Noncompliance Notification to Owner Sample Clauses

Noncompliance Notification to Owner. NIFA will provide written notice to a development owner if the following required submissions have not been received by the respective due dates; Tenant Income Certifications, supporting documentation, Annual Tax Credit Summary Report, and Owner’s Certificate of Continuing Program Compliance. In addition, if the development is found to be out of compliance with the provisions of § 42. XXXX will notify the development owner in writing. Note: NIFA will provide such notice and all other correspondence related to a LIHTC development to the development owner’s designated representative (instead of the owner) if NIFA receives a written request to do so from the development owner. Initial written notification will be in the form of an Exhibit A attached to a letter of correspondence. Such notice may be provided with respect to various issues: items of clear noncompliance, and/or informational items where noncompliance may not exist, but practices or procedures being conducted at the development may lead to future noncompliance. If NIFA finds no items of noncompliance in its review, the owner or owner’s representative will receive a letter from NIFA to such effect. Types of Noncompliance Each noncompliance item cited by NIFA will be reported under one of the following categories: (See IRS Form 8823, “Low Income Housing Credit Agencies Report of Noncompliance or Building Disposition” in Appendix E)  Household income above limit upon initial occupancy  Owner failed to correctly complete or document tenant’s annual income recertification  Violation(s) of the UPCS or local inspection standards  Owner failed to provide annual certifications or provided incomplete or inaccurate certifications  Changes in Eligible Basis or the Applicable Percentage  Project failed to meet Minimum Set-Aside requirement  Gross rent(s) exceed tax credit limits  Project not available to the general public  Violation(s) of the Available Unit Rule under Section 42(g)(2)(D)(ii) of the Code  Violation(s) of the Vacant Unit Rule under Treas. Reg. §1.42-5(c)(1)(ix)  Owner failed to execute and record extended-use agreement within time prescribed by Section 42(h)(6)(J) of the Code  Low-income units occupied by nonqualified full-time students  Owner did not properly calculate utility allowance  Owner has failed to respond to NIFA requests for monitoring reviews  Low-income units used on a transient basis  Building is no longer in compliance nor participating in the Section 42 Program...
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Related to Noncompliance Notification to Owner

  • Notification of Non-Compliance If Seller is unable to comply with the obligations stated in this Section, Seller shall promptly notify Apple, and Apple may take any one or more of the following actions: (i) suspend the transfer of Confidential Data to Seller; (ii) require Seller to cease processing Confidential Data; (iii) demand the secure return or destruction of Confidential Data; and/or (iv) immediately terminate this Agreement.

  • CEQA Compliance The District has complied with all assessment requirements imposed upon it by the California Environmental Quality Act (Public Resource Code Section 21000 et seq. (“CEQA”) in connection with the Project, and no further environmental review of the Project is necessary pursuant to CEQA before the construction of the Project may commence.

  • OSHA Compliance To the extent applicable to the services to be performed under this Agreement, Contractor represents and warrants, that all articles and services furnished under this Agreement meet or exceed the safety standards established and promulgated under the Federal Occupational Safety and Health Law (Public Law 91-596) and its regulations in effect or proposed as of the date of this Agreement.

  • PCI Compliance A. The Acquiring Bank will provide The Merchant with appropriate training on PCI PED and/or DSS rules and regulations in respect of The Merchants obligations. Initial training will be provided and at appropriate intervals as and when relevant changes are made to such rules and regulations.

  • HIPAA Compliance If this Contract involves services, activities or products subject to the Health Insurance Portability and Accountability Act of 1996 (HIPAA), the Contractor covenants that it will appropriately safeguard Protected Health Information (defined in 45 CFR 160.103), and agrees that it is subject to, and shall comply with, the provisions of 45 CFR 164 Subpart E regarding use and disclosure of Protected Health Information.

  • Law Compliance In providing the SOLID WASTE HANDLING SERVICES required by this AGREEMENT, CONTRACTOR shall observe and comply with all applicable federal and, state laws, regulations and codes regarding the provision of the SOLID WASTE HANDLING SERVICES described herein, as such may be amended from time to time, including where required by such laws, the funding and maintenance of sufficient closure and post-closure maintenance financial assurances for any landfill operated or utilized by CONTRACTOR for disposal of the SOLID WASTE. Any violation of this Paragraph shall constitute a major breach.

  • FERPA Compliance In connection with all FERPA Records that Contractor may create, receive or maintain on behalf of University pursuant to the Underlying Agreement, Contractor is designated as a University Official with a legitimate educational interest in and with respect to such FERPA Records, only to the extent to which Contractor (a) is required to create, receive or maintain FERPA Records to carry out the Underlying Agreement, and (b) understands and agrees to all of the following terms and conditions without reservation:

  • Xxxxxx Compliance The Union shall comply with the requirements set forth in Chicago Teachers Union x. Xxxxxx, 475 U.S. 292 (1986) for the deduction of agency shop fees. Annually, the Union shall certify in writing to the City that the Union has complied with the requirements set forth in this section and in Xxxxxx, 475 U.S. 292.

  • PCI-DSS Compliance Merchant shall be in full compliance with rules, regulations, guidelines and procedures adopted by any Card Association or Payment Network relating to the privacy and security of Cardholder and Card transaction data, including without limitation the most up-to-date version of the Payment Card Industry Data Security Standard (PCI-DSS), as amended from time to time by the Payment Card Industry Security Standards Council. Detailed information pertaining to aforementioned requirements may be found at xxxxx://xxx.xxxxxxxxxxxxxxxxxxxx.xxx. Additional information regarding security requirements may be found on the Card Association’s respective web sites.

  • Employee Notification A copy of any disciplinary action or material related to employee performance which is placed in the personnel file shall be provided to the employee (the employee so noting receipt, or the supervisor noting employee refusal to acknowledge receipt) or sent by certified mail (return receipt requested) to the employee's last address appearing on the Employer's records.

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