Reset the drawing number Sample Clauses

Reset the drawing number. The drawing number can then be updated again. To do so, open the Specifications System Preferences, as shown in the screenshot below. Please enter the number you have noted before in the red marked field. Press the button below (marked green) to save the information. 1 Introduction‌ 1.1 An introduction to LICAD‌ By using the free of cost LICAD program you can considerably reduce project planning expenses and thereby cutback costs for the planning of supports for piping systems. With LICAD more than 90% of the normal support positions can be covered as standard cases. The time-consuming and thereby cost-intensive work that used to come up in the form of preparing sketches, installation drawings and ‘combing through’ catalogues, can be considerably optimized by using LICAD. The specific data of the support points (force, pipe diameter, travel, etc.) is entered with menu-controlled program guidance. A support configuration appropriate to local circumstances is selected by dialogue and by a symbolic representation of standard supports. Automatically LICAD carries out the selection and determination of components which are suitable for a given load in a support configuration. Further Intervention on the part of the operator is no longer required. The result is presented on the screen to the user in a scaled graphic form including a parts list indicating weights and materials and can be changed as required. Also a site plan can be filled if desired. With the selection of variable spring and constant hangers, general guidelines for the selection of pipe supports (ASME, VGB, etc.) are automatically allowed for with the appropriate specifications of basic data. All support positions dealt with are automatically saved by the program and can be called up and, if required, altered at any time. In addition to printing out drawings LICAD also supplies detailed as well as compiled materials lists. For later processing of the supports as a 3D graphics in CAD programs export functions can be used. Furthermore, various interfaces to major software vendors are available. The basis of the program, a completely new development by LISEGA, forms a comprehensive data bank system of the LISEGA standard components catalogues (Standard Supports 2020). The program can be operated as desired in eleven languages: Chinese, English, French, German, Hungarian, Italian, Japanese, Polish, Portuguese, Russian or Spanish. By constant further development of the program, in particular by taking c...

Related to Reset the drawing number

  • Maximum Drawing Amount The maximum aggregate amount that the beneficiaries may at any time draw under outstanding Letters of Credit, as such aggregate amount may be reduced from time to time pursuant to the terms of the Letters of Credit.

  • Determination to Honor Drawing Request In determining whether to honor any request for drawing under any Letter of Credit by the beneficiary thereof, Agent shall be responsible only to determine that the documents and certificates required to be delivered under such Letter of Credit have been delivered and that they comply on their face with the requirements of such Letter of Credit and that any other drawing condition appearing on the face of such Letter of Credit has been satisfied in the manner so set forth.

  • Letter of Credit Fees, Etc (i) The Borrower shall pay to the Administrative Agent for the account of each Revolving Credit Lender a commission, payable in arrears quarterly, within 15 days of each March 31, June 30, September 30 and December 31, commencing March 31, 2017, and on the earlier to occur of (A) the full drawing, expiration, termination or cancellation of any Letter of Credit and (B) on the Termination Date for the Revolving Credit Facility applicable to such Lender, on such Revolving Credit Lender’s Pro Rata Share of the average daily aggregate Available Amount during such quarter of all Letters of Credit outstanding from time to time at a percentage per annum equal to the Applicable Margin for Eurodollar Rate Advances made by such Lender at such time. Upon the occurrence and during the continuance of a Default under Section 6.01(a) or 6.01(f) or an Event of Default, the amount of commission payable by the Borrower under this clause (b)(i) shall be increased by 2% per annum. (ii) The Borrower shall pay to each Issuing Bank, for its own account, a fronting fee, payable in arrears quarterly, within 15 days after each March 31, June 30, September 30 and December 31, commencing March 31, 2017 and on the earliest to occur of the full drawing, expiration, termination or cancellation of any Letter of Credit and, in the case of any Letter of Credit that is not a Special Letter of Credit, on the Termination Date for the Revolving Credit Facility applicable to such Lender, on the average daily aggregate Available Amount during such quarter of all Letters of Credit outstanding from time to time at a percentage per annum equal to 0.15% (as contemplated by the Fee Letters). (iii) The Borrower shall pay to each Issuing Bank, for its own account, such other commissions and issuance fees, and such customary transfer fees, amendment fees and other fees and charges in connection with the issuance or administration of each Letter of Credit issued by such Issuing Bank, including the administration of each Letter of Credit Agreement, as the Borrower and such Issuing Bank shall agree; provided that the fees of the type contemplated by clause (i) and (ii) of this Section 2.08(b) shall be exclusive of any similar fee that would otherwise be required to be paid under any such Letter of Credit Agreement.

  • Interest Rates and Letter of Credit Fee Rates Payments and Calculations (a) Interest Rates. Except as provided in Section 2.13(c) and Section 2.15(a), all Obligations (except for the undrawn portion of the face amount of Letters of Credit) that have been charged to the Loan Account pursuant to the terms hereof shall bear interest at a per annum rate equal to the lesser of (i) the LIBOR Rate plus the Applicable Margin, or (ii) the maximum rate of interest allowed by applicable laws; provided, that following notice to Borrower in accordance with Section 2.15(a) hereof, all Obligations that have been charged to the Loan Account pursuant to the terms hereof shall bear interest at a per annum rate equal, during the duration of the circumstances described in Section 2.15(a), to the lesser of (A) the Base Rate plus the Applicable Margin as calculated pursuant to Section 2.15(a) or (B) the maximum rate of interest allowable by applicable laws.

  • Commitment Fees, etc (a) The Borrower agrees to pay to the Administrative Agent for the account of each Revolving Lender a commitment fee for the period from and including the date hereof to the last day of the Revolving Commitment Period, computed at the Commitment Fee Rate on the average daily amount of the Available Revolving Commitment of such Lender during the period for which payment is made, payable quarterly in arrears on each Fee Payment Date, commencing on the first such date to occur after the date hereof. (b) The Borrower agrees to pay to the Administrative Agent the fees in the amounts and on the dates as set forth in any fee agreements with the Administrative Agent and to perform any other obligations contained therein.