Operating Report definition

Operating Report is defined in Section 7.1(u).
Operating Report means an operations report prepared quarterly by the Borrower in accordance with Section 6.1(e).
Operating Report means an operating report to be supplied by Borrower pursuant to Section 6.1.

Examples of Operating Report in a sentence

  • Seller shall also report all Unscheduled Outages or Scheduled Outages in the Daily Operating Report.

  • To maximize efficiencies, NYSERDA will consider accepting, upon Seller request, Annual Operating Report formats that differ from that contained under Exhibit S to match the format of existing reporting formats utilized by Seller.

  • Seller shall provide NYSERDA with an Annual Operating Report on March 15 of each year within the Contract Delivery Term and one year thereafter covering the activities of the immediately preceding Calendar Year in which any ORECs were transferred to NYSERDA.

  • Seller shall provide Buyer the Daily Operating Report, as attached in Appendix 18.5, the day immediately after each operating day, for all Energy Storage Systems.

  • Until such template is created and approved by the Parties as provided above, Seller shall not be required to provide such Daily Operating Report as set forth in Section 15.6 of the Agreement.


More Definitions of Operating Report

Operating Report means each operating report covering the Subject Companies that is provided to any lender or agent under the Senior Credit Documents.
Operating Report has the meaning given to it in Clause 32.
Operating Report has the meaning set forth in Section 7.03(m).
Operating Report has the meaning given such term in Section 7.1(v).
Operating Report means a report in the form set forth in Schedule 6.06(d) (Operating Report).
Operating Report means the operating report to be prepared and delivered by the Company to the Global Agent substantially in the form attached as Schedule 9 (Form of Operating Report).
Operating Report means the operating report delivered by the Borrower pursuant to Clause 20.11 (Operating Report). Original Agreement Date means 22 February 2021. Original Expansion Banking Case means the Banking Case financial projections and ratios prepared by the Borrower and delivered as a condition precedent pursuant to schedule 2 (Conditions precedent) to the Amendment and Restatement Deed.