Procedures for Alleged Noncompliance Sample Clauses

Procedures for Alleged Noncompliance. In the event that either Party believes (“Alleging Party”) the other Party (“Noncompliant Party”) is not in compliance with any provision of this Insight Agreement, Alleging Party shall deliver to the Noncompliant Party in writing a notice stating the reason for noncompliance and any alleged action necessary to correct the noncompliance (“Notice of Default”). The notice shall include the Section of this Insight Agreement alleged to be violated, the nature of the alleged default, and, where appropriate, the manner and period of time in which it may be satisfactorily corrected. Notices must be delivered in accordance with this Insight Agreement. The Noncompliant Party will have thirty (30) days to respond in writing to the notice of noncompliance. The response shall be either that (a) the Noncompliant Party agrees with the notice of noncompliance and shall state what the Noncompliant Party shall do to cure the noncompliance and when it will be accomplished; or (b) the Noncompliant Party denies the notice of noncompliance. If the Noncompliant Party fails to respond, such silence shall be deemed a denial. If the Noncompliant Party agrees, then the Alleging Party shall either accept the proposed cure and time frame or provide written notice to the Noncompliant Party of its objections to the proposed cure and time frame. If the Noncompliant Party denies the alleged noncompliance, is deemed to have denied the alleged noncompliance, or if the Alleging Party and Noncompliant Party cannot agree on a cure and/or time frame, then the proceedings under Section 9.03 of this Insight Agreement shall apply.
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Related to Procedures for Alleged Noncompliance

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  • Notification of Non-Compliance If Seller is unable to comply with the obligations stated in this Section, Seller shall promptly notify Apple, and Apple may take any one or more of the following actions: (i) suspend the transfer of Confidential Data to Seller; (ii) require Seller to cease processing Confidential Data; (iii) demand the secure return or destruction of Confidential Data; and/or (iv) immediately terminate this Agreement.

  • Consequences for Non-Compliance If the Department has reason to believe that the District is not in substantial compliance with one or more of the statutory or regulatory requirements applicable to the District, the Department shall notify the District that it has ninety (90) days after the date of notice to come into compliance. If, at the end of the ninety-day period, the Department finds the District is not substantially in compliance with the applicable statutory or regulatory requirements, meaning that the District has not yet taken the necessary measures to ensure that it meets the applicable legal requirements as soon as practicable, the District may be subject to the interventions specified in sections 00-00-000 through 00-00-000, C.R.S. If the District has failed to comply with the provisions of article 44 of title 22 or article 45 of title 22, the District does not remedy the noncompliance within ninety (90) days and loss of accreditation is required to protect the interests of the students and parents of students enrolled in the District public schools, the Department may recommend to the State Board that the State Board remove the District’s accreditation. If the Department determines that the District has substantially failed to meet requirements specified in this accreditation contract and that immediate action is required to protect the interests of the students and parents of students enrolled in the District’s public schools, the Department may lower the District’s accreditation category.

  • Compliance with Executive Orders Concerning Ethics The Contractor warrants that he and his firm have complied in all respects with the Governor’s Executive Orders concerning ethics matters, including, but not limited to, Executive Order dated January 13, 2003 (establishing Code of Ethics for Executive Branch Officers and Employees, including provisions governing former officers and employees); Executive Order dated October 1, 2003 (governing vendors to state agencies and disclosure and registration of lobbyists); and O.C.G.A. Sections 21-5-70(5), 21-5-71 and 21-5-73, all as amended effective January 9, 2006 (requiring registration and disclosure filings by state agency vendor lobbyists). In this regard, the Contractor certifies that any lobbyist employed or retained by the Contractor or his firm has both registered and made the required disclosures required by the Executive Orders, as amended.

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