REVIEW BY CONTRACT ADMINISTRATOR Sample Clauses

REVIEW BY CONTRACT ADMINISTRATOR. The Contract Administrator may: review any Estate Information and any other documents prepared and submitted by the Contractor under and in accordance with this Annexure 1 (Annexure 1 Estate Information), or any resubmitted Annexure 1 Estate Information; and within 14 days, or such longer period as the Contract Administrator may reasonably require, as notified in writing to the Contractor: approve the Annexure 1 Estate Information; or reject the Annexure 1 Estate Information if in the Contract Administrator's reasonable opinion the Annexure 1 Estate Information does not comply with the requirements of the Contract. If any Annexure 1 Estate Information is rejected, the Contractor must promptly (and in any event within 14 days) resubmit amended Annexure 1 Estate Information to the Contract Administrator and paragraph (a) shall reapply until the Contract Administrator approves the relevant Annexure 1 Estate Information. Clause 24.2 of the Conditions of Contract will apply to any review by the Contract Administrator in accordance with this clause 1. Without limiting any other provision of the Contract, and notwithstanding any approval by the Contract Administrator under paragraph (a), where an error, defect or omission in the Annexure 1 Estate Information is identified, the Contractor must revise and resubmit the relevant Annexure 1 Estate Information as directed by the Contract Administrator, and paragraph (a) shall reapply. The Contractor must: by no later than 28 days prior to the date on which the Contractor anticipates achieving Completion, prepare and submit the complete sets of the draft drawings and documents in respect of the Works or the Stage (Draft As-Constructed Documents) to the Contract Administrator for its review under clause 1(a) as follows: Multi-discipline updated Master Site Plan (to reflect the Works or a Stage) in accordance with the Spatial Data Management Plan and so as to show any change or modification to all infrastructure and asset features; and surveys of the Works or a Stage prepared in accordance with, and to the standard required by, the Spatial Data Management Plan; [INSERT STAGE/S (IF APPLICABLE) AND ANY ADDITIONAL REQUIREMENTS] Architectural building plans and floor plans, including floor types; and provision of (or amendment to) Spaces Plan in accordance with the Spatial Data Management Plan; [INSERT] Landscape plans; cabling/systems layout; underground cabling/systems layout; as-constructed metering strategy; separate land...
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REVIEW BY CONTRACT ADMINISTRATOR. .1 Allow Contract Administrator access to Work. .2 Contract administrator may order any part of the Work to be reviewed or inspected if Work is suspected to be not in accordance with Contract Documents. .3 If, upon review such work is found not in accordance with Contract Documents, correct such Work and pay cost of additional review and correction.
REVIEW BY CONTRACT ADMINISTRATOR. 1 Allow Contract Administrator access to Work.
REVIEW BY CONTRACT ADMINISTRATOR. Delete 5.2.1 and replace with Delete 5.2.4 and replace with Delete 5.3.1 and replace with Delete 5.3.2 and replace with accepted in lieu of Shop Drawings, as determined by the Contract Administrator, in consultation with the City Engineer, and provided the following conditions are met: (1) Information is deleted which is not applicable to the project. (2) The standard information is supplemented with additional information applicable and specific to the Work. The Contractor shall submit Shop Drawings, product data and samples to the Contract Administrator in a timely way and in an orderly sequence so as to permit the Contract Administrator and City Engineer a reasonable opportunity to review the provided information without causing a delay to the Work or to the work of Other Contractors. The Contractor shall submit a Shop Drawing schedule in accordance with the Specifications related to the Construction Schedule. The Contractor shall schedule submissions at least 10 Days before the date that reviewed submission will be needed. The Contractor shall submit the number of copies of Shop Drawings and product data which the Contractor requires for distribution plus two (2) copies which will be retained by the Contract Administrator. Shop Drawings shall be prepared and submitted in compliance with the requirements of the City of Vancouver Construction Specifications (Error! Reference source not found.). Unless otherwise noted, the Shop Drawings may be in CAD format, or other format at selection of the Contractor. The Contract Administrator, in consultation with the City Engineer, will review Shop Drawings submitted by the Contractor and return them in accordance with an agreed-to schedule, if any, or otherwise with reasonable promptness so as not to cause delay to the Work. Contractor shall coordinate the timing of all submissions required pursuant to the Contract Documents with the performance of the Work to which the submission relates. Individual Shop Drawings will not be reviewed until all related drawings are available. The Contractor shall make any changes in Shop Drawings which the Contract Administrator or City Engineer may require consistent with the Contract Documents and resubmit unless otherwise directed by the Contract Administrator or City Engineer. When resubmitting, the Contractor shall notify the Contract Administrator in writing of any revisions other than those requested by the Contract Administrator or City Engineer.

Related to REVIEW BY CONTRACT ADMINISTRATOR

  • Asset Representations Review Representative The Asset Representations Reviewer will designate one or more representatives who will be available to the Issuer and the Servicer during the performance of an Asset Representations Review.

  • Asset Representations Review (a) Upon the occurrence of a Delinquency Trigger with respect to any Collection Period, the Servicer will promptly send to TMCC, the Administrator, the Indenture Trustee and each Noteholder (and to each applicable Clearing Agency for distribution to Note Owners in accordance with the rules of such Clearing Agency) a notice describing (i) the occurrence of the Delinquency Trigger, and including reasonably detailed calculations thereof, and (ii) the rights of the Noteholders and Note Owners regarding an Asset Representations Review (including a description of the method by which Noteholders and Note Owners may contact the Indenture Trustee in order to request a Noteholder vote in respect of an Asset Representations Review). (b) If the Indenture Trustee notifies the Servicer pursuant to Section 12.02 of the Indenture that sufficient Noteholders have voted within the required time to initiate an Asset Representations Review of all ARR Receivables by the Asset Representations Reviewer pursuant to the Asset Representations Review Agreement, then the Servicer shall: (i) promptly notify the Asset Representations Reviewer and the Indenture Trustee of the number of ARR Receivables; (ii) within sixty (60) days after receipt by the Servicer of such notice from the Indenture Trustee, render reasonable assistance, including granting access to copies of any underlying documents and Receivable Files and all other relevant documents, to the Asset Representations Reviewer to facilitate the performance of a review of all ARR Receivables, pursuant to Section 3.2(a) of the Asset Representations Review Agreement, in order to verify compliance with the representations and warranties made to the Issuer by the Seller and the Servicer; and (iii) provide such other reasonable assistance to the Asset Representations Reviewer as it requests in order to facilitate its Asset Representations Review of the ARR Receivables pursuant to the Asset Representations Review Agreement. The Servicer may redact any materials provided to the Asset Representations Reviewer in order to remove any personally identifiable customer information. Except for the measure described in the immediately preceding sentence, the Servicer will use commercially reasonable efforts not to change the meaning of such materials or their usefulness to the Asset Representations Reviewer in connection with its review pursuant to Section 3.2(a) of the Asset Representations Review Agreement.

  • Asset Representations Reviewer Representative The Asset Representations Reviewer will designate one or more representatives who will be available to the Issuer and the Servicer during the performance of an Asset Review.

  • Engagement of Successor Asset Representations Reviewer Following the resignation or removal of the Asset Representations Reviewer, the Issuer will engage a successor Asset Representations Reviewer who meets the eligibility requirements of Section 5.1.

  • Asset Representations Review Process Section 3.01 Asset Representations Review Notices and Identification of Review Receivables. On receipt of an Asset Representations Review Notice from the Seller according to Section 5.7 of the Receivables Purchase Agreement, the Asset Representations Reviewer will start an Asset Representations Review. The Servicer will provide the list of Review Receivables to the Asset Representations Reviewer promptly upon receipt of the Asset Representations Review Notice. The Asset Representations Reviewer will not be obligated to start, and will not start, an Asset Representations Review until an Asset Representations Review Notice and the related list of Review Receivables is received. The Asset Representations Reviewer is not obligated to verify (i) whether the conditions to the initiation of the Asset Representations Review and the issuance of an Asset Representations Review Notice described in Section 7.6 of the Indenture were satisfied or (ii) the accuracy or completeness of the list of Review Receivables provided by the Servicer.

  • Successor Asset Representations Reviewer Following the resignation or removal of the Asset Representations Reviewer under Section 5.1, the Issuer will engage as the successor Asset Representations Reviewer a Person that is an Eligible Asset Representations Reviewer. The successor Asset Representations Reviewer will accept its engagement or appointment by executing and delivering to the Issuer and the Servicer an agreement to assume the Asset Representations Reviewer’s obligations under this Agreement or entering into a new Asset Representations Review Agreement with the Issuer that is on substantially the same terms as this Agreement.

  • Eligibility Requirements for Asset Representations Reviewer The Asset Representations Reviewer must be a Person who (a) is not Affiliated with the Sponsor, the Depositor, the Servicer, the Indenture Trustee, the Owner Trustee or any of their Affiliates and (b) was not, and is not Affiliated with a Person that was, engaged by the Sponsor or any Underwriter to perform any due diligence on the Receivables prior to the Closing Date.

  • Asset Representations Reviewer The Asset Representations Reviewer shall have been appointed and shall have entered into the Asset Representations Review Agreement.

  • Independence of the Asset Representations Reviewer The Asset Representations Reviewer will be an independent contractor and will not be subject to the supervision of the Issuer for the manner in which it accomplishes the performance of its obligations under this Agreement. Unless expressly authorized by the Issuer, the Asset Representations Reviewer will have no authority to act for or represent the Issuer and will not be considered an agent of the Issuer. Nothing in this Agreement will make the Asset Representations Reviewer and the Issuer members of any partnership, joint venture or other separate entity or impose any liability as such on any of them.

  • Review of Custodial Files The Custodian agrees, for the benefit of Certificateholders, to review, in accordance with the provisions of Section 2.01 of the Pooling and Servicing Agreement, each Custodial File. If in performing the review required by this Section 2.3 the Custodian finds any document or documents constituting a part of a Custodial File to be missing or defective in any material respect, the Custodian shall promptly so notify the Seller, the Master Servicer and the Trustee.

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