Reporting Services Sample Clauses
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Reporting Services. 2.1 The reporting activities are performed according to art. 3, par. 1(b)(ii) of REMIT Implementing Regulation and the 4th table of its Annex.
2.2 The RRM Service Provider based on Network User’s request and choice presented in par. 1.1 provides the services as per followings:
2.2.1 If the Network Users do not intend to submit the price of their secondary capacity transactions to the RRM Service Provider, they will be able to download from RBP the REMIT report as an XML file without price data (conform par. 1.1a)). In this case the Network Users are responsible for completing the XML file with price data and for submitting the REMIT report to ACER.
2.2.2 If the Network User beside to download the REMIT report as specified in par. 2.2.1 furthermore requests also its submitting to ACER (conform par. 1.1b)) then he shall upload the price of the secondary transaction to RBP. After the upload the REMIT report is automatically generated and submitted to ACER. All data generated from the RBP database and submitted as valid data to ACER complies with the following technical requirements for data generation: - all data will comply with the file naming convention, - all data will be correctly formatted in accordance with the XSD schema for the data type being submitted - all data will be correctly signed and encrypted in accordance with the secure data exchange protocol
2.3 The quality of the data submitted by the RRM Service Provider will be granted by its conformity with the required XML schemas specified by ACER.
2.4 The RRM Service Provider confirms that meets the standards defined in the Technical Specifications for RRMs. The integrity of the data is granted by the digital signature of the reports.
2.5 The reporting frequency is based on the requirements of the REMIT Implementing Regulation.
Reporting Services. 1.1 If any of the following services are registered by the Application and the relevant Consents are submitted by the Customer, the Bank shall provide to the Customer the services (the “Reporting Services”) of reporting on the Accounts and other matters as registered by the Customer:
(1) Account Report
(2) Inward Remittance Report
(3) Outstanding Transaction Report
(4) Statement
(5) Outward Remittance Report
(6) Pooling Interest Statement
Reporting Services. 1.1 At the request of the Storage Customer, GSD has requested, appointed and authorised GIE to report to ACER the following Fundamental Data on behalf of the Storage Customer in respect of the latter’s own reporting obligations of Fundamental Data to ACER for the use of GSD’s storage facilities operated as one group and shall apply the reporting frequency as set out below: For the group of storage facilities, the amount of gas that the Storage Customer has stored at the end of the gas day, no later than the following working day.
1.2 The Additional Reporting Services remain at all times subject to change as a result of further regulatory developments and ACER guidance.
Reporting Services. KONE may provide Purchaser with access to KONE’s online reporting tool. Based on the Purchaser’s user access, Purchaser can view information about the performance and service of the Equipment. KONE may provide Purchaser with automatic email notifications that provide information on work performed.
Reporting Services. HEBP will prepare and file annual Internal Revenue Service (IRS) 1099 forms for the reporting of payments to health care providers who render services to Participants and who are reimbursed by the Plan for those services.
Reporting Services. Next Generation Secure Web-Based Report Delivery Vehicle · Allows For Direct Request Or Subscription Based Delivery · Reports Available In Multiple Formats (PDF, Excel, XML, CSV) PREMIUM WEB PACKAGE Performance Web Page Comprehensive performance report hosted by GFS o Fund performance updated daily each night o Up to 20 indexes available o Customizable Look And Feel (Logo And Color Scheme) Holdings web page Fund holding updated periodically to meet fund disclosure rules hosted by GFS o Fund holding updated periodically to meet fund disclosure rules o Top ten report available o Customizable Look And Feel (Logo And Color Scheme)
Reporting Services. In order to monitor the status, performance, and quality of the Services provided to Gap, Supplier shall provide Gap with various written reports described in Exhibit D.13 (Management Reports), as such reports may be amended from time to time by Gap. The nature and time frame of the reports shall be determined by Gap. Unless stated otherwise in a Statement of Work or as directed by Gap, each of such reports shall be comprised of three (3) hard copies and (1) electronic copy to be delivered to each of Gap’s Infrastructure Partnership Executive and the applicable Program Manager, together with a formal transmittal letter executed by Supplier’s Outsourcing Relationship Executive and the applicable Program Manager. If no time period is designated by Gap, after the reports have been defined and Approved by Gap, reports are due five (5) days from the end of the reporting period, or issue occurring.
Reporting Services. LTCG will furnish monthly reports to Servicer on or before the tenth (10th) business day of each calendar month with respect to the services provided during the preceding calendar month. All other reports and services will be provided as indicated.
1. Monthly “Claims” reports, which will at minimum show, claims paid during that month, and claims decisions pending as well as:
i. Service Type by Vendor
ii. Claim-Acknowledgement Turnaround Time
iii. Claims Paid by Process Time Detail
iv. Payments by Age and Service Type
v. Claims Paid
vi. New Request for Benefit Eligibility and Total Claimants
vii. Claims-Paid Activity Report
2. Monthly “Customer Service” reports, showing as follows:
i. Customer Service Request Summary
ii. Customer Service Performance
iii. Attachment F Performance Standards Results
3. Monthly “Administrative Fees” reports, showing as follows:
i. Claims TPA Report
4. LTCG will cause the Bank, used by it for Accounts relating to this Agreement, to forward Servicer a copy of any monthly, quarterly, or annual statement of account the Bank furnishes to the LTCG.
Reporting Services. ▇▇▇▇▇▇ Online shall provide the following reporting services at the request of ▇▇▇▇▇▇ Games:
i. Reporting development;
ii. Display of reporting data
Reporting Services. ▇▇▇▇▇▇ Online will daily provide ▇▇▇▇▇▇ Games with the data on the consumption user number (times) with, recharge user number (times), revenues from the consumption and recharge for the immediately preceding day;
