Reconciliation / Adjustments Sample Clauses

Reconciliation / Adjustments. The Parties shall jointly reconcile all payments made for the Coal supplies through Online Bill Reconciliation Portal. The Purchaser shall verify/send its observations (if any) on the bills which will be settled by the Seller as per procedures laid down in the Online Bill Reconciliation Portal. The Parties shall forthwith, give credit/debit for the amount reconciled, if any, as assessed during such joint reconciliation. The periodic reconciliation statement shall be jointly signed by the Seller and the Purchaser..
AutoNDA by SimpleDocs
Reconciliation / Adjustments. The Parties shall jointly reconcile all payments made for Coal supplies on quarterly/ annual basis. The Parties shall, forthwith, give credit/debit for the amount falling due, if any, as assessed during such joint reconciliation. The reconciliation statement shall be jointly signed by the authorised representative of the Seller and the Purchaser which shall be final and binding.
Reconciliation / Adjustments. Other than Working Capital
Reconciliation / Adjustments. 1998 budget recalculated at 8.00% of revenue and 1999 budgets recalculated at 7.50% of revenue (for both IPAs) Attachment 1- R NWOC Cap Ded 1995-1996 Deficits IPA Code Date of Cap Deduct Amount 28 5/19/99 *** 28 9/15/99 *** 28 10/5/99 *** 28 11/19/99 *** 28 1/10/00 *** Total *** IPA Code Date of Cap Deduct Amount LY 5/19/99 *** LY 9/15/99 *** LY 10/5/99 *** LY 11/19/99 *** LY 1/10/00 *** Total ***
Reconciliation / Adjustments. In the event the reconciliation completed pursuant to this Agreement shows that the Local Court Revenue retained by the County in the prior year was less than the Participating City’s Case Costs for that year, the Participating City shall pay the difference to the County within 75 calendar days of receipt of a written invoice from the County. In the event the reconciliation completed pursuant to this Agreement shows that the Local Court Revenue retained by the County in the prior year was more than the Participating City Case Costs for that year, the County shall pay the difference to the Participating City within 75 calendar days of the County’s completion of the reconciliation or, at the Participating City’s option provided in writing to the County, credit the Participating City with such amount for the following year or extended term of this Agreement, if any.
Reconciliation / Adjustments. 10.5.1 The Parties shall jointly reconcile all payments made for the Coal supplied during the Term, after the end of Supply Period. Subject to the Term of the Agreement, reconciliation of the quantity supplied/lifted shall be completed immediately after the Supply Period and the overall reconciliation shall be completed after submission of Coal Utilization Certificate by the Purchaser to the Seller in accordance with Clause 4.3.7 of the Detailed Terms and Conditions of the Fuel Supply Agreement. The parties shall, forthwith, give credit/debit for the amount reconciled, if any, as assessed during such joint reconciliation. The reconciliation statement shall be jointly signed by the representatives of the Seller and Purchaser which shall be final and binding.

Related to Reconciliation / Adjustments

  • Certain Adjustments The Exercise Price and number of Warrant Shares issuable upon exercise of this Warrant are subject to adjustment from time to time as set forth in this Section 9.

  • True-Up Adjustments From time to time, until the Retirement of the Recovery Bonds, the Servicer shall identify the need for True-Up Adjustments and shall take all reasonable action to obtain and implement such True-Up Adjustments, all in accordance with the following:

Time is Money Join Law Insider Premium to draft better contracts faster.