Payment Gateway Services Sample Clauses

Payment Gateway Services. The Contractor shall have connectivity and interfacing capabilities that will enable Authorized Users to acquire third- party Payment Gateway Services or to work with various third-party Payment Gateway Service providers that are already in use by Authorized Users. If Contractor is an authorized Reseller of any third-party Payment Gateway Services provider (e.g. Xxxxxxxxx.xxx, PayPal, etc.), Contractor may include the applicable fees for use of such third-party Payment Gateway Services on Attachment 1Contract Pricelist for inclusion on the Contract, subject to approval by OGS. Fees not included on Attachment 1 – Contract Pricelist cannot be charged to the Authorized User. Other third-party Payment Gateway Service providers for which Contractor is not an authorized Reseller, but that Contractor is capable of working with and processing payments from will be listed for informational purposes only on the OGS website, for Authorized Users’ consideration when making purchasing decisions from the Contract(s). Any fees charged for using a third-party Payment Gateway Service provider for which the Contractor is not an authorized Reseller must be charged to the Authorized User by the third-party Payment Gateway Service provider outside the scope of this Contract.
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Payment Gateway Services. Description: Single Supplier Framework Contract for the provision of Merchant Acquiring Services and Payment Gateway Services to Public Sector Bodies in Ireland Internal identifier: 2
Payment Gateway Services. Description of Item/Unit of Measure Frequency Fee 1.Installation Services (per ******** **) *** ******* $******
Payment Gateway Services. 3.1 The Supplier shall ensure a secure connection is used between the Customer’s website, the Payer, the Payment Gateway Services and the Merchant Acquiring Services at all times. 3.2 The Supplier shall ensure that Payment Gateway Services and systems provided to Customer to take payments online are in line with current industry standards in order that the Payment Gateway Services will reliably process each transaction within 3 seconds. 3.3 The Supplier shall ensure that all web-based interfaces used by the Customer or Payers meet, as a minimum, Level AA of the Web Content Accessibility Guidelines (WCAG) 2.0. 3.4 The Supplier shall maintain, as a minimum, the equivalent level of browser support as XXX.XX, documented at xxxxx://xxx.xxx.xx/service-manual/user-centred- design/browsers-and-devices 3.5 The Supplier shall ensure that the Payment Gateway Services pages are rendered correctly for compatibility with devices including, but not limited to:
Payment Gateway Services. Enable the Entity to accept the online payments made by a Valid Payment Instrument for a Transaction at the Entity’s Website or Mobile Application by allowing the Entity to integrate the Entity’s Website/Mobile Application/Billing System with the Paytm Platform. The terms and conditions are more specifically provided in Schedule B attached hereto.
Payment Gateway Services. As part of its Payment Gateway Services, the Bank requires you to use a Gateway Services Provider from the Bank’s approved listing of Gateway Services Providers. This selection will be based on the Bank’s assessment of your Merchant Risk rating and the feature-set of the Gateway Services Providers at the time of onboarding. The Bank will provide you with services which may include one or more of the following: (i) enabling of Transactions to be routed to one or several Card Associations; (ii) technical reception of the information regarding the status of Transactions; (iii) information reporting including information related to Transactions, Response messages, Summary Reports for audit and reconciliation purposes; (iv) Tokenization Service; (v) 3-D Secure Payer Authentication Solutions; (vi) Recurring billing and one-off billing management (vii) Fraud and Risk Management Service; (viii) Hosted Payment Page(s), if applicable; (ix) Technical Integration Support; (x) Technical Support Services; The Bank may adjust the content and interfaces of the Gateway Services (including the Hosted Payment Pages, if applicable) to keep the Gateway Service up to date with Card Association and industry requirements. If such adjustments require you to make necessary changes in your software, interfaces or operating procedures, we will inform you as soon as reasonably practicable prior to the execution of such adjustments. You shall be responsible for your own costs with respect to such changes to your software, interfaces or operating procedures.

Related to Payment Gateway Services

  • Beta Services From time to time, We may invite You to try Beta Services at no charge. You may accept or decline any such trial in Your sole discretion. Beta Services will be clearly designated as beta, pilot, limited release, developer preview, non-production, evaluation or by a description of similar import. Beta Services are for evaluation purposes and not for production use, are not considered “Services” under this Agreement, are not supported, and may be subject to additional terms. Unless otherwise stated, any Beta Services trial period will expire upon the earlier of one year from the trial start date or the date that a version of the Beta Services becomes generally available. We may discontinue Beta Services at any time in Our sole discretion and may never make them generally available. We will have no liability for any harm or damage arising out of or in connection with a Beta Service.

  • Distribution Services 3.1. Distributor will have the right, as agent for the Fund, to enter into dealer agreements with responsible investment dealers, and to sell Shares to such investment dealers against orders therefor at the public offering price (as defined below) stated in the Fund’s effective Registration Statement on Form N-2 under the 1940 Act and the Securities Act of 1933, as amended (the “Securities Act”), including the then-current prospectus and statement of additional information (the “Registration Statement”). Upon receipt of an order to purchase Shares from a dealer with whom Distributor has a dealer agreement, Distributor will promptly cause such order to be filled by the Fund. 3.2. Distributor will also have the right, as agent for the Fund, to sell such Shares to the public against orders therefor at the public offering price (as defined below) and in accordance with the Registration Statement. 3.3. Distributor will also have the right to take, as agent for the Fund, all actions which, in Distributor’s reasonable judgment, are necessary to carry into effect the distribution of the Shares. 3.4. The “public offering price” for the Shares of the Fund shall be the net asset value (“NAV”) of the Shares then in effect, plus any applicable sales charge determined in the manner set forth in the Registration Statement or as permitted by the 1940 Act and the rules and regulations promulgated by the SEC or other applicable regulatory agency or self-regulatory organization under the oversight of the SEC. In no event shall any applicable sales charge exceed the maximum sales charge permitted by the Rules of FINRA. 3.5. The NAV of the Shares of the Fund shall be determined in the manner provided in the Registration Statement, and when determined shall be applicable to transactions as provided for in the Registration Statement. The NAV of the Shares shall be calculated by the Fund or by another entity on behalf of the Fund. Distributor shall have no duty to inquire into or liability for the accuracy of the NAV per Share as calculated. 3.6. On every sale, the Fund shall receive the applicable NAV of the Shares promptly, but in no event later than the third business day following the date on which Distributor shall have received an order for the purchase of the Shares. 3.7. Upon receipt of purchase instructions, Distributor will transmit such instructions to the Fund or its transfer agent for the issuance and registration of the Shares purchased. 3.8. Distributor, as agent of and for the account of the Fund, may repurchase the Shares at such prices and upon such terms and conditions as shall be specified in the Registration Statement. 3.9. Distributor shall maintain membership with the National Securities Clearing Corporation (“NSCC”) and any other similar successor organization to sponsor a participant number for the Fund so as to enable the Shares to be traded through FundSERV. The Distributor shall not be responsible for any operational matters associated with FundSERV or networking transactions. 3.10. Distributor will review all proposed advertising materials and sales literature for compliance with Applicable Law and shall file such materials with appropriate regulators as required by current laws and regulations. Distributor agrees to furnish the Fund with any comments provided by regulators with respect to such materials. 3.11. Distributor shall prepare or cause to be prepared reports for the Board of Trustees (the “Board”) of the Fund regarding its activities under this Agreement as reasonably requested by the Board.

  • Hospice Services Services are available for a Member whose Attending Physician has determined the Member's illness will result in a remaining life span of six months or less.

  • Hosting Services 13.1 If Supplier or its subcontractor, affiliate or any other person or entity providing products or services under the Contract Hosts Customer Data in connection with an Acquisition, the provisions of Appendix 1, attached hereto and incorporated herein, apply to such Acquisition. 13.2 If the Hosting of Customer Data by Supplier or its subcontractor, affiliate or any other person or entity providing products or services under the Contract contributes to or directly causes a Data Breach, Supplier shall be responsible for the obligations set forth in Appendix 1 related to breach reporting requirements and associated costs. Likewise if such Hosting contributes to or directly causes a Security Incident, Supplier shall be responsible for the obligations set forth in Appendix 1, as applicable. 14 Change Management

  • Educational Services Any service or supply for education, training or retraining services or testing including: special education, remedial education; cognitive remediation; wilderness/outdoor treatment, therapy or adventure programs (whether or not the program is part of a Residential Treatment facility or otherwise licensed institution); job training or job hardening programs; educational services and schooling or any such related or similar program including therapeutic programs within a school setting.

  • FUND ADMINISTRATION SERVICES BNY Mellon shall provide the following fund administration services for each Fund, Series and class:  Calculate Fund approved income and per share amounts required for periodic distributions to be made by the applicable Fund, Series or class;  Coordinate a Fund’s annual audit and respond timely and completely to related requests;  Cooperate with each Fund’s independent auditors;  Supply various normal and customary portfolio and Fund statistical data as requested on an ongoing basis; and  If the chief executive officer or chief financial officer of a Fund is required to provide a certification as part of the Fund’s Form N-Q or Form N-CSR filing pursuant to regulations promulgated by the SEC under Section 302 of the Xxxxxxxx-Xxxxx Act of 2002, provide a sub-certification in support of certain matters set forth in the aforementioned certification. Such sub-certification is to be in such form and relating to such matters as reasonably agreed to by BNY Mellon in advance. BNY Mellon shall be required to provide the sub-certification only during the term of this Agreement with respect to the applicable Fund or Series and only if it receives such cooperation as it may request to perform its investigations with respect to the sub-certification. For clarity, the sub-certification is not itself a certification under the Xxxxxxxx-Xxxxx Act of 2002 or under any other law, rule or regulation. BNY Mellon shall provide the following regulatory administration services for each Fund and Series:  Assist the Fund in responding to SEC examination requests by providing requested documents in the possession of BNY Mellon that are on the SEC examination request list and by making employees responsible for providing services available to regulatory authorities having jurisdiction over the performance of such services as may be required or reasonably requested by such regulatory authorities;  Assist with and/or coordinate such other filings, notices and regulatory matters and other due diligence requests or requests for proposal on such terms and conditions as BNY Mellon and the applicable Fund on behalf of itself and its Series may mutually agree upon in writing from time to time; and

  • Data Services In lieu of any other rates or discounts, the Customer will receive a discount equal to 20% for the following Data Services: Access: Standard VBS3Guide local loop charges for DS-0, DS-1 and DS-3 Access Service.

  • Education services 1.1 Catholic education is intrinsic to the mission of the Church. It is one means by which the Church fulfils its role in assisting people to discover and embrace the fullness of life in Xxxxxx. Catholic schools offer a broad, comprehensive curriculum imbued with an authentic Catholic understanding of Xxxxxx and his teaching, as well as a lived appreciation of membership of the Catholic Church. Melbourne Archdiocese Catholic Schools Ltd (MACS) governs the operation of MACS schools and owns, governs and operates the School. 1.2 Parents and guardians, as the first educators of their children, enter into a partnership with the Catholic school to promote and support their child’s education. Parents and guardians must assume a responsibility for maintaining this partnership by supporting the school in the provision of education to their children within the scope of School's registration and furthering the spiritual and academic life of their children.

  • Support Services Rehabilitation, counselling and EAP’s. Support is strictly non- punitive, and can be accessed at anytime (self-identification of the need for help is strongly encouraged).

  • Pharmacy Services The Contractor shall establish a network of pharmacies. The Contractor or its PBM must provide at least two (2) pharmacy providers within thirty (30) miles or thirty (30) minutes from a member’s residence in each county, as well as at least two (2) durable medical equipment providers in each county or contiguous county.

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