Compliance Manager Sample Clauses

Compliance Manager. Productions will have a designated person with specialized training, responsibility and authority for COVID-19 safety compliance and enforcement, and such person shall be physically present on the production to monitor and enforce COVID-19 safety protocols beginning from crew call and continuing until wrap. The COVID-19 Compliance Manager designated on the production shall be identified on the call sheet. The COVID-19 Compliance Manager may pause production or other work activities if he/she identifies a COVID-19 health and safety concern (e.g., issues of non-compliance with the health and safety protocols and procedures), to advise the appropriate party and resolve the concern. The COVID-19 Compliance Manager shall also have the ability to effectively recommend termination for violations of COVID-19 health and safety protocols. The Parties agree that in certain productions, or when activity on the production is limited (e.g., tabletop shoot), the COVID-19 Compliance and Enforcement may be adequately monitored and enforced without a constant physical presence. In those circumstances, the extent of that presence shall be reserved to the good faith judgment of the COVID-19 Compliance Manager. Notice shall be provided to the Union in advance where the Compliance Manager has determined that physical presence will not be required at all times, or where minimal presence will be required. Producer shall ensure that the COVID-19 Compliance Manager has access to medical professionals and other subject matter experts who can address any questions that may arise regarding health and safety. No Individual shall be discharged for refusing to work on a job that exposes the individual to a clear and present danger to life or limb relating to COVID-19, or for making a good faith report relating to the safety of another Individual exposed to a clear and present danger to life or limb relating to COVID-19. The sole existence of COVID-19 without additional risk factors does not in and of itself establish clear and present danger. The foregoing shall not operate to expand or reduce the scope of the No Strike clause in any CBA. 4 Bandanas and gaiters are not appropriate face coverings. Deadline APPENDIX A COVID-19 Protocols for the Resumption of SAG-AFTRA Commercial Contract Live Productions The health and safety of SAG-AFTRA members and advertiser and advertiser agency personnel is our highest priority. The following are recommended procedures for SAG-AFTRA Commercials Contra...
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Compliance Manager. North Carolina State University (“NC State”) shall select, hire and appoint a person to the position of Director of Compliance whose responsibilities shall include, but not be limited to, developing and implementing an export law compliance program for PowerAmerica. The Compliance Manager is specifically responsible for, among other things: (i) developing a training module (See Art. 4.1.), (ii) maintaining a library of proposed and approved project submissions including export control analysis (See Art. 4.2.), (iii) coordinating with the U.S. Department of Energy (DOE), (iv) maintaining a library of PowerAmerica program document summaries (See Art. 4.3.), (v) maintaining a record of voluntary disclosures by PowerAmerica Members (See Art. 4.6.), (vi) maintaining a list of PowerAmerica Members registered with the DDTC (See Art. 4.7.), (vii) maintaining a library of PowerAmerica Members’ certifications (See Art. 4.8.), and
Compliance Manager. Productions will have a designated person with specialized training, responsibility and authority for COVID‐19 safety compliance and enforcement, and such person shall be physically present on the production to monitor and enforce COVID‐19 safety protocols beginning from crew call and continuing until wrap. The COVID‐19 Compliance Manager designated on the production shall be identified on the call sheet. The COVID‐19 Compliance Manager may pause production or other work activities if he/she identifies a COVID‐19 health and safety concern (e.g., issues of non‐compliance with the health and safety protocols and procedures), to advise the appropriate party and resolve the concern. The COVID‐19 Compliance Manager shall also have the ability to effectively recommend termination for violations of COVID‐19 health and safety protocols.
Compliance Manager. Notice shall be provided to the Union in advance where the Compliance Manager has determined that physical presence will not be required at all times, or where minimal presence will be required. Producer shall ensure that the COVID‐19 Compliance Manager has access to medical professionals and other subject matter experts who can address any questions that may arise regarding health and safety. No Individual shall be discharged for refusing to work on a job that exposes the individual to a clear and present danger to life or limb relating to COVID‐19, or for making a good faith report relating to the safety of another Individual exposed to a clear and present danger to life or limb relating to COVID‐19. The sole existence of COVID‐19 without additional risk factors does not in and of itself establish clear and present danger. The foregoing shall not operate to expand or reduce the scope of the No Strike clause in any CBA.
Compliance Manager. A. Within sixty (60) days after the entry of the Plea Agreement by the court, CITGO shall designate a Compliance Manager (hereinafter "Compliance Manager") to be in charge of implementing this ECP. The Compliance Manager shall report directly to the Plant Manager aod Vice President of Refining for the Lake Xxxxxxx Manufacturing Complex and shall not be required to report to any other subordinate in lieu of the Plant Manager and Vice President of Refining.
Compliance Manager. All type II jail facilities that house GBTI or PREA-vulnerable inmates will have a PREA-GBTI compliance manager. The compliance manager shall be responsible for the facility’s efforts to comply with PREA-GBTI policies and procedures. The PREA-GBTI compliance manager shall be responsible for and ensure compliance with the Bureau Polices. The PREA-GBTI Compliance Manager shall also serve on the PREA-GBTI Committee.
Compliance Manager. The Person designated by the CONTRACTOR to 146 perform the following job responsibilities related to this Agreement: (1) review Agreement to 147 ensure compliance; (2) manage and oversee the compilation of the monthly, quarterly, and 148 annual reports required by this Agreement; (3) oversee the development of written 149 communications for billing inserts, program education brochures, and direct mail pieces to fulfill 150 obligations in this Agreement; (4) conduct environmental education presentations in public 151 schools; (5) manage the coordination and development of community outreach events in the 152 CITY; (6) serve as the liaison between the CITY and community groups; and (7) develops public 153 education materials and outreach activities to promote special programs in the CITY. 154
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Related to Compliance Manager

  • Compliance Officer The Contractor shall employ a Compliance Officer who is accountable to the Contractor’s executive leadership and dedicated full-time to the Contractor’s Indiana Medicaid product lines. This individual will be the primary liaison with the State (or its designees) to facilitate communications between OMPP, the State’s contractors and the Contractor’s executive leadership and staff. This individual shall maintain a current knowledge of federal and state legislation, legislative initiatives and regulations that may impact the Hoosier Healthwise program. It is the responsibility of the Compliance Officer to coordinate reporting to the State as defined in Section 9 and to review the timeliness, accuracy and completeness of reports and data submissions to the State. The Compliance Officer, in close coordination with other key staff, has primary responsibility for ensuring all Contractor functions are in compliance with the terms of the Contract. The Compliance Officer shall meet with the OMPP Surveillance and Utilization Review Unit (SUR) on a quarterly basis.

  • Compliance Monitoring Grantee must be subject to compliance monitoring during the period of performance in which funds are Expended and up to three years following the closeout of all funds. In order to assure that the program can be adequately monitored, the following is required of Grantee:

  • Corporate Compliance Program Maintain, and will cause each other Loan Party to maintain on its behalf, a corporate compliance program reasonably acceptable to Agent. Until the Obligations have been Paid in Full, Borrower will modify such corporate compliance program from time to time (and cause the other Loan Parties and Subsidiaries to modify their respective corporate compliance programs) as may be reasonable to attempt to ensure continuing compliance in all material respects with all material applicable laws, ordinances, rules, regulations and requirements (including, in all applicable material respects, any material Health Care Laws). Borrower will permit Agent and/or any of its outside consultants to review such corporate compliance programs from time to time upon reasonable notice and during normal business hours of Borrower.

  • Compliance Review During the Term, Developer agrees to permit the GLO, HUD, and/or a designated representative of the GLO or HUD to access the Property for the purpose of performing Compliance-Monitoring Procedures. In accordance with GLO Compliance-Monitoring Procedures, the GLO or HUD will periodically monitor and audit Developer’s compliance with the requirements of this Agreement, the CDBG-DR Regulations, the CDBG Multifamily Rental Housing Guidelines, and any and all other Governmental Requirements during the Term. In conducting any compliance reviews, the GLO or HUD will rely primarily on information obtained from Developer’s records and reports, on-site monitoring, and audit reports. The GLO or HUD may also consider other relevant information gained from other sources, including litigation and citizen complaints. Attachment G GLO Contract No. 19-097-041-B662 5.04 HAZARDOUS MATERIALS: INDEMNIFICATION

  • Compliance Officer and Chief Executive Officer The Implementation Report and each Annual Report shall include a certification by the Compliance Officer and Chief Executive Officer that:

  • Monitoring and Compliance Every year during the term of this Agreement on the anniversary date of the effective date of the Agreement, the Restaurant shall provide to the United States a narrative report of the actions taken during the reporting period to remove any barriers to access and otherwise enhance accessibility for individuals with disabilities at the Restaurant and any plans for action concerning ADA compliance in the coming year. The report shall include as an exhibit copies of any complaint, whether formal or informal, received during the reporting period alleging that the Restaurant was not being operated in compliance with the ADA or otherwise discriminated against any person on account of disability. The Owner and Operator of the Restaurant shall cooperate in good faith with any and all reasonable requests by the United States for access to the Restaurant and for information and documents concerning the Restaurant's compliance with this Agreement and the ADA. The United States shall have the right to verify compliance with this Agreement and the ADA, both as set forth in this Agreement and through any means available to the general public, including visits to the public areas of the Restaurant and communications with Restaurant staff. The United States shall have the right to inspect the facility at any time, and counsel for the United States need not identify themselves in the course of visits to the public areas.

  • Compliance Reviews The Department may conduct a compliance review of the Contractor’s security procedures before and during the Contract term to protect Confidential Information.

  • COMPLIANCE COMMITTEE (1) Within thirty (30) days of the date of this Agreement, the Board shall appoint a Compliance Committee of at least three (3) directors, of which no more than one (1) shall be an employee or controlling shareholder of the Bank or any of its affiliates (as the term “affiliate” is defined in 12 U.S.C. § 371c(b)(1)), or a family member of any such person. Upon appointment, the names of the members of the Compliance Committee and, in the event of a change of the membership, the name of any new member shall be submitted in writing to the Assistant Deputy Comptroller. The Compliance Committee shall be responsible for monitoring and coordinating the Bank's adherence to the provisions of this Agreement.

  • Compliance Plan (1) This paragraph (h) applies to any portion of the contract that—

  • Compliance Audit LEA shall have the right but shall be under no obligation to conduct audit(s), from time to time, of Provider’s records concerning its compliance obligations as set forth in this Article V. Provider shall make such records and other documents available to LEA upon request.

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