Quality Assurance Committee Sample Clauses

Quality Assurance Committee. The contractor must have a quality assurance committee that is either a separate mechanism for addressing the quality assurance concerns of eligible frail enrollees, or incorporated into an existing quality assurance committee. The quality assurance committee must:
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Quality Assurance Committee. Alpha One and the Union agree to establish a quality assurance committee that includes an equal number of Consumers and Direct Care Workers, plus one member of Alpha One management and one representative of the Union. This committee will meet to consider and review issues of mutual concern to Consumers and Direct Care Workers. This committee shall meet upon request by either party, but not more than once per month. This committee does not supercede the Consumer’s undisputed rights provided by law.
Quality Assurance Committee a. The Quality Assurance Committee consists of 6 members.
Quality Assurance Committee. As noted above, a separate quality assurance committee made up of at least one member from each Full Partner and at least one external member shall review standards and practices of each Full Partner annually and shall make recommendations to ensure that compatibility of standards is maintained.
Quality Assurance Committee. The QA Committee shall develop, review, and revise the QA Plan on an annual basis. In addition, the QA Committee shall continually assess and make recommendations regarding the improvement of program services. The committee shall, at a minimum, be responsible for developing plans of corrective action for identified program deficiencies, discussing and acting upon process and outcome data results, and results from client feedback.
Quality Assurance Committee. The QA Committee (established by CONTRACTOR) shall develop, review, and revise the CONTRACTOR’S QA plan on an annual basis. In addition, the QA Committee shall meet quarterly to assess and make recommendations for the improvement of program services. It shall be responsible for developing plans or corrective action for identified program deficiencies. The QA Committee shall consist of person’s representative of the program and agency such as clients, volunteers, program staff, management, consultants and others (e.g., staff from other community-based organizations). The CONTRACTOR’S Project Manager and a Kinship Caregiver who completed KEPS training must be included as committee members. Committee membership shall be described by name, title or role, and the constituency represented (i.e., staff, management, client). The CONTRACTOR shall review the Committee recommendations and ensure recommendations are appropriately implemented.
Quality Assurance Committee. The Parties shall establish a separate --------------------------- quality assurance committee ("Q.A. Committee") for each SNF developed in the Development Territory pursuant to this Agreement. Each committee shall consist of three (3) persons appointed by Baylor ("Baylor Members") and (3) three persons appointed by Fountain View ("Fountain View Members"). The Baylor Members shall include at least one (1) licensed physician and one (1) registered nurse. Each Q.A. Committee shall meet at least monthly, and shall be available to meet immediately if the need so arises, Each Q.A. Committee shall serve in an advisory capacity and make recommendations to the Board of Directors of the applicable SNF. Each such recommendation shall require a majority vote of the Q.A.
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Quality Assurance Committee. 3 1.24 Risk Reimbursement Plan. . . . . . . . . . . . . . . . . . 4 1.25 Secure Horizons Medical and Hospital Plan. . . . . . . . . 4 1.26

Related to Quality Assurance Committee

  • Quality Assurance The parties endorse the underlying principles of the Company’s Quality Management System, which seeks to ensure that its services are provided in a manner which best conforms to the requirements of the contract with its customer. This requires the Company to establish and maintain, implement, train and continuously improve its procedures and processes, and the employees to follow the procedures, document their compliance and participate in the improvement process. In particular, this will require employees to regularly and reliably fill out documentation and checklists to signify that work has been carried out in accordance with the customer’s specific requirements. Where necessary, training will be provided in these activities.

  • 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.

  • Transition Committee 8.1.0 A transition committee comprised of the employee representatives and the employer representatives, including the Crown, will be established by January 31, 2016 to address all matters that may arise in the creation of the Trust.

  • Operating Committee the Consortium’s managing body, composed of representatives of the Manager and the Contractors, pursuant to Annex XI.

  • Nominating Committee Subject to the provisions of Article X, the Nominating Committee shall consist of such number of Directors (none of whom shall be an employee of the Corporation) as may be determined from time to time by the Board. Subject to the provisions of Article X, the Committee shall review the qualifications of potential candidates for the Equity Directors and shall propose nominees for the Equity Directors who are nominated by the Board. Subject to the provisions of Article X, in making their nominations, the Nominating Committee and the Board of Directors shall take into consideration that (i) the Board of Directors shall have meaningful representation of a diversity of interests, including floor brokers, floor traders, futures commission merchants, producers, consumers, processors, distributors and merchandisers of commodities traded on Chicago Mercantile Exchange Inc. (the “Exchange”) or Board of Trade of the City of Chicago, Inc. (the “CBOT”), participants in a variety of pits or principal groups of commodities traded on the Exchange or the CBOT and other market users or participants; (ii) at least 10% of the members of Board of Directors shall be composed of persons representing farmers, producers, merchants or exporters of principal commodities traded on the Exchange or the CBOT; and (iii) at least 20% of the members of the Board of Directors shall be composed of persons who do not possess trading privileges on either the Exchange or the CBOT, are not salaried employees of the Corporation and are not officers, principals or employees who are involved in operating the futures exchange related business of a firm entitled to members’ rates on either the Exchange or the CBOT. Notwithstanding the foregoing, the Nominating Committee shall include the Chief Executive Officer of the Corporation as a nominee for an Equity Director at any annual meeting of shareholders at which his or her term is scheduled to expire; provided, that if such term expiration occurs during the Transition Period, the Chief Executive Officer shall be nominated as a CME Director. Subject to the provisions of Article X, a majority of the Nominating Committee shall constitute a quorum necessary to transact business.

  • Advisory Committee The Settling State shall designate an Opioid Settlement Remediation Advisory Committee (the “Advisory Committee”) to provide input and recommendations regarding remediation spending from that Settling State’s Abatement Accounts Fund. A Settling State may elect to use an existing advisory committee or similar entity (created outside of a State-Subdivision Agreement or Allocation Statute); provided, however, the Advisory Committee or similar entity shall meet the following requirements:

  • Audit Committee (A) The Audit Committee shall be composed of five members who shall be selected by the Board of Directors from its own members, none of whom shall be an officer of the Company, and shall hold office at the pleasure of the Board.

  • Steering Committee The Project Manager shall set up a Steering Committee for the Project, consisting of representatives from the Department, the Contractor, and any other key organisations whom the project will impact on, to be agreed between the parties. The function of the Steering Committee shall be to review the scope and direction of the Project against its aims and objectives, monitor progress and efficiency, and assess, manage and review expected impact and use of the findings from the Project. The Committee shall meet at times and dates agreed by the parties, or in the absence of agreement, specified by the Department. The Contractor’s representatives on the Steering Committee shall report their views on the progress of the Project to the Steering Committee in writing if requested by the Department. The Contractor’s representatives on the Steering Committee shall attend all meetings of the Steering Committee unless otherwise agreed by the Department.

  • Development Committee As soon as practicable, the Parties will establish a joint development committee, comprised of at least one (1) and up to two (2) representatives of Omega and at least one (1) and up to two (2) representatives of Acuitas (the “JDC”). One such representative from each Party will be such Party’s Workplan Leader. Each Party may replace its Workplan Leader and other JDC representatives at any time upon written notice to the other Party, provided, however, that each Party shall use reasonable efforts to ensure continuity on the JDC. With the consent of the other Party (which will not be unreasonably withheld, conditioned or delayed), each Party may invite non-voting employees and consultants to attend JDC meetings as necessary, subject to consultant’s agreement to be bound to the same extent as a permitted subcontractor under Section 3.1(i).

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