Claims Reconciliation. (i) The Debtors shall undertake reasonable good faith efforts to address and reconcile, to the extent practicable, the Trade Committee Members’ Operating Company Trade Claims as soon as reasonably possible under the circumstances. In the event that, notwithstanding such good faith efforts, a Trade Committee Member’s Operating Company Trade Claims have not been resolved prior to the Effective Date, the Reorganized Debtors and the Plan Administrator, as applicable, shall be obligated to undertake the same efforts as the Debtors were obliged (before the Effective Date). The Trade Committee shall have the right to seek Bankruptcy Court enforcement of the obligations of the Debtors, Reorganized Debtors and the Plan Administrator in this Paragraph 7 and to have its reasonable fees and expenses incurred in doing so reimbursed.
(ii) Prior to Bankruptcy Court approval of this Agreement, the Trade Committee shall have the right to monitor and review the projected amount of (and, if necessary, challenge) Administrative Expense Claims, Fee Claims, Priority Tax Claims, DIP Lender Claims, Other Priority Claims, Secured Tax Claims and Other Secured Claims, and Bank Claims to ensure the Debtors have adequate Cash to pay the amount set forth in Paragraph 3 in Cash, subject to the limited exceptions set forth therein.
Claims Reconciliation. The CONTRACTOR must submit a claims invoice reconciliation report each month for the prior month. The report will reconcile the weekly claims invoice into a monthly report that will match the claims data reported each month to the DEPARTMENT. The weekly claims invoice must show claims by the benefit period in which they were incurred.
Claims Reconciliation. To coordinate an effi- cient and transparent claims process.
(i) Maximize value of assets/recoveries – To co- operate in marshalling the assets of the Company in order to maximize value of assets/recovery for all of the Company’s creditors.
(j) Comity – To maintain the independent juris- diction, sovereignty, and authority of NCLT, NCLAT and Dutch Bankruptcy Court.
Claims Reconciliation. Year-end claims reconciliation conducted by Xxxxxxx with CMS for RDS claims. Aggregate cost and rebate reconciliation information (including actual rebate amount attributable to the gross drug costs for subsidy reimbursement) will be provided to CMS. These services include complete reconciliation of this data with CMS.
Claims Reconciliation. MJC will reconcile all claims and will promptly use its best efforts to investigate, correct, and pursue claims rejected by the IME.