Legal and Ethical Compliance Sample Clauses

Legal and Ethical Compliance. The Purchaser requires its suppliers and contractors to strictly comply with all applicable legal requirements relating to their activities and business environment and the Supplier/Contractor agrees to comply therewith.
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Legal and Ethical Compliance. When delivering brokerage services to prospects and when otherwise performing under this agreement, the parties agree to comply with all applicable laws and standards of practice, including but not limited to the rules, regulations, and standards promulgated by the Texas Real Estate Commission, the Real Estate License Act, the Code of Ethics for any organization to which the parties may subscribe, and any standards or policies that Broker adopts.
Legal and Ethical Compliance. Supplier declares that to the best of the Supplier’s knowledge: i. All diamonds and metals submitted for Sale have been purchased from legitimate sources not involved in funding conflict and in compliance with United Nations resolutions and the Xxxxxxxxx Process and have been sourced in compliance with all local laws to which Supplier is subject. ii. Based on personal knowledge and/or written guarantees from its suppliers, to the best of the Supplier’s knowledge, no diamonds or metals offered for Sale are connected in any way with any human rights violations (i.e. the mining or other means of production and refinement of the diamonds or metals did not involve murder, rape, physical violence or forced servitude). iii. No diamonds or metals offered for Sale are traded in violation of U.S sanctions or sourced from Marange, Zimbabwe or from other sources or locations banned or prohibited by Rapaport as informed to Supplier from time to time. iv. No diamonds offered for Sale are Russian Sourced or Sanctioned Products. This includes polished diamonds manufactured outside of Russia from rough diamonds purchased from Alrosa after February 24, 2022. “Russian Source” are rough or polished diamonds, gems and jewelry purchased from Russia after February 24, 2022, including polished diamonds and jewelry manufactured outside of Russia from these purchased items. “Sanctioned Products” are polished diamonds, gems and jewelry purchased from any individual or company following the date of their listing on the US OFAC sanctions list. This includes any company anywhere in the world that is 50% or more owned by any such sanctioned individual or company.
Legal and Ethical Compliance. Supplier declares that to the best of the Supplier’s knowledge: i. All diamonds and metals submitted for Sale have been purchased from legitimate sources not involved in funding conflict and in compliance with United Nations resolutions and the Xxxxxxxxx Process and have been sourced in compliance with all local laws to which Supplier is subject. ii. Based on personal knowledge and/or written guarantees from its suppliers, to the best of the Supplier’s knowledge, no diamonds or metals offered for Sale are connected in any way with any human rights violations (i.e. the mining or other means of production and refinement of the diamonds or metals did not involve murder, rape, physical violence or forced servitude). iii. No diamonds or metals offered for Sale are traded in violation of U.S sanctions or sourced from Marange, Zimbabwe or from other sources or locations banned or prohibited by Rapaport as informed to Supplier from time to time.
Legal and Ethical Compliance. In addition to maintaining strict internal policies, Switching Group Limited ensures compliance with relevant legal frameworks and ethical standards. This commitment provides customers with the assurance that their confidential information is handled responsibly and in accordance with applicable laws.
Legal and Ethical Compliance. Executive represents and warrants to OMNOVA that: (i) Executive is familiar with OMNOVA’s Business Conduct Policies, and the directives and policies thereunder, and acknowledges that Executive had the responsibility to report any alleged improper and/or illegal conduct relating to OMNOVA or its employees; (ii) to the extent that Executive was aware of any such illegal and/or improper conduct, Executive promptly reported such conduct to OMNOVA’s law department; (iii) Executive is satisfied that management of OMNOVA has appropriately responded to such reported conduct; and (iv) Executive is not aware of any other illegal or improper activities by OMNOVA or its employees that Executive has not reported.
Legal and Ethical Compliance. ‌ In this section, we detail BDC’s commitment to legal and ethical standards. We cover our adherence to laws, regulations, and ethical guidelines vital for ensuring responsible and compliant service delivery. Ethical Consent The PI Contact is responsible for obtaining ethical consent from the Swedish Ethical Review Authority, ensuring compliance with all ethical requirements for the project. Applicable Law and Dispute ResolutionGoverning Law The policies and services of BDC are governed by Swedish law. • Dispute Resolution Any disputes arising under this policy will be resolved in the ordinary courts of Gothenburg, Sweden.
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Legal and Ethical Compliance. The Purchaser requires its suppliers and contractors to strictly comply with all applicable legal requirements relating to their activities and business environmentincluding especially those designed to prevent bribery and corruption, and the Supplier/Contractor agrees to comply therewith. The Supplier acknowledges that Purchaser has adopted the ethical principles of conductprescribed by Italian Legislative Decree no. 231/2001 andsubsequent amendments, defining the roles and responsibilities and adopting procedures, in particular the model of organization, management and control (the "Model") pursuant to the aforementioned Legislative Decree no. 231/2001. In this context, the Supplier declares it intendstofollowcloselytheprovisionsof ItalianLegislative Decreeno.231/2001, remaining as ofnow understood that any violations of such Legislative Decree 231/2001 and / or the Model by the Supplier will entail the Purchase to immediately terminate the Contract pursuant to art. 1456 Italian Civil Code.

Related to Legal and Ethical Compliance

  • Legal and Regulatory Compliance ‌ 4.22.1 During the term of this Contract, Contractor must comply with all local, state, and federal licensing, accreditation and registration requirements/standards, necessary for the performance of this Contract and all other applicable federal, state and local laws, rules, and regulations. 4.22.2 While on the HCA premises, Contractor must comply with HCA operations and process standards and policies (e.g., ethics, Internet / email usage, data, network and building security, harassment, as applicable). HCA will make an electronic copy of all such policies available to Contractor. 4.22.3 Failure to comply with any provisions of this section may result in Contract termination.

  • ETHICAL CONDUCT Seller's employees shall comply with the BorgWarner Supplier Code of Conduct articulated within the BorgWarner Supplier Manual. Compliance with these standards is a mandatory component of Buyer's purchase contracts worldwide and must also apply to Seller subcontractors. Both, the BorgWarner Supplier Code of Conduct and the BorgWarner Supplier Manual are incorporated by reference as part of the Purchase Order, are binding on the Seller, and Seller explicitly verifies to have read and accepted the BorgWarner Supplier Code of Conduct and the BorgWarner Supplier Manual.

  • Compliance Officer Within 90 days after the Effective Date, Good Shepherd shall appoint a Covered Person to serve as its Compliance Officer and shall maintain a Compliance Officer for the term of the CIA. The Compliance Officer shall be a member of senior management of Good Shepherd, shall report directly to the Manager of Good Shepherd, and shall not be or be subordinate to the General Counsel or Chief Financial Officer or have any responsibilities that involve acting in any capacity as legal counsel or supervising legal counsel functions for Good Shepherd. The Compliance Officer shall be responsible for, without limitation: a. developing and implementing policies, procedures, and practices designed to ensure compliance with the requirements set forth in this CIA and with Federal health care program requirements; and b. monitoring the day-to-day compliance activities engaged in by Good Shepherd as well as for any reporting obligations created under this CIA. Any noncompliance job responsibilities of the Compliance Officer shall be limited and must not interfere with the Compliance Officer’s ability to perform the duties outlined in this CIA. Good Shepherd shall report to OIG, in writing, any changes in the identity or position description of the Compliance Officer, or any actions or changes that would affect the Compliance Officer’s ability to perform the duties necessary to meet the obligations in this CIA, within five days after such a change.

  • General Compliance This Agreement is intended to comply with Section 409A or an exemption thereunder and shall be construed and administered in accordance with Section 409A. Notwithstanding any other provision of this Agreement, payments provided under this Agreement may only be made upon an event and in a manner that complies with Section 409A or an applicable exemption. Any payments under this Agreement that may be excluded from Section 409A either as separation pay due to an involuntary separation from service or as a short-term deferral shall be excluded from Section 409A to the maximum extent possible. For purposes of Section 409A, each installment payment provided under this Agreement shall be treated as a separate payment. Any payments to be made under this Agreement upon a termination of employment shall only be made upon a “separation from service” under Section 409A. Notwithstanding the foregoing, the Company makes no representations that the payments and benefits provided under this Agreement comply with Section 409A, and in no event shall the Company be liable for all or any portion of any taxes, penalties, interest, or other expenses that may be incurred by the Executive on account of non-compliance with Section 409A.

  • Ethics No officer, agent or employee of the Board is or shall be employed by Provider or has or shall have a financial interest, directly or indirectly, in this Agreement or the compensation to be paid hereunder except as may be permitted in writing by the Board’s Code of Ethics, adopted May 25, 2011 (11-0525-PO2), as amended from time to time, which policy is hereby incorporated by reference into and made part of this Agreement as if fully set forth herein.

  • PROCUREMENT ETHICS Contractor understands that a person who is interested in any way in the sale of any supplies, services, construction, or insurance to the State of Utah is violating the law if the person gives or offers to give any compensation, gratuity, contribution, loan, reward, or any promise thereof to any person acting as a procurement officer on behalf of the State of Utah, or who in any official capacity participates in the procurement of such supplies, services, construction, or insurance, whether it is given for their own use or for the use or benefit of any other person or organization.

  • Legal Compliance Contractor represents and warrants that it shall secure all notices and comply with all applicable laws, ordinances, rules and regulations of any governmental entity in conjunction with the performance of obligations under the Contract. Prior to award and during the Contract term and any renewals thereof, Contractor must establish to the satisfaction of the Commissioner that it meets or exceeds all requirements of the Bid and Contract and any applicable laws, including but not limited to, permits, licensing, and shall provide such proof as required by the Commissioner. Failure to comply or failure to provide proof may constitute grounds for the Commissioner to terminate or suspend the Contract, in whole or in part, or to take any other action deemed necessary by the Commissioner. Contractor also agrees to disclose information and provide affirmations and certifications to comply with Sections 139-j and 139-k of the State Finance Law.

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