Points of Compliance Sample Clauses

Points of Compliance. Flow data and analytical results from continuous flow-paced composite sampling at POEs Is the appropriate calculated value1 greater than the applicable Table 1 standard? Yes No Consultative process: During periodic reviews, is it determined that XXX monitoring can be discontinued? No No Yes Consultative process: Are mitigating actions necessary? Yes Modify/continue XXX monitoring Implement mitigating actions Discontinue XXX monitoring Within 30 days of receiving validated data: • DOE submits a plan and schedule to the regulators for an evaluation to address the occurrence Reportable Condition Within 15 days of receiving validated data: • DOE informs the agencies and public4 Notes: see Fig. 1 and Tables 1 and 2 for locations, standards, and sampling criteria.
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Points of Compliance. 21 3.4 WQPS SUMMARY ................................................ 23
Points of Compliance. According to Section 2550.5, a point of compliance is a vertical surface located at the hydraulically downgradient limit of the waste management unit that extends through the uppermost water bearing unit underlying the waste. At the Site, the water table is located within the waste and therefore, points of compliance at the Site should be located hydraulically downgradient of the former refuse fill areas (shallow water compliance points) and in the first water bearing zone beneath the refuse (compliance points to protect deeper groundwater).
Points of Compliance. Flow data and analytical results from continuous flow-paced composite sampling at POEs Is the appropriate compliance value1 greater than the applicable Table 1 standard? Yes No Consultative process: During periodic reviews, is it determined that XXX monitoring can be discontinued? No No Yes Consultative process: Are mitigating actions necessary? Yes Modify/continue XXX monitoring Implement mitigating actions Discontinue XXX monitoring Within 30 days of receiving validated data: • DOE submits a plan and schedule to the regulators for an evaluation to address the occurrence Reportable Condition Within 15 days of receiving validated data: • DOE informs the agencies and public4 Notes: see Fig. 1 and Tables 1 and 2 for locations, standards, and sampling criteria. 1 Appropriate Compliance Values by analytes (see Table 2 for reference) • plutonium, americium, uranium → 12-month rolling average2 • dissolved Cd and Ag, total Be and Cr → 85th percentile of 30-day averages3 for previous calendar year 2 The 30-day average for a particular day is calculated as a volume-weighted average of a “window” of time containing the previous 30- days with measurable flow. Each day has its own discharge volume (measured with a flow meter) and activity/concentration (from the sample carboy in place at the end of that day). Therefore, there are 365 30 day moving averages for a location that flows all year. At locations that have intermittent flows, 30-day averages are reported as averages of the previous 30 days of greater than zero flow. For days where no analytical result is available, either due to failed laboratory analysis or NSQ for analysis, no 30-day average is reported. 3 The 12-month rolling average for the last day of a particular month is calculated as a volume-weighted average of a “window” of time containing the previous 12 months. Each 12-month “window” includes daily discharge volumes (measured with a flow meter) and daily activities/concentrations (from the sample carboy in place at the end of that day). Therefore, there are twelve 12-month rolling averages for a given calendar year. Days with no flow or no analytical result, either due to failed laboratory analysis or NSQ for analysis, are not included in the average. When no flow has occurred in the previous 12 months, no 12-month rolling average is reported. 4 Agencies: EPA, CDPHE, and USFWS Public: Cities of Broomfield, Northglenn, Xxxxxxxx, and Westminster; Rocky Flats Stewardship Council (RFSC) Figure 6. Point...

Related to Points of Compliance

  • Evidence of Compliance Each Restricted Person will furnish to each Lender at such Restricted Person’s or Borrower’s expense all evidence which Administrative Agent from time to time reasonably requests in writing as to the accuracy and validity of or compliance with all representations, warranties and covenants made by any Restricted Person in the Loan Documents, the satisfaction of all conditions contained therein, and all other matters pertaining thereto.

  • Reporting of Compliance Matters (a) The Sub-Adviser shall promptly provide to the Trust’s Chief Compliance Officer (“CCO”) the following documents:

  • Tax Law Compliance The Company and its subsidiaries have filed all necessary federal, state and foreign income and franchise tax returns or have properly requested extensions thereof and have paid all taxes required to be paid by any of them and, if due and payable, any related or similar assessment, fine or penalty levied against any of them except as may be being contested in good faith and by appropriate proceedings. The Company has made adequate charges, accruals and reserves in the applicable financial statements referred to in Section 1(j) above in respect of all federal, state and foreign income and franchise taxes for all periods as to which the tax liability of the Company or any of its subsidiaries has not been finally determined.

  • Annual Statement of Compliance The Officer’s Certificate required to be delivered by the Issuing Entity, pursuant to Section 3.9 of the Indenture or the Officer’s Certificate required to be delivered by the Servicer pursuant to Section 4.01(a) of the Servicing Agreement, as applicable.

  • AML Compliance The Dealer Manager represents to the Company that it has established and implemented anti-money laundering compliance programs in accordance with applicable law, including applicable FINRA Conduct Rules, Exchange Act Regulations and the USA PATRIOT Act, specifically including, but not limited to, Section 352 of the International Money Laundering Abatement and Anti-Terrorist Financing Act of 2001 (the “Money Laundering Abatement Act,” and together with the USA PATRIOT Act, the “AML Rules”) reasonably expected to detect and cause the reporting of suspicious transactions in connection with the offering and sale of the Offered Shares. The Dealer Manager further represents that it is currently in compliance with all AML Rules, specifically including, but not limited to, the Customer Identification Program requirements under Section 326 of the Money Laundering Abatement Act, and the Dealer Manager hereby covenants to remain in compliance with such requirements and shall, upon request by the Company, provide a certification to the Company that, as of the date of such certification (a) its AML Program is consistent with the AML Rules and (b) it is currently in compliance with all AML Rules, specifically including, but not limited to, the Customer Identification Program requirements under Section 326 of the Money Laundering Abatement Act.

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