Provide the Sample Clauses

Provide the competent authority with a complete breakdown of the positions held by all persons, including the members or participants and the clients thereof, on that trading venue, at least on a daily basis. […] members or participants of regulated markets, […] and clients of OTFs [shall] […] report to the […] market operator operating that trading venue the details of their own positions held through contracts traded on that trading venue at least on a daily basis, as well as those of their clients and the clients of those clients until the end client is reached.” and pursuant to Article 26 of Regulation (EU) 600/2014 (“MiFIR”) “The operator of a trading venue shall report details of transactions in financial instruments traded on its platform which are executed through its systems by a firm which is not subject to this Regulation […] For commodity derivatives, the reports shall indicate whether the transaction reduces risk in an objectively measurable way in accordance with Article 57 of Directive 2014/65/EU.” European Energy Exchange AG (“EEX”) requires trading members to contribute to their own reporting requirements as set forth by the exchange rules, affiliated proceedings and this MiFID II/MiFIR Data Services Agreement (“Agreement”). The Agreement covers transactions concluded via order book trading or trade registration on trading venues operated by EEX where the reporting obligation is applicable. This Agreement comprises a subscription form (2.), general terms and conditions (3.), a glossary (4.) and an excerpt from the List of Services and Prices of EEX (5). The subscription or termination form shall be submitted to conclude or terminate an Agreement with EEX for its markets. European Energy Exchange AG Reporting Services Xxxxxxxxxxxxx 0 X-00000 Xxxxxxx +00 (0) 000 0000 – 380 xxxxxxxxx-xxxxxxxx@xxx.xxx
Provide the. Second Party a number of all Payroll prepaid cards issued and outstanding cards at the beginning of every Calendar month. 1.4. Upon receipt of payroll data from the Second Party, to assign the payroll amount every month to the card of each employee as advised by the Second Party. The amount of monthly payroll received from the Second Party will become the available balance on the card. Any amount not utilized or balance remaining on the card of any employee till the time of next salary credit, will be carried forward to the next month. 1.5. Reissue cards at the time of renewal or if the cards are lost. 1.6. Deduct the Fees from the Second Party as described in Article 4 of this agreement. 1.7. Deduct the Fees from the cardholder (Employee) for Cash withdrawals ماكحلأاو طورشلل اقفو يناثلا فرطلا يفظوم نم فظوم لكل عفدلا ةقبسم بتاورلا ةقاطب باسح حتف 1.1 .باسحلا اذه مكحت يتلا ىلإ ةفاضلإاب ،يناثلا فرطلا نم مهل حرصملا نيفظوملا نم لكل عفدلا ةقبسم بتاورلا ةقاطب رادصإ 2.1 .عفدلا ةقبسم بتاورلا تاقاطب لك عم )PIN( يصخشلا فيرعتلا مقر رادصإ نم رهش لك ةيادب يف ةمئاقلا تاقاطبلاو ةرداصلا عفدلا ةقبسم تاقاطب نم ددعب يناثلا فرطلا ديوزت 3.1 .ميوقتلا ةقاطبل ايرهش ةعدوملا بتاورلا غلبم نييعت بجي ،يناثلا فرطلا نم بتاورلا فوشك تانايب ملاتسا دنع 4.1 فرطلا نم ةملتسملا ةيرهشلا بتاورلا فوشك رادقم حبصيسو ،يناثلا فرطلا غلبأ امك فظوم لك ةقاطب ىلع يقبتم ديصر وأ مدختسم ريغ غلبم يأ ليوحت متيسو ،ةقاطبلا ىلع حاتملا ديصرلا وه يناثلا .يلاتلا رهشلا ىلإ يلاتلا بتارلا تقو ىتح فظوم يأ .اهعايض دنع وأ اهديدجت تقو نيحي امدنع تاقاطبلا رادصإ ةداعإ 5.1 .ةيقافتلاا هذه نم عبارلا ةداملا يف حضوم وه امك يناثلا فرطلا نم موسرلا مصخ 6.1 .يدقنلا بحسلا دنع )فظوملا( ةقاطبلا لماح نم موسرلا مصخ 7.1 Article (2): Second Party Obligations يناثلا فرطلا تامازتلا : ةيناثلا ةداملا
Provide the. District with the names of faculty members participating under the terms of this agreement and responsible for the activities of the Students;
Provide the. Contracting Authority with a thorough understanding of the financing and commercial arrangements that project sponsors have to have in place for the two projects selected under the CCS Commercialisation Programme, and to provide the Contracting Authority with detailed specialist knowledge to help it understand underlying financial and commercial risks. This will help to maintain the Contracting Authority’s position as an intelligent customer, who can make effective and well-informed decisions to achieve value for money;
Provide the. Umbrella Body with a copy of its written policy on the recruitment of ex-offenders
Provide the. Personnel Department with notice by April 1 for those who intend to retire under this plan on June 30, or by October 1 for persons who intend to retire on December 31.
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Provide the. Recipient with a copy of all such information in the form that the Recipient requires as soon as practicable and in any event within 10 calendar days (or such other period as the Recipient acting reasonably may specify) of the Recipient’s request; and
Provide the. Lab Consultant with monthly updates on lab progress and challenges, and collaborate with the Lab Consultant to determine strategies for addressing barriers and challenges. Implement interventions to address barriers and challenges as agreed in collaboration with the Lab Consultant.

Related to Provide the

  • provide a written description of the technical and organisational methods employed by the Supplier for processing Personal Data (within the timescales required by DFID); and

  • Provide Information Inform FTA immediately of any information it receives from any source alleging a violation of the prohibitions listed in section 4(f)(4) of this Master Agreement; and

  • Assistance Registry Operator will co-­‐operate and provide reasonable assistance to ICANN and the CZDA Provider to facilitate and maintain the efficient access of zone file data by permitted users as contemplated under this Schedule.

  • Agreement to Provide Information Intermediary agrees to provide the Fund, upon written request, the taxpayer identification number (“TIN”), the Individual Taxpayer Identification Number (“ITIN”), or other government-issued identifier (“GII”), if known, of any or all Shareholder(s) of the account and the amount, date, name or other identifier of any investment professional(s) associated with the Shareholder(s) or account (if known), and transaction type (purchase, redemption, transfer, or exchange) of every purchase, redemption, transfer, or exchange of Shares held through each account maintained by the Intermediary during the period covered by the request.

  • Obligation to Provide Information Each party’s obligation to provide information shall be as follows:

  • Servicer Shall Provide Information as Reasonably Required The Servicer shall furnish to the Trustee, during the term of this Agreement, such periodic, special, or other reports or information, whether or not provided for herein, as shall be necessary, reasonable, or appropriate in respect to the Trustee, or otherwise in respect to the purposes of this Agreement, all such reports or information to be as provided by and in accordance with such applicable instructions and directions as the Trustee may reasonably require.

  • Cooperation and Coordination The Parties acknowledge and agree that it is their mutual objective and intent to minimize, to the extent feasible and legal, taxes payable with respect to their collaborative efforts under this Agreement and that they shall use all commercially reasonable efforts to cooperate and coordinate with each other to achieve such objective.

  • Agreement to Provide Services Xxxxxxx Sachs hereby engages the Contract Underwriter, and the Contract Underwriter hereby agrees, to provide the following Services: (a) establish and maintain (or assist the Company in establishing and maintaining) relationships with owners of Contracts who are its customers or customers of other broker-dealers with whom it has entered into agreements to sell the Contracts (“Selling Dealers”); (b) provide Contract owners with “personal services” (within the meaning of NASD Conduct Rule 2830(b)(9)); (c) assist in the preparation of advertisements and other sales literature for the Contracts that describes or discusses the Funds; (d) provide sales compensation to representatives of the Contract Underwriter; (e) pay money to Selling Dealers for any of the foregoing purposes; and (f) perform any additional services primarily intended to result in the distribution of the Contracts and the sale of the Service Shares to the Company.

  • Written Notification Failing settlement at this level, the Union shall in writing notify the Employer of the alleged discrepancy and the names of the employees involved, and the period of time that such discrepancy is claimed to cover. Upon receipt of such written notice, the Employer agrees to promptly furnish the representative of the Union wage data pertaining to the alleged wage discrepancy.

  • Notification and Consultation 1. A Party shall promptly notify the other Party, in writing, on:

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