Academy Budget Sample Clauses

Academy Budget. The Academy Board is responsible for establishing and approving an annual budget, as well as any required amendments thereto. Copies of the annual budget and any amendment thereto will be provided to the University.
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Academy Budget. 20 Section 12.7. Data Protection. 20 Section 12.8. Pupil Privacy Protection. 20 Section 12.9. Transportation. 21 Section 12.10. Intramural and Interscholastic Sports. 21 Section 12.11. Legal Liabilities. 21 Section 12.12. Lease and Occupancy and Safety Certificates. 21 Section 12.13. Deposit of Public Funds by the Academy. 21 Section 12.14. Unprofessional Conduct Check. 21 ARTICLE XIII INSURANCE AND INDEMNIFICATION 21 Section 13.1. Insurance. 21 Section 13.2. Minimum Insurance Coverage. 22 Section 13.3. Additional Insurance Requirements. 22 Section 13.4. Indemnification. 22 ARTICLE XIV GENERAL TERMS. 23 Section 14.1. Notices. 23 Section 14.2. Severability. 23 Section 14.3. Successors and Assigns. 24 Section 14.4. Entire Contract. 24 Section 14.5. Assignment. 24 Section 14.6. Non-Waiver. 24 Section 14.7. Construction. 24 Section 14.8. Force Majeure. 24 Section 14.9. No Third-Party Rights. 24 Section 14.10. Non-agency. 24 Section 14.11. Governing Law. 24 Section 14.12. Counterparts. 24 Section 14.13. Term of Contract. 24 Section 14.14. University Board General Policies on Charter Schools Shall Apply. 25 Section 14.15. Compliance with All Applicable Law. 25 Section 14.16. Contract Submission to MDE. 25
Academy Budget. The Board is responsible for establishing, approving and amending the Budget in accordance with the Budgeting and Accounting Act.
Academy Budget. 20 Section 12.7. Data Protection. 20 Section 12.8. Pupil Privacy Protection. 21 Section 12.9. Transportation. 21 Section 12.10. Intramural and Interscholastic Sports. 21 Section 12.11. Legal Liabilities. 21 Section 12.12. Lease and Occupancy and Safety Certificates. 21 Section 12.13. Deposit of Public Funds by the Academy. 21 Section 12.14. Unprofessional Conduct Check. 21 ARTICLE XIII INSURANCE AND INDEMNIFICATION 21 Section 13.1. Insurance. 21 Section 13.2. Minimum Insurance Coverage. 22 Section 13.3. Additional Insurance Requirements. 22 Section 13.4. Indemnification. 23 ARTICLE XIV GENERAL TERMS. 23 Section 14.1. Notices. 23 Section 14.2. Severability. 23 Section 14.3. Successors and Assigns. 24 Section 14.4. Entire Contract. 24 Section 14.5. Assignment. 24 Section 14.6. Non-Waiver. 24 Section 14.7. Construction. 24 Section 14.8. Force Majeure. 24 Section 14.9. No Third-Party Rights. 24 Section 14.10. Non-agency. 24 Section 14.11. Governing Law. 24 Section 14.12. Counterparts. 24 Section 14.13. Term of Contract. 24 Section 14.14. University Board General Policies on Charter Schools Shall Apply. 25 Section 14.15. Compliance with All Applicable Law. 25 Section 14.16. Contract Submission to MDE. 25 CONTRACT‌ Pursuant to the Michigan Revised School Code (“Code”), and in particular being Part 6A, Sections 380.501 through and including 380.507 of the Michigan Compiled Laws, the Saginaw Valley State University Board of Control (“University Board”) grants a contract confirming the status of a public school academy in this State to the Xxxxx Academy (the “Academy”), a Michigan public school academy. The Parties agree that the granting of this Contract is subject to the following terms and conditions, and this Contract is effective as of the 1st day of July 2019.

Related to Academy Budget

  • Approved Budget (a) Subject to subsection (b) and subsection (c) below, none of the Credit Parties shall pay any obligations or expenses (including, without limitation, bonus payments or other compensation to senior management personnel, but excluding legal fees and expenses) except to the extent expressly contemplated and permitted in the Current Period of the Approved Budget applicable at the time of such payment. On or before the Wednesday prior to the first Monday of each Fiscal Month of the Borrower, commencing with the Wednesday prior to the first Monday of October 2010, the Borrower shall deliver an updated budget (for the period of 13 weeks commencing with the first day of such Fiscal Month) (each, a “Proposed Budget”) to Agent. Each such Proposed Budget shall be accompanied by a variance report setting forth actual cash receipts and disbursements from the Petition Date through the last day of the preceding month and all variances, on an aggregate basis and, with respect to Specified Budget Line Items, on a line-item basis, for such period from the amounts set forth for the corresponding period in the preceding Approved Budgets (including explanations for each such material variance), certified by the Chief Restructuring Officer as being prepared in good faith and fairly presenting in all material respects the information set forth therein. Each Proposed Budget provided to Agent shall be of no force and effect unless and until it is approved in writing by the Requisite Lenders, and until such approval is given the prior Approved Budget shall remain in effect and no Credit Party may pay any obligations or expenses (excluding legal fees and expenses) other than as permitted (subject to subsection (b) below) in the Current Period of such prior Approved Budget. The Requisite Lenders shall approve or reject each Proposed Budget within four Business Days after delivery by the Borrower to Agent as set forth above, provided that any failure to approve a Proposed Budget shall constitute a rejection of such Proposed Budget. Any such Proposed Budget, upon the written approval of the Requisite Lenders shall become, as of the date of such approval and for the period of time covered thereby, the Approved Budget, and shall prospectively replace any prior Approved Budget.

  • Budget 1. The Grantee budget for grant activities for the 2023 Summer Program and State fiscal year 2024 is $ 573,172. Any funds received under this grant will not be used to supplant funds normally budgeted for programs or service of the same or similar type.

  • Operating Budget (a) No less than forty-five (45) days prior to the Substantial Completion of each train of the Project, and no less than forty-five (45) days prior to the beginning of each calendar year thereafter, the Borrower shall prepare a proposed operating plan and a budget setting forth in reasonable detail the projected requirements for Operation and Maintenance Expenses for the Borrower and the Project for the ensuing calendar year (or, in the case of the initial Operating Budget, the remaining portion thereof) and provide the Independent Engineer, the Common Security Trustee, and the Senior Facility Agent with a copy of such operating plan and budget (the “Operating Budget”). Each Operating Budget shall be prepared in accordance with a form approved by the Independent Engineer, shall set forth all material assumptions used in the preparation of such Operating Budget, and shall become effective upon approval of the Senior Facility Agent, acting reasonably and in consultation with the Independent Engineer; provided, that if the Senior Facility Agent shall not have approved or disapproved the Operating Budget within thirty (30) days after receipt thereof, such Operating Budget shall be deemed to have been approved; and provided, further that the Senior Facility Agent shall have neither the right nor the obligation to approve costs for Gas purchase contracts for the Project contained in the Operating Budget. If the Borrower does not have an effective annual Operating Budget before the beginning of any calendar year, until such proposed Operating Budget is approved, the Operating Budget most recently in effect shall continue to apply; provided, that (A) any items of the proposed Operating Budget that have been approved shall be given effect in substitution of the corresponding items in the Operating Budget most recently in effect, (B) costs for Gas purchase contracts for the Project shall be as provided by the Borrower and (C) all other items shall be increased by the lesser of (x) two and one-half percent (2.5%) and (y) the increase proposed by the Borrower for such item in such proposed Operating Budget.

  • Annual Budget Borrowers' Designee (on behalf of Borrowers) shall prepare and submit (or shall cause Manager to prepare and submit) to Lender within 30 days after a Cash Trap Period and by December 15th of each year thereafter during the Term until such Cash Trap Period has ended, for approval by Lender, which approval shall not be unreasonably withheld or delayed, a proposed pro forma budget for the Property for the succeeding calendar year (the "ANNUAL BUDGET", and each Annual Budget approved by Lender is referred to herein as the "APPROVED ANNUAL BUDGET")), and, promptly after preparation thereof, any revisions to such Annual Budget. The Annual Budget shall consist of (i) an operating expense budget showing, on a month-by-month basis, in reasonable detail, each line item of Borrowers' anticipated operating income and operating expenses (on a cash and accrual basis), including amounts required to establish, maintain and/or increase any monthly payments required hereunder (and once such Annual Budget has been approved by Lender, such operating expense budget shall be referred to herein as the "APPROVED OPERATING BUDGET"), and (ii) a Capital Expense budget showing, on a month-by-month basis, in reasonable detail, each line item of anticipated Capital Expenses (and once such Annual Budget has been approved by Lender, such Capital Expense budget shall be referred to herein as the "APPROVED CAPITAL BUDGET"). Until such time that any Annual Budget has been approved by Lender, the prior Approved Annual Budget shall apply for all purposes hereunder (with such adjustments as reasonably determined by Lender (including increases for any non-discretionary expenses)).

  • Project Budget A Project Budget shall be prepared and maintained by Grantee. The Project Budget shall detail all costs for which the Grant will be used during each calendar month of the Term. The Project Budget must be approved in writing by the Project Monitor. Grantee shall carry out the Project and shall incur costs and make disbursements of funds provided hereunder by the Sponsor only in conformity with the Project Budget. The current approved Project Budget is contained in Attachment B. Said Project Budget may be revised from time to time, but no Project Budget or revision thereof shall be effective unless and until the same is approved in writing by Project Monitor. The funds granted under this Grant Contract cannot be used to supplant (replace) other existing funds.

  • Annual Work Plans and Budgets The Recipient shall furnish to the Association as soon as available, but in any case not later than September 1 of each year, the annual work plan and budget for the Project for each subsequent year of Project implementation, of such scope and detail as the Association shall have reasonably requested, except for the annual work plan and budget for the Project for the first year of Project implementation, which shall be furnished no later than one (1) month after the Effective Date.

  • Annual Work Plan and Budget 1. The Recipient shall, not later than November 30th of each year, prepare and furnish to the Association an annual work plan and budget (“Annual Work Plan and Budget”) for the Project for the subsequent year, said Annual Work Plan and Budget of such scope and detail as the Association shall have reasonably requested.

  • Business Plan The Lenders shall have received a satisfactory business plan for fiscal years 1999-2006 and a satisfactory written analysis of the business and prospects of the Borrower and its Subsidiaries for the period from the Closing Date through the final maturity of the Term Loans.

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