Quality Control and Quality Assurance Testing Sample Clauses

Quality Control and Quality Assurance Testing. (i) Quality control and quality assurance testing schedule (ii) solely to the extent related to services provided under the Agreement, test plans, and (iii) solely to the extent relevant to services provided under the Agreement, any final findings, recommendations, or remediation plans.
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Quality Control and Quality Assurance Testing. 6.1 All construction materials to be used or incorporated in the Project are subject to inspection and testing to assure that the materials installed comply with the requirements of the Contract Documents (“Quality Control” or “QC”) and to verify the accuracy and applicability of the QC testing results (“Quality Assurance” or “QA”). The City will approve or reject materials based on the QA/QC results and reserves the right to required third party QA/QC testing. Any material rejected by City shall be removed immediately and replaced in an acceptable manner to City at no additional cost to City. When QC/QA tests indicate noncompliance with the Contract Documents, retesting will be performed by the same testing laboratory that performed the tests that indicated noncompliance.
Quality Control and Quality Assurance Testing. 4.7.1.1 All construction materials to be used or incorporated in the Project are subject to inspection, Quality Control & Quality Assurance Testing, and approval or rejection by City. Any material rejected by City must be removed immediately and replaced in an acceptable manner to City at no additional cost to City. When QC/QA tests indicate noncompliance with the Agreement Documents, retesting must be performed by the same testing laboratory that performed the tests that indicated noncompliance.‌
Quality Control and Quality Assurance Testing. The quality control and quality assurance is documented in the “check-in procedure” as part of the Coding Rules, which are available on the MESSy Consortium Website, and which regulate the required checks to be performed by the developers (and the submodel maintainer, if necessary) before first submission to the CSG. The minimum technical prerequisites of new submodels or new submodel features are: - the new submodel or feature must compile without errors on a reasonable subset of supported compilers, - the new submodel or feature is switched OFF by default, - the new submodel or feature has no side-effects if it is switched OFF. Developers are encouraged to check-in also un-evaluated “alpha-versions” of their new submodels (which fulfil the above-mentioned requirements) to facilitate the beta testing by other users. The usability status of new submodels is defined for each new official Standard Version release by the submodel maintainer and regulated by the traffic-light system, which is documented on the MESSy Consortium Website. Modifications/extensions of existing submodels require the agreement of the submodel maintainer, and therefore require an information/involvement of the maintainer from the very beginning of the development. Before a new submodel or feature can become “operational” (green traffic light), it has to be thoroughly evaluated by the developers (and the submodel maintainer, if necessary) in a process-oriented evaluation approach and documented, preferably in GMD.
Quality Control and Quality Assurance Testing. All construction materials to be used or incorporated in the Project are subject to inspection and testing to assure that the materials installed comply with the requirements of the Contract Documents (“Quality Control” or “QC”) and to verify the accuracy and applicability of the QC testing results (“Quality Assurance” or “QA”). The City will approve or reject materials based on the QA/QC results and reserves the right to required third party QA/QC testing. Any material rejected by City shall be removed immediately and replaced in an acceptable manner to City at no additional cost to City. When QC/QA tests indicate noncompliance with the Contract Documents, retesting will be performed by the same testing laboratory that performed the tests that indicated noncompliance. The CM@R will establish, provide, and maintain an effective Quality Control Testing Program (“QCTP”) and submit a written QCTP to the City as a required submittal. The CM@R may not begin work until the QCTP has been reviewed and accepted by the City. Resumes of all personnel that will be associated directly or indirectly with the QCTP shall be included The QCTP shall include, but not be limited to, on-site/field and laboratory testing of all material delivered to the site and any existing materials or conditions pertinent to the project The written QCTP shall set forth the responsibilities of each Project Team Member, supervisory personnel, and each technician assigned to this project. Substitutions or replacement of personnel require prior written approval by the City. All personnel shall be proficient within their assigned duties and possess certification(s) commensurate with their position and responsibilities. The minimum certification(s) for each technician is NICET Level II, Arizona Technical Testing Institute, American Concrete Institute, or other nationally recognized program applicable to the project and approved by the City. The written QCTP shall include a description of the required field and construction materials laboratory tests, including required frequencies that meet the minimums established herein. The CM@R shall develop its own program or procure the services of a consultant. In either case, the party performing the tests shall be currently certified by the National Bureau of Standards in the National Voluntary Laboratory Accreditation Program (NVLAP) for construction services or the AASHTO Accreditation Plan (AAP) for Soils, Asphalt, and Concrete. The CM@R shall provide ...
Quality Control and Quality Assurance Testing. Quality Control testing shall be the responsibility of the Contractor throughout every stage of the Work, from and including the production of the aggregates and polymer modified asphalt emulsion to the design and placement of the final product. The Contractor shall provide the Engineer with a copy of all quality control test results within 24 hours of testing. Quality assurance testing may be conducted by the Owner during the Work. The results of these tests shall be made available to the Contractor, upon request, but will not relieve the Contractor of, or replace the specified quality control testing.

Related to Quality Control and Quality Assurance Testing

  • 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.

  • Quality Control A. Controlled Affiliate agrees to use the Licensed Marks and Name only in connection with the licensed services and further agrees to be bound by the conditions regarding quality control shown in attached Exhibit A as they may be amended by BCBSA from time-to-time.

  • Millennium Compliance Borrower shall take all action necessary to assure that there will be no material adverse change to Borrower's business by reason of the advent of the year 2000, including without limitation that all computer-based systems, embedded microchips and other processing capabilities effectively recognize and process dates after April 1, 1999, except for personal office computers and network stations which will be compliant by October 1, 1999. At FINOVA's request, Borrower shall provide to FINOVA assurance reasonably acceptable to FINOVA that Borrower's computer-based systems, embedded microchips and other processing capabilities are year 2000 compatible.

  • Compliance Support Services Provide compliance policies and procedures related to services provided by BNY Mellon and, if mutually agreed, certain of the BNY Mellon Affiliates; summary procedures thereof; and periodic certification letters. · Such Compliance Support Services are administrative in nature and do not constitute, nor shall they be construed as constituting, legal advice or the provision of legal services for or on behalf of a Fund or any other person, and such services are subject to review and approval by the applicable Fund and by the Fund’s legal counsel. · Provide access to Fund records so as to permit the Fund or TRP to test the performance of BNY Mellon in providing the services under this Agreement. · Such Compliance Support Services performed by BNY Mellon under this Agreement shall be at the request and direction of the Fund and/or its chief compliance officer (the “Fund’s CCO”), as applicable. BNY Mellon disclaims liability to the Fund, and the Fund is solely responsible, for the selection, qualifications and performance of the Fund’s CCO and the adequacy and effectiveness of the Fund’s compliance program.

  • Quality Control Procedures The Seller must have an internal quality control program that verifies, on a regular basis, the existence and accuracy of the legal documents, credit documents, property appraisals, and underwriting decisions. The program must be capable of evaluating and monitoring the overall quality of its loan production and servicing activities. The program is to ensure that the Mortgage Loans are originated and serviced in accordance with prudent mortgage banking practices and accounting principles; guard against dishonest, fraudulent, or negligent acts; and guard against errors and omissions by officers, employees, or other authorized persons.

  • Research Analyst Independence The Company acknowledges that the Underwriters’ research analysts and research departments are required to be independent from their respective investment banking divisions and are subject to certain regulations and internal policies, and that such Underwriters’ research analysts may hold views and make statements or investment recommendations and/or publish research reports with respect to the Company and/or the offering that differ from the views of their respective investment banking divisions. The Company hereby waives and releases, to the fullest extent permitted by law, any claims that the Company may have against the Underwriters with respect to any conflict of interest that may arise from the fact that the views expressed by their independent research analysts and research departments may be different from or inconsistent with the views or advice communicated to the Company by such Underwriters’ investment banking divisions. The Company acknowledges that each of the Underwriters is a full service securities firm and as such from time to time, subject to applicable securities laws, may effect transactions for its own account or the account of its customers and hold long or short positions in debt or equity securities of the companies that may be the subject of the transactions contemplated by this Agreement.

  • Customer Services Customer Relationship Management (CRM): All aspects of the CRM process, including planning, scheduling, and control activities involved with service delivery. The service components facilitate agencies’ requirements for managing and coordinating customer interactions across multiple communication channels and business lines. Customer Preferences: Customizing customer preferences relative to interface requirements and information delivery mechanisms (e.g., personalization, subscriptions, alerts and notifications).

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