Properly Maintain The Client Account Sample Clauses

Properly Maintain The Client Account. Client is responsible for the administration and control of Account IDs and shall identify a security administrator to coordinate withSapphire Check.Client shall manage all Account IDs and notify Sapphire Check promptly if any Account ID becomes inactive or invalid.Client shall follow the policies and procedures of Sapphire Checkwith respect to account maintenance as communicated to Client from time to time.
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Properly Maintain The Client Account. Client is responsible for the administration and control of Account IDs and shall identify a security administrator to coordinate withIdentify Check.Client shall manage all Account IDs and notify Identify Check promptly if any Account ID becomes inactive or invalid.Client shall follow the policies and procedures of Identify Checkwith respect to account maintenance as communicated to Client from time to time.
Properly Maintain The Client Account. Upon request, Xxxxx-Xxxxxxx and Association, LLC, will grant access to services through the use of a secure Internet connection. Client shall designate a Principal Account user, who shall sign this Agreement. Only persons who have signed a Client Agreement shall have access to Client’s Client ID Number or Username information. Client is responsible for the administration and control of its Client ID Numbers or Usernames by its employees and third parties and shall identify a security administrator to coordinate with Xxxxx-Xxxxxxx and Associates, LLC. Client shall manage all ID Numbers and Usernames and notify Xxxxx-Xxxxxxx and Associates, LLC, promptly if any ID Number or Username becomes inactive or invalid or if there is another reason to restrict access to Client. Client shall follow the policies and procedures of Xxxxx-Xxxxxxx and Associates, LLC, with respect to account maintenance as communicated to Client from time to time.
Properly Maintain The Client Account. Client is responsible for the administration and control of Account IDs and passwords by its employees and third parties and shall identify a security administrator to coordinate with OPENonline. Client shall manage all Account IDs and passwords and notify OPENonline promptly if any Account ID becomes inactive or invalid. Client shall follow the policies and procedures of OPENonline with respect to account maintenance as communicated to Client from time to time.
Properly Maintain The Client Account. Client is responsible for the administration and control of Account IDs by its employees and third parties and shall identify a security administrator to coordinate with AAIM. Client shall manage all Account IDs and notify AAIM promptly if any Account ID becomes inactive or invalid. Client shall follow the policies and procedures of AAIM with respect to account maintenance as communicated to Client from time to time.
Properly Maintain The Client Account. Client is responsible for the administration and control of Account IDs by its employees and third parties and shall identify a security administrator to coordinate with BIS. Client shall manage all Account IDs and notify BIS promptly if any Account ID becomes inactive or invalid. Client shall follow the policies and procedures of BIS with respect to account maintenance as communicated to Client from time to time.

Related to Properly Maintain The Client Account

  • Health Spending Account contributions by the Executive will cease on the Effective Date. The Executive may submit claims against the balance accrued to the Effective Date, until the end of the calendar year in which the Effective Date occurs.

  • Health Spending Account (HSA Wellness Spending Account (WSA)/Registered Retirement Savings Plan (RRSP) utilization rates;

  • Your Account If you use this site, you are responsible for maintaining the confidentiality of your account and password and for restricting access to your computer, and you agree to accept responsibility for all activities that occur under your account or password. You may not assign or otherwise transfer your account to any other person or entity. You acknowledge that ISR is not responsible for third party access to your account that results from theft or misappropriation of your account. ISR and its associates reserve the right to refuse or cancel service, terminate accounts, or remove or edit content in our sole discretion. ISR does not knowingly collect, either online or offline, personal information from persons under the age of thirteen. If you are under 18, you may use xxx.xxxxxxxxxxxxxxxxxxxxxxxxx.xxx only with permission of a parent or guardian. All cancellation or refund requests must be emailed to xxxxx@xxx-xxx.xxx for review. Some items may have a restocking fee, depending on product type and freight considerations. xxx.xxxxxxxxxxxxxxxxxxxxxxxxx.xxx may contain links to other websites ("Linked Sites"). The Linked Sites are not under the control of ISR and ISR is not responsible for the contents of any Linked Site, including without limitation any link contained in a Linked Site, or any changes or updates to a Linked Site. ISR is providing these links to you only as a convenience, and the inclusion of any link does not imply endorsement by ISR of the site or any association with its operators. Certain services made available via xxx.xxxxxxxxxxxxxxxxxxxxxxxxx.xxx are delivered by third party sites and organizations. By using any product, service or functionality originating from the xxx.xxxxxxxxxxxxxxxxxxxxxxxxx.xxx domain, you hereby acknowledge and consent that ISR may share such information and data with any third party with whom ISR has a contractual relationship to provide the requested product, service or functionality on behalf of xxx.xxxxxxxxxxxxxxxxxxxxxxxxx.xxx users and customers.

  • Operating Account To the extent funds are not required to be placed in a lockbox pursuant to any Loan Documents, Property Manager shall deposit all rents and other funds collected from the operation of the Property in a reputable bank or financial institution in a special trust or depository account or accounts for the Property maintained by Property Manager for the benefit of the Company (such accounts, together with any interest earned thereon, shall collectively be referred to herein as the “Operating Account”). Property Manager shall maintain books and records of the funds deposited in and withdrawals from the Operating Account. With funds from Company, Property Manager shall maintain the Operating Account so that an amount at least as great as the budgeted expenses for such month is in the Operating Account as of the first of each month. From the Operating Account, Property Manager shall pay the operating expenses of the Property and any other payments relative to the Property as required by this Agreement. If more than one account is necessary to operate the Property, each account shall have a unique name, except to the extent any Lender requires sub-accounts within any account. Within three (3) months after receipt by Property Manager, all rents and other funds collected in the Operating Account, after payment of all operating expenses, debt service and such amounts as may be determined by the Property Manager to be retained for reserves or improvements, shall be paid to the Company.

  • Deposit Account If you are issued a secured Card, you have signed or will be required to sign a separate security agreement pledging a specific, non-withdrawable portion of your shares and/or deposits in BECU to secure your Card. The amount of the security for such a Card is the amount of your credit limit and you may not have any access to or control of that amount.

  • Account Access Electronic Check Transactions may only be made from your checking account.

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