Surveillance and Security Sample Clauses

Surveillance and Security. (a) The Employees use of SUSF computers and network, including use of email and the internet, may be monitored and reviewed on an ongoing and continuous basis. Privileges of such use are in accordance with University of Sydney, University Wide Information System (UWIS) Policy and other policies that govern the Information and Communication Technology Resource.
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Surveillance and Security a) Employees must be aware of and adhere to surveillance and security procedures. In particular employees must be vigilant to ensure shop lifting is kept to an absolute minimum.
Surveillance and Security. Please note that in some properties surveillance cameras and security equipment may be installed inside and/or outside the property, which may have the capability to remotely monitor or record images and/or sound.
Surveillance and Security. Tenants shall have in the Vigilance Company of the Building, registered 2 or 3 signatures of authorities of the floor that can authorize the exit of value elements. This shall be done by a note directed to the Service Management. The Administration has CCTV’s service contracted, which controls the entry and exit of the persons, materials, vehicles, also the whole internal movement. In this regard, Tenants wishing to be able to request having access to the records of all the persons’ movements and materials happened in the building, up to one month of happened the filming. The materials and purses that are moved by the outside persons of the Building shall be checked. The movements of materials of value like Notebook, PC, etc., they shall be seated in the Book of Innovations of the guard. The personal occupant is exempted of these steps. The vigilance and safety of every floor, is an inherent responsibility of each Tenant.- EXCEPTIONAL SITUATION IN FLOORS THAT DO NOT POSSESS OWN VIGILANCE: In cases of extreme emergency, in which the damages happened inside the floors, shall be repaired in the minor possible time, otherwise it can affect other units or part of the Building, the Administration or the personnel of the Services Management, THEY REMAIN EXCEPTIONALLY AUTHORIZED to enter the affected floor/s by the suitable way, to do the corresponding repairs, with the presence of a Notary or of two responsible Tenants of the Building. Ultimately, in which the circumstances do not allow to wait for the mentioned authorities, the ancient supervisory personnel of the Building accompanied by another security guard, shall proceed to expire. Then there shall be made the correspondent Record, where there shall appear all the details of the occurred events. In these cases of extreme emergencies, in which the damages occur inside the floor and in a place with degree of reservation, it shall enter by the most suitable way, to rectifying it. According to the matters set out above, Tenants shall leave in the Service Management the peoples’ telephones and/or proximity card of entrance to the floor, the above mentioned in a sealed envelope. THE ADMINISTRATION ASSUMES NO RESPONSIBILITY IN CASE OF LOSSES AND DAMAGES.
Surveillance and Security. Tenant shall be responsible for the installation, if applicable, maintenance, repair and (if necessary) replacement of all surveillance devices (“Surveillance Equipment”) for the Project as required by the Nevada Gaming Authorities and applicable Nevada Gaming Laws and as customary for the operation of the Casino at the Project. All installation, maintenance, repair and replacement of Surveillance Equipment by Tenant shall be performed in accordance with Nevada Gaming Laws. Tenant shall be responsible for the operation of the Surveillance Equipment and shall employ and supervise adequate numbers of surveillance personnel to provide surveillance services to the Project, and an adequate number of trained security officers and other security personnel to provide security services to the Premises, as required by the Nevada Gaming Authorities and in compliance with applicable Nevada Gaming. The security services at portions of the Project other than the Casino shall be the sole responsibility and liability of Landlord, but Landlord and Tenant shall meet quarterly to discuss and agree on the adequacy of such security services.
Surveillance and Security. As a Tenant Expense, Tenant shall be responsible for the installation, maintenance, repair and (if necessary) replacement of all surveillance devices (“Surveillance Equipment”) for both the Leased Property and the Hotel as required by Nevada Gaming Authorities and applicable Nevada Gaming Laws and as is customary for the operation of a first-class hotel and casino on the Las Vegas Strip. All installation, maintenance, repair and replacement of Surveillance Equipment by Tenant shall be performed under the supervision of Landlord and in accordance with Nevada Gaming Laws and as a Tenant Expense. In addition, as a Tenant Expense, Tenant shall be responsible for the operation of the Surveillance Equipment and shall employ and supervise adequate numbers of surveillance personnel. Landlord shall be responsible for all security for the Leased Property at a level that is consistent with the level of security provided to such portions of the Hotel prior to the date of this Lease. Landlord shall supervise trained security officers and other security personnel to provide security services to the Leased Property and the remainder of the Hotel, as required by the Nevada Gaming Authorities and in compliance with applicable Nevada Gaming Laws and as is customary for the operation of a first-class hotel and casino on the Las Vegas Strip. Landlord and Tenant shall hold periodic meetings to discuss and agree on the adequacy of such security services.

Related to Surveillance and Security

  • Access and Security Customer shall employ all physical, administrative and technical controls, screening and security procedures and other safeguards necessary to: (a) securely administer the distribution and use of all Access Credentials and protect against any unauthorized access to or use of the Hosted Services; and (b) control the content and use of Customer Data, including the uploading or other provision of Customer Data for Processing by the Hosted Services.

  • Privacy and Security (a) The Service Provider shall not transmit or store any AHS data outside the borders of Canada, nor transmit any AHS data in Canada to any party not specifically contemplated in this Agreement, without AHS’s prior written consent to each such data transmittal, which consent may be arbitrarily and unreasonably withheld.

  • Collateral and Security Section 10.01.

  • Data Privacy and Security Bank will implement and maintain a written information security program, in compliance with all federal, state and local laws and regulations (including any similar international laws) applicable to Bank, that contains reasonable and appropriate security measures designed to safeguard the personal information of the Funds' shareholders, employees, trustees and/or officers that Bank or any Subcustodian receives, stores, maintains, processes, transmits or otherwise accesses in connection with the provision of services hereunder. In this regard, Bank will establish and maintain policies, procedures, and technical, physical, and administrative safeguards, designed to (i) ensure the security and confidentiality of all personal information and any other confidential information that Bank receives, stores, maintains, processes or otherwise accesses in connection with the provision of services hereunder, (ii) protect against any reasonably foreseeable threats or hazards to the security or integrity of personal information or other confidential information, (iii) protect against unauthorized access to or use of personal information or other confidential information, (iv) maintain reasonable procedures to detect and respond to any internal or external security breaches, and (v) ensure appropriate disposal of personal information or other confidential information. Bank will monitor and review its information security program and revise it, as necessary and in its sole discretion, to ensure it appropriately addresses any applicable legal and regulatory requirements. Bank shall periodically test and review its information security program. Bank shall respond to Customer's reasonable requests for information concerning Bank's information security program and, upon request, Bank will provide a copy of its applicable policies and procedures, or in Bank's discretion, summaries thereof, to Customer, to the extent Bank is able to do so without divulging information Bank reasonably believes to be proprietary or Bank confidential information. Upon reasonable request, Bank shall discuss with Customer the information security program of Bank. Bank also agrees, upon reasonable request, to complete any security questionnaire provided by Customer to the extent Bank is able to do so without divulging sensitive, proprietary, or Bank confidential information and return it in a commercially reasonable period of time (or provide an alternative response that reasonably addresses the points included in the questionnaire). Customer acknowledges that certain information provided by Bank, including internal policies and procedures, may be proprietary to Bank, and agrees to protect the confidentiality of all such materials it receives from Bank. Bank agrees to resolve promptly any applicable control deficiencies that come to its attention that do not meet the standards established by federal and state privacy and data security laws, rules, regulations, and/or generally accepted industry standards related to Bank's information security program. Bank shall: (i) promptly notify Customer of any confirmed unauthorized access to personal information or other confidential information of Customer ("Breach of Security"); (ii) promptly furnish to Customer appropriate details of such Breach of Security and assist Customer in assessing the Breach of Security to the extent it is not privileged information or part of an investigation; (iii) reasonably cooperate with Customer in any litigation and investigation of third parties reasonably deemed necessary by Customer to protect its proprietary and other rights; (iv) use reasonable precautions to prevent a recurrence of a Breach of Security; and (v) take all reasonable and appropriate action to mitigate any potential harm related to a Breach of Security, including any reasonable steps requested by Customer that are practicable for Bank to implement. Nothing in the immediately preceding sentence shall obligate Bank to provide Customer with information regarding any of Bank's other customers or clients that are affected by a Breach of Security, nor shall the immediately preceding sentence limit Bank's ability to take any actions that Bank believes are appropriate to remediate any Breach of Security unless such actions would prejudice or otherwise limit Customer's ability to bring its own claims or actions against third parties related to the Breach of Security. If Bank discovers or becomes aware of a suspected data or security breach that may involve an improper access, use, disclosure, or alteration of personal information or other confidential information of Customer, Bank shall, except to the extent prohibited by Applicable Law or directed otherwise by a governmental authority not to do so, promptly notify Customer that it is investigating a potential breach and keep Customer informed as reasonably practicable of material developments relating to the investigation until Bank either confirms that such a breach has occurred (in which case the first sentence of this paragraph will apply) or confirms that no data or security breach involving personal information or other confidential information of Customer has occurred. For these purposes, "personal information" shall mean (i) an individual's name (first initial and last name or first name and last name), address or telephone number plus (a) social security number, (b) driver's license number, (c) state identification card number, (d) debit or credit card number, (e) financial account 22 number, (f) passport number, or (g) personal identification number or password that would permit access to a person's account or (ii) any combination of the foregoing that would allow a person to log onto or access an individual's account. This provision will survive termination or expiration of the Agreement for so long as Bank or any Subcustodian continues to possess or have access to personal information related to Customer. Notwithstanding the foregoing "personal information" shall not include information that is lawfully obtained from publicly available information, or from federal, state or local government records lawfully made available to the general public.

  • Fund Administration Treasury Services a. Prepare for the review by designated officer(s) of the Trusts’ financial information that will be included in the Trusts’ semi-annual and annual shareholder reports (which shall also be subject to review by the Trusts’ legal counsel), and other quarterly reports (as mutually agreed upon), including tax footnote disclosures where applicable;

  • Statistical and Market Data Nothing has come to the attention of the Company that has caused the Company to believe that the statistical and market-related data included in the Registration Statement, the Pricing Disclosure Package and the Prospectus is not based on or derived from sources that are reliable and accurate in all material respects.

  • Procurement All goods, works and services required for the Project and to be financed out of the proceeds of the Financing shall be procured in accordance with the provisions of Section III of Schedule 2 to the Financing Agreement.

  • Monitoring In each case in which the Foreign Custody Manager maintains Foreign Assets with an Eligible Foreign Custodian selected by the Foreign Custody Manager, the Foreign Custody Manager shall establish a system to monitor (i) the appropriateness of maintaining the Foreign Assets with such Eligible Foreign Custodian and (ii) the contract governing the custody arrangements established by the Foreign Custody Manager with the Eligible Foreign Custodian. In the event the Foreign Custody Manager determines that the custody arrangements with an Eligible Foreign Custodian it has selected are no longer appropriate, the Foreign Custody Manager shall notify the Board in accordance with Section 3.2.5 hereunder.

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