Incident Monitoring Sample Clauses

Incident Monitoring. The Incident Lead, Team Leader and other parties will determine if additional processes are necessary to monitor for this type of attack in the future; if so, these processes will be specified and developed. In addition, manual audits may be required for a period of time after the incident to verify the integrity of the systems.
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Incident Monitoring. 6.3.1 The prompt reporting of incidents, both positive and negative, is essential to enable effective monitoring of the service and improvements for the future. Sharing of incidents and how they were dealt with can also help pharmacies improve their practice. Reporting should be in line with the pharmacy SOP for supervised consumption. All incidents of a serious or potentially serious nature should be reported to NHS Plymouth by means of the standard incident report form (appendix 2). These will then be discussed at the PPGFSM meeting and action points agreed within a supportive framework.
Incident Monitoring. Needle exchange incidents should be recorded as soon as possible in accordance with the pharmacy’s operating standards. A Torbay Care Trust Hazard and Incident Report Form must be submitted for all incidents of a serious matter. Guidance can be found in appendix 8.
Incident Monitoring. The Incident Lead, Team Leader and other parties will determine if additional processes are necessary to monitor for this type of attack in the future; if so, these processes will be specified and developed. In addition, manual audits may be required for a period of time after the incident as necessary to verify the integrity of the systems. Civil/Criminal Investigation SYNACOR SYSTEM SECURITY POLICYSCHEDULE D 5 Synacor and Client together will make the determination about whether to involve law enforcement or pursue a civil suit based on a number of factors including: • the nature of the attack • the extent and quality of the forensic evidence • the identity and location of the perpetrator, if known • the likelihood of another such attack • the resource cost of the investigation • impact on user privacy • impact on company/client reputation • advice of counsel SYNACOR SYSTEM SECURITY POLICY — SCHEDULE D 6 Schedule E TO THE MASTER SERVICES AGREEMENT BETWEEN SYNACOR, INC. AND CHARTER COMMUNICATIONS HOLDING COMPANY, LLC ESCROW AGREEMENT This Schedule E forms a part of, and is governed by, the Synacor Master Services Agreement dated September 30th, 2004, by and between Synacor, Inc. and Charter Communications Holding Company, LLC (“Client”), including any schedules, attachments, or exhibits attached thereto (collectively, the “Master Agreement.”) Any capitalized terms used in this Schedule E and not defined herein shall have the meanings ascribed to such terms in the Agreement.
Incident Monitoring. The Incident Lead, Team Leader and other parties will determine if additional processes are necessary to monitor for this type of attack in the future; if so, these processes will be specified and developed. In addition, manual audits may be required for a period of time after the incident as necessary to verify the integrity of the systems. Civil/Criminal Investigation SYNACOR SYSTEM SECURITY POLICYSCHEDULE D 5 Synacor and Client together will make the determination about whether to involve law enforcement or pursue a civil suit based on a number of factors including: • the nature of the attack • the extent and quality of the forensic evidence • the identity and location of the perpetrator, if known • the likelihood of another such attack • the resource cost of the investigation • impact on user privacy • impact on company/client reputation • advice of counsel SYNACOR SYSTEM SECURITY POLICY — SCHEDULE D 6 Schedule E TO THE MASTER SERVICES AGREEMENT BETWEEN SYNACOR, INC. AND CHARTER COMMUNICATIONS HOLDING COMPANY, LLC [*] [*] [*] — SCHEDULE E 1 * CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN OMITTED AND FILED SEPARATELY WITH THE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. [*] [*] — SCHEDULE E 2 * CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN OMITTED AND FILED SEPARATELY WITH THE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. [*] [*] — SCHEDULE E 3 * CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN OMITTED AND FILED SEPARATELY WITH THE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. [*] [*] — SCHEDULE E 4 * CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN OMITTED AND FILED SEPARATELY WITH THE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. [*] [*] — SCHEDULE E 5 * CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN OMITTED AND FILED SEPARATELY WITH THE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. [*] [*] — SCHEDULE E 6 * CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN OMITTED AND FILED SEPARATELY WITH THE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. [*] [*] — SCHEDULE E 7 * CERTAIN INFORMATION IN THIS EXHIBIT HAS BEEN OMITTED AND FILED SEPARATELY WITH THE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. [*] [*] — SCHEDULE E 8 * CERTAIN INFORMATION IN THIS EXHIBI...
Incident Monitoring. 6.3.1 The prompt reporting of incidents, both positive and negative, is essential to enable effective monitoring of the service and improvements for the future. Sharing of incidents and how they were dealt with can also help pharmacies improve their practice. Reporting should be in line with the pharmacy SOP for supervised consumption. All incidents of a serious or potentially serious nature should be reported to One Recovery Staffordshire by means of the standard incident report form (appendix 4 and also available on the PharmOutcomes module). These will then be discussed at the One Recovery Staffordshire Clinical Governance Board meeting and action points agreed within a supportive framework.

Related to Incident Monitoring

  • Contract Monitoring The criminal background checks required by this rule shall be national in scope, and must be conducted at least once every three (3) years. Contractor shall make the criminal background checks required by Paragraph IV.G.1 available for inspection and copying by DRS personnel upon request of DRS.

  • Project Monitoring The Developer shall provide regular status reports to the NYISO in accordance with the monitoring requirements set forth in the Development Schedule, the Public Policy Transmission Planning Process Manual and Attachment Y of the OATT.

  • 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.

  • Environmental Monitoring (a) Borrower shall give prompt written notice to Lender of (i) any proceeding or inquiry by any party (including any Governmental Authority) with respect to the presence of any Hazardous Substance on, under, from or about the Property, (ii) all claims made or threatened by any third party (including any Governmental Authority) against Borrower or the Property or any party occupying the Property relating to any loss or injury resulting from any Hazardous Substance, and (iii) Borrower’s discovery of any occurrence or condition on any real property adjoining or in the vicinity of the Property that could cause the Property to be subject to any investigation or cleanup pursuant to any Environmental Law. Upon becoming aware of the presence of mold or fungus at the Property, Borrower shall (i) undertake an investigation to identify the source(s) of such mold or fungus and shall develop and implement an appropriate remediation plan to eliminate the presence of any Toxic Mold, (ii) perform or cause to be performed all acts reasonably necessary for the remediation of any Toxic Mold (including taking any action necessary to clean and disinfect any portions of the Property affected by Toxic Mold, including providing any necessary moisture control systems at the Property), and (iii) provide evidence reasonably satisfactory to Lender of the foregoing. Borrower shall permit Lender to join and participate in, as a party if it so elects, any legal or administrative proceedings or other actions initiated with respect to the Property in connection with any Environmental Law or Hazardous Substance, and Borrower shall pay all reasonable attorneys’ fees and disbursements incurred by Lender in connection therewith.

  • Electronic Monitoring All observations shall be conducted openly. Mechanical or electronic devices shall not be used to listen to or record the procedures of any class without the prior knowledge and consent of the teacher.

  • Compliance Monitoring Grantee must be subject to compliance monitoring during the period of performance in which funds are Expended and up to three years following the closeout of all funds. In order to assure that the program can be adequately monitored, the following is required of Grantee:

  • Quality Monitoring 4.2.1. To prepare a Quality Assurance (QA) Plan

  • SERVICE MONITORING, ANALYSES AND ORACLE SOFTWARE 11.1 We continuously monitor the Services to facilitate Oracle’s operation of the Services; to help resolve Your service requests; to detect and address threats to the functionality, security, integrity, and availability of the Services as well as any content, data, or applications in the Services; and to detect and address illegal acts or violations of the Acceptable Use Policy. Oracle monitoring tools do not collect or store any of Your Content residing in the Services, except as needed for such purposes. Oracle does not monitor, and does not address issues with, non-Oracle software provided by You or any of Your Users that is stored in, or run on or through, the Services. Information collected by Oracle monitoring tools (excluding Your Content) may also be used to assist in managing Oracle’s product and service portfolio, to help Oracle address deficiencies in its product and service offerings, and for license management purposes.

  • Access Toll Connecting Trunk Group Architecture 9.2.1 If CBB chooses to subtend a Verizon access Tandem, CBB’s NPA/NXX must be assigned by CBB to subtend the same Verizon access Tandem that a Verizon NPA/NXX serving the same Rate Center Area subtends as identified in the LERG.

  • Monitoring Services IDT staff shall, using methods that include face-to-face and other contacts with the member, monitor the services a member receives. This monitoring shall ensure that:

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