Payment Gateway Services Sample Clauses

Payment Gateway Services. The Contractor shall have connectivity and interfacing capabilities that will enable Authorized Users to acquire third- party Payment Gateway Services or to work with various third-party Payment Gateway Service providers that are already in use by Authorized Users. If Contractor is an authorized Reseller of any third-party Payment Gateway Services provider (e.g. Xxxxxxxxx.xxx, PayPal, etc.), Contractor may include the applicable fees for use of such third-party Payment Gateway Services on Attachment 1Contract Pricelist for inclusion on the Contract, subject to approval by OGS. Fees not included on Attachment 1 – Contract Pricelist cannot be charged to the Authorized User. Other third-party Payment Gateway Service providers for which Contractor is not an authorized Reseller, but that Contractor is capable of working with and processing payments from will be listed for informational purposes only on the OGS website, for Authorized Users’ consideration when making purchasing decisions from the Contract(s). Any fees charged for using a third-party Payment Gateway Service provider for which the Contractor is not an authorized Reseller must be charged to the Authorized User by the third-party Payment Gateway Service provider outside the scope of this Contract.
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Payment Gateway Services. 3.1 The Supplier shall ensure a secure connection is used between the Customer’s website, the Payer, the Payment Gateway Services and the Merchant Acquiring Services at all times.
Payment Gateway Services. Enable the Entity to accept the online payments made by a Valid Payment Instrument for a Transaction at the Entity’s Website or Mobile Application by allowing the Entity to integrate the Entity’s Website/Mobile Application/Billing System with the Paytm Platform. The terms and conditions are more specifically provided in Schedule B attached hereto.
Payment Gateway Services. Description of Item/Unit of Measure Frequency Fee 1.Installation Services (per ******** **) *** ******* $******
Payment Gateway Services. Description: Single Supplier Framework Contract for the provision of Merchant Acquiring Services and Payment Gateway Services to Public Sector Bodies in Ireland Internal identifier: 2

Related to Payment Gateway Services

  • Distribution Services The Distributor shall sell and repurchase Shares as set forth below, subject to the registration requirements of the 1933 Act and the rules and regulations thereunder, and the laws governing the sale of securities in the various states ("Blue Sky Laws"):

  • Hosting Services 13.1 If Supplier or its subcontractor, affiliate or any other person or entity providing products or services under the Contract Hosts Customer Data in connection with an Acquisition, the provisions of Appendix 1, attached hereto and incorporated herein, apply to such Acquisition.

  • Support Services HP’s support services will be described in the applicable Supporting Material, which will cover the description of HP’s offering, eligibility requirements, service limitations and Customer responsibilities, as well as the Customer systems supported.

  • Outside Services Consultant shall not use the service of any other person, entity, or organization in the performance of Consultant’s duties without the prior written consent of an officer of the Company. Should the Company consent to the use by Consultant of the services of any other person, entity, or organization, no information regarding the services to be performed under this Agreement shall be disclosed to that person, entity, or organization until such person, entity, or organization has executed an agreement to protect the confidentiality of the Company’s Confidential Information (as defined in Article 5) and the Company’s absolute and complete ownership of all right, title, and interest in the work performed under this Agreement.

  • TAX SUPPORT SERVICES BNY Mellon shall provide the following tax support services for each Fund:  Provide various data and reports as agreed upon in the SLDs to support TRP’s tax reporting and tax filing obligations, including: · Wash sales reporting; · QDI reporting; · DRD reporting; · PFIC analysis; · Straddle analysis; · Paydown adjustments; · Equalization debit adjustments · Tax compliance under §851, §817(h); · Foreign bond sale analysis (§988); · Troubled debt analysis; · Estimation of income for excise tax purposes; · Swap analysis; · Inflation adjustments; · §1256 adjustments; · Market discount analysis; OID adjustments; · CPDI analysis; · Shareholder tax reporting information (e.g. FTC, UGG income, foreign source income by country, exempt income by state);  Provide data, and reports based on such data, maintained by BNY Mellon on its fund accounting platform as reasonably requested by TRP to support TRP’s obligations to comply with requests from tax authorities and TRP’s tax reporting and tax filing obligations.  Assist with other tax-related data needs as mutually agreed upon in writing from time-to-time.

  • 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.

  • Remittance Processing Services In order to provide a means of collection of the Receivables which will allow the Trustee to receive the proceeds of the Receivables and related security without AmeriCredit or its Affiliates having access to the funds, the parties hereto agree for the benefit of the Trustee that the processing services (the “Service(s)”) of Processor will be used for the collection and the deposit of remittances related to the Receivables and related security.

  • Call Center Services Answer telephone inquiries during mutually agreed upon hours each day on which the Fund is open for trading. In the event that the Fund plans to be open on a business day when the New York Stock Exchange is to be closed, the Fund shall provide the Transfer Agent with reasonable advance notice and the parties shall discuss the call center resources available for such day. The Transfer Agent shall answer and respond to inquiries from existing Shareholders, prospective Shareholders of the Fund and broker-dealers on behalf of such Shareholders in accordance with the instructions provided by the Fund to the Transfer Agent for purpose of fulfilling its duties under this Agreement, including, accepting transaction requests on behalf of the Fund.

  • Billing Services Manager shall provide, or cause to be provided, the following billing services to P.C.:

  • Marketing Services The Manager shall provide advice and assistance in the marketing of the Vessels, including the identification of potential customers, identification of Vessels available for charter opportunities and preparation of bids.

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