Calendar and Schedule Sample Clauses

Calendar and Schedule. The Board will conduct an annual review of calendars and schedules of member districts. Any concerns or recommendations will be reported to the Chief Administrator of each member district for consideration.
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Calendar and Schedule. Nurses will work 187 days according to their calendar. Nurses will work four (4) days prior to the first student attendance day. ● 175 of the calendar days shall be student attendance days ● 12 days shall be clinic work days, approved Professional Development opportunities, or other activities directed by the Director of Health Services. Two WNEA Nurses will meet with the Director of Health Services and the Executive Director of Student Services prior to the start of the school year to develop the nurse calendar, including professional development and clinic work days, although these plans are subject to change during the school year if the need arises. In addition, from July 1 through June 30 of each school year, all nurses will have up to 40 hours available to work at their discretion, including time spent at Kindergarten Orientation, High School Orientation, Locker Days and Registration, if required to attend. Evidence of time worked will be documented as payroll reimbursement. This time may also be used for field trip prep, IEP and 504 prep, updating SIS and Clinic Logs, and entering orders outside contract time. Elementary nurses will be paid up to three (3) hours for Spring Kindergarten Registration. The nurse work day will consist of 7 ½ hours which includes an unpaid duty free lunch (30 minutes). Duty free lunch substitution will be arranged by the building principal in collaboration with the building nurse(s) before the first day of student attendance each school year. Nurses who are required by their duties to work during any part of their lunch will be paid for thirty (30) minutes at their daily rate of pay.
Calendar and Schedule. The SCHOOL will offer a minimum of 920 hours of instruction for the academic year in compliance with section 3314.03 (A)(11)(a) of the Ohio Revised Code. The classroom-based portion of the SCHOOL's program will follow the calendar of the SPONSOR, unless otherwise agreed by the SCHOOL and SPONSOR (See Table 1) Table 1- SPONSOR School Calendar 2014-15 August 20th 2014 New Staff Orientation August 21st 2014 Staff In-Service & Breakfast August 22nd 2014 Staff In-Service August 25th 2014 First Day of School 2014 NO SCHOOL, LABOR DAY 2014 NO SCHOOL, STAFF 2014 End of 1st Nine Weeks (43) 2014 Elementary/Middle/High School September 1st October 17th PROFESIONAL DEV. October 24th November 6th Evening Conferences November 11th 2014 Elementary Evening Conferences November 26th – 28th 2014 NO SCHOOL, THANKSGIVING RECESS December 1st 2014 Classes Resume December 22nd – Jan. 2nd 2014-2015 NO SCHOOL, CHRISTMAS RECESS January 5th 2015 Classes Resume January 16th 2015 End of 2nd Nine Weeks/1st Semester (47) 2015 NO SCHOOL, XXXXXX XXXXXX 2015 NO SCHOOL, PRESIDENTS DAY 2015 Elementary/ Middle/High School 2015 Elementary Evening Conferences 2015 2 Hour After School Staff January 19th KING February 16th February 19th Evening Conferences February 24th March 5th 2015 End of 3rd Nine Weeks (42) 2015 NO SCHOOL, Staff In-Service 2015 NO SCHOOL, SPRING RECESS 2015 Classes Resume 2015 NO SCHOOL, GOOD FRIDAY 2015 NO SCHOOL, MEMORIAL DAY Professional Development March 19th March 20th March 23rd – 27th March 30th April 3rd May 25th June 3rd 2015 Last Day End of 4th Nine Weeks/Elementary (46) June 4th 2015 Last Day End of 4th Nine Weeks MS/HS (47) 2015 Staff Professional Day Elementary 2015 Staff Professional Day Middle/High 2015 Commencement at 2:00 p.m. June 4th June 5th School
Calendar and Schedule. Draft Goal: To develop a common calendar and class schedule to facilitate the sharing of staff and technology.
Calendar and Schedule 

Related to Calendar and Schedule

  • Definitions and Schedules Section 1.01.

  • Exhibits and Schedules The exhibits and schedules attached to this Agreement are incorporated herein and shall be considered a part of this Agreement for the purposes stated herein.

  • Headings and Schedules Headings used herein are not a part of this Agreement and shall not affect the terms hereof. The attached Schedules are a part of this Agreement.

  • Clauses and Schedules Any reference in this Agreement to a Clause or a sub-clause or a Schedule is, unless otherwise stated, to a clause or a sub-clause hereof or a schedule hereto.

  • Incorporation of Exhibits, Annexes, and Schedules The Exhibits, Annexes, and Schedules identified in this Agreement are incorporated herein by reference and made a part hereof.

  • Incorporation of Exhibits and Schedules The Exhibits and Schedules identified in this Agreement are incorporated herein by reference and made a part hereof.

  • LIST OF EXHIBITS AND SCHEDULES Exhibit A Form of Convertible Promissory Note Exhibit B Form of Series A Warrants Exhibit C Form of Escrow Agreement Exhibit D Form of Legal Opinion Schedule 1 List of Subscribers Schedule 5(a) Subsidiaries Schedule 5(d) Capitalization and Additional Issuances Schedule 5(f) Violations and Conflicts Schedule 5(o) Undisclosed Liabilities Schedule 5(w) Transfer Agent Schedule 9(e) Use of Proceeds Schedule 9(l) Intellectual Property Schedule 12(a) Excepted Issuances Exhibit A NEITHER THE ISSUANCE AND SALE OF THE SECURITIES REPRESENTED BY THIS CERTIFICATE NOR THE SECURITIES INTO WHICH THESE SECURITIES ARE CONVERTIBLE HAVE BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED, OR APPLICABLE STATE SECURITIES LAWS. THE SECURITIES MAY NOT BE OFFERED FOR SALE, SOLD, TRANSFERRED OR ASSIGNED (I) IN THE ABSENCE OF (A) AN EFFECTIVE REGISTRATION STATEMENT FOR THE SECURITIES UNDER THE SECURITIES ACT OF 1933, AS AMENDED, OR (B) AN OPINION OF COUNSEL (WHICH COUNSEL SHALL BE SELECTED BY THE HOLDER, AT THE COMPANY’S EXPENSE), IN A GENERALLY ACCEPTABLE FORM, THAT REGISTRATION IS NOT REQUIRED UNDER SAID ACT OR (II) UNLESS SOLD PURSUANT TO RULE 144 OR RULE 144A UNDER SAID ACT. NOTWITHSTANDING THE FOREGOING, THE SECURITIES MAY BE PLEDGED IN CONNECTION WITH A BONA FIDE MARGIN ACCOUNT OR OTHER LOAN OR FINANCING ARRANGEMENT SECURED BY THE SECURITIES. Principal Amount: $___________ Issue Date: August __, 2011 CONVERTIBLE PROMISSORY NOTE FOR VALUE RECEIVED, WIZARD WORLD, INC., a Delaware corporation (hereinafter called “Borrower”), hereby promises to pay to the order of [Holder’s name], with an address at [Holder’s _______________________Address], without demand, the sum of up to _______ Dollars ($___) (“Principal Amount”), with interest accruing thereon, on December __, 2011 (the “Maturity Date”), if not sooner paid or modified as permitted herein. This Convertible Promissory Note (the “Note”) has been entered into pursuant to the terms of a subscription agreement by and among the Borrower, the Holder and certain other holders (the “Other Holders”) of convertible promissory notes (the “Other Notes”), dated of even date herewith (the “Subscription Agreement”), for an aggregate Principal Amount of up to $455,000. Unless otherwise separately defined herein, each capitalized term used in this Note shall have the same meaning as set forth in the Subscription Agreement. The following terms shall apply to this Note:

  • Records and Schedules of Accounts Each Obligor shall keep accurate and complete records of its Accounts, including all payments and collections thereon, and shall submit to Agent sales, collection, reconciliation and other reports in form satisfactory to Agent, on such periodic basis as Agent may request. Each Obligor shall also provide to Agent, on or before the 15th day of each month, a detailed aged trial balance of all Accounts as of the end of the most recent Fiscal Month, specifying each Account’s Account Debtor name and address, amount, invoice date and due date, showing any discount, allowance, credit, authorized return or dispute, and including such proof of delivery, copies of invoices and invoice registers, copies of related documents, repayment histories, status reports and other information as Agent may reasonably request. If Accounts in an aggregate face amount of $250,000 or more cease to be Eligible Accounts, Obligors shall notify Agent of such occurrence promptly (and in any event within one Business Day) after any Obligor has knowledge thereof.

  • Records and Schedules of Equipment Each Borrower shall keep accurate and complete records of its Equipment, including kind, quality, quantity, cost, acquisitions and dispositions thereof, and shall submit to Agent, on such periodic basis as Agent may request, a current schedule thereof, in form satisfactory to Agent. Promptly upon request, Borrowers shall deliver to Agent evidence of their ownership or interests in any Equipment.

  • Recitals and Schedules References to this Agreement include the recitals and schedules which form part of this Agreement for all purposes. References in this Agreement to the Parties are references respectively to the Parties and their legal personal representatives, successors and permitted assigns.

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