OBLIGATIONS AND RIGHTS OF THE CLIENT Sample Clauses

OBLIGATIONS AND RIGHTS OF THE CLIENT. 1. The Client shall timely pay for the services provided by the Contractor in the manner prescribed in Section 3 of this Agreement. 3.2. The Client shall provide the Contractor with complete and accurate information necessary for the Contractor to perform services in accordance with this Agreement. 3.3. The Client shall independently familiarize themselves with the rules for conducting the Events, published in accordance with Clause 2.1.1. of this Agreement. 3.4. The Client shall inform the Contractor of any changes in contact (personal) data in writing within 24 hours of such changes by sending information to the email address specified in Section 13 of this Agreement. 3.5. In case of withdrawal from participation in the Event, the Client shall notify the Contractor in writing no later than 21 (twenty-one) calendar days prior to the scheduled date of the Event by sending information to the email address specified in Section 13 of this Agreement. The procedure for refunding the paid amount for the service is regulated in Clause 5.7. of this Agreement. 3.6. The Client shall arrive at the Event exactly at the start time set by the Contractor. In case of late arrival, the Client shall not be admitted to participate in the Event. The paid funds shall not be refunded in this case. 3.7. The Client shall be responsible for the safety of the venue's property (premises, territory, furniture, equipment, apparatus) provided for the Event. In case of damage to the venue's property, the obligation to compensate for the cost of the damaged property caused by the Client's actions shall lie fully with the Client. 3.8. The Client shall be responsible for the use of third-party works, means of individualization, or other intellectual property objects protected in accordance with the provisions of Federal Law No. 38 of 2021 of the UAE. In case of violation of exclusive rights of Rights Holders by the Client, the Client shall bear full and independent responsibility to the Rights Holder. If the Client's participation in the event involves the use of works, the Client shall provide the Contractor with a list of works indicating the authors that the Client intends to use when participating in the event, as well as consent to use the works in cases where applicable law requires obtaining consent for the use of works. 3.9. Except for cases defined in Clause 5.8. of this Agreement, the Client shall be responsible for the safety of the Client's own property. 3.10. The Client shall ...
AutoNDA by SimpleDocs
OBLIGATIONS AND RIGHTS OF THE CLIENT. 1. The Client shall not create any pledge over any of the Investment Portfolio or the Account or the assets held of the Investment Portfolio without the Company’s prior written consent and in accordance with the procedures and form agreed with the Company to such effect. 2. The Client shall be solely responsible for all or any instructions issued to the Company related to executing his/her/its instructions in dealing with Securities through the Investment portfolio. 3. The Client acknowledges full awareness that all phone calls which took place between the Client and the Company shall be recorded and retained by the Company for at least five consecutive years. However, in case of any judicial or non‐judicial dispute between the ("ﺮﻴﺧﺄﺘﻟا ﺔﻣاﺮﻏ") ﻒﻳرﺎﺼﻤﻟاو بﺎﻌﺗﻷا داﺪﺳ ﺔﻣاﺮﻏ ﻢﺼﺨﺑ ﺔﻛﺮﺸﻟا ﻞﻴﻤﻌﻟا ضﻮﻔﻳو ﺔﻘﺤﺘﺴﻤﻟا ﻦﻣ ﺔﻘﺤﺘﺴﻣ ﻒﻳرﺎﺼﻣ وأ بﺎﻌﺗأ ﺔﻳأو ﺮﻴﺧﺄﺘﻟا ىﺪﻟ ﻞﻴﻤﻌﻟا تﺎﺑﺎﺴﺣ ﻦﻣ يأ ﻲﻓ ةﺮﻓﻮﺘﻤﻟا لاﻮﻣﻷا ًﺎﻘﻓو ﺔﻳرﺎﻤﺜﺘﺳﻻا ﺔﻈﻔﺤﻤﻟا بﺎﺴﺣ ءﺎﻬﻧإ وأ ﺔﻛﺮﺸﻟا ﺔﻈﻔﺤﻤﻟا ﻰﻠﻋ ﻦﻫر يأ ﺐﻴﺗﺮﺗ ﻞﻴﻤﻌﻠﻟ ﻖﺤﻳ ﻻ .1 بﺎﺴﺣ وأ ﺎﻬﻴﻓ لﻮﺻﻷا ﻦﻣ يأ وأ ﺔﻳرﺎﻤﺜﺘﺳﻻا ﺬﺧأو ﺔﻛﺮﺸﻠﻟ عﻮﺟﺮﻟا ﺪﻌﺑ ﻻإ ﺔﻬﺟ ﺔﻳأ ﺢﻟﺎﺼﻟ ﻞﻴﻤﻌﻟا ﺎﻬﻳﺪﻟ ﺔﻌﺒﺘﻤﻟا تاءاﺮﺟﻺﻟ ًﺎﻘﻓوو ﻚﻟذ ﻰﻠﻋ ﺎﻬﺘﻘﻓاﻮﻣ .صﻮﺼﺨﻟا اﺬﻫ ﻲﻓ ﻞﻛ ﻦﻋ ﺔﻣﺎﺗ ﺔــﻴﻟوﺆﺴﻣ ً ﻻوﺆﺴﻣ هﺪﺣو ﻞــﻴﻤﻌﻟا نﻮﻜﻳ .2 ﺬﻴﻔﻨﺗ صﻮﺼﺨﺑ ﺔﻛﺮﺸﻠﻟ ﺎﻫرﺪﺼﻳ ﺪﻗ تﺎﻤﻴﻠﻌﺗ ﺔـﻳأو لﻼﺧ ﻦﻣ ﺔﻴﻟﺎﻤﻟا قاروﻷﺎﺑ ﻞﻣﺎﻌﺘﻟﺎﺑ ﻪﺗﺎﻤﻴﻠﻌﺗ .ﺔﻳرﺎﻤﺜﺘﺳﻻا ﺔﻈﻔﺤﻤﻟا ﺔﻴﻔﺗﺎﻬﻟا تﺎﻤﻟﺎﻜﻤﻟا ﻊﻴﻤﺟ نإ ﺪــﻛﺆﻳو ﻞﻴﻤﻌﻟا ﺮﻘﻳ .3 فﻮﺳ ﺔﻛﺮﺸﻟاو ﻞﻴﻤﻌﻟا ﻦﻴﺑ ﻢــﺘﺗ ﺪﻗ وأ ﺖﻤﺗ ﻲﺘﻟا ﻻ ةﺪﻤﻟ ﺔﻛﺮﺸﻟا ﻞﺒﻗ ﻦﻣ ﺎﻬﺑ ظﺎﻔﺘﺣﻻاو ﺎــﻬﻠﻴﺠﺴﺗ ﻢﺘﻳ لﺎـﺣ ﻲـﻓ ﺎﻣا ،ﺔﻴﻟﺎﺘﺘﻣ تاﻮﻨﺳ ﺲﻤﺧ ﻦﻋ ﻞــﻘﺗ ﻦــﻴﺑ ﻲﺋﺎﻀﻗ ﺮــﻴﻏ عاﺰﻧ وأ ﻲﺋﺎﻀﻗ عاﺰـﻧ يأ بﻮـﺸﻧ ﻪﻟ ﺮﺧآ فﺮﻃ يأو ﻞﻴﻤﻌﻟا ﻦﻴﺑ وأ ﺔﻛﺮﺸﻟاو ﻞﻴﻤﻌﻟا Company and the Client or between the Client and any third party regarding the Investment Portfolio or its component thereof, the Company shall retain the recorded phone calls until the dispute is completely resolved whether amicably or by a court resolution or until the investigation procedures are completed and closed. 4. The Client shall notify the Company in writing about any proxy or power of attorney issued or granted to any third party to instruct the Company on behalf of the Client’s Investment Portfolio, and/or to collect, and oversee Portfolio details as well as his/its assets in the Portfolio and shall clearly without any misrepresentation specify the delegated authorities in a precise and confined manner not subject to any ambiguities, in this case, the Company may request from the Client his/its signature on any authorization form or any power of attorney drafted by the Company. 5. The Client represents and war...
OBLIGATIONS AND RIGHTS OF THE CLIENT. 10.1 The Client has the right to use the Service 24/7/365 as indicated in the Contract and acknowledges and explicitly confirms the specific uptime percentage stated in Article 9.1 of these General Terms and Conditions. If VirtSYS IT is responsible for an interruption of the Service exceeding the guaranteed uptime, the Client will receive a compensation credit equal to 10 times the actual amount of time corresponding to the actual technical downtime. For example, if the Service is down for one hour, the Client will receive ten hours of credit. All requests, under penalty of forfeiture, must be submitted to VirtSYS IT within 10 (ten) days from the occurrence. 10.2 The Client also guarantees, in accordance with Article 46 of Legislative Decree 445/2000 and subsequent amendments, that the data and information transmitted to the Provider for the conclusion of the Contract are truthful, accurate, and allow for identification. The Client undertakes to promptly notify the Provider of any changes to the data, including contact information. VirtSYS IT reserves the right to verify such data and/or information, even by requesting additional documents, which the Client undertakes to provide without delay. 10.3 If, during the identification process, the Client has concealed their true identity by using false personal documents or falsely claimed to be another person, or otherwise acted in a way that compromises the identification process, the Client acknowledges and accepts that they will be held legally responsible for false statements, the use of false documentation, or impersonation, as defined in Article 494 of the Italian Criminal Code. The Client will also be solely responsible for any damages suffered by VirtSYS IT and/or third parties due to the inaccuracy and/or falsity of the information provided. The Client undertakes to indemnify and hold VirtSYS IT harmless from any claims, actions, or demands for compensation or damages that may be brought against VirtSYS IT by anyone. 10.4 In the event of an error reported by VirtSYS IT during the issuance of the electronic invoice, the Client is required to adjust the missing or incorrect data. Depending on the logic of the Service, the billing data, as updated by the Client, may also be replicated to the master data and/or the data of the account holder. Therefore, VirtSYS IT cannot be held responsible for any penalties, losses, or damages resulting directly or indirectly from delays or errors in updating such data, as...
OBLIGATIONS AND RIGHTS OF THE CLIENT. The Client is obliged to: 1. Timely pay for educational services in the amount and the manner prescribed by the contract. 2. To comply with the obligations provided by Article 63 of the Law of Ukraine "On Higher Education," to comply with other requirements of the legislation of Ukraine, the Charter of DSTU, the Rules of Procedure of DSTU, and other regulations of DSTU. 3. Follow academic discipline and attend classes under the curriculum and schedule of the educational process. 4. Within a week before the issuance of a temporary residence permit and registration of residence and enrollment in training, submit to the CPTWFS of DSTU the following documents: - questionnaire of the established sample; - a notarized copy with a translation into Ukrainian of the certificate of education indicating the subjects studied and the grades (points) obtained on them; - a document on the absence of HIV infection; - medical certificate of health, certified by the official health authority of the country from which the foreigner arrived, not later than two months before leaving for study in Ukraine; - insurance policy for emergency medical care; - a copy of passport; - 6 photos measuring 30 × 40 mm; - return ticket with open date of return home for one year. The Client is responsible for the authenticity of the documents submitted to DSTU. At his own expense to leave the territory of Ukraine and go to the country of permanent residence after completing training in the preparatory department or continue training in the Free Economic Zone of Ukraine under a new agreement.
OBLIGATIONS AND RIGHTS OF THE CLIENT 

Related to OBLIGATIONS AND RIGHTS OF THE CLIENT

  • Obligations of the Client 4.1. The client undertakes to inform the company in advance (meaning no later than 2 calendar days) about the dispatch of the goods, by entering the shipment into the Xxxxx.xxx software. 4.1.1. In case of non-compliance with subparagraph 3.2.1 of this agreement, the company has the right to refuse the client in accepting and placing his goods at the warehouse. 4.2. To send goods from the warehouse or to carry out other operations, the client is obliged to provide his client number (client ID) and data of the goods.

  • Obligations of the Customer 3.1 The Customer agrees to: (a) The Customer shall give the Company not less than 14 days prior written notice of any proposed change of ownership of the Customer and or any change in the Customer’s details (including but not limited to, changes in the customer’s name, address, contact phone/fax numbers or business practice). The Customer shall be liable for any loss incurred by the Company as a result of the Customers failure to comply with this clause. (b) Pay the Company the Price for carrying out the Works in accordance with this agreement; (c) Provide the Company with all necessary plans, specifications, services and amenities, so as to allow the Company to carry out the Works, provide access to the Location and ensure to the Company’s reasonable satisfaction that the Location remains in a state and condition that is safe for the Company and its employees and agents; (d) Ensure the Location complies with all necessary bylaws and restrictions is structurally sound (in accordance with all legislation governing safety in the workplace); (e) Not to cause any disruption or obstruction to the carrying out of any Works and to follow any reasonable instructions provided by the Company about the Works; (f) Where the Works requires co-ordination with other trades then the Customer will supply the Company with a schedule detailing all relevant information so as to allow the Company sufficient time to co-ordinate with the Customer’s other tradespersons; (g) Permit the Company to attach such reasonable signage as the Company may wish to any Works so as to identify that the Company is carrying out the Works; (h) In circumstances where it wishes to make a claim against the Company pursuant to the guarantee given in clause 13.2, exclusively permit the Company or its authorised representative to remedy or make good any defects in its Workmanship and not permit any other third party to do so. 3.2 Without prejudice to any other right or remedy of the Company, if the Customer fails to carry out or perform any of its obligations pursuant to this clause 3 (excepting clause 3.1(g)) then, in addition to any Additional Expenses Charge that may apply, the Company may charge the Customer a Services Delay Charge for each day (or part thereof) that the Company is, in its reasonable opinion, unable and/or not required to carry out or perform the Works as a result of such breach by the Customer. 3.3 Where the Customer requests any Related Work to be carried out, the Company will use its best endeavours to source suppliers and/or contractors to carry out the Related Work, but the Customer is responsible for the commissioning, controlling, and payment for such work. 3.4 The Customer acknowledges that unless otherwise agreed in writing between the Customer and the Company, the Customer shall be responsible for obtaining, paying for and maintaining in force all permits, approvals, authorisations, authorities, licences and consents of all regulatory authorities whatsoever which are or may be necessary or advisable in connection with the Works.

  • Contracts (Rights of Third Parties ACT 1999

  • THE CONTRACTS (RIGHTS OF THIRD PARTIES ACT 1999

  • Obligations of the Consultant Conduct of the Services

  • Obligations of the Company Upon Termination (a) Termination Other Than for Cause, Death or Disability if Employee ----------------------------------------------------------------- Agrees to Cancellation of Change of Control Agreement. If, during the ----------------------------------------------------- Employment Period, the Company shall terminate the Executive's employment other than for Cause or death or Disability, and, subject to (i) the execution by the Executive of the Release attached as Exhibit A hereto, and (ii) the automatic cancellation of any right the Executive might otherwise have under the Change of Control Agreement previously entered into between the Executive and the Company, a copy of which is attached as Exhibit B, the Executive shall be entitled to all of the following: (i) the Company shall pay to the Executive in a lump sum in cash within 15 calendar days after the Date of Termination the aggregate of the following amounts: A. the sum of (1) the Executive's Annual Base Salary through the Date of Termination to the extent not theretofore paid, (2) the product of (x) the higher of (I) the Minimum Bonus and (II) the Annual Bonus paid or payable, including any bonus or portion thereof, which has been earned but deferred (and annualized for any fiscal year consisting of less than twelve full months or during which the Executive was employed for less than twelve full months), for the most recently completed fiscal year during the Employment Period, if any (such higher amount being referred to as the "Highest Annual Bonus") and (y) a fraction, the numerator of which is the number of days in the current fiscal year through the Date of Termination, and the denominator of which is 365, and (3) any compensation previously deferred by the Executive (together with any accrued interest or earnings thereon) and any accrued vacation pay, in each case to the extent not theretofore paid (the sum of the amounts described in clauses (1), (2), and (3) shall be hereinafter referred to as the "Accrued Obligations"); and B. an amount equal to the product of (1) three and (2) the highest amount actually paid to the Executive in cash compensation (that is, Annual Base Salary plus bonus(es) actually paid) in any one of the previous three calendar years; and C. an amount equal to the excess of (a) the actuarial equivalent of the benefit (utilizing actuarial assumptions no less favorable to the Executive than those in effect under the Company's qualified defined benefit retirement plan (the "Retirement Plan") and immediately prior to the Effective Date under the Retirement Plan, and any excess or supplemental retirement plan in which the Executive participates (together, the "SERP") which the Executive would receive if the Executive's employment continued for three years after the Date of Termination assuming for this purpose that all accrued benefits are fully vested, and, assuming that the Executive's compensation in each of the three years is that required by Section 3(b)(i) and Section 3(b)(ii), over (b) the actuarial equivalent of the Executive's actual benefit (paid or payable), if any, under the Retirement Plan and the SERP as of the Date of Termination; (ii) all stock options, restricted stock and other stock-based compensation shall become immediately exercisable or vested, as the case may be, and stock options shall be exercisable for three years thereafter; (iii) for the Continuation Period (as defined below), the Company shall continue to pay the premium for benefits to the Executive and/or the Executive's dependents equal to those which would have been provided to them in accordance with the plans, programs, practices and policies described in Section 3(b)(iv) of this Agreement if the Executive's employment had not been terminated or, if more favorable to the Executive, as in effect generally at any time thereafter with respect to other peer executives of the Company and its affiliated companies and their families, provided, however, that if the Executive becomes reemployed with another employer and is eligible to receive medical or other welfare benefits under another employer- provided plan, the medical and other welfare benefits described herein shall be secondary to those provided under such other plan during such applicable period of eligibility, and provided further that the Executive and the Executive's dependents otherwise are and remain eligible for coverage under the federal law COBRA. The Continuation Period shall be three years. For purposes of determining eligibility (but not the time of commencement of benefits) of the Executive for retiree benefits pursuant to such plans, practices, programs and policies, the Executive shall be considered to have remained employed until three years after the Date of Termination and to have retired on the last day of such period; (iv) the Company shall, at its sole expense as incurred, provide the Executive with reasonable outplacement services the scope and provider of which shall be selected by the Executive in his sole discretion; and (v) to the extent not theretofore paid or provided, the Company shall timely pay or provide to the Executive any other amounts or benefits, other than (x) severance benefits and (y) any benefits or payments under the Change of Control Agreement (Exhibit B), all rights to which the Executive shall have relinquished as partial consideration for the payments and benefits under this Section 5(a), that are required to be paid or provided or which the Executive is eligible to receive under any plan, program, policy or practice or contract or agreement of the Company and its affiliated companies (such other amounts and benefits shall be hereinafter referred to as the "Other (b) Termination Other than for Cause, Death or Disability if the Executive ---------------------------------------------------------------------- Does Not Agree to Cancellation of Change of Control Agreement. If, ------------------------------------------------------------- during the Employment Period, the Company shall terminate the Executive's employment other than for Cause, death or Disability, and the Executive elects to maintain in effect the Change of Control Agreement previously entered into between the Executive and the Company, a copy of which is attached as Exhibit B, this Agreement shall terminate without further obligations on the part of the Company to the Executive other than obligation to pay to the Executive (x) his or her Annual Base Salary through the Date of Termination, (y) the amount of any compensation previously deferred by the Executive, and (z) Other Benefits, in each case to the extent theretofore unpaid.

  • OBLIGATIONS AND ACTIVITIES OF CONTRACTOR AS BUSINESS ASSOCIATE 1. CONTRACTOR agrees not to use or further disclose PHI COUNTY discloses to CONTRACTOR other than as permitted or required by this Business Associate Contract or as required by law. 2. XXXXXXXXXX agrees to use appropriate safeguards, as provided for in this Business Associate Contract and the Agreement, to prevent use or disclosure of PHI COUNTY discloses to CONTRACTOR or CONTRACTOR creates, receives, maintains, or transmits on behalf of COUNTY other than as provided for by this Business Associate Contract. 3. XXXXXXXXXX agrees to comply with the HIPAA Security Rule at Subpart C of 45 CFR Part 164 with respect to electronic PHI COUNTY discloses to CONTRACTOR or CONTRACTOR creates, receives, maintains, or transmits on behalf of COUNTY. 4. CONTRACTOR agrees to mitigate, to the extent practicable, any harmful effect that is known to CONTRACTOR of a Use or Disclosure of PHI by CONTRACTOR in violation of the requirements of this Business Associate Contract. 5. XXXXXXXXXX agrees to report to COUNTY immediately any Use or Disclosure of PHI not provided for by this Business Associate Contract of which CONTRACTOR becomes aware. CONTRACTOR must report Breaches of Unsecured PHI in accordance with Paragraph E below and as required by 45 CFR § 164.410. 6. CONTRACTOR agrees to ensure that any Subcontractors that create, receive, maintain, or transmit PHI on behalf of CONTRACTOR agree to the same restrictions and conditions that apply through this Business Associate Contract to CONTRACTOR with respect to such information. 7. CONTRACTOR agrees to provide access, within fifteen (15) calendar days of receipt of a written request by COUNTY, to PHI in a Designated Record Set, to COUNTY or, as directed by COUNTY, to an Individual in order to meet the requirements under 45 CFR § 164.524. If CONTRACTOR maintains an Electronic Health Record with PHI, and an individual requests a copy of such information in an electronic format, CONTRACTOR shall provide such information in an electronic format. 8. CONTRACTOR agrees to make any amendment(s) to PHI in a Designated Record Set that COUNTY directs or agrees to pursuant to 45 CFR § 164.526 at the request of COUNTY or an Individual, within thirty (30) calendar days of receipt of said request by COUNTY. XXXXXXXXXX agrees to notify COUNTY in writing no later than ten (10) calendar days after said amendment is completed. 9. CONTRACTOR agrees to make internal practices, books, and records, including policies and procedures, relating to the use and disclosure of PHI received from, or created or received by CONTRACTOR on behalf of, COUNTY available to COUNTY and the Secretary in a time and manner as determined by COUNTY or as designated by the Secretary for purposes of the Secretary determining COUNTY’S compliance with the HIPAA Privacy Rule. 10. CONTRACTOR agrees to document any Disclosures of PHI COUNTY discloses to CONTRACTOR or CONTRACTOR creates, receives, maintains, or transmits on behalf of COUNTY, and to make information related to such Disclosures available as would be required for COUNTY to respond to a request by an Individual for an accounting of Disclosures of PHI in accordance with 45 CFR § 164.528. 11. CONTRACTOR agrees to provide COUNTY or an Individual, as directed by COUNTY, in a time and manner to be determined by COUNTY, that information collected in accordance with the Agreement, in order to permit COUNTY to respond to a request by an Individual for an accounting of Disclosures of PHI in accordance with 45 CFR § 164.528. 12. XXXXXXXXXX agrees that to the extent CONTRACTOR carries out COUNTY’s obligation under the HIPAA Privacy and/or Security rules CONTRACTOR will comply with the requirements of 45 CFR Part 164 that apply to COUNTY in the performance of such obligation. 13. If CONTRACTOR receives Social Security data from COUNTY provided to COUNTY by a state agency, upon request by COUNTY, CONTRACTOR shall provide COUNTY with a list of all employees, subcontractors and agents who have access to the Social Security data, including employees, agents, subcontractors and agents of its subcontractors. 14. CONTRACTOR will notify COUNTY if CONTRACTOR is named as a defendant in a criminal proceeding for a violation of HIPAA. COUNTY may terminate the Agreement, if CONTRACTOR is found guilty of a criminal violation in connection with HIPAA. COUNTY may terminate the Agreement, if a finding or stipulation that CONTRACTOR has violated any standard or requirement of the privacy or security provisions of HIPAA, or other security or privacy laws are made in any administrative or civil proceeding in which CONTRACTOR is a party or has been joined. COUNTY will consider the nature and seriousness of the violation in deciding whether or not to terminate the Agreement.

  • Obligations of the Contractor (i) Subject to and on the terms and conditions of this Agreement, the Contractor shall undertake the survey, investigation, design, engineering, procurement, construction, and maintenance of the Project Highway and observe, fulfil, comply with and perform all its obligations set out in this Agreement or arising hereunder. (ii) The Contractor shall comply with all Applicable Laws and Applicable Permits (including renewals as required) in the performance of its obligations under this Agreement. (iii) Subject to the provisions of Clauses 4.1 (i) and 4.1 (ii), the Contractor shall discharge its obligations in accordance with Good Industry Practice and as a reasonable and prudent person. (iv) The Contractor shall remedy any and all loss, defects, or damage to the Project Highway from the Appointed Date until the end of the Construction Period at the Contractor’s cost, save and except to the extent that any such loss, defect, or damage shall have arisen from any wilful default or neglect of the Authority. (v) The Contractor shall remedy any and all loss, defect or damage to the Project Highway during the Defects Liability Period at the Contractor’s cost to the extent that such loss, defect or damage shall have arisen out of the reasons specified in Clause 17.3. (vi) The Contractor shall remedy any and all loss or damage to the Project Highway during the Maintenance Period at the Contractor’s cost, including those stated in Clause 14.1 (ii), save and except to the extent that any such loss or damage shall have arisen on account of any wilful default or neglect of the Authority or on account of a Force Majeure Event. (vii) The Contractor shall, at its own cost and expense, in addition to and not in derogation of its obligations elsewhere set out in this Agreement: (a) make, or cause to be made, necessary applications to the relevant Government Instrumentalities with such particulars and details as may be required for obtaining Applicable Permits set forth in Schedule-F and obtain and keep in force and effect such Applicable Permits in conformity with the Applicable Laws; (b) procure, as required, the appropriate proprietary rights, licences, agreements and permissions for Materials, methods, processes and systems used or incorporated into the Project Highway; (c) make reasonable efforts to maintain harmony and good industrial relations among the personnel employed byit or its Sub-contractors in connection with the performance of its obligations under this Agreement; (d) ensure and procure that its Sub-contractors comply with all Applicable Permits and Applicable Laws in the performance by them of any of the Contractor’s obligations under this Agreement; (e) not do or omit to do any act, deed or thing which may in any manner violate any provisions of this Agreement; (f) support, cooperate with and facilitate the Authority in the implementation and operation of the Project in accordance with the provisions of this Agreement; (g) ensure that the Contractor and its Sub-contractors comply with the safety and welfare measures for labour in accordance with the Applicable Laws and Good Industry Practice; (h) keep, on Site, a copy of this Agreement, publications named in this Agreement, the Drawings, Documents relating to the Project, and Change of Scope orders and other communications given under this Agreement. The Authority’s Engineer and its authorised personnel shall have the right of access to all these documents at all reasonable times; (i) cooperate with other contractors employed by the Authority and personnel of any public authority; and (j) not interfere unnecessarily or improperly with the convenience of the public, or the access to and use and occupation of all roads and footpaths, irrespective of whether they are public or in the possession of the Authority or of others. (viii) The Contractor shall undertake all necessary superintendence to plan, arrange, direct, manage, inspect and test the Works. The Contractor shall provide all necessary superintendence of the Works for the proper fulfilling of the Contractor's obligations under the Agreement. Such superintendence shall be given by competent person having adequate knowledge of the operations to be carried out (including the methods and techniques required, the hazards likely to be encountered and methods of preventing accidents) for the satisfactory and safe execution of the Works. (ix) The Contractor shall obtain and maintain a project related bank account operational at site where all transactions related to the payment of work will be done. The Contractor shall submit a monthly account statement and a detailed report on utilization of funds transferred to this project related bank account to Authority’s Engineer. Notwithstanding anything contrary to this agreement, the authority, in the interest and to ensure timely completion of the work, reserves the right to audit such bank accounts to ensure that there is no diversion of funds from this project specific account to any other project being implemented by the Contractor. (x) The Contractor shall provide the documents of the Contractor specified in the Agreement, and all Contractors' personnel; Goods, consumables and other things and services, whether of a temporary or permanent nature, required in and for the execution, completion of Works and remedying defects. (xi) The Contractor shall perform the Works in conformity with the Project requirements and other requirements and standards prescribed under or pursuant to the Agreement. (xii) The Contractor shall carry out such work incidental and contingent to the original Scope of the Project to comply with Good Industry Practices. (xiii) The Contractor shall maintain required staff and necessary Contractor’s equipment and materials within the reach of the Site during the Defects Liability Period so that any defects arising are promptly attended.

  • Obligations of Client (a) The Client is bound by and must comply at all times with all rules, protocols, policies, procedures and induction requirements published by Viterra from time to time in the Pricing, Procedures and Protocols Manual, including those in relation to: (i) the terms and conditions of the Export Select and Purchase Option services offered by Viterra; (ii) health, safety and environment; (iii) site rules; (iv) labour ordering conditions for shipping; (v) operating conditions for Viterra's rail facilities; (vi) access and operating conditions for road movements at Viterra facilities, and must comply with all reasonable directions issued by Viterra. (b) While on any premises owned or operated by Viterra, the Client must (and must ensure that its employees, agents and contractors) comply with all reasonable directions given by Viterra's representatives, and do not create or bring on site any hazard or contamination.

  • Obligations of the Company Whenever required under this Section 2 to effect the registration of any Registrable Securities, the Company shall, as expeditiously as reasonably possible: (a) prepare and file with the SEC a registration statement with respect to such Registrable Securities and use its commercially reasonable efforts to cause such registration statement to become effective and, upon the request of the Holders of a majority of the Registrable Securities registered thereunder, keep such registration statement effective for a period of up to one hundred twenty (120) days or, if earlier, until the distribution contemplated in the registration statement has been completed; provided, however, that (i) such one hundred twenty (120) day period shall be extended for a period of time equal to the period the Holder refrains, at the request of an underwriter of Common Stock (or other securities) of the Company, from selling any securities included in such registration, and (ii) in the case of any registration of Registrable Securities on Form S-3 that are intended to be offered on a continuous or delayed basis, subject to compliance with applicable SEC rules, such one hundred twenty (120) day period shall be extended for up to sixty (60) days, if necessary, to keep the registration statement effective until all such Registrable Securities are sold; (b) prepare and file with the SEC such amendments and supplements to such registration statement, and the prospectus used in connection with such registration statement, as may be necessary to comply with the Securities Act in order to enable the disposition of all securities covered by such registration statement; (c) furnish to the selling Holders such numbers of copies of a prospectus, including a preliminary prospectus, as required by the Securities Act, and such other documents as the Holders may reasonably request in order to facilitate their disposition of their Registrable Securities; (d) use its commercially reasonable efforts to register and qualify the securities covered by such registration statement under such other securities or blue-sky laws of such jurisdictions as shall be reasonably requested by the selling Holders; provided that the Company shall not be required to qualify to do business or to file a general consent to service of process in any such states or jurisdictions, unless the Company is already subject to service in such jurisdiction and except as may be required by the Securities Act; (e) in the event of any underwritten public offering, enter into and perform its obligations under an underwriting agreement, in usual and customary form, with the underwriter(s) of such offering; (f) use its commercially reasonable efforts to cause all such Registrable Securities covered by such registration statement to be listed on a national securities exchange or trading system and each securities exchange and trading system (if any) on which similar securities issued by the Company are then listed; (g) provide a transfer agent and registrar for all Registrable Securities registered pursuant to this Agreement and provide a CUSIP number for all such Registrable Securities, in each case not later than the effective date of such registration; (h) promptly make available for inspection by the selling Holders, any managing underwriter(s) participating in any disposition pursuant to such registration statement, and any attorney or accountant or other agent retained by any such underwriter or selected by the selling Holders, all financial and other records, pertinent corporate documents, and properties of the Company, and cause the Company’s officers, directors, employees, and independent accountants to supply all information reasonably requested by any such seller, underwriter, attorney, accountant, or agent, in each case, as necessary or advisable to verify the accuracy of the information in such registration statement and to conduct appropriate due diligence in connection therewith; (i) notify each selling Holder, promptly after the Company receives notice thereof, of the time when such registration statement has been declared effective or a supplement to any prospectus forming a part of such registration statement has been filed; and (j) after such registration statement becomes effective, notify each selling Holder of any request by the SEC that the Company amend or supplement such registration statement or prospectus. In addition, the Company shall ensure that, at all times after any registration statement covering a public offering of securities of the Company under the Securities Act shall have become effective, its xxxxxxx xxxxxxx policy shall provide that the Company’s directors may implement a trading program under Rule 10b5-1 of the Exchange Act.

Draft better contracts in just 5 minutes Get the weekly Law Insider newsletter packed with expert videos, webinars, ebooks, and more!