Compliance and Notification Sample Clauses

Compliance and Notification. 4.1 The Holder acknowledges that the reports, which it is obliged to furnish to the MME (which is provided for in the notice from the office of the Mining Commissioner under section 48(4) of the Act) will include an Environmental Report. 4.2 The Holder acknowledges that officials from the MME and/or the MEFT may at any time conduct a compliance and/or performance inspection of its operations. 4.3 The Holder will keep records of its environmental performance and make these available to the officials referred to in 4.2.
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Compliance and Notification. The Sub-Adviser shall, at its expense, (i) comply with all federal and state securities and other laws as necessary to perform the Services, and shall provide the Adviser with written assurances of such compliance upon request, (ii) maintain on a current basis all required filings under applicable federal and state laws, and (iii) adhere to industry-standard written information security plans and measures. The Sub-Adviser shall promptly notify the Adviser of (x) any material changes in its personnel, financial condition, ownership or operations, or (y) any investigations of, or actions taken against the Sub-Adviser or any of its employees by any state or federal regulatory agency or law enforcement, which is likely to impair or adversely affect the Sub-Adviser’s ability to fulfill its commitment under this Agreement. The Sub-Adviser shall notify the Adviser in the event that there is any change of control or ownership of the Sub-Adviser that would constitute an assignment of an investment advisory contract for purposes of Section 15(a) of the Investment Company Act, in each such case prior to such change if the Sub-Adviser is aware of such change, but in any event, not later than promptly after such change.
Compliance and Notification i. Provider represents and warrants that it shall at all times while providing Services hereunder possess all licenses, permits and other legal prerequisites necessary to perform the Services, as required by the states and/or localities in which Provider operates. One Call will periodically request updated credentials or evidence of such compliance, however, Provider is nevertheless required to comply with all legal requirements at all times, and shall submit to One Call current copies of such licenses, permits, etc. as they are renewed. One Call shall, upon request, be entitled to validate such licenses and permits from time to time. Failure to maintain current licenses, permits or other legal prerequisites, or failure to comply with any other provision of this paragraph, shall constitute a material breach of this Agreement and will result in Provider being ineligible to receive Referrals and permits One Call, in its sole discretion, to remove and/or replace Provider from any Referrals in connection with which Provider is currently rendering Services. ii. Provider shall perform the Services in accordance with all laws, rules and regulations, and in accordance with the Referral’s parameters and other Client specifications. Provider shall perform the Services in compliance with the licensing authorities to which they are subject. iii. During the Term, Provider shall notify One Call in writing of any complaint, inquiry, investigation, review, claim, suit, criminal or administrative proceeding, or professional disciplinary action taken against Provider with or by any licensing or regulatory authority, including (without limitation) the suspension or revocation of any license. This notification shall be provided no later than five (5) days after Provider becomes aware of the action taken. iv. Failure to comply with this Compliance and Notification Section including specifically, but without limitation, loss of or lapse in applicable licensure, may result in delayed, partial or no payment for Services rendered during the period of non-compliance in addition to any other rights One Call may have pursuant to law or this Agreement.
Compliance and Notification. 15.13.1 If any provision of this Agreement shall be in deviation of, inconsistent with or repugnant to the provisions contained in the Electricity Act, 2003, Regulations, Rules & Codes. such provision shall be deemed to be amended to the extent required to bring it into compliance with the relevant provisions of the Electricity Act, 2003 as amended from time to time.
Compliance and Notification. 4.1 The Holder acknowledges that the reports, which it is obliged to furnish to the MME (which is provided for in the notice from the office of the Mining Commissioner under section 48(4) of the Act) will include an Environmental Report. 4.2 The Holder acknowledges that officials from the MME and/or the MET may at any time conduct a compliance and/or performance inspection of its operations. 4.3 The Holder will keep records of its environmental performance and make these available to the officials referred to in 4.2. SIGNED AT on this …….day of ………………………….20….. For the Holder: ………………………………………………. (duly authorised thereto) For the Government of Namibia: ……………………………………………... X. Xxxxxxxx Permanent Secretary
Compliance and Notification. Beowulf E&D shall comply with terms and conditions of the said policies of insurance and all reasonable requirements of Terawulf or the insurers in connection with the settlement of claims, the recovery of losses and the prevention of accidents. Beowulf E&D agree to advise Terawulf as soon as practicable in writing of any notice of claim to which insurance pursuant to this Section 13 applies. Any payments by the insurers under the policies referred to in Section 13e shall, unless directed to the contrary by Terawulf, be made in the first instance to Terawulf. Terawulf reserves the right (i) to immediately step in and assume full control at any time of any claim settlements and/or (ii) to directly make claims for loss or damage to the insurers. The proceeds of claims payments made to Terawulf as a result of the application of this sub-section shall be used to repair, reinstate, or replace the subject matter to which the claim payment refers. Terawulf shall use best efforts to process any claim expeditiously and assert to the fullest extent the joint insured rights under the policy in question.
Compliance and Notification. Both Parties shall comply with terms and conditions of the said policies of insurance and all reasonable requirements of the other Party or the insurers in connection with the settlement of claims, the recovery of losses and the prevention of accidents.
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Compliance and Notification. The Sub-Advisor shall, at its expense, (i) comply with all federal and state securities and other laws as necessary to perform the Services, and shall provide the Advisor with written assurances of such compliance upon request, (ii) maintain on a current basis all required filings under applicable federal and state laws, and (iii) adhere to industry-standard written information security plans and measures. The Sub-Advisor shall promptly notify the Advisor of (x) any material changes in its personnel, financial condition, ownership or operations, or (y) any investigations of, or actions taken against the Sub-Advisor or any of its employees by any state or federal regulatory agency or law enforcement, which is likely to impair or adversely affect the Sub-Advisor’s ability to fulfill its commitment under this Agreement.
Compliance and Notification. Aeris will comply with all applicable data protection laws and will promptly notify the Customer of any data requests, complaints or breaches. Aeris will assist the Customer in addressing such issues without charge.

Related to Compliance and Notification

  • COMPLIANCE AND CERTIFICATION 25.1 Each Party shall comply at its own expense with all Applicable Laws that relate to that Party’s obligations to the other Party under this Agreement. Nothing in this Agreement shall be construed as requiring or permitting either Party to contravene any mandatory requirement of Applicable Law. 25.2 Each Party warrants that it has obtained all necessary state certification required in each state covered by this Agreement prior to ordering any Interconnection, Resale Services, Network Elements, functions, facilities, products and services from the other Party pursuant to this Agreement. Upon request, each Party shall provide proof of certification. 25.3 Each Party shall be responsible for obtaining and keeping in effect all approvals from, and rights granted by, Governmental Authorities, building and property owners, other carriers, and any other Third Parties that may be required in connection with the performance of its obligations under this Agreement. 25.4 Each Party represents and warrants that any equipment, facilities or services provided to the other Party under this Agreement comply with the CALEA.

  • Compliance Services (a) If Schedule I contains a requirement for the BNY to provide the Fund with compliance services, such services shall be provided pursuant to the terms of this Section 6 (the “Compliance Services”). The precise compliance review and testing services to be provided shall be as mutually agreed between the BNY and each Fund, and the results of the BNY’s Compliance Services shall be detailed in a compliance summary report (the “Compliance Summary Report”) prepared on a periodic basis as mutually agreed. Each Compliance Summary Report shall be subject to review and approval by the Fund. The BNY shall have no responsibility or obligation to provide Compliance Services other that those services specifically listed in Schedule I. (b) The Fund will examine each Compliance Summary Report delivered to it by the BNY and notify the BNY of any error, omission or discrepancy within ten (10) days of its receipt. The Fund agrees to notify the BNY promptly if it fails to receive any such Compliance Summary Report. The Fund further acknowledges that unless it notifies the BNY of any error, omission or discrepancy within 10 days, such Compliance Summary Report shall be deemed to be correct and conclusive in all respects. In addition, if the Fund learns of any out-of-compliance condition before receiving a Compliance Summary Report reflecting such condition, the Fund will notify the BNY of such condition within one business day after discovery thereof. (c) While the BNY will endeavor to identify out-of-compliance conditions, the BNY does not and could not for the fees charged, make any guarantees, representations or warranties with respect to its ability to identify all such conditions. In the event of any errors or omissions in the performance of Compliance Services, the Fund’s sole and exclusive remedy and the BNY’s sole liability shall be limited to re-performance by the BNY of the Compliance Services affected and in connection therewith the correction of any error or omission, if practicable and the preparation of a corrected report, at no cost to the Fund.

  • Compliance with Accessibility Standards All parties to this Agreement shall ensure that the plans for and the construction of all projects subject to this Agreement are in compliance with standards issued or approved by the Texas Department of Licensing and Regulation (TDLR) as meeting or consistent with minimum accessibility requirements of the Americans with Disabilities Act (P.L. 101-336) (ADA).

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