Report to NPHET Sample Clauses

Report to NPHET. Progress Updates - Escalation of high risks as appropriate. Subgroup Membership List Department of Health (Chair) Xxxxxxxx Xxx Xxxxxx Department Justice and Equality Dr Xxxx Xxxxxx, The Irish Prison Service Department of Children and Youth Affairs Xxxxxx X’Xxxxxxxx, Principal Officer Department of Housing, Planning and Local Government Ms Xxxx Xxxxxx, Assistant Secretary Xxxxxx Xxxxxxx Xxxxx Xxxxx (Alternates) Local Government Management Agency, Xx Xxxxxx Xxxxxxx, Director of the Dublin Region Homeless Executive Xxxx Xxxxx (Alternate) Department of Education and Skills Xx Xxxxxx Tattan, Assistant Secretary Department of Defence Xxxxx Xxxxxxx, Department of Rural and Community Development Bairbre Nic Aonghusa A/Sec, Community Operations - Health Service Executive Xxx Xxxx, Head of Operations Mental Health. Public Health Specialist Dr Xxxxxxxx Xxxxxxxxxx, National Public Health Lead Social inclusion and Vulnerable groups. Voluntary Sector Xxxx Xxxxxxxx, CEO Patient Representative Xxxxxx Xxxxxxx Health Information and Quality Authority Xx Xxxx Xxxxxxx, Xxxxx Xxxxxx (Alternate) 1 Responsibility to ensure that all content and actions are in line with NPHET directions lies with the relevant Departments/Agencies. National Cancer Control Programme Xx Xxxxxxxxx Xx Carthy Chronic Disease (COPD) Representative Xxxx. X.X. Xxxxxxxxx HSE Chief Clinical Officer’s Office Dr. Xxxxxx Xxxxxxx Department of Health Xxxxxxx Xxxxxxx, Chief Nurses Officer Department of Health Xxxxx Xxxxxx, Principal Officer, Older Persons Projects Department of Health Xxxx Xxxxxx, Principal Officer, Primary Care Department of Health Xxxxxxx X’Xxxxxxxxx, Principal Officer. Acute Hospitals Department of Health Xxxx Xxxxxxx, Mental Health Unit, Department of Health Xxxxxx Xxxxx, Deputy Chief Nursing Officer, Department of Health Xxxxxx Xxxxxxxx, Accountant, Finance Unit Department of Health Xxxxxxx Xxxxxxxx, Governance and Performance Division Department of Public Expenditure and Reform Xxxxxxx Xxxxxxx, Civil Service HR Department of Finance Xxxxx Xxxxxxx, Civil Service HR Disability Umbrella Groups Representative Xx Xxxxxx Xx Carthy Xx Xxxx Xxxxxx Department of Health/HIQA Xx Xxxxxx Xxxx Appendix 2 National Public Health Emergency Team (NPHET) COVID-19 Subgroup on Vulnerable People Meeting 3 (teleconference) Note of Meeting and Actions Arising Meeting Date: Wednesday 18 March 2020, 11am Location: Department of Health, Miesian Plaza, Room 5.22 In attendance: Department of Health: Xx. Xxxxxxxx Xxx Le...
AutoNDA by SimpleDocs

Related to Report to NPHET

  • Report Time All bargaining unit members with the exception of paraprofessionals, sign language/educational interpreters, occupational therapy assistants, and physical therapy assistants will arrive ten (10) minutes before the start of the student day. During this time, such bargaining unit members must be in the school building. However, this time may not be assigned by the Principal or other administrator.

  • Reports to Owner We will send you a report at least once during each Contract Year. The report will show the Accumulation Value and the Cash Surrender Value as of the end of the Contract Processing Period. The report will also show the allocation of the Accumulation Value as of such date and the amounts deducted from or added to the Accumulation Value since the last report. The report will also include any information that may be currently required by the insurance supervisory official of the jurisdiction in which the Contract is delivered. We will also send you copies of any shareholder reports of the portfolios in which the Divisions of the Variable Separate Account invest, as well as any other reports, notices or documents required by law to be furnished to Owners.

  • Quarterly Report 5.1 Upon request, the contractor shall provide to the Purchasing Agent a quarterly report, showing all purchases made under the terms and conditions of the contract.

  • Report on Assessment of Compliance and Attestation (a) On or before March 1 of each calendar year, commencing in 2007, the Servicer shall:

  • What To Do If You Find A Mistake On Your Statement If you think there is an error on your statement, write to us at the address(es) listed on your statement. In your letter, give us the following information:

  • Annual Report Within 90 days after each April 15, starting in the year after the Closing Date, the Indenture Trustee will prepare and mail to each Noteholder a report dated as of April 15 of the applicable year that complies with Section 313(a) of the TIA, if the report is required under Section 313(a) of the TIA. The Indenture Trustee will also prepare and mail to the Noteholders any report required under Section 313(b) of the TIA. A report mailed to the Noteholders under this Section 7.4(a) will be mailed according to Section 313(c) of the TIA.

  • Annual Reports on Assessment of Compliance with Servicing Criteria (a) On or before March 1 of each year commencing in March 2018, the Master Servicer, the Special Servicer, the Certificate Administrator, the Custodian, the Operating Advisor and, if it has made (or is required to make) an Advance during the applicable calendar year, the Trustee, each at its own expense, shall furnish (and each of the preceding parties, as applicable, (i) with respect to any Servicing Function Participant of such party that is a Mortgage Loan Seller Sub-Servicer, shall use commercially reasonable efforts to cause such Servicing Function Participant to furnish, and (ii) with respect to any other Servicing Function Participant of such party (other than any party to this Agreement), shall cause such Servicing Function Participant to furnish) (each Master Servicer, the Special Servicer, the Certificate Administrator, the Custodian, the Operating Advisor, any Servicing Function Participant and, if it has made (or is required to make) an Advance during the applicable calendar year, the Trustee, as the case may be, a “Reporting Servicer”) to the Certificate Administrator, the Trustee, the Serviced Companion Loan Holders (or, in the case of a Serviced Companion Loan that is part of an Other Securitization Trust, the applicable Other Depositor and Other Exchange Act Reporting Party), the Operating Advisor (only in the case of a report furnished by the Special Servicer) and the Depositor, a report on an assessment of compliance with the Relevant Servicing Criteria (together with a copy thereof in XXXXX-Compatible Format, or in such other format as otherwise agreed upon by the Depositor, the Certificate Administrator, the applicable Other Depositor, the applicable Other Exchange Act Reporting Party and the applicable Certifying Servicer) that complies in all material respects with the requirements of Item 1122 of Regulation AB and contains (A) a statement by such Reporting Servicer of its responsibility for assessing compliance with the Relevant Servicing Criteria, (B) a statement that such Reporting Servicer used the Servicing Criteria to assess compliance with the Relevant Servicing Criteria, (C) such Reporting Servicer’s assessment of compliance with the Relevant Servicing Criteria as of the end of and for the preceding calendar year, including, if there has been any material instance of noncompliance with the Relevant Servicing Criteria, a discussion of each such failure and the nature and status thereof and (D) a statement that a registered public accounting firm has issued an attestation report on such Reporting Servicer’s assessment of compliance with the Relevant Servicing Criteria as of and for such period. Copies of all compliance reports delivered pursuant to this Section 10.09 shall be provided to any Certificateholder, upon the written request thereof, by the Certificate Administrator. Each such report shall be addressed to the Depositor and each Other Depositor (if addressed) and signed by an authorized officer of the applicable company, and shall address each of the Relevant Servicing Criteria specified on a certification substantially in the form of Exhibit O to this Agreement delivered to the Depositor on the Closing Date. Promptly after receipt of each such report, (i) the Depositor and each Other Depositor may review each such report and, if applicable, consult with the each Reporting Servicer as to the nature of any material instance of noncompliance with the Relevant Servicing Criteria, and (ii) the Certificate Administrator shall confirm that the assessments, taken individually address the Relevant Servicing Criteria for each party as set forth on Exhibit O to this Agreement and notify the Depositor of any exceptions. For the avoidance of doubt, the Trustee shall have no obligation or duty to determine whether any such report (other than any such report furnished by the Trustee or any Servicing Function Participant of the Trustee) is in form and substance in compliance with the requirements of Regulation AB.

  • Current Report on Form 8-K The Company shall, on the date hereof, retain its independent registered public accounting firm to audit the balance sheet of the Company as of the Closing Date (the “Audited Balance Sheet”) reflecting the receipt by the Company of the proceeds of the Offering on the Closing Date. As soon as the Audited Balance Sheet becomes available, the Company shall promptly, but not later than four business days after the Closing Date, file a Current Report on Form 8-K with the Commission, which Current Report shall contain the Company’s Audited Balance Sheet. Additionally, upon the Company’s receipt of the proceeds from the exercise of all or any portion of the option provided for in Section 2(b) hereof, the Company shall promptly, but not later than four business days after the receipt of such proceeds, file a Current Report on Form 8-K with the Commission, which report shall disclose the Company’s sale of the Option Units and its receipt of the proceeds therefrom, unless the receipt of such proceeds are reflected in the Current Report on Form 8-K referenced in the immediately prior sentence.

  • REPORT SUBMISSION 1. Copies of reporting packages for audits conducted in accordance with 2 CFR Part 200, Subpart F-Audit Requirements, and required by PART I of this form shall be submitted, when required by 2 CFR 200.512, by or on behalf of the recipient directly to the Federal Audit Clearinghouse (FAC) as provided in 2 CFR 200.36 and 200.512

  • Reports to the Commission The Servicer shall, or shall cause the Depositor to, on behalf of the Issuer, execute and cause to be filed with the Commission any periodic reports required to be filed with respect to the issuance of the Notes under the provisions of the Exchange Act and the rules and regulations of the Commission thereunder. The Depositor shall, at its expense, cooperate in any reasonable request made by the Servicer in connection with such filings.

Time is Money Join Law Insider Premium to draft better contracts faster.