Voluntary Compliance Program Notice definition

Voluntary Compliance Program Notice means prior written notice by the Insured to the Insurer that it is the Insured’s intent to enter into a Voluntary Compliance Program with respect to any Plan, provided that no Insured Person had any knowledge that such Plan actually was or allegedly was not compliant as of:
Voluntary Compliance Program Notice means prior written notice to the Insurer by the Insured of the Insured's intent to enter into a Voluntary Compliance Program.
Voluntary Compliance Program Notice means prior written notice by the Insured to the Insurer that it is the Insured’s intent to enter into a Voluntary Compliance Program with respect to any Plan, provided that no Insured Person had any knowledge that such Plan actually was or allegedly was not compliant as of: (i) the inception date of this Endorsement; or (ii) the inception of the first Endorsement in an uninterrupted series of similar Endorsements in prior

Examples of Voluntary Compliance Program Notice in a sentence

  • The Insurer shall pay on behalf of the Insureds Voluntary Compliance Program Loss and Defense Costs for which the Insureds become legally obligated to pay by reason of a Voluntary Compliance Program Notice that is first given to the Insurer during the Policy Period, provided that the Insurer’s maximum liability for all Voluntary Compliance Program Loss and Defense Costs covered pursuant to this Insuring Clause B.

  • No coverage is provided for fees and expenses incurred in connection with a potential Claim or Voluntary Compliance Program Notice prior to the time such potential Claim becomes an actual Claim or prior to the time such Voluntary Compliance Program Notice is reported to the Insurer.

  • Solely for the purposes of Insuring Clause B., Loss means Voluntary Compliance Program Loss andDefense Costs resulting from a Voluntary Compliance Program Notice.

  • If during the Policy Period, an Executive Officer first becomes aware of circumstances which may give rise to a Claim, and gives written notice to the Insurer of the circumstances and reasons for anticipating a Claim, then any Claim subsequently arising from such circumstances, or from the Voluntary Compliance Program Notice referred to above, shall be deemed to have been first made during the Policy Year in which such notice was first given to the Insurer.


More Definitions of Voluntary Compliance Program Notice

Voluntary Compliance Program Notice means prior written notice to the Company by any Insured of the Insured’s intent to enter into a Voluntary Compliance Program.
Voluntary Compliance Program Notice means prior written notice by the Insured to the Insurer that it is the Insured’s intent to enter into a Voluntary Compliance Program with respect to any Plan, provided that no Insured Person had any knowledge that such Plan actually was or allegedly was not compliant as of (1) the inception date of this Policy; or (2) the inception of the first policy in an uninterrupted series of policies issued by the Insurer of which this Policy is a direct or indirect renewal or replacement, whichever is earlier.
Voluntary Compliance Program Notice means advance written notice to the Insurer by the Insured of the Insured’s intent to enter into a Voluntary Compliance Program with respect to any Plan, provided that no Insured knew prior to the First Inception Date that such Plan was non-compliant with a statute, rule or regulation.

Related to Voluntary Compliance Program Notice

  • Repeat compliance period means any subsequent compliance period after the initial compliance period.

  • Compliance year means the calendar year beginning with June 1 and ending with May 31 of the following year, for which a Retail Electricity Supplier must demonstrate that it has met the requirements of this Regulation.

  • Compliance Program means the program established by CNYCC to prevent, detect, and address compliance issues that arise with respect to PPS operations, projects or activities.

  • Compliance cycle means the nine-year calendar year cycle during which public water systems must monitor. Each compliance cycle consists of three three-year compliance periods. The first calendar year cycle begins January 1, 1993 and ends December 31, 2001; the second begins January 1, 2002 and ends December 31, 2010; the third begins January 1, 2011 and ends December 31, 2019.

  • Distribution Compliance Period with respect to any Notes, means the period of 40 consecutive days beginning on and including the later of (i) the day on which such Notes are first offered to Persons other than distributors (as defined in Regulation S under the Securities Act) in reliance on Regulation S and (ii) the issue date with respect to such Notes.

  • Education program or activity means locations, events, or circumstances for which the school district exercises substantial control over both the respondent and the context in which the sexual harassment occurs and includes school district education programs or activities that occur on or off of school district property.

  • major non-compliance outcome notification means a notification received by a council under section 19N(3) or (4) of the Food Act 1984, or advice given to council by an authorized officer under that Act, of a deficiency that does not pose an immediate serious threat to public health but may do so if no remedial action is taken

  • Alternative Compliance Payment or "ACP" means a payment of a certain dollar amount per megawatt hour, which a Retail Electricity Supplier may submit in lieu of supplying the minimum percentage of RECs required under Section 3.3.4 of this Regulation.

  • compliance notice means a notice served in accordance with regulation 21(2); “conformity assessment procedure” means any procedure referred to in regulation 6;

  • Initial compliance period means the three-year compliance period that begins January 1, 1993, except for the MCLs for dichloromethane, 1,2,4-trichlorobenzene, 1,1,2-trichloroethane, benzo(a)pyrene, dalapon, di(2-ethylhexyl)adipate, di(2-ethyl- hexyl)phthalate, dinoseb, diquat, endothall, endrin, glyphosate, hexachlorobenzene, hexachlorocyclopentadiene, oxamyl, picloram, simazine, 2,3,7,8-TCDD, antimony, beryllium, cyanide, nickel, and thallium, as they apply to a supplier whose system has fewer than 150 service connections, for which it means the three-year compliance period that began on January 1, 1996.

  • Compliance Review means an inspection of the home, grounds, and files to determine compliance with these regulations.

  • Program or activity means all of the operations of any entity described in paragraphs (m)(1) through (4) of this section, any part of which is extended Federal financial assistance:

  • Covenant Compliance Event means, at any time, Availability is less than the greater of (i) ten percent (10%) of the Loan Cap and (ii) $15,000,000. The termination of a Covenant Compliance Event as provided herein shall in no way limit, waive or delay the occurrence of a subsequent Covenant Compliance Event in the event that the conditions set forth in this definition again arise.

  • AML/KYC Procedures means the customer due diligence procedures of a Reporting Finnish Financial Institution pursuant to the anti-money laundering or similar requirements of Finland to which such Reporting Finnish Financial Institution is subject.

  • Safety compliance facility means a licensee that is a commercial entity that receives marihuana from a marihuana facility or registered primary caregiver, tests it for contaminants and for tetrahydrocannabinol and other cannabinoids, returns the test results, and may return the marihuana to the marihuana facility.

  • StarCompliance Code of Ethics application means the web-based application used to electronically pre-clear personal securities transactions and file many of the reports required herein. The application can be accessed via the AB network at: https://alliance-ng.starcompliance.com/.

  • Solar alternative compliance payment or "SACP" means a

  • Root Cause Analysis Report means a report addressing a problem or non-conformance, in order to get to the ‘root cause’ of the problem, which thereby assists in correcting or eliminating the cause, and prevent the problem from recurring.

  • Medicaid Notification of Termination Requirements Any Contractor accessing payments for services under the Global Commitment to Health Waiver and Medicaid programs who terminates their practice will follow the Department of Vermont Health Access, Managed Care Organization enrollee notification requirements.

  • Non-Participating Certified Clinical Nurse Specialist means a Certified Clinical Nurse Specialist who does not have a written agreement with the Claim Administrator or another Blue Cross and/or Blue Shield Plan to provide services to you at the time services are rendered.

  • Free appropriate public education means special education and related services that are provided at public expense and under public supervision and direction, and without charge, meet the standards of the Department of Public Instruction, include an appropriate preschool, elementary or secondary school education; and are provided in conformity with an IEP.

  • Delegated Identity Theft Prevention Duties means the written identity theft prevention duties that the Trust has delegated to the Transfer Agent to satisfy applicable regulatory requirements relating to identity theft prevention.

  • Development Activity means any activity defined as Development which will necessitate a Floodplain Development Permit. This includes buildings, structures, and non-structural items, including (but not limited to) fill, bulkheads, piers, pools, docks, landings, ramps, and erosion control/stabilization measures.

  • Major Decision Reporting Package With respect to any Major Decision, (a) a written report prepared by the Special Servicer describing in reasonable detail (i) the background and circumstances requiring action of the Special Servicer, (ii) the proposed course of action recommended, and (iii) information regarding any direct or indirect conflict of interest in the subject action, and (b) all information in the Special Servicer’s possession that is reasonably requested by the party receiving such Major Decision Reporting Package in order for such party to exercise any consultation or consent rights available to such party under this Agreement.

  • Pivotal Clinical Trial means a human clinical trial in any country that is prospectively designed to generate data intended to satisfy the requirements of 21 C.F.R. § 312.21(c) (as amended) in the U.S. or a similar clinical study prescribed by a Regulatory Authority from another country, from time to time, pursuant to Applicable Law.

  • Participating Certified Clinical Nurse Specialist means a Certified Clinical Nurse Specialist who has a written agreement with the Claim Administrator or another Blue Cross and/or Blue Shield Plan to provide services to you at the time services are rendered.