Facility Drawings Sample Clauses
The Facility Drawings clause defines the requirements and procedures related to the submission, review, and approval of technical drawings for a facility under a contract. Typically, this clause outlines the types of drawings that must be provided by the contractor, the format and timing for their submission, and the process for obtaining approval or requesting revisions from the client or project manager. By establishing clear expectations for the handling of facility drawings, this clause ensures that all parties have a shared understanding of the design and construction details, reducing the risk of errors, delays, or disputes during the project.
Facility Drawings. In addition to the Job Books, GEC shall provide to Owner one (1) complete set of the then-current reproducible drawings. Such drawings shall be provided in accordance with the schedule and format requirements set forth in Exhibit L. For the avoidance of doubts, such reproducible drawings are not intended to be record drawings, the latter of which shall be provided by GEC as part of the final Job Books.
Facility Drawings. In addition to the Job Books, Contractor shall provide to Owner one (1) complete set of the then-current reproducible drawings. Such drawings shall be provided in accordance with the schedule and format requirements set forth in Exhibit R. For the avoidance of doubts, such reproducible drawings are not intended to be “as built” reproducible drawings, the latter of which shall be provided by Contractor as part of the final Job Books.
Facility Drawings. If the Cash Manager determines in accordance with Section 3.07(g) hereof that after making all withdrawals (prior to any drawings under the Policy but after giving effect to any withdrawals from the Liquidity Facility Reserve Account and the Senior Cash Collateral Account (if established)) and transfers to be made with respect to the applicable Payment Date, there is (i) a Required Expenses Shortfall, (ii) a Senior Hedge Payments Shortfall and/or (iii) a Liquidity Facility Interest Class G Shortfall, in each case as calculated in Section 3.07(g), the Cash Manager shall so notify the Trustee in writing and shall, no later than 5:00 p.m. (New York City time) four Business Days prior to such Payment Date, request a drawing (each such drawing, a “Facility Drawing”) under the Initial Liquidity Facility, to be paid on or prior to such Payment Date, in an amount equal to the lesser of (A) the aggregate amount of the shortfall from clauses (i), (ii) and (iii) above and (B) the Available Amount under the Initial Liquidity Facility.
