Operative Schedules Clause Samples

Operative Schedules. Schedule 1.1(◼) - Financial Statements Schedule 2 - Permitted Encumbrances Schedule ◼ - Allocation of Purchase Price Schedule ◼ - Taxes Schedule 5.1 - List of Licences, Permits and Authorizations Schedule 6.◼ - ◼ (see pg. 16 of Agreement) Schedule 6.11 - Claims Schedule 6.12 - Product Liability and Warranties Schedule 6.13 - Insurance Schedule 6.15 - Operations of the Business Schedule 6.16 - Purchased Assets Schedule 6.18 - Real Property Schedule 6.20 - Environmental Schedule 6.21 - Leases of Real Property Schedule 6.22 - Equipment Contracts Schedule 6.23 - Intellectual Property Schedule 6.24 - Contracts Schedule 6.25 - Commitments Schedule 6.26 - Guarantees, warranties and Discounts Schedule 6.27 - Major Suppliers and Customers Schedule 6.28 - Employees Schedule 6.29 - Labour Relations Schedule 6.30 - Employee Benefit Plans Schedule ◼ - Non-Competition Agreement Schedule ◼ - Directors and Officers Schedule ◼ - Bank Accounts Schedule ◼ - Articles of Incorporation of Purchaser THIS AGREEMENT made the ◼ day of ◼, 199◼, by and among ◼ (the “Vendor”) and ◼ (the “Purchaser”).

Related to Operative Schedules

  • Wage Schedules The Parties shall, upon completing a wage adjustment calculation, forthwith prepare, publish, post and distribute a wage schedule resulting therefrom. The final determination of the wage schedules shall be issued no later than the 7th day of March or September, for the May and November adjustments, respectively.

  • Outage Schedules The Connecting Transmission Owner shall post scheduled outages of its transmission facilities on the NYISO OASIS. Developer shall submit its planned maintenance schedules for the Large Generating Facility to Connecting Transmission Owner and NYISO for a minimum of a rolling thirty-six month period. Developer shall update its planned maintenance schedules as necessary. NYISO may direct, or the Connecting Transmission Owner may request, Developer to reschedule its maintenance as necessary to maintain the reliability of the New York State Transmission System. Compensation to Developer for any additional direct costs that the Developer incurs as a result of rescheduling maintenance, including any additional overtime, breaking of maintenance contracts or other costs above and beyond the cost the Developer would have incurred absent the request to reschedule maintenance, shall be in accordance with the ISO OATT. Developer will not be eligible to receive compensation, if during the twelve (12) months prior to the date of the scheduled maintenance, the Developer had modified its schedule of maintenance activities other than at the direction of the NYISO or request of the Connecting Transmission Owner.

  • Voltage Schedules Once the Developer has synchronized the Large Generating Facility with the New York State Transmission System, NYISO shall require Developer to operate the Large Generating Facility to produce or absorb reactive power within the design capability of the Large Generating Facility set forth in Article 9.5.1 (Power Factor Design Criteria). NYISO’s voltage schedules shall treat all sources of reactive power in the New York Control Area in an equitable and not unduly discriminatory manner. NYISO shall exercise Reasonable Efforts to provide Developer with such schedules in accordance with NYISO procedures, and may make changes to such schedules as necessary to maintain the reliability of the New York State Transmission System. Developer shall operate the Large Generating Facility to maintain the specified output voltage or power factor at the Point of Interconnection within the design capability of the Large Generating Facility set forth in Article 9.5.1 (Power Factor Design Criteria) as directed by the Connecting Transmission Owner’s System Operator or the NYISO. If Developer is unable to maintain the specified voltage or power factor, it shall promptly notify NYISO.

  • LIST OF SCHEDULES AND EXHIBITS Schedules

  • Mortgage Schedules The Seller from time to time shall provide the Purchaser with certain information constituting a preliminary listing of the Mortgage Loans to be purchased on each Closing Date in accordance with the related Purchase Price and Terms Agreement and this Agreement (each, a "Preliminary Mortgage Schedule"). The Seller shall deliver the related Mortgage Loan Schedule for the Mortgage Loans to be purchased on a particular Closing Date to the Purchaser at least five (5) Business Days prior to the related Closing Date. The related Mortgage Loan Schedule shall be the related Preliminary Mortgage Schedule with those Mortgage Loans which have not been funded prior to the related Closing Date deleted.