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impairment of the original reception, the licensee of the LPFM station is absolved of further responsibility for the complaint. (d) It shall be the responsibility of the licensee of an LPFM station to correct any condition of interference that results from the radiation of radio frequency energy outside its assigned channel. Upon notice by the FCC to the station licensee or operator that such interference is caused by spurious emissions of the station, operation of the
(a) Agreements in response to countervailable subsidiesWithin 90 days after the administering authority accepts a quantitative restriction agreement under section 1671c(a)(2) or (c)(3) of this title, the President shall enter into consultations with the government that is party to the agreement for purposes of—
(a) A practitioner employed or retained by an organization represents the organization acting through its duly authorized constituents. (b) If a practitioner for an organization knows that an officer, employee or other person associated with the organization is engaged in action, intends to act or refuses to act in a matter related to the representation that is a violation of a legal obligation to the organization, or a violation of
position is eligible for retained grade or pay under 5 U.S.C. 5362-5363. (2) A position action is implemented by a personnel action. The personnel action must occur within a reasonable period of time following the date of the position action. (3) If the position action requires a personnel action which will result in a loss of grade or
(2) 5 U.S.C. 7114(a)(5) and 7121(b)(3), and the terms of an applicable collective bargaining agreement govern representation for employees in an exclusive bargaining unit who grieve a matter under this section through the negotiated grievance process. (c) Election of forum. As provided at
contributions to a retirement investment fund, such as the Thrift Savings Plan, are not covered. Monetary benefits payable to separated or retired employees based upon a separation from service, such as retirement benefits, severance payments, and lump-sum payments for annual leave, are not covered. Unfair labor practice means an unfair labor practice described in section 7116 of title 5, United States Code, and (with respect to members
the request, and ex parte reexamination is not ordered under 35 U.S.C. 257, the electronically issued supplemental examination certificate will be published in due course. The fee for reexamination ordered as a result of supplemental examination, as set forth in §1.20(k
the concern that a reasonable person may question the integrity of agency programs and operations. Similarly, where the employee meets all prerequisites for the application of one of the exemptions set forth in subpart B of part 2640 of this chapter, that also constitutes a determination that the interest of the Government in the employee's participation outweighs the concern that a reasonable person may question the integrity of agency programs and operations.
made of the application. The date indicated on any certificate of mailing or transmission under §1.8 will not be taken into account in determining whether a petition under §1.138(d) was filed before an examination has been made of the application. If a request for refund of the search fee and excess claims fee paid in the application is not filed with the declaration of express abandonment under this
agencies for the Excluded Parties List System (Disseminated by the General Services Administration). F the general principles governing suspension, debarment, voluntary exclusion and settlement. G suspension actions.
National security position includes any position in a department or agency, the occupant of which could bring about, by virtue of the nature of the position, a material adverse effect on the national security. (i) Such positions include those requiring eligibility for access to classified information. (ii) Other such positions include, but are not limited to, those whose duties include:
(6) Penalties and sanctions for violations of the labor standards provisions; and (7) The applicable provisions of FAR 22.403; and (C) Ensure that the contractor sends a copy of the preconstruction letter to each
(3) You must not give any advance notice of this test requirement to the employee. (4) You must instruct the collector to note on the CCF the same reason (e.g., random test, post-accident test) and DOT Agency (e.g., check DOT and FMCSA) as for the original collection. (5) You must ensure that the collector conducts the collection under direct observation.
sections 151–154 and 3057 of this title. Other minor changes of phraseology were made. Amendments 1978—Pub. L. 95–598 substituted "debtor in a case under title 11" for "bankrupt or other
Contractor to provide an audit opinion on the annual financial report required by OPM for the FEGLI Program. Accounting firm employees must audit the report in accordance with Generally Accepted Government Auditing Standards or other requirements issued by OPM. (b) Upon learning of a significant event, OPM may institute action, in proportion to the seriousness of the event, to protect the interest of insureds, including, but not limited to— (1) Directing the Contractor to take corrective
, and may not, issue any technical direction that— (1) Constitutes an assignment of additional work outside the Statement of Work; (2) Constitutes a change as defined in the contract clause entitled “Changes;” (3) In any manner causes an increase or decrease in the total estimated contract cost, the fee (if any), or the time required for contract performance; (4) Changes any of the expressed terms, conditions or specifications of the contract; or (5
customer participation in contract negotiations is left to the discretion of the contracting officer after consultation with the contractor. The contracting officer shall provide an explanation to the FMS customer if its participation in negotiations will be limited. Factors that may limit FMS customer participation include situations where— (1) The contract includes requirements for more than one FMS customer; (2) The contract
to all parties from, fraudulent electronic debit transactions involving the issuer; (ii) Their cost-effectiveness; and (iii) Changes in the types of fraud, methods used to commit fraud, and available methods for detecting and preventing fraudulent electronic debit transactions that the issuer identifies from— (A) Its own experience or information;
(3) Where an FDIC-supervised institution provides a commitment structured as a syndication or participation, the FDIC-supervised institution is only required to calculate the exposure amount for its pro rata share of the commitment. (4) Where an FDIC-supervised institution provides a commitment, enters into a repurchase agreement, or provides a credit-enhancing representation and warranty, and such commitment, repurchase agreement, or credit
For the purposes of this subpart, the following additional definitions apply: (a) Board of Governors means the Board of Governors of the Federal Reserve System. (b) Comptroller means the Office of the Comptroller of the Currency. (c) Eligible insured branch
deposits or additions to existing deposits, will not be insured by the Federal Deposit Insurance Corporation. 3. Insured deposits in the (depository institution) (branch) on the ____ day of ______, 19__, will continue to be insured for ______ after the close of business on the_____ day of _____, 19__. Provided, however, that any withdrawals after the close of business on the ____ day of______, 19__, will reduce the insurance coverage by the amount of such withdrawals.