reasonable regulations as to govern the water and sewer systems to ensure their continued operation. 2. For the purpose of this ordinance, the terms"water service"and "utility service" shall be inclusive of water service, sewer service, and garbage/trash services as provided by the CITY. 3. For the purpose of this ordinance,the term"customer"shall mean the person responsible for payment and/or all persons acting for him/her or by his/her direction. SECTION 3. Application for Water Service. 1. Any person and/or business desiring to obtain water service from the CITY shall make application on a form supplied by the CITY. The application shall include: a) name of the individual to be f) address to be served responsible for the payment of g) address, if different from the service utility service address, to which bills are to be sent b) the social security number of the h) home telephone number individual responsible for payment i) the signature of the individual c) the driver's license number responsible for payment d) the applicant's employer j) proof of identification e) the applicant's work phone k) rental agreement, if applicable number 2. The person responsible for the payment of utility service shall agree that he/she will abide by all ordinances, rules, policies, and/or regulations governing water and sewer service provided by the CITY. SECTION 4. Installation of Service. 1. No private service lines shall be connected or tapped to any CITY water line unless a meter is installed by the CITY at that connection. 2. No private service lines shall be connected to any CITY sewer line unless the connection/tap has been made and/or approved by the CITY. 3. Not more than one (1) premise may be connected to any 1 water and/or sewer tap. Exceptions may, however, be granted to this stipulation for situations involving a master meter to serve apartment complexes, mobile home parks, etc. 4. No person shall make or permit to be made any subsidiary connection of another's premises with his/her water or sewer service. 5. If approved by the CITY, additional water services may be provided to residences and/or businesses for water to be utilized for purposes such as outside watering, swimming pools, etc. In this situation, water provided by such separate service will not be discharged through the CITY's sewer system. SECTION 5. Water Connection/Taps and Sewer Connection/Taps. A. GENERAL 1. The CITY reserves the right to tap existing CITY water lines, set water meters, and require use of CITY taps and meters and reserves the right to tap existing CITY sewer lines. 2. Any individual or business desiring a water tap and/or a sewer tap shall make said request to the CITY. If said request, in the CITY's opinion, is beneficial to the CITY and/or does not endanger the existing water line(water system)and/or the sewer line (sewer collection system),the CITY shall provide all materials, labor and equipment to tap the existing water line and/or existing sewer line. 3. The CITY shall make the final determination as to the location of the water and/or sewer tap. 4. If street excavation is required, the following fees will be assessed in addition to the fees listed below: Additional Cost for Street Excavations Excavation Length Asphalt Concrete 5'or less $730 $1,650 10'or less $1,000 $2,200 15'or less $1,275 $2,400 20'or less $1,525 $3,425 25'or less $1,800 $3,650 30'or less $2,075 $4,000 31'or more Cost will be calculated Cost will be calculated B. WATER TAPS 1. The water connection fees are as follows: Inside City Outside City . (No Street Excavation) (No Street Excavation) 3/4"Water Tap $ 500 $ 675 1"Water Tap 600 800 1'/:"Water Tap 1,150 1,400 2"Water Tap 1,450 1,750 2"Compound 2,500 2,800 Over 2"Water Tap Cost Cost x 1.5 2. In return for payment of such fee, the CITY shall tap the existing water line and install a water meter. The fee does not include the cost of the meter deposit as provided in Section 6. C. SEWER TAPS 1. The sewer connection fees are as follows: Inside City Outside City (no street excavation) (no street excavation) 4"up to 5'deep $200 $300 4"from 5'to 10'deep $450 $550 6"up to 5'deep $300 $400 6"from 5'to 10'deep $550 $650 8"up to 5'deep $400 $500 8"from 5'to 10'deep $650 $750 More than 10'deep Actual cost D. NEW SUBDIVISION WATER AND SEWER TAP FEES (INSTALLED BY DEVELOPER) Tap Size Inside City Outside City 3"Water $250 N/A 1"Water $350 N/A 4"Sewer $300 N/A SECTION 6. Water Meter and Garbage Container Deposits. 1. In order to establish water, sewer, and garbage service, an applicant for said services shall be required to pay a deposit to the CITY in accordance with the following schedule (excludes residential rental property in renter/tenant's name): Inside City Outside City 3/4"and Smaller Water Meter $110 $110 1"Water Meter 160 160 1'A"Water Meter 210 210 2"and Larger Water Meter 310 310 2. Residential Rental Property Deposit: In order to establish water, sewer, and garbage service, an applicant, who is not the property owner, for said services shall be required to pay a deposit to the CITY in accordance with the following schedule (excludes apartment complexes and duplexes without individual water meters for each unit): Inside City Outside City 3/4"and Smaller Water Meter $225 $225 1"Water Meter 225 225 3. In order to be provided with an additional garbage container, which shall be limited to one additional garbage container per residential account (two total) and three additional per commercial account (four total), an applicant shall be required to pay an additional deposit of$75.00 per additional container. No deposit will be required if customer has paid his bill in full by the due date specified on each individual bill for a period of twelve (12) consecutive months immediately prior to the request for an additional garbage container. SECTION 7. Application of Deposit. 1. Upon the termination of water service,at the request of the customer, the deposit or any portion of the deposit remaining shall be returned to the customer when water and all other charges have been paid, as well all trash has been cleared from the property in accordance with this ordinance and the garbage cans have been collected. 2. Current customers, who have service in their name, who continue to maintain utility service and who have, each month, paid their bill in full and by the due date specified on each individual bill for a period of 12 consecutive months shall, at their request, be refunded the full amount of their deposit. 3. Tenants, who rent residential property from a property owner that elected to not have service in their own name, shall be refunded the full amount of their deposit if they continue to maintain utility service and pay their bill in full and by the due date specified on each individual bill for a period of forty-eight (48) consecutive months. SECTION 8. Previous Service-Outstanding Balance. Any applicant requesting water service from the CITY who currently has or previously had CITY water service and has, at the time of application, an outstanding balance on his/her previous water service must pay the outstanding balance in full in addition to the meter deposit prior to receiving new service. SECTION 9. Water Rates. The following monthly rates shall be charged for water service: Inside City Outside City First 2,000 Gallons(minimum)* $10.00 $14.55 Each additional 1,000 gallons** (up to 2.85 4.60 50,000 gallons) Each additional 1,000 gallons above 2.86 4.61 50,000 gallons Water Line Maintenance— 0.34 0.34 per 1,000 gallons(above minimum) * Effective July 1,2007,where water service is provided to multiple units served by one meter,the minimum rate for the first 2,000 gallons will be charged for each unit based upon ninety percent(90%)occupancy of the total number of units. ** Except as required by provisions of outside CITY contracts. The City may permit contractors engaged by the City for City construction project to utilize potable (bulk water) with the permission of the Public Works Director and the City Manager. Otherwise, no bulk water sales are permitted. SECTION 10. Sewer Rates. The following monthly rates shall be charged for sewer service: Inside City Outside City First 2,000 Gallons(minimum)* $10.65 $16.45 Each additional 1,000 gallons** (up to 4.60 6.05 50,000 gallons) Each additional 1,000 gallons above 4.81 6.26 50,000 gallons Sewer Line Maintenance— 0.34 0.34 per 1,000 gallons(above minimum) * Effective July 1,2007,where water service is provided to multiple units served by one meter,the minimum rate for the first 2,000 gallons will be charged for each unit based upon ninety percent(90%)occupancy of the total number of units. ** Except as required by provisions of outside CITY contracts. SECTION 11. Garbage Rates. RESIDENTIAL ACCOUNTS All residences inside the CITY limits shall be required to use the CITY garbage service in accordance with the following schedule: Inside City Rate(per month) $ 19.75+sales tax* Additional Container** $ 8.65+sales tax* COMMERCIAL ACCOUNTS Businesses inside the CITY limits may elect to utilize the CITY garbage service in accordance with the following schedule: Inside City Rate(per.month) $ 19.75+sales tax* Each Additional Container** $ 10.00+sales tax* No more than 3 additional containers Businesses inside the CITY limits may elect to utilize the CITY garbage service and not receive twice a month trash service in accordance with the following schedule: Inside City Rate(per month) $ 12.75+sales tax* Each Additional Container** $ 10.00+sales tax* No more than 3 additional containers *Sales tax shall be in an amount required by law **Customers requesting additional containers must have sufficient space on their residential or business lot to accommodate the necessary spacing. The City Manager or his designee have the authority to decide whether a customer has sufficient space. The Public Works Director may require any residential or commercial generator who regularly exceeds the provided garbage can load and/or weight capacity within a collection period, or any customer who regularly generates refuse requiring special handling to use a private commercial disposal system or to make other approved disposal arrangements. Garbage bags will be available at City Hall for purchase by customers. The fee for garbage bags is $7.00 per roll of bags. SECTION 12. Billing and Penalty. 1. All charges on utility service bills shall be due and payable to the CITY fifteen (15) days after the date the bill is mailed to the person responsible for payment. 2. If payment is not received by the sixteenth (16th)day,a ten percent(10%) penalty shall be assessed. Y 3. Notwithstanding the provisions of 1 and 2 above, in accordance with Section 182.002 of the Texas Utilities Code, the 10% penalty shall not be applied to persons age 60 or older until the 25th day after the date on which the bill was issued, provided that such person has made a request for delay, presented reasonable proof of their age,and is a residential customer who has occupied, and shall continue to occupy, the entire premises for which a delay is requested. 4. Should the 15th day fall upon a weekend, holiday, or any day that the City Hall Building is closed, a grace period of two (2) business days shall be granted. SECTION 13. Delinquency-Termination of Service. 1. If full payment is not received by the CITY by the next date at which the water meter is read, a subsequent utility bill shall be mailed for the current reading plus the amount owed on the previous billing including the 10% penalty; this does not apply to residential rental property classified as"Elevated Risk." 2. If full payment is not received on the date on which the subsequent utility bill Is due, all utility service shall be disconnected. A final notice via telephone call or mail shall be sent to the customer on the Thursday following the due date indicating that services shall be disconnected on the Wednesday immediately following the issuance of such notice. If payment in full is not received by 5PM on the due date, then a cut-off work order will be issued. Once the cut-off work order is issued, a reconnection fee and any additional deposit shall be due in addition to the previous balance. SECTION 14. Re-connection Charges. 1. Should utility service be discontinued due to non-payment of a utility bill, all funds due to the CITY, in addition to a re-connection fee shall be paid prior to reinstatement of utility service. The re-connection fee shall be $30.00 if reinstatement of utility service is requested during working hours (8:00 a.m. to 4:30 p.m., Monday through Friday). A customer will be required to keep a minimum $210 deposit on file or a $325 deposit for residential rental property accounts in addition to the account balance and reconnection fees before utility service is reconnected. 2. Should service be discontinued, the CITY shall install a lock on the water meter. Should the customer or any person tamper with the lock and damage it, the following fees shall be assessed: 1st offense- $100 and 2nd and/or subsequent offense- $250. This fee shall be paid, in addition to all other charges, prior to reinstatement of service. 3. Should any person turn on water service, after the CITY has discontinued the service for non-payment, such action shall be considered a criminal offense. 4. Should a customer be repeatedly disconnected due to non-payment, the CITY may require the following: a) Payment for the delinquent bill in the form of cash, money order, and/or cashier's check. b) The CITY retains the option of requiring payment for utility bills by cash, money order, and/or cashier's check for all future utility billings. 5. If payment is made with a check returned insufficient funds due to the issuance of a disconnection notice, water will be immediately disconnected. SECTION 15. Transfer Fee. A transfer fee, in the amount of$15.00, shall be assessed for transferring service within the CITY's utility service system. The final bill of the transferred account plus $15.00 will be added to the customer's new account. SECTION 16. Returned Check Fees. 1. Any customer who pays his/her utility bill with a check which is returned from the financial institution due to, but not limited to, insufficient funds and/or closed account shall be assessed a $30.00 fee. 2. The CITY may,at the request of the customer, re-run the check. If the check is accepted, the fee shall be waived. However, if the check continues to be returned, the CITY shall require that the bill be paid by cash, money order, cashier's check, or credit card. 3. The CITY retains the right to prosecute for returned checks in accordance with the Texas Penal Code. 4. If a check is returned unpaid due to the financial institution error,the financial institution shall submit written verification of such error. In this situation, the fee shall be waived. 5. Should a customer have two (2)or more checks returned due to insufficient funds and/or closed account within a period consisting of twelve (12) consecutive months, the CITY shall no longer accept checks from that individual for a period of 24 months. During the 24 month period, all payments shall subsequently be made in the form of cash, money order, cashier's check, and/or credit card. SECTION 17. Temporary Service. 1. Should a customer request temporary service, no deposit shall be required, unless the customer is in arrears on other accounts. 2. The duration of such temporary service shall not exceed 15 calendar days. Customer shall be billed for actual usage. 3. Should the account become delinquent, the customer shall not be allowed to begin any new service until all delinquent monies are paid. SECTION 18. Failure to Receive a Bill. 1. All bills for utility service shall be rendered monthly in accordance with a schedule established by the CITY. The CITY shall exercise care in the delivery of utility bills, but is NOT responsible for the service provided by the United States Postal Service. 2. Failure to receive a bill shall not relieve the customer for payment of service received within the prescribed period nor exempt him/her from the responsibility imposed for delinquent accounts. SECTION 19. Deferred Payments. 1. The City Manager and/or his/her designee shall be empowered to develop payment schedules should a customer be unable to pay his/her bill. The City Manager may not develop payment schedules should a customer be unable to pay his/her bill if the outstanding balance is greater than $500.00. 2. Should a customer not be able to pay his/her account by the due date, he/she must contact the CITY prior to the due date and request that a payment schedule be developed. 3. Should a customer not contact the CITY prior to the issuance of a disconnection notice, he/she shall be required to pay the entire amount of the bill in order to retain water service. 4. The customer and the CITY may develop a payment schedule which shall be documented on a form supplied by the CITY. This form shall include, but not be limited to, the following information: dates of future payments, amounts of future payments; and signature of the customer. Should the customer subsequently not comply with the payment schedule, water service shall be disconnected and shall not be reinstated until the full amount owed on the bill is paid. 5. In no case shall the CITY abdicate the right to refuse a payment schedule as presented by the customer. 6. If a customer fails to comply with the provisions of their payment schedule, he/she shall not be permitted to establish additional payment schedules until full payment has been received on the initial/existing payment schedules. SECTION 20. Adjustments. 1. The City Manager and/or his/her designee shall be empowered to make adjustments on utility bills when an investigation reveals that the meter charges are excessive in comparison to previous billings due to inadvertent misfortune or inadvertent damage to a customer's pipes and plumbing. Customer must show proof leak has been repaired before issuance of adjustment. 2. Any adjustments made to the utility bill shall be made to the cost for sewer service, including base rate and maintenance fee. An adjustment will be made based upon an average of six monthly bills during the previous six-month period. 3. In the event that water usage during the billing period exceeded 50,000 gallons,the cost of water shall be adjusted by one-third (1/3) of the excess water usage based upon an average of six monthly bills during the previous six-month period. Such an adjustment, however, shall only be made for those customers whose monthly bill averages less than 50,000 gallons based upon an average of the preceding 12 months. Any adjustment to the cost of water shall only be made if the customer provides verification that a leak existed and that repairs have been made. 4. In no case shall a sewer adjustment be granted if the CITY notified the customer of a potential water leak on his/her property. 5. Sewer adjustments will be limited to one per 12-month period. Sewer adjustments shall not exceed $2,500 unless approved by the City Council. 6. A sewer adjustment will be granted the first time a swimming pool is filled upon construction. To be eligible for an adjustment,the customer must have a Building Permit issued by the City of Nederland Inspections Department. 7. Any suspected billing errors should be reported to the Billing &Collections Department when the billing error is discovered. If a billing error did occur, an adjustment will be calculated to correct the error. However, adjustments will be limited to the previous twelve months billing and require the city manager's approval. SECTION 21. Meter Tampering. 1. It is unlawful for any person to turn on water to any premises from the CITY water system without first obtaining approval from the CITY. 2. It is unlawful for any person to connect water service to a premises after service has been terminated by the CITY. 3. It is unlawful to interfere with, disturb or damage in any manner or form any water meters, locks, cutoff valves, or other appliances of the CITY. The head of household or property owner involved shall be held responsible for the violation of this section. 4. Tampering fees of up to five hundred dollars ($500.00) shall be assessed where a meter has been interfered with, disturbed,or damaged. SECTION 22. Trash Removal Rates. 1. Trash blocking drainage-a service fee of$50.00- $200.00 will be charged to the owner of the property when it becomes necessary to clear a ditch of trash and/or debris during, before, and/or after a rainstorm to prevent possible flooding. The fee shall be based upon the amount of work performed by the CITY. The City shall document the work and add the service fee on the customer's next bill; the next month bill will be the customer's notice. 2. Miscellaneous trash and/or debris, defined as green waste and/or any other bulky items not able to be placed into the standard CITY garbage container,from empty(undeveloped or vacant) property must be hauled off by the owner or developer at their expense. Violations of said policy will be forwarded to the City's Code Enforcement Department for compliance. The City shall not reconnect services until said violation has been resolved by the Code Enforcement Officer and/or Municipal Court. 3. The CITY will provide collection of trash to residential and commercial customers receiving garbage service twice per month. The amount of trash removed shall be limited to four (4)cubic yards per collection. Trash piles greater than the prescribed 4 cubic yards must be removed from the property within ten (10) calendar days or violations may be forwarded to the City's Code Enforcement Department for compliance. If the City's Code Enforcement Officer tags the pile in violation, the City solid waste service shall not pickup that trash. The CITY shall not provide this service to vacant properties or those properties without an active account. Green waste and trash will not be removed if it is co-mingled. 4. Should an owner of property or customer within the CITY request the removal of trash, the CITY may do so at a cost equivalent to the actual costs of personnel,equipment,and disposal fees but no less than $20.00 per cubic yard per collection for quantities greater than four cubic yards. Payment must be made to the City prior to the trash being collected. The amount of trash to be collected shall not exceed four (4) cubic yards at any one time. Such service shall be provided at the discretion of the CITY dependent upon such factors including, but not limited to, existing work load,and scheduling. This provision shall not apply to the accumulation of trash due to work performed by contractors and/or individuals/companies hired by the property owners. The placement of the trash in quantities greater than four cubic yards shall constitute the owner or customer's request for said service and acceptance of prescribed fees. SECTION 23. Validation. If any section, paragraph, subdivision, clause, phrase or provision of this ordinance shall be adjudged invalid or held unconstitutional, the same shall not affect the validity of this ordinance as a whole or any part or provision thereof other than the part so decided to be invalid or unconstitutional. This ordinance shall take effect October 1, 2018. PASSED AND APPROVED by the City Council of the City of Nederland,Texas at a special meeting this the 24TM day of SEPTEMBER 2018. 19) _>-:��� i� V�/'�= R. A. Nugent, ��ayor , City of Nede r-nd,Texas ay FergYison, City rk� City of Nederland,Texas APPROVED AS TO FORM AND LEGALITY: • AIM i%: Jesse :ranic d Attorney City Ned- land,Texas