Format Sample Clauses
The Format clause defines the required structure, layout, or presentation style for documents, communications, or deliverables under the agreement. It may specify details such as file types (e.g., PDF, Word), font size, margin settings, or the inclusion of specific headings and sections. By establishing clear formatting requirements, this clause ensures consistency, readability, and compliance with organizational or legal standards, reducing misunderstandings and streamlining document review processes.
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Format. The data will be provided in the format specified in Specification 2 for Data Escrow (including encryption, signing, etc.) but including only the fields mentioned in the previous section, i.e., the file will only contain Domain and Registrar objects with the fields mentioned above. Registry Operator has the option to provide a full deposit file instead as specified in Specification 2.
Format otherwise be in accordance with the customary practice of, and format used in, the international Eurobond market.
Format. Grievances shall be filed on mutually agreed forms which specify: (a) the facts; (b) the issue; (c) the date of the violation alleged; (d) the controlling contract provision; (e) the remedy or relief sought.
Format. 3.2.1 Information Described in Articles 2(2) and 4(1)(b) of the IGA: The FATCA XML Schema, as reflected in the FATCA XML Schema User Guide (IRS Publication 5124), and the FATCA Metadata XML Schema, as reflected in the FATCA Metadata XML Schema User Guide (IRS Publication 5188), posted on ▇▇▇.▇▇▇ are intended to be used as the format for the exchange of information described in Articles 2(2) and 4(1)(b) of the IGA. The FATCA XML Schema User Guide (IRS Publication 5124) and the FATCA Metadata XML Schema User Guide (IRS Publication 5188) describe the structure of the schemata and include data dictionaries with summaries of the relevant data elements.
Format. (i) The Servicer shall conform to such requirements regarding the format, structure and text of Bills delivered to Customers as this Agreement, the Financing Order, the Securitization Law and applicable MPSC Regulations shall from time to time prescribe. To the extent that Bill format, structure and text are not prescribed by this Agreement, the Financing Order, the Securitization Law or by applicable MPSC Regulations, the Servicer shall determine the format, structure and text of all Bills in accordance with its reasonable business judgment, its Servicer Policies and Practices with respect to its own charges and prevailing industry standards.
Format. 3.3.1. All billing is to be submitted in an itemized format reflecting the actual time spent on each task and shall reflect the following information:
A) The contract number;
B) Firm name and address;
C) Firm Federal Employment Identification Number (FEIN);
D) Citizens’ Contract Manager’s name;
E) The date and time the specific task was performed;
F) A detailed description of each task performed (each task is to be billed separately; block billing will not be honored);
G) Name or initials of the individual who performed the task;
H) The amount of time, by the tenth of the hour, spent to perform each task;
I) The hourly fee for the individual who performed the task, when applicable;
J) The total time and fees charged by each individual for the applicable billing period;
K) The total time and fees charged for all individuals for the applicable billing period; and
L) Itemized accounting of all expenses with supporting documentation.
3.3.2. Generic descriptions of tasks performed, such as the following, without further details are not acceptable:
A) Review case and issues;
B) Review correspondence;
C) Telephone call;
D) Trial preparation;
E) Update strategy;
F) Motion work;
G) Prepare for meeting;
H) Receive/review documents;
I) Travel;
J) Research; and/or
K) Analysis; L) Evaluation status; M) Supplemental evaluation of litigation needs.
3.3.3. Citizens may require any other information from Firm that Citizens deems necessary to verify any payment request placed under the Contract.
Format. A lead agency format is used to accomplish this work. This Participating Agency, serving as Lead Agency for this procurement, has included this MAPT Cooperative Rider Clause. This allows other public entities to participate pursuant to the following Cooperative Rider Clause Terms and Conditions:
Format. (i) Each Bill issued by the Servicer to a Customer shall contain the charge corresponding to the System Restoration Charges owed by such Customer for the applicable Billing Period. The System Restoration Charges shall be separately identified if required by and in accordance with the terms of the Financing Order and Tariff.
(ii) Where a REP is responsible for billing the Customers, the Servicer shall deliver to the REP itemized charges for each Customer setting forth such Customer’s System Restoration Charges. If such charges are not separately identified, the Servicer shall provide the REP, (and unless prohibited by applicable PUCT Regulations, shall cause each REP to provide the REP’s Customers) with the annual notice required by Section 4.01(e)(ii) of the Agreement.
(iii) The Servicer shall conform to such requirements in respect of the format, structure and text of Bills delivered to Customers and REPs in accordance with, if applicable, the Financing Order, the Tariff and PUCT Regulations. To the extent that Bill format, structure and text are not prescribed by the Public Utility Regulatory Act or by applicable PUCT Regulations, the Servicer shall, subject to clauses (i) and (ii) above, determine the format, structure and text of all Bills in accordance with its reasonable business judgment, its policies and practices with respect to its own charges and prevailing industry standards.
Format. As contemplated in Appendix D, Data Types and Sources, each Participant shall report Participant Data to the Central Repository for consolidation and storage in a format or formats specified by the Plan Processor, approved by the Operating Committee and compliant with SEC Rule 613.
Format. As contemplated in Appendix D, Data Types and Sources, each Participant shall, through its Compliance Rule, require its Industry Members to report Industry Member Data to the Central Repository for consolidation and storage in a format or formats specified by the Plan Processor, approved by the Operating Committee and compliant with SEC Rule 613.