Delivery of Remarketing Proceeds Sample Clauses

Delivery of Remarketing Proceeds. The proceeds of the sale by the Remarketing Agent of any 2024 Series B-2 Bonds shall be delivered to the Paying Agent for deposit into the Remarketing Proceeds Account of the Bond Purchase Fund not later than 10:00 a.m., New York City time (11:30 a.m. New York City time with respect to 2024 Series B-2 Bonds in the Daily Mode), on such Purchase Date or Mandatory Purchase Date.
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Delivery of Remarketing Proceeds. The proceeds, if any, as a result of the sale by the Remarketing Agent of any tendered 2020D-2 Bonds shall be delivered (versus delivery to the Remarketing Agent of tendered 2020D-2 Bonds that have been remarketed) to the Paying Agent for deposit into the Remarketing Proceeds Account of the Purchase Fund not later than 10:00 a.m., New York City time (11:30 a.m., New York City with respect to 2020D-2 Bonds in the Daily Mode), on such Purchase Date or Mandatory Purchase Date.
Delivery of Remarketing Proceeds. The proceeds of the sale by the Remarketing Agent of any 2017 Series B-1 Bonds shall be delivered to the Paying Agent for deposit into the Remarketing Proceeds Account of the Bond Purchase Fund (i) not later than 2:00 p.m., New York City time, on the day of receipt of such remarketing proceeds, and (ii) not later than 10:15 a.m., New York City time, on any Purchase Date or Mandatory Purchase Date for any proceeds received between 2:00 p.m., New York City time, on the previous day and 10:00 a.m., New York City time, on such Purchase Date or Mandatory Purchase Date.

Related to Delivery of Remarketing Proceeds

  • Delivery of replacements Subject to receipt of sufficient Temporary Global Notes, Permanent Global Notes, Definitive Notes, Coupons, Global Registered Notes and Individual Note Certificates in accordance with Clause 4.9 (Duties of Fiscal Agent, Registrar and Replacement Agent), the Replacement Agent shall, upon and in accordance with the instructions (which instructions may, without limitation, include terms as to the payment of expenses and as to evidence, security and indemnity) of the Issuer but not otherwise, authenticate (if necessary) and deliver a Temporary Global Note, Permanent Global Note, Definitive Note, Coupon, Global Registered Note or Individual Note Certificate as the case may be, as a replacement for any of the same which has been mutilated or defaced or which has or has been alleged to have been destroyed, stolen or lost provided, however, that:

  • Recovery of Sums Due Wherever any sum of money is recoverable from or payable by the Contractor, the Authority may deduct that sum from any sum due, or which at any later time may become due to the Contractor under the Contract or under any other agreement with the Authority.

  • NON-DELIVERY OF POSSESSION In the event Landlord cannot deliver possession of the Premises to Tenant upon the commencement of the Lease term, through no fault of Landlord or its agents, then Landlord or its agents shall have no liability, but the rental herein provided shall xxxxx until possession is given. Landlord or its agents shall have thirty (30) days in which to give possession, and if possession is tendered within such time, Tenant agrees to accept the demised Premises and pay the rental herein provided from that date. In the event possession cannot be delivered within such time, through no fault of Landlord or its agents, then this Agreement and all rights hereunder shall terminate.

  • DELIVERY OF CALCULATIONS On or before November 1 of each year for which this Agreement is effective, the Third Party appointed pursuant to Section 4.3 of this Agreement shall forward to the Parties a certification containing the calculations required under this Article IV, Article V, Article VI, of this Agreement in sufficient detail to allow the Parties to understand the manner in which the calculations were made. The Third Party shall simultaneously submit his, her, or its invoice for fees for services rendered to the Parties, if any fees are being claimed, which fee shall be the sole responsibility of the District, but subject to the provisions of Section 4.8, below. Upon reasonable prior notice, the employees and agents of the Applicant shall have access, at all reasonable times, to the Third Party’s calculations, records, and correspondence pertaining to the calculation and fee for the purpose of verification. The Third Party shall maintain supporting data consistent with generally accepted accounting practices, and the employees and agents of the Applicant shall have the right to reproduce and retain for purpose of audit, any of these documents. The Third Party shall preserve all documents pertaining to the calculation until four (4) years after the Final Termination Date of this Agreement. The Applicant shall not be liable for any of the Third Party’s costs resulting from an audit of the Third Party’s books, records, correspondence, or work papers pertaining to the calculations contemplated by this Agreement.

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