Information Packet Sample Clauses

Information Packet. Participants must review and complete the Benefis Job Shadow Information packet, including:
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Information Packet. The information packet, which is to be maintained by the employee, will include documentation of required experience at the appropriate maintenance technician level and a list of documented classroom and practical experience. The completed information packet must be submitted to the certification committee by March 1 to be considered for the April testing date, and by September 1 to be considered for the October testing date. Only years of time in grade, practical experience and classroom training received will be considered for evaluation through March 1 or September 1, depending on the test cycle.
Information Packet. The Authority is responsible for sending information packets to the Signatory Agencies at least 14 calendar days or as otherwise agreed upon timeframe in advance of each checkpoint meeting. Information packets should identify critical issues of concern to the other Signatory Agencies. As the Authority is preparing the information packet, issues should be identified and communicated informally to the Signatory Agencies.
Information Packet. Please note that all documents that you send to the FHF office must be PHOTOCOPIES ONLY (no original documents). Also note that all documents will be shredded within 3 months of receipt if you do not have a fully executed current school year contract and current signed and initialed parent/client responsibilities form on file. Please allow 2 business days for the office to process the packet before emailing us to confirm if we received it. Do not expect an FHF staff member to contact you to confirm receipt of your child’s documents. Initial Here: As the parent/guardian, you are your child’s primary advocate and case manager. Please understand that you are contracting FHF to co-advocate with you for your child. It is our goal for you to consider yourself a partner in ensuring that your child receives meaningful educational benefit, makes real and measurable progress on their delays, and receives their right to a free and appropriate public education in the least restrictive environment. Please sign here to confirm that you have read and initial the 7 pages of this document, “Parent/Client Responsibilities for Advocacy Services”, completely and that you understand what your role and responsibilities are as a client in a contract with FHF. Child’s Name: Parent/Guardian’s Name: Parent/Guardian’s Signature:
Information Packet. The Contractor will create and maintain an Information Packet for perspective users of the Contract. It will explain how to start using the contract, points of contact, how the contract works, how to effectively use the Contract, detail cards, features for end users, and other helpful information. The Contractor will maintain this for the life of the Contract. The Contractor will supply hard copies and electronic copies of the Indiana Electronic Payment Cards Information Packet. Hard copies will be available upon request, at no cost, to the State. Requests for hard copies should be submitted to Customer Service and provided within one
Information Packet. An information packet shall be compiled and presented to each employee providing information on all employee benefits, including pension, insurance and any other benefit to which the employee is entitled. New employees will receive the information packet within thirty (30) days of hire.

Related to Information Packet

  • Seller Financial Information If requested by Buyer, Seller shall deliver to Buyer (a) within one hundred twenty (120) days following the end of each fiscal year, a copy of Seller’s annual report containing unaudited consolidated financial statements for such fiscal year (or audited consolidated financial statements for such fiscal year if otherwise available) and (b) within sixty (60) days after the end of each of its first three fiscal quarters of each fiscal year, a copy of such Party’s quarterly report containing unaudited consolidated financial statements for such fiscal quarter. In all cases the statements shall be for the most recent accounting period and shall be prepared in accordance with Generally Accepted Accounting Principles; provided, however, that should any such statements not be available on a timely basis due to a delay in preparation or certification, such delay shall not be an Event of Default so long as such Party diligently pursues the preparation, certification and delivery of the statements.

  • Information about us We, Daiwa Capital Markets Europe Limited, are authorised and regulated by the Financial Conduct Authority ("FCA"). Our registered office is 0 Xxxx Xxxxxxx Xxxxxx, London EC4N 7AX. Our Financial Services Register no. is 124490. The FCA's registered office is at 00 Xxxxxxxxx Xxxxxx, Xxxxxx, X00 0XX. Our LEI number is MIM2K09LFYD4IB163W58.

  • Information Reporting (a) The Fund agrees that, during the Current Special Rate Period and so long as BANA or any Affiliate thereof is the beneficial owner of any Outstanding VRDP Shares, it will deliver, or direct the Tender and Paying Agent to deliver, to BANA and any such Affiliate:

  • Information The Buyer and its advisors, if any, have been, and for so long as the Note remain outstanding will continue to be, furnished with all materials relating to the business, finances and operations of the Company and materials relating to the offer and sale of the Securities which have been requested by the Buyer or its advisors. The Buyer and its advisors, if any, have been, and for so long as the Note remain outstanding will continue to be, afforded the opportunity to ask questions of the Company. Notwithstanding the foregoing, the Company has not disclosed to the Buyer any material nonpublic information and will not disclose such information unless such information is disclosed to the public prior to or promptly following such disclosure to the Buyer. Neither such inquiries nor any other due diligence investigation conducted by Buyer or any of its advisors or representatives shall modify, amend or affect Buyer’s right to rely on the Company’s representations and warranties contained in Section 3 below. The Buyer understands that its investment in the Securities involves a significant degree of risk. The Buyer is not aware of any facts that may constitute a breach of any of the Company's representations and warranties made herein.

  • Billing Information 6.1 NLT and the RL shall provide each other with information within their possession that is necessary to allow them to provide accurate and timely billing to each other and to any other relevant third parties.

  • Information About You and Your Visits to the Website All information we collect on this Website is subject to our Privacy Policy. By using the Website, you consent to all actions taken by us with respect to your information in compliance with the Privacy Policy.

  • Buyer Financial Information If requested by Seller, Buyer shall deliver to Seller (a) within one hundred twenty (120) days after the end of each fiscal year with respect to Buyer, a copy of Buyer’s annual report containing audited consolidated financial statements for such fiscal year, if available, and (b) within sixty (60) days after the end of each of Buyer’s first three fiscal quarters of each fiscal year, a copy of Buyer’s quarterly report containing unaudited consolidated financial statements for each accounting period, if available, prepared in accordance with Generally Accepted Accounting Principles. Buyer shall be deemed to have satisfied such delivery requirement if the applicable report is publicly available on Buyer’s website or on the SEC XXXXX information retrieval system; provided however, that should such statements not be available on a timely basis due to a delay in preparation or certification, such delay shall not be an Event of Default, so long as such statements are provided to Seller upon their completion and filing with the SEC.

  • User Information Any user or usage data or information collected via Station’s digital properties or related to Station’s digital properties, or any information collected from websites operated by Station’s affiliates under this Agreement, shall be the property of Station and/or such affiliates. Advertiser shall have no rights in such information by virtue of this Agreement.

  • Financial Information Upon written request the Company agrees to send or make available the following reports to the Buyer until the Buyer transfers, assigns, or sells all of the Securities: (i) within ten (10) days after the filing with the SEC, a copy of its Annual Report on Form 10-K its Quarterly Reports on Form 10-Q and any Current Reports on Form 8-K; (ii) within one (1) day after release, copies of all press releases issued by the Company or any of its Subsidiaries; and (iii) contemporaneously with the making available or giving to the shareholders of the Company, copies of any notices or other information the Company makes available or gives to such shareholders.

  • Information Access Each Party (“Disclosing Party”) shall make available to another Party (“Requesting Party”) information that is in the possession of the Disclosing Party and is necessary in order for the Requesting Party to: (i) verify the costs incurred by the Disclosing Party for which the Requesting Party is responsible under this Agreement; and (ii) carry out its obligations and responsibilities under this Agreement. The Parties shall not use such information for purposes other than those set forth in this Article 25.1 of this Agreement and to enforce their rights under this Agreement.

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