Training and Conversion Support Sample Clauses

Training and Conversion Support. (a) PCTeller Support. M&I shall provide a two-day teller analysis session to determine teller transaction requirements and a three-day teller training class to familiarize the Customer's trainers with the features and functions of the PCTeller Software. The sessions shall be held at the M&I Datacenter located in Browx Xxxr, Wisconsin, at dates and times established by M&I. M&I shall also be on-site at the time of conversion as defined in the Data Processing Services Agreement by and between Customer and M&I (the "Data Processing Services Agreement"), to assist with the conversion to the PCTeller Software. M&I will also provide to Customer, in conjunction with its conversion to PCTeller, an upgrade to the Tellerlink host software. M&I reserves the right to change the content and duration of the analysis and training sessions and the duration of on-site support, provided that any changes which materially diminish the duration of the analysis sessions, training sessions, or on-site support shall require Customer's consent. Customer shall be responsible for all travel, lodging, and related costs and expenses incurred by attendees. Customer agrees to reimburse M&I for reasonable travel and lodging expenses for Training and Conversion Support rendered to Customer outside of M&I offices, according to the terms of the Data Processing Services Agreement.
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Training and Conversion Support. (a) PCTELLER SUPPORT. M&I shall provide a two-day teller analysis session to determine teller transaction requirements and a three-day teller training class for a maximum of two employees of Customer to familiarize the Customer's trainers with the features and functions of the PCTeller Software. The sessions shall be held at the M&I Datacenter located in Browx Xxxr, Wisconsin, at dates and times established by M&I. M&I shall also be on-site at the time of conversion as defined in the Data Processing Services Agreement by and between Customer and M&I (the "Data Processing Services Agreement"), to assist with the conversion to the PCTeller Software. M&I reserves the right to change the content and duration of the analysis and training sessions and the duration of on-site support, provided that any changes which materially diminish the duration of the analysis sessions, training sessions, or on-site support shall require Customer's consent. Customer shall be responsible for all travel, lodging, and related costs and expenses incurred by attendees. Customer agrees to reimburse M&I for reasonable travel and lodging expenses for Training and Conversion Support rendered to Customer outside of M&I offices, according to the terms of the Data Processing Services Agreement. (b) SALESPARTNER SUPPORT. M&I shall provide initial services to Customer to customize Salespartner to support deposit, consumer and commercial loan products and associated forms as defined by Customer and agreed to by M&I. Such services shall be limited to a maximum of 650 hours, after which Customer will be billed at the then-current hourly rate. The specific services to be performed will be determined after an initial analysis of Customer's requirements. Customer agrees to reimburse M&I for reasonable travel, lodging and related expenses for Customization Services rendered to Customer outside of M&I offices, according to the terms of the Data Processing Services Agreement. M&I shall also provide a four-day class for a maximum of two employees of Customer to familiarize Customer's employees with the Salespartner maintenance functions. The class shall be held at the M&I Datacenter, located in Browx Xxxr, Wisconsin, at dates and times established by M&I. M&I reserves the right to change the content and duration of the sessions and classes, provided that any change which materially diminishes the duration of a session or class shall require Customer's consent. Customer shall be responsible for all t...
Training and Conversion Support. M&I shall provide a two-day teller analysis session to determine teller transaction requirements and a three-day teller training class to familiarize the Customer's trainers with the features and functions of the Software. The sessions shall be held at the M&I Datacenter located in Browx Xxxr, Wisconsin, at dates and times established by M&I. M&I shall also be on-site for five days at Customer's main office at time of conversion to assist with the conversion to the PC Teller Software. The date of conversion will be mutually established by Customer and M&I. M&I will also provide to Customer, in conjunction with their conversion to PC Teller, an upgrade to the Tellerlink host software. M&I reserves the right to change the content and duration of analysis and training sessions and the duration of on-site support. Customer shall be responsible for all costs and expenses incurred by attendees, including travel and lodging expenses. Customer agrees to reimburse M&I for travel and lodging expenses for Training and Conversion Support rendered to Customer outside of M&I offices.

Related to Training and Conversion Support

  • Distribution Support Services In addition to the sale and repurchase of Shares, the Distributor shall perform the distribution support services set forth on Schedule B attached hereto, as may be amended from time to time. Such distribution support services shall include: Review of sales and marketing literature and submission to FINRA; FINRA record keeping; and quarterly reports to the Trust’s Board of Trustees. Such distribution support services may also include: fulfillment services, including telemarketing, printing, mailing and follow-up tracking of sales leads; and licensing Adviser or Trust personnel as registered representatives of the Distributor and related supervisory activities.

  • Promotion Support Each Fund shall furnish to Distributor for use in connection with the sale of its shares such written information with respect to said Fund as Distributor may reasonably request. Each Fund represents and warrants that such information, when authenticated by the signature of one of its officers, shall be true and correct. Each Fund shall also furnish to Distributor copies of its reports to its shareholders and such additional information regarding said Fund’s financial condition as Distributor may reasonably request. Any and all representations, statements and solicitations respecting a Fund’s shares made in advertisements, sales literature, and in any other manner whatsoever shall be limited to and conform in all respects to the information provided hereunder.

  • Litigation Support In the event and for so long as any Party actively is contesting or defending against any charge, complaint, action, suit, proceeding, hearing, investigation, claim, or demand in connection with (i) any transaction contemplated under this Agreement or (ii) any fact, situation, circumstance, status, condition, activity, practice, plan, occurrence, event, incident, action, failure to act, or transaction on or prior to the Closing Date involving the Seller, the other Party will cooperate with the contesting or defending Party and its counsel in the contest or defense, make available his or its personnel, and provide such testimony and access to its books and records as shall be necessary in connection with the contest or defense, all at the sole cost and expense of the contesting or defending Party (unless the contesting or defending Party is entitled to indemnification therefor under Section 7 below).

  • Training and Support Distributor shall train and support its personnel or subcontractors for the satisfactory completion of its obligations under this Agreement. Supplier will assist in training by furnishing Distributor with English training literature. Supplier may, at his sole discretion, provide Distributor with his own personnel for training.

  • Information Supplied Subject to the accuracy of the representations and warranties of the Company set forth in Section 3.7, none of the information supplied (or to be supplied) in writing by or on behalf of Parent or Merger Sub specifically for inclusion or incorporation by reference in (a) the Registration Statement will, at the time the Registration Statement, or any amendment or supplement thereto, is filed with the SEC or at the time it becomes effective under the Securities Act, contain any untrue statement of a material fact or omit to state any material fact required to be stated therein or necessary to make the statements therein not misleading, (b) the Company Proxy Statement will, on the date it is first mailed to holders of Listed Shares, and at the time of the Company Shareholder Meeting, contain any untrue statement of a material fact or omit to state any material fact necessary in order to make the statements therein, in the light of the circumstances under which they are made, not misleading and (c) the Parent Proxy Statement will, on the date it is first mailed to stockholders of Parent, and at the time of the Parent Stockholder Meeting, contain any untrue statement of a material fact or omit to state any material fact necessary in order to make the statements therein, in the light of the circumstances under which they are made, not misleading. The Registration Statement and the Parent Proxy Statement will comply as to form in all material respects with the applicable requirements of the Securities Act and the Exchange Act. Notwithstanding the foregoing, Parent makes no representation or warranty with respect to information supplied by or on behalf of the Company for inclusion or incorporation by reference in any of the foregoing documents.

  • Information Supplied by Underwriters The statements set forth in the last paragraph on the front cover page and under the heading "Underwriting" in any Preliminary Prospectus or the Prospectus (to the extent such statements relate to the Underwriters) constitute the only information furnished by any Underwriter through the Representatives to the Company for the purposes of Sections 2(b) and 8 hereof. The Underwriters confirm that such statements (to such extent) are correct.

  • TECHNICAL SUPPORT SERVICES 2.1 The technical support services (the "Services"): Party A agrees to provide to Party B the relevant services requested by Party B, which are specified in Exhibit 1 attached hereto ("Exhibit 1").

  • Training Services Fiserv shall provide training, training aids, user manuals, and other documentation for Client's use as Fiserv finds necessary to enable Client personnel to become familiar with Fiserv Services. If requested by Client, classroom training in the use and operation of Fiserv Services will be provided at a training facility designated by Fiserv. All such training aids and manuals remain Fiserv's property.

  • Payments for Distribution Assistance and Administrative Support Services (a) Payments to the Distributor. In consideration of the payments made by the Fund to the Distributor under this Plan, the Distributor shall provide administrative support services and distribution services to the Fund. Such services include distribution assistance and administrative support services rendered in connection with Shares (1) sold in purchase transactions, (2) issued in exchange for shares of another investment company for which the Distributor serves as distributor or sub-distributor, or (3) issued pursuant to a plan of reorganization to which the Fund is a party. If the Board believes that the Distributor may not be rendering appropriate distribution assistance or administrative support services in connection with the sale of Shares, then the Distributor, at the request of the Board, shall provide the Board with a written report or other information to verify that the Distributor is providing appropriate services in this regard. For such services, the Fund will make the following payments to the Distributor:

  • Technical Support State Street will provide technical support to assist the Fund in using the System and the Data Access Services. The total amount of technical support provided by State Street shall not exceed 10 resource days per year. State Street shall provide such additional technical support as is expressly set forth in the fee schedule in effect from time to time between the parties (the “Fee Schedule”). Technical support, including during installation and testing, is subject to the fees and other terms set forth in the Fee Schedule.

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