Reporting Dashboard Sample Clauses

Reporting Dashboard. RSA will maintain and provide access to the Dashboard which will provide Customer with near real time alerts of all newly reported forms of Crimeware, together with detailed information about these and the methods of infection or known drop sites. Upon the prior written request of Customer, RSA will be available for a periodical team meeting with dedicated project manager.
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Reporting Dashboard. 2.1.2. Referral Activity Report
Reporting Dashboard. An interactive web-based reporting dashboard and tool with several pre-developed reports, displayed graphically and in exportable report format, as well as written and video instruction on how a District IT specialist can easily create and save ad-hoc reports to meet your specific needs as they arise. These reports can include any of the data fields on your Gateway. Referring to Scope of Work section 1.vii Professional neutral Spanish text translation provided by SRC Registration Gateway’s neutral Spanish translation service includes translation of all the data collection field’s text at time of launch. Registration Gateway can accommodate translations in languages that read left to right. We recommend that you only use languages supported as a standard part of the windows operating system. If the District chooses to translate into languages not supported, the District is responsible for providing the appropriate fonts to SRC and for handling installation of fonts on District computers. Further, please understand that if users view the translated text on a computer on which these languages are not enabled and for which fonts are not installed, the text will not present properly. Translations can be delivered 30 days after launch/final project approval. Referring to Scope of Work section 1.viii Configure type-ahead address lists CLIENT will have the option of having SRC utilize address lists from a USPS database. SRC can also use address lists provided by the District from another source. Referring to Scope of Work section 1.ix Address Purification – one time run of service Address Purification from SRC Solutions performs the following functions:
Reporting Dashboard. Dashboard gives a very quick analyze of the overall statistics of the messages that can be filtered over the days, account type. Advanced Message Reporting shows the status of each and every single message that passed the system with the Realtime information of the message like message: delivered, undelivered, sent to operator, at what time the message was sent and at what time the message was delivered etc. Advanced Latency Report: • Latency report shows the latency of the account over a desired period of time(can be in days, hours ,minutes or seconds). • It also shows the report based on the operator, the number of messages sent to each operator and their response speed. Data center and Service Hosting A BAB Tier IV data center provides the highest level of security possible: 99.99% availability. A BAB Tier IV data center can combat the most critical technical disturbance, and you won’t ever experience a lapse in server availability. This is all because the architecture of a BAB Tier IV data center is fully redundant in terms of network, electrical circuits, cooling and more. To deliver our promise of high availability BAB servers and databases hosted in multiple data centers in case one of the data centers went down for any reason. Our servers and databases are hosted locally as listed below: • On-Premise co-location service • Local Hosting in Saudi Arabia on Mobily Public Cloud. Proposed Solution Architecture Voice call Sending SMS Http API Zain SMSC REST Full API Online BAB Platform Email 2 SMS Internet KSA DC Cloud Provider Mobily SMSC STC SMSC SMPP CLIENT Excel 2 SMS Receiving DLR Service Level Agreement (SLA) BAB will sign an SLA with CLIENT to assure best service delivery and compliance for the promise, The SLA main parts are: Service Standards BAB will put the best efforts to guarantee the below service standards: Service Service Standard SLA OTP Availability 99.99% Average Latency < 3 Seconds - 70% of traffic <7 Seconds - 30% of traffic Throughput 120 SMS/Second (if there is increase in traffic beyond this , throughput will be increased immediately) Alerting Messages & Payroll Average Latency 30 Seconds Throughput 120 SMS/Second Availability 99% Marketing Throughput 500,000 SMS/Hour Standard Issues Priority & Response time: BAB shall use the following severity classification and response time as outlined below:
Reporting Dashboard. Provides the user a dashboard view of the Key Performance Indicators (KPI) and assists the practice in evaluating its receivables.
Reporting Dashboard. Self-serviced reports for the Customer’s benefits personnel to access on a twenty-four (24) hour basis via a web based dashboard. Dashboard has ability to filter data. Certain reports require a minimum number of participating Users. Dashboard includes reporting in the following areas: • Registration CERTAIN CONFIDENTIAL INFORMATION CONTAINED IN THIS DOCUMENT, MARKED BY [***], HAS BEEN OMITTED BECAUSE IT IS NOT MATERIAL AND WOULD LIKELY CAUSE COMPETITIVE HARM TO THE COMPANY IF PUBLICLY DISCLOSED. • Returns • Visits • Mobile usage • Store, incentives and Rewards Center, budget trackingProgram reporting: Program adoption and behavior funnel • Challenges reporting: Adoption & behavior reporting tailored to each Challenge type • Search activity
Reporting Dashboard. Self-serviced reports for the Customer’s benefits personnel to access on a twenty-four (24) hour basis via a web based dashboard. Dashboard has ability to filter data. Certain reports require a minimum number of participating Users. Dashboard includes reporting in the following areas: • Registration • Returns • Visits • Mobile usage • Store, incentives and Rewards Center, budget trackingProgram reporting: Program adoption and behavior funnel • Challenges reporting: Adoption & behavior reporting tailored to each Challenge type • Search activity CERTAIN CONFIDENTIAL INFORMATION CONTAINED IN THIS DOCUMENT, MARKED BY [***], HAS BEEN OMITTED BECAUSE IT IS NOT MATERIAL AND WOULD LIKELY CAUSE COMPETITIVE HARM TO THE COMPANY IF PUBLICLY DISCLOSED.
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Reporting Dashboard. Without limiting Monster Offer's obligation to deliver all Reports by the Delivery Deadlines set forth above, Monster Offers agrees that, during the Term, at no additional cost to Gannett, Monster Offers will make the Reports available to Gannett and the Gannett Markets through an online reporting dashboard that will include all information included in the Reports but that will be updated in real time ("Reporting Dashboard"). Monster Offers will ensure that the Reporting Dashboard is fully functional and available for use by Gannett and the Gannett Markets at all times during the Term as of July 31, 2011.

Related to Reporting Dashboard

  • Monthly Reporting Within twenty (20) calendar days following the end of each calendar month, Registry Operator shall deliver to ICANN reports in the format set forth in Specification 3 attached hereto (“Specification 3”).

  • Quarterly Reporting Within 45 days after the close of the first three (3) quarterly periods of each of its respective fiscal years, to the extent not furnished under the Purchase Agreement, (A) consolidated balance sheets of Provider and its Subsidiaries as at the close of each such period and (B) consolidated statements of income and retained earnings and a statement of cash flows for Provider for the period from the beginning of such fiscal year to the end of such quarter, all certified by its respective chief financial officer or treasurer.

  • Periodic Reporting KDI shall prepare reports for the Board of Directors of the Fund on a quarterly basis for the Class showing amounts paid to the various Firms pursuant to this Plan, the Services Agreement and any other related agreement, the purpose for such expenditure, and such other information as from time to time shall be reasonably requested by the Board of Directors.

  • Reporting Compliance The Company is subject to, and is in full compliance in all material respects with, the reporting requirements of Section 13 and Section 15(d), as applicable, of the Exchange Act.

  • Annual Reporting Within 90 days after the close of each of its respective fiscal years, audited, unqualified consolidated financial statements (which shall include balance sheets, statements of income and retained earnings and a statement of cash flows) for Provider for such fiscal year certified in a manner acceptable to the Agent by independent public accountants acceptable to the Agent.

  • Technical Report 64 23.3 Return Location...............................................64 23.4

  • Fund Valuation and Financial Reporting Services (1) Account for Fund share purchases, sales, exchanges, transfers, dividend reinvestments, and other Fund share activity as reported by the Fund’s transfer agent on a timely basis.

  • Additional Reporting Under Regulation AB With respect to any period during which the Trust is subject to the reporting requirements of the Exchange Act, the Mortgage Loan Seller shall provide to the Depositor and the Certificate Administrator any information that constitutes “Additional Form 10-D Information” or “Additional Form 10-K Information” but only if and to the extent that the Mortgage Loan Seller (or any originator of the Mortgage Loans sold by the Mortgage Loan Seller to the Depositor, if such originator constitutes an “originator” contemplated by Item 1110(b) of Regulation AB and such information is required to be reported with respect to such originator) is the applicable “Party Responsible” (solely in its capacity as a sponsor or originator (or as successor in interest to any predecessor originator), within the meaning of Regulation AB, of any Mortgage Loans) under the terms of Schedule V or Schedule VI to the Pooling and Servicing Agreement (it being acknowledged that the Mortgage Loan Seller (solely as in its capacity as a sponsor or originator (or as successor in interest to any predecessor originator), within the meaning of Regulation AB, of any Mortgage Loans) does not constitute the “Party Responsible” for any “Form 8-K Information” set forth on Schedule VII of the Pooling and Servicing Agreement). In each case, such delivery shall be made in a form readily convertible to an XXXXX compatible form, or in such other form as otherwise agreed by the Depositor, the Certificate Administrator and the Mortgage Loan Seller. In each case, such delivery shall be made not later than 5 calendar days after the related Distribution Date (in the case of any such “Additional Form 10-D Information”), and no later than March 7th of each year subsequent to the fiscal year that the Trust is subject to the Exchange Act reporting requirements (in the case of any such “Additional Form 10-K Information”). In no event shall the Mortgage Loan Seller be required to provide any information that is not required to be reported on Form 10-D or Form 10-K, as the case may be, under the Exchange Act and the rules and regulations of the Securities and Exchange Commission thereunder.

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