Secondary Recall Lists Sample Clauses

The Secondary Recall Lists clause establishes a process for creating and maintaining additional lists of items or products that may be subject to recall beyond the primary recall list. In practice, this clause outlines how these secondary lists are compiled, who is responsible for updating them, and under what circumstances items are added or removed. Its core function is to ensure comprehensive tracking and management of potentially affected products, thereby minimizing risk and ensuring swift action in the event of a recall.
Secondary Recall Lists. See Article 70, Section 11.
Secondary Recall Lists. 3.3.1 The Union shall be responsible for creating and maintaining secondary recall lists for each Company base (the “Secondary Recall Lists”). The Companies shall not be responsible for any errors existing within the Secondary Recall Lists. 3.3.2 The Union shall provide the Companies with the updated Secondary Recall Lists no later than the 10th day of the month that is two (2) months prior to the monthly scheduling period for which the secondary recalls, if any, would take effect. 3.3.3 The Union shall be responsible for ensuring that the Secondary Recall Lists are accurate, current, and include Cabin Personnel names, employee numbers, Original Companies, and such other information that the Companies may reasonably require. 3.3.4 The Secondary Recall List shall also include the priority order for the secondary recall of Cabin Personnel at each Company base. Only those Cabin Personnel who are eligible for secondary recall at a Destination Company base pursuant to this MOA shall be named in the respective Secondary Recall List for that base. 3.3.5 The priority order referenced in Section 3.3.4 above shall be based on the principle of seniority established pursuant to the Collective Agreements of the Original Companies or the Layoff and Recall Implementation MOA(s) if still applicable. 3.3.6 When two (2) or more Cabin Personnel from different Original Companies have the same seniority date, recall shall be conducted in an alternating sequence between the Secondary Recall lists. A lottery draw shall determine the order of recall between the two
Secondary Recall Lists. See Article 70, Section 11. 27 (b) Applicant Lists. Applicant lists shall consist of: 28 a. state employees from within an agency, 29 b. other state employees,

Related to Secondary Recall Lists

  • Recall List The Board shall maintain a recall list. Copies of the list will be sent to each person on the list and the Association at least once during the fall and once during the spring each year.

  • Drug-Free Workplace Policy Consultant shall provide a drug-free workplace by complying with all provisions set forth in City’s Council Policy 100-5, attached hereto as Exhibit “D” and incorporated herein by reference. Consultant’s failure to conform to the requirements set forth in Council Policy 100-5 shall constitute a material breach of this Agreement and shall be cause for immediate termination of this Agreement by City.

  • Please see the current Washtenaw Community College catalog for up-to-date program requirements Conditions & Requirements

  • Loss Leader; Recycled Products Contractor shall not sell or use any article or product as a “loss leader” as defined in Section 17030 of the Business and Professions Code. If Contractor will sell to the Judicial Council, or use in the performance of this Agreement, goods specified in PCC 12207 (for example, certain paper products, office supplies, mulch, glass products, lubricating oils, plastic products, paint, antifreeze, tires and tire-derived products, and metal products), then with respect to those goods: (i) Contractor shall use recycled products in the performance of this Agreement to the maximum extent doing so is economically feasible, and (ii) upon request, Contractor shall certify in writing under penalty of perjury, the minimum, if not exact, percentage of post consumer material as defined in the PCC 12200, in such goods regardless of whether the goods meet the requirements of PCC 12209.

  • Customer Identification Program Notice To help the U.S. government fight the funding of terrorism and money laundering activities, U.S. Federal law requires each financial institution to obtain, verify, and record certain information that identifies each person who initially opens an account with that financial institution on or after October 1, 2003. Consistent with this requirement, PFPC Trust may request (or may have already requested) the Fund's name, address and taxpayer identification number or other government-issued identification number, and, if such party is a natural person, that party's date of birth. PFPC Trust may also ask (and may have already asked) for additional identifying information, and PFPC Trust may take steps (and may have already taken steps) to verify the authenticity and accuracy of these data elements.