Information Repository Sample Clauses

Information Repository. An information repository for the Project will be established at the Beaches Branch Public Library.
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Information Repository. D.NM.8.1 SUBSCRIBER INFORMATION:
Information Repository. Establish and maintain at least one information repository at a location convenient to public access (e.g., local library). The purpose of the information repository is to allow open and convenient public access to site-related documents approved by the Department for public disclosure. Therefore all documents for the information repository must be approved by the Department. At a minimum, the repository for a site must include copies of the following: *Order or Consent Agreement *Regional Water Quality Control Board Orders *RFI Workplans *RFI Reports *Interim Measure Workplans *Corrective Measures Study Workplans *Corrective Measures Study Reports *Public Involvement Plan *Statement of Basis for Remedy Selection Other information: *Copy of relevant laws, regulations and policies; *Copies of press releases and newspaper clippings that refer to the site; *Brochures, fact sheets, and other information about relevant laws, regulations, policies and the specific site; *Any other relevant material (e.g., published studies on the potential risks associated with specific chemicals that have been found at the site)
Information Repository. Where the AR, current information, technical reports, and reference materials regarding a Superfund site are stored. EPA or the state establishes the repository in the community as soon as a site is discovered. It provides the public with easily accessible information. Repositories are established for all sites where cleanup activities are expected to last for more than 45 days. Typical community repository locations include public libraries and municipal offices.
Information Repository. Documents related to this project will be available for public review at the sites listed below: Community Reinvestment CCG Annex Building 000 Xxxxx Xxxxxx Columbus, GA 31901 (000) 000-0000 Columbus Public Library 0000 Xxxxx Xxxx Columbus, GA 31906 (000) 000-0000 Xxxxxxx X. Xxxxx Public Library 000 Xxxxxxxx Xxxxxxx Columbus, GA 31901 (000) 000-0000
Information Repository. An Information Repository has been established at the Romeoville Village Hall – Clerk’s Office. Site information is available for viewing during normal business hours. Office of the Village Clerk Village Hall 0000 Xxxx Xxxxx Xxxx Xxxxxxxxxx, XX (000) 000-0000 Village Clerk Hours: Monday - Friday 9:00 a.m. – 5:00 p.m. APPENDIX C PROJECT SCHEDULE Spartans' Square, Romeoville, IL ID Task Name Notes Duration Start Finish Predecessors 1 Spartans' Square Assessment Scope Non-Grant 152.25 days Tue 5/1/12 Thu 11/29/12 2 Soil Gas Survey [non-grant item] 152.25 days Tue 5/1/12 Thu 11/29/12 3 Site Sampling and Analysis Plan (SAP) 124.25 days Tue 5/1/12 Mon 10/22/12 4 Prepare Site SAP draft 45 days Tue 5/1/12 Mon 7/2/12 5 Submit SAP for IEPA review 5 days Tue 7/17/12 Tue 8/28/12 4FS+40 days 6 IEPA approval of SAP (verbal review only) 39 days Tue 8/28/12 Mon 10/22/12 5 7 Soil Gas Survey Field Activities 28 days Mon 10/22/12 Thu 11/29/12 8 Prepare for field work (schedule lab, driller, utility locator, etc.) 12 days Mon 10/22/12 Wed 11/7/12 6 9 Field Work 4 days Wed 11/7/12 Tue 11/13/12 8 10 Laboratory Analysis 12 days Tue 11/13/12 Thu 11/29/12 9 11 Site Remediation & Closure Scope 621 days Thu 12/1/11 Thu 4/17/14 12 Item 1A: Response letter to CSI/ROR [non-grant item] Non-Grant 60 days Thu 11/22/12 Thu 2/14/13 13 Prepare Response Letter to CSI/ROR and Submit for review 4 wks Thu 11/22/12 Thu 12/20/12 17FF 14 Response Letter - IEPA review 8 wks Thu 12/20/12 Thu 2/14/13 13 15 Approval of Response Letter 0 days Thu 2/14/13 Thu 2/14/13 14 16 Item 1B: Remedial Action Plan (RAP) [non-grant item] Non-Grant 105 days Thu 11/15/12 Thu 4/11/13 17 Prepare RAP and Submit for review 5 wks Thu 11/15/12 Thu 12/20/12 10FS-10 days 18 RAP - IEPA review 8 wks Thu 12/20/12 Thu 2/14/13 17 19 Provide response to RAP questions, if any 10 days Thu 2/14/13 Thu 2/28/13 18 20 Approval of RAP (IEPA) 30 days Thu 2/28/13 Thu 4/11/13 19 21 Cleanup Grant Items 621 days Thu 12/1/11 Thu 4/17/14 22 Authorization of EPA cleanup funds 5 days Thu 12/1/11 Wed 12/7/11 23 Item 2: Community Relations Plan (CRP) Grant 130 days Fri 5/11/12 Thu 11/8/12 24 Prepare CRP & Adminstrative Record, Submit draft for review Village 23 wks Fri 5/11/12 Thu 10/18/12 25 CRP & Adminstrative Record (AR) draft - USEPA review 3 wks Fri 10/19/12 Thu 11/8/12 24 26 Approval of CRP (USEPA) 0 days Thu 11/8/12 Thu 11/8/12 25 27 Item 3: Alternative Xxxxxxxxxx Cleanup Analysis (ABCA) Grant 194.25 days Mon 9/3/12 Fri 5/31/13 28 Prepare ABCA...
Information Repository. Establish and maintain at least one information repository at a location convenient to public access (e.g., local library). The purpose of the information repository is to allow open and convenient public access to site-related documents approved by the Department for public disclosure. Therefore all documents for the information repository must be approved by the Department. At a minimum, the repository for a site must include copies of the following: ➢ Order or Consent AgreementRegional Water Quality Control Board Orders ➢ RFI Workplans ➢ RFI Reports ➢ Interim Measure Workplans ➢ Corrective Measures Study Workplans ➢ Corrective Measures Study ReportsPublic Involvement PlanStatement of Basis for Remedy Selection Other information: ➢ Copy of relevant laws, regulations and policies; ➢ Copies of press releases and newspaper clippings that refer to the site; ➢ Brochures, fact sheets, and other information about relevant laws, regulations, policies and the specific site; ➢ Any other relevant material (e.g., published studies on the potential risks associated with specific chemicals that have been found at the site)
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Related to Information Repository

  • Information Reporting (a) The Fund agrees that, during the Current Special Rate Period and so long as BANA or any Affiliate thereof is the beneficial owner of any Outstanding VRDP Shares, it will deliver, or direct the Tender and Paying Agent to deliver, to BANA and any such Affiliate:

  • Account Reporting Information Italian residents who, at any time during the fiscal year, hold foreign financial assets (including cash and shares of Common Stock) which may generate income taxable in Italy are required to report these assets on their annual tax returns (UNICO Form, RW Schedule) for the year during which the assets are held, or on a special form if no tax return is due. These reporting obligations will also apply to Italian residents who are the beneficial owners of foreign financial assets under Italian money laundering provisions.

  • Financial Information, Reports, Notices, etc The Borrower will furnish, or will cause to be furnished, to each Lender and the Agent copies of the following financial statements, reports, notices and information:

  • Safeguarding Customer Information The Servicer has implemented and will maintain security measures designed to meet the objectives of the Interagency Guidelines Establishing Standards for Safeguarding Customer Information published in final form on February 1, 2001, 66 Fed. Reg. 8616 and the rules promulgated thereunder, as amended from time to time (the “Guidelines”). The Servicer shall promptly provide the Master Servicer, the Trustee and the NIMS Insurer information reasonably available to it regarding such security measures upon the reasonable request of the Master Servicer, the Trustee and the NIMS Insurer which information shall include, but not be limited to, any Statement on Auditing Standards (SAS) No. 70 report covering the Servicer’s operations, and any other audit reports, summaries of test results or equivalent measures taken by the Servicer with respect to its security measures to the extent reasonably necessary in order for the Seller to satisfy its obligations under the Guidelines.

  • Information The Buyer and its advisors, if any, have been, and for so long as the Note remain outstanding will continue to be, furnished with all materials relating to the business, finances and operations of the Company and materials relating to the offer and sale of the Securities which have been requested by the Buyer or its advisors. The Buyer and its advisors, if any, have been, and for so long as the Note remain outstanding will continue to be, afforded the opportunity to ask questions of the Company. Notwithstanding the foregoing, the Company has not disclosed to the Buyer any material nonpublic information and will not disclose such information unless such information is disclosed to the public prior to or promptly following such disclosure to the Buyer. Neither such inquiries nor any other due diligence investigation conducted by Buyer or any of its advisors or representatives shall modify, amend or affect Buyer’s right to rely on the Company’s representations and warranties contained in Section 3 below. The Buyer understands that its investment in the Securities involves a significant degree of risk. The Buyer is not aware of any facts that may constitute a breach of any of the Company's representations and warranties made herein.

  • Client Information (2) Protected Health Information in any form including without limitation, Electronic Protected Health Information or Unsecured Protected Health Information (herein “PHI”);

  • Contact Information 1. The contact information of the Programme Operator is as specified in this programme agreement.

  • Information Updates During the term of this Agreement the Trust shall have the ongoing obligation to provide UMBFS with the following documents as soon as they become effective: (i) certified copies of all amendments to its Declaration of Trust and By-laws made after the date of this Agreement; and (ii) a copy of each Fund’s currently effective Prospectus. For purposes of this Agreement, UMBFS shall not be deemed to have notice of any information contained in any such Prospectus until a reasonable time after it is actually received by UMBFS.

  • Foreign Asset/Account Reporting Information Italian residents who, at any time during the fiscal year, hold foreign financial assets (including cash and Shares) which may generate income taxable in Italy are required to report these assets on their annual tax returns (UNICO Form, RW Schedule) for the year during which the assets are held, or on a special form if no tax return is due. These reporting obligations will also apply to Italian residents who are the beneficial owners of foreign financial assets under Italian money laundering provisions.

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