Tank Bottoms and Line Fill Sample Clauses

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Tank Bottoms and Line Fill. If Customer’s Product is placed in commingled storage, then Customer will provide a pro rata share of the tank bottoms (including, if applicable the amount of Product required for a floating roof to remain continuously afloat) and a pro rata share of line fill for Product at the Terminal. Customer’s pro rata share will be determined by Company and is subject to change. If Customer’s Product is placed in segregated storage, then Customer will be responsible for providing tank bottoms (including, if applicable, the amount of Product required for a floating roof to remain continuously afloat) and line fill for Product at the Terminal.
Tank Bottoms and Line Fill. If Customer's Crude Oil will be placed in commingled storage, then Customer will provide a pro rata share of the tank bottoms and line fill for Crude Oil at the Facility. . If Customer's Crude Oil is to be placed in segregated storage, then Customer will be responsible for providing tank bottoms and a pro rata share of the line fill for Crude Oil at the Facility. Customer's pro rata share will be determined by Operator and is subject to change.
Tank Bottoms and Line Fill. Customer accepts that product inventory is required to enable the Facility to be operated, including inventory for tank bottoms and to fill the pipelines. The working inventory shall be recovered and returned to Customer on termination of this Agreement at Operators expense. Customer will be responsible for leaving the tank empty and clean on termination or expiration of this Agreement.
Tank Bottoms and Line Fill 

Related to Tank Bottoms and Line Fill

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  • Cost Responsibility for Interconnection Facilities and Distribution Upgrades 4.1 Interconnection Facilities 4.2 Distribution Upgrades

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  • System Upgrade Facilities and System Deliverability Upgrades Connecting Transmission Owner shall design, procure, construct, install, and own the System Upgrade Facilities and System Deliverability Upgrades described in Appendix A hereto. The responsibility of the Developer for costs related to System Upgrade Facilities and System Deliverability Upgrades shall be determined in accordance with the provisions of Attachment S to the ISO OATT.

  • Interconnection Customer Drawings Within one hundred twenty (120) days after the date of Initial Operation, unless the Interconnection Parties agree on another mutually acceptable deadline, the Interconnection Customer shall deliver to the Transmission Provider and the Interconnected Transmission Owner final, “as-built” drawings, information and documents regarding the Customer Interconnection Facilities, including, as and to the extent applicable: a one-line diagram, a site plan showing the Customer Facility and the Customer Interconnection Facilities, plan and elevation drawings showing the layout of the Customer Interconnection Facilities, a relay functional diagram, relaying AC and DC schematic wiring diagrams and relay settings for all facilities associated with the Interconnection Customer's step-up transformers, the facilities connecting the Customer Facility to the step-up transformers and the Customer Interconnection Facilities, and the impedances (determined by factory tests) for the associated step-up transformers and the Customer Facility. As applicable, the Interconnection Customer shall provide Transmission Provider and the Interconnected Transmission Owner specifications for the excitation system, automatic voltage regulator, Customer Facility control and protection settings, transformer tap settings, and communications.