Implementation Monitoring Sample Clauses

Implementation Monitoring. Implementation of the gravel placement was addressed primarily through a questionnaire given to PacifiCorp’s project manager and the gravel placement xxxxxxx. Responses addressed gravel quantities, the methods and safety of gravel placement activities, and any recommended actions to improve placement methods or related operations.
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Implementation Monitoring. On-board monitoring, such as full-time observer coverage, video surveillance or at-sea inspection is recommended to monitor implementation.
Implementation Monitoring. 13.1 The Company Council Sub Committee for Operational Managers will remain in place to monitor the implementation of the scheme.
Implementation Monitoring. ‌ The Property Owners will submit an annual report that describes any Covered Activities that took place on the Property within the calendar year by December 31st of each year. This report will help the Service to determine if activities were carried out in accordance with this SHA. The Service will be responsible for reviewing monitoring and reporting requirements related to implementation of the SHA and fulfillment of its provisions, including conservation measures and take authorized by the Permit. The Service will use information generated during Easement audits and the CALFIRE THP review process to supplement information submitted in the annual report. The annual report will include, but not be limited to: 1) Incidental take avoidance and minimization measures, if applied. 2) Results of surveys if conducted, including field forms and maps. 3) Changes in baseline conditions that decrease the number of individuals or habitat below existing conditions, whether the change was caused by or beyond the control of the Property Owners. 4) Description of Covered Activities that occur and impacts on Covered Species if known, including an accounting of incidental take. 5) Description of how conservation measures are applied. 6) A summary of yearly operations to determine if the level and scope of activities are consistent with existing baseline conditions and continue to meet the intent of the SHA to minimize disturbance to Covered Species. The Service will contact the Property Owners annually to evaluate their implementation of the SHA and to identify any modifications that may be necessary. Many of the SHA conservation measures are based on restrictions from the Easement and will be monitored for compliance by Pacific Forest Trust as described in the Butte Creek Xxxxxxx Working Forest Monitoring Plan 2016-2025. Portions of this monitoring plan relevant to the SHA conservation measures are included in Appendix D of the SHA. The Service will coordinate with Pacific Forest Trust to monitor the provisions of the Easement that apply to the SHA and accompany Pacific Forest Trust staff on field reviews and inspections as appropriate.‌
Implementation Monitoring. The Sides intend to develop a Strategic partnership activity Roadmap. The Roadmap follows the general joint intentions of the Sides’ described as work streams in Section 2 of this Memorandum. The Sides intend to organise a regular annual high - level meeting (at ministerial level) to take stock of the Partnership’s progress, discuss possible new strategic collaboration directions and endorse the Partnership Roadmap for the upcoming period 2024-2026. The Sides furthermore intend to create a dedicated working group consisting of senior officials, experts and respective actors (as specified in the Partnership Roadmap), where any matters of relevance to the Partnership’s implementation will be discussed. The Sides envisage regular meetings (at least twice per year) of the Working Group, which is expected to report on the Partnership and progress during the annual high-level meeting. The Sides also envisage making use of other existing formats, such as the EU Raw Materials Supply Group, the EU Raw Materials Alliance, the European Battery Alliance including the Battery ministerial meetings, for regular and more frequent exchange of information of relevance to the Partnership.
Implementation Monitoring 

Related to Implementation Monitoring

  • Program Monitoring The Contractor will make all records and documents required under this Agreement as outlined here, in OEC Policies and NHECC Policies available to the SRO or its designee, the SR Fiscal Officer or their designee and the OEC. Scheduled monitoring visits will take place twice a year. The SRO and OEC reserve the right to make unannounced visits.

  • Implementation and Review The Parties shall consult annually, or as otherwise agreed, to review the implementation of this Chapter and consider other matters of mutual interest affecting trade in services. (10) 10 Such consultations will be addressed under Article 170 (Free Trade Commission) of Chapter 14 (Administration of the Agreement).

  • Implementation Services Vendor shall provide the Implementation Services, if any, described in Exhibit A. The Services Fees for any Implementation Services shall be described in Exhibit A.

  • Implementation Plan The Authority shall cause to be prepared an Implementation Plan meeting the requirements of Public Utilities Code Section 366.2 and any applicable Public Utilities Commission regulations as soon after the Effective Date as reasonably practicable. The Implementation Plan shall not be filed with the Public Utilities Commission until it is approved by the Board in the manner provided by Section 4.9.

  • Implementation Report Within 150 days after the Effective Date, Ensign Group shall submit a written report to OIG summarizing the status of its implementation of the requirements of this CIA (Implementation Report). The Implementation Report shall, at a minimum, include: 1. the name, address, phone number, and position description of the Compliance Officer required by Section III.A, and a summary of other noncompliance job responsibilities the Compliance Officer may have; 2. the names and positions of the members of the Compliance Committee required by Section III.A; 3. the names and positions of the members of the Board of Directors who are responsible for satisfying the Board of Directors compliance obligations described in Section III.A.3; 4. a copy of Ensign Group’s Code of Conduct required by Section III.B.1; 5. the number of individuals required to complete the Code of Conduct certification required by Section III.B.1, the percentage of individuals who have completed such certification, and an explanation of any exceptions (the documentation supporting this information shall be available to OIG upon request); 6. a summary of all Policies and Procedures required by Section III.B (copies of the Policies and Procedures shall be made available to OIG upon request); 7. the following information regarding each type of training required by Section III.C: a. a description of such training, including a summary of the topics covered, the length of sessions, and a schedule of training sessions; b. the number of individuals required to be trained, percentage of individuals actually trained, and an explanation of any exceptions. A copy of all training materials and the documentation supporting this information shall be made available to OIG upon request. 8. a description of the Disclosure Program required by Section III.E; 9. the following information regarding the IRO(s): (a) identity, address, and phone number; (b) a copy of the engagement letter; (c) information to demonstrate that the IRO has the qualifications outlined in Appendix A to this CIA; (d) a summary and description of any and all current and prior engagements and agreements between Ensign Group and the IRO; and (e) a certification from the IRO regarding its professional independence and objectivity with respect to Ensign Group; 10. a description of the process by which Ensign Group fulfills the requirements of Section III.F regarding Ineligible Persons; 11. a list of all of Ensign Group’s locations (including locations and mailing addresses); the corresponding name under which each location is doing business; the corresponding phone numbers and fax numbers; each location’s Medicare and state Medicaid program provider number and/or supplier number(s); and the name and address of each Medicare and state Medicaid program contractor to which Ensign Group currently submits claims; 12. a description of Ensign Group’s corporate structure, including identification of any parent and sister companies, subsidiaries, and their respective lines of business; and

  • Program Monitoring and Evaluation The Recipient shall prepare, or cause to be prepared, and furnish to the Association not later than six months after the Closing Date, a report of such scope and in such detail as the Association shall reasonably request, on the execution of the Program, the performance by the Recipient and the Association of their respective obligations under the Legal Agreements and the accomplishment of the purposes of the Financing.”

  • EVALUATION AND MONITORING The ORGANIZATION agrees to maintain books, records and other documents and evidence, and to use accounting procedures and practices that sufficiently and properly support the complete performance of and the full compliance with this Agreement. The ORGANIZATION will retain these supporting books, records, documents and other materials for at least three (3) calendar years following the year in which the Agreement expires. The COUNTY and/or the State Auditor and any of their representatives shall have full and complete access to these books, records and other documents and evidence retained by the ORGANIZATION respecting all matters covered in and under this Agreement, and shall have the right to examine such during normal business hours as often as the COUNTY and/or the State Auditor may deem necessary. Such representatives shall be permitted to audit, examine and make excerpts or transcripts from such records, and to make audits of all contracts, invoices, materials, and records of matters covered by this Agreement. These access and examination rights shall last for three calendar years following the year in which the Agreement expires. The COUNTY intends without guarantee for its agents to use reasonable security procedures and protections to assure that related records and documents provided by the ORGANIZATION are not erroneously disclosed to third parties. The COUNTY will, however, disclose or make this material available to those authorized by/in the above paragraph or permitted under the provisions of Chapter 42.56 RCW without notice to the ORGANIZATION. The ORGANIZATION shall cooperate with and freely participate in any other monitoring or evaluation activities pertinent to this Agreement that the COUNTY finds needing to be conducted.

  • ANALYSIS AND MONITORING The Custodian shall (a) provide the Fund (or its duly-authorized investment manager or investment adviser) with an analysis of the custody risks associated with maintaining assets with the Eligible Securities Depositories set forth on Schedule B hereto in accordance with section (a)(1)(i)(A) of Rule 17f-7, and (b) monitor such risks on a continuing basis, and promptly notify the Fund (or its duly-authorized investment manager or investment adviser) of any material change in such risks, in accordance with section (a)(1)(i)(B) of Rule 17f-7.

  • Project Implementation The Borrower shall:

  • Implementation i) Where the job/time sharing arrangement arises out of the filling of a vacant full-time position, the full-time position will be posted first and in the event that there are no successful applicants, then both job/time sharing positions will be posted and selection will be based on the criteria set out in the Collective Agreement. ii) An incumbent full-time employee wishing to share her or his position may do so without having her or his half of the position posted. The other half of the job/time sharing position will be posted and selection will be made on the criteria set out in the Collective Agreement. iii) It is understood and agreed that the arrangement is for a trial period of six (6) months for the full-time employee originating the request. Once the trial period is over, the employee cannot revert to her former position except under (v) below. iv) Where two (2) full-time employees wish to job/time share one (1) position, neither half will be posted providing this would create one (1) full-time position to be posted and filled according to the collective agreement. v) If one of the job/time sharers leaves the arrangement, her or his position will be posted. If there is no successful applicant to the position, the remaining employee will revert to her or his former status. If the remaining employee was previously full-time, the shared position will become her/his position. If the remaining employee was previously part-time and there is no part-time position available, she or he shall exercise her or his layoff bumping rights to obtain a part-time position. The shared position would then revert to a full-time position and be posted according to the Collective Agreement.

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