CPT or Central Sample Clauses

CPT or Central. Prevailing Time means the local time in New Orleans, Louisiana.
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Related to CPT or Central

  • Central the foregoing provisions, in the event the parties to this Agreement agree to negotiate for its renewal through the process of central bargaining, either party to this Agreement may give notice to the other party of its desire to bargain for amendments on local matters proposed for incor- poration in the renewal of this Agreement and negotiations on local matters shall take place during the period from to days prior to the termina- tion date of this Agreement. Negotiations on central matters shall take place during the period commencing forty-five days prior to the termination date of this Agreement. It is understood and agreed that local matters means, those matters which have been determined by mutual agreement between the central Negotiating Committees respectively representing each of the parties to this Agreement as being subjects for bargaining directly between the parties to Agreement. It is also agreed that bargaining shall be subject to such proceduresthat may be determined by mutual agreements betweenthe cen- tral Negotiating Committees referred to above. For such purposes, it is fur- ther understood that the central Negotiating Committees will meet during the month prior to the month of of this Agreement to convey the intentions of their principals as to possible participation in central nego- tiations, if any, and the conditions for such central bargaining. Dated at Ontario, this day of FOR THE LOCAL UNION FOR THE SCHEDULE “ A PARAMEDICS WAGE RATES Paramedic For with at least one of the Advanced Life Support skills (including defibrillation) START YEAR YEAR September March September March September Paramedic For employees with “full” paramedic or “OPALS status. YEAR START YEAR September SCHEDULE CLASSIFICATIONS AND WAGE RATES Effective September CLASSIFICATION START Non-Registered Practical Nurse Education Clerk Nursing Office Clerk Materiel Management Clerk Hospital Services Clerk Pastoral Care Clerk Business Office Clerk Hospital Services Nutrition Food Services Aide Work Room Aide Materiel Management Aide Rehabilitation Clerk ECG Clerk Base Hospital Clerk Nutrition Food Services Clerk Radiology Clerk Operations Maintenance Clerk Health Records Clerk Clerk Hospital Services Services Xxxxxx YEARS Printer Xxxx Clerk Clerk CLASSIFICATION START Switchboard Operator General Office Clerk Lab Data Entry Clerk Admitting Clerk Central Booking Clerk Xxxxxx MONTHS YEAR YEARS Patient Xxxxxx Support Service Worker Computer Operator Ambulance Clerk Quality Assurance Clerk Accounts Receivable Clerk Rehabilitation Secretary Xxxxxxx Pharmacy Technician Accounts Payable Clerk Stores Clerk Accounts Receivable Clerk Receiver Payroll Assistant Health Records Dictatypist Radiology Dictatypist Laboratory Dictatypist Recreational Therapist Assistant Xxxx Clerk Registered Practical Nurse CLASSIFICATION Health Records Senior Dictatypist Health Records Technician Maintenance Mechanic A Maintenance Mechanic Laboratory Secretary Radiology Secretary Medical Dispatch Full-Time Emergency Medical Dispatch Part-time Payroll Coordinator Painter Xxxxxxxxx Ortho Technician Emergency Medical Attendant Electrician Plumber Auto Mechanic Renal Aide Breast Screening Clerk Clerk-Typist, Rehab Clerk-Typist, Pharmacy Inventory Clerk YEAR YEARS Xxxx Clerk Xxxx Clerk Communications Clerk Team Leader Staff Education Secretary CLASSIFICATION Case Costing Secretary Team Leader Volunteer Services Clerk Nursing Station START MONTHS YEAR Clerk Pain Management Clerk Pain Management Exercise Therapist Refrigerator Mechanic Secretary, Substance Abuse Communicative Disorders Assistant Dietary Driver Plant Maintenance Driver Team Leader, Patient Registration SCHEDULE AND WAGE RATES Effective September START Non-Registered Practical Nurse Education Clerk Nursing Office Clerk Materiel Management Hospital Services Clerk Pastoral Care Clerk Business Office Clerk Hospital Services Nutrition Food Services Aide Work Room Aide Materiel Management Aide Rehabilitation Clerk ECG Clerk Base Clerk

  • Central Bank The term “

  • SBC-13STATE shall provide to CLEC Interconnection of the Parties’ facilities and equipment for the transmission and routing of Telephone Exchange Service traffic and Exchange Access traffic pursuant to the applicable Appendix ITR, which is/are attached hereto and incorporated herein by reference. Methods for Interconnection and Physical Architecture shall be as defined in the applicable Appendix NIM, which is/are attached hereto and incorporated herein by reference.

  • Foreign Exchange PFPC Trust and/or sub-custodians may enter into or arrange foreign exchange transactions (at such rates as they may consider appropriate) in order to facilitate transactions under this Agreement, and such entities and/or their affiliates may receive compensation in connection with such foreign exchange transactions.

  • New York State Statewide Financial System New York State Statewide Financial System (SFS) went live for NYS agencies in April 2012. Future SFS procurement functionality envisions the ability to fully host Contract catalogs, to integrate Contractor-hosted punch-out catalogs, and/or to submit and process invoices electronically. OGS reserves the right to integrate any or all of these future catalog functions with a Contractor during the contract period, and by submittal of a Vendor Submission, a Vendor agrees to coordinate with SFS, OGS and/or a third party host, for integration, if OGS exercises its right to do so. No costs or expenses associated with providing information and integration shall be charged to NYS. Technical Requirements for the data elements, such as data types, maximum field lengths, and cXML element names shall be provided by SFS, OGS and/or a third party host during integration. For more information on SFS, its use, and its capabilities please visit the SFS website here: xxxx://xxx.xxx.xx.xxx/.

  • Currency and Related Risks The Trust bears risks of holding or transacting in any currency, including any xxxx to market exposure associated with a foreign exchange transaction undertaken with or through the Custodian. Neither the Custodian nor any Sub-custodian shall be liable for any loss or damage arising from the applicability of any law or regulation now or hereafter in effect, or from the occurrence of any event, which may delay or affect the transferability, convertibility or availability of any currency in the country (a) in which such Principal or Agency Accounts are maintained or (b) in which such currency is issued, and in no event shall the Custodian or any Sub-custodian be obligated to make payment of a deposit denominated in a currency during the period during which its transferability, convertibility or availability has been affected by any such law, regulation or event. Without limiting the generality of the foregoing, neither the Custodian nor any Sub-custodian shall be required to repay any deposit made at a foreign branch of either the Custodian or any Sub-custodian if such branch cannot repay the deposit due to a cause for which the Custodian would not be responsible in accordance with the terms of Section 9 of this Agreement unless the Custodian or such Sub-custodian expressly agrees in writing to repay the deposit under such circumstances. All currency transactions in any account opened pursuant to this Agreement are subject to exchange control regulations of the United States and of the country where such currency is the lawful currency or where the account is maintained. Any taxes, costs, charges or fees imposed on the convertibility of a currency held by the Trust shall be for the account of the Trust.

  • Overdrafts The Trust is responsible for maintaining an appropriate level of short term cash investments to accommodate cash outflows. The Trust may obtain a formal line of credit for potential overdrafts of its custody account. In the event of an overdraft or in the event the line of credit is insufficient to cover an overdraft, the overdraft amount or the overdraft amount that exceeds the line of credit will be charged in accordance with the fee schedule set forth on Exhibit C hereto (as amended from time to time)

  • Traffic Management The Customer will not utilize the Services in a manner which, in the view of the Centre Operator, significantly distorts traffic balance on the Centre Operator’s circuits which are shared with other users. If, in the reasonable view of the Centre Operator, the Customer’s traffic patterns cause or may cause such distortion, the Customer should have a dedicated circuit capability. If the Customer declines to do so then the Centre Operator may suspend the Services while the matter is being resolved. If there is no resolution within 5 business days then either party may terminate the Agreement.

  • AT&T-13STATE will not block switched access traffic delivered to any AT&T-13STATE Access Tandem Switch or Local/Access Tandem Switch for completion on CLEC’s network. The Parties understand and agree that Meet Point trunking arrangements are available and functional only to/from switched access customers who directly connect with any AT&T-13STATE Access Tandem Switch or Local/Access Tandem Switch that CLEC’s switch subtends in each LATA. In no event will AT&T-13STATE be required to route such traffic through more than one of its Tandem Switches for connection to/from switched access customers. AT&T-13STATE shall have no responsibility to ensure that any switched access customer will accept traffic that CLEC directs to the switched access customer.

  • Branch (2) The Administrative Agent shall also act as the “collateral agent” under the Loan Documents, and each of the Lenders (including in its capacities as a Lender and a potential Hedge Bank or Cash Management Bank) and the Issuing Banks hereby irrevocably appoints and authorizes the Administrative Agent to act as the agent of (and to hold any security interest created by the Collateral Documents for and on behalf of or in trust for) such Lender and Issuing Bank for purposes of acquiring, holding and enforcing any and all Liens on Collateral granted by any of the Loan Parties to secure any of the Obligations, together with such powers and discretion as are reasonably incidental thereto. In this connection, the Administrative Agent, as “collateral agent” (and any co-agents, sub-agents and attorneys-in-fact appointed by the Administrative Agent pursuant to Section 9.05 for purposes of holding or enforcing any Lien on the Collateral (or any portion thereof) granted under the Collateral Documents, or for exercising any rights and remedies thereunder at the direction of the Administrative Agent), shall be entitled to the benefits of all provisions of this Article IX and Article X with respect to the Administrative Agent (including Sections 10.04 and 10.05), as though such co-agents, sub-agents and attorneys-in-fact were the “collateral agent” under the Loan Documents. Without limiting the generality of the foregoing, the Lenders hereby expressly authorize the Administrative Agent to execute any and all documents (including releases) with respect to the Collateral and the rights of the Secured Parties with respect thereto (including any Intercreditor Agreement), as contemplated by and in accordance with the provisions of this Agreement and the Collateral Documents and acknowledge and agree that any such action by any Agent shall bind the Lenders.

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