Baseline Report Sample Clauses

Baseline Report. After completion of the project, Muskego will provide a Baseline Report using forms provided or approved by the District. The Baseline Report will include:
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Baseline Report. After completion of the Project, [Municipality] will provide a Baseline Report using forms provided or approved by the District. The Baseline Report will include:
Baseline Report. In progress. Carollo completed the initial effort related to this task in 2019/2020 and issued a draft report to Tempe for review. Additional effort for this task is planned in 2021 for Tempe feedback and report finalization. Carollo will prepare a Baseline report that documents the current state of the water treatment plants, including process performance, technology status, equipment condition and performance, and current operations. These baseline results will be compared against the City’s Key Performance Indicator (KPI) metrics, where applicable, to showcase the aspects of the two plants and how they compare to their desired state. A draft Baseline report will be submitted to the City for review. Feedback on the draft report will be used to prepare a final report that will be included in the final project report.
Baseline Report. The Contractor, at or prior to the execution of this Agreement, and not later than the tenth day of each month during the Term hereof with respect to the prior month, shall provide to Raytheon an analysis of the progress and status of the Project, including, without limitation:
Baseline Report. 7.1 The Land and the Amenities are as described in the Baseline Report (see Appendix A).
Baseline Report. The Baseline Report presents ESP’s initial Baseline evaluation and analysis, including measurement and verification approach and related Baseline activities. The draft Measurement and Verification Plan or approach must be submitted to and discussed with Owner before submitting Baseline Report. The Baseline Report must reflect results of activities required by Sections 2.4.1 through 2.4.3 and Section 2.4.6. The Baseline Report must be consistent with the format of Audit Report for those sections related to facility description and Baseline to minimize rework for the Audit Report, including but not limited to Volume 1, Schedules D, E, and M, and Volume 2, Sections 1 (description of Premises) and 3 (proposed Baseline). ESP also shall provide any other information that would support the proposed Baseline (e.g., sample utility bills, detailed utility analysis, measurement and trending/monitoring data).
Baseline Report. In order to establish the condition, present uses and state of improvement of the Protected Property and its Conservation Values as of the date of this Easement, Grantee and Grantor have prepared an inventory of the Protected Property’s relevant features and conditions (the “Baseline Report”) including maps, photographs, and other documentation, and have certified the same as an accurate representation of the condition of the Protected Property as of the date of this Easement. The Baseline Report is intended to serve as an objective information baseline for monitoring compliance with the terms of this Easement. It may be used by Grantee to establish that a change in the use or character of the Protected Property has occurred, but its existence shall not preclude the use by Grantee or Grantor of other evidence to establish the condition of the Protected Property as of the date of this Easement. Grantee shall maintain copies of the Baseline Report. If after the date of this Easement, the Parties wish to supplement the Baseline Report they may do so by mutual consent.
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Baseline Report. The District at its expense before closing, will obtain a Baseline Natural Resources Inventory Report (“BNRI”) on the Property. The specific Conservation Values of the Property are to be documented in the BNRI report for the Conservation Easement consisting of reports, maps, photographs, and other documentation that the parties agree, and hereby acknowledge, provide, collectively, an accurate representation of the property at the time of this conveyance and which is intended to serve as an objective information baseline for monitoring compliance with the terms of the easement. The District intends that the Conservation Easement will confine the use of the District Parcel to such activities as are consistent with the Conservation Purposes identified in the Conservation Easement and the Conservation Values as documented in the BNRI.

Related to Baseline Report

  • Annual Projections No later than thirty (30) days prior to the beginning of each Fiscal Year, the Borrowers shall deliver to Administrative Agent projected balance sheets, statements of income and cash flow for the Borrowers, for each of the twelve (12) months during such Fiscal Year, which shall include the assumptions used therein, together with appropriate supporting details as reasonably requested by Administrative Agent.

  • Annual Compliance Statements (a) The Master Servicers, the Special Servicers, the Certificate Administrator, the Trustee (but only to the extent set forth in the last sentence of this paragraph), any Additional Servicer and each Servicing Function Participant (if such Servicing Function Participant is a servicer contemplated by Item 1108(a)(2)(i), (ii) or (iii) of Regulation AB) (each, a “Certifying Servicer”) shall and the Master Servicers and the Special Servicers shall (i) with respect to any Additional Servicer or Servicing Function Participant (if such Servicing Function Participant is a servicer contemplated by Item 1108(a)(2)(i), (ii) or (iii) of Regulation AB) that is a Designated Sub-Servicer of such party, use commercially reasonable efforts to cause, and (ii) with respect to any other Additional Servicer or Servicing Function Participant (if such Servicing Function Participant is a servicer contemplated by Item 1108(a)(2)(i), (ii) or (iii) of Regulation AB), cause, each Additional Servicer and Servicing Function Participant (other than any party to this Agreement) with which it has entered into a servicing relationship with respect to the Mortgage Loans to, deliver to the Depositor, the Certificate Administrator, the Trust Advisor (in the case of a Special Servicer only), the Rule 17g-5 Information Provider (who shall promptly post such report to the Rule 17g-5 Information Provider’s Website pursuant to Section 8.12(c) of this Agreement) on or before March 1st (subject to a grace period through March 15th) of each year, commencing in 2015 (or, in the case of an Additional Servicer or Servicing Function Participant with respect to a Special Servicer, such party shall provide such Officer’s Certificate to such Special Servicer on or before March 1st (subject to a grace period through March 5th)), an Officer’s Certificate stating, as to the signer thereof, that (A) a review of such Certifying Servicer’s activities during the preceding calendar year or portion thereof and of such Certifying Servicer’s performance under this Agreement, or the applicable sub-servicing agreement or primary servicing agreement in the case of an Additional Servicer, has been made under such officer’s supervision and (B) to the best of such officer’s knowledge, based on such review, such Certifying Servicer has fulfilled all its obligations under this Agreement, or the applicable sub-servicing agreement or primary servicing agreement in the case of an Additional Servicer, in all material respects throughout such year or portion thereof, or, if there has been a failure to fulfill any such obligation in any material respect, specifying each such failure known to such officer and the nature and status thereof. The Certificate Administrator, shall prior to March 1st of each year, commencing in 2015, contact the Trustee and inquire as to whether any Advance was required to be made by the Trustee during the preceding calendar year, and if no such Advance was required to be made by the Trustee, then the Trustee shall not be required to deliver any compliance statement required by this Section 11.12(a) for such period.

  • Engineering Report Lender shall have received a current Engineering Report with respect to the Property, which report shall be in form and substance reasonably satisfactory to Lender.

  • Annual Statement of Compliance The Officer’s Certificate required to be delivered by the Issuing Entity, pursuant to Section 3.9 of the Indenture or the Officer’s Certificate required to be delivered by the Servicer pursuant to Section 4.01(a) of the Servicing Agreement, as applicable.

  • Compliance Statement Within 30 days after the last day of each month and together with the statements set forth in Section 5.3(c), a duly completed Compliance Statement, confirming that as of the end of such month, Borrower was in full compliance with all of the terms and conditions of this Agreement, and setting forth calculations showing compliance with the financial covenants set forth in this Agreement and such other information as Bank may reasonably request;

  • Borrowing Base Report The Agent shall have received from the Borrower the initial Borrowing Base Report dated as of the Closing Date.

  • CMI/RAI MDS Report Recognizing the mutual objective of quality resident care, the Employer agrees to meet through the Union Management Committee with the Union as soon as practicable after the receipt of the annual CMI/RAI MDS report. The Employer agrees to provide the Union with staffing levels, and staffing mix information; the impact of related payroll costs on staffing levels and a written notice of the CMI/RAI MDS report for the facility. The purpose of this meeting is to discuss the impact of the CMI/RAI MDS report on the staffing levels in the Home, quality resident care, and provide the Union with an opportunity to make representation in that regard. The parties shall meet as necessary to discuss other changes or workload issues. The parties may invite additional participants to attend the meeting to support constructive review and discussion.

  • Servicer Compliance Statement On or before March 1 of each calendar year, commencing in 2007, the Servicer shall deliver to the Owner and any Depositor a statement of compliance addressed to the Owner and such Depositor and signed by an authorized officer of the Servicer, to the effect that (i) a review of the Servicer’s activities during the immediately preceding calendar year (or applicable portion thereof) and of its performance under this Agreement and any applicable Reconstitution Agreement during such period has been made under such officer’s supervision, and (ii) to the best of such officers’ knowledge, based on such review, the Servicer has fulfilled all of its obligations under this Agreement and any applicable Reconstitution Agreement in all material respects throughout such calendar year (or applicable portion thereof) or, if there has been a failure to fulfill any such obligation in any material respect, specifically identifying each such failure known to such officer and the nature and the status thereof.

  • Borrowing Base Reports Within thirty (30) days after the last day of each month, aged listings of accounts receivable and accounts payable (by invoice date) (the “Borrowing Base Reports”);

  • Final Project Report Prepare a final Project Report that addresses, to the extent feasible, comments made by the Grant Manager on the draft final Project Report. Submit one (1) reproducible master, and an electronic copy of the final.

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