Access Daily Usage File Sample Clauses

Access Daily Usage File. (ADUF) is the compilation of interstate access messages associated with an unbundled port in standard Exchange Message Interface (EMI) format exchanged from BellSouth to ITC/\DeltaCom.
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Access Daily Usage File. 5.1 Upon written request from TriStar, BellSouth will provide the Access Daily Usage File (ADUF) service to TriStar pursuant to the terms and conditions set forth in this section. 5.2 TriStar shall furnish all relevant information required by BellSouth for the provision of ADUF. 5.3 ADUF will contain access messages associated with a port that TriStar has purchased from BellSouth 5.4 Charges for delivery of ADUF will appear on TriStar’s monthly bills. The charges are as set forth in Exhibit A to this Attachment. All messages will be in the standard ATIS EMI record format. 5.5 Messages that error in the billing system of TriStar will be the responsibility of TriStar. If, however, TriStar should encounter significant volumes of errored messages that prevent processing by TriStar within its systems, BellSouth will work with TriStar to determine the source of the errors and the appropriate resolution.
Access Daily Usage File. 11.1 Upon written request from CARRIER,AT&T SOUTHEAST REGION 9-STATE will provide the Access Daily Usage File (ADUF) Services to CARRIER pursuant to the terms and conditions set forth in this section. 11.2 CARRIER shall furnish all relevant information required byAT&T SOUTHEAST REGION 9-STATE for the provision of ADUF Services. 11.3 The ADUF provides CARRIER originating and terminating access and third party messages associated with Wholesale Switch Port Services and Wholesale Local Platform Services that CARRIER has purchased fromAT&T SOUTHEAST REGION 9-STATE. 11.4 Charges for ADUF Serviceswill appear on CARRIER’s monht ly bills for the previous month’s usage in arrears. The charges are as set forth in Exhibit A. 11.5 Messages that error in the billingsystem of CARRIER will be the responsibility of CARRIER. If, however, CARRIER should encounter significant volumes of errored messages that prevent processing by CARRIER within its systems,
Access Daily Usage File. 9.1 Upon written request from CUSTOMER, BellSouth will provide the Access Daily Usage File (ADUF) Services to CUSTOMER pursuant to the terms and conditions set forth in this section. 9.2 CUSTOMER shall furnish all relevant information required by BellSouth for the provision of ADUF Services. 02/09/05 Confidential and proprietary. May not be used or disclosed outside of BellSouth. Subject to Nondisclosure Agreement. 9.3 The ADUF provides CUSTOMER originating and terminating access and third party messages associated with DS0 Wholesale Switch Port Services and DS0 Wholesale Local Voice Platform Services that CUSTOMER has purchased from BellSouth. 9.4 Charges for ADUF Services will appear on CUSTOMER’s monthly bills for the previous month’s usage in arrears. The charges are as set forth in Exhibit B to this Attachment. 9.5 Messages that error in the billing system of CUSTOMER will be the responsibility of CUSTOMER. If, however, CUSTOMER should encounter significant volumes of errored messages that prevent processing by CUSTOMER within its systems, BellSouth will work with CUSTOMER to determine the source of the errors and the appropriate resolution.
Access Daily Usage File. 6.1. Upon written request from Knology, BellSouth will provide the Access Daily Usage File (ADUF) service to Knology pursuant to the terms and conditions set forth in this Section.
Access Daily Usage File. 16.1 Upon written request from CUSTOMER, BellSouth will provide the Access Daily Usage File (ADUF) Services to CUSTOMER pursuant to the terms and conditions set forth in this section. 16.2 CUSTOMER shall furnish all relevant information required by BellSouth for the provision of ADUF Services. 16.3 The ADUF provides CUSTOMER originating and terminating access and third party messages associated with Wholesale Switch Port Services and Wholesale Local Platform Services that CUSTOMER has purchased from BellSouth. 16.4 Charges for ADUF Services will appear on CUSTOMER’s monthly bills for the previous month’s usage in arrears. The charges are as set forth in Exhibit A to this Attachment. 16.5 Messages that error in the billing system of CUSTOMER will be the responsibility of CUSTOMER. If, however, CUSTOMER should encounter significant volumes of errored messages that prevent processing by CUSTOMER within its systems, BellSouth will work with CUSTOMER to determine the source of the errors and the appropriate resolution.
Access Daily Usage File. ‌ 9.1 Upon written request from Granite, AT&T-9STATE will provide the Access Daily Usage File (ADUF) Services to Granite pursuant to the terms and conditions set forth in this section. 9.2 Granite shall furnish all relevant information required by AT&T-9STATE for the provision of ADUF Services. 9.3 The ADUF provides Granite originating and terminating access and third party messages associated with DS0 Wholesale Switch Port Services and DS0 Wholesale Local Voice Platform Services that Granite has purchased from AT&T-9STATE. 9.4 Charges for ADUF Services will appear on Granite’s monthly bills for the previous month’s usage in arrears. The charges are as set forth in Exhibit A to this Attachment. 9.5 Messages that error in the billing system of Granite will be the responsibility of Granite. If, however, Granite should encounter significant volumes of errored messages that prevent processing by Granite within its systems, AT&T-9STATE will work with Granite to determine the source of the errors and the appropriate resolution.
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Related to Access Daily Usage File

  • Optional Daily Usage File Upon written request from <<customer_name>>, BellSouth will provide the Optional Daily Usage File (ODUF) service to <<customer_name>> pursuant to the terms and conditions set forth in this section.

  • Optional Daily Usage File (ODUF 11.1 The Optional Daily Usage File (ODUF) Agreement with terms and conditions is included in this Attachment as Exhibit D. Rates for ODUF are as set forth in Exhibit F of this Attachment. 11.2 BellSouth will provide ODUF service upon written request to its Account Manager stating a requested activation date.

  • Enhanced Optional Daily Usage File Upon written request from <<customer_name>>, BellSouth will provide the Enhanced Optional Daily Usage File (EODUF) service to <<customer_name>> pursuant to the terms and conditions set forth in this section. EODUF will only be sent to existing ODUF subscribers who request the EODUF option.

  • Line Information Database (LIDB 9.1 BellSouth will store in its Line Information Database (LIDB) records relating to service only in the BellSouth region. The LIDB Storage Agreement is included in this Attachment as Exhibit C. 9.2 BellSouth will provide LIDB Storage upon written request to <<customer_name>>’s Account Manager stating a requested activation date.

  • Line Information Database LIDB is a transaction-oriented database accessible through Common Channel Signaling (CCS) networks. For access to LIDB, ONS must purchase appropriate signaling links pursuant to Section 10 of this Attachment. LIDB contains records associated with End User Line Numbers and Special Billing Numbers. LIDB accepts queries from other Network Elements and provides appropriate responses. The query originator need not be the owner of LIDB data. LIDB queries include functions such as screening billed numbers that provides the ability to accept Collect or Third Number Billing calls and validation of Telephone Line Number based non-proprietary calling cards. The interface for the LIDB functionality is the interface between BellSouth’s CCS network and other CCS networks. LIDB also interfaces to administrative systems.

  • SUBMISSION OF THE MONTHLY MI REPORT 4.1 The completed MI Report shall be completed electronically and returned to the Authority by uploading the electronic MI Report computer file to MISO in accordance with the instructions provided in MISO. 4.2 The Authority reserves the right (acting reasonably) to specify that the MI Report be submitted by the Supplier using an alternative communication to that specified in paragraph 4.1 above such as email. The Supplier agrees to comply with any such instructions provided they do not materially increase the burden on the Supplier.

  • Monthly Data Download Not later than fifteen (15) days after the end of each month, beginning with the month in which the Commencement Date occurs and ending with the Final Shared-Loss Recovery Month, Assuming Bank shall provide Receiver:

  • Originating Switched Access Detail Usage Data A category 1101XX record as defined in the EMI Telcordia Practice BR-010-200- 010.

  • Remittance Reports; Advances (a) On the second Business Day following each Determination Date but in no event later than the earlier of (i) such date which would allow the indenture trustee to submit a claim to the NIMS Insurer under the Indenture so as to allow a timely payment by the NIMS Insurer under the insurance policy related to the notes insured by the NIMS Insurer and (ii) the 20th day of each month (or if such 20th day is not a Business Day, the preceding Business Day), the Servicer shall deliver to the Trustee by telecopy or electronic mail (or by such other means as the Servicer and the Trustee may agree from time to time) a Remittance Report in the form of Exhibit O hereto (or such form mutually agreed upon) with respect to the related Distribution Date. Not later than the 20th day of each month (or if such 20th day is not a Business Day, the preceding Business Day), the Servicer shall deliver or cause to be delivered to the Trustee in addition to the information provided on the Remittance Report, such other information reasonably available to it with respect to the Mortgage Loans as the Trustee may reasonably require to perform the calculations necessary to make the distributions contemplated by Section 4.01 and to prepare the statements to Certificateholders contemplated by Section 4.03. The Trustee shall not be responsible to recompute, recalculate or verify any information provided to it by the Servicer. (b) The amount of Advances to be made by the Servicer for any Distribution Date shall equal, subject to Section 4.04(d), the sum of (i) the aggregate amount of Monthly Payments (net of the related Servicing Fee), due during the related Due Period in respect of the Mortgage Loans, which Monthly Payments were delinquent on a contractual basis as of the Close of Business on the related Determination Date and (ii) with respect to each REO Property, which REO Property was acquired during or prior to the related Due Period and as to which REO Property an REO Disposition did not occur during the related Due Period, an amount equal to the excess, if any, of the REO Imputed Interest on such REO Property for the most recently ended calendar month, over the net income from such REO Property transferred to the Distribution Account pursuant to Section 3.23 for distribution on such Distribution Date. (c) On or before 1:00 p.m. New York time on the Servicer Remittance Date, the Servicer shall remit in immediately available funds to the Trustee for deposit in the Distribution Account an amount equal to the aggregate amount of Advances, if any, to be made in respect of the Mortgage Loans and REO Properties for the related Distribution Date either (i) from its own funds or (ii) from the Collection Account, to the extent of funds held therein for future distribution (in which case it will cause to be made an appropriate entry in the records of Collection Account that amounts held for future distribution have been, as permitted by this Section 4.04, used by the Servicer in discharge of any such Advance) or (iii) in the form of any combination of (i) and (ii) aggregating the total amount of Advances to be made by the Servicer with respect to the Mortgage Loans and REO Properties. Any amounts held for future distribution used by the Servicer to make an Advance as permitted in the preceding sentence or withdrawn by the Servicer as permitted in Section 3.11(a)(ii) in reimbursement of Advances previously made shall be appropriately reflected in the Servicer’s records and replaced by the Servicer by deposit in the Collection Account on or before any future Servicer Remittance Date to the extent that the Available Funds for the related Distribution Date (determined without regard to Advances to be made on the Servicer Remittance Date) shall be less than the total amount that would be distributed to the Classes of Certificateholders pursuant to Section 4.01 on such Distribution Date if such amounts held for future distributions had not been so used to make Advances or reimburse for previously made Advances. The Trustee will provide notice to the NIMS Insurer and the Servicer by telecopy by the Close of Business on any Servicer Remittance Date in the event that the amount remitted by the Servicer to the Trustee on such date is less than the Advances required to be made by the Servicer for the related Distribution Date, as set forth in the related Remittance Report. (d) The obligation of the Servicer to make such Advances is mandatory, notwithstanding any other provision of this Agreement but subject to (d) below, and, with respect to any Mortgage Loan, shall continue until the Mortgage Loan is paid in full or until the recovery of all Liquidation Proceeds thereon. (e) Notwithstanding anything herein to the contrary, no Advance or Servicing Advance shall be required to be made hereunder by the Servicer if such Advance or Servicing Advance would, if made, constitute a Nonrecoverable Advance. The determination by the Servicer that it has made a Nonrecoverable Advance or that any proposed Advance or Servicing Advance, if made, would constitute a Nonrecoverable Advance, shall be evidenced by an Officers’ Certificate of the Servicer delivered to the NIMS Insurer, the Depositor and the Trustee.

  • Review of Custodial Files The Custodian agrees, for the benefit of Certificateholders, to review, in accordance with the provisions of Section 2.01 of the Pooling and Servicing Agreement, each Custodial File. If in performing the review required by this Section 2.3 the Custodian finds any document or documents constituting a part of a Custodial File to be missing or defective in any material respect, the Custodian shall promptly so notify the Seller, the Master Servicer and the Trustee.

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