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HomeMy WebLinkAbout234942 07/16/14 ,y'•4�p''P CITY OF CARMEL, INDIANA VENDOR: 358582 ,V i! ONE CIVIC SQUARE PATTERSON HORTH INC CHECK AMOUNT: S"'"23,326.73• CARMEL, INDIANA 46032 5745 PROGRESS DRIVE CHECK NUMBER: 234942 9M,i�oN. INDIANAPOLIS IN 46241 CHECK DATE: 07/16/14 DEPARTMENT ACCOUNT PO NUMBER INVOICE NUMBER AMOUNT DESCRIPTION 106 R5023990 36195 3070 23,326.73 FOUNDERS PARK PAVILLI l y I .Paterson - Horth Inc. INVOICE 5745 Progress Drive Indpls., IN 46241 Invoice Number: 3070 Invoice Date: Jun 18,2014 Page: 1 Voice: (317)243-6104 Fax: (317)243-6398 Carmel Clay Board of Parks&Rec. Carmel Clay Board of Parks&Rec. 1411 E 116th St. 1411 E 116th St. Carmel, IN 46032 Carmel, IN 46032 Customer l .Lg stonier Pok : ... Payment elms ��.y._,_ Carmel Clay Net 30 Days Sales;Re IES v. S � in Courier 7/18/14 Ile $'v"C'$F - F.'tx4 4 N . •@° 4 ? 4 91uF . Quan�t�ty � �� „Item �,-� "� 3 Qe�r�r�pt�on . �»� �� � t�n�f Pr"irie.� ��`��►m P � , Progress Billing#7 24,554.45 Retainage -1,227.72 Subtotal 23,326.73 Sales Tax Total Invoice Amount 23,326.73 Check/Credit Memo No: Payment/Credit Applied 300 AIA Document G702TM - 1992 Application and Certificate for Payment TO OWNER: Carmel Clay Board of Parks and PROJECT: Founders Park Pavillion Project APPLICATION NO: 007 Distribution to: Recreation 11675 Hazell Dell Parkway PERIOD TO:June 20,2014 OWNER: 1411 E. 116th St. Carmel,IN 46032 Carmel,IN 46032 CONTRACT FOR: General Construction ARCHITECT: FROM VIA CONTRACT DATE: CONTRACTOR: CONTRACTOR: Patterson-Horth,Inc. ARCHITECT: PROJECT NOS: /21324/ 5745 Progress Road FIELD: Indianapolis,IN 46241 OTHER: CONTRACTOR'S APPLICATION FOR PAYMENT The undersigned Contractor certifies that to the best of the Contractor's knowledge,information and belief the Work covered by this Application for Payment has been completed in accordance with the Application is made for payment,as shown below,in connection with the Contract. Contract Documents,that all amounts have been paid by the Contractor for Work for which previous Continuation Sheet,AIA Document G703,is attached. Certificates for Payment were issued and payments received from the Owner, and that current 1. ORIGINAL CONTRACT SUM ......................................................................... $ 1,159,997.00 payment shown herein is now due. 2. NET CHANGE BY CHANGE ORDERS......................................................... $ 172,737.37 CONTRA : 3. CONTRACT SUM TO DATE(Line 1 f 2)..................................................... $ 1,332,734.37 By: Date: June 18,2014 4. TOTAL COMPLETED & STORED TO DATE(Column G on G703)........... $ 1,315,822.58 State of:Indiana 5. RETAINAGE: County of:Marion JOYCE D.BRUMMETT a. 5 %of Completed Work Subscribed and sworn to before Notary Pim (Column D+E on G703) $ 65,791.13 me this tgTu day of )L 4_,jE o20 t`4 SEAL b. %of Stored Material State of Indiana ( MY Convnission xEx ves Aaril 11.2020 (Column F on G703) $ 0.00 Notary Public: Total Retainage(Lines 5a+5b or Total in Column I of G703) ................ $ 65,791.13 My Commission expires:April 11,2020 6. TOTAL EARNED LESS RETAINAGE............................................................ $ 1,250,031.45 ARCHITECT'S CERTIFICATE FOR PAYMENT (Line 4 Less Line 5 Total) In accordance with the Contract Documents,based on on-site observations and the data comprising 7. LESS PREVIOUS CERTIFICATES FOR PAYMENT ..................................... $ 1,226,704.72 this application,the Architect certifies to the Owner that to the best of the Architect's knowledge, Certificate information and belief the Work has progressed as indicated,the quality of the Work is in accordance (Line 6 from prior ) with the Contract Documents, and the Contractor is entitled to payment of the AMOUNT 8. CURRENT PAYMENT DUE...........................................I.............................. I $ 23,326.73 CERTIFIED. 9. BALANCE TO FINISH, INCLUDING RETAINAGE AMOUNT CERTIFIED .................................................................................. $ 23,326.73 (Line 3 less Line 6) $ 82,702.92 (Attach explanation if amount certified differs from the amount applied.Initial all figures on this Application and on the Continuation Sheet that are changed to conform with the amount certified.) CHANGE ORDER SUMMARY ADDITIONS DEDUCTIONS CHITEC . Total changes approved in previous months by Owner, $ 172,737.37$ 0.0 By: Date: / Total approved this Month $ 0.00$ 0.0 TOTALS $ 172,737.3 $ 0.0 This Certificate is not negotiable. The AMOUNT CERTIFIED is payable only to the Contractor named herein.Issuance,payment and acceptance of payment are without prejudice to any rights of T CHANGES by Chane Order $ 172,737.3 the Owner or Contractor under this Contract. AIA Document G702TM'—1992.Copyright©1953,1963,1965,1971,1978,1983 and 1992 by The American Institute of Architects.All rights reserved.WARNING:This AIA®Document is protected by U.S. Copyright Law and International Treaties.Unauthorized reproduction or distribution of this AIA®Document,or any portion of it,may result In severe civil and criminal penalties,and will be prosecuted to the maximum extent possible under the law.This document was produced by AIA software at 08:22:54 on 06/18/2014 under Order No.0733323674_1 which expires on 07/12/2015,and is not for resale. User Notes: (1399220051) A I A Document G 7 0 3 TM - 1992 Continuation Sheet AIA Document,G702T"t-1992,Application and Certification for Payment, or G7367"t-2009, APPLICATION NO: 007 Project Application and Project Certificate for Payment,Construction Manager as Adviser Edition, APPLICATION DATE: 06/20/2014 containing Contractor's signed certification is attached. In tabulations below,amounts are in US dollars. PERIOD TO:06/20/2014 Use Column I on Contracts where variable retainage for line items may apply. ARCHITECT'S PROJECT NO: A B C D E F G H I WORK COMPLETED MATERIALS TOTAL FROM COMPLETED e BALANCE TO RETAINAGE(IF ITEM DESCRIPTION OF SCHEDULED PRESENTLY /o NO. WORK VALUE PREVIOUS THIS PERIOD STORED AND STORED TO (G-C) FINISH VARIABLE APPLICATION (NOT IN D OR E) DATE (C-G) RATE) (D+E) (D+E+F) 1 P&P Bond 15,584.00 15,584.00 0.00 0.00 15,584.00 100.00% 0.00 779.20 2 Supervision 23,068.00 22,764.00 304.00 0.00 23,068.00 100.00% 0.00 1,153.40 Misc. General 3 Conditions 2,675.00 2,675.00 0.00 0.00 2,675.00 100.00% 0.00 133.75 4 Earthwork 127,974.00 127,974.00 0.00 0.00 127,974.00 100.00% 0.00 6,398.70 5 Paving 6,993.00 4,573.00 2,420.00 0.00 .6,993.00 100.00% 0.00 349.65 6 Landscaping 8,855.00 0.00 8,855.00 0.00 8,855.00 100.00% 0.00 442.75 7 Concrete 114,676.00 114,676.00 0.00 0.00 114,676.00 100.00% 0.00 5,733.80 8 Masonry 102,000.00 102,000.00 0.00 0.00 102,000.00 100.00% 0.00 5,100.00 9 Structural Steel 33,800.00 33,800.00 0.00 0.00 33,800.00 100.00% 0.00 1,690.00 10 Rough Carpentry 142,237.00 142,237.00 0:00 0.00 142,237.00 100.00% 0.00 7,111.85 11 Roofing 43,850.00 43,850.00 0.00 0.00 43,850.00 100.00% 0.00 2,192.50 Doors,Frames, 12 Hardware 14,133.00 14,133.00 0.00 0.00 14,133.00 100.00% 0.00 706.65 13 Glass&Glazing 43,837.00 43,837.00 0.00 0.00 43,837.00 100.00% 0.00 2,191.85 Framing,Drywall, 14 Ceilings 132,100.00 132,100.00 0.00 0.00 132,100.00 100.00% 0.00 6,605.00 15 Flooring 26,442.00 26,442.00 0.00 0.00 26,442.00 100.00% 0.00 1,322.10 16 Painting 11,700.00 11,700.00 0.00 0.00 11,700.00 100.00% 0.00 585.00 17 Misc Specialties 36,073.00 . 36,073.00 0.00 0.00. 36,073.00 100.00% 0.00 1,803.65 18 HVAC&Plumbing 103,000.00 103,000.00 0.00 0.00 103,000.00 100.00% 0.00 5,150.00 19 Electrical 121,000.00 121,000.00 0.00 0.001 121,000.001 100.00% 0.001 6,050.00 20 Allowance 50,000.00 20,112.761 12,975.45 0.001 33,088.211 66.18%1 16,911.791 1,654.41 AIA Document G7031-1992.Copyright©1963,1965,1966,1967,1970,1978,1983 and 1992 by The American Institute of Architects.All rights reserved.WARNING:This AIA®Document is protected by U.S. Copyright Law and Intemational Treaties.Unauthorized reproduction or distribution of this AIA®Document,or any portion of it,may result in severe civil and criminal penalties,and will be prosecuted to I the maximum extent possible under the law.This document was produced by AIA software at 08:21:15 on 06/18/2014 under Order No.0733323674_1 which expires on 07/12/2015,and is not for resale. User Notes: (1328894579) f'- A B C D E F G H I WORK COMPLETED MATERIALS TOTAL ITEM DESCRIPTION OF SCHEDULED FROM PRESENTLY COMPLETED % BALANCE TO RETAINAGE(IF NO. WORK VALUE PREVIOUS AND STORED TO FINISH VARIABLE APPLICATION THIS PERIOD STORED DATE (G-C) (C-G) RATE) (D+E) (NOT IN D OR E) (D+E+F) CO#1-Scope 21 Changes 92,737.37 92,737.37 0.00 0.00 92,737.37 100.00% 0.00 4,636.87 CO#1-Winter Conditions 22 Allowance 55,000.00 55,000.00 0.00 0.00 55,000.00 100.00% 0.00 2,750.00 CO#1-Additional 23 STM Allowance 25,000.00 25,000.00 0.00 0.00 25,000.00 100.00% 0.00 1,250.00 0.00 0.00 0.00 0.00 0.00 0.00% 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00%, 0.00 0.00 0.00 0.001 0.00 0.00 0.00 0.00% 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00% 0.00 0.00 GRAND TOTAL $1,332,734.37 $1,291,268.131 $24,554.45 $0.00 $1,315,822.58 98.73% $16,911.79 $65,791.13 AIA Document G703TM-1992.Copyright©1963,1965,1966,1967,1970,1978,1983 and 1992 by The American Institute of Architects.Ali rights reserved.WARNING:This AIA®Document Is protected by U.S. Copyright Law and International Treaties.Unauthorized reproduction or distribution of this AIA®Document,or any portion of it,may result in severe civil and criminal penalties,and will be prosecuted to 2 the maximum extent possible under the law.This document was produced by AIA software at 08:21:15 on 06/18/2014 under Order No.0733323674_1 which expires on 07/12/2015,and is not for resale. User Notes: (1328894579) ILLI PATTERSON HORTH GENERAL CONTRACTORS OWNER AFFIDAVIT AND WAIVER AND RELEASE OF LIEN AND CLAIMS The undersigned, being duly swom upon his oath,states that he is the principal owner,officer,or authorized agent of Patterson-Horth, Inc. ("Contractor"),and is duly authorized to enter into this agreement and make these affirmations on behalf of the Contractor,which is contracted with Carmel Clay Board of Parks and Recreation to furnish materials, labor or services for a project known as Founders Park Pavillion Project (hereinafter"Project"), owned by Carmel Clay Board of Parks and Recreation and does hereby further state that the sum of $ 23,326.73 is due Contractor,the payment of which is made as consideration for this Affidavit and Waiver and Release of Liens and Claims and constitutes full and complete satisfaction of all sums owing to Contractor(less retainage) up to June 18,2014 (date of application). Therefore,as to the following entities: Patterson=Horth,Inc.- Fidelity and Deposit Company of Maryland and all other entities have an interest in this project,the undersigned as duly authorized agent for Contractor hereby waives and releases any and all claims,Verified Statement of Claims and Mechanic's Liens,and further waives and releases any and all other liens or claims or rights to liens or claims whatsoever on the above-described property,on account of labor;materials or services furnished by Contractor: Contractor further certifies that all funds received from this project have been applied for the payment for labor, material and services furnished to this project by employees,subcontractors and material suppliers and that no other party has any lien or claim on account of any work-performed or.material furnished for said Project,and within the scope of this Affidavit and Waiver up to June 18,2014 (date of application). By: Printed: Michael K. Patterson Title: President STATE OF INDIANA SS: COUNTY OF MARION ) The foregoing, before me,a notary public,personally appeared Michael K. Patterson ,as President ,duly authorized officer or agent of Patterson-Horth, Inc. ,who having been duly sworn,acknowledged the execution of the foregoing Affidavit and Waiver and Release of Liens and Claims,for and on behalf of said corporation and stated that the representations therein contained are true. WITNESS my hand and notary seal this 18 day of June ,20 14 Signed: Printed: Vycebrummett Notary Public My Commission Expires: April 11,2020 My County of Residence is: Marion Contractor further certifies that upon receipt of payment listed above,the unpaid balance of materials, labor or services for the project is $ 82,702.92 F.BRUMMETT ry Public EAL of Indiana Expires Apel 1.2020 ACCOUNTS PAYABLE VOUCHER 17 CITY OF CARMEL An invoice of bill to be properly itemized must show; kind of service,where performed, dates service rendered, by whom, rates per day, number of hours, rate per hour, number of units, price per unit, etc. Payee Purchase Order No. 358582 Patterson-Horth, Inc. Date Due 5745 Progress Road Indianapolis, IN 46241 Invoice Invoice Description Date Number (or note attached invoice(s) or bill(s)) PO# Amount 6/18/14 3070 Founders Park Pavilion project 36195 $ 23,326,73 Total $ 23,326.73 I hereby certify that the attached invoice(s),or bill(s)is(are)true and correct and I have audited same in accordance with IC 5-11-10-1.6 , 20 Clerk-Treasurer Voucher No. Warrant No. I, Allowed 20 358582 Patterson-Horth, Inc. 5745 Progress Road Indianapolis, IN 46241 I In Sum of$ $ 23,326.73 i ON ACCOUNT OF APPROPRIATION FOR 106 Park Impact Fee PO#or INVOICE NO. kCCT#ITITLI AMOUNT Board Members Dept# 36195 3070 5023990 $ 23,326.73 I 1 hereby certify that the attached invoice(s), or bill(s)is(are)true and correct and that the materials or services itemized thereon for i which charge is made were ordered and received except I i 3-Jul 2014 P � $ 23,326.73 Accounts Payable Coordinator Cost distribution ledger classification if Title claim paid motor vehicle highway fund