Invoicing and Payments II Sample Clauses

Invoicing and Payments II. Faktury a platby The fees for performance of the Clinical Study shall be paid quarterly, for visits, procedures and other services performed in the appropriate calendar quarter. PSI shall provide the Institution data necessary for calculation of fees by the end of each calendar quarter. Based on this data the Institution shall issue an invoice. Data for calculation of fees shall include itemized fees for all visits, procedures and other services performed within the given calendar quarter. The settlement must be made separately for each Study Subject, who shall be designated by its reference number. For each Study Subject the following information shall be provided: visits and/or procedures the Subject completed, date when these were completed and the price (fee) for these visits and procedures in accordance with the Budget. If other services were provided, these services shall be specified in the itemized invoice with the date on which they were provided and the price (fee) specified in the Budget. If PSI fails to provide the Institution with data necessary for fee calculation within 14 days following the end of the respective calendar quarter, the Institution may issue an invoice for all visits, procedures and other services provided as part of the Clinical Study during this particular calendar quarter. Odměna za provádění Studie bude hrazena čtvrtletně, vždy za návštěvy, vyšetření a další služby poskytnuté v příslušném kalendářním čtvrtletí. PSI je povinen zaslat Poskytovateli zdravotních služeb po ukončení kalendářního čtvrtletí podklady pro výpočet odměny. V návaznosti na tyto podklady vystaví poskytovatel zdravotních služeb fakturu. Podklady pro výpočet odměny musí zahrnovat položkové vyúčtování všech návštěv, vyšetření a dalších služeb provedených v příslušném kalendářním čtvrtletí. Vyúčtování musí být provedeno zvlášť pro každý subjekt hodnocení, který musí být označen svým číslem. U každého subjektu hodnocení musí být uvedeno, jaké návštěvy či vyšetření absolvoval a kdy je absolvoval a rovněž ocenění těchto návštěv a vyšetření v souladu s rozpisem plateb. Byly-li poskytnuty nějaké další služby, musejí být tyto v položkovém vyúčtování rovněž uvedeny spolu s datem jejich poskytnutí a oceněním dle rozpisu plateb. V případě, že PSI nezašle poskytovateli zdravotních služeb podklady pro výpočet odměny ve lhůtě 00 xxx xxx xxx xxxxxxxx kalendářního čtvrtletí, je poskytovatel zdravotních služeb oprávněn vystavit fakturu za všechny návštěvy, vyšetření a dal...
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Invoicing and Payments II. Faktury a platby

Related to Invoicing and Payments II

  • INVOICING AND PAYMENTS II.4.1 Pre-financing: Where required by Article I.5.1, the Contractor shall provide a financial guarantee in the form of a bank guarantee or equivalent supplied by a bank or an authorised financial institution (guarantor) equal to the amount indicated in the same Article to cover pre-financing under the Contract. Such guarantee may be replaced by a joint and several guarantee by a third party. The guarantor shall pay to the Agency at its request an amount corresponding to payments made by it to the Contractor which have not yet been covered by equivalent work on his part. The guarantor shall stand as first-call guarantor and shall not require the Agency to have recourse against the principal debtor (the Contractor). The guarantee shall specify that it enters into force at the latest on the date on which the Contractor receives the pre-financing. The Agency shall release the guarantor from its obligations as soon as the Contractor has demonstrated that any pre-financing has been covered by equivalent work. The guarantee shall be retained until the pre-financing has been deducted from interim payments or payment of the balance to the Contractor. It shall be released the following month. The cost of providing such guarantee shall be borne by the Contractor.

  • Invoicing and Payment You will provide Us with valid and updated credit card information, or with a valid purchase order or alternative document reasonably acceptable to Us. If You provide credit card information to Us, You authorize Us to charge such credit card for all Purchased Services listed in the Order Form for the initial subscription term and any renewal subscription term(s) as set forth in Section 12.2 (Term of Purchased Subscriptions). Such charges shall be made in advance, either annually or in accordance with any different billing frequency stated in the applicable Order Form. If the Order Form specifies that payment will be by a method other than a credit card, We will invoice You in advance and otherwise in accordance with the relevant Order Form. Unless otherwise stated in the Order Form, invoiced charges are due net 30 days from the invoice date. You are responsible for providing complete and accurate billing and contact information to Us and notifying Us of any changes to such information.

  • Invoicing and Payment Terms [Within [X] days at the end of each month] [Upon completion of the Contract] Contractor will submit an Invoice in accordance with pricing as specified in the Contract. Mercy Corps will make payment to Contractor for all sums not in dispute within 30 days of receipt of Contractor’s invoice(s) (the “Payment Terms”).

  • Fees, Invoicing and Payment 7.1 You agree that you will comply with the following obligations:

  • CHARGES, INVOICING AND PAYMENT 5.1 The Client shall pay Intertek the charges set out in the Proposal, if applicable, or as otherwise contemplated for provision of the Services (the Charges).

  • Pricing and Payment Prices for each Product and any terms and conditions for invoicing and payment will be established by Customer’s Reseller.

  • Billing and Payments Transmission Provider shall bill the Interconnection Customer for the Costs associated with the facilities contemplated by this ISA, estimates of which are set forth in the Specifications to this ISA, and the Interconnection Customer shall pay such Costs, in accordance with Section 11 of Appendix 2 to this ISA and the applicable Interconnection Construction Service Agreement. Upon receipt of each of Interconnection Customer’s payments of such bills, Transmission Provider shall reimburse the applicable Interconnected Transmission Owner. Pursuant to Section 212.4 of the Tariff, Interconnection Customer requests that Transmission Provider provide a quarterly cost reconciliation: Yes X No

  • Invoices and Payments 5.5.1 The Contractor shall invoice the County only for providing the tasks, deliverables, goods, services, and other work specified in Exhibit A - Statement of Work and elsewhere hereunder. The Contractor shall prepare invoices, which shall include the charges owed to the Contractor by the County under the terms of this Contract. The Contractor’s payments shall be as provided in Exhibit B - Pricing Schedule, and the Contractor shall be paid only for the tasks, deliverables, goods, services, and other work approved in writing by the County. If the County does not approve work in writing no payment shall be due to the Contractor for that work.

  • Billing and Payment The Price will be itemized and included on your xxxx from the DSP, and is due and payable to the DSP on the same day your DSP xxxx is due. You will continue to be billed by your DSP taxes and other charges consistent with filed tariffs at the Illinois Commerce Commission to transmit and distribute the Retail Power supplied to you per this Agreement. You should continue to follow any xxxx payment procedures set forth between you and the DSP. You agree to accept the measurements as determined by the DSP for purposes of accounting for the amount of Retail Power services provided by DES under this Agreement. If the DSP is unable to read your meter, the DSP will estimate your usage and your charges will be calculated accordingly and adjusted on a future xxxx. DES’S ability to supply you under this Agreement is conditioned on the DSP accepting DES’S enrollment of your account for consolidated billing and purchase of receivables by the DSP. If you are not eligible for your DSP’s consolidated billing and purchase of receivables, you will need to secure eligibility with your DSP before DES can serve you. Should the DSP cease providing consolidated billing and purchase of receivables for your account and/or commence billing DES for any charges relating to you, DES will xxxx you directly and you will pay DES for all such charges pursuant to the payment provisions specified in DES’S xxxx.

  • Funding and Payment A. Tuition and fee payments in the amounts set forth in Section 6 are due from students at registration. A payment plan is available upon request. Payment is required by the stated due date; all tuition and fees must be collected and remitted to the College prior to the beginning of classes. Failure to pay by the due date will result in the student being dropped from classes.

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