Notification of Shipment Sample Clauses

Notification of Shipment. The Contractor shall send electronic notification to the Procuring Contracting Officer (PCO) when shipment is made, which includes the following information:
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Notification of Shipment. 16.1 The Seller shall, seven (7) days prior to the expected date of Shipment, notify the Buyer via email or fax the contract number, name of contract goods, quantity, number of case, total gross weight, total volume and ready for transportation date.
Notification of Shipment. Seller shall notify the Spirit personnel identified by the Procurement Agent, by telephone, facsimile or e-mail when any shipment is made. Such notification will include (i) a list of the items and quantities of items shipped, (ii) the Shipset number with respect to any item shipped, (iii) the number and weight of containers shipped, (iv) the shipper or packing sheet number with respect to such shipment, and (v) the date of such shipment. Seller shall e-mail, express or facsimile copies of shipping manifests for Common-Use Tools to Spirit. Such manifests shall identify Common-Use Tool codes and part numbers, unit numbers of Common-Use Tools and the airplane effectivity of the Production Article contained in such Common-Use Tools.
Notification of Shipment. Upon shipment, Intellon shall deliver to S3 (or a third party designated by S3) by electronic transmission through interface provided by S3 and by facsimile transmission, a "Shipping Alert" verifying shipment of the product. The Shipping Alert will contain the following information: - S3 name and shipping address; - quantity, part number, and version number of the Product shipped; - shipment method and carrier; - waybill number; and - Purchase Order number and, if appropriate, release number.
Notification of Shipment. 46 35.4.1 Title and Risk of Loss ................46 35.5 Notice of Delay - Premium Effort...........................46
Notification of Shipment. After loading is completed (maximum 1 week after X.X date) the Seller shall notify the Buyer by fax or email of the contract number, description of commodity, quantity, name of the carrying vessel, date of shipment and ETA Bandar Abbas as shown in Annex 3. 7.
Notification of Shipment. The Supplier shall send notification of shipment to the Peraton Shipping Authority (SA) for each shipment (via fax or e-mail) disclosing shipping details and carrier waybill number. The SA will track the shipment to ensure proper delivery. If the item is not received, the Supplier shall cooperate with Peraton to the extent necessary to resolve the shipping discrepancy, including but not limited to providing verification that the item(s) were provided to the specified carrier for shipment.
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Notification of Shipment. 5.1. The seller is obliged to notify the Buyer by phone, WhatsApp or e-mail about the readiness of the Products for dispatch and send an invoice and packing list 5 days before the planned shipment date.
Notification of Shipment. 4.1. Seller shall notify Buyer about readiness of the Goods for shipment 10 (ten) days before delivery date by fax or e-mail. With this notification Seller shall send Buyer the following documents by fax: - Commercial Invoice; - Packing list; - Certificate of Conformity (or Quality certificate); 4.2. Buyer should arrange transportation of the Goods after notification about readiness of the goods for shipment. 4.3. All expenses and duties, namely customs duties, taxes and any fees connected with the conclusion and fulfillment of the present Contract to be collected on the territory of Russia shall be paid by the Buyer, out of the territory of Russia shall be paid by the Seller. 5.

Related to Notification of Shipment

  • Notification of Sale Optionee agrees that Optionee, or any person acquiring shares upon exercise of this option, will notify the Bancorp not more than five (5) days after any sale or other disposition of such shares.

  • Notification of Error The Trust will notify USBFS of any discrepancy between USBFS and the Trust, including, but not limited to, failing to account for a security position in the Fund’s portfolio, upon the later to occur of: (i) three business days after receipt of any reports rendered by USBFS to the Trust; (ii) three business days after discovery of any error or omission not covered in the balancing or control procedure; or (iii) three business days after receiving notice from any shareholder regarding any such discrepancy.

  • Notification of Breach / Compliance Reports The Adviser shall notify the Trust immediately upon detection of (i) any material failure to manage any Fund in accordance with its investment objectives and policies or any applicable law; or (ii) any material breach of any of the Funds’ or the Adviser’s policies, guidelines or procedures. In addition, the Adviser shall provide a quarterly report regarding each Fund’s compliance with its investment objectives and policies, applicable law, including, but not limited to the 1940 Act and Subchapter M of the Code, as applicable, and the Fund’s policies, guidelines or procedures as applicable to the Adviser’s obligations under this Agreement. The Adviser agrees to correct any such failure promptly and to take any action that the Board may reasonably request in connection with any such breach. Upon request, the Adviser shall also provide the officers of the Trust with supporting certifications in connection with such certifications of Fund financial statements and disclosure controls pursuant to the Xxxxxxxx-Xxxxx Act. The Adviser will promptly notify the Trust in the event (i) the Adviser is served or otherwise receives notice of any action, suit, proceeding, inquiry or investigation, at law or in equity, before or by any court, public board, or body, involving the affairs of the Trust (excluding class action suits in which a Fund is a member of the plaintiff class by reason of the Fund’s ownership of shares in the defendant) or the compliance by the Adviser with the federal or state securities laws or (ii) an actual change in control of the Adviser resulting in an “assignment” (as defined in the 0000 Xxx) has occurred or is otherwise proposed to occur.

  • Distribution or Notice to Representative Whenever a distribution is to be made or a notice given to holders of Senior Indebtedness, the distribution may be made and the notice given to their Representative (if any).

  • Withdrawal of Stop Orders If the Shelf Registration Statement ceases to be effective for any reason at any time during the Effectiveness Period (other than because of the sale of all of the securities registered thereunder), the Issuers shall use their commercially reasonable efforts to obtain the prompt withdrawal of any order suspending the effectiveness thereof.

  • Application of Receipts Except as expressly stated to the contrary in any Finance Document, any moneys which the Facility Agent receives or recovers in its capacity as Facility Agent shall be applied by the Facility Agent in accordance with Clause 35.5 (Application of receipts; partial payments).

  • Notification of Breach During the term of this Agreement:

  • Confirmation of Scope The parties confirm that the Asset Representations Reviewer is not responsible for determining whether noncompliance with the representations or warranties constitutes a breach of the Basic Documents.

  • Notification of Required or Unauthorised Disclosure You agree (to the extent permitted by law) to inform us of the full circumstances of any disclosure under paragraph 2[(c)/(d)]3 or upon becoming aware that Confidential Information has been disclosed in breach of this letter.

  • Notice of variation of order of application The Agent may give notices under Clause 17.2 from time to time; and such a notice may be stated to apply not only to sums which may be received or recovered in the future, but also to any sum which has been received or recovered on or after the third Business Day before the date on which the notice is served.

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