Greenwaste Collection Sample Clauses

Greenwaste Collection. Contractor will provide green wheeled greenwaste carts (between 95-100 gallons in capacity) to all residential customers in the Franchise Area, except for those customers specified below. Contractor will instruct customers to deposit all greenwaste into these carts for collection, in place of existing customer-supplied bags or containers. Greenwaste will be collected curbside for recycling on a bi- weekly schedule. Residential customers in possession of Contractor-supplied 96-gallon green garbage carts will not receive new wheeled greenwaste carts. Contractor will instruct these customers to use their existing garbage carts for greenwaste collection. Residential customers who reside in the Xxxxx Creek Road area described and depicted in Exhibit 1 attached hereto (“Xxxxx Creek Area”) will not be provided with wheeled greenwaste carts, due to the exceptional cost of servicing this rural area with three separate collection trucks. Contractor will instead provide these customers with 52 green plastic bags, each with a minimum capacity of 32 gallons and thickness of at least 1.2 millimeters, for greenwaste collection, one bag to be used for collection each week. Contractor will instruct these customers to place bags containing greenwaste adjacent to or inside their garbage carts for collection by garbage collection trucks. Contractor will recycle materials placed in these bags. This method of collection is considered a component of the 3-Cart System, notwithstanding the use of bags in place of carts for greenwaste disposal and collection. Contractor will collect greenwaste from the green carts on a bi-weekly schedule. these carts for curbside collection, in place of the two existing 14 gallon recycling crates previously supplied by the Contractor. Residential customers who reside in the Xxxxx Creek Area will not be provided with wheeled recycling carts. Contractor will instead provide these customers with 52 blue plastic bags, each with a minimum capacity of 32 gallons and thickness of at least 1.2 millimeters, for mixed recyclables collection, one bag to be used for collection each week. Contractor will instruct these customers to place bags containing mixed recyclables adjacent to or inside their garbage carts for collection by garbage collection trucks. Contractor will recycle mixed recyclables placed in the bags. This method of collection is considered a component of the 3-Cart System, notwithstanding the use of bags in place of carts for mixed recyclables ...
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Greenwaste Collection a. The Greenwaste Collection is to occur either four (4) times, three (3) or twice a year on a date determined in accordance with clause 9.1.

Related to Greenwaste Collection

  • Data Collection Some downloaded software included in the Materials may generate and collect information about the software and usage and transmit it to Intel to help improve Intel’s products and services. This collected information may include product name, product version, time of event collection, license type, support type, installation status, hardware and software performance, and use. 9.

  • Administration and Collection SECTION 6.01.

  • Information Collection Information collection activities performed under this award are the responsibility of the awardee, and NSF support of the project does not constitute NSF approval of the survey design, questionnaire content or information collection procedures. The awardee shall not represent to respondents that such information is being collected for or in association with the National Science Foundation or any other Government agency without the specific written approval of such information collection plan or device by the Foundation. This requirement, however, is not intended to preclude mention of NSF support of the project in response to an inquiry or acknowledgment of such support in any publication of this information.

  • Income Collection Unless otherwise directed by Instruction, the Custodian shall collect any amount due and payable to the Fund with respect to Investments and promptly credit the amount collected to a Principal or Agency Account; provided, however, that the Custodian shall not be responsible for: (a) the collection of amounts due and payable with respect to Investments that are in default or (b) the collection of cash or share entitlements with respect to Investments that are not registered in the name of the Custodian or its Subcustodians. The Custodian is hereby authorized to endorse and deliver any instrument required to be so endorsed and delivered to effect collection of any amount due and payable to the Fund with respect to Investments.

  • Billing and Collection The Originating party shall xxxx and collect such information service charges and shall remit the amounts collected to the Terminating Party less:

  • Data Collection and Reporting 1. Grantee shall develop and use a local reporting unit that will provide an assigned location for all clients served within the Hospital. This information shall also be entered into Client Assignment and Registration (CARE)when reporting on beds utilized at the Hospital.

  • Administration and Collections Section 4.1. Appointment of the Servicer ............................ 11 Section 4.2. Duties of the Servicer ................................. 12 Section 4.3. Lock-Box Arrangements .................................. 13 Section 4.4. Enforcement Rights ..................................... 14 Section 4.5. Responsibilities of the Seller ......................... 14 Section 4.6. Servicing Fee .......................................... 15

  • Allocations of Finance Charge Collections The Servicer shall allocate to the Series 1997-1 Certificateholders and retain in the Collection Account for application as provided herein an amount equal to the product of (A) the Floating Allocation Percentage and (B) the Series 1997-1 Allocation Percentage and (C) the aggregate amount of Collections of Finance Charge Receivables deposited in the Collection Account on such Deposit Date.

  • Income Collection, Transaction Processing, Account Administration 0.25 of a basis point per annum on the average net assets of the Fund.

  • Excess Finance Charge Collections Series 2018-6 shall be an Excess Allocation Series. Subject to Section 4.05 of the Agreement, Excess Finance Charge Collections with respect to the Excess Allocation Series for any Distribution Date will be allocated to Series 2018-6 in an amount equal to the product of (x) the aggregate amount of Excess Finance Charge Collections with respect to all the Excess Allocation Series for such Distribution Date and (y) a fraction, the numerator of which is the Finance Charge Shortfall for Series 2018-6 for such Distribution Date and the denominator of which is the aggregate amount of Finance Charge Shortfalls for all the Excess Allocation Series for such Distribution Date. The “Finance Charge Shortfall” for Series 2018-6 for any Distribution Date will be equal to the excess, if any, of (a) the full amount required to be paid, without duplication, pursuant to subsections 4.05(a), 4.05(b) and 4.05(c) and subsections 4.07(a) through (j) on such Distribution Date and the full amount required to be paid, without duplication, pursuant to subsections 3.02(a)(iii) and 3.02(a)(iv) of the Transfer Agreement on the related Payment Date (as such term is defined in the Transfer Agreement) over (b) the sum of (i) the Reallocated Investor Finance Charge Collections, (ii) if such Monthly Period relates to a Distribution Date with respect to the Controlled Accumulation Period or Early Amortization Period, the amount of Principal Funding Account Investment Proceeds, if any, with respect to such Distribution Date and (iii) the amount of funds, if any, to be withdrawn from the Reserve Account which, pursuant to subsection 4.12(d), are required to be included in Class A Available Funds with respect to such Distribution Date. The amount of Excess Finance Charge Collections for Series 2018-6 for any Distribution Date shall be specified in subsection 3.02(a)(v) of the Transfer Agreement. On each Distribution Date, the Trustee shall deposit into the Collection Account for application in accordance with Section 4.05 of the Agreement the aggregate amount of Excess Finance Charge Collections received by the Trustee pursuant to the Transfer Agreement on such date.

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