Operational Points of Contact Sample Clauses

Operational Points of Contact. For efficient and secure operational processes, it shall be necessary to ensure that specific points of contact between the participants and SIX are agreed and staffed. Should a given point of contact and their deputy in emergency cases not be available, or should SIX not be named, SIX shall decide to the best of its knowledge and belief on the measures to be taken.
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Operational Points of Contact. Xxx Xxxxx Community Pharmacy Project Manager Middlesbrough and Redcar and Cleveland Primary Care Trusts 01642 352650 xxx.xxxxx@xxxxxxxxxxxxxxxx.xxx.xx Xxxxx Xxxxxxx Joint Commissioning Manager Safer Middlesbrough Partnership X_Xxxxxxx@xxxxxxxxxxxxx.xxx.xx Xxxx Xxxxxx Commissioning Manager Redcar and Cleveland Safer Communities Partnership Xxxx.xxxxxx@xxx.xxx
Operational Points of Contact. For PCTs: For CSSP:
Operational Points of Contact. Xxxxxxxx Xxxxxxx, Xxxxxx Xxxx, Xxxxxxxx Xxxxxxxx or Xxx Xxxxxx
Operational Points of Contact. Pavilions Area Manager Richmond House, Richmond Road, Brighton, BN2 3RL. Tel: 00000 000 000 Pavilions Health Promotion Lead Richmond House, Richmond Road, Brighton, BN2 3RL. Tel: 00000 000 000 1. The Orange BookDrug Misuse and Dependence- Guidelines on Clinical Management. Department of Health 2007 2. Medicines, Ethics and Practice A Guide for Pharmacists Version 39, RPSGB July 2015 3. PSNC NHS Community Pharmacy Contractual Framework. Accessed 29/6/16 xxxx://xxxxxxx.xxxx.xxx.xx/data/files/PharmacyContractandServices/EssentialServices/E ssentialServicesDispensingResources/service20spec20es12020dispensing20_v1201020 oct2004_.pdf 4. NHS Litigation Authority Review ISSUE 25 2002/3 5. The Harmonization and Accreditation Group (HAG) Competencies and Training Framework for the Supervised Administrations of Medicines for Substance Misusers, Version 1 (Feb 2007)

Related to Operational Points of Contact

  • POINTS OF CONTACT The following personnel are designated as the Points of Contact between the Parties in the performance of this Annex.

  • Operational Contacts Each Interconnection Party shall designate, and provide to each other Interconnection Party contact information concerning, a representative to be responsible for addressing and resolving operational issues as they arise during the term of the Interconnection Service Agreement.

  • Points of Interconnection and Trunk Types 2.1 Point(s) of Interconnection. 2.1.1 Each Party, at its own expense, shall provide transport facilities to the technically feasible Point(s) of Interconnection on Verizon’s network in a LATA selected by PNG.

  • Single Point of Contact The Contractor must provide, at the request of the Authorized User, a Single Point of Contact (SPOC) regardless of the breadth of the services being provided. The Contractor is required to provide the name and contact telephone numbers (desk, cell phone etc.) of the SPOC. The Authorized User may retain a percentage of each deliverable payment of no more than twenty-five (25) percent until the acceptance of the complete Implementation. This retainage may be reduced up to 5 percent as described in the SOW, when the Contractor substantially reduces the time required from the timeframes negotiated between the Authorized User and the Contractor. When the right is reserved in the RFQ, unanticipated enhancements to the services procured not exceeding a cumulative twenty (20) percent of the Implementation Service cost may be agreed to by the Authorized User. Such inclusion must be included in the Total Cost Evaluation. Such unanticipated enhancements will require a written Authorized User Agreement revision, which for NYS Agency Authorized Users will include an amended Purchase Order. Any changes that will result in exceeding this twenty (20) percent will require a new competitive RFQ. Contractor shall notify the Authorized User in writing when a requested scope change will exceed the cumulative twenty (20) percent total value of the Implementation Services.

  • Operator’s Security Contact Information Xxxxxxx X. Xxxxxxx Named Security Contact xxxxxxxx@xxxxxxxxx.xxx Email of Security Contact (000) 000-0000 Phone Number of Security Contact

  • Processing operations The personal data transferred will be subject to the following basic processing activities (please specify):

  • Operational Control Directing the operation of the Transmission Facilities Under ISO Operational Control to maintain these facilities in a reliable state, as defined by the Reliability Rules. The ISO shall approve operational decisions concerning these facilities, made by each Transmission Owner before the Transmission Owner implements those decisions. In accordance with ISO Procedures, the ISO shall direct each Transmission Owner to take certain actions to restore the system to the Normal State. Operational Control includes security monitoring, adjustment of generation and transmission resources, coordination and approval of changes in transmission status for maintenance, determination of changes in transmission status for reliability, coordination with other Control Areas, voltage reductions and Load Shedding, except that each Transmission Owner continues to physically operate and maintain its facilities.

  • Project Name [Insert Name of Project for which Consultant will provide services] (“Project”)

  • Portfolio Accounting Services (1) Maintain portfolio records on a trade date+1 basis using security trade information communicated from the Fund’s investment adviser. (2) For each valuation date, obtain prices from a pricing source approved by the board of trustees of the Trust (the “Board of Trustees”) and apply those prices to the portfolio positions. For those securities where market quotations are not readily available, the Board of Trustees shall approve, in good faith, procedures for determining the fair value for such securities. (3) Identify interest and dividend accrual balances as of each valuation date and calculate gross earnings on investments for each accounting period. (4) Determine gain/loss on security sales and identify them as short-term or long-term; account for periodic distributions of gains or losses to shareholders and maintain undistributed gain or loss balances as of each valuation date. (5) On a daily basis, reconcile cash of the Fund with the Fund’s custodian. (6) Transmit a copy of the portfolio valuation to the Fund’s investment adviser daily. (7) Review the impact of current day’s activity on a per share basis, and review changes in market value.

  • Facility Operations V. FACILITY OPERATION MON TUES WED THURS FRI SAT SUN A. Hours facility is open to public and employees 6A- 5:30P 6A -5:30P 6A -5:30P 6A -5:30P 6A -5:30P Closed Closed B. Hours facility is open to public and employees

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