The Basic Day Clause Examples

The "Basic Day" clause defines the standard working hours or shift duration for employees under an agreement. Typically, it specifies the number of hours that constitute a normal workday, such as eight hours, and may outline the start and end times or the conditions under which these hours are scheduled. By clearly establishing what is considered a regular workday, this clause helps prevent misunderstandings about overtime, pay calculations, and scheduling, ensuring both employer and employee have a shared understanding of daily work expectations.
The Basic Day. The school day shall consist of eight hours, including a duty-free lunch of at least thirty minutes and five clock hours of direct student instruction, direct student supervision, ten minutes of elementary supervision time prior to and after the scheduled student day, and secondary supervision during student passing time. Seven and three fourths hours shall be determined by the respective building principals. Fifteen minutes of such day shall be utilized at the teacher's discretion either before or after the seven and three-fourth's hour time block by giving annual notice to the school principal during the fall workshop. Any additional individual variation requests must be approved by the building principal. Subd. 1. Teachers who lose preparation time every day due to required travel between building shall receive in addition to mileage reimbursement, 1% of the BA/0 base salary at the end of the contract period, pro-rated for part-time. Subd. 2. Student contact time for teachers who are required to travel shall not exceed that for teachers in either building. Subd. 3. Elementary vocal music and Phy. Ed. Specialists: The student instructional schedule shall not exceed 295 minutes per day and not more than 1440 minutes per week. Travel time between buildings is included in the minutes above.
The Basic Day. The school day shall consist of eight hours, including a duty-free lunch of at least thirty minutes and five clock hours of direct student instruction, direct student supervision, five minutes of elementary supervision time prior to and after the scheduled student day, and student passing time, but not including up to ten minutes of senior high homeroom time. Seven and three fourths hours shall be determined by the respective building principals. Fifteen minutes of such day shall be utilized at the teacher's discretion either before or after the seven and three-fourth's hour time block by giving annual notice to the school principal during the fall workshop. Any additional individual variation requests must be approved by the building principal. Subd. 1. Teachers who lose preparation time every day due to required travel between buildings and teachers in the Early Intervention Alliance (EIA) Program shall receive in addition to mileage reimbursement, 1% of the BA/0 base salary at the end of the contract period, pro-rated for part-time. Subd. 2. Student contact time for teachers who are required to travel shall not exceed that for teachers in either building. Subd. 3. Elementary vocal music and Phy. Ed. Specialists: The student instructional schedule shall not exceed 295 minutes per day and not more than 1440 minutes per week. Travel time between buildings is included in the minutes above.
The Basic Day. The school day shall consist of eight hours, including a duty-free lunch of at least thirty minutes and five clock hours of direct student instruction, direct student supervision, five minutes of elementary supervision time prior to and after the scheduled student day, and secondary supervision during student passing time. Seven and three fourths hours shall be determined by the respective building principals. Fifteen minutes of such day shall be utilized at the teacher's discretion either before or after the seven and three-fourth's hour time block by giving annual notice to the school principal during the fall workshop. Any additional individual variation requests must be approved by the building principal.‌ Subd. 1. Teachers who lose preparation time every day due to required travel between building shall receive in addition to mileage reimbursement, 1% of the BA/0 base salary at the end of the contract period, pro-rated for part-time.‌ Subd. 2. Student contact time for teachers who are required to travel shall not exceed that for teachers in either building.‌ Subd. 3. Elementary vocal music and Phy. Ed. Specialists: The student instructional schedule shall not exceed 295 minutes per day and not more than 1440 minutes per week. Travel time between buildings is included in the minutes above.‌ Subd. 4. Elementary media specialists: The regularly scheduled student instructional time in all–day kindergarten and grades 1-5 shall not exceed 13 hours per week. Additional time for regularly scheduled direct instruction may be assigned by mutual agreement. For each additional half-hour, or portion thereof, per week for the year, compensation shall be 3% of the BA/0 salary.‌

Related to The Basic Day

  • Interest Rate Basis Interest on this Note will be determined by reference to the applicable Interest Rate Basis or Interest Rate Bases, which may, as described below, include the CD Rate, the CMT Rate, the Commercial Paper Rate, the Constant Maturity Swap Rate, the Federal Funds Open Rate, the Federal Funds Rate, LIBOR, the Prime Rate or the Treasury Rate (each as defined below).

  • Alternate Rate of Interest; Illegality (a) If prior to the commencement of any Interest Period for a Eurodollar Borrowing: (i) the Administrative Agent determines (which determination shall be conclusive absent manifest error) that adequate and reasonable means do not exist for ascertaining the Adjusted LIBO Rate for such Interest Period; or (ii) the Administrative Agent is advised by the Required Lenders that the Adjusted LIBO Rate for such Interest Period will not adequately and fairly reflect the cost to such Lenders (or Lender) of making or maintaining their Loans (or its Loan) included in such Borrowing for such Interest Period; then the Administrative Agent shall give notice thereof to the Borrower and the Lenders by telephone, telecopy or other electronic transmission as promptly as practicable thereafter and, until the Administrative Agent notifies the Borrower and the Lenders that the circumstances giving rise to such notice no longer exist, (x) any Interest Election Request that requests the conversion of any Borrowing to, or continuation of any Borrowing as, a Eurodollar Borrowing shall be ineffective, and (y) if any Borrowing Request requests a Eurodollar Borrowing, such Borrowing shall be made as an ABR Borrowing. (b) If any Lender reasonably determines that any Change in Law has made it unlawful, or that any Governmental Authority has asserted after the Effective Date that it is unlawful, for such Lender or its applicable lending office to make or maintain any Eurodollar Borrowing, then, on notice thereof by such Lender to the Borrower through the Administrative Agent, any obligations of such Lender to make or continue any Eurodollar Borrowing or to convert ABR Borrowings to Eurodollar Borrowings shall be suspended until such Lender notifies the Administrative Agent and the Borrower that the circumstances giving rise to such determination no longer exist. Upon receipt of such notice, the Borrower shall upon demand from such Lender (with a copy to the Administrative Agent), either convert all Eurodollar Borrowings of such Lender to ABR Borrowings, either on the last day of the Interest Period therefor, if such Lender may lawfully continue to maintain such Eurodollar Borrowings to such day, or immediately, if such Lender may not lawfully continue to maintain such Loans (in which case the Borrower shall not be required to make payments pursuant to Section 2.13 in connection with such payment). Upon any such prepayment or conversion, the Borrower shall also pay accrued interest on the amount so prepaid or converted. Each Lender agrees to designate a different lending office if such designation will avoid the need for such notice and will not, in the determination of such Lender, otherwise be disadvantageous to it.

  • Settlement Date Basis For purposes of this Agreement, all determinations of whether an investment is to be included as a Portfolio Investment shall be determined on a settlement-date basis (meaning that any investment that has been purchased will not be treated as a Portfolio Investment until such purchase has settled, and any Portfolio Investment which has been sold will not be excluded as a Portfolio Investment until such sale has settled); provided that no such investment shall be included as a Portfolio Investment to the extent it has not been paid for in full.

  • Determination of Interest Rate Basis The Calculation Agent shall determine the rate derived from each Interest Rate Basis in accordance with the following provisions.

  • Spread; Spread Multiplier; Index Maturity The “Spread” is the number of basis points (one one-hundredth of a percentage point) specified on the face hereof to be added to or subtracted from the related Interest Rate Basis or Interest Rate Bases applicable to this Note. The “Spread Multiplier” is the percentage specified on the face hereof of the related Interest Rate Basis or Interest Rate Bases applicable to this Note by which the Interest Rate Basis or Interest Rate Bases will be multiplied to determine the applicable interest rate. The “Index Maturity” is the period to maturity of the instrument or obligation with respect to which the related Interest Rate Basis or Interest Rate Bases will be calculated.