Safeguarding of Children in FHI 360 Programs Sample Clauses

Safeguarding of Children in FHI 360 Programs. The Vendor must uphold the principles of the FHI 360 Safeguarding of Children policy (located on the FHI 360 Compliance office website at https.//www.FHI 000.xxx/xxxxx-xx/xxxxxxxxxx-xxxxxx) and will undertake to ensure that no individual with any history of crimes against children will be placed in a position involving direct interaction with children as part of the work under this Subcontract. The Vendor and any employees, consultants, and volunteers of the Vendor ("Vendor Personnel") are prohibited from engaging in child abuse, exploitation, or neglect in its programs and activities, including without limitation, physical abuse; emotional ill-treatment; neglect or insufficient supervision; sexual abuse; exploitation through prostitution or production of pornographic materials; trafficking; or commercial, transaction or labor exploitation resulting in actual or potential harm to the child’s health, well-being, survival, development or dignity. The Vendor Personnel must comply fully with host country and local child welfare and protection laws or with international standards, whichever gives greater protection, and must comply with US laws where applicable.
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Safeguarding of Children in FHI 360 Programs. The Vendor must uphold the principles of the FHI 360 Safeguarding of Children policy (located on the FHI 360 Compliance office website at https.//www.FHI 000.xxx/xxxxx-xx/xxxxxxxxxx-xxxxxx) and will undertake to ensure that no individual with any history of crimes 38.
Safeguarding of Children in FHI 360 Programs. The Vendor must uphold the principles of the FHI 360 Safeguarding of Children policy (located on the FHI 360 Compliance office website at https.//www.FHI 000.xxx/xxxxx-xx/xxxxxxxxxx-xxxxxx) and will undertake to ensure that no individual with any history of crimes against children will be placed in a position involving direct interaction with children as part of the work under this Subcontract. The Vendor and any employees, consultants, and volunteers of the Vendor ("Vendor Personnel") are prohibited from engaging in child abuse, exploitation, or neglect in its programs and activities, including without limitation, physical abuse; emotional ill- treatment; neglect or insufficient supervision; sexual abuse; exploitation through prostitution or production of pornographic materials; trafficking; or commercial, transaction or labor exploitation resulting in actual or potential harm to the child’s health, well-being, survival, development or dignity. The Vendor Personnel must comply fully with host country and local child welfare and protection laws or with international standards, whichever gives greater protection, and must comply with US laws where applicable. لﺎﻔطﻷا ﺔﯾﺎﻣﺣ ﺔﺳﺎﯾﺳ ئدﺎﺑﻣﺑ دروﻣﻟا مزﺗﻠﯾ .FHI 360 ﺔﻣظﻧﻣ ﺞﻣارﺑ ﻲﻓ لﺎﻔطﻷا ﺔﯾﺎﻣﺣ .38.2 FHI ﺔﻣظﻧﻣﻟ ﻊﺑﺎﺗﻟا لﺎﺛﺗﻣﻻا بﺗﻛﻣﺑ صﺎﺧﻟا ﻊﻗوﻣﻟا ﻰﻠﻋ ةدوﺟوﻣﻟا) FHI 360 ﺔﻣظﻧﻣﺑ ﺔﺻﺎﺧﻟا دﮭﻌﺗﯾو (https.//www.FHI 000.xxx/xxxxx-xx/xxxxxxxxxx-xxxxxx ﻰﻠﻋ 360 لﻋﺎﻔﺗﻟا ﻰﻠﻋ يوطﻧﯾ فﻗوﻣ ﻲﻓ لﺎﻔطﻷا دﺿ مﺋارﺟﻟا نﻣ ﺦﯾرﺎﺗ يأ ﮫﯾدﻟ درﻓ يأ ﻊﺿو مدﻋ نﺎﻣﺿﺑ نﯾﻔظوﻣ يأو دروﻣﻟا ﻰﻠﻋ رظﺣُﯾو .نطﺎﺑﻟا نﻣ دﻘﻌﻟا اذھ بﺟوﻣﺑ لﻣﻌﻟا نﻣ ءزﺟﻛ لﺎﻔطﻷا ﻊﻣ رﺷﺎﺑﻣﻟا وأ لﺎﻔطﻷا ﺔﻠﻣﺎﻌﻣ ةءﺎﺳإ ﻲﻓ عورﺷﻟا ("دروﻣﻟا وﻔظوﻣ") دروﻣﻠﻟ نﯾﻌﺑﺎﺗ نﯾﻋوطﺗﻣو نﯾرﺎﺷﺗﺳﻣو ؛ﺔﯾدﺳﺟﻟا ةءﺎﺳﻹا ،رﺻﺣﻟا ﻻ لﺎﺛﻣﻟا لﯾﺑﺳ ﻰﻠﻋ كﻟذ ﻲﻓ ﺎﻣﺑ ،ﮫﺗطﺷﻧأو ﮫﺟﻣارﺑ ﻲﻓ مﮭﻟﺎﻣھإ وأ مﮭﻟﻼﻐﺗﺳا نﻋ لﻼﻐﺗﺳﻻا وأ ؛ﺔﯾﺳﻧﺟﻟا ةءﺎﺳﻹا وأ ؛ﻲﻓﺎﻛﻟا رﯾﻏ فارﺷﻹا وأ لﺎﻣھﻹا وأ ﺔﯾﺳﻔﻧﻟا ﺔﻠﻣﺎﻌﻣﻟا ءوﺳو لﻣﻌﻟا وأ تﻼﻣﺎﻌﻣﻟا وأ يرﺎﺟﺗﻟا لﻼﻐﺗﺳﻻا وأ ؛بﯾرﮭﺗﻟا وأ ؛ﺔﯾﺣﺎﺑإ داوﻣ رﯾوﺻﺗ وأ ةرﺎﻋدﻟا ﻖﯾرط .ﮫﺗﻣارﻛ وأ هوﻣﻧ وأ ﮫﺋﺎﻘﺑ وأ ﮫھﺎﻓر وأ لﻔطﻟا ﺔﺣﺻﻟ لﻣﺗﺣﻣ وأ ﻲﻠﻌﻓ ررﺿ ثودﺣ ﻰﻟإ يدؤﯾ يذﻟا لﺎﻔطﻷا ﺔﯾﺎﻋرﻟ ﺔﯾﻠﺣﻣﻟا نﯾﻧاوﻘﻟاو ﺔﻔﯾﺿﻣﻟا ﺔﻟودﻟا نﯾﻧاوﻘﻟ لﻣﺎﻛ لﻛﺷﺑ دروﻣﻟا وﻔظوﻣ لﺛﺗﻣﯾ نأ بﺟﺑو ةدﺣﺗﻣﻟا تﺎﯾﻻوﻟا نﯾﻧاوﻘﻟ اوﻠﺛﺗﻣﯾ نأ بﺟﯾو ،مظﻋأ ﺔﯾﺎﻣﺣ رﻓوﯾ ﺎﻣﮭﯾأ ،ﺔﯾﻟودﻟا رﯾﯾﺎﻌﻣﻠﻟ وأ مﮭﺗﯾﺎﻣﺣو .ءﺎﺿﺗﻗﻻا دﻧﻋ
Safeguarding of Children in FHI 360 Programs. The Vendor must uphold the principles of the FHI 360 Safeguarding of Children policy (located on the FHI 360 Compliance office website at https.//www.FHI 000.xxx/xxxxx-xx/xxxxxxxxxx-xxxxxx) and will undertake to ensure that no individual with any history of crimes against children will be placed in a position involving direct interaction with children as part of the work under this Subcontract. The Vendor and any employees, consultants, and volunteers of the Vendor (“Vendor Personnel”) are prohibited from engaging in child abuse, exploitation, or neglect in its programs and activities, including without limitation, physical abuse; emotional ill-treatment; neglect or insufficient supervision; sexual abuse; exploitation through prostitution

Related to Safeguarding of Children in FHI 360 Programs

  • Abuse and Neglect of Children and Vulnerable Adults: Abuse Registry Party agrees not to employ any individual, to use any volunteer or other service provider, or to otherwise provide reimbursement to any individual who in the performance of services connected with this agreement provides care, custody, treatment, transportation, or supervision to children or to vulnerable adults if there has been a substantiation of abuse or neglect or exploitation involving that individual. Party is responsible for confirming as to each individual having such contact with children or vulnerable adults the non-existence of a substantiated allegation of abuse, neglect or exploitation by verifying that fact though (a) as to vulnerable adults, the Adult Abuse Registry maintained by the Department of Disabilities, Aging and Independent Living and (b) as to children, the Central Child Protection Registry (unless the Party holds a valid child care license or registration from the Division of Child Development, Department for Children and Families). See 33 V.S.A. §4919(a)(3) and 33 V.S.A. §6911(c)(3).

  • Programs to Keep You Healthy Many health problems can be prevented by making positive changes to your lifestyle, including exercising regularly, eating a healthy diet, and not smoking. As a member, you can take advantage of our wellness programs at no additional cost. We offer wellness programs to our members from time to time. These programs include, but are not limited to: • online and in-person educational programs; • health assessments; • coaching; • biometric screenings, such as cholesterol or body mass index; • discounts We may provide incentives for you to participate in these programs. These incentives may include credits toward premium, and a reduction or waiver of deductible and/or copayments for certain covered healthcare services, as permitted by applicable state and federal law. For the subscriber of the plan, wellness incentives may also include rewards, which may take the form of cash or cash equivalents such as gift cards, discounts, and others. These rewards may be taxable income. Additional information is available on our website. Your participation in a wellness program may make your employer eligible for a group wellness incentive award. Your participation in our wellness programs is voluntary. We reserve the right to end wellness programs at any time. From time to time, we may offer you coupons, discounts, or other incentives as part of our member incentives program. These coupons, discounts and incentives are not benefits and do not change or affect your benefits under this plan. You must be a member to be eligible for member incentives. Restrictions may apply to these incentives, and we reserve the right to change or stop providing member incentives at any time. Care coordination gives you access to dedicated BCBSRI healthcare professionals, including nurses, dietitians, behavioral health providers, and community resources specialists. These care coordinators can help you set and meet your health goals. You can receive support for many health issues, including, but not limited to: • making the most of your physician’s visits; • navigating through the healthcare system; • managing medications or addressing side effects; • better understanding new or pre-existing medical conditions; • completing preventive screenings; • losing weight. Care Coordination is a personalized service that is part of your existing healthcare coverage and is available at no additional cost to you. For more information, please call (000) 000-XXXX (2273) or visit our website. If you have a chronic condition such as asthma, coronary heart disease, diabetes, congestive heart failure, and/or chronic obstructive pulmonary disease, we’re here to help. Our tools and information can help you manage your condition and improve your health. You may also be eligible to receive help through our care coordination program. This voluntary program is available at no additional cost you. To learn more about disease management, please call (000) 000-0000 or 0-000-000-0000. Our entire contract with you consists of this agreement and our contract with your employer. Your ID card will identify you as a member when you receive the healthcare services covered under this agreement. By presenting your ID card to receive covered healthcare services, you are agreeing to abide by the rules and obligations of this agreement. Your eligibility for benefits is determined under the provisions of this agreement. Your right to appeal and take action is described in Appeals in Section 5. This agreement describes the benefits, exclusions, conditions and limitations provided under your plan. It shall be construed under and shall be governed by the applicable laws and regulations of the State of Rhode Island and federal law as amended from time to time. It replaces any agreement previously issued to you. If this agreement changes, an amendment or new agreement will be provided.

  • Safeguarding and Protecting Children and Vulnerable Adults The Supplier will comply with all applicable legislation and codes of practice, including, where applicable, all legislation and statutory guidance relevant to the safeguarding and protection of children and vulnerable adults and with the British Council’s Child Protection Policy, as notified to the Supplier and amended from time to time, which the Supplier acknowledges may include submitting to a check by the UK Disclosure & Barring Service (DBS) or the equivalent local service; in addition, the Supplier will ensure that, where it engages any other party to supply any of the Services under this Agreement, that that party will also comply with the same requirements as if they were a party to this Agreement.

  • LEAVE FOR REGULATORY BUSINESS AS PER THE TEACHERS’ ACT 1. Upon written request to the Superintendent or designate from the Ministry of Education, an employee who is appointed or elected to the BC Teachers’ Council or appointed to the Disciplinary or Professional Conduct Board shall be entitled to a leave of absence with pay and shall be deemed to be in the full employ of the board as defined in Article G.6.1. 2. Upon written request to the superintendent or designate from the Ministry of Education, a teacher teaching on call (TTOC) who is appointed or elected to the BC Teachers’ Council or appointed to the Disciplinary and Professional Conduct Board shall be considered on leave and shall be deemed to be in the full employ of the Board as defined in Article A.10.1 above. TTOCs shall be paid in accordance with the collective agreement. 3. Leave pursuant to Article A.10.1 and A.10.2 above shall not count toward any limits on the number of days and/or teachers on leave in the provisions in Article G.6.

  • Family Educational Rights and Privacy Act The Charter School is subject to all provisions of the Federal Family Educational Rights and Privacy Act, 20 U.S.C. § 1232g. In the event the Charter School closes, it shall transmit all official student records in the manner prescribed by the State Board.

  • Anti-Money Laundering Compliance Programs Soliciting Dealer represents to the Dealer Manager and to the Company that it has established and implemented anti-money laundering compliance programs in accordance with applicable law, including applicable FINRA Conduct Rules, the Exchange Act Rules and Regulations and the Uniting and Strengthening America by Providing Appropriate Tools Required to Intercept and Obstruct Terrorism Act of 2001, as amended (the “USA PATRIOT Act”), specifically including, but not limited to, Section 352 of the International Money Laundering Abatement and Anti-Terrorist Financing Act of 2001 (the “Money Laundering Abatement Act,” and together with the USA PATRIOT Act, the “AML Rules”) reasonably expected to detect and cause the reporting of suspicious transactions in connection with the offering and sale of the Shares. Soliciting Dealer further represents that it currently is in compliance with all AML Rules, specifically including, but not limited to, the Customer Identification Program requirements under Section 326 of the Money Laundering Abatement Act, and Soliciting Dealer hereby covenants to remain in compliance with such requirements and shall, upon request by the Dealer Manager or the Company, provide a certification to the Dealer Manager or the Company that, as of the date of such certification (a) its AML Program is consistent with the AML Rules, and (b) it is currently in compliance with all AML Rules, specifically including, but not limited to, the Customer Identification Program requirements under Section 326 of the Money Laundering Abatement Act. Upon request by the Dealer Manager at any time, Soliciting Dealer will (i) furnish a written copy of its AML Program to the Dealer Manager for review, and (ii) furnish a copy of the findings and any remedial actions taken in connection with its most recent independent testing of its AML Program.

  • Anti-Money Laundering and Red Flag Identity Theft Prevention Programs The Trust acknowledges that it has had an opportunity to review, consider and comment upon the written procedures provided by USBFS describing various tools used by USBFS which are designed to promote the detection and reporting of potential money laundering activity and identity theft by monitoring certain aspects of shareholder activity as well as written procedures for verifying a customer’s identity (collectively, the “Procedures”). Further, the Trust and USBFS have each determined that the Procedures, as part of the Trust’s overall Anti-Money Laundering Program and Red Flag Identity Theft Prevention Program, are reasonably designed to: (i) prevent each Fund from being used for money laundering or the financing of terrorist activities; (ii) prevent identity theft; and (iii) achieve compliance with the applicable provisions of the Bank Secrecy Act, Fair and Accurate Credit Transactions Act of 2003 and the USA Patriot Act of 2001 and the implementing regulations thereunder. Based on this determination, the Trust hereby instructs and directs USBFS to implement the Procedures on the Trust’s behalf, as such may be amended or revised from time to time. It is contemplated that these Procedures will be amended from time to time by the parties as additional regulations are adopted and/or regulatory guidance is provided relating to the Trust’s anti-money laundering and identity theft responsibilities. USBFS agrees to provide to the Trust: (a) Prompt written notification of any transaction or combination of transactions that USBFS believes, based on the Procedures, evidence money laundering or identity theft activities in connection with the Trust or any Fund shareholder; (b) Prompt written notification of any customer(s) that USBFS reasonably believes, based upon the Procedures, to be engaged in money laundering or identity theft activities, provided that the Trust agrees not to communicate this information to the customer; (c) Any reports received by USBFS from any government agency or applicable industry self-regulatory organization pertaining to USBFS’ Anti-Money Laundering Program or the Red Flag Identity Theft Prevention Program on behalf of the Trust; (d) Prompt written notification of any action taken in response to anti-money laundering violations or identity theft activity as described in (a), (b) or (c) immediately above; and (e) Certified annual and quarterly reports of its monitoring and customer identification activities pursuant to the Procedures on behalf of the Trust. The Trust hereby directs, and USBFS acknowledges, that USBFS shall (i) permit federal regulators access to such information and records maintained by USBFS and relating to USBFS’ implementation of the Procedures, on behalf of the Trust, as they may request, and (ii) permit such federal regulators to inspect USBFS’ implementation of the Procedures on behalf of the Trust.

  • Human and Financial Resources to Implement Safeguards Requirements The Borrower shall make available necessary budgetary and human resources to fully implement the EMP and the RP.

  • Cooperation with Economic Studies If ICANN initiates or commissions an economic study on the impact or functioning of new generic top-­‐level domains on the Internet, the DNS or related matters, Registry Operator shall reasonably cooperate with such study, including by delivering to ICANN or its designee conducting such study all data related to the operation of the TLD reasonably necessary for the purposes of such study requested by ICANN or its designee, provided, that Registry Operator may withhold (a) any internal analyses or evaluations prepared by Registry Operator with respect to such data and (b) any data to the extent that the delivery of such data would be in violation of applicable law. Any data delivered to ICANN or its designee pursuant to this Section 2.15 that is appropriately marked as confidential (as required by Section 7.15) shall be treated as Confidential Information of Registry Operator in accordance with Section 7.15, provided that, if ICANN aggregates and makes anonymous such data, ICANN or its designee may disclose such data to any third party. Following completion of an economic study for which Registry Operator has provided data, ICANN will destroy all data provided by Registry Operator that has not been aggregated and made anonymous.

  • HIV/AIDS Model Workplace Guidelines Grantee will: a. implement the System Agency’s policies based on the Human Immunodeficiency Virus/Acquired Immunodeficiency Syndrome (HIV/AIDS), AIDS Model Workplace Guidelines for Businesses at xxxx://xxx.xxxx.xxxxx.xx.xx/hivstd/policy/policies.shtm, State Agencies and State Grantees Policy No. 090.021. b. educate employees and clients concerning HIV and its related conditions, including AIDS, in accordance with the Texas. Health & Safety Code §§ 85.112-114.

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