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CASSELBERRY CITY COMMISSION <br />Minutes of January 10, 2022 — Regular Meeting <br />Page 4 of 13 <br />needed basis is requested. (EX -2020-0846) <br />Budget Impact: Sufficient funds for FY 2022 have been budgeted for in the impacted funds' Professional <br />Services Accounts. Future years will be budgeted accordingly. <br />Recommendation: The City Manager and the Finance Director recommended approval and execution of <br />a Standard Services Agreement with Sawgrass Asset Management, LLC for the provision of non -ERISA <br />investment management services on an as -needed basis. <br />F. Standard Services Agreement with AndCo Consulting, LLC for the Provision of <br />Investment Performance Monitoring and Advisory Services <br />Introduction: Consideration of approval and execution of a Standard Services Agreement with AndCo <br />Consulting, LLC for the provision of investment performance monitoring and advisory services on an as - <br />needed basis at a flat rate fee of $45,000 annually for a total amount of $225,000 for the term beginning <br />February 1, 2022 through January 31, 2027 is requested. (EX -2022-0845) <br />Budget Impact: Sufficient funds for FY 2022 have been budgeted for in the impacted funds' Professional <br />Services Accounts. Future years will be budgeted accordingly. <br />Recommendation: The City Manager and the Finance Director recommended approval and execution of <br />a Standard Services Agreement with AndCo Consulting, LLC for the provision of investment performance <br />monitoring and advisory services on an as -needed basis. <br />G. Piggyback Agreement with Cathcart Construction Company LLC for Water <br />Distribution Renew and Restore Proiects Construction Services <br />Introduction: Consideration for approval of a piggyback agreement with Cathcart Construction Company, <br />LLC for Water Distribution Renew and Restore Projects Construction Services on an as -needed basis for <br />an amount that shall not exceed $450,000 for the term beginning December 13, 2021 through August 18, <br />2025 is requested. (Ref: PBA -2021-0813) <br />Budget Impact: Funding in the amount of $185,000 is available in the FY 2022 Water and Sewer Fund <br />Distribution and Collection Repairs and Maintenance Emergency account #401-0751-536.46-05. <br />Recommendation: The City Manager and the Public Works Director recommended City Commission <br />approval of this contract with Cathcart Construction Company, LLC for Water Distribution Renew and <br />Restore Projects Construction Services on an as -needed basis and simultaneous authorization for the City <br />Manager to approve all task authorizations within the scope of the contract and all renewals. <br />H. Task Authorization No. 1 with Wright -Pierce Inc. for Construction Engineering <br />Inspection Services for the US Highway 17/92 Water Main Looping Project <br />