Monitoring and Reports Sample Clauses

Monitoring and Reports. Contractor will retain monitoring systems and/or tools for monitoring the Service Levels including automated measurement systems utilizing Synthetic Transactions. The data and detailed supporting information contained within SLA reports shall be considered confidential information. Contractor will provide the State with the reports described below in connection with the Services. a. Service Level Reporting - By the fifteenth (15th) day of each month, Contractor will provide the State with a performance report describing Contractor’s actual performance in comparison to the Service Levels for the prior month.
Monitoring and Reports. 6.1 The Organisation must: (a) submit the Reports specified at Item 8 to the Department by the required timeframes; and (b) work towards achieving the Completion Targets in accordance with Item 10. 6.2 The Department will use the information provided at clause 6.1 to monitor, measure and evaluate the Organisation’s performance of the Project and success of the Launch into Work Program. 6.3 The Organisation must work with Providers to: (a) monitor the participation of each Participant in the Project; and (b) where the Organisation determines that a Participant has failed to attend, or participate appropriately in, the Project, Notify the Participant’s Provider on the same Business Day that the Organisation becomes aware of the Participant’s failure to attend, or participate appropriately in the Project. 6.4 The Organisation must abide by any Guidelines or directions issued by the Department regarding how the Organisation must monitor and record Participants’ participation in the Project.
Monitoring and Reports. Each school district shall periodically monitor compliance with the provisions of this subdivision by school bus drivers and drivers of vehicles owned, leased or contracted for by such school district.
Monitoring and Reports. 1. The State shall provide written reports on a semi-annual basis to class counsel and the third party facilitator regarding work performed to implement this Agreement. The reports shall detail (a) what steps the State has taken to comply with the Agreement since the last report, (b) whether the State has met the deadlines for implementation set forth in Section II of this Agreement, and if not, the extent to which such work has been completed and an explanation for any gaps, (c) what problems if any the State has encountered in complying with the Agreement, (d) what if anything the State plans to do to remedy these problems, and (e) any complaints and any responses to such complaints the State has received regarding the Oregon Statewide Assessment System with respect to students with learning disabilities. The first such report shall be due one hundred and five (105) days after the effective date of this Agreement. 2. A third party facilitator (“Facilitator”) shall be appointed by the parties to monitor compliance with this Agreement. Former Oregon Supreme Court Justice Xxxxxxx X. Unis shall serve as Facilitator. Facilitator shall be compensated by the State in an amount not to exceed $10,000 per year. Facilitator shall have the powers to obtain from either party any non- privileged documents or information relevant to implementation of this Agreement, and to assist in resolving disputes by the parties as set forth in Section III D of this Agreement. 3. If Judge Xxxx becomes unavailable to serve as Facilitator, the parties will agree to appoint a substitute person to act as Facilitator. If the parties cannot agree on a substitute person, the parties will submit the matter of who to appoint as a substitute Facilitator to the Court for resolution. 4. The State shall designate a State official as the point person responsible for collecting information concerning compliance with this Agreement, producing the semi-annual reports referenced in Section III C.1 above, and producing any information requested by the Facilitator. This point person shall report directly to, and have direct access to, the Director of ODE. The point person shall be provided with sufficient resources to collect all necessary information. The State shall bear all costs and expenses of this point person. 5. In addition to monitoring by Facilitator, Class Counsel shall receive the semi-annual reports required by this Agreement for purposes of monitoring the State’s compliance. The State ag...
Monitoring and Reports. To ensure that available unused capacity in the Regional Sewerage System is and will be utilized to provide sewerage service to the Contracting Agencies based on their Forecasted Demands contained in the Ten-Year Forecasts, and that no Contracting Agency is deprived of sewerage service based on its Forecasted Demand as the result of any other Contracting Agency or Contracting Agencies utilizing capacity of the Regional Sewerage System substantially in excess of its or their Forecasted Demand or Demands, respectively, CBMWD shall, at intervals not exceeding 60 days in duration, determine the quantity of sewage entering the Regional Sewerage System from the Community Sewer System of each Contracting Agency. On or before March 1 and September 1 of each fiscal year CBMWD shall submit to the Regional Policy Committee a written report regarding the relationship between the actual Capacity Demand of each Contracting Agency and the Contracting Agency's Forecasted Demand for the fiscal year.
Monitoring and Reports. The Organisation must: submit the Reports specified at Item 8 to the Department by the required timeframes; and work towards achieving the Completion Targets in accordance with Item 10.
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Monitoring and Reports. SamoaTel shall:

Related to Monitoring and Reports

  • Monitoring and Reporting The Programme Operator shall monitor, record and report on progress towards the programme’s outcomes in accordance with the provisions contained in the legal framework. The Programme Operator shall ensure that suitable and sufficient monitoring and reporting arrangements are made with the project promoters in order to enable the Programme Operator and the National Focal Point to meet its obligations to the Donors. When reporting on progress achieved in Annual and Final Programme Reports, the Programme Operator shall disaggregate results achieved as appropriate and in accordance with instructions received from the FMO.

  • Safeguards Monitoring and Reporting The Borrower shall do the following or cause the Project Executing Agency to do the following:

  • PERFORMANCE MONITORING AND REPORTING Performance indicators

  • Accounting and Reports (a) The Company shall adopt for tax accounting purposes any accounting method that the Board shall decide in its sole discretion is in the best interests of the Company. The Company’s accounts shall be maintained in U.S. currency. (b) After the end of each Taxable Year, the Company shall furnish to each Member such information regarding the operation of the Company and such Member’s Interest as is necessary for Members to complete U.S. federal and state income tax or information returns and any other tax information required by U.S. federal and state law. (c) Except as otherwise required by the 1940 Act, or as may otherwise be permitted by rule, regulation or order, within 60 days after the close of the period for which a report required under this Section 7.1 is being made, the Company shall furnish to each Member an unaudited semi-annual report and an audited annual report containing the information required by such Act. The Company shall cause financial statements contained in each annual report furnished hereunder to be accompanied by a certificate of independent public accountants based upon an audit performed in accordance with generally accepted accounting principles. The Company may furnish to each Member such other periodic reports as it deems necessary or appropriate in its discretion.

  • Inspection and Reporting Each Grantor shall permit the Collateral Agent, or any agent or representatives thereof or such professionals or other Persons as the Collateral Agent may designate, not more than once a year in the absence of an Event of Default, (i) to examine and make copies of and abstracts from such Grantor's records and books of account, (ii) to visit and inspect its properties, (iii) to verify materials, leases, Instruments, Accounts, Inventory and other assets of such Grantor from time to time, (iii) to conduct audits, physical counts, appraisals and/or valuations, examinations at the locations of such Grantor. Each Grantor shall also permit the Collateral Agent, or any agent or representatives thereof or such professionals or other Persons as the Collateral Agent may designate to discuss such Grantor's affairs, finances and accounts with any of its officers subject to the execution by the Collateral Agent or its designee(s) of a mutually agreeable confidentiality agreement.

  • Information and Reporting The Adviser shall provide the Trust and its respective officers with such periodic reports concerning the obligations the Adviser has assumed under this Agreement as the Trust may from time to time reasonably request.

  • Record Keeping and Reporting The Accredited Entity shall ensure that:

  • Information and Reports A. The Subadviser shall keep the Fund and the Adviser informed of developments relating to its duties as Subadviser of which the Subadviser has, or should have, knowledge that would materially affect the Designated Series. In this regard, the Subadviser shall provide the Fund, the Adviser and their respective officers with such periodic reports concerning the obligations the Subadviser has assumed under this Agreement as the Fund and the Adviser may from time to time reasonably request. In addition, prior to each meeting of the Trustees, the Subadviser shall provide the Adviser and the Trustees with reports regarding the Subadviser’s management of the Designated Series during the most recently completed quarter, which reports: (i) shall include Subadviser’s representation that its performance of its investment management duties hereunder is in compliance with the Fund’s investment objectives and practices, the Act and applicable rules and regulations under the Act, and the diversification and minimum “good income” requirements of Subchapter M under the Internal Revenue Code of 1986, as amended, and (ii) otherwise shall be in such form as may be mutually agreed upon by the Subadviser and the Adviser. B. Each of the Adviser and the Subadviser shall provide the other party with a list, to the best of the Adviser’s or the Subadviser’s respective knowledge, of each affiliated person (and any affiliated person of such an affiliated person) of the Adviser or the Subadviser, as the case may be, and each of the Adviser and Subadviser agrees promptly to update such list whenever the Adviser or the Subadviser becomes aware of any changes that should be added to or deleted from the list of affiliated persons. C. The Subadviser shall also provide the Adviser with any information reasonably requested by the Adviser regarding its management of the Designated Series required for any shareholder report, amended registration statement, or Prospectus supplement to be filed by the Fund with the SEC.

  • Data and Reports The School is consistent in providing information, data, documentation, evindence and reports requested by the Commission pursuant to HRS §302D-17. x Review of submissions.

  • Accounting and Reporting 5.1. Issuer agrees to furnish Custodian with the income tax cost basis and dates of acquisition of all Securities held in Issuer’s Account to be carried on its records. If Issuer does not furnish such information, Custodian shall carry the Securities at any such nominal value it determines, such value to be for bookkeeping purposes only. All statements and reporting of any matters requiring this information will use this nominal value. Custodian shall have no duty to verify the accuracy of the tax cost basis or dates of acquisition furnished by Issuer. 5.0. Xx the extent that Custodian has agreed to provide pricing or other information services, Custodian is authorized to utilize any vendor (including brokers and dealers of securities and pricing services embedded in Custodian’s securities processing or accounting systems) reasonably believed by Custodian to be reliable to provide such information. Issuer understands that certain pricing information with respect to complex financial instruments, including, without limitation, derivatives, may be based on calculated amounts rather than actual market transactions and may not reflect actual market values, and that the variance between such calculated amounts and actual market values may or may not be material. If Issuer does not provide such information, Custodian shall use the cost or nominal value for such Securities, solely for administrative convenience. Pursuant to Section 13 Issuer shall release, indemnify, defend and hold Custodian harmless, and Custodian shall be without liability, for any Losses incurred as a result of errors or omissions with respect to any pricing or other information utilized by Custodian hereunder. Custodian shall have no responsibility or duty to ascertain or authenticate the value of pricing applied to any Securities. 5.3. Custodian shall provide Issuer account statements for its Account at least monthly via electronic means or as otherwise as agreed to by Issuer and Custodian showing all income and Issuer transactions. Issuer may approve or disapprove any such statement within 10 days of its receipt, and if no written objections are received within the 10-day period, such statement of account shall be deemed approved by Issuer. 5.4. Issuer or its designee (at their sole cost and expense) shall have access upon reasonable prior notice to Custodian during regular business hours to the books and records relating to Issuer’s Account, or shall be given confirmation of the contents of the books and records maintained by Custodian to verify the accuracy of such books and records. Custodian shall notify Issuer promptly of any Law that would restrict such access or confirmation. Custodian shall not be under any obligation to retain records in paper form.

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