COMPLIANCE WITH FIRE REGULATIONS Sample Clauses

COMPLIANCE WITH FIRE REGULATIONS. The hirer shall comply with all directions given by any competent authority including the Chief Officer of the Fire Brigade and any person holding a like appointment in any way relating to the conduct of the venue and shall comply with all rules, regulations and directions with regard to fire precautions.
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COMPLIANCE WITH FIRE REGULATIONS. The Lessee will comply with insurance, sprinkler and fire alarm regulations in respect of any partitions which may be erected by or on behalf of the Lessee upon the Demised Premises and the Lessee will pay to the Lessor the cost of any alteration to the sprinkler and/or fire alarm installation which may become necessary by reason of the non-compliance by the Lessee with such regulations or the requirements of the insurer or the Insurance Council of Australia.
COMPLIANCE WITH FIRE REGULATIONS. The Tenant must comply with all insurance, sprinkler and security and fire alarm regulations concerning the Tenant's Fixtures.
COMPLIANCE WITH FIRE REGULATIONS. The Tenant must:- (a) comply with insurance, sprinkler or fire alarm regulations in respect of any partitions which may be erected by or on behalf of the Tenant in the Premises; and (b) not interfere with the Essential Services Equipment and in particular must not prop open fire doors or leave or store goods or equipment in fire stairs or exits or in passage ways leading to fire stairs or exits. (c) Not interfere or modify any fire sprinkler on the premises (d) Allow the Landlord and its designated suppliers or representatives to test and maintain the fire sprinkler on the Premises as may be necessary and for this purpose allow access to the Landlord and its suppliers and representatives as may be requested.
COMPLIANCE WITH FIRE REGULATIONS. The Tenant must: (a) comply with insurance, sprinkler or fire alarm regulations and any guidelines issued by the Insurance Council of Australia in respect of the Tenant’s particular use and in respect of any partitions, racking or other plant and equipment which may be erected by or brought onto the Premises by or on behalf of the Tenant; and (b) pay to the Landlord on demand the Cost of any alteration to any Services, sprinkler or fire prevention equipment and installations (including alarms) which may become necessary by reason of those regulations or any alterations required as a result of clause 11.4(a).
COMPLIANCE WITH FIRE REGULATIONS. Licensee shall not do anything or permit anything to be done in the Premises, or bring or keep anything therein which might increase the rate of the fire insurance on the Building or on the property kept therein or which might conflict with any statutes, ordinances, or regulations or any public authority, including the United States of America, the State of Georgia, the City of Atlanta, and any Department, Board, or Authority thereof, or which might conflict with the terms of any fire, liability, casualty or other insurance policy on the Building or any part thereof. Any use of fireworks or combustibles must be cleared with GIT and the Fire Marshal.

Related to COMPLIANCE WITH FIRE REGULATIONS

  • Compliance with Regulations The contractor (hereinafter includes consultants) will comply with the Acts and the Regulations relative to Non-discrimination in Federally-assisted programs of the U.S. Department of Transportation, Federal Highway Administration, as they may be amended from time to time, which are herein incorporated by reference and made a part of this contract.

  • 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 Rules and Regulations PFPC undertakes to comply with all applicable requirements of the Securities Laws and any laws, rules and regulations of governmental authorities having jurisdiction with respect to the duties to be performed by PFPC hereunder. Except as specifically set forth herein, PFPC assumes no responsibility for such compliance by the Fund or any other entity.

  • Compliance with OFAC Rules and Regulations None of the Credit Parties or their Subsidiaries or their respective Affiliates (a) is a Sanctioned Person, (b) has more than 15% of its assets in Sanctioned Countries, or (c) derives more than 15% of its operating income from investments in, or transactions with Sanctioned Persons or Sanctioned Countries. No part of the proceeds of any Extension of Credit hereunder will be used directly or indirectly to fund any operations in, finance any investments or activities in or make any payments to, a Sanctioned Person or a Sanctioned Country.

  • 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 Rules To comply with, and to require the Contractors to comply with, all rules, regulations, ordinances and laws bearing on the conduct of the work on the Improvements, including the requirements of any insurer issuing coverage on the Project and the requirements of any applicable supervising boards of fire underwriters.

  • Compliance with Statutes Rules and Regulations

  • COMPLIANCE WITH SEC RULES If, at any time during which AVIF is serving as an investment medium for variable life insurance Contracts, 1940 Act Rules 6e-3(T) or, if applicable, 6e-2 are amended or Rule 6e-3 is adopted to provide exemptive relief with respect to Mixed and Shared Funding, AVIF agrees that it will comply with the terms and conditions thereof and that the terms of this Section 5 shall be deemed modified if and only to the extent required in order also to comply with the terms and conditions of such exemptive relief that is afforded by any of said rules that are applicable.

  • 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 Warning Regulations The Parties agree that Xxxxx shall be deemed to be in compliance with this Settlement Agreement by either adhering to §§ 2.3 and 2.4 of this Settlement Agreement or by complying with warning requirements adopted by the State of California’s Office of Environmental Health Hazard Assessment (“OEHHA”) after the Effective Date.

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