Email Template Sample Clauses

Email Template. The following template is to be used to forward call back requests to the Ombudsman: Good Morning/Good Afternoon XXXX, XXX Reference: The CQC Concerns team attempted to transfer a call to you today however this attempt was unsuccessful. The caller has granted permission to share their information with you. Please therefore contact: Name: Contact number: Service provider: Kind regards National Customer Service Centre Concerns Team (Mental Health Calls, Safeguarding & Whistleblowing) Care Quality Commission Xxxxxxxx Xxxxxxxxxx Xxxxxxxxx Xxxx Xxxx XX0 0XX External telephone: 00000000000 Statutory requests for information made under access to information legislation such as the Data Protection Xxx 0000 and the Freedom of Information Xxx 0000 should be sent to: xxxxxxxxxxx.xxxxxx@xxx.xxx.xx. This is further explained in Appendix 1.
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Email Template. The following template is to be used to forward call back requests to the CQC Good Morning/Good Afternoon XXXX, LGSCO Reference: The Intake Team attempted to transfer a call to you today however this attempt was unsuccessful. The caller has granted permission to share their information with you. Please therefore contact: Name: Contact number: Service Provider: Kind regards Insert standard external signature This is further explained in Appendix 2.
Email Template. Pursuant to the applicable provisions found in EPNG’s FERC Gas Tariff (e.g., Section 2.8 of Rate Schedule FT-1, Section 3.6 of Rate Schedule FT-H, etc.), [Insert Shipper Name] offers to [Draft or Pack – Select one] the system by no more than [Insert amount], at the following location(s): [Insert D-Code(s) and PIN(s)]. Such assistance shall be provided on [Insert Gas Day(s)] to assist with stabilizing the overall system linepack. (See Critical Notice No. [Insert SOC/COC Declaration or Warning Notice No.]). Name/Title: Company Name:
Email Template. Please email your work supervisor the following information. Be sure to copy xx@xxxxxxxxx.xxx on the email for my records. This email is to inform you that as of [START DATE], I began LCSW supervision with Xxxxx Xxxx LCSW-S. She is CC’d here and you can reach her at xx@xxxxxxxxx.xxx. Best, [YOUR NAME], LMSW Dear [WORK SUPERVISOR], Body YOUR WORK SUPERVISOR’S EMAIL xx@xxxxxxxxx.xxx LCSW Supervision To Cc Subject TEXAS BEHAVIORAL HEALTH EXECUTIVE COUNCIL TEXAS STATE BOARD OF SOCIAL WORKER EXAMINERS Clinical Supervision Plan *** Be sure to complete ALL portions of this form. ***

Related to Email Template

  • Template That certain three well drilling template acquired, inter alia, by Seller for use in connection with the drilling of the OCS-G 7049 #5 Well.

  • Format The data will be provided in the format specified in Specification 2 for Data Escrow (including encryption, signing, etc.) but including only the fields mentioned in the previous section, i.e., the file will only contain Domain and Registrar objects with the fields mentioned above. Registry Operator has the option to provide a full deposit file instead as specified in Specification 2.

  • Web Site Information on registration for and use of the E-Verify program can be obtained via the Internet at the Department of Homeland Security Web site: xxxx://xxx.xxx.xxx/E-Verify.

  • Implementation Report Within 120 days after the Effective Date, Xxxxxxxx shall submit a written report to OIG summarizing the status of its implementation of the requirements of this CIA (Implementation Report). The Implementation Report shall, at a minimum, include:

  • Monthly Data Download Not later than fifteen (15) days after the end of each month, beginning with the month in which the Commencement Date occurs and ending with the Final Shared-Loss Month, Assuming Institution shall provide Receiver:

  • Information Packages As soon as available and in any event not later than two (2) Business Days prior to each Settlement Date, an Information Package as of the most recently completed Fiscal Month.

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  • FORMAT AND CONTENT FOR REGISTRY OPERATOR MONTHLY REPORTING Registry Operator shall provide one set of monthly reports per gTLD, using the API described in draft-­‐xxxxxx-­‐icann-­‐registry-­‐interfaces, see Specification 2, Part A, Section 9, reference 5, with the following content. ICANN may request in the future that the reports be delivered by other means and using other formats. ICANN will use reasonable commercial efforts to preserve the confidentiality of the information reported until three (3) months after the end of the month to which the reports relate. Unless set forth in this Specification 3, any reference to a specific time refers to Coordinated Universal Time (UTC). Monthly reports shall consist of data that reflects the state of the registry at the end of the month (UTC).

  • How to Update Your Records You agree to promptly update your registration records if your e-mail address or other information changes. You may update your records, such as your e-mail address, by using the Profile page.

  • Spreadsheet The Company will cause to be prepared and delivered to Parent, at least five Business Days before the Closing, a spreadsheet, in a form reasonably acceptable to Parent and the Payment Agent, dated and setting forth as of the Closing the following information relating to the holders of Company Units, other securities convertible into Company Units, Company Options, Company RSUs, Retention RSUs and Company Restricted Units: (a) the names and addresses (including email addresses), to the extent practicable, of all such holders; (b) the number and type of Company Units or other securities held by, or subject to the Company Options, Company RSUs, Retention RSUs or Company Restricted Units held by, such Persons; (c) the exercise price per unit in effect as of the Closing Date for each Company Option; (d) the conversion price per unit in effect as of the Closing Date for any securities that are convertible into Company Units and the type of Company Units into which the securities are convertible; (e) the cash amount payable to such holder in respect of the cancellation of such holder’s Company Units and In-the-Money Vested Options or other securities pursuant to Section 1.4 or Section 1.6; (f) the Unit General Escrow Contribution, Unit Litigation Escrow Contribution, Unit Representative Fund Contribution, Option General Escrow Contribution, Option Representative Fund Contribution, Aggregate Escrow Funding Percentage and Unit Litigation Funding Percentage of each Indemnifying Securityholder and Indemnifying Founder, as applicable (together with each Indemnifying Securityholder’s Unit Escrow Funding Percentage, Option Escrow Funding Percentage, and each Indemnifying Founder’s Unit Litigation Funding Percentage, separately listed); (g) whether a Person is an Installment Party and if so, such Person’s Unit Installment Amount; (h) the number of shares of Parent Common Stock underlying each holder’s Substitute Options and Replacement RSUs, (i) the amount of the applicable required Tax withholdings as of the date the Spreadsheet is provided attributable to each holder of Company Units, Company Options, Company RSUs, Retention RSUs and Company Restricted Units; (j) the aggregate amount of all outgoing wires to the Payment Agent, the Company and any of its Subsidiaries in respect of payments to be made to holders of Company Units and In-The-Money Vested Options, as applicable, the Escrow Agent and any third-party in respect of the payment of Third Party Expenses; and (k) such other information relevant thereto or which Parent may reasonably request at least five Business Days before the Closing Date (the “Spreadsheet”).

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