Develop and Implement a Risk Management Plan Sample Clauses

Develop and Implement a Risk Management Plan. 1. The FMCNA Covered Entities shall develop a written risk management plan or plans sufficient to address and mitigate any security risks and vulnerabilities identified in the Risk Analysis described in section V.A above (“Risk Management Plan”). The Risk Management Plan shall include a process and timeline for the FMCNA Covered Entities’ implementation, evaluation, and revision of their risk remediation activities. 2. Within ninety (90) days of HHS’ final approval of the Risk Analysis described in section V.A above, the FMCNA Covered Entities shall submit their Risk Management Plan to HHS for HHS’ review. Within sixty (60) days of its receipt of the Risk Management Plan, HHS will inform FMCNA Contact in writing as to whether HHS approves of the Risk Management Plan or, if necessary to ensure compliance with 45 C.F.R. § 164.308(a)(1)(ii)(B), requires revisions to the Risk Management Plan. If HHS requires revisions to the Risk Management Plan, HHS shall provide FMCNA Contact with detailed comments and recommendations in order for the FMCNA Covered Entities to be able to prepare a revised Risk Management Plan. Upon receiving notice of required revisions to the Risk Management Plan from HHS and a description of any required changes to the Risk Management Plan, the FMCNA Covered Entities shall have sixty (60) days in which to revise their Risk Management Plan accordingly, and submit the revised Risk Management Plan to HHS for review and approval. This submission and review process shall continue until HHS approves the Risk Management Plan. 3. Within sixty (60) days of HHS’ approval of the Risk Management Plan, the FMCNA Covered Entities shall begin implementation of the Risk Management Plan and distribute the plan to workforce members involved with implementation of the plan.
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Develop and Implement a Risk Management Plan. 1. Advocate shall develop an enterprise-wide Risk Management Plan to address and mitigate any security risks and vulnerabilities found in the Risk Analysis described in section V.A. above. The Risk Management Plan shall include a process and timeline for Advocate's implementation, evaluation, and revision of its risk remediation activities. Advocate may submit a Risk Management Plan currently underway for consideration by HHS for compliance with this provision. 2. Within ninety (90) days of HHS' final approval of the Risk Analysis described in section V.A. above, the Contact Person shall submit Advocate's Risk Management Plan to HHS for HHS' review. Within sixty (60) days of its receipt of Advocate's Risk Management Plan, HHS will inform the Contact Person in writing as to whether HHS approves or disapproves of the Risk Management Plan. If HHS disapproves of the Risk Management Plan, HHS shall provide the Contact Person with detailed comments and recommendations in order for Advocate to be able to prepare a revised Risk Management Plan. Upon receiving a letter of disapproval of the Risk Management Plan from HHS and a description of any required changes to the Risk Management Plan, Advocate shall have sixty (60) days in which to revise its Risk Management Plan accordingly, and, through the Contact Person, submit the revised Risk Management Plan to HHS for review and approval. This submission and review process shall continue until HHS approves the Risk Management Plan; provided that at no point in the process may HHS' approval be unreasonably withheld. 3. Within sixty (60) days of HHS' approval of the Risk Management Plan, Advocate shall begin implementation of the Risk Management Plan and distribute the plan to workforce members involved with implementation of the plan.
Develop and Implement a Risk Management Plan. 1. Within ninety (90) calendar days of the completion of the Risk Analysis required in paragraph V.A. above, NYP shall develop an organization-wide risk management plan to address and mitigate any security risks and vulnerabilities found in its risk analysis. The plan shall include a process and timeline for implementation, evaluation, and revision. The plan shall be forwarded to HHS for its review consistent with paragraph B.2, below. 2. HHS shall review and recommend changes to the aforementioned risk management plan. Upon receiving HHS’ recommended changes, NYP shall have sixty (60) calendar days to provide a revised plan. NYP shall begin implementation of the plan and distribute to workforce members and affiliated staff involved with implementation of the plan within ninety (90) calendar days of HHS’ approval.
Develop and Implement a Risk Management Plan. 1. Within ninety (90) calendar days of completion of the risk analysis specified in Section V.A, CU shall develop an organization wide risk management plan to address and mitigate any security risks and vulnerabilities found in its risk analysis. The plan shall include a process and timeline for implementation, evaluation, and revision. The plan shall be forwarded to HHS for its review consistent with paragraph 2 below. 2. HHS shall review and recommend changes to the plan. Upon receiving HHS’ recommended changes, CU shall have sixty (60) calendar days to provide a revised plan. CU shall begin implementation of the plan and distribute to workforce members involved with implementation of the plan within ninety (90) calendar days of HHS’ approval.
Develop and Implement a Risk Management Plan. 1. Peachstate shall develop a risk management plan to address and mitigate any security threats and vulnerabilities identified in the risk analysis specified in paragraph V.A. 2. The risk management plan shall be forwarded to HHS for review and approval within 90 days of the Effective Date. HHS shall approve, or, if necessary, require revisions to Peachstate’s risk management plan. 3. Upon receiving HHS’s notice of required revisions, if any, Peachstate shall have 30 days to revise the risk management plan accordingly and forward to HHS for review and approval. This process shall continue until HHS approves the risk management plan. 4. Within 30 days of HHS’s approval of the risk management plan, Peachstate shall finalize and officially adopt the risk management plan in accordance with its applicable administrative procedures.
Develop and Implement a Risk Management Plan. 1. North Memorial shall develop an organization-wide risk management plan to address and mitigate any security risks and vulnerabilities identified in the risk analysis and, if necessary, revise its policies and procedures accordingly. The risk management plan and any revised policies and procedures shall be forwarded to HHS for its review and approval consistent with section V.C.2 of this CAP. 2. Within ninety (90) calendar days of the completion of the risk analysis required by section V.B.1 of this CAP, North Memorial shall forward the risk analysis and the risk management plan and any revised policies and procedures required by section V.C.1 of this CAP to HHS for its review and approval. HHS will inform North Memorial in writing as to whether HHS approves or disapproves of the proposed risk analysis, risk management plan, or any policies and procedures within a reasonable time. If HHS disapproves of them, HHS shall provide North Memorial with comments and required revisions within a reasonable time. Upon receiving any required revisions to the risk analysis, risk management plan, or any policies and procedures from HHS, North Memorial shall have sixty (60) calendar days in which to revise the documents, and then submit the revised documents to HHS for review and approval. This process shall continue until HHS approves the risk analysis, risk management plan, and any policies and procedures. 3. Within sixty (60) calendar days of HHS’ approval of the risk management plan and any revised policies and procedures required by section V.C.1 of this CAP, North Memorial shall finalize and officially adopt the risk management plan and any revised policies and procedures, in accordance with its applicable administrative procedures. North Memorial shall immediately thereafter begin implementation of the risk management plan and shall distribute the plan and any revised policies and procedures to all workforce members who are involved in the plan’s implementation.
Develop and Implement a Risk Management Plan. 1. CH shall develop an enterprise-wide Risk Management Plan to address and mitigate any security risks and vulnerabilities identified in the Risk Analysis specified in section V.A.1. above. The Risk Management Plan shall include a process and timeline for CH’s implementation, evaluation, and revision of its risk remediation activities. 2. Within ninety (90) days of HHS’s final approval of the Risk Analysis described in section V.A.1 above, CH shall submit a Risk Management Plan to HHS for HHS’s review and approval. CH may submit a Risk Management Plan developed in response to a Risk Analysis currently underway or previously completed for consideration by HHS for compliance with this provision. 3. Within ninety (90) days of receipt of CH’s Risk Analysis, HHS will inform CH in writing as to whether HHS approves the Risk Management Plan or HHS requires revisions. If HHS requires revisions to the Risk Management Plan, HHS shall provide CH with a written explanation of the basis of its revisions, including comments and recommendations that CH can use to prepare a revised Risk Management Plan. 4. Upon receiving HHS’s notice of required revisions, if any, CH shall have sixty (60) days to revise the Risk Management Plan accordingly and forward for review and approval. This process shall continue until HHS approves the Risk Management Plan. 5. Within sixty (60) days of HHS’s approval of the Risk Management Plan, CH shall finalize and officially adopt the Risk Management Plan in accordance with its applicable administrative procedures.
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Develop and Implement a Risk Management Plan. 1. MIE shall develop a written risk management plan or plans sufficient to address and mitigate any security risks and vulnerabilities identified in the Risk Analysis described in section V.A above (“Risk Management Plan”). The Risk Management Plan shall include a process and timeline for MIE’s implementation, evaluation, and revision of their risk remediation activities. 2. Within thirty (30) days of HHS’ final approval of the Risk Analysis described in section V.A above, MIE shall submit their Risk Management Plan to HHS for HHS’ review. Upon receiving notice of required revisions to the Risk Management Plan from HHS and a description of any required changes to the Risk Management Plan, MIE shall have fifteen (15) days in which to revise its Risk Management Plan accordingly, and submit the revised Risk Management Plan to HHS for review and approval. This submission and review process shall continue until HHS approves the Risk Management Plan. 3. Within thirty (30) days of HHS’ approval of the Risk Management Plan, MIE shall begin implementation of the Risk Management Plan and distribute the plan to workforce members involved with implementation of the plan.

Related to Develop and Implement a Risk Management Plan

  • Management Plan The Management Plan is the description and definition of the phasing, sequencing and timing of the major Individual Project activities for design, construction procurement, construction and occupancy as described in the IPPA.

  • Construction Management Plan Contractor shall prepare and furnish to the Owner a thorough and complete plan for the management of the Project from issuance of the Proceed Order through the issuance of the Design Professional's Certificate of Material Completion. Such plan shall include, without limitation, an estimate of the manpower requirements for each trade and the anticipated availability of such manpower, a schedule prepared using the critical path method that will amplify and support the schedule required in Article 2.1.5 below, and the Submittal Schedule as required in Article 2.2.3. The Contractor shall include in his plan the names and resumés of the Project Superintendent, Project Manager and the person in charge of Safety.

  • Project Management Plan 3.2.1 Developer is responsible for all quality assurance and quality control activities necessary to manage the Work, including the Utility Adjustment Work. Developer shall undertake all aspects of quality assurance and quality control for the Project and Work in accordance with the approved Project Management Plan, Good Industry Practice and applicable Law. 3.2.2 Developer shall develop the Project Management Plan and its component parts, plans and other documentation in accordance with the requirements set forth in Section 1.5.2.5

  • Alignment with Modernization Foundational Programs and Foundational Capabilities The activities and services that the LPHA has agreed to deliver under this Program Element align with Foundational Programs and Foundational Capabilities and the public health accountability metrics (if applicable), as follows (see Oregon’s Public Health Modernization Manual, (xxxx://xxx.xxxxxx.xxx/oha/PH/ABOUT/TASKFORCE/Documents/public_health_modernization_man ual.pdf): a. Foundational Programs and Capabilities (As specified in Public Health Modernization Manual) b. The work in this Program Element helps Oregon’s governmental public health system achieve the following Public Health Accountability Metric: c. The work in this Program Element helps Oregon’s governmental public health system achieve the following Public Health Modernization Process Measure:

  • Procurement Planning Prior to the issuance of any invitations to bid for contracts, the proposed procurement plan for the Project shall be furnished to the Association for its review and approval, in accordance with the provisions of paragraph 1 of Appendix 1 to the Guidelines. Procurement of all goods and works shall be undertaken in accordance with such procurement plan as shall have been approved by the Association, and with the provisions of said paragraph 1.

  • Business Continuity Planning Supplier shall prepare and maintain at no additional cost to Buyer a Business Continuity Plan (“BCP”). Upon written request of Buyer, Supplier shall provide a copy of Supplier’s BCP. The BCP shall be designed to ensure that Supplier can continue to provide the goods and/or services in accordance with this Order in the event of a disaster or other BCP-triggering event (as such events are defined in the applicable BCP). Supplier’s BCP shall, at a minimum, provide for: (a) the retention and retrieval of data and files; (b) obtaining resources necessary for recovery, (c) appropriate continuity plans to maintain adequate levels of staffing required to provide the goods and services during a disruptive event; (d) procedures to activate an immediate, orderly response to emergency situations; (e) procedures to address potential disruptions to Supplier’s supply chain; (f) a defined escalation process for notification of Buyer, within two (2) business days, in the event of a BCP-triggering event; and (g) training for key Supplier Personnel who are responsible for monitoring and maintaining Supplier’s continuity plans and records. Supplier shall maintain the BCP and test it at least annually or whenever there are material changes in Supplier’s operations, risks or business practices. Upon Xxxxx’s written and reasonable request, Supplier shall provide Buyer an executive summary of test results and a report of corrective actions (including the timing for implementation) to be taken to remedy any deficiencies identified by such testing. Upon Xxxxx’s request and with reasonable advance notice and conducted in such a manner as not to unduly interfere with Supplier’s operations, Supplier shall give Buyer and its designated agents access to Supplier’s designated representative(s) with detailed functional knowledge of Supplier’s BCP and relevant subject matter.

  • Quality Management System Supplier hereby undertakes, warrants and confirms, and will ensue same for its subcontractors, to remain certified in accordance with ISO 9001 standard or equivalent. At any time during the term of this Agreement, the Supplier shall, if so instructed by ISR, provide evidence of such certifications. In any event, Supplier must notify ISR, in writing, in the event said certification is suspended and/or canceled and/or not continued.

  • MANAGEMENT OF EVALUATION OUTCOMES 12.1 Where the Employer is, any time during the Employee’s employment, not satisfied with the Employee’s performance with respect to any matter dealt with in this Agreement, the Employer will give notice to the Employee to attend a meeting; 12.2 The Employee will have the opportunity at the meeting to satisfy the Employer of the measures being taken to ensure that his performance becomes satisfactory and any programme, including any dates, for implementing these measures; 12.3 Where there is a dispute or difference as to the performance of the Employee under this Agreement, the Parties will confer with a view to resolving the dispute or difference; and 12.4 In the case of unacceptable performance, the Employer shall – 12.4.1 Provide systematic remedial or developmental support to assist the Employee to improve his performance; and 12.4.2 After appropriate performance counselling and having provided the necessary guidance and/or support as well as reasonable time for improvement in performance, the Employer may consider steps to terminate the contract of employment of the Employee on grounds of unfitness or incapacity to carry out his or her duties.

  • Business Continuity Plan The Warrant Agent shall maintain plans for business continuity, disaster recovery, and backup capabilities and facilities designed to ensure the Warrant Agent’s continued performance of its obligations under this Agreement, including, without limitation, loss of production, loss of systems, loss of equipment, failure of carriers and the failure of the Warrant Agent’s or its supplier’s equipment, computer systems or business systems (“Business Continuity Plan”). Such Business Continuity Plan shall include, but shall not be limited to, testing, accountability and corrective actions designed to be promptly implemented, if necessary. In addition, in the event that the Warrant Agent has knowledge of an incident affecting the integrity or availability of such Business Continuity Plan, then the Warrant Agent shall, as promptly as practicable, but no later than twenty-four (24) hours (or sooner to the extent required by applicable law or regulation) after the Warrant Agent becomes aware of such incident, notify the Company in writing of such incident and provide the Company with updates, as deemed appropriate by the Warrant Agent under the circumstances, with respect to the status of all related remediation efforts in connection with such incident. The Warrant Agent represents that, as of the date of this Agreement, such Business Continuity Plan is active and functioning normally in all material respects.

  • Quality Management Grantee will: 1. comply with quality management requirements as directed by the System Agency. 2. develop and implement a Quality Management Plan (QMP) that conforms with 25 TAC § 448.504 and make the QMP available to System Agency upon request. The QMP must be developed no later than the end of the first quarter of the Contract term. 3. update and revise the QMP each biennium or sooner, if necessary. Xxxxxxx’s governing body will review and approve the initial QMP, within the first quarter of the Contract term, and each updated and revised QMP thereafter. The QMP must describe Xxxxxxx’s methods to measure, assess, and improve - i. Implementation of evidence-based practices, programs and research-based approaches to service delivery; ii. Client/participant satisfaction with the services provided by Xxxxxxx; iii. Service capacity and access to services; iv. Client/participant continuum of care; and v. Accuracy of data reported to the state. 4. participate in continuous quality improvement (CQI) activities as defined and scheduled by the state including, but not limited to data verification, performing self-reviews; submitting self-review results and supporting documentation for the state’s desk reviews; and participating in the state’s onsite or desk reviews. 5. submit plan of improvement or corrective action plan and supporting documentation as requested by System Agency. 6. participate in and actively pursue CQI activities that support performance and outcomes improvement. 7. respond to consultation recommendations by System Agency, which may include, but are not limited to the following: i. Staff training; ii. Self-monitoring activities guided by System Agency, including use of quality management tools to self-identify compliance issues; and iii. Monitoring of performance reports in the System Agency electronic clinical management system.

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