Fee Budget Sample Clauses

Fee Budget. 1.1 Our estimated fee budget for the Basic Services is as follows: Design Development $ 265,000 (Lump Sum) 50% Construction Documents $ 290,000 (Lump Sum) 95% Construction Documents $ 275,000 (Lump Sum) 100% Proposal Ready Construction Documents $ 45,000 (Lump Sum) Proposal Phase Construction Administration $ 25,000 $ 220,000 (Lump Sum) (Lump Sum) Total Basic Services Fee $ 1,120,000
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Fee Budget. Our estimated fee budget for the Basic Services is $ 126,475.00 (lump sum).
Fee Budget. 1.1 Our estimated not-to-exceed (NTE) fees are as follows: Construction Management Services Reimbursable Expenses Total $ 398,810 (Hourly NTE) $ 15,000 (Reimbursable NTE) $ 413,810
Fee Budget. 1.1 Our estimated fee budget for the Basic Services is as follows: Schematic Design Phase Design Development Phase $ 107,000 $ 143,000 (Lump Sum) (Lump Sum) Construction Documents Phase $ 320,000 (Lump Sum) Proposal Phase Construction Administration Phase $ 14,000 $ 129,000 (Lump Sum) (Lump Sum) Total Basic Services Fee $ 713,000 Reimbursable expenses shall include fees associated with TDLR ADA Accessibility Submittal, Review and Inspection; reproduction and outside service fees. Expenses shall be compensated based upon the attached Hourly Rate Sheet and are estimated to be $ 25,000.00.

Related to Fee Budget

  • Annual Budget Prior to the Closing Date, Borrower has submitted and Lender has approved an Annual Budget for the 2014 calendar year (the “Approved Initial Budget”). Borrower shall submit to Lender by November 1 of each year the Annual Budget relating to the Properties for the succeeding calendar year. During the continuance of a Cash Sweep Period, Lender shall have the right to approve each Annual Budget (which approval shall not be unreasonably, conditioned or delayed withheld so long as no Event of Default is continuing). An Annual Budget approved by Lender during a Cash Sweep Period or any Annual Budget submitted prior to the commencement of a Cash Sweep Period, shall each hereinafter be referred to as an “Approved Annual Budget”. In the event of a Transfer of any Property the Approved Annual Budget shall be reduced as reasonably determined by Lender in consultation with Borrower in order to reflect the removal of such Property and the Operating Expenses associated therewith; provided, further, that no such reduction shall be made in the event such Transfer is made in connection with a substitution under Section 2.4.2(a). If Lender has the right to approve an Annual Budget pursuant to this Section 4.3.2, neither Borrower nor Manager shall change or modify the Annual Budget that has been approved by Lender without the prior written consent of Lender (which consent shall not be unreasonably withheld, conditioned or delayed so long as no Event of Default is continuing). The “Monthly Budgeted Amount” for each Payment Date shall mean the monthly amount set forth in the Approved Annual Budget for Operating Expenses for the Interest Period related to such Payment Date, but excluding management fees, Property Taxes that are required to be deposited into the Tax Subaccount pursuant to Section 6.1 and Insurance Premiums that are required to be deposited into the Insurance Subaccount pursuant to Section 6.2. If during any Cash Sweep Period, Borrower has submitted an Annual Budget and such Annual Budget has not been approved prior to the commencement of the calendar year to which such budget relates then the previous Approved Annual Budget shall continue to be deemed to be the Approved Annual Budget for that calendar year.

  • Budget Consulting Engineer/Architect shall advise City if, in its opinion, the amount budgeted for construction is not sufficient to adequately design and construct the improvement as requested.

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