Accounting and Settlement Sample Clauses

Accounting and Settlement. 6.1 EICI shall invoice the Express Company for all charges related to Facilities and Service provided to the Express Company at the Express Terminal.
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Accounting and Settlement. 6.01 NET DAILY ADJUSTMENT. With respect to any Business Day, the "NET DAILY ADJUSTMENT" shall be the amount calculated by comparing:
Accounting and Settlement. Pursuant to and in accordance with the terms of the Administrative Services Agreement, the Reinsurer shall prepare such periodic accounting reports regarding the business reinsured hereunder as may be agreed by the Reinsurer and the Ceding Company and the Reinsurer shall be solely responsible for making any and all payments under, arising from or relating to the Reinsured Policies.
Accounting and Settlement. 19 ARTICLE IX DURATION, RECAPTURE AND TERMINATION . . . . . . 22 ARTICLE X INSOLVENCY. . . . . . . . . . . . . . . . . . . 25 ARTICLE XI ARBITRATION . . . . . . . . . . . . . . . . . . 26 ARTICLE XII SECURITY. . . . . . . . . . . . . . . . . . . . 28 ARTICLE XIII REPRESENTATIONS, WARRANTIES AND COVENANTS OF THE COMPANY. . . . . . . . . . . . . . . . . 33
Accounting and Settlement. 8.01. Amounts Due the Reinsurer or the Company.
Accounting and Settlement. 4.1. Notwithstanding Sub-Articles 7.1 and 7.2 of the Main Agreement, settlement of account shall be effected as follows:
Accounting and Settlement. A. Any Trustee may at any time and from time to time render to the General Partner an account of the acts and transactions of such Trustee with respect to the income and principal of such trust, from the date of the creation of such trust or from the date of the last previous account of such Trustee, as the case may be; and the General Partner shall have full power and authority on behalf of all persons and entities interested in such trust finally to settle and adjust such account; and upon such account being settled and adjusted to the satisfaction of the General Partner, it shall be binding and conclusive upon each and every person and entity (whether or not then living or then ascertainable) who shall then or thereafter be or become interested in either the income or the principal of such trust, with like effect as a judgment of a court having jurisdiction judicially settling such account in an action in which such Trustee and all persons having or claiming any interest in such trust were parties; and the approval by the General Partner of such account shall constitute a full discharge and release of such Trustee and of the estate of any deceased Trustee for whom such account is rendered, from all further liability, responsibility and accountability for or with respect to the acts and transactions of such Trustee as set forth in said account, as to both income and principal of such trust.
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Accounting and Settlement. All EMS operators shall give preference to apply the accounting rules and procedures for inter-operator settlements prescribed in the EMS Pay-for-performance Plan (article 12.1 of the Procedures) and published on the EMS Cooperative website (xxx.xxx.xxxx). In the case that the pay-for-performance cannot be applied, EMS operators shall apply the accounting rules and procedures for inter-operator settlements prescribed in articles 12.2 and 12.3 of the Procedures.
Accounting and Settlement. 7.1 The Handling Company shall invoice the Carrier monthly with the charges arising from the provision of the handling services of annex A as listed in Annex(es) B at the same rates of charges set out in Annex(es) B.
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