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<br />the time of the reclamation by the LPEDC. For purposes of this Agreement, <br />LPEDC's right of recapture shall extend to and include all disbursements <br />previously made to Recipient, regardless of whether said previous disbursements <br />were made to Recipient in return for its having satisfied earlier performance <br />milestones under Article I of this Agreement. In each such case, the previously <br />paid cash payment or payments shall be remitted to the LPEDC within thirty (30) <br />of receipt of written demand for same. <br /> <br />In the event of any default by Recipient hereunder, including, but not <br />limited to, use of the funds provided herein for purposes other than those stated <br />in Article I of this Agreement, LPEDC may cease all future payments hereunder <br />and terminate this Agreement. In addition, LPEDC shall have the right to reclaim <br />and recapture, and Recipient shall refund, any funds that are not spent in <br />accordance with the terms of this Agreement, including 1) LPEDC funds spent by <br />Recipient in contravention of this Agreement and 2) any unspent and unobligated <br />LPEDC funds previously paid to Recipient but not yet paid or pledged by <br />Recipient to third parties. In each such case, the previously paid cash payment or <br />payments shall be remitted to the LPEDC within thirty (30) of receipt of written <br />demand for same. <br /> <br />Any breach of this covenant shall be grounds for immediate termination of <br />the distribution of funds. <br /> <br />Recipient also agrees that LPEDC and City may place a lien against the <br />property made the subject of this Agreement and located at 1802 West D Street, <br />to secure repayment, if necessary, and may enforce this Agreement by any and <br />all other remedies available in law and equity. <br /> <br />ARTICLE V <br /> <br />The term of this Agreement is for a period beginning on the date of <br />approval by LPEDC and La Porte City Council, and ending three years from the <br />date of the payment by the LPEDC of the last installment of the proposed cash <br />incentive to Recipient made pursuant to Article 1 of this Agreement. <br /> <br />ARTICLE VI <br /> <br />Recipient shall provide to the LPEDC within sixty (60) days following each <br />installment payment made pursuant to Article 1 of this Agreement, a report and <br />full documentation showing that expenditures were made by Recipient pursuant <br />to this Agreement and that the funds provided by the LPEDC pursuant to this <br />Agreement were used only for the purposes authorized by this Agreement and <br />Texas Revised Civil Statutes Anno. Art. 5190.6, Section 48, et seq. Recipient <br />shall maintain books of account with correct entries of all expenditures that are <br />made according to the terms of this Agreement and of any funds from other <br />sources. Any and all books of account of Recipient shall be at all times open to <br />the inspection of LPEDC or the City or any its officers or duly authorized agents. <br />Upon such inspection, LPEDC, the City or its officers or agents shall be afforded <br />the opportunity to make photographic copies of any and all documentation of <br />books of account, including but not limited to statements of account relating to <br />the disposition of funds provided by LPEDC under this Agreement and any funds <br /> <br />5 <br />