RELATED RESOURCES Sample Clauses

RELATED RESOURCES. University-Wide
RELATED RESOURCES. Travel forms and additional information are available on the Controller website. Questions regarding “Will-Call” policies and procedures should be directed to the Controller Paymaster Section. Departments should refer to the FMS policy and procedure documents and training manuals for specific instructions on how to process travel encumbrance and payment requests:
RELATED RESOURCES. Further information about a number of the resources or related standards mentioned here may be found on the EDItEUR website at ▇▇▇▇://▇▇▇.▇▇▇▇▇▇▇.▇▇▇/ Specifically, the following relevant ONIX standards are fully documented: • ONIX for Books, version 3.0: ▇▇▇▇://▇▇▇.▇▇▇▇▇▇▇.▇▇▇/12/About-Release-3.0/ • ONIX for Books code list 11: ▇▇▇▇://▇▇▇.▇▇▇▇▇▇▇.▇▇▇/93/Release-3.0-Downloads/#Codes%2010 • ONIX for Publications Licenses, version 1.0: ▇▇▇▇://▇▇▇.▇▇▇▇▇▇▇.▇▇▇/21/ONIX-PL/ • ONIX for Licensing Terms: ▇▇▇▇://▇▇▇.▇▇▇▇▇▇▇.▇▇▇/85/Overview/ • ONIX for ISTC Registration, version 1.0: ▇▇▇▇://▇▇▇.▇▇▇▇▇▇▇.▇▇▇/106/ONIX-ISTC-Registration- Format/
RELATED RESOURCES. Travel forms and additional information and materials regarding travel are available on the Controller website under Guides to Departments at ▇▇▇▇://▇▇▇.▇▇.▇▇.▇▇.▇▇/guidestodepts.htm. Questions regarding “Will-Call policies and procedures should be directed to the Paymaster Section (see Controller Directory in Cityfone). Questions regarding this Policy should be directed to the Controller’s Demand Audit Section. Prime Firm Prime Prime Firm Prime Prime Firm Prime MBE Firm Name 1 MBE MBE Firm Name 2 MBE MBE Firm Name 3 MBE WBE Firm Name 1 WBE WBE Firm Name 2 WBE SBE Firm Name SBE EBE Firm Name EBE DVBE Firm Name DVBE OBE Firm Name 1 OBE OBE Firm Name 2 OBE Firm Name Status Fee %Fee MBE Firm Name 1 MBE MBE Firm Name 2 MBE MBE Firm Name 3 MBE WBE Firm Name 1 WBE WBE Firm Name 2 WBE SBE Firm Name SBE EBE Firm Name EBE DVBE Firm Name DVBE OBE Firm Name 1 OBE OBE Firm Name 2 OBE Summary Total Fee ($) % Fee Prime MBE WBE SBE EBE DVBE OBE Personnel (Name & Title) Function Hours Rate Amount @ $ @ $ @ $ Total Hours Total Direct Labor $ Personnel (Name & Title) Function Hours Rate Amount @ $ @ $ @ $ Total Hours Total Direct Labor $ Direct Labor Rate Amount Home Office Overhead $ @ $ Field Office Overhead $ @ $ Total Indirect Costs $ Item Quantity Unit Unit Cost Amount @ $ @ $ @ $ Total Other Direct Costs $
RELATED RESOURCES. Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards, 2 CFR Part 200 (the “Uniform Guidance”) ORED Policy - Hiring and Paying Consultants on Sponsored Projects ORED Policy # 2350.075 - Sponsored Research Purchasing Exemption FIU Regulation 2201, Purchasing Review Dates (review performed, no updates): N/A Revision Dates (updates made to document): March 18, 2008, November 5, 2009, June 8, 2015, and April 15, 2021. This policy supersedes the Hiring and Paying Consultants on Sponsored Projects policy number 2350.030. Consulting Agreements on Sponsored Projects # 2320.018 merges Consultant Services on Sponsored Projects Proposals policy number 2320.015. Policy 2320.015 shall be archived. INITIAL EFFECTIVE DATE: February 11, 2004 LAST REVISION DATE: May 4, 2021 RESPONSIBLE UNIVERSITY DIVISION/DEPARTMENT Office of Research and Economic Development (ORED) No cost of a Consultant may be charged directly to a sponsored agreement if the services provided by the Consultant:
RELATED RESOURCES. Florida Statutes (2019); Florida Administrative Code, Rule 6A-10.024, Articulation Between and Among Universities, Community Colleges, and School Districts; Florida Department of Education, Office of Articulation, Statewide Postsecondary Articulation Manual (Revised May 2020)
RELATED RESOURCES. Appendix 1 Sarina State High School Enrolment agreement Appendix 2 Information and communication technologies policy Appendix 3 Preventing and Responding to Incidents of Bullying including STYMIE notification system Appendix 4 Attendance Policy Appendix 5 Possession of Weapons at School Appendix 6 School Dress Code Appendix 7 Assessment Policy Appendix 8 Flexible Arrangements Appendix 9 School Representation Policy Sarina State High School Based on The Code of School Behaviour
RELATED RESOURCES. Fact Sheet: Singapore - Vietnam Defence Cooperation Agreement (MINDEF_20090907003.pdf)
RELATED RESOURCES. Fact Sheet: Arrangement Between New Zealand and Singapore Concerning Defence Cooperation (MINDEF_20090527003.pdf)

Related to RELATED RESOURCES

  • Portfolio Accounting Services (1) Maintain portfolio records on a trade date+1 basis using security trade information communicated from the Fund’s investment adviser. (2) For each valuation date, obtain prices from a pricing source approved by the board of trustees of the Trust (the “Board of Trustees”) and apply those prices to the portfolio positions. For those securities where market quotations are not readily available, the Board of Trustees shall approve, in good faith, procedures for determining the fair value for such securities. (3) Identify interest and dividend accrual balances as of each valuation date and calculate gross earnings on investments for each accounting period. (4) Determine gain/loss on security sales and identify them as short-term or long-term; account for periodic distributions of gains or losses to shareholders and maintain undistributed gain or loss balances as of each valuation date. (5) On a daily basis, reconcile cash of the Fund with the Fund’s custodian. (6) Transmit a copy of the portfolio valuation to the Fund’s investment adviser daily. (7) Review the impact of current day’s activity on a per share basis, and review changes in market value.

  • Additional Accounting Services Ultimus shall also perform the following additional accounting services for each Portfolio: (i) Provide monthly (or as frequently as may reasonably be requested by the Trust or a Portfolio's investment adviser) a set of financial statements for each Portfolio as described below, upon request of the Trust: Statement of Assets and Liabilities Statement of Operations Statement of Changes in Net Assets Security Purchases and Sales Journals Portfolio Holdings Reports (ii) Provide accounting information for the following: (A) federal and state income tax returns and federal excise tax returns; (B) the Trust's semi-annual reports with the SEC on Form N-SAR; (C) the Trust's annual, semi-annual and quarterly (if any) shareholder reports; (D) registration statements on Form N-1A and other filings relating to the registration of shares; (E) Ultimus' monitoring of the Trust's status as a regulated investment company under Subchapter M of the Internal Revenue Code, as amended; (F) annual audit by the Trust's auditors; and (G) examinations performed by the SEC.

  • Mineral Reserves and Resources The estimated proven and probable mineral reserves and estimated indicated, measured and inferred mineral resources disclosed in the SSR Public Disclosure Record have been prepared and disclosed in all material respects in accordance with all applicable Laws. The information provided by SSR to the Qualified Persons in connection with the preparation of such estimates was complete and accurate in all material respects at the time such information was furnished. There has been no material reduction in the aggregate amount of estimated mineral reserves or estimated mineral resources of SSR and its subsidiaries, taken as a whole, from the amounts disclosed in the SSR Public Disclosure Record.

  • OVERSIGHT SERVICES Oversight services for the Fund provided by Price Associates shall include all oversight of BNY Mellon, Delegates and service providers that provide accounting, administrative, and tax support services and not specifically provided for under each Fund’s Investment Management Agreement. Price Associates provides all accounting, administrative, tax and oversight services to the Funds listed on Exhibit A2, including the below. Accounting Services provided by Price Associates shall include, among other things: · oversight of quality control, including processing results related to fund accounting services provided by Delegates or other third party service providers relating to pricing. Such oversight includes, but is not limited to, review of (a) NAV calculations and fund valuations, (b) securities pricing and resolution of pricing exceptions, and (c) calculation and preparation of any financial information or schedules; · end-of-day INAV oversight for ETFs that provide INAV · determining accounting and valuation policies, instructing Delegates and/or other service providers, and/or providing it with such advice that may be reasonably necessary, to properly account for all financial transactions and to maintain the Fund’s accounting procedures and records so as to ensure compliance with generally accepted accounting principles and tax practices and rules; and · calculating and authorizing expense accruals and payments; annual fund expense budgets; accrual analysis; rollforward calculations; payment of expenses; fees for payment to service providers; · facilitating on behalf of the Fund resolution and remediation of fund accounting issues escalated by Delegates and/or other service providers; · preparing daily NAV calculations, including all necessary component services such as valuation and particularly private company investment valuation, corporate actions processing, trade processing, and performing month-end and fiscal-period-end close processes; · recordkeeping as required; and · such other accounting services as agreed to by the parties not otherwise performed by Price Associates under the Investment Management Agreement. Administrative Services provided by Price Associates shall include, among other things: · ensuring maintenance for the Fund of all records that may be reasonably required in connection with the audit performed by the Fund’s independent registered public accountants, or by the Securities and Exchange Commission (“SEC”), the Internal Revenue Service (“IRS”) or such other Federal or state regulatory agencies; · cooperating with the Fund’s independent registered public accountants and taking all reasonable action in the performance of its obligations under the Agreement to assure that the necessary information is made available to such accountants for the expression of their opinion without any qualification as to the scope of their examination including, but not limited to, their opinion included in the Fund’s annual report on Form N-CSR and annual amendment to Form N-1A; · implementing and maintaining the systems, data storage and reporting necessary to perform services outlined herein; · all efforts concerning financial reporting services, including shareholder reports and financial information in regulatory filings; N-PORT and N-CEN; and other financial reporting services as necessary; · determining financial reporting policies, maintaining adequate controls over financial reporting to provide complete and accurate financial information and disclosures that are certified by officers of the Funds. Providing sub-certifications, as requested by officers of the Funds, for the adequacy of such controls and the completeness and accuracy of information included in Form N-CSR or any other form that may require certification; · periodic testing of Internal Revenue Code qualification requirements; · prepare and furnish fund performance information; · prepare and disseminate vendor survey information; · prepare and file Rule 24f-2 notices and payment; and · such other administrative services as agreed to by the parties, not otherwise performed by Price Associates under the Investment Management Agreement.

  • Custody and Accounting Services All expenses of the transfer, receipt, safekeeping, servicing and accounting for the cash, securities, and other property of the Corporation, for the benefit of the Fund, including all charges of depositories, custodians, and other agents, if any;