Plan Distribution for Review Sample Clauses

Plan Distribution for Review. On 05 August 2010, PSE sent, by certified mail, the Document Review Transmittal Letter and draft Reservoir Shoreline Erosion Control Management Plan to the USDA- FS and Skagit County for review and comment (table 1). Xxxxxxxx copies of the draft plan were also transmitted by e-mail to ARG members on 12 August 2010 (table 1).
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Plan Distribution for Review. On March 31, 2009, PSE sent, by certified mail, the Document Review Cover Letter and draft Fish Propagation Facilities Plan to the Settlement Parties (tables 1 and 2). For reference purposes, the Document Review Cover Letter (figure 2) is provided in this section. Table 1. Parties that were mailed the draft Fish Propagation Facility Plan as part of the formal review process.‌ Xxx Xxxxxx The WA Council of Trout 0000 Xxxxx Xxxxx X.X. Tenino, WA 98589 Xxx Xxxxxx The Nature Conservancy 0000 Xxxxx Xxxxxx Xxxxxxx, XX 00000 Xxxxx Xxxx US Army Corps of Engineers 0000 X. Xxxxxxxx Xxx S. Seattle, WA 98124 Xxxxxx Xxxxx WA Department of Ecology 0000 000xx Xxx. S.E. Bellevue, WA 98008-5452 Xxxxx Xxxxxxx NOAA Fisheries 000 Xxxxxxx X.X., Xxx. 000 Xxxxx, XX 00000 XxXxx Xxxxxxxxx WA Dept. Natural Resources 919 N. Township Sedro-Xxxxxxx, WA 98284 Xxx Xxxxxx Skagit County Resident 00000 Xxxxxx Xxxxxxxx Xx. Mount Vernon, WA 98274 Xxxx Xxxxxxx WA Dept. of Fish and Wildlife PO Box 1100 La Xxxxxx, WA 98257 Xxx Xxxxx Xxxxx US Fish and Wildlife Service 000 Xxxxxxx X.X., Xxx. 000 Xxxxx, XX 00000-0000 Xxxxx Xxxxx USDA Forest Service 000 Xxxxx Xxxxx 00 Xxxxx-Xxxxxxx, WA 98284 Xxxx XxXxxxx Skagit County 0000 Xxxxxxxxxxx Xxxxx Xxxxx Xxxxxx, XX 00000-0000 Xxxxx Xxxxxxxx Upper Skagit Indian Tribe 00000 Xxxxxxxxx Xxxxx Xxxxx-Xxxxxxx, WA 98284 Xxx Xxxxxxx Xxxxxx Fisheries Enhancement Group 00000 X. Xxxxxx Xxx Xxxxx-Xxxxxxx, WA 98284 Xxxx Xxxxx Sauk-Suiattle Indian Tribe PO Box 368 La Xxxxxx, WA 98257 Xxxx Xxxxx Swinomish Indian Tribal Community PO Box 368 La Xxxxxx, WA 98257 Xxxx Xxxxxxxxx North Cascades National Park 000 XX 00 Xxxxx-Xxxxxxx, WA 98284 Town of Concrete 00000 Xxxxxxxx Xxxxxx Xxxxxxxx, XX 00000 Xxxxx Xxxxxxxxxx USDA Forest Service 000 Xxxxx Xxxxx 00 Xxxxx-Xxxxxxx, WA 98284

Related to Plan Distribution for Review

  • Hardship Distribution Upon the Board of Director's determination (following petition by the Executive) that the Executive has suffered an unforeseeable financial emergency as described in Section 2.2.2, the Company shall distribute to the Executive all or a portion of the Deferral Account balance as determined by the Company, but in no event shall the distribution be greater than is necessary to relieve the financial hardship.

  • Distribution of Benefits Members of this unit with at least one year of the service to the District may apply for a number of days consistent with a one-for-one match of their individual sick leave accumulation as of the end of the previous contract year brought forward to the year of the onset of disability. The combined benefit of accumulated personal sick leave and disability bank leave may not exceed one hundred-eighty days and may carry over from one contract year to another. Employees with less than one full year of service in the District will not be require to contribute one of their individual accumulated sick leave days to the disability bank. The Board reviews the right to request re-application and documentation from anyone requesting more than forty (40) days from the pool. Any benefits will be minus other insurance coverage (i.e. worker’s compensation, social security, etc.).

  • Distribution of Benefit The Bank shall distribute the annual benefit to the Executive in twelve (12) equal monthly installments commencing on the first day of the month following Separation from Service. The annual benefit shall be distributed to the Executive for fifteen (15) years.

  • Completion of Review for Certain Review Receivables Following the delivery of the list of the Review Receivables and before the delivery of the Review Report by the Asset Representations Reviewer, the Servicer may notify the Asset Representations Reviewer if a Review Receivable is paid in full by the Obligor or purchased from the Issuer in accordance with the terms of the Basic Documents. On receipt of such notice, the Asset Representations Reviewer will immediately terminate all Tests of the related Review Receivable, and the Review of such Review Receivables will be considered complete (a “Test Complete”). In this case, the related Review Report will indicate a Test Complete for such Review Receivable and the related reason.

  • Application for Benefits Requests for short-term leaves shall be in writing, upon the appropriate form prescribed and provided by the District, and shall be filed with the unit member's supervisor and the appropriate manager five (5) days in advance of the intended leave (except in emergency situations), unless otherwise stated by the provisions of the specific leave.

  • Notice of Final Distribution The notice to be provided pursuant to Section 9.02 to the effect that final distribution on any of the Certificates shall be made only upon presentation and surrender thereof.

  • Contract Distribution The Employer will provide all current and new employees with a link to the new Agreement. Each department or unit will maintain a paper copy of the contract accessible to all employees.

  • Final Distribution The Issuer shall give the Indenture Trustee at least 30 days written notice of the Payment Date on which the Noteholders of any Series, Class or Tranche may surrender their Notes for payment of the final distribution on and cancellation of such Notes. Not later than the fifth day of the month in which the final distribution in respect of such Series, Class or Tranche is payable to Noteholders, the Indenture Trustee shall provide notice to Noteholders of such Series, Class or Tranche specifying (i) the date upon which final payment of such Series, Class or Tranche will be made upon presentation and surrender of Notes of such Series, Class or Tranche at the office or offices therein designated, (ii) the amount of any such final payment and (iii) that the Record Date otherwise applicable to such payment date is not applicable, payments being made only upon presentation and surrender of such Notes at the office or offices therein specified (which, in the case of Bearer Notes, shall be outside the United States). The Indenture Trustee shall give such notice to the Note Registrar and the Paying Agent at the time such notice is given to Noteholders. (a) Notwithstanding a final distribution to the Noteholders of any Series, Class or Tranche of Notes (or the termination of the Issuer), except as otherwise provided in this paragraph, all funds then on deposit in any Issuer Account allocated to such Noteholders shall continue to be held in trust for the benefit of such Noteholders, and the Paying Agent or the Indenture Trustee shall pay such funds to such Noteholders upon surrender of their Notes, if certificated. In the event that all such Noteholders shall not surrender their Notes for cancellation within 6 months after the date specified in the notice from the Indenture Trustee described in paragraph (a), the Indenture Trustee shall give a second notice to the remaining such Noteholders to surrender their Notes for cancellation and receive the final distribution with respect thereto (which surrender and payment, in the case of Bearer Notes, shall be outside the United States). If within one year after the second notice all such Notes shall not have been surrendered for cancellation, the Indenture Trustee may take appropriate steps, or may appoint an agent to take appropriate steps, to contact the remaining such Noteholders concerning surrender of their Notes, and the cost thereof shall be paid out of the funds in the Collection Account or any Supplemental Issuer Accounts held for the benefit of such Noteholders. The Indenture Trustee and the Paying Agent shall pay to the Issuer any monies held by them for the payment of principal or interest that remains unclaimed for two years. After payment to the Issuer, Noteholders entitled to the money must look to the Issuer for payment as general creditors unless an applicable abandoned property law designates another Person.

  • Liquidation Distribution Distributions made upon dissolution of the Partnership shall be made as provided in Section 9.03.

  • Distribution of UDP and TCP queries DNS probes will send UDP or TCP “DNS test” approximating the distribution of these queries.

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