CCN Clause Samples

The CCN (Change Control Notice) clause establishes a formal process for managing and documenting changes to a contract or project scope. Typically, this clause requires that any proposed modifications—such as adjustments to deliverables, timelines, or costs—be submitted in writing and approved by both parties before implementation. By providing a structured method for handling changes, the CCN clause helps prevent misunderstandings and disputes, ensuring that all alterations are agreed upon and properly recorded.
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CCN. The Developer agrees to cooperate with the City in the City’s CCN application to serve retail water service to the Property. The City agrees to provide the Developer: (i) a copy of its CCN application to the Public Utility Commission of Texas, and (ii) monthly status reports throughout the CCN application and approval process, including notice of any application deficiencies. In the event this Agreement is terminated pursuant to Sections 8.2 or 8.3, or any portion of the Property is disannexed from the City pursuant to Sections 8.2 or 8.3 hereof, the City agrees to cooperate with the Developer to promptly release the CCN or transfer the CCN to another utility provider, at the request of the Developer. This Section 6.4(f) shall survive termination of the Agreement.
CCN. Members acknowledge and agree that ▇▇▇ ▇▇▇▇▇▇ & ▇▇▇▇▇▇▇▇▇ LLP (“CCN”) has represented and may (in the future) represent Builder and certain of its Affiliates in connection with (A) this Agreement, (B) all other agreements contemplated by this Agreement or pertaining to the Proposed Projects, the Proposed Competitive Projects, the Approved Projects, the Company and the Subsidiary Entities, and (C) unrelated matters. From time to time, CCN shall provide legal services to Builder or certain of its Affiliates with respect to the Proposed Projects, the Proposed Competitive Projects, the Approved Projects, the Company, the Subsidiary Entities and related matters at fees and costs to be paid by Builder, the Company, the Subsidiary Entities or certain of their Affiliates. In no event shall an attorney/client relationship exist between CCN, on the one hand, and the Company, a Subsidiary Entity, Investor or any of their Affiliates, on the other hand, as a result of any such representation. CCN shall be permitted to render legal advice and to provide legal services to the Company and the Subsidiary Entities from time to time, and each Member covenants and agrees that such representation of the Company or a Subsidiary Entity by CCN shall not: (i) result in the existence of an attorney/client relationship between CCN, on the one hand, and the Company, a Subsidiary Entity,
CCN. Any Material Change to the scope of the Services shall not take effect unless approved in writing through a CCN signed by both Parties. Subject to provisions under Section 4.4, DSM shall submit a CCN to OPTHEA in a timely manner. DSM shall not be responsible for any delay resulting from OPTHEA’s failure to timely execute a CCN necessary for the completion of the Services or any portion of such Services.

Related to CCN

  • CUSIP Numbers Pursuant to a recommendation promulgated by the Committee on Uniform Security Identification Procedures, the Company has caused CUSIP numbers to be printed on the Notes, and the Trustee may use CUSIP numbers in notices of redemption as a convenience to Holders. No representation is made as to the accuracy of such numbers either as printed on the Notes or as contained in any notice of redemption, and reliance may be placed only on the other identification numbers placed thereon.

  • CUSIP Numbers, ISINs, etc The Issuer in issuing the Notes may use CUSIP numbers, ISINs and “Common Code” numbers (if then generally in use) and, if so, the Trustee shall use CUSIP numbers, ISINs and “Common Code” numbers in notices of redemption as a convenience to Holders; provided, however, that any such notice may state that no representation is made as to the correctness of such numbers, either as printed on the Notes or as contained in any notice of a redemption, that reliance may be placed only on the other identification numbers printed on the Notes and that any such redemption shall not be affected by any defect in or omission of such numbers. The Issuer shall advise the Trustee of any change in the CUSIP numbers, ISINs and “Common Code” numbers.

  • CUSIP/ISIN Numbers The Issuer in issuing the Notes may use CUSIP and ISIN numbers (in each case, if then generally in use) and, if so, the Trustee shall use CUSIP and ISIN numbers in notices of redemption as a convenience to Holders; provided that any such notice may state that no representation is made as to the correctness of such numbers either as printed on the Notes or as contained in any notice of redemption and that reliance may be placed only on the other identification numbers printed on the Notes, and any such redemption shall not be affected by any defect in or omission of such numbers. The Issuer will as promptly as practicable notify the Trustee in writing of any change in the CUSIP and ISIN numbers.

  • CUSIP and ISIN Numbers The Issuer in issuing the Notes may use “CUSIP” and “ISIN” numbers and, if so, the Trustee shall use “CUSIP and “ISIN” numbers in notices of redemption or purchase as a convenience to Holders; provided, however, that any such notice may state that no representation is made as to the correctness of such numbers either as printed on the Notes or as contained in any notice of a redemption or purchase and that reliance may be placed only on the other identification numbers printed on the Notes, and any such redemption or purchase shall not be affected by any defect in or omission of such CUSIP and ISIN numbers. The Issuer shall promptly notify the Trustee in writing of any change in the CUSIP and ISIN numbers.

  • CUSIP and CINS Numbers The Company in issuing the Notes may use “CUSIP” and “CINS” numbers, and the Trustee will use CUSIP numbers or CINS numbers in notices of redemption or exchange or in Offers to Purchase as a convenience to Holders, the notice to state that no representation is made as to the correctness of such numbers either as printed on the Notes or as contained in any notice of redemption or exchange or Offer to Purchase. The Company will promptly notify the Trustee of any change in the CUSIP or CINS numbers.