Groupe de la Banque mondiale · Loan Agreement

Turkey - South Antalya Tourism Infrastructure Project : Loan 1310 - Loan Agreement - Conformed

Turquie Banque mondiale
Voir le document original

Le texte intégral est hébergé par l’organisation qui le publie. lawenc.com indexe les métadonnées et renvoie vers la source officielle.

Texte intégral

CONFORMED COPY LOAN NUMBER 1310-TU LOAN AGREEMENT (South Antalya Tourism Infrastructure Project) between REPUBLIC OF TURKEY and INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT Dated July 9, 1976 LOAN AGREEMENT AGREEMENT, dated July 9, 1976, between REPUBLIC OF TURKEY (hereinafter called the Borrower) and INTERNATIONAL BANK FOR RE- CONSTRUCTION AND DEVELOPMENT (hereinafter called the Bank). WHEREAS (A) The Borrower has requested the Bank to assist in the financing of the Project described in Schedule 2 to this Agree- ment by making the Loan as hereinafter provided; (B) Parts A, B, E, F and G of the Project will be carried out by the Borrower through its Ministry of Tourism and Information, and its other departments and agencies; (C) The construction and installation of the Power facili- ties to be carried out under Part C of the Project will be carried out by Kepez ve Antalya Havalisi Elektrik Santrallari T.A.S. (here- inafter called Kepez), established and operating under the Laws of the Borrower pursuant to the Borrower's Decree No. 4/5743 dated August 23, 1955 with the Borrower's assistance and, as part of such assistance, the Borrower will make available to Kepez a portion of the proceeds of the Loan as hereinafter provided; and (D) The construction and installation of the Telecommunica- tion facilities to be carried out under Part D of the Project will be carried out by Post, Telegraph and Telephone (hereinafter called PTT), a State Economic Enterprise established and operating under the Laws of the Borrower pursuant to the Borrower's Law No. 6145 promulgated on July 17, 1953 with the Borrower's assistance and, as part of such 4ssistance, the Borrower vill make available to PTT a portion of the proceeds of the Loan as hereinafter provided. -2- WHEREAS the Bank has agreed, on the basis inter alia of the foregoing, to make the Loan to the Borrower upon the terms and conditions hereinafter set forth; NOW THEREFORE the parties hereto hereby agree as follows: -3- ARTICLE I General Conditions; Definitions Section 1.01. The parties to this Agreement accept all the provisions of the General Conditions Applicable to Loan and Guar- antee Agreements of the Bank, dated March 15, 1974, with the same force and effect as if they were fully set forth herein (said Gen- eral Conditions Applicable to Loan and Guarantee Agreements of the Bank being hereinafter called the General Conditions). Section 1.02. Wherever used in this Agreement, unless the context otherwise requires, the several terms defined in the Gen- eral Conditions and in the Preamble to this Agreement have the respective meanings therein set forth and the following additional terms have the following meanings: (a) "Project Directorate" means the Regional Tourism Project Execution Directorate (B6lge Turizm Proje Uygulama Midfirligu), a unit established and operating within the Borrower's Ministry of Tourism and Information, pursuant to Ministerial Order of the Borrower's Ministry of Tourism and Information No. 48, dated April 1, 1976. (b) "Kepez Subsidiary Loan Agreement" means the agreement to be entered into between the Borrower and Kepez pursuant to Section 6.01 (a) of this Agreement, as the same may be amended from time to time, providing for the terms and conditions under which Kepez shall carry out Part C of the Project, and for the on- lending by the Borrower to Kepez of that portion of the proceeds -4- of the Loan allocated to Sub-Category (c) of Category (1), and Sub- Category (b) of Category (2), of the table of Allocation of the pro- ceeds of the Loan set forth in paragraph 1 of Schedule 1 to this agreement, and such term includes all schedules to the Kepez Sub- sidiary Loan Agreement; (c) "PTT Subsidiary Loan Agreement" means the agreement to be entered into between the Borrower and PTT pursuant to Section 6.01 (a) of this Agreement, as the same may be amended from time to time, providing for the terms and conditions under which PTT shall carry out Part D of the Project and for the Borrower to make available to PTT that portion of the proceeds of the Loan allocated to Sub-Category (d) of Category (1), and Sub-Category (c) of Cate- gory (2), of the table of Allocation of the proceeds of the Loan set forth in paragraph (1) of Schedule 1 to this Agreement and such term includes all schedules to the PTT Subsidiary Loan Agree- ment; (d) "Lira" means the currency of the Borrower; (e) "Development Plans" means collectively the South Antalya Master Plan with supporting maps at a scale of 1:25,000 (GUney Bati Antalya Kiyi Kesimi 1:25,000 Olgekli Cevre Duzeni Plani) approved by the Borrower's Ministry of Reconstruction and Resettlement on April 16, 1976, with the related land use regulations referred to in paragraph (g) of Section 6.01 of this Loan Agreement, and the detailed Master Plan for the town of Kemer at a scale of 1:5,000 referred to in paragraph (c) of Section 6.01 of this Loan Agreement; -5- (f) "South Antalya Tourism Project Coordinating Committee" means the committee at the central level to be established pursuant to paragraph (a) (i) of Section 3.03 of the Loan Agreement. (g) "South Antalya Tourism Project Coordinating Subcommittee" means the subcommittee at the regional level in the Project Area to be established pursuant to paragraph (1) (ii) of Section 3.03 of the Loan Agreement; (h) "Tourism Coordinating Committee" means the tourism sec- tor policy committee of the Borrower established pursuant to the Borrower's Decrees No. 6/12209 and No. 7/3484, respectively, promulgated on September 18, 1969 and December 14, 1971, respec- tively; (i) "Project Area" means the area where the Project is to be carried out on the sites of Kiziltepe, Tekerlektepe, Kemer and Gu-neydeniz, the development of which is regulated by the Development Plans; and (j) "Land Office" means the Land Office General Directorate of the Borrower, established and operating pursuant to the Bor- rover's Law No. 1164 dated April 29, 1969 and the regulations issued pursuant thereto. -6- ARTICLE II The Loan Section 2.01. The Bank agrees to lend to the Borrower, on the terms and conditions in the Loan Agreement set forth or re- ferred to, an amount in various currencies equivalent to twenty six million dollars ($26,000,000). Section 2.02. (a) The amount of the Loan may be withdrawn from the Loan Account in accordance with the provisions of Schedule 1 to this Agreement, as such Schedule may be amended from time to time by agreement between the Borrower and the Bank, for expendi- tures made (or, if the Bank shall so agree, to be made) in respect of the reasonable cost of goods and services required for the Project and to be financed out of the proceeds of the Loan and in respect of interest and other charges on the Loan. (b) On or before each of the semi-annual interest payment date specified in Section 2.07 of this Agreement, the Bank shall, on behalf of the Borrower, withdraw from the Loan Account and pay to itself the amounts required to pay, on such date, interest and other charges on the Loan accrued and payable on or before the date set forth, and up to the amount allocated, in Schedule 1 to this Agreement, as such Schedule may be amended from time to time. Section 2.03. Except as the Bank shall otherwise agree, the goods and works for the Project to be financed out of the proceeds of the Loan, shall be procured in accordance with the provisions of Schedule 4 to this Agreement. -7- Section 2.04. The Closing Date shall be December 31, 1982 or such later date as the Bank shall establish. The Bank shall promptly notify the Borrower of such later date. Section 2.05. The Borrower shall pay to the Bank a commitment charge at the rate of three-fourths of one per cent (3/4 of 1%) per annum on the principal amount of the Loan not withdrawn from time to time. Section 2.06. The Borrower shall pay interest at the rate of eight and eighty-five hundredths per cent (8.85%) per annum on the principal amount of the Loan withdrawn and outstanding from time to time. Section 2.07. Interest and other charges shall be payable semi-annually on April 15 and October 15 in each year. Section 2.08. The Borrower shall repay the principal amount of the Loan in accordance with the amortization schedule set forth in Schedule 3 to this Agreement. Section 2.09. The Borrower's Minister of Tourism and Informa- tion or such other person or persons, as such Minister of Tourism and Information shall designate in writing, is designated as repre- sentative of the Borrower for the purposes of taking any action required or permitted to be taken under the provisions of Section 2.02 of this Agreement and Article V of the General Conditions. -8- ARTICLE III Execution of the Project Section 3.01. (a) The Borrower shall carry out the Project through its departments and agencies with due diligence and effi- ciency and in conformity with appropriate financial, administrative and engineering practices, and shall provide, promptly as needed, the 'funds, facilities, services and other resources required for the purpose. (b) Without any limitation or restriction upon any of its other obligations under the Loan Agreement, the Borrower shall cause Kepez and PTT to perform in accordance with the provisions of the Kepez Subsidiary Loan Agreement and the PTT Subsidiary Loan Agreement, respectively, all the obligations therein set forth and, shall take or cause to be taken all action including the provision of funds, facilities, services and other resources, necessary or appropriate to enable Kepez and PTT, respectively, to perform such obligations, and shall not take or permit to be taken any action which would prevent or interfere with such per- formance. Section 3.02. (a) The Borrower shall maintain or cause to be maintained, at all times, within its Ministry of Tourism and Information, the Project Directorate with such functions, powers and responsibilities as shall be satisfactory to the Bank. (b) The Borrower shall cause the Project Directorate to be at all times adequately staffed with qualified and experienced personnel, under the supervision of a qualified and experienced Director. Section 3.03. (a) The Borrower shall to the satisfaction of the Bank: (i) establish and thereafter maintain under the chair- manship of a Deputy Undersecretary of the Borrower's Ministry of Tourism and Information a South Antalya Tourism Project Coordinating Committee with such powers, functions and responsibilities to, inter alia: (1) coordinate and integrate at the central level, the execution of the Project, with all the relevant ministries, authorities and agencies of the Borrower, with Kepez and PTT; (2) assist the Borrower's Ministry of Tourism and Information in solving any problems interfering with, or which may interfere with, the carry- ing out of the Project; and ( review and submit to the Borrower, through the Borrower's relevant ministries, agencies and authorities, including Kepez and PTT the annual programs of such ministries, agencies and - 10 - authorities in respect of the carrying out of the Project; revie'v and discuss if need be the progress reports propared by the South Antalya Tourism Project Subcoimittee; (ii) establish and thereafter maintain under the chair- manship of the Governor of Antalya a South Antalya Tourism Project Coordinating Subcommittee with such powers, functions and responsibilities to, inter alia: (1) coordinate and integrate at the regional level the execution of the Project with all the local representatives of the relevant ministries and agencies of the Borrower, with Kepez and PTT; (2) assist the Project Directorate and the South Antalya Tourism Project Coordinating Committee in monitoring the progress of the Project in solving any problems interfering with, or which may interfere with, the carrying out of the Project; and (3) prepare, integrate and submit to the South Antalya Tourism Project Coordinating Committee, the annual programs of such ministries, agencies and authorities in respect of the carrying out of the Project; review and discuss if need be, the progress reports prepared by the exe- cuting units represented in such subcommittee. - 11 - (iii) appoint to, and thereafter maintain as members of, the South Antalya Tourism Project Coordinating Com- mittee, the General Director or Heads of Departments or such other persons as such Director and Department Heads shall designate, of each of the Borrower's Departments and Directorates listed in Schedule 5 to this Agreement; (iv) appoint to, and thereafter maintain as members of, the South Antalya Tourism Project Coordinating Sub- committee, the regional or provincial directors or such other persons as such directors shall desig- nate, of each of the departments and directorates listed in Schedule 5 to this Agreement; (v) provide the South Antalya Tourism Project Coordinat- ing Committee and the South Antalya Tourism Project Coordinating Subcommittee, promptly as needed, with such qualified and experienced supporting staff, facilities, funds and other resources as shall be required for the efficient discharge of their func- tions and responsibilities; (vi) cause such South Antalya Tourism Project Coordinat- ing Committee and South Antalya Tourism Project Coordinating Subcommittee to hold meetings as and when needed, but in any event at least every three months in the case of the South Antalya Tourism Project Coordinating Subcommittee and every six months in the case of the South Antalya Tourism - 12 - Project Coordinating Committee, in order to perform their functions referred to in paragraphs (i) and (ii) hereof, respectively. (b) The Borrower ihall maintain and operate the Tourism Coordinating Committee until the date of the completion of the Project. Section 3.04. (a) In order to assist the Borrower in the preparation of plans and specifications for Part A of the Project, in the preparation of bidding documents for Part A of the Project, in the supervision of the construction of Part A of the Project, the Borrower shall employ engineering consultants whose qualifica- tions, experience and terms and conditions of employment shall be satisfactory to the Bank. (b) In order to assist the Borrower in the carrying out of a market strategy program for the Project Area, the Borrower shall employ, no later than twelve months after the date of this Agreement, or such other period as the Bank may agree, marketing experts whose qualifications, experience and terms and conditions of employment shall be satisfactory to the Bank. (c) In order to assist the Project Directorate in prequali- fying hotel investors in the Project Area and, in advising such hotel investors on hotel planning, and in negotiating hotel manage- ment contracts, the Borrower shall employ, no later than six months after the date of this Agreement, or such other date as the Bank may agree, an hotel advisor consultant, whose qualifications, experience and terms and conditions of employment shall be satisfac- tory to the Bank. - 13 - (d) In order to assist the Borrower in preparing the cur- ricula, course outlines and teacher training programs referred to in Section 3.09 of this Loan Agreement, the Borrower shall em- ploy, no later than six months after the date of this Agreement or such other period as the Bank may agree, consultants whose qualifications, experience and terms and conditions of employment shall be satisfactory to the Bank. Section 3.05. (a) The Borrower undertakes to insure, or make adequate provision for the insurance of, the imported goods to be financed out of the proceeds of the Loan against hazards incident to the acquisition, transportation and delivery thereof to the place of use or installation. (b) Except as the Bank shall otherwise agree, the Borrower shall cause all goods and services financed out of the proceeds of the Loan to be used exclusively for the Project. Cc) The Borrower shall issue, as and when needed, any im- port and other licenses including any foreign exchange authoriza- tions required for the importation of goods or the supply of services to be financed out of the proceeds of the Loan or for the replacement or repair of such goods. Section 3.06. (a) The Borrower shall furnish or cause to be furnished to the Bank, promptly upon their preparation, the plans, specifications, reports, contract documents and work and procurement schedules for the Project, and any material modifications thereof or additions thereto, in such detail as the Bank shall reasonably request. (b) The Borrower: (i) shall maintain records adequate to record the progress of the Project (including the cost thereof) and to identify the goods and services financed out of the pro- ceeds of the Loan, and to disclose the use thereof in the Proj- ect; (ii) shall enable the Bank's accredited representatives to visit the facilities and construction sites included in the Proj- ect and to see the goods financed out of the proceeds of the Loan and any relevant records and documents; and (iii) shall fur- nish to the Bank all such information as the Bank shall reason- ably request concerning the Project, the expenditure of the pro- ceeds of the Loan and the goods and services financed out of such proceeds. Section 3.07. (a) The Borrower shall take or cause to be taken all such action as shall be necessary to acquire as and when needed, all such land and rights in respect of land as shall be required for the construction, installation (and operation) of the facilities included in the Project and shall furnish to the Bank, promptly upon its request, evidence satisfactory to the Bank that such land and rights in respect of land are available for purposes related to the Project. (b) The Borrower undertakes to take all such action as may be required: (i) to obtain by November 1, 1978, or such other date as the Bank may agree clear and valid title to the land for which notices of expropriation have been sent to the owners of such land as provided in paragraph (e) of Section 6.01 of this Agreement; and (ii) to develop such land, or cause such land to be developed, all to be in accordance with the Development Plans. - 15 - (c) The Borrower shall take all such action as may be re- quired in order to assist private owners of (i) about 5 ha of land located within the urban development area of Kemer, and (ii) of other land in the Project Area earmarked for development of tourism establishments or other recreational facilities under the Develop- ment Plans after the end of calendar year 1981, respectively, to make arrangements, satisfactory to the Bank, to develop such land in accordance with the Development Plans by the end of the calendar years 1979 and 1983, respectively, or such other dates as the Bank may agree. (d) The Borrower shall take all such action as may be re- quired to ensure that whenever land is made available by the Bor- rover through a sale, a lease, a transfer or any other form, to developers of tourism establishments and recreational facilities in the Project Area, such land shall be made available by the Borrower to such developers on terms and conditions whereby the Borrower shall obtain by written contract with such developer or by other appropriate legal means, rights adequate to protect the interest of the Borrower, including the right: (i) to require initial construction works for the development of the land so made available in accordance with the Development Plans, within a period not to exceed twelve months after the date said land has been made available to the developer; (ii) to have such arrangements rescinded and the control of the land so made available to return -16- to the Borrower in the event such developer has, except for reasons beyond its control, failed to construct, within the said period, the said devel- opment, all referred to in paragraph (d) (i) of this Section 3.07 of this Agreement; (e) To the extent that: (i) the landowners referred to in paragraph (c) of this Section 3.07 of this Loan Agreement have not, started to develop their land earmarked for development of tourism establishments or other recreational facilities under the Development Plans after the year 1981 or sold or leased such land to private developers or to the Borrower, all to be for purposes of development in accordance with the Development Plans and to be in accordance with a timetable satisfactory to the Bank to be sent to the Bank within two years of the date of this Agreement; and (ii) the developers to whom land has been made available under the arrangements referred to under paragraph (e) of Section 6.01 of this Agreement have not, except for reasons beyond their control started to develop such land in accordance with the Development Plans within twelve months of the date of the instrument under which such land has been made available to such developers, the Borrower hereby specifically undertakes to take all such action as may be required under its laws on the expropriation of land for public purposes, in order to acquire or to enable the Borrower to acquire ownership of such land and rights in respect of such land, and thereafter to develop such land, or cause such land to be de- veloped in accordance with such Development Plans. - 17 - Section 3.08. (a) Notwithstanding the provisions of para- graph (a) of Section 3.01 of this Agreement and except as the Bank shall otherwise agree, the Borrower shall not proceed with the construction of houses for hotel employees under Part A.2 (i) of the Project until the Borrower's Ministry of Tourism and Information shall have entered into an agreement with the hotel developer by whose employees such houses are to be used, whereby such hotel developer has agreed to rent such houses at a rate sufficient to cover capital and operating costs, and to make such houses available to its employees. (b) The Borrower undertakes to continue to carry out after December 31, 1981, in the Project Area, an hotel employee housing program and to provide promptly as needed, the funds, facilities, services and other resources required for the purpose, provided, however that the Borrower and the Bank are satisfied that there is adequate justification for such employee housing program at that time. Section 3.09. (a) Within one year of the date of this Agree- ment, or such other period as the Bank may agree, the Borrower shall take all action as may be necessary to prepare curricula, course outlines and a teacher training program for its hotel train- ing school to be constructed under Part A.3 of the Project and to send such curricula, course outlines and teacher training program to the Bank for its comments. The Borrower shall thereafter introduce under Part A.3 of the Project, such curricula, course outlines and teacher training program, including such changes as the Bank shall reasonably request. 18 I (b) The Borrower shall, at all times, operate and maintain the hotel training center constructed under Part A.3 of the Proj- ect under the supervision of qualified and experienced management assisted by qualified and experienced personnel in adequate num- bers, and shall promptly make all necessary repairs and renewals thereof, in accordance with sound engineering and school mainte- nance practices and shall provide, promptly as needed, the funds, facilities, services and other resources required for the purpose. Section 3.10. Except as the Bank shall otherwise agree, the Borrower shall take or cause to be taken all such action as shall be necessary to ensure that not less than 3,825 rooms in hotels, vacation villages or other recreational facilities will be avail- able for operation in the Project Area by December 31, 1989, or such other date as the Bank may agree, provided, however, that the Borrower and the Bank are satisfied that there is adequate tourist demand for such facilities in the Project Area at that time. Section 3.11. The Borrower shall complete Part G 1 (a) and (b) of the Project in accordance with a timetable and terms of reference all to be satisfactory to the Bank and to be sent to the Bank within six months of the date of this Agreement or such other period as the Bank may agree. Section 3.12. The Borrower shall complete the carrying out of Part G 2 of the Project by no later than July 1, 1980. - 19 - ARTICLE IV Other Covenants Section 4.01. (a) It is the policy of the Bank, in making loans to, or with the guarantee of, its members not to seek, in normal circumstances, special security from the member concerned but to ensure that no other external debt shall have priority over its loans in the allocation, realization or distribution of for- eign exchange held under the control or for the benefit of such member. To that end, if any lien shall be created on any public assets (as hereinafter defined), as security for any external debt, which will or might result in a priority for the benefit of the creditor of such external debt in the allocation, realization or distribution of foreign exchange, such lien shall, imless the Bank shall otherwise agree, ipso facto and at no cost to the Bank, equally and ratably secure the principal of, and interest and other charges on, the Loan, and the Borrower, in creating or per- mitting the creation of such lien, shall make express provision to that effect; provided, however, that, if for any constitutional or other legal reason such provision cannot be made with respect to any lien created on assets of any of its political or admini- strative subdivisions, the Borrower shall promptly and at no cost to the Bank secure the principal of, and interest and other charges on, the Loan by an equivalent lien on other public assets satisfac- tory to the Bank. (b) The foregoing undertaking shall not apply to: (i) any lien created on property, at the time of purchase thereof, solely as security for payment of the purchase price of such property; - 20 - and (ii) any lien arising in the ordinary course of banking trans- actions and securing a debt maturing not more than one year after its date. (c) As used in this Section, the term "public assets" means assets of the Borrower, of any political or administrative subdi- vision thereof and of any entity owned or controlled by, or oper- ating for the account or benefit of, the Borrower or any such subdivision, including assets held by the T.C. Merkez Bankasi or any other institution performing the functions of a central bank or exchange stabilization fund, or similar functions, for the Bor- rower. Section 4.02. (a) The Borrover shall cause the Project Direc- torate to establish and thereafter maintain accounts and records adequate to reflect in accordance with consistently maintained appropriate accounting and auditing practices the financial re- sources and expenditures of the Project Directorate in respect of the Project. (b) The Borrower shall cause the Project Directorate to: (i) have such accounts in respect of the Project for each fiscal year audited, in accordance with appropriate auditing principles con- sistently applied, by independent auditors acceptable to the Bank; (ii) furnish to the Bank as soon as available, but in any case not later than five months after the end of each such year, the report of such audit by said auditors, of such scope and in such detail as the Bank shall have reasonably requested; and (iii) fur- nish to the Bank such other information concerning said accounts and the audit thereof as the Bank shall from time to time reasonably request. - 21 - Section 4.03. Within one year of the date of this Agreement, or such other date as the Bank may agree, the Borrower shall pre- pare and send to the Bank a proposed statement of policy to set user charges in respect of the facilities benefitting from the construction of infrastructure under the Project and shall there- after afford the Bank a reasonable opportunity to comment on such proposed statement of policy before its adoption. Such statement of policy shall include, inter alia, a list of objectives, the methodology for calculating tariffs, selling prices, rental charges (relating to water and sewerage, ground rents, service charges, building rentals and other fees) and procedures for implementation of such policies. Section 4.04. The Borrower shall make available or cause to be made available to investors in hotels, vacation villages and other recreational facilities in the Project Area, to the extent such investors do not have access to credit on reasonable terms from other sources, credit facilities on terms appropriate to the nature and estimated financial prospects of the investments to be made. Section 4.05. (a) The Borrower undertakes to use its best efforts to enter into bilateral agreements permitting major inter- national scheduled airlines to use on a regular basis the facil- ities of the airport located near the City of Antalya. (b) The Borrower undertakes to classify such airport under its regulations as an international airport, and to permit foreign charter airline carriers to provide charter airline service to the - 22 - said Antalya airport, to the extent needed by full scale tourist operations in the Antalya region and to the extent needed to supple- ment airline charter operations of Turk Hava Yollari. Section 4.06. Within six months of the date of this Agreement or such other period as the Bank may agree, the Borrower shall make appropriate arrangements relating to procedures for submission and approval of architectural plans for accommodation facilities in the Project Area empowering the Project Directorate to review, prior to the approval of the Borrower's Ministry of Reconstruction and Resettlement, all tourism development plans in the Project Area. Section 4.07. (a) The Borrower: (i) undertakes to take all such action as may be required to enable the Project Directorate to manage, oDerate and maintain the infrastructure facilities and the services constructed under, or provided through, Part A of the Project, and shall thereafter cause the Project Directorate to manage, operate, maintain, renew and repair such facilities and to provide such services, all in accordance with sound business, financial, administrative and engineering practices; and (ii) shall provide, or cause to be provided, promptly as needed, the funds, facilities, services and other resources required for the purpose. (b) To the extent that the responsibilities in respect of management, operations and maintenance of the facilities construc- ted under Part A of the Project shall be transferred to another department or agency of the Borrower or to any other successor organization or entity, the Borrower shall make appropriate arrange- ments to, or cause appropriate arrangements to be made: (i) to - 23 - ensure that the facilities constructed under Part A of the Project shall be operated., maintained, renewed and repaired, as and when required, and that such service shall be provided, in accordance with sound business, financial, administrative and engineering practices; and (ii) to provide, or cause to be provided, promptly as needed, the funds, facilities, services and other resources required for the purpose. (c) The Borrower: (i) undertakes to make appropriate arrange- ments to manage, operate and maintain the infrastructure facilities and the services constructed under, or provided through, Parts B, C, D, E and F of the Project, and shall thereafter cause such facil- ities to be managed, operated, maintained, renewed and repaired and such services to be provided, all in accordance with sound business, financial, administrative and engineering practices; and (ii) shall provide, or cause to be provided, promptly as needed, the funds, facilities, services and other resources required for the purpose. (d) The Borrower shall send to the Bank within two years of the date of this Agreement, or such other period as the Bank may agree, a plan for the operation and maintenance of the facilities to be constructed under Parts A, E and F of the Project. Section 4.08. (a) The Borrower undertakes to cause its General Directorate of National Properties (Milli Emllk Genel Midirlug ) and its General Directorate of Forestry, respectively, to enter into appropriate arrangements with the Project Directorate within one year of the date of this Agreement or such other period as the Bank may agree for the purpose of determining the procedures to be followed by such Directorates for consultation with the Project Directorate prior to negotiating and concluding ground lease agree- ments between the said Directorate and tourism investors related to land administered by such Directorates in the Project Area. Such arrangements shall include inter alia: (i) procedures to be fol- lowed by the Project Directorate for the submission to said Direc- torates of requests to make land administered by such Directorates available to tourism investors approved by the Project Directorate; (ii) guidelines with respect to the terms to be included in the leasing agreements to be concluded between such Directorates and such tourism investors; and (iii) guidelines with respect to the management of land so leased to tourism investors by said Direc- torates; (b) The Borrower undertakes to cause its General Directorate of National Properties (Milli Emlfk Genel MUdUrligi) and its Gen- eral Directorate of Forestry, respectively, to make land available to tourism developers in the Project Area only upon recommendation of the Project Directorate and for the construction of tourism de- velopment facilities consistent with the Development Plans. Section 4.09. In order to assist the Borrower in the manage- ment and operation of the harbor to be constructed under Part A2 (e) of the Project and of the public utilities facilities to be built under the Project, the Borrower shall employ, no later than eighteen months after the date of this Agreement, experts whose qualifications, experience and terms and conditions of employment shall be satisfactory to the Bank. - 25 - ARTICLE V Remedies of the Bank Section 5.01. For the purposes of Section 6.02 of the Gen- eral Conditions, the following additional events are specified pursuant to paragraph (k) thereof: (a) The Borrower, Kepez or PTT shall have failed to perform any of their respective covenants, agreements or obligations under the Kepez Subsidiary Loan Agreement or under the PTT Subsidiary Loan Agreement, respectively. (b) The Kepez Subsidiary Loan Agreement and the PTT Subsidiary Loan Agreement have been, assigned, amended or abrogated without the prior consent of the Bank. (c) The Development Plans or any part or provision thereof have, in the opinion of the Bank, been amended, waived or abrogated in any material respect without the prior consent of the Bank. Section 5.02. For the purposes of Section 7.01 of the Gen- eral Conditions, the following events are specified pursuant to paragraph (h) thereof, namely, that any event specified in para- graphs (a), (b) and (c) of Section 5.01 of this Agreement shall occur and shall continue for a period of 60 days after notice thereof shall have been given by the Bank to the Borrower. - 26 - ARTICLE VI Effective Date; Termination Section 6.01. The following events are specified as additional conditions to the effectiveness of the Loan Agreement within the meaning of Section 12.01 (c) of the General Conditions: (a) The execution and delivery: (i) of the Kepez Subsidiary Loan Agreement in form and substance satisfactory to the Bank on behalf of the Borrower and Kepez, respectively; and (ii) of the PTT Subsidiary Loan Agreement in form and substance satisfactory to the Bank on behalf of the Borrower and PTT, respectively, have been duly authorized or ratified by all necessary corporate and governmental action. (b) The South Antalya Tourism Project Coordinating Committee and the South Antalya Tourism Project Coordinating Subcommittee have been established as provided in Section 3.03 of the Loan Agree- ment. (c) Detailed land use plans with regulations and maps at a 1:5,000 scale for Kemer, satisfactory to the Bank have been issued and are in full force and effect. (d) The consultants referred to in paragraph (a) of Section 3.04 of the Loan Agreement have been employed as provided in the said paragraph (a) of such Section 3.04. -27- (e) The Borrower has made a decision to expropriate the land in Gfineydeniz, Tekerlektepe and Kiziltepe earmarked under the Development Plans for the development of Tourism facilities in Giineydeniz, Tekerlektepe and Kiziltepe prior to December 31, 1981 and which has not been made available under arrangements satisfac- tory to the Bank for the construction of tourism facilities in accordance with the Development Plans and such a decision has been notified to the owners of such land and published, all in accor- dance with the provisions of Article 13 of the Borrower's Law No. 6830 dated September 5, 1956, as amended. (f) The Borrower has notified through the Land Office the Land Registry in which the land located in the Project Area is registered of its intent to exercise its preemptive rights in accordance with Article 10 of the Borrower's Law No. 1164, dated April 29, 1969, including the regulations applicable thereto. (g) The Borrower has adopted detailed land use regulations related to the South Antalya Master Plan with supporting map at a scale of 1:25,000 approved on April 16, 1976 and such regula- tions are in full force and effect. (h) A Director of the Project Directorate with qualifica- tions and experience satisfactory to4he Bank has been appointed. Section 6.02. The following are specified as additional mat- ters, within the meaning of Section 12.02 (c) of the General Con- ditions, to be included in the opinion or opinions to be furnished to the Bank: -28- (a) That the Kepez Subsidiary Loan Agreement has been duly authorized or ratified by, and executed and delivered on behalf of, the Borrower and Kepez, respectively, and is legally binding upon the Borrower and Kepez in accordance with its terms. (b) That the PTT Subsidiary Loan Agreement has been duly authorized or ratified by, and executed and delivered on behalf of, the Borrower and PTT, respectively, and is legally binding upon the Borrower and PTT in accordance with its terms. (c) The detailed land use plans at a 1:5,000 scale for Kemer have been issued and are in full force and effect. (d) The decisions to expropriate referred to in paragraph (e) of Section 6.01 have been validly taken, notified to the owners of the land concerned and published as provided in paragraph (e) of Section 6.01 of this Agreement and such actions constitute all actions required under the laws of the Borrower to initiate expro- priation of land in the Project Area, and the Borrower has the right to expropriate such land on behalf of the Land Office on the basis of the South Antalya Master Plan with supporting maps at a scale of 1:25,000, and the Land Office has the right to sell or lease such land which has been so expropriated. (e) The regulations referred to in paragraph (g) of Section 6.01 of this Agreement have been validly issued, are in full force and effect and are fully enforceable under the laws of the Borrower. - 29 - Section 6.03. The date November 30, 1976, is hereby specified for the purposes of Section 12.04 of the General Conditions. - 30 - ARTICLE VII Representative of the Borrower; Addresses Section 7.01. The Minister of Finance of the Borrower is designated as representative of the Borrower for the purposes of Section 11.03 of the General Conditions. Section 7.02. The following addresses 'are specified for the purposes of Section 11.01 of the General Conditions: For the Borrower: Maliye Bakanligi Hazine Genel Mfidiirlfg ve Milletlerarasi Iktisadi Isbirligi Teskilati Genel Sekreterligi Ankara, Turkey Cable address: Telex: Maliye 821 - 42285 Hazine MLYETR Ankara For the Bank: International Bank for Reconstruction and Development 1818 H Street, N.W. Washington, D.C. 20433 United States of America Cable address: Telex: INTBAFRAD 440098 (ITT) Washington, D.C. 248423 (RCA) or 64145 (wUl) - 31 - IN WITNESS WHEREOF, the parties hereto, acting through their representatives thereunto duly authorized, have caused this Agree- ment to be signed in their respective names in the District of Columbia, United States of America, as of the day and year first above written. REPUBLIC OF TURKEY By /s/ Tayyar Sadiklar Authorized Representative INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT By /s/ Maurice P. Bart Acting Regional Vice President Europe, Middle East and North Africa - 32 - SCHEDULE 1 Withdrawal of the Proceeds of the Loan 1. The table below sets forth the Categories of items to be fi- nanced out of the proceeds of the Loan, the allocation of the amounts of the Loan to each Category and the percentage of expen- ditures for items so to be financed in each Category: Amount of the Loan Allocated % of (Expressed in Expenditures Category Dollar Equivalent) to be Financed (1) Civil Works 30% (a) Part A of 7,800,000 the Project (b) Part B of 2,700,000 the Project (c) Part C of the Project (i) Part C (a) 250,000 and C (b) of the Proj- ect (ii) Part C (c) 150,000 of the Proj- ect (d) Part D of 200,000 the Project (e) Part E of 1,200,000 the Project - 33 - Amount of the Loan Allocated % of (Expressed in Expenditures Category Dollar Equivalent) to be Financed (f) Part F of 200,000 the Project (2) Equipment and ) material ) (a) Part A of 2,400,000 ) the Project ) 100% of foreign ) expenditures; (b) Part C of ) or 100% of ex- the Project ) factory cost of ) locally manu- (i) Part C (a) 1,900,000 ) factured goods; and C (b) ) or 80% of im- of the Proj- ) ported items ect ) procured lo- cally (ii) Part C (C) 1,100,000 ) of the Proj- ect ) (c) Part D of 1,700,000 ) the Project ) (d) Part E of 400,000 ) the Project ) (e) Part F of 200,000 ) the Project ) (3) Technical assistance 400,000 100% of foreign and consulting ser- expenditures vices (4) Interest and other 4,000,000 Amounts due charges accrued on or before April 14, 1980 (5) Unallocated 1,400,000 TOTAL 26,000,000 - 314- 2. For the purposes of this Schedule the term "foreign expendi- tures" means expenditures in the currency of any country other than the Borrower and for goods or services supplied from the territory of any country other than the Borrower. 3. The disbursement percentages have been calculated in compli- ance with the policy of the Bank that no proceeds of the Loan shall be disbursed on account of payments for taxes levied by, or in the territory of, the Borrower on goods or services, or on the importation, manufacture, procurement or supply thereof; to that end, if the amount of any such taxes levied on or in respect of any item to be financed out of the proceeds of the Loan de- creases or increases, the Bank may, by notice to the Borrower, increase or decrease the disbursement percentage then applicable to such item as required to be consistent with the aforementioned policy of the Bank. 4. Notwithstanding the provisions of paragraph 1 above, no with- drawals shall be made in respect of payments made: (i) for expenditures prior to the date of this Agree- ment, except that withdrawals, in an aggregate amount not exceeding the equivalent of $250,000, may be made in respect of Sub-Category (b) of Category 1, and in an aggregate amount not exceeding the equivalent of $50,000 may be made in respect of Category 3, on account of payments made for such expenditures before that date but after March 1, 1976 and December 1, 1975, respectively; and - 35 - (ii for expenditures under Sub-category (b) (ii) of Category (2) and under Sub-category (c) (ii) of Category (1) of the table of Allocation of the Pro- ceeds of the Loan set forth in paragraph 1 of this Schedule until the Borrower has satisfied the Bank that the specifications of the supply systems to be installed under Part C (c) of the Project are eco- nomically and technically justified. 5. Notwithstanding the allocation of an amount of the Loan or the disbursement percentages set forth in the table in paragraph 1 above, if the Bank has reasonably estimated that the amount of the Loan then allocated to any Category will be insufficient to finance the agreed percentage of all expenditures in that Cate- gory, the Bank may, by notice to the Borrower: (i) reallocate to such Category, to the extent required to meet the estimated short- fall, proceeds of the Loan which are then allocated to another Category and which in the opinion of the Bank are not needed to meet other expenditures; and (ii) if such reallocation cannot fully meet the estimated shortfall, reduce the disbursement per- centage then applicable to such expenditures in order that further withdrawals under such Category may continue until all expendi- tures thereunder shall have been made. 6. If the Bank shall have reasonably determined that the pro- curement of any item in any Category is inconsistent with the procedures set forth or referred to in this Agreement, no expendi- tures for such item shall be financed out of the proceeds of the Loan and the Bank may, without in any way restricting or limiting -36- any other right, power or remedy of the Bank under the Loan Agree- ment, by notice to the Borrower, cancel such amount of the Loan as, in the Bank's reasonable opinion, represents the amount of such expenditures which would otherwise have been eligible for financing out of the proceeds of the Loan. -37- SCHEDULE 2 Description of the Project The Project is part of the Borrover's program for the devel- opment of four tourist sites at Kiziltepe, Tekerlektepe, Kemer and Gineydeniz in the Borrower's province of Antalya. The Project provides tourism infrastructure including the development in Kemer village of central services and recreation facilities in support of the Project Area. The Project consists of the following parts: Part A 1. Construction and installation of infrastructure and other works for the tourism sites at Kiziltepe, Tekerlektepe and Gineydeniz, comprising: (a) water supply, sewerage and wastewater treatment systems; and (b) solid waste disposal systems. 2. Construction, installation and equipping of urban infra- structure, recreation and other works at Kemer, comprising: (a) vater supply, sewerage and wastewater treatment systems; (b) streets and parking areas; - 38 - 388 (c) a storm water drainage system; (d) a health clinic in the town of Kemer; (e) a small craft harbor comprising breakwaters, landing piers, docking and service slips, navigational aids, a yacht club combined with an administration build- ing, boat handling and storage facilities, a boat maintenance depot, public restrooms, parking areas and two 4O-passenger ferry/excursion boats. (f) public parks, playgrounds and sports facilities; (g) improvement of two public beaches; (h) bus terminal, small industrial facilities and commercial buildings; (i) about 280 houses for hotel employees; and (j) an electricity network within Kemer. 3. Constructing, furnishing and equipping of a hotel train- ing school at Kemer to provide vocational training for about 375 students per year, consisting of a training school, a practice hotel with a capacity of about 50 rooms and a dormitory for about 250 students. 4. Constructing, equipping and furnishing of a Project administrative complex at Kemer. - 39 - Part B Completion of the construction of a segment of about 32 km of the main highway linking the city of Antalya with the Project Area, and construction of access roads to the sites of Kiziltepe, Tekerlektepe, Kemer and Gu*neydeniz in the Province of Antalya. Part C (a) constructing and equipping of a 154-KV transmission line from the Kepez power station to a new trans- former sub-station at Kemer and of a feeder at Kepez; (b) installation of a step-down transformer substation at Kemer; (c) installation of a standby supply system to serve the Project Area; and (d) 31.5-KY single circuit transmission lines to all project sites plus Beldibi. Part D Constructing and equipping of telecommunications facilities, comprising: (a) a 300-channel microwave radio link between Antalya and Kemer; (b) a new telephone exchange at Kemer; (c) upgrading of the existing telephone exchange in the city of Antalya; (d) a 45 km telephone network in the Project Area; and (e) a telex system for the hotels in the Project Area. Part E Construction, equipping and improvement of infrastructure and other works for a National Parks Program, comprising: (a) beach and campsite facilities, including access roads; (b) reforestation; (c) trails, walking and cycle paths; (d) landscaping along roads; (e) scenic look-out points; (f) office building and visitor center; and (g) communications equipment, boats, trucks, two helicopters equipped for firefighting, and fire control towers. Part F Protection of, and construction of, access facilities on the archeological site at Phaselis, comprising: (a) site clearing, initial conservation, a network of internal walking paths and fencing; (b) access road and utility connections; (c) multi-purpose building including an exhibition hall; and (d) a small boat-landing pier. Part G 1. (a) an economic study on hotel profitability and tourism incentives in Turkey. (b) a study for promoting tourism in the Project Area. 2. A conservation study and an underwater archaeological survey for Phaselis. * * * e The Project is expected to be completed by June 30, 1982. - 142 - SCHEDULE 3 Amortization Schedule Payment of Principal Date Payment Due (expressed in dollars)* October 15, 1982 275,000 April 15, 1983 285,000 October 15, 1983 300,000 April 15, 1984 315,000 October 15, 1984 325,000 April 15, 1985 340,000 October 15, 1985 360,000 April 15, 1986 370,000 October 15, 1986 390,000 April 15, 1987 405,000 October 15, 1987 425,000 April 15, 1988 440,000 October 15, 1988 465,000 April 15, 1989 480,000 October 15, 1989 505,000 April 15, 1990 525,000 October 15, 1990 550,000 April 15, 1991 575,000 October 15, 1991 600,000 April 15, 1992 625,000 October 15, 1992 655,000 April 15, 1993 680,000 October 15, 1993 715,000 April 15, 1994 745,000 October 15, 1994 775,000 April 15, 1995 815,000 October 15, 1995 845,000 April 15, 1996 885,000 October 15, 1996 925,000 April 15, 1997 965,000 October 15, 1997 1,010,000 - 43- Payment of Principal Date Payment Due (expressed in dollars) April 15, 1998 1,050,000 October 15, 1998 1,100,000 April 15, 1999 1,145,000 October 15, 1999 1,200,000 April 15, 2000 1,250,000 October 15, 2000 1,310,000 April 15, 2001 1,375,000 To the extent that any portion of the Loan is repayable in a currency other than dollars (see General Conditions, Section 4.02), the figures in this column represent dollar equiva- lents determined as for purposes of withdrawal. - 44- Premiums on Prepayment The following percentages are specified as the premiums pay- able on repayment in advance of maturity of any portion of the principal amount of the Loan pursuant to Section 3.05 (b) of the General Conditions: Time of Prepayment Premium Not more than three years 1.05% before maturity More than three years but 2.10% not more than six years before maturity More than six years but not 3.90% more than eleven years before maturity More than eleven years but 5.65% not more than sixteen years *before maturity More than sixteen years but 7.45% not more than twenty-one years before maturity More than twenty-one years 8.15% but not more than twenty-three years before maturity More than twenty-three years 8.85% before maturity -45- SCHEDULE 4 Procurement A. International Competitive Bidding 1. Except as provided in Paragraphs B and D hereof, the goods and works shall be procured under contracts to be awarded in accor- dance with procedures consistent with those set forth in Part A of the "Guidelines for Procurement under World Bank Loans and IDA Credits" published by the Bank in August 1975 (hereinafter called the Guidelines), on the basis of international competitive bidding. 2. Contracts for similar items shall to the extent practicable be grouped into one single bid. B. Other Procurement Procedures Notwithstanding the provisions of paragraph A.1 above: (i) contracts for equipment and materials estimated to cos. less than the equivalent of $100,000 may be awarded on the basis of local advertising only and in accordance with local competitive bidding procedures; (ii) contracts for civil works estimated to cost less than the equivalent of $500,000 may be awarded on the basis of local advertising only and in accordance with competitive bidding procedures acceptable to the Bank, provided, however, that notwith- standing the above provisions, contracts for civil works for the construction of roads may also be awarded without recourse to international competitive bidding procedures, provided that such - 46- contracts shall be procured on the basis of reasonable and com- petitive procurement procedures, including, but not limited to, the solicitation of not less than three price quotations and that the aggregate amount of all contracts for civil works for the con- struction of roads to be so awarded shall not exceed the equiva- lent of $2,000,000. C. Evaluation and Comparison of Bids for Goods; Preference for Domestic Manufacturers 1. For the purpose of evaluation and comparison of bids for the supply of goods except those to be procured in accordance with local procedures: (i) bidders shall be required to state in their bid the c.i.f. (port of entry) price for imported goods, or the ex-factory price for domestically-manufactured goods; (ii) customs duties and other import taxes on imported goods, and sales and similar taxes on domestically-supplied goods, shall be excluded; and (iii). the cost to the Borrower of inland freight and other expenditures incidental to the delivery of goods to the place of their use or installation shall be included. 2. Goods manufactured in Turkey, except those procured in ac- cordance with local procedures may be granted a margin of pref- erence in accordance with, and subject to, the following provi- sions: (a) All bidding documents for the procurement of goods shall clearly indicate any preference which will be granted, the infor- mation required to establish the eligibility of a bid for such preference and the following methods and stages that will be fol- loved in the evaluation and comparison of bids. - 47 - (b) After evaluation, responsive bids will be classified in one of the following three groups: (1) Group A: bids offering goods manufactured in Turkey if the bidder shall have established to the satis- faction of the Borrower and the Bank that the manu- facturing cost of such goods includes a value added in Turkey equal to at least 20% of the ex-factory bid price of such goods. (2) Group B: all other bids offering goods manufactured in Turkey. (3) Group C: bids offering any other goods. (c) All evaluated bids in each group shall be first compared among themselves, excluding any customs duties and other import taxes on goods to be imported and any sales or similar taxes on goods to be supplied domestically, to determine the lowest evalu- ated bid of each group. Such lowest evaluated bids shall then be compared with each other, and if, as a result of this comparison, a bid from group A or group B is the lowest, it shall be selected for the award. (d) If, as a result of the comparison under paragraph (c) above, the lowest bid is a bid from group C, all group C bids shall be further compared with the lowest evaluated bid from group A after adding to the c.i.f. bid price of the imported goods offered in each group C bid, for the purpose of this fur- ther comparison only, an amount equal to (i) the amount of customs - 48- duties and other import taxes which a non-exempt importer would have to pay for the importation of the goods offered in such group C bid; or (ii) 15% of the c.i.f. bid price of such goods if said customs duties and taxes exceed 15% of such price. If the group A bid in such further comparison is the lowest, it shall be selected for the award; if not, the bid from group C which as a result of the comparison under paragraph (c) is the lowest evaluated bid shall be selected. D. Procurement Without Contracting Subject to the prior approval of the Bank and notwithstanding the provisions of paragraphs A and B of this Schedule, civil works under the Project may be carried out by force account, provided, however, that the aggregate amount of work to be so carried out shall not exceed the equivalent of $4,000,000. E. Review of Procurement Decisions by Bank 1. Review of prequalification. The Borrower shall, before quali- fication is invited, inform the Bank in detail of the procedure to be followed and shall introduce such modifications in said procedure as the Bank shall reasonably request. The list of prequalified bid- ders, together with a statement of their qualifications and of the reasons for the exclusion of any applicant for prequalifica- tion shall be furnished by the Borrower to the Bank for its com- ments before the applicants are notified, and the Borrower shall make such additions to, deletions from, or modifications in, the said list as the Bank shall reasonably request. -49- 2. Review of invitation to bid and of proposed awards and final contracts: With respect to all contracts for civil works estimated to cost the equivalent of $500,000 or more or for material and equip- ment estimated to cost $100,000 or more: (a) Before bids are invited, the Borrower shall furnish to the Bank, for its comments, the text of the invitations to bid and the specifications and other bidding documents, together with a description of the advertising procedures to be followed for the bidding, and shall make such modifications in the said docu- ments or procedures as the Bank shall reasonably request. Any further modification to the bidding documents shall require the Bank's concurrence before it is issued to the prospective bidders. (b) After bids have been received and evaluated, the Bor- rover shall, before a final decision on the award is made, inform the Bank of the name of the bidder to which it intends to award the contract and shall furnish to the Bank, in sufficient time for its review, a detailed report, by the consultants referred to in paragraph (a) of Section 3.04 of this Agreement, on the evaluation and comparison of the bids received, together with the recommienda- tions for award of the said consultants and such other information as the Bank shall reasonably request. The Bank shall, if it deter- mines that the intended award would be inconsistent with the Guidelines or this Schedule, promptly inform the Borrower and state the reasons for such determination. - 50 - (c) The terms and conditions of the contract shall not, with- out the Bank's concurrence, materially differ from those on which bids were asked or prequalification invited. (d) Two conformed copies of the contract shall be furnished to the Bank promptly after its execution and prior .o the submis- sion to the Bank of the first application for withdrawal of funds from the Loan Account in respect of such contract. 3. With respect to each contract to be financed out of the pro- ceeds of the Loan and not governed by the preceding paragraph, the Borrower shall furnish to the Bank, promptly after its execu- tion and prior to the submission to the Bank of the first appli- cation for withdrawal of funds from the Loan Account in respect of such contract, two conformed copies of such contract, together with the analysis of bids, recommendations for award and such other information as the Bank shall reasonably request. The Bank shall, if it determines that the award of the contract was not consistent with the Guidelines or this Schedule, promptly inform the Borrower and state the reasons for such determination. - 51 - SCHEDULE 5 Composition of the South Antalya Tourism Project Coordinating Committee and of South Antalya Tourism Project Coordinating Subcommittee Ministries and South Antalya Tourism South Antalya Tourism Agencies of the Project Coordinating Project Coordinating Borrower Committee Subcommittee Ministry of Tour- A Deputy underSecretary Project Directorate ism and Infor- and Liaison Office of mation Project Directorate State Planning Department of Economic Organization Planning Ministry of Fi- General Directorate of nance Treasury and General Directorate of OIEC General Directorate of Budget and Financial Control Ministry of Inter- General Directorate of Goveraor of Antalya nal Affairs Local Administrations Ministry of Recon- General Directorate of Provincial Directorate struction and Planning and Recon- for Reconstruction Settlements struction General Directorate of Land Office Ministry of Fores- General Directorate of Regional Directorate try National Parks and of Forestry Hunting Ministry of Public General Directorate of Regional Directorate Works Highways of Highways General Directorate for Regional Directorate Construction of Rail- for Construction of roads, Harbors and Harbor Airports -52- Ministries and South Antalya Tourism South Antalya Tourism Agencies of the Project Coordinating Project Coordinating Borrower Committee Subcommittee Ministry of Energy General Directorate of Regional Directorate and Natural Re- State Hydraulic Works of Hydraulic Works sources General Directorate of Turkish Electric Author- ity Department of Energy Ministry of Cul- General Directorate of Directorate of Antalya ture Antiquities Museum Ministry of Trans- General Directorate of Airport Directorate ports Civil Aviation General Directorate of Telecommunications General Directorate of Regional Directorate PTT of PTT Ministry of Indus- Department of Industry try and Techno- logy Ministry of Cus- General Directorate of Provincial Directorate toms and Mono- Customs of Customs polies Ministry of Public General Directorate of Provincial Directorate Health Public Health Planning of Public Health Department T.C. Tourism Bank General Directorate Local Office Kepez Liaison Office General Directorate

Informations clés
Type de document Loan Agreement
Date d'adoption
Pays Turquie
Source Banque mondiale