General regime Sample Clauses

General regime a. Members of the National Civil Police shall be career professionals and agents of authority. b. The duties, rights, responsibilities and disciplinary regime of the members of the National Civil Police shall be determined by law. c. Members of the National Civil Police shall be required to serve in any part of the national territory. d. Members of the National Civil Police shall wear the regulation uniform whenever they are on active duty. In exceptional cases, the Minister, or in his absence, the Vice-Minister or the Director- General may give authorization for not wearing uniforms for certain tasks. e. Members of the National Civil Police shall bear firearms when warranted by the needs of the service. They shall use only small arms, which are appropriate to police duties and cannot be considered war matériel. Special weapons shall be stored in the arsenal of the National Civil Police, to be used by personnel trained for this purpose when, in the opinion of the Minister concerned or, in his absence, of the Vice-Minister or the Director- General, special circumstances exist which require their use. f. Members of the National Civil Police shall respect the Constitution and the law and shall at all times adjust their conduct to the doctrine of the force, as defined in this Agreement. g. Members of the National Civil Police shall not normally be required to live in barracks. Such a regime shall be applied only in exceptional circumstances and for the time strictly necessary. h. The law shall define the regime of labour rights of members of the National Civil Police, bearing in mind the nature of the function they are required to perform. i. Members of the National Civil Police shall enjoy job security. They may not be dismissed except for specific legal reasons. j. Members of the National Civil Police shall be entitled to a level of remuneration that ensures a decent standard of living for themselves and their families and also accords with their rank and length of service. k. Vehicles, communications systems, uniforms, facilities and, in general, any equipment used by members of the National Civil Police shall be suited to the requirements of a police force of the type defined in this Agreement.
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General regime. 34.1 Unless prohibited by Compulsory Rules and subject to the specific liability regime applicable in case of Loss of Custodiable Assets (as set forth in Section B below), any obligation of the Depositary contracted vis-à-vis the AIF/AIFM pursuant to this Agreement is to be considered as an obligation of means. 34.2 In the absence of the Depositary’s negligence or wilful misconduct, or intentional failure the Depositary shall not be liable towards the AIF/AIFM, its directors, the Unitholders, officers of the AIFM or any other person with respect to any damage or loss that may be caused by or in connection with any act or omission in connection with the services provided as well as duties and obligations performed by the Depositary pursuant to this Agreement. 34.3 Where the AIFM has been able to establish the liability of the Depositary within the limits set forth in this Agreement, in the case of liability arising out of the Depositary’s obligation to do something, the amount of the damage which the Depositary must indemnify as a result of such liability shall be strictly limited to the amount of the immediate, foreseeable, direct and non-consequential damage. 34.4 In the absence of the Depositary’s negligence or wilful misconduct, or intentional failure the Depositary shall not be liable for any direct or indirect damage or loss that may be caused by or in connection with (i) any errors or delays in transmitting orders, and any delays in the execution of an order, unless the AIFM specifically instructed the Depositary to execute the order by a given deadline in which case the Depositary shall only be liable for the loss of interest resulting from the delay; (ii) any failure to submit a protest or delay in doing so; (iii) any technical irregularities in challenges or proceedings before the courts or out of the courts; (iv) failure to make any applicable tax withholdings or related errors; (v) the actions of any third-party instructed by the Depositary to execute the AIFM's orders; (vi) the transmission of information in accordance with standard practice and in compliance with Depositary banking secrecy;
General regime. The general regime is reserved for airlines (i) having a scheduled activity at Paris – Xxxxxxx-xx- Xxxxxx during the winter season and (ii) having used the de-icing service at least once during the previous winter seasons. The price is divided in two: a season subscription and a unit price per de-icing. The amount of the subscription is determined so as to cover the fixed costs of the activity. The subscription owed by the user for the forthcoming winter season is calculated each year for each user in proportion to its average share in the general de-icing activity for the last three winter seasons, according to the formula: A = R * U, with - R = user’s activity portion corresponding to the ratio between the total number of De-Icing Units (DU) made by it on the previous three winter seasons and the total number of De-Icing Units made by all the users submitted to the general regime over the same period - U = amount of the fixed portion corresponding to a point of de-icing activity (cost of one point of de-icing activity) The variable portion owed by the user for each de-icing is calculated to cover the variable costs and depends on the DU class to which the plane belongs, therefore the size of the plane. Variable portion of general regime by DU class (in euros excluding VAT / de-icing) Winter 2005 Class 1 1,341 Class 2 2,683 Class 3 4,024 Class 4 5,365 The specific regime applies to airlines that are not eligible for the general regime. The amount of the price owed by the user for each de-icing is calculated to cover all the costs, fixed and variable, and depends on the DU class to which the plane belongs. Variable portion of specific regime by DU class (in euros excluding VAT/de-icing) Winter 2005 Class 1 2,895 Class 2 5,790 Class 3 8,684 Class 4 11,579 At Paris – Orly, the activity is directly subcontracted by airlines to private operators. Aéroports de Paris does not provide the service. (in euros excluding VAT/year/unit 2005 Dock (Darse) 2 56,278.30 Orly Sud Docks (Darses) 3 and 4 Without baggage 4,361.55 Hall 1 with baggage Halls 2 and 3 with baggage 50,014.84 45,470.74 Orly Ouest Halls 2 and 3 without baggage Hall 4 with baggage Hall 4 without baggage TDM (last minute) 4,547.07 36,952.67 4,779.92 12,765.87 CDG1 Usual counters 48,618.41 Group counters 58,958.49 BLS (Orly – CDG) Counters without carousel 19,611.61 CDG2 CDG3 49,029.06 Counters with carousel 31,374.64 The concept of "dock" (“darse”) has stopped existing since the completion of rehabilita...
General regime. 5.1.1 In this Clause 5, references to the Purchaser shall include the NFT Group and/or XXXXX, the Sellers shall be liable to the Purchaser for: (i) any declared or hidden liabilities of NFT Group not set forth in the NFT Consolidated Proforma Balance Sheet arising from or in connection with events, acts or omissions originating before the Closing Date and; (ii) any declared or hidden liabilities not set forth in the NFT Consolidated Proforma Balance Sheet arising from the NFT Non Related Assets and Liabilities and/or its transfer and sale; (iii) any declared or hidden liabilities of NFT Group arising from the draft Tax Income Return referred to in Clause 10.2 (vii). (iv) any losses and damages with respect to environmental incidents (unlawful discharge of a hazardous substance into the environment or the failure to record or report it in case it has occurred) that have taken place prior to the Closing Date. The Sellers shall not be liable with respect to environmental incidents that have taken place after the Closing Date, regardless that they are caused by acts or omissions originated before the Closing Date. 5.1.2 Additionally, the NUFER Sellers shall be liable to the Purchaser and/or XXXXX within the framework of this Agreement for: (i) any declared or hidden liabilities of XXXXX not set forth in the XXXXX Proforma Balance Sheet arising from or in connection with events, acts or omissions originating before the Closing Date and, (ii) any declared or hidden liabilities not set forth in the XXXXX Proforma Balance Sheet arising from the XXXXX Non Related Assets and Liabilities and/or its transfer and sale. (iii) any declared or hidden liabilities of XXXXX arising from the draft Tax Income Return referred to in Clause 10.2 (vii). 5.1.3 Neither the Sellers nor the NUFER Sellers shall be obliged to indemnify the Purchaser until the losses and damages subject to indemnification have been quantified and are due and owing, so that contingent liabilities shall not be subject to indemnification until they become actual liabilities. In the event that any claim or liability interferes or may interfere with the normal business of the NFT Group or XXXXX in the cases indicated in Schedule 5.1.3, the Sellers shall be obliged to post a security for such claim or liability, as soon as practicable, to enable NFT Group or XXXXX to carry on its business and, thereafter, seek indemnity from the Sellers. Should the Sellers fail to comply with this obligation, the Purchaser sha...

Related to General regime

  • General Regulations Subrecipient shall: 1. Adhere to 48 CFR 3.908, implementing section 828, entitled “Pilot Program for Enhancement of Contractor Whistleblower Protections,” of the National Defense Authorization Act (NDAA) for Fiscal Year 2013 (Pub. L. 112-239, enacted January 2, 2013), as it applies to this Contract. 2. Recognize any same-sex marriage legally entered into in a United States (U.S.) jurisdiction that recognizes their marriage, including one of the fifty (50) states, the District of Columbia, or a U.S. territory, or in a foreign county so long as that marriage would also be recognized by a U.S. jurisdiction. This applies regardless of whether or not the couple resides in a jurisdiction that recognizes same-sex marriage. However, this does not apply to registered domestic partnerships, civil unions or similar formal relationships recognized under the law of the jurisdiction of celebration as something other than a marriage. Accordingly, recipients must review and revise, as needed, any policies and procedures which interpret or apply federal statutory or regulatory references to such terms as “marriage,” “spouse,” “family,” “household member” or similar references to familial relationships to reflect inclusion of same-sex spouse and marriages. Any similar familial terminology references in the U.S. Department of Health and Human Services’ (HHS) statutes, regulations, or policy transmittals will be interpreted to include same-sex spouses and marriages legally entered into as described herein. [USC 7 – Section 3 of the Defense of Marriage Act]. 3. To ensure all data is collected for the unmet need as requested by the U.S. Legislature, Subrecipient must develop and implement a Wait List policy and procedure. The policy and procedure must include provisions for: prescreening individuals to determine eligibility; managing applicants’ placement on and removal from the Wait List; periodically reviewing the eligibility and identified needs of applicants on the Wait List; and assigning priority for enrollment based on Wait List. 4. Nondiscrimination Shall comply with all federal statutes relating to nondiscrimination. These include those statutes and laws contained in the Contractor Certification Clauses (CCC 307) from CDA, which is hereby incorporated by reference. In addition, the Subrecipient shall comply with the following: a. Equal Access to Federally-Funded Benefits, Programs, and Activities Subrecipient shall ensure compliance with Title VI of the Civil Rights Act of 1964 [42 USC 2000d; 45 CFR 80], which prohibits recipients of federal financial assistance from discriminating against persons based on race, color, religion, or national origin. b. Equal Access to State-Funded Benefits, Programs, and Activities Subrecipient shall, unless exempted, ensure compliance with the requirements of Cal. Gov. Code § 11135 et seq., and 2 CCR § 11140 et seq., which prohibit recipients of state financial assistance from discriminating against persons based on race, national origin, ethnic group identification, religion, age, sex, sexual orientation, color, or disability. [2 CCR § 98323] c. California Civil Rights Laws Subrecipient shall, ensure compliance with the requirements of California Public Contract Code § 2010 by submitting a completed California Civil Rights Laws Certification, prior to execution of this Contract. The California Civil Rights Laws Certification ensures Subrecipient compliance with the Xxxxx Civil Rights Act (Cal. Civ. Code § 51) and the Fair Employment and Housing Act (Cal. Gov. Code § 12960), and ensures that Subrecipient internal policies are not used in violation of California Civil Rights Laws. d. Subrecipient assures the OoA and State that is complies with the Americans with Disabilities Act (ADA) of 1990, which prohibits discrimination on the basis of disability, as well as all applicable regulations and guidelines issued pursuant to the ADA. [42 USC 12101 et seq.] e. Subrecipient agrees to include these requirements in all contracts it enters into with Subcontractors to provide services pursuant to this Contract. 5. Conflict of Interest a. Subrecipient shall prevent employees, consultants, or members of governing bodies from using their positions for purposes including, but not limited to, the selection of Subcontractors, that are, or give the appearance of being, motivated by a desire for private gain for themselves or others, such as family, business, or other ties. In the event that the OoA and/or State determines that a conflict of interest exists, any increase in costs associated with the conflict of interest may be disallowed by the OoA and/or State and such conflict may constitute grounds for termination of the Contract. b. This provision shall not be construed to prohibit employment of persons with whom the Subrecipient’s officers, agents, or employees have family, business, or other ties, so long as the employment of such persons does not result in a conflict of interest (real or apparent) or increased costs over those associated with the employment of any other equally qualified applicant, and such persons have successfully competed for employment with the other applicants on a merit basis. 6. Facility Construction or Repair This section applies only to Title III funds and not to other funds allocated to other Titles under the Older Americans Act. Title III funds may be used for facility construction or repair. a. When applicable for purposes of construction or repair of facilities, the Subrecipient shall comply with the provisions contained in the following and shall include such provisions in any applicable agreements with Subcontractors: • Xxxxxxxx “Anti-Kickback” Act. [18 USC 874, 40USC 3145] • Xxxxx-Xxxxx Act. [40USC 3141 et seq.] [29 CFR 5] • Contract Work Hours and Safety Standards Act. [40 USC 3701 et seq.] [29 CFR 5, 6, 7, 8] • Executive Order 11246 of September 14, 1965, entitled “Equal Employment Opportunity” as amended by Executive Order 11375 of October 13, 1967, as supplemented in Department of Labor Regulations. [41 CFR 60] b. Payments are not permitted for construction, renovation, alteration, improvement, or repair of privately-owned property which would enhance the owner’s value of such property except where permitted by law and by OoA and CDA. c. When funding is provided for construction and non-construction activities, the Subrecipient must obtain prior written approval from OoA and CDA before making any fund or budget transfers between construction and non- construction. 7. Contracts in Excess of $100,000 If all funding provided herein exceeds $100,000, the Subrecipient shall comply with all applicable orders or requirements issued under the following laws: a. Clean Air Act, as amended. [42 USC 7401] b. Federal Water Pollution Control Act, as amended. [33 USC 1251 et seq.] c. Environmental Protection Agency Regulations. [40 CFR 29] [Executive Order 11738] d. State Contract Act [Cal. Pub. Con. Code §10295 et seq.] x. Xxxxx Civil Rights Act [Cal. Pub. Con. Code § 2010]

  • Federal Regulations No part of the proceeds of any Loans will be used for "purchasing" or "carrying" any "margin stock" within the respective meanings of each of the quoted terms under Regulation U as now and from time to time hereafter in effect or for any purpose that violates the provisions of the Regulations of the Board. If requested by any Lender or the Administrative Agent, the Borrower will furnish to the Administrative Agent and each Lender a statement to the foregoing effect in conformity with the requirements of FR Form G-3 or FR Form U-1 referred to in Regulation U.

  • Executive Orders This Contract is subject to the provisions of Executive Order No. Three of Governor Xxxxxx X. Xxxxxxx, promulgated June 16, 1971, concerning labor employment practices, Executive Order No. Seventeen of Governor Xxxxxx X. Xxxxxxx, promulgated February 15, 1973, concerning the listing of employment openings and Executive Order No. Sixteen of Governor Xxxx X. Xxxxxxx promulgated August 4, 1999, concerning violence in the workplace, all of which are incorporated into and are made a part of the Contract as if they had been fully set forth in it. The Contract may also be subject to Executive Order No. 14 of Governor M. Xxxx Xxxx, promulgated April 17, 2006, concerning procurement of cleaning products and services, Executive Order No. 61 of Governor Xxxxxx X. Xxxxxx promulgated December 13, 2017 concerning the Policy for the Management of State Information Technology Projects, as issued by the Office of Policy and Management, Policy ID IT-SDLC-17-04, and Executive Order No. 49 of Governor Xxxxxx X. Xxxxxx, promulgated May 22, 2015, mandating disclosure of certain gifts to public employees and contributions to certain candidates for office in accordance with their respective terms and conditions. If Executive Orders 14, 61 or 49 are applicable, it is deemed to be incorporated into and are made a part of the Contract as if it had been fully set forth in it. At the Contractor’s request, the State shall provide a copy of these orders to the Contractor.

  • Agricultural cooperation The aims of the cooperation on agriculture will be: (a) to promote sustainable rural development through the exchange of experience, generation of partnership and execution of projects in areas of mutual interest such as: agricultural innovation and technology transfer for the development of small farming, the conservation and management of the water resource for agricultural use, the application of good agricultural and agro industrial practices, including gender approach in development policies and strategies, among others; (b) to promote the exchange of relevant information for agricultural exports between the 2 markets; and (c) to develop a training program addressed to leader producers, technicians and professionals for the application of new technologies in order to increase and improve agriculture and animal husbandry productivity and competitiveness, in particular of value added products.

  • Ministerial regulations Administrative guidelines. ∞ 9 For the purposes of this reservation, the definition of ‘foreigner' can be found in Foreign Business Act B.E. 2542 (1999).

  • Health and Safety Representative Meetings A Health and Safety Representative will be allowed reasonable paid time during working hours to attend to on the job occupational health and safety matters affecting Employees he/she represents providing that the Representative informs their manager and agreement is reached. At all other times the Representative will perform productive work within his/her range of qualifications and competencies.

  • Anti-Money Laundering and Red Flag Identity Theft Prevention Programs The Trust acknowledges that it has had an opportunity to review, consider and comment upon the written procedures provided by USBFS describing various tools used by USBFS which are designed to promote the detection and reporting of potential money laundering activity and identity theft by monitoring certain aspects of shareholder activity as well as written procedures for verifying a customer’s identity (collectively, the “Procedures”). Further, the Trust and USBFS have each determined that the Procedures, as part of the Trust’s overall Anti-Money Laundering Program and Red Flag Identity Theft Prevention Program, are reasonably designed to: (i) prevent each Fund from being used for money laundering or the financing of terrorist activities; (ii) prevent identity theft; and (iii) achieve compliance with the applicable provisions of the Bank Secrecy Act, Fair and Accurate Credit Transactions Act of 2003 and the USA Patriot Act of 2001 and the implementing regulations thereunder. Based on this determination, the Trust hereby instructs and directs USBFS to implement the Procedures on the Trust’s behalf, as such may be amended or revised from time to time. It is contemplated that these Procedures will be amended from time to time by the parties as additional regulations are adopted and/or regulatory guidance is provided relating to the Trust’s anti-money laundering and identity theft responsibilities. USBFS agrees to provide to the Trust: (a) Prompt written notification of any transaction or combination of transactions that USBFS believes, based on the Procedures, evidence money laundering or identity theft activities in connection with the Trust or any Fund shareholder; (b) Prompt written notification of any customer(s) that USBFS reasonably believes, based upon the Procedures, to be engaged in money laundering or identity theft activities, provided that the Trust agrees not to communicate this information to the customer; (c) Any reports received by USBFS from any government agency or applicable industry self-regulatory organization pertaining to USBFS’ Anti-Money Laundering Program or the Red Flag Identity Theft Prevention Program on behalf of the Trust; (d) Prompt written notification of any action taken in response to anti-money laundering violations or identity theft activity as described in (a), (b) or (c) immediately above; and (e) Certified annual and quarterly reports of its monitoring and customer identification activities pursuant to the Procedures on behalf of the Trust. The Trust hereby directs, and USBFS acknowledges, that USBFS shall (i) permit federal regulators access to such information and records maintained by USBFS and relating to USBFS’ implementation of the Procedures, on behalf of the Trust, as they may request, and (ii) permit such federal regulators to inspect USBFS’ implementation of the Procedures on behalf of the Trust.

  • Executive Order No 13224. Neither any Borrower nor any Affiliate of any Borrower or their respective agents acting or benefiting in any capacity in connection with the Advances or other transactions hereunder, is any of the following (each a “Blocked Person”): (i) a Person that is listed in the annex to, or is otherwise subject to the provisions of, the Executive Order No. 13224; (ii) a Person owned or controlled by, or acting for or on behalf of, any Person that is listed in the annex to, or is otherwise subject to the provisions of, the Executive Order No. 13224; (iii) a Person or entity with which any Lender is prohibited from dealing or otherwise engaging in any transaction by any Anti-Terrorism Law; (iv) a Person or entity that commits, threatens or conspires to commit or supports “terrorism” as defined in the Executive Order No. 13224; (v) a Person or entity that is named as a “specially designated national” on the most current list published by the U.S. Treasury Department Office of Foreign Asset Control at its official website or any replacement website or other replacement official publication of such list, or (vi) a Person or entity who is affiliated or associated with a Person or entity listed above. Neither any Borrower nor to the knowledge of any Borrower, any of its agents acting in any capacity in connection with the Advances or other transactions hereunder (i) conducts any business or engages in making or receiving any contribution of funds, goods or services to or for the benefit of any Blocked Person, or (ii) deals in, or otherwise engages in any transaction relating to, any property or interests in property blocked pursuant to the Executive Order No. 13224.

  • Public Entity Crimes A person or affiliate who has been placed on the convicted vendor list following a conviction of a public entity crime may not be awarded or perform work as a contractor, supplier, subcontractor, or consultant under a contract with any public entity in excess of the threshold amount provided in Florida Statutes, Section 287.017 for Category Two for a period of thirty-six (36) months from the date of being placed on the convicted vendor list.

  • Compliance with Federal Law, Regulations, and Executive Orders This is an acknowledgement that FEMA financial assistance will be used to fund all or a portion of the contract. The contractor will comply with all applicable Federal law, regulations, executive orders, FEMA policies, procedures, and directives.

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