Defence Trade Controls Sample Clauses

Defence Trade Controls. If the Project involves the use of any ‘DSGL technology’ (as defined in the Defence Trade Controls Act 2012 (Cth)), the Research Organisation: is responsible for ensuring compliance with the Defence Trade Controls Act 2012 (Cth) and related export control laws and regulations, including by obtaining any necessary permits or approvals relating to the supply or publishing of DSGL technology in connection with the Project; and must ensure that any DSGL technology made available to GRDC in connection with the Project is clearly identified as such, and that any restrictions on the use or disclosure by GRDC of that technology under the Defence Trade Controls Act 2012 (Cth) are disclosed to GRDC in writing. The Research Organisation is responsible for ensuring compliance with any applicable laws and regulations relating to the import or export of goods, and to cross-border transfers of information, by the Research Organisation in connection with the Project, including any relevant requirements concerning tariffs, duties, clearances, treatments, chemical registrations and quarantine. GRDC is an ‘agency’ for the purposes of the Privacy Act 1988 (Cth) (Privacy Act) and is required to comply with the Australian Privacy Principles (APPs) set out in Schedule 1 of that Act. GRDC’s privacy policy is available at: xxxxx://xxxx.xxx.xx/About-Us/Policies/Legal/Privacy/Privacy-Policy. The following clauses apply to the Research Organisation if it is a ‘contracted service provider’ as defined in the Privacy Act: the Research Organisation must not do an act, or engage in a practice, in connection with undertaking this Contract, that would breach an APP if done or engaged in by GRDC as an ‘agency’; the Research Organisation must not authorise its sub-contractors (if any) to do an act, or engage in a practice in connection with undertaking a sub-contract under this Contract, that would breach an APP if done or engaged in by GRDC as an ‘agency’; and as soon as reasonably practicable and in any event within three business days after becoming aware, the Research Organisation must notify GRDC of any breach of any of the obligations on the Research Organisation or its sub-contractors under this clause 14.6. Nothing in this Contract should be taken as authorising the Research Organisation to do or engage in an act or practice that is prohibited under clause 14.6(b).
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Defence Trade Controls. If the Project involves the use of any ‘DSGL technology’ (as defined in the Defence Trade Controls Act 2012 (Cth)), then: (a) unless otherwise agreed in writing by the Parties, the Lead Research Organisation is responsible for ensuring compliance with the Defence Trade Controls Act 2012 (Cth) and related export control laws and regulations, including by obtaining any necessary permits or approvals relating to the supply or publishing of DSGL technology in connection with the Project; and (b) each Research Organisation must ensure that any DSGL technology made available to GRDC in connection with the Project is clearly identified as such, and that any restrictions on the use or disclosure by GRDC of that technology under the Defence Trade Controls Act 2012 (Cth) are disclosed to GRDC in writing.
Defence Trade Controls. ‌ (a) is responsible for ensuring compliance with the Defence Trade Controls Act and related export control laws and regulations, including by obtaining any necessary permits or approvals relating to the supply or publishing of DSGL technology in connection with the activities; and (b) must ensure that any DSGL technology made available to another Party in connection with the activities is clearly identified as such, and that any restrictions on the use or disclosure by the other Party of that technology under the Defence Trade Controls Act are disclosed to the other Party in writing.
Defence Trade Controls. If the LEIFS Project involves the use of any ‘DSGL technology’ (as defined in the Defence Trade Controls Act 2012 (Cth)), the Delivery Partner: (a) is responsible for ensuring compliance with the Defence Trade Controls Act 2012 (Cth) and related export control laws and regulations, including by obtaining any necessary permits or approvals relating to the supply or publishing of DSGL technology in connection with the LEIFS Project; and (b) must ensure that any DSGL technology made available to GRDC in connection with the LEIFS Project is clearly identified as such, and that any restrictions on the use or disclosure by GRDC of that technology under the Defence Trade Controls Act 2012 (Cth) are disclosed to GRDC in writing.

Related to Defence Trade Controls

  • Trade Controls DXC and Supplier will comply with all applicable export, import and trade-related laws and regulations of the United States and other nations. To this effect, Supplier warrants that: (i) if necessary and upon DXC’s request, it will provide DXC with technical specifications concerning commodities, software, technology or services covered by this agreement sufficient for DXC to determine the appropriate export and import classification of such items under applicable regulations; (ii) to the best of the Supplier’s knowledge, the Supplier is not listed on any U.S. Government international trade sanctions lists and that Supplier will give immediate notice to DXC in the event that it is so listed; and

  • Export Controls Both Parties will adhere to all applicable laws, regulations and rules relating to the export of technical data and will not export or re-export any technical data, any products received from the other Party or the direct product of such technical data to any proscribed country listed in such applicable laws, regulations and rules unless properly authorized.

  • Safeguards Monitoring and Reporting The Borrower shall do the following or cause the Project Executing Agency to do the following:

  • Trade Compliance Each Party shall comply with all applicable export control and economic sanctions laws and regulations, in the performance of this Purchase Order, including the use and transfer of any Products or Services subject to this Purchase Order.

  • Fraud, Waste, and Abuse Contractor understands that HHS does not tolerate any type of fraud, waste, or abuse. Violations of law, agency policies, or standards of ethical conduct will be investigated, and appropriate actions will be taken. Pursuant to Texas Government Code, Section 321.022, if the administrative head of a department or entity that is subject to audit by the state auditor has reasonable cause to believe that money received from the state by the department or entity or by a client or contractor of the department or entity may have been lost, misappropriated, or misused, or that other fraudulent or unlawful conduct has occurred in relation to the operation of the department or entity, the administrative head shall report the reason and basis for the belief to the Texas State Auditor’s Office (SAO). All employees or contractors who have reasonable cause to believe that fraud, waste, or abuse has occurred (including misconduct by any HHS employee, Grantee officer, agent, employee, or subcontractor that would constitute fraud, waste, or abuse) are required to immediately report the questioned activity to the Health and Human Services Commission's Office of Inspector General. Contractor agrees to comply with all applicable laws, rules, regulations, and System Agency policies regarding fraud, waste, and abuse including, but not limited to, HHS Circular C-027. A report to the SAO must be made through one of the following avenues: ● SAO Toll Free Hotline: 1-800-TX-AUDIT ● SAO website: xxxx://xxx.xxxxx.xxxxx.xx.xx/ All reports made to the OIG must be made through one of the following avenues: ● OIG Toll Free Hotline 0-000-000-0000 ● OIG Website: XxxxxxXxxxxXxxxx.xxx ● Internal Affairs Email: XxxxxxxxXxxxxxxXxxxxxxx@xxxx.xxxxx.xx.xx ● OIG Hotline Email: XXXXxxxxXxxxxxx@xxxx.xxxxx.xx.xx. ● OIG Mailing Address: Office of Inspector General Attn: Fraud Hotline MC 1300 P.O. Box 85200 Austin, Texas 78708-5200

  • Financial Controls At all times, the Charter School shall maintain appropriate governance and managerial procedures and financial controls which procedures and controls shall include, but not be limited to: (1) commonly accepted accounting practices and the capacity to implement them (2) a checking account; (3) adequate payroll procedures; (4) procedures for the creation and review of monthly and quarterly financial reports, which procedures shall specifically identify the individual who will be responsible for preparing such financial reports in the following fiscal year; (5) internal control procedures for cash receipts, cash disbursements and purchases; and (6) maintenance of asset registers and financial procedures for grants in accordance with applicable state and federal law.

  • National Environmental Policy Act All subrecipients must comply with the requirements of the National Environmental Policy Act (NEPA) 42 U.S.C. 4321 et seq., and the Council on Environmental Quality (CEQ) Regulations (40 C.F.R. Parts 1500-1508) for Implementing the Procedural Provisions of NEPA, which requires Subrecipients to use all practicable means within their authority, and consistent with other essential considerations of national policy, to create and maintain conditions under which people and nature can exist in productive harmony and fulfill the social, economic, and other needs of present and future generations of Americans.

  • Global Trade compliance Products and services provided under these terms are for Customer’s internal use and not for further commercialization. If Customer exports, imports or otherwise transfers products and/or deliverables provided under these terms, Customer will be responsible for complying with applicable laws and regulations and for obtaining any required export or import authorizations. HP may suspend its performance under this Agreement to the extent required by laws applicable to either party.

  • Monitoring and Reporting The Programme Operator shall monitor, record and report on progress towards the programme’s outcomes in accordance with the provisions contained in the legal framework. The Programme Operator shall ensure that suitable and sufficient monitoring and reporting arrangements are made with the project promoters in order to enable the Programme Operator and the National Focal Point to meet its obligations to the Donors. When reporting on progress achieved in Annual and Final Programme Reports, the Programme Operator shall disaggregate results achieved as appropriate and in accordance with instructions received from the FMO.

  • Inspection and Reporting Each Grantor shall permit the Collateral Agent, or any agent or representatives thereof or such professionals or other Persons as the Collateral Agent may designate, not more than once a year in the absence of an Event of Default, (i) to examine and make copies of and abstracts from such Grantor's records and books of account, (ii) to visit and inspect its properties, (iii) to verify materials, leases, Instruments, Accounts, Inventory and other assets of such Grantor from time to time, (iii) to conduct audits, physical counts, appraisals and/or valuations, examinations at the locations of such Grantor. Each Grantor shall also permit the Collateral Agent, or any agent or representatives thereof or such professionals or other Persons as the Collateral Agent may designate to discuss such Grantor's affairs, finances and accounts with any of its officers subject to the execution by the Collateral Agent or its designee(s) of a mutually agreeable confidentiality agreement.

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