Asset Information Sample Clauses

Asset Information. The Professional shall prepare a memorandum that provides the asset information listed below for all above grade facilities for insurance purposes within 30 days after substantial completion. • Address • Year Built • Description • Square Footage of BuildingBuilding Value • Contents Value
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Asset Information. The information pertaining to the Assets set forth on Schedule 1 attached hereto is, to the best of the Seller's knowledge, true and correct in all material respects.
Asset Information. Description of Asset. Please provide a general description of the real property to be gifted (including the type of property, location, etc.). Additional information will be provided on Addendum B: Real Property Inquiry Form. Estimated Value: Cash Gift A cash contribution may be required to accommodate the administrative fees for the first year of the holding period and/or carrying costs associated with management of the asset. Additional information is provided on the Fee Addendum; however, please provide the manner for the cash contribution, if applicable. □ Check for $ □ Marketable securities: shares □ Wire transfer for $ of □ Mutual funds: shares of Estimated value of cash contribution: Please provide contact information for the Opening Donor(s). Opening Donor(s) FULL LEGAL NAME OF ASSET OWNER PREFERRED SALUTATION (e.g., Xx. Xxxxx X. Smith or Xxx Xxxxx) HOME ADDRESS CITY STATE ZIP BUSINESS NAME TITLE BUSINESS ADDRESS CITY STATE ZIP HOME PHONE BUSINESS PHONE E-MAIL (preferred) Preferred Telephone: Preferred Mail: 🞏 Home 🞏 Business 🞏 Home 🞏 Business Additional Contact, if applicable All correspondence from the Foundation will be sent to the Opening Donor. The Opening Donor may access information about the Gift Fund, including monthly statements, through the Foundation's secure online service. Additional space is provided in this section to name one additional Contact Person. If there are more than two Contact Persons who should have access to information for the Gift Fund, please furnish contact information in an attachment to this Agreement. FULL NAME (first, middle, last) RELATIONSHIP HOME ADDRESS CITY STATE ZIP BUSINESS NAME TITLE BUSINESS ADDRESS CITY STATE ZIP HOME PHONE BUSINESS PHONE Preferred Telephone: E-MAIL (preferred) Preferred Mail: 🞏 Home 🞏 Business 🞏 Home 🞏 Business If known or reasonably expected, please indicate the amount, nature and timing of future contributions to the Gift Fund, if any. Additional Contributions There is no requirement that additional gifts be made to the Gift Fund, but estimates of future liquid or illiquid contributions, if any, whether through lifetime gifts or bequests, will help the Foundation determine how best to administer the Gift Fund. Please provide information below about any additional gifts anticipated. Identify the organization to receive proceeds upon liquidation of the gifted asset.
Asset Information. Promptly after they have been prepared, ----------------- but in no event later than the time frames set forth in Section 5.01(a), Borrower shall deliver to Agent schedules that provide the following information:
Asset Information. The Professional shall prepare a memorandum that provides the asset information for all new and abandoned pipelines and above grade appurtenances for insurance purposes within thirty (30) days after substantial completion.
Asset Information. Borrower and Servicer will provide Lender sufficient information to allow Lender to make an informed decision with respect to a Proposal. Such information shall include but not be limited to, information provided to Borrower by Asset Sellers related to the Assets, internally generated stratifications and analyses of the Assets, portfolio write-ups prepared by Borrower, key assumptions used in projecting future cash flows of the Assets and Credit Card Receivables created from the Assets, historical numbers on the Assets, and proposed Asset Purchase Agreements.
Asset Information. The following information is needed for planning purposes only. These numbers are not binding. Each Agency will have the option to accept or reject each deployment. Each Agency will also determine the quantity of assets available to deploy. Please do NOT provide minimal numbers but provide the most accurate estimate of what could be deployed when called upon, if in a scenario that will have minimal impact locally. The planning numbers should allow Coastal agencies to give real numbers of what could send to a wildfire understanding the same assets could not be provided in a Hurricane situation. Agencies will have the ability to deploy more or less than the planning numbers listed below. Agency Name Provider / License # Agency Mail Address Agency City Agency Zip Agreement Signatory What Position (and above) can approve Deployments Deployment Contact # Deployment Email to: Expiration / Renewal Date Does each deployable EMS Unit have a VHF Mobile radio (Not HT) with TX InterOp channels? ( VHF-Yes) ( VHF-No) # TX MICUs Leaders # Type I ALS w/ HazMat Supervisors # Type II ALS non-HazMat # Task Force # EMS Group # Doctors # Type III BLS # Mid-Level w/ HazMat Practitioners # Type IV BLS # Nurses non-HazMat # Paramedics # Strike Team (not on Leader AMB/AMBUS) # Command Intermediate(not # EMT- Center # AMBUS (not on # Mobile Medical Unit AMB/AMBUS) on # EMT-Basic AMB/AMBUS) # Support # Trailer # M-IST (Medical # Logistical Incident Support) # ASM (Ambulance Tech # Clerk Crewman # Command Staff Staging Manager)
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Asset Information. The Professional shall prepare a memorandum that provides the asset information for all new and abandoned pipelines and above grade appurtenances for insurance purposes within 30 days after substantial completion. SUPPLEMENTAL SERVICES NO CHANGE TIME OF COMPLETION The Professional is authorized to commence work on the Services and Supplemental Services upon execution of this Agreement and agrees to complete the Services in accordance with the schedule below. Project Milestones Start Date End Date Notice to Proceed September 15, 2020 Task 2Preliminary Engineering Phase September 15, 2020 December 11, 2020 Task 3Final Design Phase December 2, 2020 October 31, 2021 Task 4 – Permitting October 12, 2020 November 31, 2021 Task 5Bid Phase December 11, 2021 June 30, 2022 Task 6Construction Phase July 15, 2022 August 15, 2023 TASK 1: FIGURE 1 Exhibit B Compensation NBU agrees to pay the Professional for the Services and the Supplemental Services rendered under this Agreement in accordance with the tables below and made part of this Agreement.
Asset Information. Property No.: Property ID: % of Pooled Trust Asset Balance: Loan or Property: # of Properties: Loan/Property Name: Street Address: City: State: Zip Code: Property Type: Property Sub-Type: Year Built: Year Renovated: Units: Unit Type: Occupancy: Occupancy Date: Total Debt Original Balance: Whole Loan Original Balance: Trust Asset Original Balance:
Asset Information. Promptly after they have been prepared, but in no event later than 60 days after the end of each calendar quarter, Borrower shall deliver to Agent schedules that provide the following information:
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