Clearing site Sample Clauses

Clearing site. The description of clearing site shall be deemed to include clearing and removing from the site of all loose debris and rubbish, bushes, scrub, undergrowth, vegetation and small trees (i.e. not exceeding 600 mm girth), and grubbing up their roots.
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Clearing site. 2.1 The area proposed for lining, as a whole shall be cleared of all objectionable material. Any waste materials obtained from such site clearance shall be disposed off in a manner directed by the Engineer- in-charge. The cost of this operation shall be deemed to have been covered under the rated quoted for canal lining.
Clearing site. The site on which the structure is to be built as shown on the plan and the area required for setting out and other operations should be cleared and all obstructions, loose stones, materials and rubbish of all kinds, stumps, brush wood and trees removed as directed, roots being entirely grubbed up. The materials obtained will be the property of the Government and materials pronounced useful by the Engineer will be conveyed and properly stacked as directed. Useless materials shall be disposed off the site as directed by the Engineers.
Clearing site. THE FOLLOWING IS ADDED: Clearing site includes removal and disposal of all items, materials, debris, trees, vegetation growth, etc. required to properly perform the work specified under this Contract and not so identified for removal in other parts of these specifications. Clearing site will also include the complete removal restoration of area of all trees within 10 feet of the structure and approach roadways that are designated by the RE to be removed. The structure under this subsection is defined as all bridge components, such as superstructure, substructure, including wingwalls, beam guide rails, lighting, sign supports, etc. Clearing site shall also include the cleanup and restoration of any yard location chosen by the Contractor for staging of equipment and materials.
Clearing site. During performance of the work under this Agreement and upon termination or completion thereof, Contractor shall remove all debris and waste materials and keep and leave the site of the work in a condition satisfactory to INEOS KOH. If INEOS KOH desires Contractor to use INEOS KOH’s disposal sites or methods, Contractor’s obligation concludes upon disposition of such debris and waste materials in accordance with INEOS KOH’s directive.
Clearing site. THE FOLLOWING IS ADDED: Remove trees and branches within 15 feet of the end of JCP&L pole cross arms. If the resulting tree is rendered hazardous, then remove the entire tree according to SECTION 802.
Clearing site. CLEARING SITE
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Clearing site. Preliminary work are required to be done before laying of pipes including pegging out, clearing and disposal of shrubs, grasses, bushes, xxxxxx, boulders, debris from the route. This shall also include the removal of stumps, etc. or parts thereof lying along the alignment of pipe. The Contractor should inform the Engineer in charge before removing shrubs, grasses, etc. well in advance. The alignment of the mains shall be so fixed as to avoid cutting of any trees.

Related to Clearing site

  • Establishment of and Deposits to Custodial Account The Servicer shall segregate and hold all funds collected and received pursuant to the Mortgage Loans separate and apart from any of its own funds and general assets and shall establish and maintain one or more Custodial Accounts, in the form of time deposit or demand accounts, titled "[Servicer] in trust for [Owner], owner of Fixed and Adjustable Rate Mortgage Loans, and various Mortgagors" (provided, in the event that this Agreement is assigned to a third party, the Custodial Account(s) shall be reestablished in trust for such Assignee). The Custodial Account shall be established with a Qualified Depository acceptable to the Owner. Any funds deposited in the Custodial Account shall at all times be fully insured to the full extent permitted under applicable law. Funds deposited in the Custodial Account may be drawn on by the Servicer in accordance with Section 3.05. The creation of any Custodial Account shall be evidenced by a letter agreement in the form of Exhibit C hereto. A copy of such letter agreement shall be furnished to the Owner and, upon request, to any subsequent owner of the Mortgage Loans. The Servicer shall deposit in the Custodial Account within 48 hours of receipt, and retain therein, the following collections received by the Servicer and payments made by the Servicer after the related Closing Date, other than payments of principal and interest due on or before the Cut-off Date, or received by the Servicer prior to the Cut-off Date but allocable to a period subsequent thereto: (i) all payments on account of principal on the Mortgage Loans, including all Principal Prepayments; (ii) any amounts received from the Originator in connection with the repurchase of any Mortgage Loan; (iii) all payments on account of interest on the Mortgage Loans adjusted to the Mortgage Loan Remittance Rate; (iv) all Liquidation Proceeds; (v) all Insurance Proceeds including amounts required to be deposited pursuant to Section 3.12 (other than proceeds to be held in the Escrow Account and applied to the restoration and repair of the Mortgaged Property or released to the Mortgagor in accordance with Section 3.17) and Section 3.17; (vi) all Condemnation Proceeds that are not applied to the restoration or repair of the Mortgaged Property or released to the Mortgagor; (vii) any amount required to be deposited in the Custodial Account pursuant to Sections 3.01, 3.10, 4.03, 5.01 or 5.02; (viii) with respect to each Principal Prepayment in full or in part, the Prepayment Interest Shortfall Amount, if any, for the month of distribution. Such deposit shall be made from the Servicer's own funds, without reimbursement therefor up to a maximum amount per month of the Servicing Fee actually received for such month for the Mortgage Loans; and (ix) any amounts received with respect to or related to any REO Property or REO Disposition Proceeds. The foregoing requirements for deposit into the Custodial Account shall be exclusive, it being understood and agreed that, without limiting the generality of the foregoing, payments in the nature of (a) Servicing Fees which are payable solely from the interest portion of Monthly Payments, Insurance Proceeds, Condemnation Proceeds, Liquidation Proceeds, or (b) Ancillary Income, need not be deposited by the Servicer into the Custodial Account. Any interest paid on funds deposited in the Custodial Account by the depository institution shall accrue to the benefit of the Servicer and the Servicer shall be entitled to retain and withdraw such interest from the Custodial Account pursuant to Section 3.05. Additionally, any other benefit derived from the Custodial Account associated with the receipt, disbursement and accumulation of principal, interest, taxes, hazard insurance, mortgage blanket insurance, etc. shall accrue to the Servicer.

  • Custodial Account Funds in any custodial accounts established by the Servicer and maintained in respect of the REMIC may be invested and, if invested, shall be invested in Eligible Investments selected by the Servicer which shall mature not later than the Business Day immediately preceding the next Remittance Date, and any such Eligible Investment shall not be sold or disposed of prior to its maturity. All such Eligible Investments shall be made in the name of the REMIC or its nominee. All income and gain realized from any such investment shall be, as long as the Servicer is servicing the Mortgage Loans held by the REMIC, for the benefit of the Servicer as additional compensation and shall be subject to its withdrawal or order from time to time. The amount of any losses incurred in respect of any such investments shall be deposited in the relevant account by the Servicer out of its own funds immediately as realized. The foregoing requirements for deposit in such account are exclusive, it being understood and agreed that, without limiting the generality of the foregoing, payments of interest on funds in such account and, as long as the Servicer is servicing the Mortgage Loans held by the REMIC, payments in the nature of prepayment fees, late payment charges, assumption fees or any similar fees customarily associated with the servicing mortgage loans paid by any mortgagor need not be deposited by the Servicer in such account and may be retained by the Servicer as additional servicing compensation. If the Servicer deposits in such account any amount not required to be deposited therein, it may at any time withdraw such amount, any provision herein to the contrary notwithstanding.

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