Report Title Sample Clauses

Report Title. Financial Statements of Agency form number: FR Y–11 and OMB control number: 7100–0244.
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Report Title. TR-2467 [**] TR-2702 Testing of Physical Stability of Macroflux® PTH Systems in [**] Model TR-2703 Effect of Patch Wearing Time of Macroflux® PTH Systems In Vivo Using [**] Model TR-1331 Formulation Development Report TR-1348 Oxidation of PTH(1-34) in the solid state TR-1349 Solution Stability of PTH(1-34) TR-1350 Solid State Stability of PTH TR-1479 [**] TR-1483 [**] TR-1511 [**] TR-1512 [**] TR-1531 hPTH(1-34) Macroflux® formulation development report TR-1584 Determination of Coating Variability TR-1709 [**] TR-2192 Macroflux® Human B-type Naturetic Peptide (hBNP) Formulation Development Report TR-2326 IVP-1 Packaging Configuration Long Term Stability: 6 Month Data Summary TR-2510 Determination of Residual Human Parathyroid Hormone (hPTH) 1-34 on [**] Skin TR-1454 Identification and Handling of Dedicated Equipment for PDP-1 In Phase I Clinical Builds TR-1555 PDP-09: Macroflux® hPTH (1-34) Phase I Process Development Report TR-1568 PDP-09 (hPTH) Coating Process Development TR-06-0576- 003# 4-Week Subcutaneous Injection Toxicity and Toxicokinetic Study with Teriparatide (Human Parathyroid Hormone, 1-34) in Rats transfer to occur by 12/31/06 TR-05-7106- 021# Chromosomal Aberrations in Chinese Hamster Ovary (CHO) Cells transfer to occur by 12/31/06 TR-05-7106- 022# Salmonella-Escherichia coli/Mammalian-Microsome Reverse Mutation Assay with a Confirmatory Assay transfer to occur by 12/31/06 TR-05-016 A Primary and Cumulative Irritation Study of Macroflux® (hPTH) [**] TR-02-029 A Primary Skin Irritation Study of Macroflux® (Desmopressin) Systems in [**] [**] [**] [**] TR-02-002 [**] TR-1510-DHF Macroflux® Gen 3i Applicator (code no. 0013490) Design and Development Plan TR-1525-DHF Development Team and Approval Matrix for the Macroflux® Applicator (Code No. 0013490) TR-1292-DHF Macroflux® Applicator (Code No. 0011864) User / Stakeholder Needs TR-1294-DHF Hold-down Force Criterion TR-1295-DHF Impact Criterion TR-1497-DHF Macroflux® Applicator (Code No. 0013490) User/Stakeholder Needs TR-1511-DHF Macroflux® Gen 3i Applicator (Code No. 0013490) System Requirements TR-1293-DHF Process Validation TR-1296-DHF Macroflux® Applicator Code No. 0011864 Technical File TR-1297-DHF Evaluation of the Conformity with the Essential Requirements (Directive 93/42/EEC, Annex 1) TR-1454-DHF - Macroflux® Identification and Handling of Dedicated Equipment for PDP-1 in Phase I Clinical Builds TR-1508-DHF Macroflux® Gen3i Applicator (Code No. 0013490) Material Selection TR-1509-DHF Mac...
Report Title. Country Exposure Report for U.S. Branches and Agencies of Foreign Banks. Form Number: FFIEC 019. Respondents: All branches and agencies of foreign banks domiciled in the United States with total direct claims on foreign residents in excess of Estimated Number of Respondents: Estimated Average Burden per Response: Ongoing: 10 hours; one-time: 4 hours.
Report Title. Consumer Satisfaction Questionnaire, the Federal Reserve Consumer Help—Consumer Survey, the Consumer Online Complaint Form, and the Appraisal Complaint Form. Agency form number: FR 1379a, FR 1379b, FR 1379c, and FR 1379d. OMB control number: 7100–0135.
Report Title. 2. Contract number; 3. Delivery Order number; 4. Date; 5. Distribution D.4 TRANSMISSION OF DELIVERABLES All deliverable items required by this contract will be shipped F.O.B. destination, within the consignee’s premises, with all mailing and transport expenses prepaid by the contractor. (End of Section D) PEARS II Screening Information Request Part I – The Schedule SIR No. DTFAWA-17- R-00009 Section E – Inspection and Acceptance Page 18 of 105 PART I - SECTION E INSPECTION AND ACCEPTANCE E.1 3.10.4-4 INSPECTION OF SERVICES - BOTH FIXED-PRICE & COST REIMBURSEMENT (APRIL 1996) E-2 3.10.4-5 INSPECTION--TIME-AND-MATERIAL AND LABOR-HOUR (APRIL 1996) E.2 INSPECTION AND ACCEPTANCE (a) The Contracting Officer (CO), or the Contracting Officer’s Representative (COR), listed in Section G.1, as the CO’s duly authorized representative, is authorized to perform inspection on behalf of the Government for the purpose of acceptance of all services to be provided.
Report Title. 2. Agreement number; 3. Date; and 4. Distribution.

Related to Report Title

  • Name Collision Report Handling 6.3.1 During the first two years after delegation of the TLD, Registry Operator’s emergency operations department shall be available to receive reports, relayed by ICANN, alleging demonstrably severe harm from collisions with overlapping use of the names outside of the authoritative DNS. 6.3.2 Registry Operator shall develop an internal process for handling in an expedited manner reports received pursuant to subsection 6.3.1 under which Registry Operator may, to the extent necessary and appropriate, remove a recently activated name from the TLD zone for a period of up to two years in order to allow the affected party to make changes to its systems.

  • Smaller Reporting Company As of the time of filing of the Registration Statement, the Company was a “smaller reporting company,” as defined in Rule 12b-2 of the Exchange Act Regulations.

  • Status Reports The Grantee shall submit status reports quarterly, unless otherwise specified in the Attachments, on Exhibit A, Progress Report Form, to Department’s Grant Manager describing the work performed during the reporting period, problems encountered, problem resolutions, scheduled updates, and proposed work for the next reporting period. Quarterly status reports are due no later than twenty (20) days following the completion of the quarterly reporting period. For the purposes of this reporting requirement, the quarterly reporting periods end on March 31, June 30, September 30 and December 31. The Department will review the required reports submitted by Grantee within thirty (30) days.

  • Reporting TIPS Sales Vendor must report all TIPS Sales to TIPS. If a TIPS sale is initiated by Vendor receiving a TIPS Member’s purchase order from TIPS directly, Vendor may consider that specific TIPS Sale reported. Otherwise, with the exception of TIPS Automated Vendors, who have signed an exclusive agreement with TIPS regarding reporting, all TIPS Sales must be reported to TIPS by either: (1) Emailing the purchase order or similar purchase document (with Vendor’s Name, as known to TIPS, and the TIPS Contract Name and Number included) to TIPS at xxxxxx@xxxx-xxx.xxx with “Confirmation Only” in the subject line of the email within three business days of Vendor’s acceptance of the order, or; (2) Within 3 business days of the order being accepted by Vendor, Vendor must login to the TIPS Vendor Portal and successfully self-report all necessary sale information within the Vendor Portal and confirm that it shows up accurately on your current Vendor Portal statement. No other method of reporting is acceptable unless agreed to by the Parties in writing. Failure to report all sales pursuant to this provision may result in immediate cancellation of Vendor’s TIPS Contract(s) for cause at TIPS’ sole discretion. Please refer to the TIPS Accounting FAQ’s for more information about reporting sales and if you have further questions, contact the Accounting Team at xxxxxxxxxx@xxxx-xxx.xxx.

  • Contract Reporting The Contractor shall report information on orders received from Customers associated with this Contract. No price adjustments will be considered for any Contractor who has outstanding reports, or any other documentation required under this Contract. The Contractor shall submit reports in accordance with the following schedule: MFMP Transaction Fee Report Calendar month 15 calendar days after the end of each month Quarterly Sales Report State’s Fiscal Quarter 30 calendar days after close of the period Diversity Report(submitted to the Customer) State Fiscal Year 30 Business Days after close of the period Preferred Pricing Affidavit (in accordance with the Special Contract Conditions) Annual Contract Anniversary Date

  • CMI/RAI MDS Report Recognizing the mutual objective of quality resident care, the Employer agrees to meet through the Union Management Committee with the Union as soon as practicable after the receipt of the annual CMI/RAI MDS report. The Employer agrees to provide the Union with staffing levels, and staffing mix information; the impact of related payroll costs on staffing levels and a written notice of the CMI/RAI MDS report for the facility. The purpose of this meeting is to discuss the impact of the CMI/RAI MDS report on the staffing levels in the Home, quality resident care, and provide the Union with an opportunity to make representation in that regard. The parties shall meet as necessary to discuss other changes or workload issues. The parties may invite additional participants to attend the meeting to support constructive review and discussion.

  • DATA REPORTING a) CONTRACTOR shall agree to provide all data related to student information and billing information with XXX. CONTRACTOR shall agree to provide all data related to any and all sections of this contract and requested by and in the format require by the LEA. CONTRACTOR shall provide the LEA with invoices, attendance reports and progress reports for LEA students enrolled in CONTRACTOR’s NPS/A. b) Using forms developed by the CDE or as otherwise mutually agreed upon by CONTRACTOR and XXX, CONTRACTOR shall provide LEA, on a monthly basis, a written report of all incidents in which a statutory offense is committed by any LEA student, regardless if it results in a disciplinary action of suspension or expulsion. This includes all statutory offenses as described in Education Code sections 48900 and 48915. CONTRACTOR shall also include, in this monthly report, incidents resulting in the use of a behavioral restraint and/or seclusion even if they were not a result of a violation of Education Code sections 48900 and 48915. c) The LEA shall provide the CONTRACTORS with approved forms and/or format for such data including but not limited to invoicing, attendance reports and progress reports. The LEA may approve use of CONTRACTORS-provided forms at their discretion.

  • Monthly Reporting Within twenty (20) calendar days following the end of each calendar month, Registry Operator shall deliver to ICANN reports in the format set forth in Specification 3 attached hereto (“Specification 3”).

  • Report on Assessment of Compliance and Attestation (a) On or before March 1 of each calendar year, commencing in 2007, the Servicer shall: (i) deliver to the Owner and any Depositor a report (in form and substance reasonably satisfactory to the Owner and such Depositor) regarding the Servicer’s assessment of compliance with the Servicing Criteria during the immediately preceding calendar year, as required under Rules 13a-18 and 15d-18 of the Exchange Act and Item 1122 of Regulation AB. Such report shall be addressed to the Owner and such Depositor and signed by an authorized officer of the Servicer, and shall address each of the Servicing Criteria specified on a certification substantially in the form of Exhibit 7 hereto delivered to the Owner concurrently with the execution of this Agreement; (ii) deliver to the Owner and any Depositor a report of a registered public accounting firm reasonably acceptable to the Owner and such Depositor that attests to, and reports on, the assessment of compliance made by the Servicer and delivered pursuant to the preceding paragraph. Such attestation shall be in accordance with Rules 1-02(a)(3) and 2-02(g) of Regulation S-X under the Securities Act and the Exchange Act; (iii) cause each Subservicer, and each Subcontractor determined by the Company pursuant to Section 12.06(b) to be “participating in the servicing function” within the meaning of Item 1122 of Regulation AB, to deliver to the Owner and any Depositor an assessment of compliance and accountants’ attestation as and when provided in paragraphs (a) and (b) of this Section; and (iv) if requested by the Owner or any Depositor not later than February 1 of the calendar year in which such certification is to be delivered, deliver to the Owner, any Depositor and any other Person that will be responsible for signing the certification (a “Sarbanes Certification”) required by Rules 13a-14(d) and 15d-14(d) under the Exchange Act (pursuant to Section 302 of the Xxxxxxxx-Xxxxx Act of 2002) on behalf of an asset-backed issuer with respect to a Securitization Transaction a certification in the form attached hereto as Exhibit 6. The Servicer acknowledges that the parties identified in clause (a)(iv) above may rely on the certification provided by the Servicer pursuant to such clause in signing a Sarbanes Certification and filing such with the Commission. Neither the Owner nor any Depositor will request delivery of a certification under clause (a)(iv) above, unless a Depositor is required under the Exchange Act to file an annual report on Form 10-K with respect to an issuing entity whose asset pool includes Mortgage Loans. (b) Each assessment of compliance provided by a Subservicer pursuant to Section 12.05(a)(i) shall address each of the Servicing Criteria specified on a certification substantially in the form of Exhibit 7 hereto delivered to the Owner concurrently with the execution of this Agreement or, in the case of a Subservicer subsequently appointed as such, on or prior to the date of such appointment. An assessment of compliance provided by a Subcontractor pursuant to Section 12.05(a)(iii) need not address any elements of the Servicing Criteria other than those specified by the Servicer pursuant to Section 12.06.

  • Foreign Assets/Account Reporting Information Italian residents who, during the fiscal year, hold investments abroad or foreign financial assets (e.g., cash, Shares and RSUs) which may generate income taxable in Italy are required to report such on their annual tax returns (UNICO Form, RW Schedule) or on a special form if no tax return is due. The same reporting obligations apply to Italian residents who, even if they do not directly hold investments abroad or foreign financial assets (e.g., cash, Shares and RSUs), are beneficial owners of the investment pursuant to Italian money laundering provisions.

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