Air Quality Control Sample Clauses

Air Quality Control. In the event of works in confined space, the Partner shall control the air condition in the working area with control and measurement instruments and an appropriate record in the permit to work. If the oxygen concentration is measured to be under 19% or over 22% or if there are any other changes in the atmosphere, which are considered as posing an imminent threat to life or health, the Partner’s employees shall not be permitted to work. Контроль состояния воздуха. При выполнении работ в замкнутом пространстве Партнер должен контролировать состояние воздуха в рабочей зоне с помощью контрольно- измерительных приборов, с соответствующей записью в наряде- допуске. Если концентрация кислорода по итогам измерений ниже 19% или выше 22%, или если имеются любые другие изменения состояния атмосферы, которые рассматриваются как представляющие непосредственную угрозу для жизни или здоровья, работники Xxxxxxxx не должны допускаться к работе.
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Air Quality Control. 1. The Contractor shall comply with all applicable standards, orders, and requirements issued under the Clean Air Act (42 U.S.C. § 7401 et seq.); all applicable standards of the State of California; and all clarifications, mitigation measures, and any other requirements approved by LACMTA in accordance with state and federal laws. 2. The Contractor shall comply with all rules, regulations, and ordinances of the South Coast Air Quality Management District (SCAQMD) and statutes of the State that apply to any Services performed pursuant to the Contract, including any air quality control rules, regulations, ordinances, and statutes specified in § 11017 of the California Government Code. Contractor, Subcontractors, and Suppliers shall submit evidence to LACMTA that the governing air quality control criteria are being met; such evidence will be retained by LACMTA. 3. In the absence of applicable air quality control rules, regulations, ordinances, or statutes governing solvents, including, but not limited to, the solvent portions of paints, thinners, curing compounds, and liquid asphalt used on the Contract, the Contractor shall comply with the applicable material requirements of the SCAQMD. Containers of paints, thinner, curing compound, or liquid asphalt shall be labeled to indicate that the contents fully comply with said requirements. 4. The Contractor shall comply with California state law regarding pollution controls in purchasing new motor vehicles with Project funds. 5. Material to be disposed of shall not be burned.
Air Quality Control. 12.1. For work performed in the State of Arizona, the Subcontractor agrees to comply fully, at its own expense, with all County Air Pollution Control Regulations and Rules. Subcontractor agrees to indemnify, defend and hold harmless SDB, Architect, Engineer, Owner, and any lender of the Project (as an intended third party beneficiary) from and against all fines, claims, liabilities, losses, expenses, suits, actions, damages, attorney fees, and costs arising by reason of failure of Subcontractor to comply with County Air Pollution Control Regulations and Rules. Subcontractor’s obligation of indemnity under this Article shall be deemed a separate and distinct obligation that is not subject to any insurance limits, remedy limitations, or contract damage limitation. Subcontractor’s obligation of indemnity under this Article shall apply whether or not the claim or liability arises out of, in whole or in part, the joint, comparative, or contributory acts, or omissions of a Subcontractor or its employees or any of the Subcontractor’s subcontractors, suppliers, manufacturers, or other persons or entities for whose acts or omissions the Subcontractor is responsible or liable. 12.2. For work performed outside the State of Arizona, the Subcontractor agrees to comply fully, at its own expense, with all applicable Federal, State, County, and Local air pollution Control Regulations and Rules. Subcontractor agrees to indemnify, defend and hold harmless SDB, Architect, Engineer, Owner, and any lender of the Project (as an intended third party beneficiary) from and against all fines, claims, liabilities, losses, expenses, suits, actions, damages, attorney fees, and costs arising by reason of failure of Subcontractor to comply with such Air Pollution Control Regulations and Rules. Subcontractor’s obligation of indemnity under this Article shall be deemed a separate and distinct obligation that is not subject to any insurance limits, remedy limitations, or contract damage limitation. Subcontractor’s obligation of indemnity under this Article shall apply whether or not the claim or liability arises out of, in whole or in part, the joint, comparative, or contributory acts, or omissions of a Subcontractor or its employees or any of the Subcontractor’s subcontractors, suppliers, manufacturers, or other persons or entities for whose acts or omissions the Subcontractor is responsible or liable.
Air Quality Control a All dump trucks entering or leaving the Project Site should be provided with mechanical covers in good service condition; and b Ultra -low-sulphur diesel (ULSD) should be used for all construction plant on site. To ensure air quality standards compliance with relevant statutory requirements Project Site / During construction Contractor ✓ ETWC TC No 19/2005 4.7.1 EM&A Requirements Regular site audits (at a frequency of not less than once every two weeks) are To ensure that appropriate dust control measures are Project Site / During construction ET and Contractor ✓ Air Pollution Control recommended. implemented and good site (Construction practices are adopted Dust) Regulations 4.7.1 3.0-3.7 Implementation of a construction dust To ensure compliance with ASRs A4 (No. 101 ET and ✓ Air Pollution monitoring in every six days the relevant criterion during Lung Mei Tsuen) and Contractor Control the construction works. A6 (No. 79 Lo Tsz Tin (Construction tsuen) / during Dust) construction Regulations 5.4.2 (Table 5.7) The maximum allowable SWLs presented in Table 5.7 of the EIA Report should be included in the tender specification to ensure the assumptions for the operational noise impact assessment remain valid. The suppliers of equipment should guarantee the specified SWLs, with the characteristics of tonality, impulsiveness and intermittency accounted for, by providing certificate of measurement and verify the SWL during testing and commissioning in accordance with international standard procedures. If necessary, the suppliers should apply attenuation measures (eg use of silencers) to achieve the guaranteed noise levels during the detailed design stage. To reduce the operational noise impact. Project Site / During design CEDD/LCSD ✓ Noise Control Ordinance (NCO) and Annex 5 of the EIAO-TM Des C O Dec

Related to Air Quality Control

  • Air Quality To the extent applicable, Consultant must fully comply with all applicable laws, rules and regulations in furnishing or using equipment and/or providing services, including, but not limited to, emissions limits and permitting requirements imposed by the South Coast Air Quality Management District (SCAQMD) and/or California Air Resources Board (CARB). Although the SCAQMD and CARB limits and requirements are more broad, Consultant shall specifically be aware of their application to "portable equipment", which definition is considered by SCAQMD and CARB to include any item of equipment with a fuel-powered engine. Consultant shall indemnify City against any fines or penalties imposed by SCAQMD, CARB, or any other governmental or regulatory agency for violations of applicable laws, rules and/or regulations by Consultant, its subconsultants, or others for whom Consultant is responsible under its indemnity obligations provided for in this Agreement.

  • Quality Control A. Controlled Affiliate agrees to use the Licensed Marks and Name only in connection with the licensed services and further agrees to be bound by the conditions regarding quality control shown in attached Exhibit A as they may be amended by BCBSA from time-to-time. B. Controlled Affiliate agrees to comply with all applicable federal, state and local laws. C. Controlled Affiliate agrees that it will provide on an annual basis (or more often if reasonably required by Plan or by BCBSA) a report or reports to Plan and BCBSA demonstrating Controlled Affiliate’s compliance with the requirements of this Agreement including but not limited to the quality control provisions of this paragraph and the attached Exhibit A. D. Controlled Affiliate agrees that Plan and/or BCBSA may, from time-to-time, upon reasonable notice, review and inspect the manner and method of Controlled Affiliate’s rendering of service and use of the Licensed Marks and Name. E. As used herein, a Controlled Affiliate is defined as an entity organized and operated in such a manner, that it meets the following requirements: (1) A Plan or Plans authorized to use the Licensed Marks in the Service Area of the Controlled Affiliate pursuant to separate License Agreement(s) with BCBSA, other than such Controlled Affiliate’s License Agreement(s), (the “Controlling Plan(s)”), must have the legal authority directly or indirectly through wholly-owned subsidiaries to select members of the Controlled Affiliate’s governing body having not less than 50% voting control thereof and to: (a) prevent any change in the articles of incorporation, bylaws or other establishing or governing documents of the Controlled Affiliate with which the Controlling Plan(s) do(es) not concur; (b) exercise control over the policy and operations of the Controlled Affiliate at least equal to that exercised by persons or entities (jointly or individually) other than the Controlling Plan(s); and Notwithstanding anything to the contrary in (a) through (b) hereof, the Controlled Affiliate’s establishing or governing documents must also require written approval by the Controlling Plan(s) before the Controlled Affiliate can: (i) change its legal and/or trade names; (ii) change the geographic area in which it operates; (iii) change any of the type(s) of businesses in which it engages; (iv) create, or become liable for by way of guarantee, any indebtedness, other than indebtedness arising in the ordinary course of business; (v) sell any assets, except for sales in the ordinary course of business or sales of equipment no longer useful or being replaced; (vi) make any loans or advances except in the ordinary course of business; (vii) enter into any arrangement or agreement with any party directly or indirectly affiliated with any of the owners or persons or entities with the authority to select or appoint members or board members of the Controlled Affiliate, other than the Plan or Plans (excluding owners of stock holdings of under 5% in a publicly traded Controlled Affiliate); (viii) conduct any business other than under the Licensed Marks and Name; (ix) take any action that any Controlling Plan or BCBSA reasonably believes will adversely affect the Licensed Marks and Name. In addition, a Plan or Plans directly or indirectly through wholly owned subsidiaries shall own at least 50% of any for-profit Controlled Affiliate. (2) A Plan or Plans authorized to use the Licensed Marks in the Service Area of the Controlled Affiliate pursuant to separate License Agreement(s) with BCBSA, other than such Controlled Affiliate’s License Agreement(s), (the “Controlling Plan(s)”), have the legal authority directly or indirectly through wholly-owned subsidiaries to select members of the Controlled Affiliate’s governing body having more than 50% voting control thereof and to: (a) prevent any change in the articles of incorporation, bylaws or other establishing or governing documents of the Controlled Affiliate with which the Controlling Plan(s) do(es) not concur; (b) exercise control over the policy and operations of the Controlled Affiliate. In addition, a Plan or Plans directly or indirectly through wholly-owned subsidiaries shall own more than 50% of any for-profit Controlled Affiliate.

  • Use; Quality Control a. Neither party may alter the other party’s trademarks from the form provided and must comply with removal requests as to specific uses of its trademarks or logos. b. Each party agrees to use, and to cause its Permitted Sublicensees to use, the other party’s trademarks only in good faith and in a dignified manner consistent with such party’s use of the trademarks. Upon written notice to the breaching party, the breaching party has 30 days of the date of the written notice to cure the breach or the license will be terminated.

  • Quality Assurance/Quality Control Contractor shall establish and maintain a quality assurance/quality control program which shall include procedures for continuous control of all construction and comprehensive inspection and testing of all items of Work, including any Work performed by Subcontractors, so as to ensure complete conformance to the Contract with respect to materials, workmanship, construction, finish, functional performance, and identification. The program established by Contractor shall comply with any quality assurance/quality control requirements incorporated in the Contract.

  • Water Quality 8.1. The Supply shall comply with the quality standards imposed by the Act and the Water Quality Regulations, PROVIDED ALWAYS that where a particular standard is the subject of a legal instrument accepted or issued by the Secretary of State or the Chief Inspector of Drinking Water under the provisions of the Act or the Water Quality Regulations, compliance with the terms of the relevant legal instrument shall be deemed to be compliance with the relevant quality standard imposed by the Act or the Water Quality Regulations (as the case may be), in which case the Water Company shall provide the New Appointee with a certified copy of any such authorised departure or undertaking. Each party undertakes to keep the other party fully informed of any discussions which take place at any time hereafter with the Secretary of State for the proposed issue of a legal instrument and of the outcome thereof. 8.2. The Water Company shall act as a reasonable and prudent operator to ensure that the Water Company’s Distribution Network does not cause any contamination of the water in the New Appointee’s Water Distribution Network including suspending the Bulk Supply and, in any event, shall: 8.2.1. notify the New Appointee of the existence and cause (if known) of any contamination that it considers (acting as a reasonable and prudent operator) could affect the New Appointee’s Water Distribution Network as soon as practicable after the same have come to the Water Company’s attention; and 8.2.2. keep the New Appointee notified of the steps being taken to remedy the contamination. 8.3. Without prejudice to clause 8.1, the Water Company reserves the right to supply water of a different nature and composition or with different characteristics from that previously supplied where this results from the characteristics of the source or sources from which the Supply is taken, or the Water Company’s Distribution Network, beyond the reasonable control of the Water Company or if, in the due discharge of its statutory duty to supply water, it considers it necessary or desirable to do so acting reasonably and in good faith. 8.4. In addition, both parties agree to be bound by the provisions of the Water Quality Protocol or such modified version of such Water Quality Protocol as may from time to time be agreed in writing by the parties.

  • Power Quality Neither the facilities of Developer nor the facilities of Connecting Transmission Owner shall cause excessive voltage flicker nor introduce excessive distortion to the sinusoidal voltage or current waves as defined by ANSI Standard C84.1-1989, in accordance with IEEE Standard 519, or any applicable superseding electric industry standard. In the event of a conflict between ANSI Standard C84.1-1989, or any applicable superseding electric industry standard, ANSI Standard C84.1-1989, or the applicable superseding electric industry standard, shall control.

  • Pollution Control The Employer and the Union agree to limit all forms of environmental pollution.

  • Quality control system (i) The Contractor shall establish a quality control mechanism to ensure compliance with the provisions of this Agreement (the “Quality Assurance Plan” or “QAP”). (ii) The Contractor shall, within 30 (thirty) days of the Appointed Date, submit to the Authority’s Engineer its Quality Assurance Plan which shall include the following: (a) organisation, duties and responsibilities, procedures, inspections and documentation; (b) quality control mechanism including sampling and testing of Materials, test frequencies, standards, acceptance criteria, testing facilities, reporting, recording and interpretation of test results, approvals, check list for site activities, and proforma for testing and calibration in accordance with the Specifications for Road and Bridge Works issued by MORTH, relevant IRC specifications and Good Industry Practice; and (c) internal quality audit system. The Authority’s Engineer shall convey its approval to the Contractor within a period of 21 (twenty-one) days of receipt of the QAP stating the modifications, if any, required, and the Contractor shall incorporate those in the QAP to the extent required for conforming with the provisions of this Clause 11.2. (iii) The Contractor shall procure all documents, apparatus and instruments, fuel, consumables, water, electricity, labour, Materials, samples, and qualified personnel as are necessary for examining and testing the Project Assets and workmanship in accordance with the Quality Assurance Plan. (iv) The cost of testing of Construction, Materials and workmanship under this Article 11 shall be borne by the Contractor.

  • Quality Control Program Engineer shall have a quality control program in place that ensures that all deliverable work is of high quality. Engineer shall submit a plan detailing its program to the Inspection Branch of the TxDOT Bridge Division for review and approval prior to beginning work. State may review or audit the programs.

  • Erosion Prevention and Control Purchaser’s Operations shall be conducted reasonably to minimize soil erosion. Equipment shall not be operated when ground conditions are such that excessive damage will result. Purchaser shall adjust the kinds and intensity of erosion control work done to ground and weather condi- tions and the need for controlling runoff. Erosion control work shall be kept current immediately preceding ex- pected seasonal periods of precipitation or runoff.

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