Statement of Gross Sales Sample Clauses

Statement of Gross Sales. Tenant will furnish to Landlord statements of Gross Sales within thirty (30) days after the close of each Accounting Quarter and an annual statement certified as accurate by an officer of Tenant within ninety (90)
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Statement of Gross Sales. See 4.3, above
Statement of Gross Sales. 1) On or before the 10th day of each month, following the preceding month, whether on not percentage rent is payable, Tenant shall deliver to Landlord a complete and correct statement showing in reasonable detail all Gross Sales for the immeadiate preceding calendar month, which statement shall be signed by an officer or authorized agent of Tenant certifying it to be true and accurate. 2) By January 30th following the preceding lease year Tenant shall deliver to Landlord a complete and correct statement showing in reasonable detail all Gross Sales for the immeadiate preceding lease year, which statement shall be signed by an officer or authorized agent of Tenant certifying it to be true and accurate. 3) Within 15 days after Tenant's annual income tax returns are files, the preparer of the Tenant's income tax return shall be furnished to Landlord with a signed statement certifying the amount of Gross Sales reported by Tenant on Tenant's income tax return attributed to the premises. d)
Statement of Gross Sales. Tenant shall furnish to Landlord a statement of Tenant’s Gross Sales for the prior calendar year, or partial calendar year as the case may be, within twenty (20) days after the end of each calendar year or within twenty (20) days after the expiration or sooner termination of this Lease. Each statement shall be signed and certified to be correct by Tenant or its authorized representative, and if Tenant is a corporation, the statement shall be signed and certified to be correct by the appropriate officer of Tenant.
Statement of Gross Sales. Lessee agrees to submit the following to Lessor: monthly statements of Monthly Gross Sales received from the business operated on the Premises, due within 15 days following the last day of each successive calendar month of the lease term (or of any option renewal term of the Lease following the conclusion of the Free Rent Period; a statement of yearly gross sales, due within 60 days immediately following the end of the first and each succeeding full year of the term of the Lease; and a statement of Monthly Gross Sales made since the last monthly statement, due within 30 days following the expiration or earlier termination of the Lease. The first yearly statement shall include gross sales for the first 12 whole months and any partial months immediately following the Free Rent Period of this Lease. All such statements shall be signed by a responsible and authorized financial officer of Lessee certifying the amount of Monthly Gross Sales (as defined in the Lease ) defined for the period to be accounted for. If by any such monthly or yearly statement it appears that any Monthly Percentage Rent is due and payable to Lessor for the preceding monthly or yearly period, such Monthly Percentage Rent shall be paid to Lessor on the next first day of a calendar month following the date said monthly or yearly statement is rendered. All Monthly Base Rent and Monthly Percentage Rent shall be paid to Lessor without deduction or offset.
Statement of Gross Sales. Tenant shall deliver the following to Landlord:

Related to Statement of Gross Sales

  • Gross Sales Notwithstanding anything in the Lease to the contrary the definition of Gross Sales shall be as follows:

  • Annual Compliance Statement Within 80 days after the end of each year (commencing with the year specified in the Adoption Annex) the Issuer will deliver to the Indenture Trustee and the Credit Enhancer an Officer's Certificate stating, as to the Authorized Officer signing the Officer's Certificate, that:

  • Net Sales The term “

  • Annual Compliance Statements (a) The Master Servicers, the Special Servicers, the Certificate Administrator, the Trustee (but only to the extent set forth in the last sentence of this paragraph), any Additional Servicer and each Servicing Function Participant (if such Servicing Function Participant is a servicer contemplated by Item 1108(a)(2)(i), (ii) or (iii) of Regulation AB) (each, a “Certifying Servicer”) shall and the Master Servicers and the Special Servicers shall (i) with respect to any Additional Servicer or Servicing Function Participant (if such Servicing Function Participant is a servicer contemplated by Item 1108(a)(2)(i), (ii) or (iii) of Regulation AB) that is a Designated Sub-Servicer of such party, use commercially reasonable efforts to cause, and (ii) with respect to any other Additional Servicer or Servicing Function Participant (if such Servicing Function Participant is a servicer contemplated by Item 1108(a)(2)(i), (ii) or (iii) of Regulation AB), cause, each Additional Servicer and Servicing Function Participant (other than any party to this Agreement) with which it has entered into a servicing relationship with respect to the Mortgage Loans to, deliver to the Depositor, the Certificate Administrator, the Trust Advisor (in the case of a Special Servicer only), the Rule 17g-5 Information Provider (who shall promptly post such report to the Rule 17g-5 Information Provider’s Website pursuant to Section 8.12(c) of this Agreement) on or before March 1st (subject to a grace period through March 15th) of each year, commencing in 2015 (or, in the case of an Additional Servicer or Servicing Function Participant with respect to a Special Servicer, such party shall provide such Officer’s Certificate to such Special Servicer on or before March 1st (subject to a grace period through March 5th)), an Officer’s Certificate stating, as to the signer thereof, that (A) a review of such Certifying Servicer’s activities during the preceding calendar year or portion thereof and of such Certifying Servicer’s performance under this Agreement, or the applicable sub-servicing agreement or primary servicing agreement in the case of an Additional Servicer, has been made under such officer’s supervision and (B) to the best of such officer’s knowledge, based on such review, such Certifying Servicer has fulfilled all its obligations under this Agreement, or the applicable sub-servicing agreement or primary servicing agreement in the case of an Additional Servicer, in all material respects throughout such year or portion thereof, or, if there has been a failure to fulfill any such obligation in any material respect, specifying each such failure known to such officer and the nature and status thereof. The Certificate Administrator, shall prior to March 1st of each year, commencing in 2015, contact the Trustee and inquire as to whether any Advance was required to be made by the Trustee during the preceding calendar year, and if no such Advance was required to be made by the Trustee, then the Trustee shall not be required to deliver any compliance statement required by this Section 11.12(a) for such period.

  • Sales Reports On or before the twentieth (20th) day of each calendar month after the First Month, Tenant shall submit to City a report (the “Sales Report”) showing all Gross Revenues achieved with respect to the prior month by location, segregated by each source or general type of article sold or service rendered. Such report shall be certified as being true and correct by Tenant and shall otherwise be in form and substance satisfactory to Director. As described below, City shall have the right, in addition to all other rights herein, to impose a fine in the event Tenant shall fail to submit such Sales Report timely.

  • Royalty Statements The Licensees shall provide Shengqu with a statement within ten (10) Business Days of the end of each calendar month during the Term of this Agreement.

  • Sublicense Revenue In the event Licensee or an Affiliate of Licensee sublicenses under Section 2.2, Licensee shall pay CareFusion **THE CONFIDENTIAL PORTION HAS BEEN SO OMITTED PURSUANT TO A REQUEST FOR CONFIDENTIAL TREATMENT AND HAS BEEN FILED SEPARATELY WITH THE COMMISSION.** of any Sublicense Revenues resulting from sublicense agreements executed by Licensee.

  • Royalty Report The term “Royalty Report” shall have the meaning ascribed to such term as provided in Section 5.4.

  • Royalty Reports and Accounting 10 6.1 "Royalty Reports; Records".................................... 10 6.2 "Payment Due Dates"........................................... 10 6.3 "Right to Audit Licensee"..................................... 11 6.4 "Right to Audit Cellegy"...................................... 11 6.5 "Overpayment or Underpayment of Burdened Cost"................ 11 6.6 "Disagreement with Auditor Findings".......................... 11

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