Container returns and redemption of Deposits on Containers Sample Clauses

Container returns and redemption of Deposits on Containers. 1.16.1.1 At BRI Return Locations where Deposits are redeemed, BRI agrees to retain for audit purposes and make available to the Ministry and/or its appointee appointed pursuant to section 1.15 of this Schedule l:  daily cash register tapes or bin count sheets, as applicable, listing number of Program Containers returned by Deposit Category;  daily reconciliations of cash to all containers (i.e., BRI Beer Containers, refillable BRI beer containers and Program Containers) received at BRI Stores;  weekly reconciliations of cash to all containers (i.e., BRI Beer Containers, refillable BRI beer containers and Program Containers) received at BRI Return Locations (other than BRI Stores);  complete audit trail of the number of Program Containers returned by Deposit Category; and of all containers (i.e., BRI Beer Containers, refillable beer containers and Program Containers) for recording purposes.
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Related to Container returns and redemption of Deposits on Containers

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