PUBLIC CONDUCT ON SCHOOL PROPERTY Sample Clauses

PUBLIC CONDUCT ON SCHOOL PROPERTY. No person shall engage in conduct that may cause interference with or disruption of an educational institution. Interference with or disruption of an educational institution includes any act that might reasonably lead to the evacuation or closure of any property of the educational institution or the postponement, cancellation or suspension of any class or other school activity. For the purposes of this policy, an actual evacuation, closure, postponement, cancellation or suspension is not required for the act to be considered interference or disruption. A person commits interference with or disruption of an educational institution by doing any of the following: ● Intentionally, knowingly or recklessly interfering with or disruption of the normal operations of an educational institution by either:  Threatening to cause physical injury to any employee or student of an educational institution or any person on the property of an educational institution.  Threatening to cause damage to the District, the property of the District, or the property of any person attending the District. ● Intentionally or knowingly entering or remaining on the property of an educational institution for the purpose of interfering with or denying lawful use of the property to others. ● Intentionally or knowingly refusing to obey a lawful order given by the Superintendent or a person designated to maintain order. The above identified acts need not be directed at a specific individual, the District, or specific property of the District to constitute a violation of this policy.
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PUBLIC CONDUCT ON SCHOOL PROPERTY. Conduct Expected of All Persons On or Using District Property (POLICY KFA) No person on or using school property for any purpose shall engage in: ♦ Conduct intended to obstruct, disrupt, or interfere with teaching; ♦ Physical abuse, verbal abuse, or threat of harm to any person or property; ♦ Damage or threat of damage to District property; ♦ Forceful or unauthorized entry to, or occupation of District facilities, including both buildings and grounds; ♦ Carrying or possessing a weapon on school grounds, except peace officers; ♦ Unlawful use, possession, distribution, or sale of tobacco, alcohol, drugs, or other illegal contraband; ♦ Conduct or speech that violates commonly acceptable standards in the District; ♦ Failing to comply with lawful directions of District officials, security officers, or other law enforcement officers; ♦ Deliberate violations of District rules and regulations; ♦ Any conduct constituting and infraction of any federal, state, or city law or policy or regulation of the Board; ♦ Smoking on school property; ♦ Visiting a classroom or other school activity without the approval of the principal; ♦ Drinking of alcohol and gambling are prohibited;
PUBLIC CONDUCT ON SCHOOL PROPERTY. No person shall engage in conduct that may cause interference with or disruption of an educational institution. Interference with or disruption of an educational institution includes any act that might reasonably lead to the evacuation or closure of any property of the educational institution or the postponement, cancellation or suspension of any class or other school activity. For the purposes of this policy, an actual evacuation, closure, postponement, cancellation or suspension is not required for the act to be considered interference or disruption. A person commits interference with or disruption of an educational institution by doing any of the following: ● Intentionally, knowingly or recklessly interfering with or disruption of the normal operations of an educational institution by either: ● Threatening to cause physical injury to any employee or student of an educational institution or any person on the property of an educational institution. ● Threatening to cause damage to the District, the property of the District, or the property of any person attending the District. ● Intentionally or knowingly entering or remaining on the property of an educational institution for the purpose of interfering with or denying lawful use of the property to others. ● Intentionally or knowingly refusing to obey a lawful order given by the Superintendent or a person designated to maintain order. The above identified acts need not be directed at a specific individual, the District, or specific property of the District to constitute a violation of this policy. Restitution for any financial loss caused by a violation of the policy may be required. Furthermore, an individual who interferes with or disrupts an educational institution is subject to misdemeanor or felony charges as provided in A.R.S. 13-2911. A person may also interfere with or disrupt the District function by committing any of the following: ● Any conduct intended to obstruct, disrupt, or interfere with teaching, research, service, administrative, or disciplinary functions or any activity sponsored or approved by the Board. ● Physical or verbal abuse or threat of harm to any person on property owned or controlled by the District or at supervised functions sponsored by the District. ● Forceful or unauthorized entry to or occupation of District facilities, including both buildings and grounds. ● Illicit use, possession, distribution, or sale of tobacco, alcohol, or drugs, other controlled substances, or othe...
PUBLIC CONDUCT ON SCHOOL PROPERTY. The building principal or his or her designee shall be responsible for enforcing the conduct required by this code. When the building principal or his or her designee sees an individual engaged in prohibited conduct, which in his or her judgment does not pose any immediate threat of injury to persons or property, the principal or his or her designee shall tell the individual that the conduct is prohibited and attempt to persuade the individual to stop. The principal or his or her designee shall also warn the individual of the consequences for failing to stop. If the person refuses to stop engaging in the prohibited conduct, or if the person’s conduct poses an immediate threat of injury to persons or property, the principal or his or her designee shall have the individual removed immediately from school property or the school function. If necessary, local law enforcement authorities will be contacted to assist in removing the person. In addition, the district reserves the right to pursue a civil or criminal legal action against any person violating the code. Grand Island Central School District and Building Dignity Act Coordinators Xxxxxx Xxxxxxx – District -773-8815 Xxx Xxxxxxxx, Xxxxxx Xxxxxx, Xxxxxxx Xxxxxx – High School – 773-8820 Xxxxx Xxxxxx, Xxxxxxx Xxxxx – Xxxxxxxx Xxxxxx Middle School – 773-8830 Xxxxx Xxxxx – Xxxx Road – 773-8850 Xxxx Xxxxxxxx – Xxxxxxxxx – 773-8840 Xxxxxx Xxxxxx –Xxxxxx – 773-8870 ELECTRONIC DEVICES Students are allowed to be in possession of electronic devices excluding cell phones during the school day. This would include e-Readers, MP3 players, iPods, and iPads. Students must keep electronic devices on vibrate during school hours. Students are prohibited from using external speakers any time during the school day. Students may use their electronic devices in study halls (the first 10 minutes for reading) and cafeteria. Students are permitted to use the camera function of their cellular telephone or other electronic device during specified extracurricular activities such as school dances. While in class, students are prohibited from using electronic devices unless given permission by the teacher. All electronic device use is not permitted in lavatory and lockers rooms and must be turned off and stored out of sight. Possession and use of all electronic devices will be the sole responsibility of the students. The Grand Island Central School District is not responsible for loss or damage to any electronic device. The Code of Conduc...

Related to PUBLIC CONDUCT ON SCHOOL PROPERTY

  • Business Conducted Borrower shall continue in the business currently conducted by it using its best efforts to maintain its customers and goodwill. Borrower shall not engage, directly or indirectly, in any line of business substantially different from the business conducted by it immediately before the Closing Date, or engage in business or lines of business which are not reasonably related thereto.

  • TTOCs CONDUCTING UNION BUSINESS 1. Where a TTOC is authorized by the local union or BCTF to conduct union business during the work week, the TTOC shall be paid by the employer according to the collective agreement.

  • Business Conduct Merger Sub was incorporated on November 5, 2020. Since its inception, Merger Sub has not engaged in any activity, other than such actions in connection with (a) its organization and (b) the preparation, negotiation and execution of this Agreement and the Transactions. Merger Sub has no operations, has not generated any revenues and has no assets or liabilities other than those incurred in connection with the foregoing and in association with the Merger as provided in this Agreement.

  • Professional Conduct The Firm shall ensure compliance with all applicable standards of ethics and rules of professional responsibility, including the Florida Rules of Professional Conduct promulgated by the Florida Supreme Court for attorneys practicing in Florida (or similar standards applicable to attorneys practicing outside the State of Florida). Such standards include rules related to conflicts of interest and confidentiality that are intended to protect Citizens and Citizens’ information.‌‌

  • ETHICAL CONDUCT Seller's employees shall comply with the BorgWarner Supplier Code of Conduct articulated within the BorgWarner Supplier Manual. Compliance with these standards is a mandatory component of Buyer's purchase contracts worldwide and must also apply to Seller subcontractors. Both, the BorgWarner Supplier Code of Conduct and the BorgWarner Supplier Manual are incorporated by reference as part of the Purchase Order, are binding on the Seller, and Seller explicitly verifies to have read and accepted the BorgWarner Supplier Code of Conduct and the BorgWarner Supplier Manual.

  • Interim Conduct of Business (a) Except as (i) contemplated, required or permitted by this Agreement, (ii) required by applicable Law, (iii) set forth in Section 5.1(a) of the Company Disclosure Letter, or (iv) approved by Parent (which approval will not be unreasonably withheld, conditioned or delayed), at all times during the period commencing with the execution and delivery of this Agreement and continuing until the earlier to occur of the termination of this Agreement pursuant to Article IX and the Effective Time, the Company and each of its Subsidiaries shall (A) carry on its business in the ordinary course in substantially the same manner as heretofore conducted in all material respects, and (B) use its reasonable best efforts, consistent with past practices, to preserve substantially intact its business organization and preserve the current relationships of the Company and each of its Subsidiaries with material customers, suppliers and other Persons with whom the Company or any of its Subsidiaries has significant business relations as is reasonably necessary.

  • Sub-Advisor Compliance Policies and Procedures The Sub-Advisor shall promptly provide the Trust CCO with copies of: (i) the Sub-Advisor’s policies and procedures for compliance by the Sub-Advisor with the Federal Securities Laws (together, the “Sub-Advisor Compliance Procedures”), and (ii) any material changes to the Sub-Advisor Compliance Procedures. The Sub-Advisor shall cooperate fully with the Trust CCO so as to facilitate the Trust CCO’s performance of the Trust CCO’s responsibilities under Rule 38a-1 to review, evaluate and report to the Trust’s Board of Trustees on the operation of the Sub-Advisor Compliance Procedures, and shall promptly report to the Trust CCO any Material Compliance Matter arising under the Sub-Advisor Compliance Procedures involving the Sub-Advisor Assets. The Sub-Advisor shall provide to the Trust CCO: (i) quarterly reports confirming the Sub-Advisor’s compliance with the Sub-Advisor Compliance Procedures in managing the Sub-Advisor Assets, and (ii) certifications that there were no Material Compliance Matters involving the Sub-Advisor that arose under the Sub-Advisor Compliance Procedures that affected the Sub-Advisor Assets. At least annually, the Sub-Advisor shall provide a certification to the Trust CCO to the effect that the Sub-Advisor has in place and has implemented policies and procedures that are reasonably designed to ensure compliance by the Sub-Advisor with the Federal Securities Laws.

  • Independent Evaluation Buyer is experienced and knowledgeable in the oil and gas business. Buyer has been advised by and has relied solely on its own expertise and legal, tax, accounting, marketing, land, engineering, environmental and other professional counsel concerning this transaction, the Subject Property and value thereof.

  • Information Technology Enterprise Architecture Requirements If this Contract involves information technology-related products or services, the Contractor agrees that all such products or services are compatible with any of the technology standards found at xxxxx://xxx.xx.xxx/iot/2394.htm that are applicable, including the assistive technology standard. The State may terminate this Contract for default if the terms of this paragraph are breached.

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