Revised Annual Finance Agreement definition

Revised Annual Finance Agreement means the written confirmation of
Revised Annual Finance Agreement means the written confirmation of finance contributions and any change in procedures for operation of the Agreement as set out at Schedules 4 and 5;
Revised Annual Finance Agreement means the written confirmation of the Annual Finance Agreement setting out the partiesfinancial contributions and any change in procedures for operation of the Agreement as set out at Schedule 4 “Regulations” means the NHS Bodies and Local Authorities Partnership Arrangements Regulations 2000, S.I. No. 617; Relevant Partners means the ‘Relevant Partners’ as prescribed in the Children Xxx 0000 (as amended by the Adult Skills Children and Learning Act 2009);

Examples of Revised Annual Finance Agreement in a sentence

  • This will act as a Revised Annual Finance Agreement, which sets out the budget.

  • This will act as a Revised Annual Finance Agreement which sets out the contributions by the Parties after taking account of and including any variation arising from any or all of the following:- • Any commitment under or in connection with any Care Contract previously committed within the terms of the Agreement.

  • The Council’s Chief Finance Officer (Section 151 Officer ) and the PCT’s Director of Finance shall advise the appropriate deadline dates for the provision of such information through the Revised Annual Finance Agreement.

  • Any changes to the agreed partnership Schedules and/or the Revised Annual Finance Agreement must be agreed by the JPB.

  • The Operational Group will as a result also undertake the preparation of a draft Revised Annual Finance Agreement incorporating draft annual budget contributions of the Partners to reflect the draft annual Drafting Note: Insert name of Scheme Plan.

  • Any changes to the agreed partnership schedules and/or the Revised Annual Finance Agreement must be agreed by the JPB.

  • The draft Revised Annual Finance Agreement and Plan for the following financial year will be taken into account in the Council and Local Health Board’s organisational budget proposals for the next financial year.

  • The Revised Annual Finance Agreement incorporating the budgets for the Pooled and Lead Funds and the Annual Plan will be agreed by the JPB no later than 31 March in each financial year, taking into account agreed Council and LHB’s budget proposals for the following financial year.

  • The draft Revised Annual Finance Agreement and annual Drafting Note: Insert name of Scheme Plan for the following financial year will be presented to the JPB no later than end of February in each financial year.

  • The draft Revised Annual Finance Agreement and Annual Substance Misuse Plan for the following financial year will be presented to the JPB no later than end of February in each financial year.

Related to Revised Annual Finance Agreement

  • Finance agreement means a loan, lease, or installment sale agreement for a motor vehicle. The term includes, but is not limited to, an installment sale contract, a retail installment contract, or a retail charge agreement.

  • Original Financing Agreement means the development credit agreement for a Social Investment Program Project between the Recipient and the Association, dated April 7, 2003, as amended to the date of this Agreement (Credit No. 3740-BD).

  • Payment Agreement means a written agreement which provides

  • the First Variation Agreement means the agreement a copy of which is set forth in the Second Schedule;

  • Treasury Management Agreement means any agreement governing the provision of treasury or cash management services, including deposit accounts, overdraft, credit or debit card, funds transfer, automated clearinghouse, zero balance accounts, returned check concentration, controlled disbursement, lockbox, account reconciliation and reporting and trade finance services and other cash management services.

  • Asset Management Agreement means, as the context requires, any agreement entered into between a Series and an Asset Manager pursuant to which such Asset Manager is appointed as manager of the relevant Series Assets, as amended from time to time.

  • Strategic Alliance Agreement means the Strategic Alliance Agreement among the Corporation, Ciba-Geigy Limited and Ciba-Geigy Corporation, dated as of September 29, 1995, as amended, and any of their respective permitted successors or assigns thereunder. ANNEX A NOTICE OF GRANT EMPLOYEE STOCK OPTION HEXCEL CORPORATION INCENTIVE STOCK PLAN The following employee of Hexcel Corporation, a Delaware corporation ("Hexcel") or a Subsidiary, has been granted an option to purchase shares of the Common Stock of Hexcel, $.01 par value, in accordance with the terms of this Notice of Grant and the Employee Option Agreement to which this Notice of Grant is attached. The following is a summary of the principal terms of the option which has been granted. The terms below shall have the meanings ascribed to them below when used in the Employee Option Agreement. ----------------------------------------------------------------------------- Optionee ----------------------------------------------------------------------------- Address of Optionee ----------------------------------------------------------------------------- Employee Number ----------------------------------------------------------------------------- Employee ID Number ----------------------------------------------------------------------------- Foreign Sub Plan, if applicable ----------------------------------------------------------------------------- Grant Date October 13, 1998 ----------------------------------------------------------------------------- Purchase Price $8.75 ----------------------------------------------------------------------------- Aggregate Number of Shares Granted (the "Option Shares") -----------------------------------------------------------------------------

  • Second Amended and Restated Credit Agreement shall have the meaning assigned to such term in the recitals of this Agreement.

  • Rate Management Agreement means any agreement, device or arrangement providing for payments which are related to fluctuations of interest rates, exchange rates, forward rates, or equity prices, including, but not limited to, dollar-denominated or cross-currency interest rate exchange agreements, forward currency exchange agreements, interest rate cap or collar protection agreements, forward rate currency or interest rate options, puts and warrants, and any agreement pertaining to equity derivative transactions (e.g., equity or equity index swaps, options, caps, floors, collars and forwards), including without limitation any ISDA Master Agreement between Borrower and Lender or any affiliate of Fifth Third Bancorp, and any schedules, confirmations and documents and other confirming evidence between the parties confirming transactions thereunder, all whether now existing or hereafter arising, and in each case as amended, modified or supplemented from time to time.

  • Original Facility Agreement means the facility agreement dated 19 December 2018 and made between, amongst others, (i) the Borrower, (ii) the Lenders, (iii) the Mandated Lead Arrangers, (iv) the Facility Agent and the SACE Agent and (v) the Security Trustee.

  • Amended Facility Agreement means the Facility Agreement as amended and supplemented by this Agreement.

  • Factoring Agreement means any factoring agreement by and between Borrower and/or any Restricted Subsidiary and a Factor.

  • Credit Line Agreement means the related credit line account agreement for a Mortgage Loan executed by the related mortgagor and any amendment or modification of it.

  • Structured settlement agreement means the agreement, judgment, stipulation, or release embodying the terms of a structured settlement.

  • Alternative Acquisition Agreement shall have the meaning set forth in Section 6.5(c).

  • Restatement Agreement has the meaning set forth in the introductory statement of this Agreement.

  • Amended and Restated Credit Agreement has the meaning specified in the recitals to this Agreement.

  • Loan Sale Agreement means the Commercial Loan Sale Agreement, dated as of the date hereof, between the Originator and the Trust Depositor, as such agreement may be amended, modified, waived, supplemented or restated from time to time.

  • Investment Management Agreement means the Investment Management Agreement made

  • Company Acquisition Agreement has the meaning set forth in Section 5.04(a).

  • Collateral Management Agreement The agreement dated as of the Closing Date, between the Issuer and the Collateral Manager relating to the management of the Collateral Obligations and the other Assets by the Collateral Manager on behalf of the Issuer, as amended from time to time in accordance with the terms thereof.

  • Swap Administration Agreement As defined in Section 4.08(b).

  • Repayment Agreement means an agreement

  • Incremental Term Loan Assumption Agreement means an Incremental Term Loan Assumption Agreement in form and substance reasonably satisfactory to the Administrative Agent, among the Borrower, the Administrative Agent and one or more Incremental Term Lenders.

  • Reimbursement Agreement as defined in Section 2.8(b).