CERTIFICATION UNDER PENALTY OF PERJURY Sample Clauses

CERTIFICATION UNDER PENALTY OF PERJURY. I certify under penalty of perjury under the laws of the State of California that I have read and i understood the City's Contractor Code of Conduct and agree to comply with its requirements, Signature of Officer or Authorized Representative ,Date Print Name and Title of Authorized Representative Print Company Name, Address and Phone Number ■ 12/2004 Exhibit A EXHIBIT A TO THE INTERCONNECTION AGREEMENT [Attached] j 5 ! [ i| s EXHIBIT A SELLER GENERATION DATA SHEETS Facility Name: Beacon Site 2 Solar Facility Address: 00000 Xxxxxxx 00, Xxxxxx, XX 00000 Owner/Company: SunE Beacon Site 2 LLC Contact Person: Xxxxxxxxxxx Xxxx Phone: 650- j 000-0000 Unit Start-Up Date: March 31,2017 SYSTEM CHARACTERISTICS Capacities: Nameplate Rating 43,500-48,000 kW AC Operations: Schedule ~12 (variable) hours/day 365 days/year Typical Daily Profile, O = On and X = Off 1 2 345 67 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 Control Mode:
AutoNDA by SimpleDocs
CERTIFICATION UNDER PENALTY OF PERJURY. I hereby certify that all information and supporting documentation provided to determine eligibility to receive a grant under State of New Jersey P.L. 2022, c.37 is true and correct. I certify that the foregoing statements made by me are true. I am aware that if any of the foregoing statements made by me are willfully false, I am subject to punishment. SBE Applicant: [insert name] CEO/CFO/Managing Member Name: CEO/CFO/Managing Member Signature: GRANT AGREEMENT GENERAL
CERTIFICATION UNDER PENALTY OF PERJURY. I declare under penalty of perjury that (1) I complained about an SRS warning light illumination in my Class Vehicle, (2) a BMW Center (dealer) performed an Eligible Repair before I received the Class Notice, and (3) I or a family member personally paid for the amounts claimed in this Claim Form. I further declare that the foregoing is true and correct.
CERTIFICATION UNDER PENALTY OF PERJURY. I declare under penalty of perjury that (a) all of the answers and information submitted in this Claim Form and in the documentation supplied with this Claim Form for Out-Of-Pocket Costs, a Rebate Certificate, or Enhanced Rebate Certificate is true and authentic to the best of my knowledge, (b) I am (or was at the time of the stall(s)) the registered owner or lessee of the Class Vehicle identified in section A 4846‐6223‐7489.1 herein, and (c) that I have not submitted any other Claim for Out-Of-Pocket Costs, a Rebate Certificate, or an Enhanced Rebate Certificate in connection with the settlement in the Xxxxxxx et al. v. Hyundai Motor America et al. matter. / / Signature Date 4846‐6223‐7489.1 Exhibit B Settlement Agreement and Release Xxxxxxx et al. v. Hyundai Motor America et al. United States District Court, Northern District of Xxxxxxxxxx Xxxx Xx. 00-xx-00000-XX XXXXXX XXXXXX DISTRICT COURT NORTHERN DISTRICT OF CALIFORNIA If You Have Ever Owned Or Leased A
CERTIFICATION UNDER PENALTY OF PERJURY. I declare under penalty of perjury that the information contained in this Rebate Redemption Form and in the documentation supplied with this Rebate Redemption Form is true and authentic to the best of my knowledge. / / Signature Date
CERTIFICATION UNDER PENALTY OF PERJURY. [ certify under penalty of perjury under the laws of the State of California that 1 have read and understood the City's Contractor Code of Conduct and agree to comply with its requirements. Signature of Officer or Authorized Representative .Date Print Name and Title of Authorized Representative Print Company Name, Address and Phone Number 12/2004 Exhibit A EXHIBIT A TO THE INTERCONNECTION AGREEMENT j 3 Milbank draft August 10, 2016 EXHIBIT A SELLER GENERATION DATASHEETS Facility Name; Beacon Site 5 Solar Facility Address: 00000 Xxxxxxx 00, Xxxxxx, XX 00000 Owner/Company: SunE Beacon Site 5 LLC Contact Person; Xxxxxxxxxxx Xxxx j Phone: 000-000-0000 Unit Start-Up Date: March 31,2017 SYSTEM CHARACTERISTICS Capacities: Nameplate Rating 36,000 -40,000 kW AC Operations: Schedule ~12 (variable) hours/day 365 days/year Typical Daily Profile, O = On and X = Off X X X X X 0 o o o o o 0 0 0 o o o o 0 X X X X X i GENERATION FACILITY DESCRIPTION The Beacon Site 5 Solar Project is a proposed 35,720 kW photovoltaic ("PV”) generation facility and is proposed to consist of Hanwa Q-Cel!s Q-Plus L-G4.2 (335Wp) modules, single axis horizontal trackers, and central high-efficiency inverters. The tracking system under consideration is the NexTracker, or equivalent, and the inverter manufacturers considered include GE Power Conversion 680kWac. , or equivalent. These selected technologies represent the project’s preliminary design and may be changed by SunE Beacon Site 5 LLC. ANNUAL PLAN PRODUCTiON/USE CHARACTERISTICS OUTPUT: 96,708,000 kWh '!
CERTIFICATION UNDER PENALTY OF PERJURY. I certify under penalty of perjury under the laws of the State of California that I have read and understood the City’s Contractor Code of Conduct and agree to comply with its requirements. Signature of Officer or Authorized Representative Date Print Name and Title of Authorized Representative Print Company Name, Address and Phone Number IRAN CONTRACTING ACT OF 2010 COMPLIANCE AFFIDAVIT (California Public Contract Code Sections 2200-2208) The California Legislature adopted the Iran Contracting Act of 2010 to respond to policies of Iran in a uniform fashion (PCC § 2201(q)). The Iran Contracting Act prohibits bidders engaged in investment activities in Iran from bidding on, submitting proposals for, or entering into or renewing contracts with public entities for goods and services of one million dollars ($1,000,000) or more (PCC § 2203(a)). A bidder who “engages in investment activities in Iran” is defined as either:
AutoNDA by SimpleDocs

Related to CERTIFICATION UNDER PENALTY OF PERJURY

  • RATIFICATION OF PERFECTION CERTIFICATE Borrower hereby ratifies, confirms and reaffirms, all and singular, the terms and disclosures contained in a certain Perfection Certificate dated as of June 13, 2002 between Borrower and Bank, and acknowledges, confirms and agrees the disclosures and information Borrower provided to Bank in said Perfection Certificate has not changed, as of the date hereof.

  • Confirmation of Percentage Rent Lessee shall utilize, or cause to be utilized, an accounting system for the Leased Property in accordance with its usual and customary practices, and in accordance with generally accepted accounting principles, that will accurately record all data necessary to compute Percentage Rent, and Lessee shall retain, for at least four (4) years after the expiration of each Fiscal Year (and in any event until the reconciliation described in Subsection 3.1(c) for such Fiscal Year has been made), reasonably adequate records conforming to such accounting system showing all data necessary to compute Percentage Rent for the applicable Fiscal Years. Lessor, at its expense (except as provided hereinbelow), shall have the right from time to time, upon prior written notice to Lessee and Manager, by its accountants or representatives to audit the information that formed the basis for the data set forth in any Officer’s Certificate provided under Subsection 3.1(d) and, in connection with such audits, to examine all Lessee’s records (including supporting data and sales and excise tax returns) reasonably required to verify Percentage Rent, subject to any prohibitions or limitations on disclosure of any such data under Legal Requirements; provided, however that Lessor may only inspect or audit records in Manager’s possession subject to the terms of Lessee’s access thereto under the Management Agreement. If any such audit discloses a deficiency in the payment of Percentage Rent, and either Lessee agrees with the result of such audit or the matter is otherwise determined or compromised, Lessee shall forthwith pay to Lessor the amount of the deficiency, as finally agreed or determined, together with interest at the Overdue Rate from the date when said payment should have been made to the date of payment thereof; provided, however, that as to any audit that is commenced more than two (2) years after the date Percentage Rent for any Fiscal Year is reported by Lessee to Lessor, the deficiency, if any, with respect to such Percentage Rent shall bear interest at the Overdue Rate only from the date such determination of deficiency is made unless such deficiency is the result of gross negligence or willful misconduct on the part of Lessee, in which case interest at the Overdue Rate will accrue from the date such payment should have been made to the date of payment thereof. If any such audit discloses that the Percentage Rent actually due from Lessee for any Fiscal Year exceed those reported by Lessee by more than three percent (3%), Lessee shall pay the cost of such audit and examination. Any proprietary information obtained by Lessor pursuant to the provisions of this Section shall be treated as confidential, except that such information may be used, subject to appropriate confidentiality safeguards, in any litigation between the parties and except further that Lessor may disclose such information to prospective lenders. The obligations of Lessee contained in this Section shall survive the expiration or earlier termination of this Lease.

  • Tax Certifications If any interest in any Loan Document is transferred to any Transferee which is not incorporated under the laws of the United States or any State thereof, the transferor Lender shall cause such Transferee, concurrently with the effectiveness of such transfer, to comply with the provisions of Section 3.5(iv).

  • Evidence of Compliance with Conditions Precedent The Guarantor shall provide to the Guarantee Trustee such evidence of compliance with such conditions precedent, if any, provided for in this Guarantee Agreement that relate to any of the matters set forth in Section 314(c) of the Trust Indenture Act. Any certificate or opinion required to be given by an officer pursuant to Section 314(c)(1) may be given in the form of an Officers' Certificate.

  • Certification of Non-Foreign Status Each Limited Partner or transferee of an Interest or a portion of an Interest from a Limited Partner who or that is admitted to the Partnership in accordance with this Agreement will certify, upon admission to the Partnership and at any other time as the General Partner may request, whether the Limited Partner or transferee is a “United States Person” within the meaning of the Code on forms to be provided by the Partnership, and will notify the Partnership within 30 days of any change in the status of the Limited Partner or transferee. Any Limited Partner or transferee who or that fails to provide certification when requested to do so by the General Partner may be treated as a non-United States Person for purposes of U.S. Federal tax withholding.

  • TAX COMPLIANCE CERTIFICATE (For Foreign Lenders Relying on the Portfolio Interest Exemption For U.S. Federal Income Tax Purposes) Reference is hereby made to that certain Financing Agreement, dated as of February [7], 2019 (as modified, amended, extended, restated, amended and restated or supplemented from time to time, the “Financing Agreement”) by and among EF SPV, Ltd., an exempted company incorporated with limited liability under the laws of the Cayman Islands (the “Borrower”), the Guarantors from time to time party thereto, the lenders listed on the Schedule of Lenders attached thereto (each individually, a “Lender” and collectively, the “Lenders”) and Victory Park Management, LLC, as administrative agent and collateral agent (the “Agent”) for the Lenders and the Holders (as defined therein). Pursuant to the provisions of Section 2.6(d) of the Financing Agreement, the undersigned hereby certifies that (i) it is not a “bank” within the meaning of Section 881(c)(3)(A) of the Code, (ii) it is not a “10 percent shareholder” of the Borrower within the meaning of Section 881(c)(3)(B) of the Code and (iii) it is not a “controlled foreign corporation” described in Section 881(c)(3)(C) of the Code. The undersigned has furnished the Agent and the Borrower with executed originals of IRS Form W-8BEN or W-8BEN-E, as applicable. By executing this certificate, the undersigned agrees that (1) if the information provided on this certificate changes, the undersigned shall promptly so inform the Borrower and the Agent, and (2) the undersigned shall have at all times furnished the Borrower and the Agent with a properly completed and currently effective certificate in either the calendar year in which each payment is to be made to the undersigned, or in either of the two calendar years preceding such payments. Unless otherwise defined herein, terms defined in the Financing Agreement and used herein shall have the meanings given to them in the Financing Agreement. [NAME OF LENDER] By: Name: Title: Date: ________ __, 20[ ] SCHEDULES TO FINANCING AGREEMENT Schedule 1.1 Program Guidelines FinWise Bank (“Lender”) and EF Marketing, LLC and Elevate Decision Sciences, LLC (each a “Service Provider”and collectively”Service Providers”) The Rise Loan (“Product”) Program Guidelines are agreed upon from time to time by Lender and Service Providers in accordance with the Technology and Support Agreement and Joint Marketing Agreement each of which is entered into by Lender and a Service Provider.

  • Prepayment Penalty Verification On or prior to each Servicer Remittance Date, each Servicer shall, to the extent provided in the respective Servicing Agreement, provide in an electronic format acceptable to the Master Servicer the data necessary for the Master Servicer to perform its verification duties agreed to by the Master Servicer and the Depositor. The Master Servicer or a third party reasonably acceptable to the Master Servicer and the Depositor (the “Verification Agent”) will perform such verification duties and will use its best efforts to issue its findings in a report (the “Verification Report”) delivered to the Master Servicer and the Depositor within ten (10) Business Days following the related Distribution Date; provided, however, that if the Verification Agent is unable to issue the Verification Report within ten (10) Business Days following the Distribution Date, the Verification Agent may issue and deliver to the Master Servicer and the Depositor the Verification Report upon the completion of its verification duties. The Master Servicer shall forward the Verification Report to the respective Servicer and shall notify such Servicer if the Master Servicer has determined that such Servicer did not deliver the appropriate Prepayment Charges to the Master Servicer in accordance with the respective Servicing Agreement. Such written notification from the Master Servicer shall include the loan number, prepayment penalty code and prepayment penalty amount as calculated by the Master Servicer or the Verification Agent, as applicable, of each Loan for which there is a discrepancy. If the respective Servicer agrees with the verified amounts, such Servicer shall adjust the immediately succeeding Remittance Report and the amount remitted to the Master Servicer with respect to prepayments accordingly. If the respective Servicer disagrees with the determination of the Master Servicer, such Servicer shall, within five (5) Business Days of its receipt of the Verification Report, notify the Master Servicer of such disagreement and provide the Master Servicer with detailed information to support such Servicer’s position. The respective Servicer and the Master Servicer shall cooperate to resolve any discrepancy on or prior to the immediately succeeding Servicer Remittance Date, and such Servicer will indicate the effect of such resolution on the related Remittance Report and shall adjust the amount remitted with respect to prepayments on such Servicer Remittance Date accordingly. During such time as the respective Servicer and the Master Servicer are resolving discrepancies with respect to the Prepayment Charges, no payments in respect of any disputed Prepayment Charges will be remitted to the Distribution Account and the Master Servicer shall not be obligated to remit such payments, unless otherwise required pursuant to Section 7.1 hereof. In connection with such duties, the Master Servicer shall be able to rely solely on the information provided to it by the respective Servicer in accordance with this Section. The Master Servicer shall not be responsible for verifying the accuracy of any of the information provided to it by the respective Servicer or for performing the Master Servicer’s duties under this Section 3.28 with respect to a Servicer if such Servicer is unable or unwilling to provide the required data to the Master Servicer or is not required to provide such information to the Master Servicer.

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