Delivery and Content of Monthly Bills Sample Clauses

Delivery and Content of Monthly Bills. 10.2.1 The Seller shall issue to each Procurer a signed Monthly Xxxx for the immediately preceding Month not later than ten (10) days of the next Month. In case the Monthly Xxxx for the immediately preceding Month issued after ten (10) days of the next Month, the Due Date for payment of such Monthly Xxxx shall be extended by thirty (30) days. Provided that: a. if the date of commencement of supply of power falls during the period between the first (1st) day and up to and including the fifteenth (15th) day of a Month, the first Monthly Xxxx shall be issued for the period until the last day of such Month, or b. if, the date of commencement of supply of power falls after the fifteenth (15th) day of a Month, the first Monthly Xxxx shall be issued for the period commencing from the Delivery Date until the last day of the immediately following Month. Provided further that if a Monthly Xxxx is received on or before the second (2nd) day of a Month, it shall be deemed to have been received on the second (2nd) Business Day of such Month. 10.2.2 The Monthly Xxxx prepared as detailed in Schedule 5 of the PPA, shall include the following; i) Provisional Xxxx for Solar PV power supplied in the immediately preceding Month; (a) Adjustments against the Provisional Xxxx(s) based on Energy Accounts for the Solar PV power supplied in the Month(s) preceding to the previous month(s); (b) Any other adjustments to cover changes in open access related charges and any other prior-period adjustments; ii) Late Payment Surcharge, if any; and iii) Taxes, Duties, Levies etc as applicable.
AutoNDA by SimpleDocs
Delivery and Content of Monthly Bills. 6.2.1 Buyer shall issue to Buying Entity a signed Monthly Xxxx on the 1st Business Day of the month. 6.2.2 The Monthly Xxxx prepared as detailed in Schedule-3 of the PSA, shall include the following; i) Monthly xxxx may be raised based on the provisional REA ii) The final adjustments if any may be done on the basis of the final REA along with the next month xxxx iii) Taxes, Duties, Levies etc as applicable. Final billing may be done based on published REA.
Delivery and Content of Monthly Bills. 6.2.1 SECI shall issue to the Buying Utility a signed Monthly Xxxx on the 1st Business Day of the next Month. ii) Adjustments against the Provisional Xxxx(s) based on Energy Accounts for the Solar Power Supplied in the Month(s) preceding to the previous month(s);
Delivery and Content of Monthly Bills. 6.2.1 Buyer shall issue to Buying Entity a signed Monthly Xxxx on the 1st Business Day of the month 6.2.2 The Monthly Xxxx prepared as detailed in Schedule-3 of the PSA, shall include the following; i) Provisional Xxxx for Wind Power Supplied in the immediately preceding Month; ii) (a) Adjustments against the Provisional Xxxx(s) based on Energy Accounts for the Wind Power Supplied in the Month(s) preceding to the previous month(s); ii) (b) any other prior-period adjustments; and
Delivery and Content of Monthly Bills. 11.2.1 The Seller shall issue to Procurer a signed Monthly Xxxx for the immediately preceding Month. Provided that: i) if the COD of the first Unit falls during the period between the first (1st) day and up to and including the fifteenth (15th) day of a Month, the first Monthly Xxxx shall be issued for the period until the last day of such Month, or ii) if the COD of the first Unit falls after the fifteenth (15th) day of a Month, the first Monthly Xxxx shall be issued for the period commencing from the COD of the first Unit until the last day of the immediately following Month. Provided further that if a Monthly Xxxx is received on or before the second (2nd) day of a Month, it shall be deemed to have been received on the second (2nd) Business Day of such Month. 11.2.2 Each Monthly Xxxx and Provisional Xxxx shall include: i) Availability and energy account for the relevant Month as per REA for Monthly Xxxx and RLDC’s daily energy account for Provisional Xxxx; ii) the Seller’s computation of various components of the Monthly Tariff Payment in accordance with Schedule 7; and iii) supporting data, documents and calculations in accordance with this Agreement.
Delivery and Content of Monthly Bills. 8.2.1 SPD shall issue to the LED a signed Monthly Bill for the immediately preceding Month/relevant period upto 5th Business day of the next month. 8.2.2 The Monthly Bill prepared as per the PPA, shall include the following; i) Provisional Bill for Solar Power Supplied in the immediately preceding Month; ii) Adjustments against the Provisional Bill(s) based on Joint Meter Reading for the Power Supplied in the Month(s) preceding to the previous month(s);
Delivery and Content of Monthly Bills. 10.2.1 The SPD shall issue to NVVN a signed Monthly Xxxx for the immediately preceding Month not later than five(5) days of the next Month. In case the Monthly Xxxx for the immediately preceding Month is issued after five(5) days of the next Month, the Due Date for payment of such Monthly Xxxx shall be extended by thirty (30) days. Each Monthly Xxxx shall include all charges as per this Agreement for the energy supplied for the relevant Month based on Energy Accounts issued by RLDC/SLDC or any other competent authority which shall be binding on both the Parties.
AutoNDA by SimpleDocs
Delivery and Content of Monthly Bills. 1. The SPD shall issue to NTPC a signed Monthly Xxxx for the immediately preceding Month between the 5th day & up to the 15th day of the next Month duly supported by REA/SEA/signed JMR. In case the Monthly Xxxx for the immediately preceding Month is issued after the 15th day of the next Month, the Due Date for payment of such Monthly Xxxx/ Supplementary Xxxx shall be as detailed at Article 10.3.1 below. Each Monthly Xxxx shall include all charges as per this Agreement for the energy supplied for the relevant Month based on Energy Accounts issued by RLDC or any other competent authority which shall be binding on both the Parties. The Monthly Xxxx amount shall be the product of the energy metered and the applicable tariff.
Delivery and Content of Monthly Bills. The Seller shall issue to Procurer a signed Monthly Xxxx for the immediately preceding Month. Provided that:
Delivery and Content of Monthly Bills. 6.2.1 NVVN shall issue to the Discom a signed Monthly Xxxx on the 1st Business Day of the Month.
Draft better contracts in just 5 minutes Get the weekly Law Insider newsletter packed with expert videos, webinars, ebooks, and more!