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LTC 331-2017 Miami Beach Convention Center Construction Project Update Guaranteed Maximum Price GMP Contract Reconciliation SettlementMIAMI BEACH City of Miami Beach, 1700 Convention Center Drive, Miami Beach, Florida 33139, www.miamibeachfl.gov OFFICE OF THE CITY MANAGER LTC # 331-2017 LETTER TO COMMISSION TO: Mayor Philip Levine and Members the City, ommission FROM: Jimmy L. Morales, City Manager DATE: June 26, 2017 SUBJECT: Miami Beach Convention Center Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement The purpose of this LTC is to update the Mayor and City Commission on the Miami Beach Convention Center (MBCC) Renovation and Expansion Project. The financial information provided is through April 30, 2017 including costs attributed to the Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement finalized on April 26, 2017. SUMMARY AND CONCLUSION OF GMP RECONCILIATION CHANGE ORDER SETTLEMENT On October 21, 2015, the Mayor and City Commission adopted Resolution No. 2015-29188 authorizing the City to enter into a Construction Manager at Risk (CM@R) Agreement with Clark Construction Group, LLC (Clark) for the renovation and expansion of the MBCC. The City's architect, Fentress Architects (Fentress), represented that the design documents were 65% complete at that time. In December of 2015, construction began under a phased permit concurrently with permit reviews and processing of final plans, i.e., under a "fast-track". This was necessary in order to allow Art Basel to have a 4-hall event in December of 2016 and December of 2017 while construction of the project was on-going and allowing half hall events. Under the CM@R Agreement, Clark was to build the project for the GMP amount based on the 65% documents and what is "reasonably inferable" from those documents. Under those terms, the City assumed certain risks, such as those relating to concealed conditions on the site, as well as changes driven by the Authorities having Jurisdiction (AHJ) (i.e., the Fire Marshal, franchise utilities such as FP&L and AT&T, the City's Public Works department, the City's Building Official, and Miami-Dade County Departments such as DERM, DEP, and Miami-Dade- County Traffic, among others). On April 7, 2017, LTC #184-2017 updated the City Commission on the status of the project and addressed concerns and rumors that the project was grossly over budget and extremely delayed, neither of which were true. The LTC also explained the reasons why the MBCC project is not a "typical" construction project since events have to be hosted during the majority of the construction period (including two separate 4-hall Art Basel events, each of which require project construction to be put on "hold" for specified time periods). The LTC also informed the City Commission that the City's consulting team, (owner's representative, Hill International (Hill); convention center consultant, Jones Lang LaSalle (JLL); third party cost estimator, RIB US Cost; and architect, Fentress Architects), had been advising and assisting the City during an 8-month negotiation process to reconcile the scope of Work the Miami Beach Convention Center Monthly Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement June 26, 2017 Page 2 of 8 City purchased under the GMP Amendment with the claims submitted to the City by Clark (on behalf of itself and its trade contractors) for alleged changes in the scope of Work occurring after execution of the GMP Amendment. The 8-month negotiation came to a conclusion and settlement on April 26, 2017. As for budget, the City issued bonds at the end of 2015 in a total of $615 million dollars for the project, including hard and soft costs. Included in those numbers was a substantial amount of project contingency to cover three significant risk factors that have now been addressed and settled with Clark and all trade contractors from inception of the project to January 31, 2017: 1. By agreement of Clark and the City, the GMP was established based on incomplete drawings (necessitated by the need to commence construction immediately after Art Basel 2015 in order to open all four halls for Art Basel 2016). 2. Since 70% of this project consists of major renovations to an existing facility, some unforeseen conditions arose which added costs to the bottom line. Costs included lead paint removal, asbestos abatement, and permitting issues pertaining to contaminated soil and dewatering. 3. Challenges faced in meeting life-safety requirements during shows and events that occurred in an active construction site, which added both capital and operational costs to the project. Contingency Funds (Construction Manager's (CM) Contingency and Owner's Contingency) Due to the risk factors listed above, which were associated with the project from its inception and allocated amongst the parties in the CM@R Agreement, the GMP included a CM Contingency fund in the amount of $29.7 million for Clark to use to cover certain costs associated with such risk factors. In addition to the CM Contingency, there is a $35 million Owner's (City's) Contingency within the project budget of $615.8 million, to cover certain additional project-related expenses for which the City is responsible under the CM@R Agreement. By way of example, these expenses include, among others, discretionary changes made by the City, changes required by the AHJ, and differing site conditions. After settlement of the GMP reconciliation, the comparison of the current project budget to the newly updated budget is in Chart 1 following on Page 3. Miami Beach Convention Center Monthly Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement June 26, 2017 Page 3 of 8 Chart 1 GMP Reconciliation Project Budget Revision Guaranteed Maximum Price Original Current Variance Hard Costs w/ Markups $455,244,559 $513,811,974 $58,567,415 1 9.5% General Conditons 24,465,886 28,165,886 3,700,000 2 0.6% CM Contingency 29,747,613 5,402,813 -24,344,800 3 -4.0% Subtotal 509,458,058 547,380,673 37,922,615 6.2% Owner's Costs Design 26,669,442 27,930,707 1,261,265 0.2% Oversight 8,194,398 9,647,716 1,453,318 0.2% Art in Public Places 6,900,000 7,060,797 160,797 0.0% FF&E 6,830,945 6,830,945 0 0.0% Insurance 11,600,000 6,508,459 -5,091,541 4 -0.8% Other 11,070,087 12,900,898 1,830,811 0.3% Funding from other sources 0 -9,831,832 -9,831,832 5 -1.6% Subtotal 71,264,872 61,047,690 ,-10,217,182 -1.7% Owner's Contingency 35,000,000 7,442,016 -27,557,984 6 -4.5% TOTAL $615,722,930 $615,870,379 $147,449 7 Notes Legend: 1. Amounts having been utilized prior to April GMP reconciliation, amount utilized by CM contingency, sales tax shortfall, GMP reconciliation amount from Owner's Contingency and other program reductions. 2. Additional CM staffing and support in conjunction with the GMP reconciliation. 3. Construction Manager's obligation for increased costs and the GMP reconciliation. 4. Insurance savings. 5. Savings allocated from other funding sources. 6. Amount used for reconciliation net of reductions in owner's costs and other programmatic elements. 7. Bond offering resulted in additional proceeds of $147,449 that were not included in the original budget. As was previously reported, addressing these issues used a significant amount of both of the contingency amounts, however the project remains within the overall project budget of $615.8 million. Taking the GMP reconciliation settlement into account, there is a total of approximately $12.8 million in funds remaining in the CM Contingency and the Owner's Contingency. Although this equates to only 20% of the total contingency amounts initially established, we believe that the largest part of the project's cost risks were addressed in the settlement. The east side and exhibit hall renovations are nearing completion and most of the future costs will be in new construction on the north and west side of the center. New construction typically gives rise to fewer unknown conditions that result in additional costs to the project owner. Moreover, with the west side demolished, the unknowns related to attaching the new construction to the existing structure have been identified. That said, the development of the park might uncover further unknown site conditions; however, those site issues should be minimized since the site has never been previously developed. As construction progresses, the City anticipates that Clark and its trade contractors will continue to submit Requests for Information (RFIs) for the purpose of clarifying design details or resolving ambiguities in the construction documents. As the project architect, Original Revised Miami Beach Convention Center Monthly Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement June 26, 2017 Page 4 of 8 Fentress, will continue to respond to any such RFIs as they are received, the City's consultants, JLL and Hill, will continue to assist in managing the RFI process with a focus on no-cost solutions. While no guarantees can be made at this point, the team believes the remaining Owner's Contingency and CM Contingency should be sufficient to provide for unknowns going forward. It is a daily challenge to keep the project on time and on budget and the JLL and Hill support team will continue to advocate for the City's position and drive project completion within the original project budget of $615.8 million. Contract Time Extension As part of the GMP reconciliation settlement, the contract time was extended via change order for 39 days, or 4% of the contract time, from June 30, 2018 to August 8, 2018. No events will be effected in 2018 by the time extension. The east concourse and halls have opened for events as planned.' The time comparison in Chart 2 below shows the time extension. Chart 2 Construction Duration in Days 0 100 200 300 400 500 600 700 800 900 1,000 SCHEDULE UPDATE & PROJECT MILESTONES Construction of the project commenced in December 2015 and is 50% complete as depicted in Schedule A below: Schedule A 2015 2016 2017 2018 8 9 10 11 12 2 3 4 5 6 7 8 9 10 11 12 1 2 3 4 5 6 7 8 9 10 11 12 1 2 3 4 5 6 7 8 9 10 11 12 Phase I East Lobby Renovation I East Exhibition Halls I 21st Street Pump Station 0 0 N ti i—i C \ 1 5.7'. North Adrk t tion in ,..0 6.1 I Phase II cU v., Carl fisher Clubhouse M West Exhibition Halls ro C03 CO West Concourse/Grand Lobby t 4--• 1= Convention Center Drive - < - ZL < I Phase III Rooftop Ballroom - P-Lot Park 21st St Park / Greenspaces Ar t Ba s e l 7 0 1 8 1 The events planned for the World OutGames were relocated due to the unavailability of the east kitchen at that time. Sadly, all events were cancelled by the organizers. The east kitchen was ready for the eMerge Americas event of June 7. f'-.rerassiasammasaraw Miami Beach Convention Center Monthly Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement June 26, 2017 Page 5 of 8 Phase 2A As has been reported since December 2016, the building was closed to all events starting on December 10, 2016. Construction of Phase 2A commenced after the successful Art Basel 2016 show and the building fully closed for major construction with no events taking place for 6 months. With a completely vacant facility, the Construction Manager and subcontractors worked in all areas of the building. Major demolition and reconstruction occurred during this time, most notably the installation of glass curtainwall on the Washington Avenue side of the building and commencement of structural steel for the west concourse facing Convention Center Drive, along with substantial interior renovation. For a video tour of the project taken on May 21, 2017 showing completion of Phase 2A click on the hyperlink: https://youtu.be/9-kNTsvV4Zk Phase 2B - June Milestone Delivery Commencement of Phase 2B occurred on June 7, 2017, when the building re-opened for the eMerge Americas event. The first event will be followed by an additional 10 (one-hall or two- hall) events through the remainder of 2017. The events and entrances are now located on the east side of the building along Washington Avenue, and will utilize the new north truck dock for loading in and out. As previously reported, the condition of the re-opened east fagade was, as anticipated, per Image 1 below: Image 1 Washington Avenue View for eMerge Event — June 7, 2017 Art Basel Miami Beach 2017 In December 2017, Art Basel Miami Beach is scheduled to return to the building in the only 4- hall event of this year. The City is currently in the process of entering into a License Agreement with Art Basel U.S. Corp for the event. Design Miami 2017 Design Miami is also anticipated to return to the preferred parking lot (P-Lot) in 2017. For two months (mid-October to mid-December), the project's construction labor force will be required to temporarily relocate its parking area and a portion of the material and equipment staging yard during the construction of Design Miami's large tent facility and subsequent demobilization. The City is currently in the process of entering into a Premises Use Agreement with Design Miami. 2018 Substantial Completion Currently there are a total of 18 events scheduled for 2018. The project is scheduled to be substantially completed with final testing, inspections and LEED commissioning by August 8, Miami Beach Convention Center Monthly Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement June 26, 2017 Page 6 of 8 2018. This also includes the restoration of the Carl Fisher Clubhouse and the park surrounding it along the canal, six artists' commissions being installed as part of Art in Public Places, and the 6 acre P-lot Park. The schedule, as it has been since the start, is aggressive but achievable, barring any unforeseen conditions or unanticipated delays. FINANCIAL UPDATE TO APRIL 30, 2017 The usual project dashboard with updated financial information is attached as Exhibit A and a corresponding Budget Summary Breakdown is attached as Exhibit B. Narrative updates are as follows: Construction Draw Taking into account direct purchases and payments for the construction, a total of $283.4 million, or 52%, of the total updated GMP amount of $545 million has been paid through April 30, 2017. For a detailed breakdown, refer to Exhibit B (GMP + Direct Purchases Line Item). Construction Manager's (CM) Contingency Refer to Exhibit B1 for a summary of the total CM Contingency use to date. For the month of April 2017 (which includes the GMP reconciliation discussed above), an additional $6.6 million was utilized to bring the total to $23 million out of the $29.7 million CM contingency. A total amount of $19.8 million has been utilized under the "Trade Cost" category. Direct Purchase The City continues its direct purchase of materials for the project originally budgeted at a sales tax savings of approximately $6 million. Through April 30, the City has directly purchased $57.3 million in materials resulting in sales tax savings of $4.2 million. There are certain materials that were planned for direct purchase that have not materialized due to a variety of reasons such as risk to the City disagreement on purchasing terms, and disagreement on early deposit requirements. The City and the construction team continue to pursue direct purchase opportunities to make up as much of the shortfall as possible, however it is currently estimated that the shortfall amount will be approximately $1.5 million, which will be funded from the Owner's Contingency. This deduction is factored into the GMP Reconciliation Project Budget Revision in Chart 1. OWNER COSTS A total of $42.2 million, or 66%, of the owner cost budget has been expended to date. Below are more detailed updates for two major components of the project being funded by Owner Costs. Art in Public Places (AIPP) A total of $729K out of the $7 million AiPP budget has been expended. AiPP staff is working closely with the project team and the County's Department of Cultural Affairs to ensure the seamless integration of the six public art projects into the MBCC project. The following provides a brief update on the status of each commission: 1. Franz Ackermann (Berlin), Southeast Corner Exterior Walls Ackermann conducted a site visit on March 3, 2017, and met with the project team to determine surface treatment of the wall, lighting and landscaping for the southeast corner exterior walls. Ackermann is in the process of hiring a general contractor and is scheduled to begin painting the mural in March 2018. Miami Beach Convention Center Monthly Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement June 26, 2017 Page 7 of 8 2. Michael Elmgreen and Ingar Dragset (London/Berlin), Convention Center Park Sculpture Art in Public Places staff is working with the studio to finalize the artist agreement with Elmgreen and Dragset. The artists are scheduled for a site visit in October 2018. Coordination of the project is dependent upon the final design of the Convention Center Park. It is anticipated the work will be installed in fall 2018. 3. Ellen Harvey (Brooklyn), Grand Ballroom Pre-Function Room Staff conducted a project coordination meeting with Harvey on October 21, 2016. Harvey is now working with Franz Mayer of Munich to begin fabrication of the art glass panels and the structural system to support the glass panels. Fabrication of the art glass will take at least eight months. It is anticipated the work will be installed in spring 2018. 4. Joseph Kosuth (New York/London), West Lobby Kosuth conducted a site visit on March 21, 2017, and met with the project team to determine the position of the neon work and electrical needs in the West Lobby. Kosuth submitted his finalized design for the project in May 2017. Electrical requirements are being prepared and will be submitted to the project team in September 2017. It is anticipated the work will be installed in spring 2018. 5. Joep Van Lieshout (Netherlands), Northeast Park Collins Canal Joep Van Lieshout conducted a site visit on May 9, 2017. Staff has been working closely with the artist studio and a conservator to finalize materials for the sculptural seating elements. Van Lieshout submitted his final design for placement of the nine sculptures in May 2017. It is anticipated the work will be installed in fall 2018. 6. Sarah Morris (New York), Northeast Corner Exterior Walls Morris conducted a site visit on March 10, 2017 and was made aware of existing site conditions. Additionally, Morris met with the project team to determine surface treatment of the wall, lighting and landscaping for the northeast corner exterior walls. Morris is now in the process of hiring a general contractor and is working with her tile fabrication company in Guadalajara, Mexico to refine color samples for the tile installation. It is anticipated the tile mural will be completed in spring 2018. Carl Fisher Clubhouse Historic Restoration The Carl Fisher Clubhouse historic restoration is underway. A total amount of $279K out of the $2.5M budget has been expended. The City's CIP Department is managing the project for the MBCC project team. On September 14, 2016, the City Commission awarded a Construction Manager at Risk contract to Grace & Naeem Uddin, Inc. for construction management of the project. The design consultant for the Carl Fisher project, Richard Heisenbottle Architects, is currently revising the 90% construction documents for submittal to the Building Department in June 2017. On a parallel path, the Construction Manager continues its pre-construction services and it is anticipated that a Guaranteed Maximum Price (GMP) will be presented to the City Commission for approval in September 2017. Construction is expected to commence in November 2017 and project completion in the third quarter of 2018. Miami Beach Convention Center Monthly Construction Project Update Guaranteed Maximum Price (GMP) Contract Reconciliation Settlement June 26, 2017 Page 8 of 8 OWNER CONTINGENCY For a full detailed breakdown of all Owner costs and credits, refer to Exhibit B2. A total of $23.7 million of the available owner contingency of $35 million has been utilized. OVERALL COSTS From an overall project perspective, $323 million, or 52.5%, has been spent on the $615.8 million project. LOCAL HIRE Clark Construction continues their commitment to maximizing workforce opportunities for City of Miami Beach and Miami-Dade County residents. A total of 3,750 workers have been employed by the project. This includes all certified payroll from October 2015 to April 30, 2017. The labor force includes full-time, part-time, temporary labor, and includes daytime and nighttime shifts. Attached, as Exhibit C, is a summary of the local hiring efforts to date, for Clark and its subcontractors. The current report shows a summary of all employees on the project thus far, sorted by zip code. Clark is currently 63% local hire by individual (Miami Beach, with 38 employees, and Miami-Dade County with a total of 2,324). CONSTRUCTION MATERIAL DIVERSION / RECYCLING The City continues to be on track to exceed the goals of the Silver LEED designation for diversion / recycling of waste. Over 95% of the material demolished is being recycled and / or diverted, which exceeds the target goal of 75%. PUBLIC INFORMATION Weekly advisories and postings for April sent on the City's social media outlets including Twitter, Facebook, and Constant Contact are attached as Exhibit D. If there are any questions, please do not hesitate to contact myself or Maria Hernandez at Extension 2584. Attachments: Exhibit A — Project Dashboard and Site Photos Exhibit B — Budget Summary Breakdown Exhibit B1 — Contractor Contingency Log Exhibit B2 — Owner Contingency Log Exhibit C — Clark Construction Local Hiring Summary Exhibit D — Public Outreach Report JLM / MH F:\cmgr\$ALL\Convention Center\Commission Updates\2017 April & GMP Reconciliation Monthly\LTC - April 2017 GMP Reconciliation Update_6-26- 17 FINAL.docx 2016 (25 Events) Convention Center Renovation & Expansion Project Dashboard EXHIBIT A Payment Application 19 April 30, 2017 $0m $100m $200m $300m $400m $500m $600m Total Project Cost 52.5% Expended D J F M A M J J A S O N D J F M A M J J A S O N D J F M A M J J A S 2017 (12 Events)2018 (+/-18 Events) $0m $50m $100m $150m $200m $250m $300m $350m $400m $450m $500m $550m Bu d g e t Ac t u a l Net GMP Draw 51.97% Expended $0m $10m $20m $30m $40m $50m $60m $70m Bu d g e t Ac t u a l Owner Costs 66%Expended $0m $5m $10m $15m $20m $25m $30m $35m Owner’s Contingency $0m $5m $10m $15m $20m $25m $30m CM Contingency Construction Notes: •52.5% of the total project budget has been expended. •51.97% of the total GMP budget has been expended. •$23.3 M of CM contingency has been utilized. Refer to LTC narrative and Exhibit B1 for description and detail. Owner Budget Notes: •66% of owner budget has been expended. •$23.7 M of the owner’s contingency budget has been expended. Other Notes: •Events recommenced in June. •GMP Reconciliation completed. Refer to LTC narrative. ABMB BLACK OUT Convention Center Renovation & Expansion Project Dashboard EXHIBIT A June, 2017 Convention Center Renovation & Expansion Project Dashboard EXHIBIT A June 2017 Dashboard Summary Trade Costs $410,205,803 66.62%1,202,676 $411,408,479 66.80% Direct Purchase 0 0.00%-60,749,748 -60,749,748 -9.86% Storm Water Drainage Culvert 0 3,309,692 3,309,692 0.54% Recon 47,456,923 47,456,923 7.71% Change Orders 0 0.00%6,520,552 6,520,552 1.06% Subtotal 410,205,803 66.62%-2,259,905 407,945,898 66.24%208,913,159 51.21%199,032,739 Contractor Soft Costs General Conditions (Clark Staffing)24,465,886 3.97%3,700,000 28,165,886 4.57%16,551,923 58.77%11,613,963 General Requirements 14,760,103 2.40%2,425,258 17,185,361 2.79%8,194,758 47.68%8,990,603 Payment & Performance Bond 3,708,000 0.60%-268,671 8 3,439,329 0.56%3,433,845 99.84%5,484 GL Insurance 1,807,650 0.29%246,865 2,054,515 0.33%1,200,537 58.43%853,978 CMr Fees (3.8%)17,288,003 2.81%2,538,827 19,826,830 3.22%10,301,034 51.96%9,525,796 CCIP GL Wrap 0 0.00%4,740,576 9 4,740,576 0.77%4,740,576 100.00%0 CM Contingency 29,747,613 4.83%-23,294,238 10 6,453,376 1.05%0 0.00%6,453,376 Base GMP 501,983,058 81.53%-12,171,288 489,811,770 79.53%253,335,831 51.72%236,475,938 Other GMP Items (Including all mark ups) P-Lot Park (allowance)10,000,000 1.62%-10,000,000 15 0 0.00%0 0.00%0 Storm water Drainage Culvert 3,475,000 0.56%-3,475,000 0 0.00%0 0.00%0 Subtotal 13,475,000 2.19%-13,475,000 0 0.00%0 0.00%0 Total GMP (Clark)515,458,058 83.72%-25,646,288 489,811,770 79.53%253,335,831 51.72%236,475,938 Direct Purchase Tax Savings -6,000,000 -0.97%4,206,432 17 -1,793,568 -0.29%0 0.00%-1,793,568 17 Total Net GMP 509,458,058 82.74%-21,439,857 488,018,202 79.24%253,335,831 51.91%234,682,370 Direct Purchases 0 0.00%57,309,479 57,309,479 9.31%30,059,867 52.45%27,249,613 GMP + Direct Purchases 509,458,058 82.74%35,869,623 545,327,681 88.55%283,395,698 51.97%261,931,983 Owner's Cost City Staffing & Expenses 1,561,000 0.25%793,318 6 2,354,318 0.38%1,430,622 60.77%923,696 Consultant Fees (SAG)1,047,725 0.17%0 1,047,725 0.17%995,252 94.99%52,473 Owner's Rep (Hill)5,585,673 0.91%0 5,585,673 0.91%3,198,057 57.25%2,387,616 Design Fees (Fentress)26,669,442 4.33%690,920 11 27,360,362 4.44%25,756,451 94.14%1,603,911 Owner's Cost Estimator (US Cost)400,030 0.06%709,326 7 1,109,356 0.18%1,009,249 90.98%100,107 Pre GMP CM Fee (Clark)2,594,073 0.42%-1,037,629 1,556,444 0.25%1,556,444 100.00%0 Testing & Inspections 2,328,943 0.38%0 2,328,943 0.38%879,223 37.75%1,449,720 Permit & Plan Reviews 2,400,000 0.39%746,074 14 3,146,074 0.51%2,939,321 93.43%206,753 Other 783,526 0.13%108,436 4 891,962 0.14%608,930 68.27%283,032 Other - Legal / DAP Board 63,515 0.01%150,000 12 213,515 0.03%157,421 73.73%56,094 Other - Spectra 0 0.00%292,000 13 292,000 0.05%291,950 99.98%50 Other - Design Miami 0 0.00%0 0 0.00%0 0.00%0 Public Art (AIPP)6,900,000 1.12%160,797 3 7,060,797 1.15%729,539 10.33%6,331,258 3 MBCC FF&E 6,830,945 1.11%0 6,830,945 1.11%0 0.00%6,830,945 Insurance: OCIP GL Wrap 9,000,000 1.46%-9,000,000 5 0 0.00%0 0 Builder Risk/Building (net)1,600,000 0.26%-450,000 1,150,000 0.19%1,837,501 159.78%1 -687,501 1 Professional Liability Umbrella 1,000,000 0.16%-382,117 617,883 0.10%617,883 100.00%0 Carl Fisher Renovation Allowance 2,500,000 0.41%0 2,500,000 0.41%279,288 11.17%2,220,712 Subtotal 71,264,872 11.57%-7,218,875 64,045,997 10.40%42,287,131 66.03%21,758,866 P-Lot Park (allowance)5,000,000 15 5,000,000 0.81%0 0.00%5,000,000 Reimbursement from other CMB Projects 0.00%-9,831,832 18 -9,831,832 -1.60%-2,324,546 0.00%-7,507,286 Total Without Owner's Contingency 580,722,930 94.32%23,818,916 604,541,846 98.16%323,358,283 53.49%281,183,563 Owner's Contingency - Soft Costs 3,018,542 3,018,542 0.49%0 0.00%3,018,542 Owner's Contingency - Hard Costs -26,690,009 8,309,991 1.35%0 0.00%8,309,991 Total Owner's Contingency 35,000,000 5.68%-23,671,467 16 11,328,533 1.84%0 0.00%11,328,533 Total Budget With Owner's Contingency $615,722,930 100.00%$147,449 2 $615,870,379 100.0%$323,358,283 52.50%$292,512,096 1. The property insurance portion of the Builders Risk policy to be reimbursed $2,000,004 by CMB Risk Dept. 2. The bond offering resulted in additional proceeds that were not included in the original budget. This amount has been added to the Owner's Contingency. 3. A portion of the savings from insurance was allocated to AiPP to provide for actual costs. Pursuant to Sec. 82-587 of the CMB Code, the total amount allocated to AiPP has been transferred to the Art in Public Places Fund. 4. Miscellaneous costs such as surveys, studies, public information officer (PIO) 5. Insurance Savings as a result of implementing a CCIP (Contractor Controlled Insurance Program) rather than an OCIP (Owner Controlled Insurance Program) 6. A portion of the savings from insurance was allocated to City Staffing to cover costs from Fiscal Year 2014 through December 2018. The previous budget estimate included only Fiscal Years 2015 through part of 2018. 7. Additional Cost Estimating services to support GMP reconciliation negotiations with Construction Manager. 8. Savings from Clark Bond on Direct Purchases executed to date. 9. $4.7M in general liability insurance was originally to be purchased directly by the owner, but was actually purchased by the contractor. Also refer to Footnote No. 5. 10. Total use of Contractor Contingency to Date. Refer to Exhibit B1 for detailed summary. 11. Additonal fees for miscellaneous design revisions and extra site visits requested by Contractor; approx. $384K of the total has been deducted from Clark's Contract 12. Additional Costs for Dispute Avoidance Panel and outside legal counsel. 13. Moving expenses, parking fees and other expenses for relocation of building operator. 14. Costs for additional permitting fees 15. P-Lot Park Allowance temporarily deducted from Clark's Contract. $5M remains in allowance and $5M moved to owner's contingency 16. Total use of Owner Contingency to Date. Refer to Exhibit B2 for detailed summary. 17. Projected Sales Tax Savings from submitted Direct Purchase Orders; Future anticipated $1.5M shortfall in Direct Purchase of materials. 18. Reimbursement for operational expenses (Reso 2017-29830), stormwater culvert (2017-29829) & re-roofing of existing building previously allocated under separate project EXHIBIT B Current Budget % Current Expenses % Spent Balance Remaining Approved Budget Miami Beach Convention Center Expansion & Renovation Project 10/7/15 Original Budget Budget Variance% Total Current Forecasted Budget Page 1 of 1 EXHIBIT B1 Miami Beach Convention Center Expansion & Renovation Project Construction Manager's (CM) Contingency Report thru April 30, 2017 SUMMMARY Total CM Contingency $29,747,613.00 USES May 2016 **3,516,099.28$ Jun 2016 3,539,694.47$ Jul 2016 2,345,812.72$ Aug 2016 678,014.32$ Sep 2016 1,373,672.04$ Oct 2016 555,095.86$ Nov 2016 1,453,031.74$ Dec 2016 82,810.97$ Jan 2017 1,491,842.15$ Feb 2017 2,008,667.81$ Mar 2017 1,413,331.31$ April 2017 - Interim 5,226,384.54$ Apr 2017 3,075,943.46$ Total Uses 26,760,400.66 REMAINING CM CONTINGENCY $2,987,212.34 Settlement Agreement - Increase to Contingency $3,466,163.00 REVISED REMAINING CM CONTINGENCY $6,453,375.34 Trade Contract Buyout - 2016 MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST MAY ACOUSTI Temporary Walls $1,706,560.00 $84,734.24 $1,791,294.24 MAY ALPHA DEMO Demolition -203,020.00 -10,080.36 -213,100.36 MAY AMERICAN FIRE PROFF Spray Fireproofing -177,812.00 -8,828.73 -186,640.73 MAY BANKER Structural Steel -334,138.00 -16,590.64 -350,728.64 MAY BARING INDUSTRIES Food Service 33,244.00 1,650.63 34,894.63 MAY CAMARATA Masonry -171,200.00 -8,500.43 -179,700.43 MAY CDPW Dewatering -118,399.00 -5,878.76 -124,277.76 MAY DAVID ALLEN Tile -142,590.00 -7,079.89 -149,669.89 MAY DUFFY & LEE Carpet -19,965.00 -991.30 -20,956.30 MAY FORD AV Audio/Visual -10,642.00 -528.40 -11,170.40 MAY HAYWOOD BAKER Soil Stabilization 434,185.00 21,558.18 455,743.18 MAY HONEYWELL Low Voltage -713,361.00 -35,419.85 -748,780.85 MAY HUFCOR Operable Partions -267,272.00 -13,270.61 -280,542.61 MAY ISEC Expansion Joints 160,317.00 7,960.07 168,277.07 MAY JAFFER Dewatering - Wells 1,421.00 70.56 1,491.56 MAY *NASH Dewatering - Underground Utility 95,531.00 4,743.31 100,274.31 MAY NFP Fire Suppression -102,500.00 -5,089.34 -107,589.34 MAY RITE HITE Loading Dock -6,600.00 -327.70 -6,927.70 MAY R&M Structural Concrete 1,115,752.00 55,399.40 1,171,151.40 MAY SPECIFIED ARCH SYS Operable Partions -4,568.00 -226.81 -4,794.81 MAY TECTA Roofing 9,075.00 450.59 9,525.59 MAY TRIDENT Resilient Flooring -25,560.00 -1,269.11 -26,829.11 MAY WON DOOR Operable Doors 5,650.00 280.53 5,930.53 MAY WPM Site Civil 1,164,378.00 57,813.78 1,222,191.78 SUBTOTAL 2,428,486.00 120,579.36 2,549,065.36 JUNE LOUVERS (Nash Mech.)Louvers -433,354.00 -21,516.92 -454,870.92 JUNE WPM Site Civil -429,292.00 -21,315.24 -450,607.24 SUBTOTAL -862,646.00 -42,832.16 -905,478.16 JULY ACOUSTI Temporary Walls 4,480.00 222.44 4,702.44 JULY AERIAL PHOTOGRAPHY INC.Aerial Job Site Photos 43.00 2.14 45.14 JULY GEOSYNTEC Environmental Consultant 5,800.00 287.98 6,087.98 JULY MICHEAL WOOD FDEP Consultant 10,200.00 506.45 10,706.45 JULY MODSPACE Owner Trailer -3,197.00 -158.74 -3,355.74 JULY GOAL ASSOCIATES MOT 46,500.00 2,308.82 48,808.82 JULY SMITH FENCE Fencing -367.00 -18.22 -385.22 JULY TR PERMITTING Permitting 66,000.00 3,277.04 69,277.04 SUBTOTAL 129,459.00 6,427.91 135,886.91 Page 1 of 7 EXHIBIT B1 MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST AUGUST NO CHANGES 0.00 0.00 SUBTOTAL 0.00 0.00 0.00 SEPTEMBER NO CHANGES 0.00 0.00 SUBTOTAL 0.00 0.00 0.00 OCTOBER EVENSTAR Decking 3,000.00 148.96 3,148.96 SUBTOTAL 3,000.00 148.96 3,148.96 NOVEMBER NO CHANGES 0.00 0.00 0.00 SUBTOTAL 0.00 0.00 0.00 DECEMBER HOISTWAY MODIFICATION (3b) Modifications for EL16.02 not used -150,000.00 -7,447.81 -157,447.81 DECEMBER FIREPROOFING Scraping (3c) Related to elevator only -4,571.00 -226.96 -4,797.96 DECEMBER PILING UNBOUGHT (16A) Additional length per GMP Clarification -176,952.00 -8,786.03 -185,738.03 DECEMBER POCKET DOOR (42b) Pocket Door for WON DOOR -5,000.00 -248.26 -5,248.26 DECEMBER SPOIL REMOVAL (16c) Spoil removal for jet grouting -2,500.00 -124.13 -2,624.13 DECEMBER UNDERPINNING (16d) Underpinning for East Concourse -4,000.00 -198.61 -4,198.61 DECEMBER EXISTING STRUCTURE (16e) Monitoring of existing structure -25,000.00 -1,241.30 -26,241.30 DECEMBER DEWATERING EQUIPMENT (19f) Dewatering Equipment Temp Power & Fuel -140,000.00 -6,951.29 -146,951.29 DECEMBER SECONDARY ELEC SERV (84.31) With MEP Subs, from GR to CM -255,000.00 -12,661.28 -267,661.28 DECEMBER OPPORTUNITY TRAILER (84.36d) Moved from GR's to CM -30,000.00 -1,489.56 -31,489.56 DECEMBER ALUMINIUM STEPS (84.36e) Moved from GRs to CM -21,600.00 -1,072.48 -22,672.48 DECEMBER TEMP TRAILER (84.36f) Permitting -10,000.00 -496.52 -10,496.52 DECEMBER TR PERMITTING Permitting -66,000.00 -3,277.04 -69,277.04 SUBTOTAL -890,623.00 -44,221.28 -934,844.28 JANUARY '17 DEWATERING EQUIPMENT (19f) Dewatering Equipment Temp Power & Fuel 140,000.00 6,951.29 146,951.29 JANUARY '17 SECONDARY ELEC SERV (84.31) With MEP Subs, from GR to CM 255,000.00 12,661.28 267,661.28 SUBTOTAL 395,000.00 19,612.57 414,612.57 TOTAL SINCE INCEPTION $1,202,676.00 $59,715.35 $1,262,391.35 Trade Costs MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST MAY BARING INDUSTRIES Temporary Kitchen $321,004.66 $0.00 $321,004.66 MAY *CDPW Cost associated with dewatering due to the tremmie seal pumping water disposal - Initial set up and monthly disposals. 186,092.37 9,239.87 195,332.24 MAY *HAYWOOD BAKER Additional costs for soil stabilization at the northwest Florida Power & Light vault that was unable to be quanitified at the time of GMP. 23,000.00 1,142.00 24,142.00 MAY *HJ FOUNDATION Additional costs for soil stabilization at the northwest Florida Power & Light vault that was unable to be quanitified at the time of GMP. 33,846.80 1,680.56 35,527.36 MAY *HJ FOUNDATION Additional costs for soil stabilization at the northwest Florida Power & Light vault that was unable to be quanitified at the time of GMP. 38,823.07 1,927.65 40,750.72 MAY HONEYWELL Building Separation 289,721.73 289,721.73 SUBTOTAL 892,488.63 13,990.08 906,478.71 JUNE ACOUSTI Additional costs for the mechanical fastening of the insulation due to inability to remove via air compressors by demo subcontrcator 300,000.00 14,895.62 314,895.62 JUNE ALPHA WRECKING INTERIM FUNDING - costs associated with extended dump hours, additional demolition or parapet walls, structural members abd block removal 420,000.00 20,853.87 440,853.87 JUNE BARRING INDUSTRIES Cost reallocated to GR Life Safety line item -321,004.66 0.00 -321,004.66 JUNE CDPW Cost associated with dewatering due to the tremmie seal pumping water disposal - monthly expenses and contaminated water fees. 89,312.00 4,434.53 93,746.53 JUNE HARMON INTERIM FUNDING - Costs associated with the design and engineering associated with modifications to the exterior of the building 160,000.00 7,944.33 167,944.33 JUNE HONEYWELL Cost reallocated to GR Life Safety line item -289,721.73 0.00 -289,721.73 JUNE HJ FOUNDATION INTERIM FUNDING - Costs for work in place associated with the additional piles and ties from the design completion 141,000.00 7,000.94 148,000.94 JUNE JAFFER INTERIM FUNDING - Costs associated with the 3 additional dewatering required for the project 85,000.00 4,220.43 89,220.43 Page 2 of 7 EXHIBIT B1 MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST JUNE NASH Additional dewatering costs associated with the temporary FPL ductbank being routed from Washington Ave to NW FPL Vault 221,426.00 10,994.26 232,420.26 JUNE NASH INTERIM FUNDING - Costs associated with work in place for replacement of the existing restrooms, misc material changes to the sanitary, storm and chilled water systems made during design completion, and new duct Heaters 500,000.00 24,826.04 524,826.04 JUNE NATIONAL FIRE PROTECTION INTERIM FUNDING - Costs associated with work in place for the implementation and installation of the higher density sprinklers requested by the AHJ 400,000.00 19,860.83 419,860.83 JUNE ROBINS & MARTIN INTERIM FUNDING - Costs for completed work for tremmie seals as requested by CM and rebar bending; costs for work in place including structural changes to the vault, shearwalls, footings and elevated beams. 2,000,000.00 99,304.14 2,099,304.14 SUBTOTAL 3,706,011.61 214,334.98 3,920,346.59 JULY ALPHA WRECKING INTERIM FUNDING - costs associated with extended dump hours, additional demolition or 330,000.00 16,385.18 346,385.18 JULY ALPHA WRECKING Deletion of scope for the removal of the insulation.-396,962.00 -19,709.99 -416,671.99 JULY CAMARATA Deletion of intregal water repellant per contract -163,000.00 -8,093.29 -171,093.29 JULY FL CIVIL Dewatering permit 23,452.21 1,164.45 24,616.66 JULY XMCDEAN INTERIM FUNDING -FPL ductbank 250,000.00 12,413.02 262,413.02 JULY XMCDEAN INTERIM FUNDING - Costs for completed work for electrical changes to the FPL vaults and camera infrastructure. 500,000.00 24,826.04 524,826.04 JULY R&M INTERIM FUNDING - Costs for completed work for structural changes to the vault, shearwalls, footings and elevated beams. 700,000.00 34,756.45 734,756.45 JULY WPM / R&M SCOPE CHANGE - Fine grading -766.71 -38.07 -804.78 SUBTOTAL 1,242,723.50 61,703.80 1,304,427.30 AUGUST JAFFER Additional drainage wells - Phase 2 358,500.00 17,800.27 376,300.27 AUGUST TRU-STEEL Miscellaneous metals scope 50,000.00 2,482.60 52,482.60 SUBTOTAL 408,500.00 20,282.87 428,782.87 SEPTEMBER HONEYWELL INTERIM FUNDING - Engineering 200,000.00 9,930.41 209,930.41 SEPTEMBER HONEYWELL INTERIM FUNDING - Equipment 250,000.00 12,413.02 262,413.02 SEPTEMBER ACOUSTI INTERIM FUNDING - Additional drywall scope 500,000.00 24,826.04 524,826.04 SEPTEMBER ALPHA INTERIM FUNDING - credit for moneys paid under OCO #35 for z-wall scope -42,821.00 -2,126.15 -44,947.15 SEPTEMBER ALPHA INTERIM FUNDING - additional demo scope 42,821.00 2,126.15 44,947.15 SEPTEMBER R&M SCOPE GAP - Additional labor for floor boxes formwork 69,998.00 3,475.55 73,473.55 SEPTEMBER BANKER SCOPE CHANGE - Cutting out grating for new AHU 152,037.00 7,548.95 159,585.95 SEPTEMBER NFP/MARDALE SCOPE GAP - Installation for fire extinguisher cabinets 35,513.00 1,763.29 37,276.29 SUBTOTAL 1,207,548.00 59,957.26 1,267,505.26 OCTOBER R&M Temp work for Art Basel - Transition slab 408,604.00 20,288.03 428,892.03 OCTOBER ACOUSTI Temp work for Art Basel - NW egress tunnel 180,001.30 8,937.44 188,938.74 OCTOBER ACOUSTI Electrical room 1.7.07 build out 18,609.80 924.02 19,533.82 OCTOBER RITE HITE Dock leveler size 1,770.00 87.88 1,857.88 SUBTOTAL 608,985.10 30,237.37 639,222.47 NOVEMBER WPM Import fill for NE helix 79,128.00 3,928.87 83,056.87 NOVEMBER FLORIDA BLACKTOP Temp work for Art Basel - temp asphalt 366,867.42 18,215.73 385,083.15 NOVEMBER TECTA Temp work for Art Basel - waterproofing for metal deck at north loading dock 73,669.00 3,657.82 77,326.82 NOVEMBER ACOUSTI Temp work for Art Basel - patch & repair throughout 127,553.62 6,333.30 133,886.92 Page 3 of 7 EXHIBIT B1 MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST NOVEMBER ACOUSTI Temp work for Art Basel - temp tunnels for NW egress 184,843.37 9,177.86 194,021.23 NOVEMBER DASH DOORS Temp work for Art Basel - repair exist. storefront 43,835.87 2,176.54 46,012.41 NOVEMBER ACOUSTI Temp work for Art Basel - temp walls for north loading dock dry-in 21,530.33 1,069.03 22,599.36 NOVEMBER XMCDEAN Floor box shims 188,643.00 9,366.52 198,009.52 NOVEMBER TECTA Temp work for Art Basel - electrical room 1.07.07 waterproofing 8,997.00 446.72 9,443.72 NOVEMBER JAFFER Scope reduction - base contract -17,000.00 -844.09 -17,844.09 NOVEMBER JAFFER New scope - Additional transport of pile spoils 17,000.00 844.09 17,844.09 NOVEMBER TECTA Temp work for Art Basel - electrical room 1.06.04 waterproofing 5,212.00 258.79 5,470.79 NOVEMBER ALPHA Asbestos abatement 65,452.00 3,249.83 68,701.83 NOVEMBER ALPHA Lead Paint abatement 151,500.00 7,522.29 159,022.29 SUBTOTAL 1,317,231.61 65,403.28 1,382,634.89 DECEMBER CAMARATA Existing conditions - Z wall infil & patching 71,868.00 3,568.40 75,436.40 DECEMBER ALPHA West Concourse - Acceleration 100,000.00 4,965.21 104,965.21 DECEMBER ALPHA Temporary separation - GL-7 125,000.00 6,206.51 131,206.51 DECEMBER ALPHA Hall C/D SOG demo acceleration 100,000.00 4,965.21 104,965.21 DECEMBER EUGENIO PAINTING Temp work for Art Basel - to be voided 23,916.00 1,187.48 25,103.48 DECEMBER MCDEAN Temp work for Art Basel - to be voided 77,123.00 3,829.32 80,952.32 DECEMBER PJ STRIPPING Temp work for Art Basel 2,915.54 144.76 3,060.30 DECEMBER UNDERPOWER Repair of damaged traffic signals Wash Ave 1,938.00 96.23 2,034.23 DECEMBER DUFFY & LEE Temp work for Art Basel - floor prep for carpet 7,431.00 368.96 7,799.96 DECEMBER STAGING CONCEPTS Temp work for Art Basel - infill plexi panels for new guardrails at east concourse 7,776.00 386.09 8,162.09 DECEMBER EAST COAST METALS Temp work for Art Basel - to be voided 20,600.00 1,022.83 21,622.83 DECEMBER WPM Temp work for Art Basel - subgrade prep for temp asphalt for loading dock and east sidewalk 192,869.95 9,576.39 202,446.34 DECEMBER AMERICAN FIREPROOFING Temp work for Art Basel - fire proofing shear wall braces and beam in elec room 24,619.40 1,222.40 25,841.80 DECEMBER TECTA Waterproofing north elec room & FPL vault 35,049.01 1,740.26 36,789.27 DECEMBER DAVID ALLEN Acceleration for AB16 - terrazzo stairs & restrooms tile instal. 5,783.37 287.16 6,070.53 DECEMBER NFP Replace & repair exist. fire hose & nozzles 7,428.00 368.82 7,796.82 SUBTOTAL 804,317.27 39,936.02 844,253.29 JANUARY MCDEAN Relocation of TC-D3 Telcom Room 75,761.00 3,761.69 79,522.69 JANUARY WPM Fix Storm Box Culvert 4,685.00 232.62 4,917.62 JANUARY OTIS Rembursement to Elevator Pit 2,696.00 133.86 2,829.86 JANUARY DUFFY LEE Remove and reinstall carpet - due to asbestos removal 8,939.00 443.84 9,382.84 JANUARY ACOUSTI Temp work for Art Basel 23,501.00 1,166.87 24,667.87 JANUARY EAST COAST METALS Temp work for Art Basel - Change Order Not Executed -20,600.00 -1,022.83 -21,622.83 JANUARY DECON Rejected Change Order - Lead Paint Abatement 815,476.00 40,490.07 855,966.07 SUBTOTAL 910,458.00 45,206.13 955,664.13 FEBRUARY DECON Rejected Change Order - Lead Paint Abatement 833,128.28 41,366.54 874,494.82 FEBRUARY AMERICAN FIREPROOFING Rejected Change Order - Additional fireproofing on exisiting members 79,335.06 3,939.15 83,274.21 FEBRUARY GLE ASSOCIATES Asbestos abatement 5,872.50 291.58 6,164.08 FEBRUARY GLE ASSOCIATES Lead abatement 27,537.72 1,367.30 28,905.02 FEBRUARY WPM Fillmore parking modifications 1,405.00 69.76 1,474.76 FEBRUARY WPM Dewatering for MC Dean ductbank 4,931.00 244.83 5,175.83 FEBRUARY WPM Pump Roof Drain Manhole 3,994.00 198.31 4,192.31 FEBRUARY WPM Pump Roof Drain Manhole 5,883.00 292.10 6,175.10 FEBRUARY FLORIDA BLACKTOP Fillmore parking modifications 4,552.00 226.02 4,778.02 FEBRUARY ACOUSTI East Façade Exterior Stucco (810135)312,004.51 15,491.67 327,496.18 FEBRUARY BANKER Fabrication and Installation of Floor Boxes 200,000.00 9,930.41 209,930.41 FEBRUARY BRAZOS Spray Fireproofing - Pending OCO 83,000.00 4,121.12 87,121.12 FEBRUARY EUGENIO PAINTING Temp work for Art Basel - Dec C/O to be voided -23,916.00 -1,187.48 -25,103.48 FEBRUARY MCDEAN Temp work for Art Basel - Dec C/O to be voided -77,123.00 -3,829.32 -80,952.32 FEBRUARY CAMARATA December amount adjusted - correct typo -300.00 -14.90 -314.90 FEBRUARY JAFFER Correction - November CO reversal was incorrectly listed - C/O to subcontractor was issued. 17,000.00 844.09 17,844.09 FEBRUARY JAFFER Scope Reducion -24,000.00 -1,191.65 -25,191.65 FEBRUARY FLORIDA CIVIL Dewatering plan modification 9,202.00 456.90 9,658.90 FEBRUARY BANKER East façade acceleration 150,338.00 7,464.59 157,802.59 FEBRUARY BANKER Supply floor opening penetration north addition 100,000.00 4,965.21 104,965.21 SUBTOTAL 1,712,844.07 85,046.26 1,797,890.33 MARCH BRAZOS Scope Change - Interim Funding -83,000.00 -4,121.12 -87,121.12 MARCH CAMARATA Z-Wall Infills & Patching 5,309.00 263.60 5,572.60 MARCH ACOUSTI Temp work for Art Basel 8,765.10 435.21 9,200.31 Page 4 of 7 EXHIBIT B1 MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST MARCH ACOUSTI East Concourse - Unforseen conditions 88,210.00 4,379.81 92,589.81 MARCH DECON Lead abatement 219,342.00 10,890.78 230,232.78 MARCH EAST COAST METALS Temp work for Art Basel 20,600.00 1,022.83 21,622.83 MARCH BANKER Supply Floor opening penetration - N. Addition 133,253.00 6,616.29 139,869.29 MARCH BANKER CM RFI 2575 Beam @ Level 3 4,608.00 228.80 4,836.80 MARCH BANKER CM - RFI 2617 East Façade Plates 7,804.00 387.48 8,191.48 MARCH NFP Settlement - Reverse Interim Funding (June)-400,000.00 -19,860.83 -419,860.83 MARCH NFP Settlement - CM Contribution 600,415.00 29,811.85 630,226.85 MARCH NASH Settlement - Reverse Interim Funding (June)-721,426.00 -35,820.30 -757,246.30 MARCH NASH Settlement - CM Contribution 1,260,871.89 62,604.90 1,323,476.79 MARCH HJ Foundation Plant fee for opening 1,150.00 57.10 1,207.10 SUBTOTAL 1,145,901.99 56,896.41 1,202,798.40 APRIL - Interim NASH Settlement - CM Contribution - Settlement correction -59,643.89 -2,961.44 -62,605.33 APRIL - Interim NFP Settlement - CM Contribution - Settlement correction -28,402.18 -1,410.23 -29,812.41 APRIL - Interim ALPHA Settlement - Reverse Interim Funding (June)-420,000.00 -20,853.87 -440,853.87 APRIL - Interim ALPHA Settlement - Reverse Interim Funding (July)-330,000.00 -16,385.18 -346,385.18 APRIL - Interim ALPHA Settlement - CM Contribution 285,709.00 14,186.04 299,895.04 APRIL - Interim WPM Settlement - Reverse Interim Funding (Jan)-4,685.00 -232.62 -4,917.62 APRIL - Interim WPM Settlement - Reverse Interim Funding (Feb)-5,883.00 -292.10 -6,175.10 APRIL - Interim WPM Settlement - Reverse Interim Funding (Dec)-192,869.95 -9,576.39 -202,446.34 APRIL - Interim WPM Settlement - Reverse Interim Funding (Feb)-4,931.00 -244.83 -5,175.83 APRIL - Interim WPM Settlement - CM Contribution 814,668.00 40,449.95 855,117.95 APRIL - Interim R&M Settlement - Reverse Interim Funding (July)-700,000.00 -34,756.45 -734,756.45 APRIL - Interim R&M Settlement - Reverse Interim Funding (June)-2,000,000.00 -99,304.14 -2,099,304.14 APRIL - Interim R&M South FP&L Vault - Added Mat for Footing & Walls 94,098.00 4,672.16 98,770.16 APRIL - Interim R&M Settlement - CM Contribution 2,408,478.00 119,585.92 2,528,063.92 APRIL - Interim CAMARATA Temporary work for Art Basel 16 1,806.31 89.69 1,896.00 APRIL - Interim CAMARATA Settlement - Reverse Interim Funding (April)-1,806.31 -89.69 -1,896.00 APRIL - Interim CAMARATA Settlement - Reverse Interim Funding (March)-5,309.00 -263.60 -5,572.60 APRIL - Interim CAMARATA Settlement - CM Contribution 331,166.00 16,443.08 347,609.08 APRIL - Interim CM Fee Settlement - Change Order 34 6,000.00 297.91 6,297.91 APRIL - Interim CM Fee/Banker Settlement - Change Order 43 96,710.00 4,801.85 101,511.85 APRIL - Interim Banker Settlement - CM Contribution 3,712,187.00 184,317.77 3,896,504.77 APRIL - Interim TruSteel Settlement - CM Contribution 71,953.00 3,572.62 75,525.62 APRIL - Interim American Fireproofing Settlement - CM Contribution 34,622.00 1,719.05 36,341.05 APRIL - Interim Agyle Settlement - CM Contribution 301,060.00 14,948.25 316,008.25 APRIL - Interim OTIS Elevator 16.02 pit fill - Reclassed to CM from Allowance 2,696.00 133.86 2,829.86 APRIL - Interim Eugenio Settlement - CM Contribution 53,589.00 2,660.80 56,249.80 APRIL - Interim SAS Settlement - CM Contribution 40,441.00 2,007.98 42,448.98 APRIL - Interim Honeywell Settlement - Reverse Interim Funding (Sept)-450,000.00 -22,343.43 -472,343.43 APRIL - Interim Honeywell Settlement - CM Contribution 873,073.00 43,349.88 916,422.88 APRIL - Interim HJ Foundation Settlement - Reverse Interim Funding (June)-141,000.00 -7,000.94 -148,000.94 APRIL - Interim HJ Foundation Settlement - Reverse Interim Funding (March)-1,150.00 -57.10 -1,207.10 APRIL - Interim HJ Foundation Settlement - CM Contribution 119,311.00 5,924.04 125,235.04 APRIL - Interim HAYWARD BAKER Settlement - CM Contribution 77,272.00 3,836.71 81,108.71 SUBTOTAL 4,979,158.98 247,225.56 5,226,384.54 APRIL EAST COAST METALS Settlement - Reverse CM Contribution (March) -20,600.00 -1,022.83 -21,622.83 APRIL EAST COAST METALS Settlement - CM Contribution 112,897.00 5,605.57 118,502.57 APRIL Staging Concepts Settlement - CM Contribution 36,127.00 1,793.78 37,920.78 APRIL Tecta Settlement - CM Contribution 118,919.00 5,904.57 124,823.57 APRIL ISEC Settlement - CM Contribution 60,212.00 2,989.65 63,201.65 APRIL Harmon Settlement - Reverse Interim Funding (June)-160,000.00 -7,944.33 -167,944.33 APRIL Harmon Settlement - CM Contribution 782,755.00 38,865.41 821,620.41 APRIL Acousti Settlement - Reverse CM Contribution (Sept) -500,000.00 -24,826.04 -524,826.04 APRIL Acousti Settlement - Reverse CM Contribution (March) -23,501.00 -1,166.87 -24,667.87 APRIL Acousti Settlement - Reverse CM Contribution (Feb) -312,005.00 -15,491.69 -327,496.69 APRIL Acousti Settlement - CM Contribution 1,655,829.00 82,215.34 1,738,044.34 APRIL MCDean Settlement - Reverse CM Contribution (July & Nov)-938,643.00 -46,605.57 -985,248.57 APRIL MCDean Settlement - CM Contribution 2,108,923.00 104,712.39 2,213,635.39 APRIL Trident CM Interim Funding - CCD 21 - Kitchen Floor 30,000.00 1,489.56 31,489.56 APRIL Arazoza Settlement - CM Contribution -20,472.00 -1,016.48 -21,488.48 SUBTOTAL 2,930,441.00 145,502.46 3,075,943.46 TOTAL SINCE INCEPTION $21,866,609.76 $1,085,722.46 $22,952,332.22 Page 5 of 7 EXHIBIT B1 MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST General Requirements MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST MAY GEOSYNTEC DERM approval $57,690.75 $2,864.47 $60,555.22 SUBTOTAL 57,690.75 2,864.47 60,555.22 JUNE LIFE SAFETY Costs associated with the separation and life safety costs 500,000.00 24,826.04 524,826.04 SUBTOTAL 500,000.00 24,826.04 524,826.04 JULY ACOUSTI Procurement realocation from CM cont. for temporary wall 132,953.01 6,601.39 139,554.40 JULY BISCAYNE ENGINEERING Procurement realocation from CM cont. for Surveying - Increase Contract 75,000.00 3,723.91 78,723.91 JULY GEOSYNTEC Procurement realocation from CM cont. for NPDES permits 13,348.06 662.76 14,010.82 JULY GEOSYNTEC Procurement realocation from CM cont. for NPDES permits 88,355.59 4,387.04 92,742.63 JULY HURRICANE PROTECTION Procurement realocation from CM cont. for Hurricane Preparation 50,000.00 2,482.60 52,482.60 JULY MICHEAL WOOD Procurement realocation from CM for FDEP permits 3,192.90 158.53 3,351.43 JULY MODSPACE Procurement realocation from CM for Owner Trailer 30,893.69 1,533.94 32,427.63 JULY OWNER COST Realocation from CM for Life Safety expenses (ie Fire Watch) 320,922.14 15,934.45 336,856.59 JULY OWNER - Fentress Architects Onsite Visits CM expense for additional Design Team site visits and alternate design configurations 148,000.00 7,348.51 155,348.51 SUBTOTAL 862,665.39 42,833.12 905,498.51 AUGUST BISCAYNE ENGINEERING Procurement realocation from CM for additional Surveying - contract increase 150,000.00 7,447.81 157,447.81 AUGUST VALLEY FIELD Cost for the repair of damaged irrigation lines at Filmore 1,538.00 76.36 1,614.36 AUGUST OWNER COST Realocation from CM for Life Safety expenses (ie Fire Watch) -320,922.14 -15,934.45 -336,856.59 AUGUST OWNER COST Realocation from CM for Life Safety expenses (ie Fire Watch) 370,138.10 18,378.12 388,516.22 AUGUST BRAND ENERGY Procurement realocation from CM for scaffolding 35,689.00 1,772.03 37,461.03 AUGUST OWNER - Fentress Architects Onsite Visits CM expense for additional Design Team site visits and alternate design configurations - ERROR -148,000.00 -7,348.51 -155,348.51 AUGUST OWNER - Fentress Architects Onsite Visits CM expense for additional Design Team site visits and alternate design configurations - ACTUAL 148,999.00 7,398.11 156,397.11 SUBTOTAL 237,441.96 11,789.49 249,231.45 SEPTEMBER OWNER COST Realocation from CM for Life Safety expenses (ie Fire Watch) -370,138.10 -18,378.12 -388,516.22 SEPTEMBER OWNER COST Realocation from CM for Life Safety expenses (ie Fire Watch) 391,261.00 19,426.92 410,687.92 SEPTEMBER MICHEAL WOOD Procurement realocation from CM for FDEP permits 10,080.00 500.49 10,580.49 SEPTEMBER BRAND ENERGY Procurement realocation from CM for scaffolding -35,689.00 -1,772.03 -37,461.03 OCTOBER ACOUSTI Temp exterior impact partition - GR 87,060.84 4,322.75 91,383.59 SEPTEMBER GLE Haz-mat survey west concourse 18,570.00 922.04 19,492.04 SUBTOTAL 101,144.74 5,022.05 106,166.79 OCTOBER GLE Haz-Mat survey west concourse -18,570.00 -922.04 -19,492.04 OCTOBER OWNER COST Realocation from CM for Life Safety expenses (ie Fire Watch) -391,261.00 -19,426.92 -410,687.92 OCTOBER OWNER COST Realocation from CM for Life Safety expenses (ie Fire Watch) 401,877.54 19,954.05 421,831.59 OCTOBER ACOUSTI Temp exterior impact partition - GR -87,060.84 -4,322.75 -91,383.59 OCTOBER ACOUSTI Credit for Bond Rate Adjustment -431.00 -21.40 -452.40 OCTOBER ACOUSTI Hurricane Matthew Preparation - October 16 12,298.16 610.63 12,908.79 SUBTOTAL -83,147.14 -4,128.43 -87,275.57 NOVEMBER ACOUSTI Hurricane Matthew Preparation - October 16 -12,298.16 -610.63 -12,908.79 NOVEMBER HURRICANE PROTECTION Additional funds for Hurricane Protection 15,000.00 744.78 15,744.78 NOVEMBER HURRICANE PROTECTION Additional funds for Hurricane Protection 16,000.00 794.43 16,794.43 Page 6 of 7 EXHIBIT B1 MONTH SUBCONTRACTOR DESCRIPTION AMOUNT MARK-Ups*TOTAL COST NOVEMBER SCAFFOLDING SHRINKWRAP Temp work for Art Basel - Engineering for NE egress tunnel 2,875.00 142.75 3,017.75 NOVEMBER SCAFFOLDING SHRINKWRAP Extended rental for East Concourse 33,535.00 1,665.08 35,200.08 NOVEMBER SCAFFOLDING SHRINKWRAP Adjustments to East Concourse 11,955.00 593.59 12,548.59 SUBTOTAL 67,066.84 3,330.01 70,396.85 DECEMBER EVENTSTAR Temp work for Art Basel - metal stairs 56,828.00 2,821.63 59,649.63 DECEMBER HURRICANE PROTECTION Additional funds/NASH 20,000.00 993.04 20,993.04 DECEMBER HURRICANE PROTECTION Additional funds for Hurricane Protection 15,000.00 744.78 15,744.78 DECEMBER GEOSYNTEC Environmental Consultant 8,545.00 424.28 8,969.28 DECEMBER OWNER COST Reallocation from CM for Life Safety expenses (ie Fire Watch) -401,877.54 -19,954.05 -421,831.59 DECEMBER OWNER COST Reallocation from CM for Life Safety expenses (ie Fire Watch) 464,173.00 23,047.15 487,220.15 DECEMBER TRUSTEEL Temporary Bracing 2,531.00 125.67 2,656.67 SUBTOTAL 165,199.46 8,202.50 173,401.96 JANUARY OWNER COST Reallocation from CM for Life Safety expenses (ie Fire Watch) -464,173.00 -23,047.15 -487,220.15 JANUARY OWNER COST Reallocation from CM for Life Safety expenses (ie Fire Watch) 509,844.00 25,314.81 535,158.81 JANUARY FPL/FILMORE VAULT Vault upgrade at Fillmore 70,144.00 3,482.79 73,626.79 SUBTOTAL 115,815.00 5,750.45 121,565.45 FEBRUARY OPTIKA Misc Invoices - Art Basel 2016 9,588.00 476.06 10,064.06 FEBRUARY OWNER - Fentress Architects Onsite Visits CM expense for additional Design Team site visits and alternate design configurations 112,649.00 5,593.26 118,242.26 FEBRUARY GLE October - GLE correction no credit was given 18,570.00 922.04 19,492.04 This is GLE Base Contract FEBRUARY Hurricane Protection Credit for monies not used -15,000.00 -744.78 -15,744.78 FEBRUARY TRUSTEEL Rein. Existing Catwalk Grating 75,000.00 3,723.91 78,723.91 SUBTOTAL 200,807.00 9,970.48 210,777.48 MARCH BISCAYNE ENGINEERING Survey - Contract increase 135,574.00 6,731.53 142,305.53 MARCH Walter P Moore Weekly site visits 65,000.00 3,227.38 68,227.38 SUBTOTAL 200,574.00 9,958.91 210,532.91 TOTAL SINCE INCEPTION $2,425,258.00 $120,419.08 $2,545,677.08 TOTALS Buyout $1,202,676.00 $59,715.35 $1,262,391.35 Trade Costs 21,866,609.76 1,085,722.46 22,952,332.22 General Requirements 2,425,258.00 120,419.08 2,545,677.08 Total CM Contingency Use $25,494,543.76 $1,265,856.90 $26,760,400.66 * Mark ups include insurance, bond and CM fees. **May amounts are $156,070 lower than reported in May due to the reconciliation/audit process. Page 7 of 7 EXHIBIT B2 Miami Beach Convention Center Expansion & Renovation Project Owner's Contingency Report Through April 30, 2017 SUMMMARY ORIGINAL OWNER'S CONTINGENCY $35,000,000.00 MODIFICATIONS (ADDS) Bond offering additional proceeds $147,449.00 Total Modifications $147,449.00 USES Jun 2016 4,630.28$ Jul 2016 -$ Aug 2016 29,967.01$ Sep 2016 -$ Oct 2016 2,518,080.00$ Nov 2016 (96,710.00)$ Dec 2016 179,685.00$ Jan 2017 794,486.36$ Feb 2017 (58,386.11)$ Mar 2017 4,321,164.06$ Apr 2017 16,125,998.94$ Total Use 23,818,915.54$ TOTAL CONTINGENCY USE ($23,671,466.54) REMAINING OWNER'S CONTINGENCY $11,328,533.46 MONTH CHANGE ORDER #DESCRIPTION Trade Cost Mark-ups AMOUNT June 32 Deductive change order against CM's contingency for extra site visits by design team - (148,999.00) 1 June 34 Deductive change order against's CM's fee for design remediation work - (6,000.00) 2 June 35 Additional fire rated 2nd floor service corridor wall 107,849.83 5,354.97 113,204.80 June 36 Additional construction fence panels 44,228.45 2,196.03 46,424.48 SUBTOTAL 152,078.28 7,551.00 4,630.28 August 40 New 8” sanitary sewer line on Washington Avenue 28,549.47 1,417.54 29,967.01 SUBTOTAL 28,549.47 1,417.54 29,967.01 October N/A US Cost - GMP Reconciliation 945,080.00 October N/A Permit & Plan Reviews 855,000.00 October N/A Design Miami 2016 - Generators 408,000.00 October N/A Additional amount needed for the first 12 months of warehouse lease payments for Spectra Staff (Total costs of months 1-12: 531,316.50)287,800.00 October N/A Spectra - Cost associated with relocation of the warehouse equipment 22,200.00 SUBTOTAL - - 2,518,080.00 3 November 43 Clark / Banker backcharge for additional structural engineering services approved for Fentress in Amendment 20.(96,710.00) SUBTOTAL - - (96,710.00) 3 December N/A Design budget adjustment to increase Fentress PO through Amendment 23. 179,685.00 SUBTOTAL - - 179,685.00 3 January N/A Design budget adjustment to increase Fentress PO through Amendment 24 18,625.00 3 January 52 Additional cost of generator 319,160.50 15,846.98 335,007.48 January 57 Honeywell Interim Funding 420,000.00 20,853.88 440,853.88 SUBTOTAL 739,160.50 36,700.86 794,486.36 Page 1 of 2 EXHIBIT B2 MONTH CHANGE ORDER #DESCRIPTION Trade Cost Mark-ups AMOUNT February 54 Clark backcharge for additional structural engineering services required due to non-conforming work (20,000.00) February 55 Clark backcharge for extra design team site visits and additional structural engineering design changes requested by Clark (112,649.00) February 56 Switchgear replacement due to arc flash incident 70,750.00 3,512.89 74,262.89 SUBTOTAL 70,750.00 3,512.89 (58,386.11) March 58 Nash - GMP Reconciliation 2,729,128.11 198,112.05 2,927,240.16 March 61 NFP - GMP Reconciliation 1,299,584.82 94,339.08 1,393,923.90 SUBTOTAL 4,028,712.93 292,451.13 4,321,164.06 April 64 Reverse Nash - GMP Reconciliation (2,729,128)(198,112) (2,927,240) April 64 Reverse NFP - GMP Reconciliation (1,299,585)(94,339) (1,393,924) April 65 Deductive change order for p-lot park allowance (10,000,000)- (10,000,000) April 66 GMP Reconciliation 37,627,222 1,808,836 39,436,058 April 67 GMP Reconciliation - Balance remaining 1,037,626 - 1,037,626 April N/A Clark Pre-Construction Services fee reduction - used towards GMP Reconciliation (1,037,629) April N/A Reimbursement for Design Miami expenses - (408,000) April N/A Reimbursement for temporary FPL ductbank required for Art Basel 2016 - (148,726) April N/A Reimbursement for Spectra operating/moving costs - (518,000) April N/A Remove additional allocation previously added to FF&E (250,000) April N/A Remove additional allocation previously added to raise Carl Fisher Clubhouse (1,000,000) April N/A Reimbursement for Stormwater Culvert / Road Raising per Resolution 2017-29829 (4,513,591) April N/A Reibursement for re-roofing existing building (1,689,254) April N/A Reimbursement for temporary kitchen trailer per Resolution 2017-29830 (76,267) April N/A Reimbursement for temporary partition per Resolution 2017- 29830 (1,010,500) April N/A Reimbursement for temporary work needed for Art Basel 2016 per Resolution 2017-29830 (2,542,220) April N/A P-lot park allowance 5,000,000 April N/A Additional allocation for permit fees 39,800 3 April N/A Design budget adjustment to increase Fentress PO through Amendment 26 27,610 3 April N/A Cost estimating budget reduction (302,202) April N/A Budget reduction for miscellaneous (Other) costs (1,597,542) SUBTOTAL 24,636,135.07 1,516,384.87 16,125,998.94 TOTAL SINCE INCEPTION 29,655,386.25 1,858,018.29 23,818,915.54 1. Credit to Owner Contingency from CM Contingency in month of August. 2. Credit to Owner Contingency from CM Fee. 3. Budget transfer for Owner Expenses. Page 2 of 2 To Date: From Date:10/1/2015 To Date:4/30/2017 Area % of Total Workers Total Hours Worked % of Total Hours Worked Zip Lists Miami Beach 1.01 %18,816 1.23 % Miami Dade County 61.97 %837,024 54.52 % Employees Not In Specified Zip Lists 37.01 %679,351 44.25 % Demographic Profile African American 18.91 %228,639 14.89 % Native American 0.19 %3,758 0.24 % Asian 0.29 %3,430 0.22 % Hispanic 42.35 %642,800 41.87 % Caucasian 12.91 %177,805 11.58 % Other 25.36 %478,759 31.19 % Male 96.75 %1,497,119 97.52 % Female 3.25 %38,071 2.48 % Total Employees 1,535,1903,750 3,628 122 951 1,588 484 7 11 709 2,324 1,388 38 EXHIBIT C LOCAL WORKER UTILIZATION REPORT Total Number of Workers City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com Miami Beach Convention Center Renovation Project April 2017 - Media Report Posted to Facebook - Published April 3, 2017 Social Media Posts for April 2017 Posted to Facebook - Published April 12, 2017 Posted to Facebook - Published April 12, 2017 Posted to Facebook - Published April 13, 2017 EXHIBIT D City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com Posted to Facebook - Published April 24, 2017 Posted to Facebook - Published April 24, 2017 Posted to Twitter - Published April 3, 2017 Posted to Twitter - Published April 4, 2017 City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com Posted to Twitter - Published April 11, 2017 Posted to Twitter - Published April 12, 2017 Posted to Twitter - Published April 13, 2017 City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com Newsletter & Infographic: Sent via E-blast Sent via E-blast - Published April 4, 2017 City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com APRIL 7, 2017 - Newsletter City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com APRIL 7, 2017 - Newsletter City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com APRIL 14, 2017 - Newsletter City of Miami Beach | 1700 Convention Center Drive Miami Beach, FL 33139 | 305.673.7010 | www.mbccfuture.com APRIL 21, 2017 - Newsletter