RESPONSIBILITIES OF THE GOVERNING BODY Sample Clauses

RESPONSIBILITIES OF THE GOVERNING BODY. 2.1 The Governing Body of the College has responsibilities for ensuring that the College’s funds are used only in accordance with the corporation’s powers as set out in the Further and Higher Education Act 1992 and the College’s own statutory duties and other obligations. 2.2 The Governing Body of the College has responsibilities for ensuring that the College’s funds are used only in accordance with the College's powers as set out in the Further and Higher Education Act 1992 and/or the College’s own statutory duties, articles of association or trust deeds and other obligations. 2.3 The Governing Body will appoint an accounting officer with an appropriate separation of duties between executive and non-executive roles and responsibilities. The expectation is that the accounting officer will be the Principal or most senior executive leader of the College. The Governing Body will inform the Department in writing of the name and position of the accounting officer, and if the accounting officer is absent from the College for an extended period, as determined by the corporation, the name of the person who will discharge the accounting officer’s responsibilities during the absence. 2.4 The College will inform the Department in writing, as soon as is reasonably practicable, of the vacating or filling of the positions of the Chair of the Governing Body, the Principal, the accounting officer, and the governance professional.
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RESPONSIBILITIES OF THE GOVERNING BODY. 2.1 The Governing Body of the SFC has responsibilities for ensuring that the SFC’s funds are used only in accordance with the corporation’s powers as set out in the Further and Higher Education Act 1992 (“FHE Act”) and the SFC’s own statutory duties and other obligations. 2.2 The Governing Body is responsible for ensuring the solvency of the SFC and shall inform the ESFA as soon as is reasonable practicable of any transactions that could jeopardise financial viability. The Governing Body is responsible for achieving value for money in all transactions involving public funds. 2.3 The Governing Body shall appoint an Accounting Officer with an appropriate separation of duties between executive and non-executive roles and responsibilities. The expectation is that the Accounting Officer will be the Principal of the SFC. The Governing Body shall inform the ESFA in writing of the name and position of the Accounting Officer, and if the Accounting Officer is absent from the SFC for an extended period, as determined by the corporation, the name of the person who will discharge the accounting officer’s responsibilities during the absence. 2.4 The SFC shall inform the ESFA in writing, as soon as is reasonably practicable, of the vacating or filling of the positions of the Chair of the Governing Body, the Principal and the clerk. 2.5 The Secretary of State for Education is the Charitable Regulator for SFCs. 2.6 The Governing Body of the SFC is responsible for ensuring it operates in line with its exempt charitable status. 2.7 The SFC understands and agrees that that the following costs are not Eligible Expenditure:- payments that support activity intended to influence or attempt to influence Parliament, government or political parties; or attempting to influence the awarding or renewal of contracts and grants; or attempting to influence legislative or regulatory action. The SFC’S costs of memberships for their Associations are eligible expenditure.
RESPONSIBILITIES OF THE GOVERNING BODY. 2.1 The Governing Body of the COLLEGE has responsibilities for ensuring that the COLLEGE’s funds are used only in accordance with the corporation’s powers as set out in the Further and Higher Education Act 1992 (“FHE Act”) and the COLLEGE’s own statutory duties and other obligations. 2.2 The Governing Body is responsible for ensuring the solvency of the COLLEGE. The Governing Body is responsible for achieving value for money in all transactions involving public funds. 2.3 The Governing Body shall appoint an Accounting Officer with an appropriate separation of duties between executive and non-executive roles and responsibilities. The expectation is that the Accounting Officer will be the Principal of the COLLEGE. The Governing Body shall inform the ESFA in writing of the name and position of the Accounting Officer, and if the Accounting Officer is absent from the COLLEGE for an extended period, as determined by the corporation, the name of the person who will discharge the accounting officer’s responsibilities during the absence. 2.4 The COLLEGE shall inform the ESFA in writing, as soon as is reasonably practicable, of the vacating or filling of the positions of the Chair of the Governing Body, the Principal and the clerk. 2.5 The Secretary of State for Education is the Principal Regulator for further education and sixth form college corporations as exempt charities. 2.6 The Governing Body of the COLLEGE (save where the COLLEGE is an institution designated under section 28 of the Further and Higher Education Act 1992) is responsible for ensuring it operates in line with its exempt charitable status.
RESPONSIBILITIES OF THE GOVERNING BODY. The Governing Body may exercise only the specific powers and duties granted by this Agreement as follows: a. Appoint a local health officer to be employed by the County; b. In accordance with § 50-2-116(1)(j), MCA, and subject to the provisions of § 50- 2-130, MCA, adopt necessary regulations that are not less stringent than state standards for the control and disposal of sewage from private and public buildings and facilities that are not regulated by Title 75, Chapter 6, or Title 00, Xxxxxxx 0, XXX; c. Adopt necessary fees to administer regulations for the control and disposal of sewage from private and public buildings and facilities; d. Adopt regulations that do not conflict with § 00-00-000, MCA, or rules adopted by the Montana Department of Public Health and Human Services: i. For the control of communicable diseases; ii. For the removal of filth that might cause disease or adversely affect public health; iii. Subject to the provisions of §50-2-130, MCA, for sanitation in public and private buildings and facilities that affects public health and for the maintenance of sewage treatment systems that do not discharge effluent directly into state water and that are not required to have an operating permit as required by rules adopted under §75-5-401, MCA; iv. Subject to the provisions of § 50-2-130 and Title 50, chapter 48, MCA, for tattooing and body-piercing establishments that are not less stringent that state standards for tattooing and body-piercing establishments; v. For the establishment of institutional controls that have been selected or approved by the United States Environmental Protection Agency as part of a remedy for a facility under the federal Comprehensive Environmental Response, Compensation, and Liability Act of 1990, 42 USC 9601, et seq. or Montana Department of Environmental Quality as part of a remedy for a facility under the Montana Comprehensive Environmental Cleanup and Responsibility Act, Title 75, Chapter 10, Part 7, MCA; and vi. To implement the public health laws; and e. Pursuant to § 50-2-116(4), MCA, amend, rescind, or otherwise change a directive, mandate, or order issued by the City-County Board of Health or local health officer in response to a declaration of emergency or disaster by the governor as allowed in
RESPONSIBILITIES OF THE GOVERNING BODY. The Governing Board may choose to delegate some of the responsibilities to a designated member of staff i.e. the Business Lead. When determining whether to approve an application, the governing board will consider the following factors: • The type of activity • Possible interferences with school activities • The availability of facilities • The availability of staffHealth and safety considerations • The school’s duties with regards to the prevention of terrorism and radicalisation • Whether the letting is deemed compatible with the ethos of the school An application will not be approved if the hirer’s purpose: • Is aimed at promoting extremist views • Involves the dissemination of inappropriate materials • Contravenes the statutory Prevent duty • Is likely to cause offence to public taste and decency If any members of staff have concerns regarding the purposes for which the hirer is using the facilities, they will contact the Headteacher or Business Lead immediately. The Headteacher or Business Lead will file an incident report form if they have reason to believe that the letting has been used for political purposes not previously authorised, the dissemination of inappropriate material or any other purpose that contravenes the Prevent duty. Where an individual group is found to be promoting views in contravention of the Prevent duty, or the person or group is guilty of an offence, under the Education Act 1996, the school will contact the police or Local Authority security who will remove the person or group from the premises. The Governors will ensure that the area and any furniture or equipment being hired is in a suitable condition for use by the Hirer. The Hirer must ensure that the area and any furniture or equipment being hired is in a suitable condition for use. The Governors will ensure, as far as is reasonably practicable, that there are no risks to health and safety. If the accommodation is to be used at night, suitable fire exit and emergency lighting to escape routes will be in place to allow users to evacuate safely. A site plan of the school is attached (See Appendix D) and Hirers will be given a copy of the academy’s Fire and Emergency Policy. All areas that are hired will be accessible to people with special needs and disabilities. The Governors are responsible for the security of academy premises when they are hired out to other users. Keys and alarm fobs will only be given to Hirers in exceptional circumstances and only when full instru...

Related to RESPONSIBILITIES OF THE GOVERNING BODY

  • Responsibilities of Adviser In carrying out its obligations under this Agreement, the Adviser agrees that it will: (a) Comply with all applicable law, including but not limited to the 1940 Act and the Advisers Act, the rules and regulations of the Commission thereunder, and the conditions of any order affecting the Trust or a Fund issued thereunder; (b) Use the same skill and care in providing such services as it uses in providing services to other fiduciary accounts for which it has investment responsibilities; (c) Not make loans to any person for the purpose of purchasing or carrying Fund shares; (d) Place, or arrange for the placement of, all orders pursuant to its investment determinations for the Funds either directly with the issuer or with any broker or dealer (including any affiliated broker or dealer). In executing portfolio transactions and selecting brokers or dealers, the Adviser will use its best efforts to seek on behalf of each Fund the best overall terms available. In assessing the best overall terms available for any transaction, the Adviser shall consider all factors that it deems relevant, including the breadth of the market in the security, the price of the security, the financial condition and execution capability of the broker or dealer, and the reasonableness of the commission, if any, both for the specific transaction and on a continuing basis. In evaluating the best overall terms available, and in selecting the broker or dealer to execute a particular transaction, the Adviser may also consider whether such broker or dealer furnishes research and other information or services to the Adviser; (e) Adhere to the investment objective, strategies and policies and procedures of the Trust adopted on behalf of each Fund; and (f) Maintain a policy and practice of conducting its investment advisory services hereunder independently of the commercial banking operations of its affiliates. In making investment recommendations for a Fund, the Adviser's investment advisory personnel will not inquire or take into consideration whether the issuers (or related supporting institutions) of securities proposed for purchase or sale for the Fund's account are customers of the commercial departments of its affiliates. In dealing with commercial customers, such commercial departments will not inquire or take into consideration whether securities of those customers are held by the Fund.

  • RESPONSIBILITIES OF THE UNIVERSITY The UNIVERSITY shall designate in writing a faculty member to coordinate with a designee of the FIELDWORK SITE.

  • Responsibilities of the Parties 1.5.1 The Parties shall perform all obligations of this Agreement in accordance with all Applicable Laws and Regulations, Operating Requirements, and

  • RESPONSIBILITIES OF THE OWNER The Owner agrees to: Provide all documentation, records, and disclosures as required by law or required by the Agent to manage and operate the Property, and immediately notify the Agent if the Owner becomes aware of any change in such documentation, records or disclosures, or any matter affecting the habitability of the Property; Indemnify, defend, and hold harmless the Agent, and all persons in the Agent's firm, regardless of responsibility, from all costs, expenses suits, liabilities, damages, attorneys fees, and claims of every type, including, but not limited to, those arising out of injury or death of any person, or damage to any real or personal property of any person, including the Owner, for: Any repairs performed by the Owner or by others hired directly by the Owner; or Those relating to the management, leasing, rental, security deposit, or operation of the Property by the Agent, or any person in the Agent's company, or the performance or exercise of any of the duties, powers, or authorities granted to the Agent; This sub-section, and all rights to the Agent’s indemnification, shall be considered void if the Agent exemplifies any willful acts of gross negligence; Maintain the Property in a condition fit for human habitation as required by applicable State and local laws; Pay all interest on Tenants’ security deposits if required by applicable laws; Carry and pay for: Public and premises liability insurance in an amount of no less than one-million dollars ($1,000,000.00); and Property damage and worker’s compensation insurance adequate to protect the interests of the Owner and the Agent. The Agent shall be, and the Owner authorizes Agent to be, named as an additional insured party on the Owner’s policies; and Pay any late charges, penalties and/or interest imposed by lenders or other parties for failure to make payment only if the failure is due to insufficient funds in the Agent’s trust account available for such payment. In addition, the Owner agrees to replace any funds required if there are insufficient funds in the Agent’s trust account to cover such responsibilities of the Owner.

  • RESPONSIBILITIES OF CITY City or its representative shall issue all communications to Contractor. City has the authority to request changes in the work in accordance with the terms of this Agreement and with the terms in Exhibit A – Scope of Work. City has the authority to stop work or to suspend any work.

  • Responsibilities of the Company 3.3.1 The Company shall provide participants of CopyTrade with a complete package of services according to the Customer Agreement. The Company is liable for proper performance of technological solutions according to the Customer Agreement. 3.3.2 The Company bears no liability to participants of CopyTrade for lost profit or losses, which may directly or indirectly occur as a result of trading operations performed or not performed by an Investor or a Trader. 3.3.3 The Company bears no liability to participants of CopyTrade for lost profit or losses, which may be directly or indirectly occur as a result of their ignorance of regulatory documents or cooperation scheme. 3.3.4 The Company doesn’t evaluate Traders’ professional skills and suitability not on a single stage of their activity and bears no responsibility to Investors for any losses or lost profit they may incur. 3.3.5 The Company is not liable for:

  • Responsibilities of the City The City’s Contract Manager will be responsible for exercising general oversight of the Contractor’s activities in completing the Scope of Work. Specifically, the Contract Manager will represent the City’s interests in resolving day-to-day issues that may arise during the term of this Contract, shall participate regularly in conference calls or meetings for status reporting, shall promptly review any written reports submitted by the Contractor, and shall approve all invoices for payment, as appropriate. The City’s Contract Manager shall give the Contractor timely feedback on the acceptability of progress and task reports.

  • Responsibilities of the District 12.1. The District shall examine the documents submitted by the Architect and shall render decisions so as to avoid unreasonable delay in the process of the Architect’s Services. 12.2. The District shall verbally or in writing advise Architect if the District becomes aware of any fault or defect in the Project, including any errors, omissions or inconsistencies in the Architect’s documents. Failure to provide such notice shall not relieve Architect of its responsibility therefore, if any. 12.3. Unless the District and Architect agree that a hazardous materials consultant shall be a Consultant of the Architect, the District shall furnish the services of a hazardous material consultant or other consultants when such services are requested in writing by Architect and deemed necessary by the District or are requested by the District. These services shall include: asbestos and lead paint survey; abatement documentation; and specifications related to said matters, which are to be incorporated into bid documents prepared by Architect. If the hazardous materials consultant is furnished by the District and is not a Consultant of the Architect, the specifications shall include a note to the effect that the hazardous materials consultant’s specifications are included in the Architect’s bid documents for the District’s convenience and have not been prepared or reviewed by the Architect. The note shall also direct questions about the hazardous materials consultant’s specifications related to asbestos and lead paint survey and/or abatement documentation to the preparer of the hazardous materials consultant’s specifications.

  • Responsibilities of the Borrower (a) Anything herein to the contrary notwithstanding, the Borrower shall: (i) perform all of its obligations, if any, under the Contracts related to the Pool Receivables to the same extent as if interests in such Pool Receivables had not been transferred hereunder, and the exercise by the Administrative Agent, or any other Credit Party of their respective rights hereunder shall not relieve the Borrower from such obligations and (ii) pay when due any taxes, including any sales taxes payable in connection with the Pool Receivables and their creation and satisfaction. None of the Credit Parties shall have any obligation or liability with respect to any Collateral, nor shall any of them be obligated to perform any of the obligations of the Borrower, the Servicer or any Originator thereunder. (b) Alliance hereby irrevocably agrees that if at any time it shall cease to be the Servicer hereunder, it shall act (if the then-current Servicer so requests) as the data-processing agent of the Servicer and, in such capacity, Alliance shall conduct the data-processing functions of the administration of the Receivables and the Collections thereon in substantially the same way that Alliance conducted such data-processing functions while it acted as the Servicer. In connection with any such processing functions, the Borrower shall pay to Alliance its reasonable out-of-pocket costs and expenses from the Borrower’s own funds (subject to the priority of payments set forth in Section 4.01).

  • Responsibilities of the Contractor The Contractor shall provide all technical and professional expertise, knowledge, management, and other resources required for accomplishing all aspects of the tasks and associated activities identified in the Scope of Work. In the event that the need arises for the Contractor to perform services beyond those stated in the Scope of Work, the Contractor and the City shall negotiate mutually agreeable terms and compensation for completing the additional services.

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