Attachment IV Sample Clauses

Attachment IV. This Attachment contains the terms and conditions governing the Network Service Provider’s access to and use of Protected Health Information and provides the permissible uses and disclosures of protected health information by the Provider, also called “Business Associate.”
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Attachment IV. Budget; 5) Attachment V, Commission Contract Requirements; 6) Attachment VI, Food and Beverage Policy, and 7) Attachment VII, Tobacco Free Environment Policy. By signature below, the department head or his or her deputy certifies that no unauthorized alterations have been made to the Attachment I – “Terms and Conditions” and/or the Attachment II – “Standard Insurance Requirements.” Xxxx Xxxxx, Director Typed or Printed Name Signature Date This Contract and the above listed Attachments represent the entire undertaking between the parties.
Attachment IV. In the event a data integrity issue results in a delay of service, the recipient agrees to execute their agency disaster plan to ensure the delivery of service(s) continues.
Attachment IV. Budget; 5) Attachment V, Commission Contract Requirements By signature below, the department head or his or her deputy certifies that no unauthorized alterations have been made to the Attachment I – “Terms and Conditions” and/or the Attachment II – “Standard Insurance Requirements.” Xxxx Xxxxx __ Typed or Printed Name Signature Date This Contract and the above listed Attachments represent the entire undertaking between the parties.
Attachment IV. Network Users’ COD Account Information and Other materials (Name of Party A) xxxxxx agrees that China Express Mail Service Corporation transfer relevant COD payments to the following account: Company Code: EC (as marked on the first page of the Agreement) Account Name at the Bank: (should be consistent with the company name of Party A) Account: Bank: (indicate the name of the city and the name of the bank) Bank Code: (Optional, with consent of the bank) Contact Person (for account verification): (Contact person or responsible person for specific accounts) Tel: Fax: E-mail: Company Address: Postal Code: Legal Representative (signature) : Company Seal Seal of Financial Department Date: Additional Information: Special Account for COD Business (Network Charges and Deposits) of China EMS Company (Party B) Account Owner: China Express Mail Service Corporation Account No.: 0200003119200017143 Bank: Beijing ICBC Zhushikou Branch Special Account for EMS COD Business (Costs of Printing Information Sheets): Account Name: Zhejiang Mozhihua Printing Company Account Name: Zhejiang Mozhihua Printing Company Account No.: 15195708091001 Account No.: 1204080009042000129 Branch: ICBC Zhejiang , Jiaxing Pinghu Branch Branch: ICBC Zhejiang, Jiaxing Pinghu Branch Note: Please remit to the specified bank account in accordance with relevant requirements in the Agreement, and fax the receipt of the remittance to our company. Fax: 000-00000000 and Tel: 000-00000000 Supplementary Agreement To Agreement on Entrustment of EMS COD Business 2006 Edition Company Code: EC0062 Date of Effectiveness: April 1, 2006 Party A Shanghai Acorn Network Technology Development Co., Ltd. Address: 000 Xxxxxx Xxxx, 00xx Xxxxx, Xxxxxx Xxxxx Party B China Express Mail Service Corporation Address: East Wing of no. 00 Xxxxxxxx, Xxxxxxxxx Xxxxxxxxx, Chongwen District, Beijing Actual Service Provider Shanghai EMS International Department Address: 0000 Xxxxxxxxx Xxxx, Xxxxxxxx To facilitate the development of China’s e-commerce, mail order business and other business transactions, Party A and Party B have sought to find a secure and reliable method of providing service to the general public, a method that would be convenient to both the seller and the buyer. In the spirit of mutual trust, mutual benefit and joint development, and for the purpose of facilitating the flow of commerce, enriching and improving the life of the people, and promoting social and economic development, after friendly consultation the Pa...
Attachment IV. INTERCONNECTION

Related to Attachment IV

  • ATTACHMENT A Equity Funds This document is an attachment to the Participant Agreement with respect to the procedures to be used by (i) the Distributor and the Transfer Agent in processing an order for the creation of Shares, (ii) the Distributor and the Transfer Agent in processing a request for the redemption of Shares and (iii) the Participant and the Transfer Agent in delivering or arranging for the delivery of requisite cash payments, Portfolio Deposits or Shares, as the case may be, in connection with the submission of orders for creation or requests for redemption. The Participant is first required to have signed the Participant Agreement. Upon acceptance of the Participant Agreement by the Distributor and the Transfer Agent, the Transfer Agent will assign a PIN Number to each Authorized Person authorized to act for the Participant. This will allow the Participant through its Authorized Person(s) to place an order with respect to Shares.

  • Job Description The Employer agrees to draw up job descriptions for all positions for which the Union is bargaining agent. These descriptions shall be presented and discussed with the Union and shall become the recognized job descriptions unless the Union presents written objection within thirty (30) calendar days.

  • Appendix The following definitions shall be in effect under the Agreement:

  • Service Description The Parties will provide Common Channel Signaling (CCS) to one another via Signaling System 7 (SS7) network Interconnection, in accordance with prevailing industry standards. Use of a third party provider of SS7 trunks is permitted.

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