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C4.264»« - PERIODIC PAYMENT SCHEDULE. (10/91) Purchaser shall make periodic 

 paymencs for scumpage value as follows: 



Periodic Paymenc 

 Amount Determination Dace 



Initial $308,700.00 September 26, 1995 



Additional 5661,500.00 September 15, 1996 



In the event Purchaser has not paid Che above indicaced amounc(s) , as scumpage 

 for volume removed, by Che Periodic Paymenc Determination Date(s), Forest 

 Service shall issue a Bill for Collection for the difference between the 

 required amount and payments made by Purchaser. If payment(s) fall due on a 

 date other than a normal billing date, the payment date shall be extended to 

 coincide with the next timber sale statement of account billing date. 



The amount of the periodic payment(s) will be reduced if the payment(s) would 

 result in the purchaser's credit balance for timber charges exceeding the 

 current contract value. 



Only cash or Effective Purchaser Credit earned on this sale or transferred into 

 this contract may be used for this purpose. No other form of payment is 

 acceptable. Such cash will be used to meet subsequent charges on this sale 

 under the terms of C4.221 - Advance Deposits. Purchaser Credit used to meet 

 this obligation cannot be transferred to another sale unless replaced by cash. 



Periodic Payment Determination Date(s) that have not been reached shall be 

 adjusted when a Concract Term Adjustment under B8.21 or a Market-related 

 Contract Term Addition under C8.212w is granted. When a contract is lengthened 

 as a result of market-related contract term additions any subsequent Periodic 

 Payment Determination Date(s) shall be delayed one month for each month added 

 to' the contract's term. Periodic Payment Determination Date(s) will not be 

 adjusted when the Contract Term Extension is granted under C8.23. 



