Description of Project Facilities Sample Clauses

Description of Project Facilities. Each of the Project Facilities is described below:
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Description of Project Facilities. The Project Facilities consist generally of those portions of the Company’s wet limestone flue gas desulfurization (or “FGD”) systems currently being installed at the Montour Plant and the Xxxxxxx Island Plant. The Montour Plant consists of two coal-fired electric generating units each rated at 745 megawatt electric (“MW(e)”) gross and 755 MW(e) gross maximum continuous load. The Xxxxxxx Island Plant consists of three coal-fired electric generating units; Unit 1 is rated at 363.3MW(e); Unit 2 is rated at 405 MW(e); and Unit 3 is rated at 790.4 MW(e). Specifically, the Company will install (i) one FGD unit at each of Units 1 and 2 at the Montour Plant, and (ii) one FGD unit at Unit 3 and one FGD unit for Units 1 and 2 at the Xxxxxxx Island Plant. The FGD systems are designed to remove over 97% of the sulfur dioxide (SO2) in the exhaust, or flue gas, created by the burning of coal at the Plants through a series of processes that will involve, among other things, the injection of a limestone and water mixture into the flue gas to ultimately form calcium sulfate, or gypsum, as a byproduct. EXHIBIT B PPL ENERGY SUPPLY, LLC EXEMPT FACILITIES NOTE (PENNSYLVANIA ECONOMIC DEVELOPMENT FINANCING AUTHORITY) SERIES 2009C This Note is issued pursuant to a Series 2009C Exempt Facilities Loan Agreement dated as of April 1, 2009 the “Agreement”) by and between the Pennsylvania Economic Development Financing Authority (the “Authority”) and the Company (as hereinafter defined) relating to the refunding of bonds previously issued to provide financing for certain costs of Project Facilities as described below through the issuance of the Authority’s Exempt Facilities Revenue Refunding Bonds, Series 2009C (PPL Energy Supply, LLC Project) in an aggregate principal amount of $80,570,000 (the “Bonds”). The proceeds of the Bonds will be applied to refund all of the Exempt Facilities Revenue Bonds, Series 2007 (PPL Energy Supply, LLC Project) (the “Prior Bonds”), issued by the Authority for the purpose of financing the cost of certain “pollution control facilities” (as defined in the Act) (collectively, the “Project Facilities”), as more particularly described on Exhibit A attached to the Agreement, on behalf of the Company. PPL Energy Supply, LLC (the “Company”), a Delaware limited liability company, for value received, unconditionally promises to pay to The Bank of New York Mellon Trust Company, N.A., as Trustee (including its successors in such capacity, the “Trustee”) under the T...
Description of Project Facilities. Each of the Project Facilities to be completed on or before project completion date have been described in Annex-I of this Schedule-C:
Description of Project Facilities. The Company owns Xxxxxxxx’x Ferry Generating Station (the “Station”), a steam electric generating station located in Masontown, Xxxxxx County, Pennsylvania. The Station consists of three pulverized coal-fired power generating units with a nominal maximum operational generation capacity of 1,710 megawatts. The Company is installing three limestone forced oxidation flue gas desulfurization units (the “Scrubbers”) to remove sulfur dioxide (SO2) from the flue gas of the three generating units (the “Project Facilities”). The Company has undertaken construction and installation of the Project Facilities to provide additional capacity for the disposal and processing of certain waste material generated during operation of the Scrubbers. The Project Facilities include equipment, structures and related systems and facilities functionally related and subordinate thereto that will be used to collect, store, treat, transfer, process or dispose of such waste material. The principal components of the Project Facilities are absorber towers that operate to remove and collect waste materials generated by the removal of SO2 from the boiler flue gas, oxidation facilities, and facilities for dewatering, handling and disposing of the waste. EXHIBIT B FORM OF DISBURSEMENT REQUEST STATEMENT NO. REQUESTING DISBURSEMENT OF FUNDS FROM PROJECT FUND PURSUANT TO SECTION 2.4 OF THE EXEMPT FACILITIES LOAN AGREEMENT DATED AS OF JULY 1, 2009 (“LOAN AGREEMENT”) BETWEEN PENNSYLVANIA ECONOMIC DEVELOPMENT FINANCING AUTHORITY (“ISSUER”) AND ALLEGHENY ENERGY SUPPLY COMPANY, LLC (“COMPANY”). The terms used herein shall have the meanings specified for such terms in or pursuant to the Loan Agreement. Pursuant to Section 2.4 of the Loan Agreement, the undersigned Authorized Representative of the Company hereby requests and authorizes the Trustee to pay to the Company or to the Person(s) listed on the Disbursement Schedule attached hereto out of the moneys deposited in the Project Fund the aggregate sum of $ to reimburse the Company or to pay such Person(s), as indicated in the Disbursement Schedule, for the items of Project Cost listed in the Disbursement Schedule. Such Payee(s) may be (i) the Company in the case of work done by Company personnel and in the case of reimbursement for payments previously made by the Company for Project Costs (other than payments made by way of set-off of mutual claims between the Company and the payee), (ii) the Trustee in the case of a requisition for payment of inte...
Description of Project Facilities. The Company will revise Exhibit B and such supplemental information to reflect material additions to, deletions from and changes in the Project Facilities and will notify the Trustee of such modifications.
Description of Project Facilities. The Project Facilities consist of certain pollution control, sewage and solid waste disposal facilities constructed or to be constructed for use in connection with the operation of the Trojan Nuclear Power Plant (the "Plant") located in the Port of St. Helens, Columbia County, Oregon.
Description of Project Facilities. The proceeds of the Subsidy will be applied to finance a portion of the Project Costs, including the construction and installation of broadband infrastructure to provide access to broadband service to approximately 1000 service addresses in Xxxxxx Township as outlined in the Grant Application (Exhibit B to the Grant Agreement) with capability of at least 100 megabits per second download and 100 megabits per second upload (construction of broadband infrastructure may include any of the following: project planning; obtaining construction permits; construction of facilities, including construction of both “middle mile” and “last mile” infrastructure; equipment (including fiber); and installation and testing of the broadband service and related facilities).
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Description of Project Facilities i. Toll Plaza(s) Toll Plaza(s) shall be designed and constructed as per Section-10 of relevant the IRC Manual as specified in Schedule-D and it has been provided at following location:

Related to Description of Project Facilities

  • Construction of Project 11.1.1 Developer agrees to cause the Project to be developed, constructed, and installed in accordance with the terms hereof and the Construction Provisions set forth in Exhibit D, including those things reasonably inferred from the Contract Documents as being within the scope of the Project and necessary to produce the stated result even though no mention is made in the Contract Documents.

  • Completion of Project The Borrower shall carry out the Project in accordance with the Technical Description as may be modified from time to time with the approval of the Bank, and complete it by the final date specified therein.

  • Description of Property A narrative description of the Real Estate, the improvements thereon and the tenants and Leases relating to such Real Estate.

  • The Project The Project is the total construction of which the Work performed under the Contract Documents may be the whole or a part.

  • Description of Facility Provide the following information for all units at the Facility, regardless of their RMR designation status. Information regarding units not designated as Reliability Must-Run Units is required only if and to the extent that the information is used to allocate Facility costs between Reliability Must-Run Units and other units. Unit RMR (Y/N) Maximum Net Dependable Capacity (includes CAISO-paid Upgrade capacity)* Fuel Type For this Facility, the Owner will use [insert either MW, MWhs, or service hours] in Schedule B to allocate Annual Fixed Revenue Requirements to and among Units. This election shall be applicable to all Facilities containing Reliability Must Run Units subject to any “RMR contract” as defined in the CAISO Tariff executed by Owner or any of its affiliates as defined in 18 CFR § 161.2. * Maximum Net Dependable Capacity shall reflect any transformer or line loss to the Delivery Point.

  • Project 3.01. The Recipient declares its commitment to the objectives of the Project. To this end, the Recipient shall carry out the Project in accordance with the provisions of Article IV of the General Conditions.

  • DESCRIPTION OF THE PROPERTY 13.1 The Property as referred to in the Proclamation of Sale shall be deemed to have been correctly and sufficiently described.

  • Maintenance of Facilities 5.1 The Network Customer shall maintain its facilities necessary to reliably receive capacity and energy from the Host Transmission Owner’s transmission system consistent with Good Utility Practice. The Transmission Provider or Host Transmission Owner, as appropriate, may curtail service under this Operating Agreement to limit or prevent damage to generating or transmission facilities caused by the Network Customer’s failure to maintain its facilities in accordance with Good Utility Practice, and the Transmission Provider or Host Transmission Owner may seek as a result any appropriate relief from the Commission.

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