Back-up and recovery services Sample Clauses

Back-up and recovery services. The Supplier shall perform scheduled back-ups of the relevant Customer Data. If the Customer requests a data restore, the Supplier will restore the most recent available back-up of the Customer Data to the data centre. The Customer may make a maximum of one such request every three (3) months. If any additional requests are made then additional costs may be incurred by the Customer.
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Back-up and recovery services. 4.2 Off-Site Media Storage
Back-up and recovery services. The Supplier shall perform scheduled back-ups of the relevant Customer Data. If the Customer requests a data restore, the Supplier will restore the most recent available back-up of the Customer Data to the data centre. The Customer may make a maximum of one such request every three (3) months. If any additional requests are made then additional costs may be incurred by the Customer. Schedule 4 Software Specification – EMIS Web‌ Core Module Sub Module Functions Care Record Care Record Summary • A condensed one page summary of key clinical events including EPR record sharing contributors; problems; medication; allergies; planned events; last four clinical contacts including clinician details, location and date; health status entries. Consultations • View all consultation/contact history and search/filter on various parameters including coded entries, date, user, job category and organisation. • Add new, edit and review consultations/contacts. • Add consultations/contacts for multiple problems. • View various decision support tools including Mentor/PILS. • Care record configuration for individual or organisation wide style and type settings. • Confidentiality policy settings. Medication • View full patient prescribing history. • Add new acute/repeat/automatic medication. • Issue standard/private prescriptions. • Link medication to specific problems. • Review patient medication compliance. • Add adverse drug reactions and view clinical safety warnings • Use standard/individual user formulary. • Access the British National Formulary (BNF). • Create bespoke local mixtures. Problems • View all active, past, significant and minor problems. • Link problems to specific medication. • Group, combine and evolve problems and amend problem status. • Add reviews. Investigations • View all values and laboratory reports for a patient. • Filter and search on results • Tabular and graphical trends. Care History • Display all clinical events in chronological order including Non Value Data, Allergies, Health Status, Family History and Immunisations; a clinical event refers to data entered from any care record screen excluding medication.

Related to Back-up and recovery services

  • Information Systems Acquisition Development and Maintenance Security of System Files. To protect City Information Processing Systems and system files containing information, Service Provider will ensure that access to source code is restricted to authorized users whose specific job function necessitates such access.

  • Disaster Recovery and Business Continuity The Parties shall comply with the provisions of Schedule 5 (Disaster Recovery and Business Continuity).

  • Remittance Processing Services In order to provide a means of collection of the Receivables which will allow the Trustee to receive the proceeds of the Receivables and related security without AmeriCredit or its Affiliates having access to the funds, the parties hereto agree for the benefit of the Trustee that the processing services (the “Service(s)”) of Processor will be used for the collection and the deposit of remittances related to the Receivables and related security.

  • SPECIAL SERVICES Should the Trust have occasion to request the Adviser to perform services not herein contemplated or to request the Adviser to arrange for the services of others, the Adviser will act for the Trust on behalf of the Fund upon request to the best of its ability, with compensation for the Adviser's services to be agreed upon with respect to each such occasion as it arises.

  • Distribution Services The Distributor shall sell and repurchase Shares as set forth below, subject to the registration requirements of the 1933 Act and the rules and regulations thereunder, and the laws governing the sale of securities in the various states ("Blue Sky Laws"):

  • Financial Planning Services The Executive shall receive financial planning services, on an in-kind basis, for a period of eighteen (18) months following the Date of Termination. Such financial planning services shall include expert financial and legal resources to assist the Executive with financial planning needs and shall be limited to (i) current investment portfolio management, (ii) tax planning, (iii) tax return preparation, and (iv) estate planning advice and document preparation (including xxxxx and trusts); provided, however, that the Company shall provide such financial planning services during any taxable year of the Executive only to the extent the cost to the Company for such taxable year does not exceed $25,000. The Company shall provide such financial planning services through a financial planner selected by the Company, and shall pay the fees for such financial planning services. The financial planning services provided during any taxable year of the Executive shall not affect the financial planning services provided in any other taxable year of the Executive. The Executive’s right to financial planning services shall not be subject to liquidation or exchange for any other benefit. Such financial planning services shall be provided in a manner that complies with Treasury Regulation Section 1.409A-3(i)(1)(iv).

  • Call Center Services Answer telephone inquiries during mutually agreed upon hours each day on which the Fund is open for trading. In the event that the Fund plans to be open on a business day when the New York Stock Exchange is to be closed, the Fund shall provide the Transfer Agent with reasonable advance notice and the parties shall discuss the call center resources available for such day. The Transfer Agent shall answer and respond to inquiries from existing Shareholders, prospective Shareholders of the Fund and broker-dealers on behalf of such Shareholders in accordance with the instructions provided by the Fund to the Transfer Agent for purpose of fulfilling its duties under this Agreement, including, accepting transaction requests on behalf of the Fund.

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