TRS Fund administrator definition

TRS Fund administrator means the entity designated by the Commission to administer the TRS Fund.5
TRS Fund administrator means the entity selected by the Commission to administer the TRS Fund, currently “RolkaLoube”.
TRS Fund administrator means the entity selected by the Commission to administer the TRS Fund. See Section 64.604(c)(5)(iii) of the Rules, 47 C.F.R. § 64.604(c)(5)(iii).

Examples of TRS Fund administrator in a sentence

  • The TRS Fund administrator shall make payments only to eligible TRS providers operating pursuant to the mandatory minimum standards as re- quired in this section, and after dis- bursements to the administrator for reasonable expenses incurred by it in connection with TRS Fund administra- tion.

  • VRS pro- viders shall validate the eligibility of the party on the video side of each call by querying the TRS User Registration Database or the TRS Numbering Direc- tory, as directed by the Commission, the TRS Fund administrator, or the TRS Numbering Administrator, on a per-call basis.

  • The TRS Fund administrator shall make pay- ments only to eligible TRS providers operating pursuant to the mandatory minimum standards as required in§ 64.604, and after disbursements to the administrator for reasonable expenses incurred by it in connection with TRS Fund administration.

  • VRS providers shall notify the TRS Fund administrator within one business day in the event that a registered enter- prise or public videophone is removed or permanently disconnected from VRS.(b) Mandatory registration of new users.

  • The TRS Fund administrator shall make pay- ments only to eligible TRS providers operating pursuant to the mandatory minimum standards as required in§ 64.604, and after disbursements to theadministrator for reasonable expenses incurred by it in connection with TRS Fund administration.

  • Before Purple submits (or causes to be submitted) to the TRS Fund administrator any report of TRS minutes for payment, the Compliance Director shall review such submission to ensure that it has been subject to the appropriate compliance considerations.

  • The Compliance Director shall thereafter provide a certification as to the internal review and audit of minutes submitted to the TRS Fund administrator.

  • Consistent with the Standstill Agreement, should the TRS Fund administrator approve payment of any additional Ten-Digit Costs, one-half of such amounts will be retained by the TRS Fund and credited against the Note as a prepayment.

  • Copies of such agreements shall be made available to the Commission and to the TRS Fund administrator upon request.

  • As is the case with VRS, however, the Commission lacks a definitive count of the number of unique, active users of each service, hindering the ability of the Commission and the TRS Fund administrator to conduct audits and determine compliance with the Commission’s rules.


More Definitions of TRS Fund administrator

TRS Fund administrator or "Administrator" means the entity selected by the Commission to administer the TRS Fund, 47 C.F.R. S 64.604(c)(5)(iii).
TRS Fund administrator means the entity designated by the Commission to administer the TRS Fund.[footnoteRef:13] [13: See id.]

Related to TRS Fund administrator

  • Fund Administrator means the fund administrator, manager, trustee or similar person with the primary administrative responsibilities for a Fund according to the relevant Fund Documents.

  • CFD Administrator means an official of the City, or designee thereof, responsible for determining the Special Tax Requirement and providing for the levy and collection of the Special Taxes.

  • Pooled fund group means an internally created fund of a district in which one or more institutional accounts of a district are in- vested.

  • Independent Fund Trustee means a trustee of the Trust who is not an “interested person” as that term is defined in Section 2(a)(19) of the 1940 Act.

  • Buydown Fund Account A separate account or accounts created and maintained pursuant to Section 3.02 (a) with the corporate trust department of the Trustee or another financial institution approved by the Master Servicer, (b) within FDIC insured accounts (or other accounts with comparable insurance coverage acceptable to the Rating Agencies) created, maintained and monitored by a Servicer or (c) in a separate non-trust account without FDIC or other insurance in an Eligible Institution. Such account or accounts may be non-interest bearing or may bear interest. In the event that a Buydown Fund Account is established pursuant to clause (b) of the preceding sentence, amounts held in such Buydown Fund Account shall not exceed the level of deposit insurance coverage on such account; accordingly, more than one Buydown Fund Account may be established.

  • RFR Administrator means the XXXXX Administrator or the SARON Administrator, as applicable.

  • XXXXX Administrator means the Bank of England (or any successor administrator of the Sterling Overnight Index Average).

  • SOFR Administrator means the Federal Reserve Bank of New York (or a successor administrator of the secured overnight financing rate).

  • €STR Administrator means the European Central Bank (or any successor administrator of the Euro Short Term Rate).

  • Tax Administrator means the individual charged with direct responsibility for administration of an income tax levied by a municipal corporation in accordance with this chapter, and also includes the following:

  • Eligible Operating Advisor An entity (i) that is the special servicer or operating advisor on a transaction rated by any of Moody’s, Fitch, KBRA, S&P and/or DBRS Morningstar but has not been the special servicer or operating advisor on a transaction for which Moody’s, Fitch, KBRA, S&P and/or DBRS Morningstar has qualified, downgraded or withdrawn its rating or ratings of, one or more classes of certificates for such transaction citing servicing concerns with the special servicer or operating advisor, as applicable, as the sole or material factor in such rating action, (ii) that (x) has been regularly engaged in the business of analyzing and advising clients in commercial mortgage-backed securities matters and has at least five years of experience in collateral analysis and loss projections, and (y) has at least five years of experience in commercial real estate asset management and experience in the workout and management of distressed commercial real estate assets, (iii) that can and will make the representations and warranties set forth in Section 2.09(a) of this Agreement, (iv) that is not (and is not affiliated with) the Depositor, the Trustee, the Certificate Administrator, the Master Servicer, the Special Servicer, any Mortgage Loan Seller, any Directing Holder, any Consulting Party or a depositor, a trustee, a certificate administrator, a master servicer or a special servicer with respect to the securitization of a Companion Loan, or any of their respective Affiliates, (v) that has not been paid any fees, compensation or other remuneration by any entity acting as Special Servicer or successor Special Servicer (x) in respect of its obligations under this Agreement or (y) for the recommendation of the replacement of the Special Servicer or the appointment of a successor special servicer to become the Special Servicer and (vi) that does not directly or indirectly, through one or more Affiliates or otherwise, own any interest in any Certificates, the Uncertificated VRR Interest, any Mortgage Loans, any Companion Loan or any securities backed by a Companion Loan or otherwise have any financial interest in the securitization transaction to which this Agreement relates, other than in fees from its role as Operating Advisor or any fees to which it is entitled as Asset Representations Reviewer, if the Person acting as Operating Advisor is also acting as Asset Representations Reviewer.

  • Certificate Administrator Personnel The divisions and individuals of the Certificate Administrator who are involved in the performance of the duties of the Certificate Administrator under this Agreement.

  • Portfolio Administrator means any entity and any successor or replacement thereto, as specified in the Final Terms for each Series of ETP Securities, appointed as Portfolio Administrator in accordance with the terms of the relevant Portfolio Administration Agreement.

  • Officer member means a member of the Trust who is either an officer of the Trust or is to be treated as an officer by virtue of regulation 1(3) (i.e. the Chairman of the Trust or any person nominated by such a Committee for appointment as a Trust member).

  • Chief administrator means the Chief Administrator of the New

  • Operating Advisor means the operating advisor appointed as provided in the Lead Securitization Servicing Agreement.

  • Beginning administrator means a building level or district level leader who has not completed three (3) years of experience as a building level or district level administrator.

  • pension fund holder means with respect to a personal pension scheme or an occupational pension scheme, the trustees, managers or scheme administrators, as the case may be, of the scheme concerned;

  • the Independent Living Fund (2006) means the Trust of that name established by a deed dated 10th April 2006 and made between the Secretary of State for Work and Pensions of the one part and Margaret Rosemary Cooper, Michael Beresford Boyall and Marie Theresa Martin of the other part;

  • School administrator means a superintendent, principal or his/her designee assistant principal//technical center director or his/her designee and/or the District’s Equity Coordinator.

  • Sinking Fund Account means the sinking fund account established and held by the Treasurer of Charleston County designed to provide for the payment of the principal of, premium, if any, and interest on the Bonds, as the same respectively fall due.

  • Independent Fund Director means an independent director of an investment company advised by Invesco.

  • Term SOFR Administrator means CME Group Benchmark Administration Limited (CBA) (or a successor administrator of the Term SOFR Reference Rate selected by the Administrative Agent in its reasonable discretion).

  • Debt Fund Affiliate means any Affiliate of the Sponsor (other than Holdings or any of its Subsidiaries) that is a bona fide debt fund or an investment vehicle that is engaged in the making, purchasing, holding or otherwise investing in, acquiring or trading commercial loans, bonds or similar extensions of credit in the ordinary course and whose managers have fiduciary duties to the investors in such fund independent of, or in addition to, their duties to the Sponsor.

  • Index Administrator means the index administrator as set out in the Table, which is the corporation or other entity that is responsible for setting and reviewing the rules and procedures and the methods of calculation and adjustments, if any, related to the Index and announces (directly or through an agent) the level of the Index on a regular basis during each Scheduled Trading Day; where reference to the Index Administrator shall include a reference to the "Successor Index Administrator" defined in §4b(1) below.

  • Program Administrator means the person retained by the Wisconsin PACE Commission as provided in subsection (5)(b).