Compliance with Applicable Policies Sample Clauses

Compliance with Applicable Policies. (i) The Physician-in-Training agrees that the performance of any Moonlighting at the Medical Center or elsewhere must be in compliance with the Medical Center’s Policy on Moonlighting and Other Outside Professional Activities, incorporated herein as Attachment “K.” (ii) Specific billing restrictions apply to Moonlighting performed at the Medical Center and/or any of its affiliated institutions. The Physician-in-Training specifically agrees to abide by the billing provisions in Attachment “K.” (iii) The Physician-in-Training hereby agrees that the performance of any Moonlighting at the Medical Center shall also be in accordance with the highest level of professional and ethical practices existing in Los Angeles County, California, and in compliance with the Bylaws, Policies, Procedures, Rules and Regulations of the Medical Center, its Medical Staff and the Physician-in-Training’s Department and/or Division (as from time to time in effect), and subject to all applicable federal, state and local laws, regulations, ordinances, orders and applicable professional standards and accrediting agency recommendations. In addition, the Physician-in-Training hereby acknowledges that any Moonlighting at the Medical Center is expressly made subject to full compliance with California medical licensure requirements.
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Compliance with Applicable Policies. The performance by Dentist of the services described in this Section 3 will be subject to such policies, procedures, rules and regulations as First Dental may establish from time to time.
Compliance with Applicable Policies. (a) During the term of this Agreement, neither the Manager nor any of its subsidiaries, employees or agents shall unlawfully discriminate against any employee or applicant for employment because of race, religion, color, national origin, ancestry, physical handicap, medical condition, marital status, age (over 40) or sex. The Manager and its subsidiaries, employees and agents shall assure that the evaluation and treatment of their employees and applicants for employment are free of such discrimination. In connection with Company activities, the Manager and its subsidiaries, employees and agents shall comply with the provisions of the California Fair Employment and Housing Act (Section 12900 ET SEQ. of the California Government Code) and the applicable regulations promulgated thereunder (California Code of Regulations, Title 2, Division 4, Chapter 1, Section 7285.0 ET SEQ.). The applicable regulations of the Fair Employment and Housing Commission implementing Government Code Section 12990, set forth in Chapter 5 of Division 4 of Title 2 of the California Code of Regulations are incorporated herein by this reference and are made a part hereof as if set forth herein in full. In connection with Company activities, the Manager and its subsidiaries, employees and agents shall give written notice of their obligations under this clause to labor organizations with which they have a collective bargaining or other agreement. The Manager shall include the foregoing nondiscrimination compliance provisions in all written contracts to perform work or provide services under or pursuant to this Agreement. During the term of this Agreement, the Manager, its subsidiaries, employees and agents shall conduct their respective activities in connection with Company activities in accordance with Title VI of the Civil Rights Act of 1964 and the rules and regulations promulgated thereunder. (b) The Manager hereby certifies, and shall at CalPERS' request certify annually, that no more than one, final, unappealable finding of contempt of court by a federal court has been issued against it within any preceding two-year period because of the Manager's failure to comply with an order of a federal court which orders the Manager to comply with an order of the National Labor Relations Board. Such certification shall be given under penalty of perjury. (c) The Manager hereby certifies, and shall at CalPERS' request certify annually, that the Manager has, unless exempted, complied with the non...
Compliance with Applicable Policies. VSC is solely responsible for ensuring that its activities at the Center, and use of the pool facilities by its participants and personnel, are in compliance with all applicable USA Swimming policies, including but not limited to MAAPP, as well as the applicable policies of any other governing agency or entity.
Compliance with Applicable Policies. 71 Section 12.17 Fair Political Practices Laws.........................................................71 Section 12.18
Compliance with Applicable Policies. (a) During the term of this Agreement, neither the Manager nor any of its subsidiaries, employees or agents shall unlawfully discriminate against any employee or applicant for employment because of race, religion, color, national origin, ancestry, physical handicap, medical condition, marital status, age (over 40) or sex. The Manager and its subsidiaries, employees and agent shall assure that the evaluation and treatment of their employees and applicants for employment are free of such discrimination. In connection with Company activities, the Manager and its subsidiaries, employees and agents shall give written notice of their obligations under this clause to labor organizations with which they have a collective bargaining or other agreement. The Manager shall include the foregoing nondiscrimination compliance provisions in all written contracts to perform work or provide services under or pursuant to this Agreement. During the term of this Agreement, the Manager, its subsidiaries, employees and agents shall conduct their respective activities in connection with the Company activities in accordance with Title VI of the Civil Rights Act of 1964 and the rules and regulations promulgated thereunder. (b) The Manager hereby certifies, and shall at the AEW Member's request certify annually, that no more than one, final, unappealable finding of contempt of court by a federal court has been issued against it within any preceding two-year period because of the Manager's failure to comply with an order of a federal court which order the Manager to comply with an order of the National Labor Relations Board. Such certificate shall be given under penalty of perjury.
Compliance with Applicable Policies. 57 Section 7.12. Manager Personnel. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .58 Section 7.13. Fair Political Practices Laws. . . . . . . . . . . . . . . . . . . . . . . . .58 Section 7.14.
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Compliance with Applicable Policies. 17 Section 5.10 Advisor Personnel.............................................18
Compliance with Applicable Policies. (a) Supplier will comply with each of the Applicable Policies in providing Services under the relevant Statement of Work. (b) Supplier is not bound by any variation to or replacement of any Applicable Policies, and will not be held in breach of this clause 10.2 should it fail to comply with a varied Applicable Policy or replacement of an Applicable Policy, unless it is provided with reasonable prior written of the variation or replacement that specifies the variation or replacement and the date on which it takes effect. (c) Notwithstanding paragraph (b), Supplier is not obliged to comply with a varied or replacement Applicable Policy to the extent that compliance will, in Supplier's reasonable opinion: (i) reduce the security of the Product; (ii) amount to a breach by it of its obligations and duties to third parties; and/or (iii) incur additional costs of compliance.

Related to Compliance with Applicable Policies

  • Compliance with Applicable Requirements In carrying out its obligations under this Agreement, the Sub-Adviser shall at all times comply with: (a) all applicable provisions of the 1940 Act, and any rules and regulations adopted thereunder; (b) the provisions of the registration statement of the Trust, as it may be amended or supplemented from time to time, under the Securities Act and the 1940 Act; (c) the provisions of the Declaration of Trust of the Trust, as it may be amended or supplemented from time to time; (d) the provisions of any By-laws of the Trust, if adopted and as it may be amended from time to time, or resolutions of the Board as may be adopted from time to time; (e) the provisions of the Internal Revenue Code of 1986, as amended, applicable to the Trust or the Funds; (f) any other applicable provisions of state or federal law; and In addition, any code of ethics adopted by the Sub-Adviser must comply with Rule 17j-1 under the 1940 Act, as it may be amended from time to time, and any broadly accepted industry practices, if requested by the Trust or the Adviser.

  • Compliance with Applicable Regulations In performing its duties hereunder, the Subadviser (i) shall establish compliance procedures (copies of which shall be provided to the Adviser, and shall be subject to review and approval by the Adviser) reasonably calculated to ensure compliance at all times with: all applicable provisions of the 1940 Act and the Advisers Act, and any rules and regulations adopted thereunder; Subchapter M of the Internal Revenue Code of 1986, as amended; the provisions of the Registration Statement; the provisions of the Declaration and the By-Laws of the Trust, as the same may be amended from time to time; and any other applicable provisions of state, federal or foreign law. (ii) acknowledges that the Trust has adopted a written code of ethics complying with the requirements of Rule 17j-1 under the 1940 Act and that the Subadviser and certain of its employees, officers and directors may be subject to reporting requirements thereunder and, accordingly, agrees that it shall, on a timely basis, furnish, and shall cause its employees, officers and directors to furnish, to the Adviser and/or to the Trust, all reports and information required to be provided under such code of ethics with respect to such persons. (iii) agrees that it will maintain for the Trust all and only such records as required under Rules 31a-1 and 31a-2 under the 1940 Act in respect to its services hereunder and that such records are the property of the Trust and further agrees to surrender promptly to the Trust any such records upon the Trust’s request all in accordance with Rule 31a-3 under the 1940 Act.

  • Compliance with ADA The Company and its subsidiaries and each Real Property are currently in compliance with all presently applicable provisions of the Americans with Disabilities Act, as amended, except for any such non-compliance that would not, individually or in aggregate, reasonably be expected to have a Material Adverse Effect.

  • Compliance with Policies Each Individual Limited Partner hereby agrees that he shall comply with all policies and procedures adopted by any member of the Och-Ziff Group or which Limited Partners are required to observe by law, or by any recognized stock exchange, or other regulatory body or authority.

  • Compliance with FCPA Each of the Credit Parties and their Subsidiaries is in compliance with the Foreign Corrupt Practices Act, 15 U.S.C. §§ 78dd-1, et seq., and any foreign counterpart thereto. None of the Credit Parties or their Subsidiaries has made a payment, offering, or promise to pay, or authorized the payment of, money or anything of value (a) in order to assist in obtaining or retaining business for or with, or directing business to, any foreign official, foreign political party, party official or candidate for foreign political office, (b) to a foreign official, foreign political party or party official or any candidate for foreign political office, and (c) with the intent to induce the recipient to misuse his or her official position to direct business wrongfully to such Credit Party or its Subsidiary or to any other Person, in violation of the Foreign Corrupt Practices Act, 15 U.S.C. §§ 78dd-1, et seq.

  • Compliance with Applicable Laws Any and all requirements of any federal, state or local law including, without limitation, usury, truth-in-lending, real estate settlement procedures, consumer credit protection, equal credit opportunity, disclosure and all predatory and abusive lending laws applicable to the Mortgage Loan, including, without limitation, any provisions relating to prepayment penalties, have been complied with, the consummation of the transactions contemplated hereby will not involve the violation of any such laws or regulations, and the Seller shall maintain in its possession, available for the Purchaser's inspection, and shall deliver to the Purchaser upon demand, evidence of compliance with all such requirements;

  • Compliance with Applicable Law Except as set forth on BHLB Disclosure Schedule 5.11: 5.11.1 To BHLB’s Knowledge, BHLB and each BHLB Subsidiary is in compliance in all material respects with all applicable federal, state, local and foreign statutes, laws, regulations, ordinances, rules, judgments, orders or decrees applicable to it, its properties, assets and deposits, its business, its conduct of business and its relationship with its employees, including, without limitation, the Uniting and Strengthening America by Providing Appropriate Tools Required to Intercept and Obstruct Terrorism Act of 2001, the Equal Credit Opportunity Act, the Truth in Lending Act, the Real Estate Settlement Procedures Act, the Consumer Credit Protection Act, the Fair Credit Reporting Act, the Fair Debt Collections Act, the Fair Housing Act, the CRA, the Home Mortgage Disclosure Act, and all other applicable fair lending laws and other laws relating to discriminatory business practices, and neither BHLB nor any BHLB Subsidiary has received any written notice to the contrary. 5.11.2 BHLB and each BHLB Subsidiary has all material permits, licenses, authorizations, orders and approvals of, and has made all filings, applications and registrations with, all Governmental Entities and Bank Regulators that are required in order to permit it to own or lease its properties and to conduct its business as presently conducted; all such permits, licenses, certificates of authority, orders and approvals are in full force and effect and, to the Knowledge of BHLB, no suspension or cancellation of any such permit, license, certificate, order or approval is threatened or will result from the consummation of the transactions contemplated by this Agreement, subject to obtaining the approvals set forth in Section 8.3. 5.11.3 For the period beginning January 1, 2007, neither BHLB nor any BHLB Subsidiary has received any written notification or any other communication from any Bank Regulator or Insurance Regulator (i) asserting that BHLB or any BHLB Subsidiary is not in material compliance with any of the statutes, regulations or ordinances which such Bank Regulator or Insurance Regulator enforces; (ii) threatening to revoke any license, franchise, permit or governmental authorization; (iii) requiring or threatening to require BHLB or any BHLB Subsidiary, or indicating that BHLB or any BHLB Subsidiary may be required, to enter into a cease and desist order, agreement or memorandum of understanding or any other agreement with any federal or state governmental agency or authority which is charged with the supervision or regulation of banks, savings and loan holding companies or insurance agencies, or engages in the insurance of bank deposits, restricting or limiting, or purporting to restrict or limit the operations of BHLB or any BHLB Subsidiary, including without limitation any restriction on the payment of dividends; or (iv) directing, restricting or limiting, or purporting to direct, restrict or limit the operations of BHLB or any BHLB Subsidiary. Neither BHLB nor any BHLB Subsidiary has consented to or entered into any Regulatory Agreement that is currently in effect. The most recent regulatory rating given to Berkshire Bank as to compliance with the CRA is “Satisfactory” or better.

  • Compliance with Local Laws All parties shall comply with all applicable laws, ordinances, codes and regulations of the State of Kansas and local governments.

  • Compliance with OFAC None of the Company and its Subsidiaries or, to the Company’s knowledge, any director, officer, agent, employee or affiliate of the Company and its Subsidiaries or any other person acting on behalf of the Company and its Subsidiaries, is currently subject to any U.S. sanctions administered by the Office of Foreign Assets Control of the U.S. Department of the Treasury (“OFAC”), and the Company will not, directly or indirectly, use the proceeds of the Offering hereunder, or lend, contribute or otherwise make available such proceeds to any subsidiary, joint venture partner or other person or entity, for the purpose of financing the activities of any person currently subject to any U.S. sanctions administered by OFAC.

  • Compliance with Agreements Promptly and fully comply with all Contractual Obligations to which any one or more of them is a party, except for any such Contractual Obligations (a) the nonperformance of which would not cause a Default or Event of Default, (b) then being contested by any of them in good faith by appropriate proceedings, or (c) if the failure to comply therewith could not reasonably be expected to have a Material Adverse Effect.

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