Approval of the Annual Budget Sample Clauses

Approval of the Annual Budget. In preparing the Annual Budget or any amendments thereto, MMWEC shall estimate annual Monthly Power Costs, and in the case of Operating Costs by account and component as set forth in Exhibit B, for the Agreement Year or remainder of an Agreement Year, as the case may be, and provide, in the case of the Annual Budget, the Annual Budget to the MMWEC Board of Directors for its approval forty-five (45) days prior to the commencement of the Agreement Year. Any Annual Budget or amended Annual Budget shall be provided to the MMWEC Board of Directors for its approval. Any Annual Budget or any amended Annual Budget approved by the MMWEC Board of Directors shall be sent to the Participants either by mail or electronic means.
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Approval of the Annual Budget. The Center budget shall be used 3 exclusively for the benefit of the Center services and operations and may not be transferred or 4 commingled with other budgets under the Sheriff. The budget shall be prepared by the 5 Sheriff in the standard County budget format for Constitutional Officers (Personal Services, 9 Combined Communications Center to the County Commission with a copy to the City 10 Commission. If a ny corrections or adjustments are made to the Sheriffs requested budget, 11 the County shall provide the City with a copy of the requested budget as corrected. 12 If the Sheriffs requested Combined Communications Center budget percentage 13 increase exceeds three (3) percent, or the Consumer Price Index increase (Consumer Price 14 Index for Urban Consumers as published by the United States Department of Commerce, 15 Bureau of Labor Statistics or successor index), whichever is higher, for the preceding calendar 16 year, approval of the budget by the City Commission shall be required.
Approval of the Annual Budget. 1. The Center budget shall be used exclusively for the benefit of the Center services and operations and may not be transferred or commingled with other budgets under the Sheriff. The budget shall be prepared by the Sheriff in the standard County budget format for Constitutional Officers (Personnel Services, Operating, and Capital Outlay categories). 2. The Sheriff shall annually present the budget request for the operation of the Combined Communications Center to the County Commission with a copy to the City Commission. If any corrections or adjustments are made to the Sheriff’s requested budget, the County shall provide the City with a copy of the requested budget as corrected. 3. If the Sheriff’s requested Combined Communications Center budget percentage increase exceeds three (3) percent, or the Consumer Price Index increase (Consumer Price Index for Urban Consumers as published by the United States Department of Commerce, Bureau of Labor Statistics or successor index), whichever is higher, for the preceding calendar year, approval of the budget by the City Commission shall be required. 4. Any Combined Communications Center expenses that are accounted for in the Board’s budget rather than the Sheriff’s budget shall be submitted to the City for approval along with the Sheriff’s budget. 5. If the City Commission does not approve the Combined Communications Center budget, the two Commissions shall schedule a joint meeting to resolve the budget issue. If the two Commissions cannot agree at the meeting on the proposed budget, the issue shall be submitted to the arbitration process described in Exhibit A. 6. Any budget amendments that increase the overall budget for the Center shall be approved in advance by the City Commission and County Commission. 7. County agrees to pay its share of the annual operating costs of the Combined Communications Center by paying for communication services provided to public safety activities out of the same fund that is used to pay for the public safety activity receiving the communication service. An illustration of this funding mechanism is attached as Exhibit C. County agrees to expend funds and countywide revenues in a manner that does not violate Florida law.

Related to Approval of the Annual Budget

  • Annual Budget Prior to the Closing Date, Borrower has submitted and Lender has approved an Annual Budget for the 2014 calendar year (the “Approved Initial Budget”). Borrower shall submit to Lender by November 1 of each year the Annual Budget relating to the Properties for the succeeding calendar year. During the continuance of a Cash Sweep Period, Lender shall have the right to approve each Annual Budget (which approval shall not be unreasonably, conditioned or delayed withheld so long as no Event of Default is continuing). An Annual Budget approved by Lender during a Cash Sweep Period or any Annual Budget submitted prior to the commencement of a Cash Sweep Period, shall each hereinafter be referred to as an “Approved Annual Budget”. In the event of a Transfer of any Property the Approved Annual Budget shall be reduced as reasonably determined by Lender in consultation with Borrower in order to reflect the removal of such Property and the Operating Expenses associated therewith; provided, further, that no such reduction shall be made in the event such Transfer is made in connection with a substitution under Section 2.4.2(a). If Lender has the right to approve an Annual Budget pursuant to this Section 4.3.2, neither Borrower nor Manager shall change or modify the Annual Budget that has been approved by Lender without the prior written consent of Lender (which consent shall not be unreasonably withheld, conditioned or delayed so long as no Event of Default is continuing). The “Monthly Budgeted Amount” for each Payment Date shall mean the monthly amount set forth in the Approved Annual Budget for Operating Expenses for the Interest Period related to such Payment Date, but excluding management fees, Property Taxes that are required to be deposited into the Tax Subaccount pursuant to Section 6.1 and Insurance Premiums that are required to be deposited into the Insurance Subaccount pursuant to Section 6.2. If during any Cash Sweep Period, Borrower has submitted an Annual Budget and such Annual Budget has not been approved prior to the commencement of the calendar year to which such budget relates then the previous Approved Annual Budget shall continue to be deemed to be the Approved Annual Budget for that calendar year.

  • Payments and Completion Payments may be withheld because of (1) defective work not remedied; (2) failure of contractor to make proper payments to subcontractors, workers, or suppliers; (3) persistent failure to carry out work in acceptance with this Agreement or these general conditions, or (4) legal claims. Final payment will be due after complete release of any and all liens arising out of the contract or submission of receipts or other evidence of payment covering all subcontractors or suppliers who could file such a lien. The contractor agrees to indemnify the Owner against such liens and will refund all monies including costs and reasonable attorney’s fees paid by the owner in discharging the liens. A 10 percent holdback is required by the lender to assure the work has been properly completed and there are no liens against the property.

  • Annual Budgets The School shall adopt a budget for each fiscal year, prior to the beginning of the fiscal year. The budget shall be in the Idaho Financial Accounting Reporting Management Systems (IFARMS) format and any other format as may be reasonably requested by the Authorizer.

  • Capital Budget Any amendment that is mutually agreed upon shall be set forth in writing and signed by both parties. It is acknowledged by Owner that capital expenditures required as a result of an emergency situation shall not reduce amounts available pursuant to the Capital Budget or otherwise hereunder, other than to the extent a Capital Budget item is subsumed within the capital expenditures required as a result of the occurrence of the emergency;

  • Annual Work Plans and Budgets The Recipient shall furnish to the Association as soon as available, but in any case not later than September 1 of each year, the annual work plan and budget for the Project for each subsequent year of Project implementation, of such scope and detail as the Association shall have reasonably requested, except for the annual work plan and budget for the Project for the first year of Project implementation, which shall be furnished no later than one (1) month after the Effective Date.

  • OFFICE OF MANAGEMENT AND BUDGET (OMB) AUDIT REQUIREMENTS The parties shall comply with the requirements of the Single Audit Act of 1984, P.L. 98-502, ensuring that the single audit report includes the coverage stipulated in 2 CFR 200.

  • Consent and Approval Such Party has sought or obtained, or, in accordance with this Agreement will seek or obtain, each consent, approval, authorization, order, or acceptance by any Governmental Authority in connection with the execution, delivery and performance of this Agreement, and it will provide to any Governmental Authority notice of any actions under this Agreement that are required by Applicable Laws and Regulations.

  • Approved Budget (a) On the last Thursday of each month after the Second Amendment Effective Time, on or before 12:00 pm (New York City time) on such Thursday, Administrative Borrower shall prepare and deliver to the Administrative Agent, for review and approval by the Required DDTL Approving Lenders, an updated week-by-week operating budget for the then subsequent month (each a “Budget” and, once approved as set forth below, the “Approved Budget”), which shall reflect Administrative Borrower’s good faith projection, for the Borrowers and their respective Restricted Subsidiaries, of (a) all weekly receipts (including from asset sales) and expenditures (including ordinary course operating expenses and any other fees and expenses related to the Loan Documents) in connection with the operation of their businesses, (b) weekly disbursements, and (c) net cash flow, in each case, for such month. The Budget delivered during the week of March 4, 2024 shall be the Approved Budget for March 2024. Together with delivery of the Budget, Administrative Borrower shall provide the Administrative Agent (for subsequent delivery to the Lenders) a variance report (“Variance Report”) in a form and substance reasonably acceptable to the Required DDTL Approving Lenders, comparing the actual receipts, disbursements, and net cash flow for such month through the immediately preceding week compared to the Approved Budget, both in dollar ($) and percentage (%) figures and an explanation of the variance. Each week promptly after the delivery of the Variance Report, the Borrower’s senior management and financial professionals shall review the Variance Report in detail during a telephonic conference with the Lenders. If the proposed Budget was timely delivered and contains the requisite information, the Lenders shall have until 2:00 p.m. (New York City Time) on the first Business Day of the following week to review any Budget after which time such Budget shall become an Approved Budget for all purposes hereunder; provided, no such Budget shall become an Approved Budget if reasonably objected to in writing (which may include e-mail) during the review period by the Administrative Agent (at the direction of the Required DDTL Approving Lenders) or Required DDTL Approving Lenders. (b) In the event that an event or circumstance occurs in between the monthly dates on which the Budgets are otherwise due pursuant to Section 6.24(a) which would make the then current Budget materially inaccurate, within two (2) Business Days of becoming aware of such event or circumstance, the Administrative Borrower shall provide notice of such event or circumstance to the Administrative Agent and the Lenders and promptly deliver a revised Budget reflecting the impact thereof. Without limiting the foregoing, the Budget shall be updated, modified or supplemented by the Administrative Borrower with the written consent of the Administrative Agent (at the direction of the Required DDTL Approving Lenders), and upon the request of the Administrative Agent (at the direction of the Required DDTL Approving Lenders) from time to time. (c) Each Budget delivered to the Administrative Agent and the Lenders shall be accompanied by such supporting documentation as reasonably requested by the Administrative Agent (at the direction of the Required DDTL Approving Lenders) and shall be prepared in good faith, with due care and based upon assumptions the Borrower believe to be reasonable. (d) Within one (1) Business Day of any Loan Party having knowledge of their occurrence or existence, Administrative Borrower shall provide the Administrative Agent and Lenders with written notice of any event or condition which is reasonably likely to entail expenditures of more than $100,000 which is not included in the Approved Budget (including, but not limited, on account of an accident, environmental event or other unanticipated occurrence) or which would otherwise be reasonably likely to have a negative impact on the value of the Loan Parties’ and their Subsidiaries’ assets or future business prospects or a similar event.

  • Approval This Agreement shall not be binding until it has been approved by the Committee during a duly noticed Committee meeting.

  • Budget Consulting Engineer/Architect shall advise City if, in its opinion, the amount budgeted for construction is not sufficient to adequately design and construct the improvement as requested.

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