TRAINEE DAYS ACCOUNTING Sample Clauses

TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: 4.1 For instruction at the Seller’s Training Centers: [***]. The number of trainees originally registered at the beginning of the course shall be counted as the number of trainees to have taken the course. 4.2 For instruction outside of the Seller’s Training Centers: [***] Seller Instructor equals the actual number of trainees attending the course or a [***], except for structure maintenance training course(s). 4.3 For structure maintenance training courses outside the Seller’s Training Center(s), [***]. 4.4 For practical training, whether on training devices or on aircraft, [***]. CT1707017 PA A321 NEO EXECUTION [***] Confidential portion omitted and filed separately with the Commission Pursuant to a Request for Confidential Treatment.
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TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: (i) For instruction at the Seller’s Training Center or affiliated training center, one day of instruction for one (1) trainee equals one (1) trainee day, and the number of trainees as confirmed by the Buyer sixty (60) days before the beginning of the course will be counted as the number of trainees considered to have taken the course. (ii) For instruction outside of the Seller’s Training Center or affiliated training center, not including practical training, one (1) day of instruction by one (1) Seller instructor equals the actual number of trainees attending the course or a minimum of twelve (12) trainee days except for the structure maintenance training course: one (1) day of instructor by one (1) Seller instructor equals the actual number of trainees attending the course or a minimum of six (6) trainee days and a maximum of eight (8) trainee days. (iii) For instruction outside of the Seller’s Training Center or affiliated training center that is practical training, one (1) day of instruction by one (1) Seller instructor equals the actual number of trainees attending the course or a minimum of six (6) trainee days. If training being provided outside of the Seller’s Training Center or affiliated training centers specifically at the Seller’s request, Paragraph 3(i) above will be applicable to the trainee days accounting for such training facility. INTREPID – A330-200F PA - Execution Version – 05/2007 103/134 CONFIDENTIAL AND PROPRIETARY INFORMATION ***** Confidential portions of the material have been omitted and filed separately with the Securities and Exchange Commission.
TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: 3.1 For instruction at the Seller’s Training Centers or Affiliated Training Centers: ***** of instruction for ***** The number of trainees originally registered at the beginning of the course shall be counted as the number of trainees to have taken the course. 3.2 For instruction outside of the Seller’s Training Centers or Affiliated Training Centers: ***** 3.3 For practical training, ***** 3.4 In the event of training being provided outside of the Seller’s Training Centers or Affiliated Training Centers specifically at the Seller’s request, Paragraph 3.1 hereabove shall be applicable to the trainee days accounting for such training.
TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: (i) For instruction at the Seller’s Training Center or Affiliated Training Center, ** and the number of trainees as confirmed by the Buyer ** days before the beginning of the course will be counted as the number of trainees considered to have taken the course. (ii) For instruction outside of the Seller’s Training Center or Affiliated Training Center, not including practical training, **equals the actual number of trainees attending the course or a minimum of ** trainee days. (iii) For instruction outside of the Seller’s Training Center or Affiliated Training Center that is practical training, ** equals the actual number of trainees attending the course or a minimum of ** trainee days. If training is to be provided outside of the Seller’s Training Center or Affiliated Training Center specifically at the Seller’s request, Paragraph 2(i) will be applicable to the trainee days accounting for such training facility. USA — Airbus A330 Purchase Agreement EXECUTION PRIVILEGED AND CONFIDENTIAL **Confidential Treatment Requested. 17 SUPPLIER PRODUCT SUPPORT
TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: (i) For instruction at the Seller’s training center or affiliated training center, one day of instruction for one (1) trainee equals one (1) trainee day, and, in the case of cancellation or rescheduling by the Buyer [***]. (ii) For instruction outside of the Seller’s training center or affiliated training center, not including practical training, one (1) day of instruction by one (1) Seller instructor equals the actual number of trainees attending the course or a minimum of [***] trainee days. (iii) For instruction outside of the Seller’s training center or affiliated training center that is practical training, one (1) day of instruction by one (1) Seller instructor equals the actual number of trainees attending the course or a minimum of [***] trainee days. In the event of training being provided outside of the Seller’s training center or affiliated training centers specifically at the Seller’s request, Paragraph 3(i) above shall be applicable to the trainee days accounting for such training facility.
TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: 4.1 For instruction at the Seller’s Training Centers: [***]. The number of trainees originally registered at the beginning of the course shall be counted as the number of trainees to have taken the course. 4.2 For instruction outside of the Seller’s Training Centers: [***] Seller Instructor equals the actual number of trainees attending the course or [***]. 4.3 For structure maintenance training courses outside the Seller’s Training Center(s), [***]. 4.4 For practical training, whether on training devices or on aircraft, [***] trainee days.
TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: (i) For instruction at the Seller’s Training Center or Affiliated Training Center, **, and the number of trainees as confirmed by the Buyer ** before the beginning of the course will be counted as the number of trainees considered to have taken the course. (ii) For instruction outside of the Seller’s Training Center or Affiliated Training Center, not including practical training, ** (iii) For instruction outside of the Seller’s Training Center or Affiliated Training Center that is practical training, ** If training is to be provided outside of the Seller’s Training Center or Affiliated Training Center specifically at the Seller’s request, Paragraph 3(i) will be applicable to the trainee days accounting for such training facility.
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TRAINEE DAYS ACCOUNTING. Trainee days are counted as follows: 4.1 For instruction at the Seller’s Training Centers: *** day of instruction for *** trainee equals *** trainee day. The number of trainees originally registered at the beginning of the course shall be counted as the number of trainees to have taken the course. 4.2 For instruction outside of the Seller’s Training Centers: *** day of instruction by *** Seller Instructor equals the actual number of trainees attending the course or a ***, except for structure maintenance training course(s). 4.3 For structure maintenance training courses outside the Seller’s Training Center(s), *** day of instruction by *** Seller Instructor equals the actual number of trainees attending the course or the *** of trainees as indicated in the Seller’s Customer Services Catalog. 4.4 For practical training, whether on training devices or on aircraft, *** day of instruction by *** Seller Instructor equals the actual number of trainees attending the course or ***. UNQUOTE XX0000000 – United Airlines, Inc. – A350-900XWB Purchase AgreementLetter Agreement No.5 LA5-19
TRAINEE DAYS ACCOUNTING. 3.1 The minimum and maximum number of trainees per course, when relevant, is set out in the CSC. 3.2 Trainee days are counted as follows:

Related to TRAINEE DAYS ACCOUNTING

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  • Company’s Accounting System The Company maintains a system of accounting controls sufficient to provide reasonable assurances that (i) transactions are executed in accordance with management's general or specific authorization; (ii) transactions are recorded as necessary to permit preparation of financial statements in conformity with generally accepted accounting principles and to maintain accountability for assets; (iii) access to assets is permitted only in accordance with management's general or specific authorization; and (iv) the recorded accountability for assets is compared with existing assets at reasonable intervals and appropriate action is taken with respect to any differences.

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