Department Compliance Monitoring Procedures definition

Department Compliance Monitoring Procedures means procedures and requirements adopted or imposed by the Department or HUD for the purpose of monitoring and auditing the Property and the books and records of the Development Owner for compliance with this Contract, Section 2306.186 of the Texas Government Code, 10 TAC §10.404, Title VI of the Civil Rights Act of 1964 (42 U.S.C. §2000d-1), Age Discrimination Act of 1975 (42 U.S.C.§6101 et seq.), The Fair Housing Act (42 U.S.C. §3601 et seq.), Equal Opportunity in Housing (Executive Order 11063 as amended by Executive Order 11246) and its implementing regulations at 41 CFR Part 60, Section 504 of the Rehabilitation Act of 1973 (29 U.S.C. §794 et seq.), Subchapter B of Title 10, Chapter 1 of the Texas Administrative Code, Subchapter F of the Uniform Multifamily Rules, the HOME Regulations, the Multifamily Programs Procedures Manual, Section 3 of the Housing and Urban Development Act of 1968, those inspections and examinations allowed pursuant to Section 2306.231 of the State Act and any and all other Environmental Laws and Regulations and Governmental Requirements (as defined below).
Department Compliance Monitoring Procedures means procedures and requirements adopted or imposed by the Department or HUD for the purpose of monitoring and auditing the Property and the books and records of the Development Owner for compliance with this Contract, Section 2306.186 of the Texas Government Code, 10 TAC §10.404, Title VI of the Civil Rights Act of 1964 (42 U.S.C. §2000d-1), Age Discrimination Act of 1975 (42 U.S.C. §6101 et seq.), The Fair Housing Act (42 U.S.C. §3601 et seq.), Equal Opportunity in Housing (Executive Order 11063 as amended by Executive Order 12259) and its implementing regulations at 41 CFR Part 60 (Executive Order 11246), Section 504 of the Rehabilitation Act of 1973 (29 U.S.C. §794 et seq.), Architectural Barriers Act of 1968 (42 U.S.C. §4151 et seq.), Title 10, Part 1, Chapter 1, Subchapter B of the Texas Administrative Code, Title 10, Part 1, Chapter 10, Subchapters E and F of the Texas Administrative Code, the NHTF Regulations, the Multifamily Programs Procedures Manual, Section 3 of the Housing and Urban Development Act of 1968, those inspections and examinations allowed pursuant to Section 2306.231 of the State Act and any and all other Environmental Laws and Regulations and Governmental Requirements (as defined below), as may be amended from time to time.
Department Compliance Monitoring Procedures means procedures and requirements adopted or imposed by the Department for the purpose of monitoring the Property for compliance with this Agreement, CDBG and CDBG-CV Regulations, Federal Act and State Act.

Examples of Department Compliance Monitoring Procedures in a sentence

  • During the Contract Period, Development Owner agrees to permit the Department and HUD, or its designated representative, access to the Property for the purpose of performing Department Compliance Monitoring Procedures in accordance with Subchapter F of the Uniform Multifamily Rules.

  • The Department will continue to periodically monitor and audit Development Owner’s compliance with the requirements of this Contract and , the requirements for Reserve Account under 10 TAC §10.404, and any and all other Governmental requirements, in accordance with Department Compliance Monitoring Procedures during the Contract Period.

  • The Department or HUD periodically will monitor and audit Development Owner's compliance with the requirements of this Contract, the requirements for Reserve Account under 10 TAC §10.404, the NHTF Regulations, and any and all other Governmental Requirements, in accordance with Department Compliance Monitoring Procedures during the Federal Affordability Period.

  • The Department will continue to periodically monitor and audit Development Owner’s compliance with the requirements of this Contract ,and the requirements for Reserve Account under 10 TAC§10.404, and any and all other Governmental requirements, in accordance with Department Compliance Monitoring Procedures during the Contract Period.

  • During the Term of this Agreement, Owner agrees to permit Department, or its designated representative, access to the Property, including all parts thereof, for the purpose of performing Department Compliance Monitoring Procedures.

  • The Department or HUD periodically will monitor and audit Development Owner's compliance with the requirements of this Contract, the requirements for Reserve Account under 10 TAC §10.404, the State Multifamily Rules, and any and all other Governmental Requirements, in accordance with Department Compliance Monitoring Procedures during the Federal Affordability Period.

  • During the Contract Term or Affordability Period, whichever is longer, Development Owner agrees to permit the Department and HUD (during any applicable Federal Affordability Period or federal recordkeeping period), or its designated representative, access to the Property for the purpose of performing Department Compliance Monitoring Procedures in accordance with Subchapter F of the Uniform Multifamily Rules.

  • The Department or HUD periodically will monitor and audit Development Owner's compliance with the requirements of this Contract, the requirements for Reserve Account under 10 TAC §10.404, the HOME Regulations, and any and all other Governmental Requirements, in accordance with Department Compliance Monitoring Procedures during the Federal Affordability Period.

  • The Department periodically will monitor Owner's compliance with the requirements of this Agreement in accordance with Department Compliance Monitoring Procedures.

  • The Department periodically will monitor and audit Development Owner's compliance with the requirements of this Contract, the requirements for Reserve Account under 10 TAC§10.404, and any and all other Governmental Requirements, in accordance with Department Compliance Monitoring Procedures during the Affordability Period.


More Definitions of Department Compliance Monitoring Procedures

Department Compliance Monitoring Procedures means those procedures and requirements adopted or imposed by the Department, and modified by the Department from time to time, for the purpose of discharging its responsibilities pursuant to Section 42(m)(1)(B)(iii) of the Code to monitor compliance by the Development Owner and the Development with the provisions of Section 42 of the Code and to notify the Service of instances of noncompliance.

Related to Department Compliance Monitoring Procedures

  • AML/KYC Procedures means the customer due diligence procedures of a Reporting Finnish Financial Institution pursuant to the anti-money laundering or similar requirements of Finland to which such Reporting Finnish Financial Institution is subject.

  • Staff Vetting Procedures means the Authority’s procedures for the vetting of personnel and as advised to the Contractor by the Authority.

  • Safeguards Monitoring Report means each report prepared and submitted by the Borrower to ADB that describes progress with implementation of and compliance with the EMP and the RP, including any corrective and preventative actions;

  • Prescription monitoring program “PMP,” or “program” means the program established pursuant to 657—Chapter 37 for the collection and maintenance of PMP information and for the provision of PMP information to authorized individuals.

  • Compliance Review means an inspection of the home, grounds, and files to determine compliance with these regulations.

  • Operation Procedures means the procedures contained in Annexure A hereto which the Contractor is obliged to follow when performing work on behalf of the company

  • Operating Procedures means the standard internal operating procedures and compliance policies established by the Company to implement the Compliance Plan.

  • Ordering Procedures means the ordering and award procedures specified in Clause 6 (Ordering Procedures) and Framework Schedule 5 (Ordering Procedure);

  • Compliance Program means the program established by CNYCC to prevent, detect, and address compliance issues that arise with respect to PPS operations, projects or activities.

  • Compliance Plan means the compliance obligations, program, and procedures described in this Consent Decree at paragraph 13.

  • Policies and Procedures means the written policies and procedures of the Client in any way related to the Services, including any such policies and procedures contained in the Organic Documents and the Offering Documents.

  • Safety compliance facility means a licensee that is a commercial entity that receives marihuana from a marihuana facility or registered primary caregiver, tests it for contaminants and for tetrahydrocannabinol and other cannabinoids, returns the test results, and may return the marihuana to the marihuana facility.

  • Safety Management System means a systematic approach to managing safety, including the necessary organisational structures, accountabilities, policies and procedures;

  • Trading Compliance Policy means the written policy of the Company pertaining to the purchase, sale, transfer or other disposition of the Company’s equity securities by Directors, Officers, Employees or other service providers who may possess material, nonpublic information regarding the Company or its securities.

  • Database Management System (DBMS) A system of manual procedures and computer programs used to create, store and update the data required to provide Selective Routing and/or Automatic Location Identification for 911 systems. Day: A calendar day unless otherwise specified. Dedicated Transport: UNE transmission path between one of CenturyLink’s Wire Centers or switches and another of CenturyLink’s Wire Centers or switches within the same LATA and State that are dedicated to a particular customer or carrier. Default: A Party’s violation of any material term or condition of the Agreement, or refusal or failure in any material respect to properly perform its obligations under this Agreement, including the failure to make any undisputed payment when due. A Party shall also be deemed in Default upon such Party’s insolvency or the initiation of bankruptcy or receivership proceedings by or against the Party or the failure to obtain or maintain any certification(s) or authorization(s) from the Commission which are necessary or appropriate for a Party to exchange traffic or order any service, facility or arrangement under this Agreement, or notice from the Party that it has ceased doing business in this State or receipt of publicly available information that signifies the Party is no longer doing business in this State.

  • Remarketing Procedures means the procedures for conducting Remarketings set forth in Part II of these Articles Supplementary.

  • Electronic and Information Resources Accessibility Standards means the accessibility standards for electronic and information resources contained in 1 Texas Administrative Code Chapter 213.

  • Standard Operating Procedures or “SOP” means the procedures as specified in the Annexes or Attachments to the relevant Schedules;

  • Database Management System (“DBMS”) is a computer process used to store, sort, manipulate and update the data required to provide Selective Routing and ALI.

  • Monitoring and reporting requirements means one or more of

  • MERS Procedures Manual The MERS Procedures Manual, as it may be amended, supplemented or otherwise modified from time to time.

  • Compliance Order means an order issued by the Code Enforcement Officer pursuant to subdivision (a) of section 15 of this local law.

  • Bidding Procedures means the procedures governing the Auction and sale of all or substantially all of the Debtors’ assets, as approved by the Bankruptcy Court and as may be amended from time to time in accordance with their terms.

  • Quality Management System means a set of interrelated or interacting elements that organisations use to direct and control how quality policies are implemented and quality objectives are achieved;

  • Web Site Accessibility Standards/Specifications means standards contained in Title 1 Texas Administrative Code Chapter 206.

  • Technical safeguards means the technology and the policy and procedures for its use that 27 protect electronic PHI and control access to it.