SCHEME ADMINISTRATOR Clause Samples

The Scheme Administrator clause designates the individual or entity responsible for managing and overseeing the operation of a particular scheme, such as a pension plan or employee benefit program. This clause typically outlines the administrator's duties, which may include maintaining records, processing claims, and ensuring compliance with relevant laws and scheme rules. By clearly identifying who holds administrative authority, the clause ensures accountability and smooth operation of the scheme, reducing confusion and potential disputes among participants.
SCHEME ADMINISTRATOR. MD Insurance Services Ltd, ▇ ▇▇▇▇▇ ▇▇▇▇▇ ▇▇▇▇▇▇▇▇, ▇▇▇▇▇ ▇▇▇▇, ▇▇▇▇▇▇▇▇▇▇, ▇▇▇▇▇▇, ▇▇▇▇ ▇▇▇
SCHEME ADMINISTRATOR. 4.1 The Management Committee shall appoint a Scheme Administrator who shall be responsible for the administration and operation of the Scheme. The Management Committee will notify the other Participating Operators the name of, position, and contact details of the person appointed as Scheme Administrator. 4.2 The Scheme Administrator agrees that all information provided to it will be used solely for purposes associated with the administration and operation of the Scheme and will remain confidential to the Scheme Administrator. 4.3 The Scheme Administrator will be responsible for publishing a notice informing the public of changes to the Participating Operators in the Scheme: (a) in the case of termination of the Scheme under clause 13.2 (b) in the case of withdrawal of a Participating Operator under clause 13.3 4.4 The Scheme Administrator will be responsible for the calculation of Operator market share within the Area of Validity in line with clause 7 below. 4.5 The Scheme Administrator will be responsible for the calculation of Operator revenues from the Scheme in accordance with clause 6 and schedule 6 of this Agreement. 4.6 The Scheme Administrator may recover from the revenues of the scheme such reasonable costs as are necessary to support the scheme in accordance with Clause 8. Charges raised by the Scheme Administrator will be subject to approval by the Management Committee. 4.7 Where a Participating Operator commits any material breach of this Agreement, the Scheme Administrator shall serve a notice on the Operator requesting the same to be remedied within 28 days of the date of the notice. Where the Participating Operator fails to remedy such breach the Scheme Administrator shall report the circumstances to the Traffic Commissioner for further action.
SCHEME ADMINISTRATOR. The scheme administrator is the person named in the trust deed. The provider may by notice remove the scheme administrator provided that, at the same time, it appoints another. The scheme administrator shall comply with its obligations under section 270 of the Act. The scheme administrator is responsible for discharging the duties imposed by the rules and by the Act.
SCHEME ADMINISTRATOR. 3.1 The Secretariat, as appointed in accordance with Clause 6.54 of the main body of the Agreement, shall undertake administrative duties in respect of the Scheme (the "Scheme Administrator"). 3.2 The Scheme Administrator shall keep and publish (as required by the SPAA EC) lists of persons approved as Approved Meter Installers, and of the type(s) of work for which Approved Meter Installers have been approved.
SCHEME ADMINISTRATOR. 3.1 The Sponsor may in writing appoint and remove from time to time a person or persons to act as the Scheme Administrator. 3.2 The Scheme Administrator shall ensure that they carry out all duties and responsibilities conferred or imposed on the Scheme Administrator of the Plan by Part 4 of the Finance ▇▇▇ ▇▇▇▇ or any other legislation. 3.3 Within three months of the date on which the Trustee makes payment of Benefit under clause 8 the Scheme Administrator will notify the Member's personal representatives of the percentage of the Member's Lifetime Allowance that such payment represents pursuant to the Registered Pension Schemes (Provision of Information) Regulations 2006. 3.4 The Scheme Administrator may with the consent of the Sponsor authorise a person to act on their behalf in connection with any matters within the responsibility of HM Revenue & Customs. 3.5 The Sponsor shall facilitate the payment of the Scheme Administrator’s fees. The Trustee will not be liable for the payment of fees to the Scheme Administrator and such payment may not be made from Benefit or the Plan assets. 3.6 The Scheme Administrator may, as they think fit, obtain the advice of any professional advisor (the Sponsor or the Scheme Administrator shall (as shall be agreed between them) facilitate the payment of the costs of such advice. The costs shall not be borne by the Trustee, Benefit or the Plan assets). The Scheme Administrator shall not be liable for any loss or error that results from having acted on any such advice.

Related to SCHEME ADMINISTRATOR

  • Administrator 11 9. Provide written notice of termination of services to each client being served under this 12 Agreement, within fifteen (15) calendar days of receipt of termination notice. A copy of the notice of 13 termination of services must also be provided to ADMINISTRATOR within the fifteen (15) calendar 14 day period. 15 G. The rights and remedies of COUNTY provided in this Termination Paragraph shall not be 16 exclusive, and are in addition to any other rights and remedies provided by law or under this Agreement. 17

  • The Administrator The Administrator shall furnish at its own expense the executive, supervisory and clerical personnel necessary to perform its obligations under this Agreement. The Administrator shall also provide the items which it is obligated to provide under this Agreement, and shall pay all compensation, if any, of officers of the Trust as well as all Trustees of the Trust who are affiliated persons of the Administrator or any affiliated corporation of the Administrator; provided, however, that unless otherwise specifically provided, the Administrator shall not be obligated to pay the compensation of any employee of the Trust retained by the Trustees of the Trust to perform services on behalf of the Trust.

  • Plan Administrator Employees must elect a plan administrator during their initial enrollment in Advantage and may change their plan administrator election only during the annual open enrollment and when permitted under Section 5. Dependents must be enrolled through the same plan administrator as the employee.

  • Settlement Administrator 76. The Parties agree that, subject to Court approval, EAG shall be the Settlement Administrator. The Parties shall jointly oversee the Settlement Administrator. The Settlement Administrator shall fulfill the requirements set forth in the Preliminary Approval Order and the Agreement and comply with all applicable laws, including, but not limited to, the Due Process Clause of the United States Constitution. 77. The Settlement Administrator shall administer various aspects of the Settlement as described in the next paragraph and perform such other functions as are specified for the Settlement Administrator elsewhere in this Agreement, including, but not limited to, effectuating the Notice Program, handling the Claims process, administering the Settlement Fund, and distributing the Cash Payments to Settlement Class Members who submit Valid Claims. 78. The Settlement Administrator’s duties include to: a. Complete the Court-approved Notice Program by noticing the Settlement Class by Postcard Notice, sending Long Form Notices and paper Claim Forms on request from individuals in the Settlement Class, reviewing Claim Forms, notifying Claimants of deficient Claim Forms using the Notice of Deficiency, and sending Settlement Class Member Benefits to Settlement Class Members who submit a Valid Claim; b. Establish and maintain the Settlement Fund in the Escrow Account approved by the Parties; c. Establish and maintain a post office box to receive opt-out requests from the Settlement Class and objections from Settlement Class Members, and Claim Forms; d. Establish and maintain the Settlement Website to provide important information about the Settlement and allow electronic submission of Claim Forms; e. Establish and maintain an automated toll-free telephone line for the Settlement Class to call with Settlement-related inquiries, and answer frequently asked questions of individuals in the Settlement Class who call with or otherwise communicate such inquiries; f. Respond to any mailed Settlement Class member inquiries; g. Process all opt-out requests from the Settlement Class; h. Provide weekly reports to Class Counsel and Defendant’s Counsel that summarize the number of Claims submitted, Claims approved and rejected, Notices of Deficiency sent, opt-out requests and objections received that week, the total number of opt-out requests and objections received to date, and other pertinent information; i. In advance of the Final Approval Hearing, prepare a declaration confirming the Notice Program was completed in accordance with the terms of this Agreement and the Preliminary Approval Order, describing how the Notice Program was completed, indicating the number of Claim Forms received, providing the names of each individual in the Settlement Class who timely and properly requested to opt-out from the Settlement Class, indicating the number of objections received, and other information as may be necessary to allow the Parties to seek and obtain Final Approval; j. Distribute, out of the Settlement Fund, Cash Payments by electronic means or by paper check; k. Send Settlement Class Members who elect Credit Monitoring emails instructing how to activate their Credit Monitoring service; l. Pay Court-approved attorneys’ fees and costs, and Service Awards out of the Settlement Fund; m. Pay Settlement Administration Costs out of the Settlement Fund following approval by Class Counsel; and n. Any other Settlement Administration function at the instruction of Class Counsel and Defendant’s Counsel, including, but not limited to, verifying that the Settlement Fund has been properly administered and that the Cash Payments have been properly distributed. 79. The Notice Program and Notices will be reviewed and approved by the Settlement Administrator, but may be revised as agreed upon by the Parties prior to submission to the Court for approval. Immaterial revisions to the Notices may also be made prior to dissemination of Notice.

  • Administrator Authority The Administrator will have the power to interpret the Plan and this Award Agreement and to adopt such rules for the administration, interpretation and application of the Plan as are consistent therewith and to interpret or revoke any such rules (including, but not limited to, the determination of whether or not any Restricted Stock Units have vested). All actions taken and all interpretations and determinations made by the Administrator in good faith will be final and binding upon Participant, the Company and all other interested persons. No member of the Administrator will be personally liable for any action, determination or interpretation made in good faith with respect to the Plan or this Award Agreement.