ANNUAL SOURCE TESTING AND REPORTING Sample Clauses

ANNUAL SOURCE TESTING AND REPORTING. (UPON COUNTY REQUEST) (Prima Deshecha and Coyote Canyon Landfills Only) The Contractor shall assist the County in writing specifications for the annual emissions tests required by SCAQMD. The County will arrange for a different vendor to perform source testing. The Contractor shall review and comment on the test protocols submitted by the source test vendor and obtain approval from the SCAQMD on behalf of the County. On behalf of the County, the Contractor shall manage and monitor the source test, check the test results, submit test results to the County for submittal to the SCAQMD, and answer any questions from the SCAQMD. All the work performed shall be compensated on a time and materials basis according to the labor rate sheet provided by the Contractor for all personnel assigned to this project. The Contractor shall be responsible for ensuring that the testing is in accordance with the required protocol of SCAQMD and the systems are ready for the source testing. If the source tests have to be repeated because of lack of maintenance of the systems, the Contractor will conduct a second source test at its own expense. Any work for this task will be performed under a non-routine Work Order. Flare stack emissions source testing shall be performed every 4,000 operating hours or on an annual basis at the Prima Deshecha and Coyote Canyon Landfills. At Coyote, flare stacks shall be source tested as needed for continuous operations during each calendar year. Source testing shall comply with the landfill's specific flare station or blower facility permit to operate. The Contractor shall prepare source testing protocols in accordance with previously established and SCAQMD approved methodologies. Contractor will tune each flare to its optimum operating condition prior to performing official source tests. After the laboratory results are obtained, and within 45 days of completion of on-site sampling, the Contractor shall prepare and submit a draft source test report to the County for review. The report will include all pertinent and necessary data to meet SCAQMD approval, including, but not limited to, an executive summary, a separate discussion of each test performed, summary tables of field measurements and laboratory analytical results, instrument calibration logs, and description of sampling points. The Contractor is responsible for making every effort to meet emission compliance limits. The County will not provide additional funding for required re-testing.
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Related to ANNUAL SOURCE TESTING AND REPORTING

  • Diverse Spend Reporting If the total value of the Contract may exceed $500,000, including all extension options, Contractor must track and report, on a quarterly basis, the amount paid to diverse businesses both: 1) directly to subcontractors performing under the Contract, and 2) indirectly to diverse businesses that provide supplies/services to your company (in proportion to the revenue from this Contract compared to Contractor’s overall revenue). When this applies, Contractor will register in a free portal to help report the Tier 2 diverse spend, and the requirement continues as long as the Contract is in effect.

  • PERFORMANCE MONITORING AND REPORTING Performance indicators

  • Monitoring and Reporting 3.1 The Contractor shall provide workforce monitoring data as detailed in paragraph 3.2 of this Schedule 8. A template for data collected in paragraphs 3.2, 3.3 and 3.4 will be provided by the Authority. Completed templates for the Contractor and each Sub-contractor will be submitted by the Contractor with the Diversity and Equality Delivery Plan within six (6) Months of the Commencement Date and annually thereafter. Contractors are required to provide workforce monitoring data for the workforce involved in delivery of the Contract. Data relating to the wider Contractor workforce and wider Sub-contractors workforce would however be well received by the Authority. Contractors and any Sub-contractors are required to submit percentage figures only in response to paragraphs 3.2(a), 3.2(b) and 3.2(c).

  • Drug and Alcohol Testing – Safety-Sensitive Functions A. Employees required to have a Commercial Driver’s License (CDL) are subject to pre-employment, post-accident, random and reasonable suspicion testing in accordance with the U.S. Department of Transportation rules, Coast Guard Regulations (46 CFR Part 16) or the Federal Omnibus Transportation Employee Testing Act of 1991. The testing will be conducted in accordance with current Employer policy.

  • Safeguards Monitoring and Reporting 8. The Borrower shall do the following or cause the Project Executing Agency to do the following:

  • Funding, Services and Reporting The HSP represents warrants and covenants that

  • Incident Reporting and Client Risk Prevention An incident report shall be created and maintained at the AGENCY for the following: in the event the AGENCY’S staff or subcontractor becomes aware of an occurrence of any incident of injury to a client receiving program services through the COUNTY, requiring medical treatment by a licensed physician; any lawsuit entered into or against the AGENCY, all allegations of any kind of abuse, neglect, or exploitation of the AGENCY’S clients with the exception of those AGENCIES whose primary function is working with those that have been abused, neglected or exploited unless the allegation is against an AGENCY staff member; media coverage relating to the media expressing an interest in a case or issue concerning a client of the AGENCY or an employee on the AGENCY premises, a fire, hostage situation, bomb threat, epidemic or any circumstance which may impact the service provision. All occurrences shall be verbally communicated directly to COUNTY staff no later than 10:00 a.m. the following business day via telephone to the COUNTY. All incident reports shall be made available to the COUNTY upon request and maintained at the AGENCY. These reporting requirements shall in no way supersede the requirements for notification of allegations of abuse/neglect/exploitations to the State of Florida Abuse Hotline, as mandated in Chapter(s) 39 and 415, Florida Statutes.

  • Record Keeping and Reporting 15.01 The Accredited Entity shall ensure that:

  • GOVERNANCE AND REPORTING Measure 3a Is the school complying with governance requirements? Meets Standard: The school materially complies with applicable laws, rules, regulations and provisions of the charter contract relating to governance by its board, including but not limited to: • Governing board composition and membership requirements pursuant to Ch. 302D, HRS • Governing board policies • Governing board reporting requirements • Procurement policies • State Ethics Code (Ch. 84, HRS), including conflict of interest policy Measure 3b Is the school holding management accountable? Meets Standard: The school materially complies with applicable laws, rules, regulations and provisions of the charter contract relating to oversight of school management, including but not limited to: • (For Education Service Providers [ESPs]) maintaining authority over management, holding it accountable for performance as agreed under a written performance agreement and requiring annual financial reports of the ESP • (For Others) oversight of management that includes holding it accountable for performance expectations that may or may not be agreed to under a written performance agreement Measure 3c Is the school complying with data and reporting requirements? Meets Standard: The school materially complies with applicable laws, rules, regulations and provisions of the charter contract relating to relevant reporting requirements to the State Public Charter School Commission, State Department of Education as the State Education Agency (SEA) and sole Local Education Agency (LEA) and/or federal authorities, including but not limited to: • Compliance with minimum educational data reporting standards established by the BOE • Maintaining and reporting accurate enrollment and attendance data • Maintaining and reporting accurate personnel data • Annual reporting and immediate notice requirements • Additional information requested by the State Public Charter School Commission

  • Research Use Reporting To assure adherence to NIH GDS Policy, the PI agrees to provide annual Progress Updates as part of the annual Project Renewal or Project Close-out processes, prior to the expiration of the one (1) year data access period. The PI who is seeking Renewal or Close-out of a project agree to complete the appropriate online forms and provide specific information such as how the data have been used, including publications or presentations that resulted from the use of the requested dataset(s), a summary of any plans for future research use (if the PI is seeking renewal), any violations of the terms of access described within this Agreement and the implemented remediation, and information on any downstream intellectual property generated from the data. The PI also may include general comments regarding suggestions for improving the data access process in general. Information provided in the progress updates helps NIH evaluate program activities and may be considered by the NIH GDS governance committees as part of NIH’s effort to provide ongoing stewardship of data sharing activities subject to the NIH GDS Policy.

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