Non-compliances Sample Clauses

Non-compliances identified during these fact finding missions shall be brought to the attention of the assessed laboratories and other testing facilities, the Member States, the Commission and the Authority. The Commission, the Authority and the Member States shall ensure the appropriate follow-up to these non-compliances. The outcome of these fact finding missions shall be presented in an overview report. On the basis of that report the Commission shall submit a legislative proposal, if appropriate, as regards, in particular, any necessary control procedures, including audits.
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Non-compliances. There is an effective and functioning mechanism for requiring and enforcing appropriate corrective action where non-compliances are identified? Does the verification system define the above requirement? Are mechanisms developed for handling non-compliances are they applied in practice? Are there adequate records available on the non-compliances identified and corrective actions taken? Is the effec­ tiveness of corrective actions evaluated? What information on identified non-compliances goes into the public domain?
Non-compliances. In case of breach of the terms of this Agreement, JANBY shall have the right to terminate the licence with immediate effect and/or to immediately block the Software without being obliged to refund the purchase price or any part thereof. Such right of termination and/or blocking of the Licence shall be given in the following cases in particular, although this is not a limitative list:
Non-compliances. If the Designs indicate that there are non-compliances or omissions from the relevant parts of the Scope of Works, Test Plan or Technical Specifications, the Contractor shall remedy to the reasonable satisfaction of the Purchaser any such non-compliances or omissions within fourteen (14) days after receipt by Contractor of written notice of deficiencies from the Purchaser unless otherwise agreed by the Purchaser. Upon such remedy, the Purchaser shall issue the Design Review Certificate.
Non-compliances. There is an effective and functioning mechanism for requiring and enforcing appropriate corrective action where non-compliances are identified? Does the verification system define the above requirement? Are mechanisms developed for handling non-compliances are they applied in practice? Are there adequate records available on the non-compliances identified and corrective actions taken? Is the effectiveness of corrective actions evaluated? What information on identified non-compliances goes into the public domain? Section 4: Licensing Ghana has assigned a Licensing Authority with overall responsibility for issuing FLEGT licences. The FLEGT licences are issued on the basis of either individual shipments or approved market participants.

Related to Non-compliances

  • Non-Compliance Any Products or Services that are not in conformity with the requirements of an Order (“Non-Complying Products” and “Non-Complying Services”, respectively), may be returned at DXC’s option at Supplier’s risk and expense. DXC may procure similar Products or Services in substitution for the Non-Complying Products or Services, and Supplier shall refund the cost of the Non-Complying Products and Service and reimburse DXC upon demand for all additional costs incurred by DXC.

  • Permits and Compliance 17 Section 4.9

  • Permits; Compliance The Company and each of its Subsidiaries is in possession of all franchises, grants, authorizations, licenses, permits, easements, variances, exemptions, consents, certificates, approvals and orders necessary to own, lease and operate its properties and to carry on its business as it is now being conducted (collectively, the “Company Permits”), and there is no action pending or, to the knowledge of the Company, threatened regarding suspension or cancellation of any of the Company Permits. Neither the Company nor any of its Subsidiaries is in conflict with, or in default or violation of, any of the Company Permits, except for any such conflicts, defaults or violations which, individually or in the aggregate, would not reasonably be expected to have a Material Adverse Effect. Since September 30, 2016, neither the Company nor any of its Subsidiaries has received any notification with respect to possible conflicts, defaults or violations of applicable laws, except for notices relating to possible conflicts, defaults or violations, which conflicts, defaults or violations would not have a Material Adverse Effect.

  • Covenant Compliance the information (including detailed calculations) required in order to establish whether the Company was in compliance with the requirements of Sections 9.7, 10.4(b), 10.4(c) and 10.6 and any Additional Covenant incorporated herein pursuant to Section 9.9 during the quarterly or annual period covered by the statements then being furnished (including with respect to each such Section, where applicable, the calculations of the maximum or minimum amount, ratio or percentage, as the case may be, permissible under the terms of such Sections, and the calculation of the amount, ratio or percentage then in existence); and

  • Y2K Compliance PFPC further represents and warrants that any and all electronic data processing systems and programs that it uses or retains in connection with the provision of services hereunder on or before January 1, 1999 will be year 2000 compliant.

  • FCPA Compliance The Company has not and, to the Company’s actual knowledge, none of its employees or agents at any time during the last five years have (i) made any unlawful contribution to any candidate for foreign office, or failed to disclose fully any contribution in violation of law, or (ii) made any payment to any federal or state governmental officer or official, or other person charged with similar public or quasi-public duties, other than payments required or permitted by the laws of the United States or any jurisdiction thereof.

  • HIPAA Compliance If this Contract involves services, activities or products subject to the Health Insurance Portability and Accountability Act of 1996 (HIPAA), the Contractor covenants that it will appropriately safeguard Protected Health Information (defined in 45 CFR 160.103), and agrees that it is subject to, and shall comply with, the provisions of 45 CFR 164 Subpart E regarding use and disclosure of Protected Health Information.

  • Compliance; Permits; Restrictions 13 2.12 Litigation............................................................ 13 2.13 Brokers' and Finders' Fees............................................ 13 2.14

  • AML Compliance The Dealer Manager represents to the Company that it has established and implemented anti-money laundering compliance programs in accordance with applicable law, including applicable FINRA Conduct Rules, Exchange Act Regulations and 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 Offered Shares. The Dealer Manager further represents that 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, and the Dealer Manager hereby covenants to remain in compliance with such requirements and shall, upon request by the Company, provide a certification to 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.

  • SAFE Compliance The Company shall comply with the SAFE Rules and Regulations, and shall use commercially reasonable efforts to cause its shareholders and option holders that are, or that are directly or indirectly owned or controlled by, PRC residents or PRC citizens, to comply with the SAFE Rules and Regulations applicable to them in connection with the Company, including without limitation, requesting each shareholder and option holder, that is, or is directly or indirectly owned or controlled by, a PRC resident or PRC citizen to complete any registration and other procedures required under applicable SAFE Rules and Regulations.

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