Grade B Clause Samples

The "Grade B" clause defines a specific quality or standard level for goods, services, or performance within a contract. Typically, this grade indicates that the item or service meets acceptable but not premium criteria, such as minor cosmetic imperfections or slightly lower performance metrics compared to Grade A. By clearly specifying what constitutes Grade B, the clause helps set expectations between parties and reduces disputes over quality, ensuring both sides understand the standard being delivered or accepted.
Grade B. The position involves a range of duties for which additional knowledge, skills and experience are required to meet the needs of the centre. The position allows some scope for discretion on how and when the tasks are completed and is likely to involve periods without supervision. Grade C: The position involves a range of duties for which a high level of skill, responsibility and specialist knowledge is required. It may include supervision of other non-teaching staff, centre roll management including enrolments and financial responsibility, in particular payroll. Where the position does not involve supervision of staff, it may involve management of specialist equipment or programmes which make a significant contribution to the running of the centre.
Grade B. Teaching Assistant (non-licensed) Clerical Aide Health Aide Attendance Secretaries HS Staff Secretary SSC Receptionist BASP Aide (Hired prior to 7/1/06) HS LLC Secretary HS Receptionist Instructional Teaching Assistants, Special Ed Teaching Assistants, Computer Data Specialist ED Services Specialist EL Specialist HS Registrar Transition Secretary HS Treasurer MPC Textbook Manager Principal’s Secretary Senior Accounts Payable Clerk District Head Groundskeeper Teaching Assistants, LLC Teaching Assistants and Job Coaches (excluding HS AV Aides) who hold an Educator License with Stipulation or a valid teaching license. Accounts Payable Clerk HS Activities Secretary ▇▇ ▇▇▇▇’▇ Secretary HS Guidance Counseling Secretary (10 month) Special Services Secretary Student Supervisor FS Groundskeeper District Driver HS/MS Assistant Principal’s Secretary HS Athletic Director’s Secretary HS Guidance Counseling Secretary (12 month) Secretary to a Director Maintenance – Middle School Maintenance – High School Night Shift Supervisor – Middle School Night Shift Supervisor – High School Nurses 1:1/Flex Head Custodian – Middle School Maintenance – District Maintenance Specialist** Electrician Plumber, HVAC, ▇▇▇▇▇▇▇▇▇ GRADE FS (Field Service) Custodian – Floater Custodian * Refer to MOU **See Position Description for Required Licensure/Certification Licensed Teaching Assistants $ 14.04 $ 14.29 $ 14.54 B $ 13.50 $ 13.75 $ 14.00 C $ 14.04 $ 14.29 $ 14.54 C1 $ 14.56 $ 14.81 $ 15.06 C2 $ 15.62 $ 15.87 $ 16.12 D $ 16.68 $ 16.93 $ 17.18 *E $ 22.20 $ 22.45 $ 22.70 CFS $ 14.04 $ 14.29 $ 14.54 DFS $ 16.82 $ 17.07 $ 17.32 EFS $ 22.20 $ 22.45 $ 22.70 E1FS $ 30.00 $ 30.25 $ 30.50 Facilities Services (Days) $ 13.50 $ 13.75 $ 14.00 2021-2022 New starting hourly rates have been set for all salary grades. Employees will receive the new hourly rate or receive a 3.0% increase, whichever is greater. 2022-2023 An employee’s hourly rate increase will be determined by the Blended CPI used for the 2021 and 2022 levies. However, hourly increases will not be less than 2.0% or greater than 3.0%. 2023-2024 An employee’s hourly rate increase will be determined by the Blended CPI used for the 2022 and 2023 levies. However, hourly increases will not be less than 2.0% or greater than 3.0%. *Refer to MOU
Grade B. (a) The position involves a range of duties for which advanced knowledge, skills and experience are required. The position is likely to involve periods without supervision or may be sole charge. (b) Some examples of the duties or level of duties required within this grade are: • support and contribution to teaching programmes and curriculum delivery, including work with students either individually or in groups which assists their learning; • contributing to and maintaining healthcare programmes for students; • management of equipment and resources.
Grade B. An employee of "Grade B" is the one who is the fifth phase of its development and confirms their learning by performing work under minimal supervision. Such employee, when promoted to this rank, will have served 1,840 hours worked "GRADE C".
Grade B. An employee of "

Related to Grade B

  • Partial Disposal During Term of Service Agreement Throughout the Term of the Service Agreement, LEA may request partial disposal of Student Data obtained under the Service Agreement that is no longer needed. Partial disposal of data shall be subject to LEA’s request to transfer data to a separate account, pursuant to Article II, section 3, above.

  • Allocations During the Early Amortization Period During the Early Amortization Period, an amount equal to the product of (A) the Principal Allocation Percentage and (B) the Series 1997-1 Allocation Percentage and (C) the aggregate amount of Collections of Principal Receivables deposited in the Collection Account on such Deposit Date, shall be allocated to the Series 1997-1 Certificateholders and retained in the Collection Account until applied as provided herein; provided, however, that after the date on which an amount of such Collections equal to the Adjusted Invested Amount has been deposited into the Collection Account and allocated to the Series 1997-1 Certificateholders, such amount shall be first, if any other Principal Sharing Series is outstanding and in its amortization period or accumulation period, retained in the Collection Account for application, to the extent necessary, as Shared Principal Collections on the related Distribution Date, and second paid to the Holders of the Transferor Certificates only if the Transferor Amount on such date is greater than the Required Transferor Amount (after giving effect to all Principal Receivables transferred to the Trust on such day) and otherwise shall be deposited in the Special Funding Account.

  • Under-Frequency and Over Frequency Conditions The New York State Transmission System is designed to automatically activate a load- shed program as required by the NPCC in the event of an under-frequency system disturbance. Developer shall implement under-frequency and over-frequency relay set points for the Large Generating Facility as required by the NPCC to ensure “ride through” capability of the New York State Transmission System. Large Generating Facility response to frequency deviations of predetermined magnitudes, both under-frequency and over-frequency deviations, shall be studied and coordinated with the NYISO and Connecting Transmission Owner in accordance with Good Utility Practice. The term “ride through” as used herein shall mean the ability of a Generating Facility to stay connected to and synchronized with the New York State Transmission System during system disturbances within a range of under-frequency and over-frequency conditions, in accordance with Good Utility Practice and with NPCC Regional Reliability Reference Directory # 12, or its successor.

  • Borrowing Base Deficiency (i) Other than as provided in clause (ii) below, if the aggregate outstanding amount of the Advances plus the Letter of Credit Exposure ever exceeds the lesser of the (y) Borrowing Base and (z) the aggregate Commitments, the Borrower shall, after receipt of written notice from the Administrative Agent regarding such deficiency, take any of the following actions (and the failure of the Borrower to take such actions to remedy such Borrowing Base deficiency shall constitute an Event of Default): (A) prepay Advances or, if the Advances have been repaid in full, make deposits into the Cash Collateral Account to provide cash collateral for the Letter of Credit Exposure, such that the Borrowing Base deficiency is cured within 10 Business Days after the date such deficiency notice is received by the Borrower from the Administrative Agent; (B) pledge as Collateral for the Obligations additional Oil and Gas Properties acceptable to the Administrative Agent and each of Lenders such that the Borrowing Base deficiency is cured within 30 days after the date such deficiency notice is received by the Borrower from the Administrative Agent; (C) (i) deliver, within 10 Business Days after the date such deficiency notice is received by the Borrower from the Administrative Agent, written notice to the Administrative Agent indicating the Borrower’s election to repay the Advances and make deposits into the Cash Collateral Account to provide cash collateral for the Letters of Credit, each in five monthly installments equal to one-fifth of such Borrowing Base deficiency with the first such installment due 30 days after the date such deficiency notice is received by the Borrower from the Administrative Agent and each following installment due 30 days after the preceding installment and (ii) make such payments and deposits within such time periods; provided that, the Borrowing Base deficiency cure permitted under this clause (C) shall not be available to the Borrower unless, concurrent with the written notice delivered to the Administrative Agent electing this option, the Borrower shall have delivered to the Administrative Agent a calculation of the Borrower’s consolidated cash flow forecast and financial projections which demonstrates, to the Administrative Agent’s satisfaction, the Borrower’s ability to make each such installment payments and to otherwise pay its other Debt and trade accounts payable as they become due; or (D) (i) deliver, within 10 Business Days after the date such deficiency notice is received by the Borrower from the Administrative Agent, written notice to the Administrative Agent indicating the Borrower’s election to combine the options provided in clause (B) and clause (C) above, and also indicating the amount to be prepaid in installments and the amount to be provided as additional Collateral, and (ii) make such five equal consecutive monthly installments and deliver such additional Collateral within the time required under clause (B) and clause (C) above. (ii) Upon each reduction of the Borrowing Base, if any, resulting from a Borrowing Base redetermination made under Section 2.02(c)(ii) or (iii), if the aggregate outstanding amount of the Advances plus the Letter of Credit Exposure exceeds the lesser of the (y) Borrowing Base and (z) the aggregate Commitments, then the Borrower shall immediately prepay the Advances or, if the Advances have been repaid in full, make deposits into the Cash Collateral Account to provide cash collateral for the Letter of Credit Exposure, in an amount equal to (A) such portion of the Borrowing Base deficiency resulting from such reduction plus (B) if a Borrowing Base deficiency exists prior to such reduction, then an amount equal to the lesser of (i) the net cash proceeds of the transaction that triggered such Borrowing Base reduction and (ii) such portion of the Borrowing Base deficiency in existence immediately prior to such reduction. (iii) Each prepayment pursuant to this Section 2.05(b) shall be accompanied by accrued interest on the amount prepaid to the date of such prepayment and amounts, if any, required to be paid pursuant to Section 2.12 as a result of such prepayment being made on such date. Each prepayment under this Section 2.05(b) shall be applied to the Advances as determined by the Administrative Agent and agreed to by the Lenders in their sole discretion. The failure of the Borrower to provide a notice of its election within the required 10 days as required in clause (i) above shall be deemed to be an election by the Borrower to take the actions provided in clause (i)(A) above.

  • Contract Year A twelve (12) month period during the term of the Agreement commencing on the Effective Date and each anniversary thereof.