Disposal of Treated Effluent Sample Clauses

Disposal of Treated Effluent. (i) The Concessionaire is required to transfer the Treated Effluent through the Supporting Infrastructure to any discharge point(s) indicated by the Jal Xxxxx. (ii) The Concessionaire is not permitted to divert, transfer or sell the Treated Effluent generated from the Haridwar STPs to any third party.
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Disposal of Treated Effluent. (i) As part of the Facilities, the Concessionaire shall be required to set up an Effluent Disposal Pipeline for transportation of the Treated Effluent from the Outlet Point to the Discharge Point. (ii) The Concessionaire shall, subject to compliance with Applicable Laws and Applicable Permits, be free to dispose the Treated Effluent in the following manner: (A) transfer the Treated Effluentthrough the Effluent Disposal Pipeline to the Discharge Point for discharge into the river Ganga; or (B) sell the Treated Effluent at such price and to such Persons as it may deem fit. (iii) The Concessionaire shall maintain proper records of sale of any Treated Effluent generated from the Facilities (including the revenues earned by the Concessionaire from such sale) and make them available to the Jal Xxxxx for its review. (iv) The Concessionaire shall indemnify the Jal Xxxxx against any costs or liabilities that may arise due to the Concessionaire's failure to comply with this Clause 8.13(d) and all Applicable Laws in disposal ofthe Treated Effluent.
Disposal of Treated Effluent. The Concessionaire shall, subject to compliance with Applicable Laws and Applicable Permits, be free to dispose the Treated Effluent in the following manner: (i) transfer the Treated Effluent to the relevant Discharge Points for discharge into the river Ganga; or (ii) sell the Treated Effluent at such price and to such Persons as it may deem fit. Provided that if the Concessionaire sells the Treated Effluent to any third party, the Concessionaire shall be required to share 50% of the revenues from such sale with the Jal Xxxxx. (iii) The Concessionaire shall maintain proper records of sale of any Treated Effluent generated from the Facilities (including the revenues earned by the Concessionaire from such sale) and make them available to the Jal Xxxxx for its review. (iv) (The Concessionaire shall indemnify the Jal Xxxxx against any costs or liabilities that may arise due to the Concessionaire's failure to comply with this Clause 8.13(d) and all Applicable Laws in disposal of the Treated Effluent. (v) The Jal Xxxxx shall indemnify the Concessionaire against any costs or liabilities that may arise due to the disposal of the Treated Effluents from the Mirzapur Facilities at the relevant Discharge Point. If the Concessionaire is instructed by the Jal Xxxxx or any other Government Authority to construct an effluent disposal pipeline to dispose of the Treated Effluent discharged from the Mirzapur Facilities, then the Concessionaire shall be entitled to seek a Variation for such additional scope of work, in accordance with Clause 21.

Related to Disposal of Treated Effluent

  • Disposal of Waste The licensee shall have to make their own arrangements for daily disposal of waste (after segregation of dry and wet waste) out of Maha-Metro premises. The wastes shall be dumped at sites approved by concerned civic agencies to ensure perfect cleanliness. If any kind of waste is found disposed off on Maha-Metro land or premises a penalty/fine of Rs. 5000/- per instance shall be imposed by Maha-Metro for each occasion.

  • Disposal of Transmitted Items Upon your receipt of a confirmation approval from Credit Union that we have received an image that you have transmitted, you agree to retain the check for at least 60 calendar days from the date of the image transmission. After 60 days, you agree to destroy the check that you transmitted as an image, mark it "VOID", or otherwise render it incapable of further transmission, deposit, or presentment. During the time the retained check is available, you agree to promptly provide it to Credit Union upon request.

  • Disposal of Property a) Prior to disposal of any property purchased with funds from this Contract or any predecessor Contract, Subrecipient must obtain approval from CDA for reportable property. Disposition, which includes sale, trade-in, discarding, or transfer to another agency may not occur until approval is received from CDA. Subrecipient shall email to County the electronic version of the Request to Dispose of Property (CDA 248). CDA will then instruct County on disposition of the property, and County will notify Subrecipient. Once approval for disposal has been received from CDA, and the County has reported to CDA the Property Survey Report’s (STD 152) Certification of Disposition, the item(s) shall be removed from Subrecipient’s inventory report. b) Subrecipient must remove all confidential, sensitive, or personal information from CDA property prior to disposal, including removal or destruction of data on computing devices with digital memory and storage capacity. This includes, but is not limited to magnetic tapes, flash drives, personal computers, personal digital assistants, cell or smart phones, multi-function printers, and laptops.

  • Disposal of Subsidiary Stock Except for any sale of any Regulatory Shares or all of the Capital Stock of a Subsidiary owned by the Borrower or its Subsidiaries, in each case in compliance with the provisions of Section 6.03 hereof, Borrower shall not directly or indirectly sell, assign, pledge or otherwise encumber or dispose of any shares of Capital Stock or other equity securities of any of its Subsidiaries, except to qualify directors if required by applicable law; or permit any of its Subsidiaries directly or indirectly to sell, assign, pledge or otherwise encumber or dispose of any shares of Capital Stock or other equity securities of any of its Subsidiaries (including such Subsidiary), except to Borrower, a Subsidiary Loan Party, or to qualify directors if required by applicable law.

  • Garbage Disposal You are responsible for ensuring Your and Your guests’ rubbish is removed from the Room, Building and Common Property in a timely manner and properly deposited in the communal rubbish areas allocated by Us for collection. You must use all garbage chutes according to pasted instructions near chutes.

  • Disposal of Subsidiary Interests Except for any sale of all of its interests in the Equity Interests of any of its Subsidiaries in compliance with the provisions of Section 8.9 and except for Liens securing the Obligations, no Credit Party shall, nor shall it permit any of its Subsidiaries to, (a) directly or indirectly sell, assign, pledge or otherwise encumber or dispose of any Equity Interests of any of its Subsidiaries, except to qualify directors if required by Applicable Laws; or (b) permit any of its Subsidiaries directly or indirectly to sell, assign, pledge or otherwise encumber or dispose of any Equity Interests of any of its Subsidiaries, except to another Credit Party (subject to the restrictions on such disposition otherwise imposed hereunder), or to qualify directors if required by Applicable Laws.

  • Disposal of Assets Where the Academy Trust acquires assets for a nil consideration or at an under value it shall be treated for the purpose of this Agreement as having incurred expenditure equal to the market value of those assets at the time that they were acquired. This provision shall not apply to assets transferred to the Academy Trust at nil or nominal consideration and which were previously used for the purposes of an Academy and/or were transferred from an LA, the value of which assets shall be disregarded.

  • Loop Testing/Trouble Reporting 2.1.6.1 Telepak Networks will be responsible for testing and isolating troubles on the Loops. Telepak Networks must test and isolate trouble to the BellSouth portion of a designed/non-designed unbundled Loop (e.g., UVL-SL2, UCL-D, UVL-SL1, UCL-ND, etc.) before reporting repair to the UNE Customer Wholesale Interconnection Network Services (CWINS) Center. Upon request from BellSouth at the time of the trouble report, Telepak Networks will be required to provide the results of the Telepak Networks test which indicate a problem on the BellSouth provided Loop. 2.1.6.2 Once Telepak Networks has isolated a trouble to the BellSouth provided Loop, and had issued a trouble report to BellSouth on the Loop, BellSouth will take the actions necessary to repair the Loop if a trouble actually exists. BellSouth will repair these Loops in the same time frames that BellSouth repairs similarly situated Loops to its End Users. 2.1.6.3 If Telepak Networks reports a trouble on a non-designed or designed Loop and no trouble actually exists, BellSouth will charge Telepak Networks for any dispatching and testing (both inside and outside the CO) required by BellSouth in order to confirm the Loop’s working status. 2.1.6.4 In the event BellSouth must dispatch to the end-user’s location more than once due to incorrect or incomplete information provided by Telepak Networks (e.g., incomplete address, incorrect contact name/number, etc.), BellSouth will xxxx Xxxxxxx Networks for each additional dispatch required to repair the circuit due to the incorrect/incomplete information provided. BellSouth will assess the applicable Trouble Determination rates from BellSouth’s FCC or state tariffs.

  • Return or Disposal of Issuer PII Except where return or disposal is prohibited by applicable law, promptly on the earlier of the completion of the Review or the request of the Issuer, all Issuer PII in any medium in the Asset Representations Reviewer’s possession or under its control will be (i) destroyed in a manner that prevents its recovery or restoration or (ii) if so directed by the Issuer, returned to the Issuer without the Asset Representations Reviewer retaining any actual or recoverable copies, in both cases, without charge to the Issuer. Where the Asset Representations Reviewer retains Issuer PII, the Asset Representations Reviewer will limit the Asset Representations Reviewer’s further use or disclosure of Issuer PII to that required by applicable law.

  • Federal Medicaid System Security Requirements Compliance Party shall provide a security plan, risk assessment, and security controls review document within three months of the start date of this Agreement (and update it annually thereafter) in order to support audit compliance with 45 CFR 95.621 subpart F, ADP System Security Requirements and Review Process.

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