Notes for Schedule of Japan Sample Clauses

Notes for Schedule of Japan. Rule 2 Notes 2 and 3 in Section 1 of Part 2 of Annex 1 referred to in Chapter 2 (a) For the purposes of the above-mentioned Notes, the Ministry of Trade of Indonesia will issue a certificate in English for each export, upon request of exporters or producers. A certificate will include the following minimum data: Exporter’s Name and Address; Certificate Number; Importer’s Name and Address; Description of Good(s); HS Tariff Classification Number; Quantity (with measure unit); Validity of Certificate (commence/expire); and Validation by the Ministry of Trade of Indonesia. The format of certificate and specimen impression of stamps used by the Ministry of Trade of Indonesia for the certificate are attached to this Operational Procedures as Appendix 2. The Ministry of Trade of Indonesia will notify to the Embassy of Japan in Indonesia any change of the format of certificate and stamps used by the Ministry of Trade of Indonesia for the certificate before the effective date of such change. The notification will be done by any method that produces a confirmation of receipt. (b) Eligible importers will apply for a certificate of tariff rate quota to the International Affairs Department of the Ministry of Agriculture, Forestry and Fisheries of Japan, providing a certificate issued by the Ministry of Trade of Indonesia referred to in (a) above. (c) For the purposes of the administration of the tariff rate quota, the Parties will exchange information on any related matter, including the issuance of the certificate of tariff rate quota by the Ministry of Agriculture, Forestry and Fisheries of Japan. The Ministry of Agriculture, Forestry and Fisheries of Japan and the Ministry of Trade of Indonesia will exchange information related to the aggregate amount of allocated quotas within the month following the month in which quotas were allocated. (d) The entities of the Parties issuing the certificates referred to above will take the necessary measures to avoid any certificate counterfeit. (e) For the purposes of resolving any matter arising with respect to the issuance of the certificates referred to above or other administrative issues, consultations between the Parties may be made through the Directorate Export of Agriculture and Forestry Product, Directorate General of Foreign Trade of the Ministry of Trade of Indonesia and the International Affairs Department of the Ministry of Agriculture, Forestry and Fisheries of Japan. (a) For the purposes of the above-mentioned No...
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Notes for Schedule of Japan. 1. For the purposes of Article 16, the following categories indicated in Column 4 in the Schedule of Japan, in Section 2 of this Part, shall apply:

Related to Notes for Schedule of Japan

  • CALCULATION OF LOSS FOR SHORT SALE LOANS No Preceeding Loan Mod under Loss Share

  • Schedule of Filings Attached hereto as Schedule 6 is a schedule setting forth, with respect to the filings described in Section 5 above, each filing and the filing office in which such filing is to be made.

  • Amendments to Schedule of Receivables If the Servicer, during a Collection Period, assigns to a Receivable an account number that differs from the original account number identifying such Receivable on the Schedule of Receivables, the Servicer shall deliver to the Issuer, the Owner Trustee and the Indenture Trustee, on or before the Payment Date relating to such Collection Period, an amendment to the Schedule of Receivables reporting the newly assigned account number, together with the old account number of each such Receivable. The first such delivery of amendments to the Schedule of Receivables shall include monthly amendments reporting account numbers appearing on the Schedule of Receivables with the new account numbers assigned to such Receivables during any prior Collection Period.

  • Certificates for Shares Upon the exercise of the purchase rights evidenced by this Warrant, one or more certificates for the number of Shares so purchased shall be issued as soon as practicable thereafter, and in any event within thirty (30) days of the delivery of the subscription notice.

  • SCHEDULE OF WORK FIRST PARTY’S proposed schedule for the various services required will be set forth in Exhibit A-1. In addition to services described in Section A1, the parties may from time to time agree in writing that FIRST PARTY, for additional compensation, shall perform additional services including but not limited to: • Change in the services because of changes in scope of the work. • Additional tasks not specified herein as required by the CITY. The CITY and FIRST PARTY shall agree in writing to any changes in compensation and/or changes in FIRST PARTY’s services before the commencement of any work. If FIRST PARTY deems work he/she has been directed to perform is beyond the scope of this agreement and constitutes extra work, FIRST PARTY shall immediately inform the CITY in writing of the fact. The CITY shall make a determination as to whether such work is in fact beyond the scope of this agreement and constitutes extra work. In the event that the CITY determines that such work does constitute extra work, it shall provide compensation to the FIRST PARTY in accordance with an agreed cost that is fair and equitable. This cost will be mutually agreed upon by the CITY and FIRST PARTY. A supplemental agreement providing for such compensation for extra work shall be negotiated between the CITY and the FIRST PARTY. Such

  • Schedule of Rates The specific rates and costs applicable to this Agreement are set forth in Exhibit B – Schedule of Rates, which is attached hereto and incorporated herein by reference as if set forth in full.

  • LIST OF SCHEDULES Schedule 1.1

  • Payments for Shares The Custodian shall receive from the distributor for the Fund's Shares or from the Transfer Agent of the Fund and deposit into the Fund's account such payments as are received for Shares of the Fund issued or sold from time to time by the Fund. The Custodian will provide timely notification to the Fund and the Transfer Agent of any receipt by it of payments for Shares of the Fund.

  • Schedule of Receivables The information set forth in the Schedule of Receivables has been produced from the Electronic Ledger and was true and correct in all material respects as of the close of business on the Cutoff Date.

  • SCHEDULE OF RESERVED NAMES Except to the extent that ICANN otherwise expressly authorizes in writing, and subject to the terms and conditions of this Specification, Registry Operator shall reserve the following labels from initial (i.e., other than renewal) registration within the TLD. If using self-­‐allocation, the Registry Operator must show the registration in the RDDS. In the case of IDN names (as indicated below), IDN variants will be identified according to the registry operator IDN registration policy, where applicable.

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