Distribution Division Sample Clauses

Distribution Division. The City will assign pagers to two Linemen and one Electrician on all holidays along with Christmas Eve and New Year’s Eve. The days consist of 12:00 am to midnight on the actual day. The assigned employee will be required to report to work within 30 minutes of notification. These employees will be compensated at 2½ hours pay at straight time plus any call-in pay. The pagers will be assigned at the beginning of each year, and the list will rotate each year so the employee is not scheduled for the same holiday as the previous year when the list is prepared. Should it be necessary, it will be the employee’s responsibility to find a replacement for his/her day.
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Distribution Division. 61.1 Objective The objective of this policy is to ensure that an employee required by the Company to undertake a permanent relocation from one Company works area to another (existing or new) Company works area receive consideration for compensation where the employee suffers a financial disadvantage in relation to the move. Where an employee is ‘disadvantaged’ under the following definition then the allowance will be paid.
Distribution Division. All Employees Collection Division All Employees Water Division All Employees Summer Winter Jacket or Bomber Jacket Pair of trousers, lined or unlined as preferred Shirts Tie Summer Cap (baseball type) Winter Cap (fur or toque) Summer Winter Pairs of Coveralls Overcoat or Parka Pairs of Coveralls Summer Winter Rubber Boots Water Jackets Pants Pairs of Coveralls Summer Winter Rubber Boots Water Jackets Pants Pairs of Coveralls Summer Winter Rubber Boots Water Repellent Jackets Pants As Required (turn-in Basis) Per Annum As Required (turn-in basis) Every Years As Required (turn-in Basis) As Required (turn-in Basis) As Required (turn-in Basis) As Required (turn-in Basis) Control Room Operators Xxxxxxx Pumping Station Smocks As Required (turn-in Basis) Division All Employees Pairs of Coveralls Summer Winter As Required (turn-in Basis) Utility Solid Waste Collection Employees Sewage Treatment Division Laboratory Employees Roadways Division Equipment Operator III Equipment Operator IV Formsetter All Employees Tar Kettle Person (Per Crew) Crack Sealing Crew MUNICIPAL ENGINEERING
Distribution Division. The City will assign pagers to two (2) Linemen and one (1) Electrician on all holidays along with Christmas Eve and New Year’s Eve. The days consist of 12:00 a.m. to midnight on the actual day. The assigned employee will be required to report to work within 30 minutes of notification. These employees will be compensated at 2½ hours pay at straight time plus any call-in pay. The pagers will be assigned at the beginning of each year, and the list will rotate each year so the employee is not scheduled for the same holiday as the previous year when the list is prepared. Should it be necessary, it will be the employee’s responsibility to find a replacement for his/her day. Note: This clause will be implemented immediately after the first time there is not a positive response to an overtime call within one (1) hour. This clause will terminate when and if a Senior Lineworker (Troubleshooter) position is filled.

Related to Distribution Division

  • Distribution Fee In addition to the Service Fee, the Trust, on behalf of the Series, will pay to the Distributor a fee (the "Distribution Fee") at an annual rate of 0.75% (unless reduced as contemplated by and permitted pursuant to the next sentence hereof) of the Series' average daily net assets attributable to the Class B shares in consideration of the services rendered in connection with the sale of such shares by the Distributor. The Trust will not terminate the Distribution Fee in respect of Series assets attributable to Class B shares, or pay such fee at an annual rate of less than 0.75% of the Series' average daily net assets attributable to the Class B shares, unless it has ceased, and not resumed, paying the Service Fee (or any other fee that constitutes a "service fee" as defined in the NASD Rule) to CDC IXIS Distributors (or to any affiliate of CDC IXIS Distributors, or to any other person in circumstances where substantially all of the services and functions relating to the distribution of Class B shares of the Series have been delegated to, or are being performed by, CDC IXIS Distributors or an affiliate of CDC IXIS Distributors). Subject to such restriction and subject to the provisions of Section 7 hereof, the Distribution Fee shall be as approved from time to time by (a) the Trustees of the Trust and (b) the Independent Trustees of the Trust. The Distribution Fee shall be accrued daily and paid monthly or at such other intervals as the Trustees shall determine. The obligation of the Series to pay the Distribution Fee shall terminate upon the termination of this Plan or the relevant distribution agreement between the Distributor and the Trust relating to the Series, in accordance with the terms hereof or thereof, but until any such termination shall not be subject to any dispute, offset, counterclaim or defense whatsoever (it being understood that nothing in this sentence shall be deemed a waiver by the Trust or the Series of its right separately to pursue any claims it may have against the Distributor and enforce such claims against any assets of the Distributor (other than its right to be paid the Distribution Fee and to be paid contingent deferred sales charges)). The right of CDC IXIS Distributors to receive the Distribution Fee (but not the relevant distribution agreement or CDC IXIS Distributor's obligations thereunder) may be transferred by CDC IXIS Distributors in order to raise funds which may be useful or necessary to perform its duties as principal underwriter, and any such transfer shall be effective upon written notice from CDC IXIS Distributors to the Trust. In connection with the foregoing, the Series is authorized to pay all or part of the Distribution Fee directly to such transferee as directed by CDC IXIS Distributors. The Distributor may pay all or any portion of the Distribution Fee to securities dealers or other organizations (including, but not limited to, any affiliate of the Distributor) as commissions, asset-based sales charges or other compensation with respect to the sale of Class B shares of the Series, and may retain all or any portion of the Distribution Fee as compensation for the Distributor's services as principal underwriter of the Class B shares of the Series. All payments under this Section 2 are intended to qualify as "asset-based sales charges" as defined in the NASD Rule.

  • Liquidation Distribution Distributions made upon dissolution of the Partnership shall be made as provided in Section 9.03.

  • Liquidation Distributions All property and all cash in excess of that required to discharge liabilities as provided in Section 12.4(b) shall be distributed to the Partners in accordance with, and to the extent of, the positive balances in their respective Capital Accounts, as determined after taking into account all Capital Account adjustments (other than those made by reason of distributions pursuant to this Section 12.4(c)) for the taxable year of the Partnership during which the liquidation of the Partnership occurs (with such date of occurrence being determined pursuant to Treasury Regulation Section 1.704-1(b)(2)(ii)(g)), and such distribution shall be made by the end of such taxable year (or, if later, within 90 days after said date of such occurrence).

  • Distribution Upgrades The Connecting Transmission Owner shall design, procure, construct, install, and own the Distribution Upgrades described in Attachment 6 of this Agreement. If the Connecting Transmission Owner and the Interconnection Customer agree, the Interconnection Customer may construct Distribution Upgrades. The actual cost of the Distribution Upgrades, including overheads, shall be directly assigned to the Interconnection Customer. The Interconnection Customer shall be responsible for its share of all reasonable expenses, including overheads, associated with owning, operating, maintaining, repairing, and replacing the Distribution Upgrades, as set forth in Attachment 6 to this Agreement.

  • Distribution Protocol (1) At a time wholly within the discretion of Class Counsel, but on notice to the Settling Defendants, Class Counsel will bring motions seeking orders from the Courts approving the Distribution Protocol. The motions can be brought before the Effective Date, but the orders approving the Distribution Protocol shall be conditional on the Effective Date occurring.

  • Contract Distribution The Employer will provide all current and new employees with a link to the new Agreement. Each department or unit will maintain a paper copy of the contract accessible to all employees.

  • Distribution of UDP and TCP queries DNS probes will send UDP or TCP “DNS test” approximating the distribution of these queries.

  • Distribution Services The Distributor shall sell and repurchase Shares as set forth below, subject to the registration requirements of the 1933 Act and the rules and regulations thereunder, and the laws governing the sale of securities in the various states ("Blue Sky Laws"):

  • Distribution of Cash (a) The Partnership shall distribute cash on a quarterly (or, at the election of the General Partner, more frequent) basis, in an amount determined by the General Partner in its sole and absolute discretion, to the Partners who are Partners on the Partnership Record Date with respect to such quarter (or other distribution period) in accordance with Section 5.2(b).

  • Certificate Distribution Account The Certificate Distribution Account shall be established as a non-interest bearing trust account pursuant to Section 4.1 of the Sale and Servicing Agreement. Funds on deposit in the Certificate Distribution Account shall be held uninvested. The Certificateholders shall possess all beneficial right, title and interest in and to all funds on deposit from time to time in the Certificate Distribution Account and all proceeds thereof. Except as otherwise provided herein, in the Indenture or in the Sale and Servicing Agreement, the Certificate Distribution Account shall be under the sole dominion and control of the Certificate Paying Agent for the benefit of the Certificateholders. If, at any time, the Certificate Distribution Account ceases to be an Eligible Account, the Servicer on behalf of the Issuer, shall, within ten (10) Business Days (or such longer period) after becoming aware of the fact, establish a new Certificate Distribution Account as an Eligible Account and shall direct the Certificate Paying Agent to transfer any cash then on deposit in the Certificate Distribution Account to such new Certificate Distribution Account.

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