Audit; Verification Sample Clauses

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Audit; Verification. During the Term and for one (1) year following any termination or expiration of the Master Agreement (but no more than once in a calendar year), Anchore and its auditors may inspect and audit Customer’s records relating to its reproduction and use of the Products for the purposes of verifying Customer’s compliance with the Master Agreement. Customer shall cooperate fully with Anchore and its auditors in conducting such inspections and audits and provide reasonable assistance. If an underpayment is discovered, Customer shall promptly pay the underpaid amount. If an underpayment of more than ten percent (10%) for the period audited is discovered, Customer shall promptly reimburse Anchore for the cost of the audit. In addition to Customer’s obligations in the immediately foregoing paragraph, at Anchore's request, Customer will promptly provide Anchore with a Software-generated report verifying that Customer is using the Software in accordance with the Master Agreement. Anchore will invoice Customer, and Customer promptly shall pay Anchore, for any access to and/or use of the Software in excess of that permitted in the applicable Order Form, effective from the date that such access and/or use first exceeded that permitted under such Order Form.
Audit; Verification. Sylvamo is entitled, on giving at least fifteen (15) Business Days prior written notice to IP, no more than one time per calendar year during the Term and only during IP’s normal business hours, to have a reputable, independent certified public accounting firm reasonably acceptable to IP (the “Auditor”) audit: (a) the Product purchasing transaction / contract details of IP for the Area ▇▇▇▇▇ and Third Party Yards supporting Area ▇▇▇▇▇. Product purchasing/transaction contract details for the Client ▇▇▇▇▇ are subject to confidentiality; (b) IP’s maintenance practices and spend at Supporting Facilities; (c) amounts charged to Sylvamo for IP Procurement Services and Products.
Audit; Verification. On an annual basis, Subrecipient will be required to complete and return a statement verifying subrecipient’s status as to the single audit requirement.
Audit; Verification. INSYNC shall be permitted, at least once annually to audit and verify the usage of the INSYNC Proprietary Information, software, platform, and services. In the event of an audit reveals that the subscriber has failed to pay or has underpaid any of the subscriber fees, including but not limited to, cost, license fee, taxes, annual license, renewal fee, maintenance fee, or any form of support fee for availed support period etc. subscriber or Licensee shall pay such underpaid fees based on INSYNC's list of prices, latest within 30 days of such notice to enjoy uninterrupted utilization of the platform, website, mobile applications or software, or related services as applicable.
Audit; Verification. If ACS has a bona fide concern, based on reliable evidence, that RESELLER may be violating the terms of this Agreement by mailing copies of any Product or otherwise using or distributing any Product in violation of the terms of this Agreement, RESELLER agrees that ACS shall have the right to retain an independent certified public accountant for the purpose of inspecting, during normal business hours, RESELLER's books, financial accounts and income tax returns, with respect only to the business relationship between RESELLER and ACS, in insure RESELLER's compliance with the terms of this Agreement, ACS shall retain this audit right for one year after termination of this Agreement. ACS shall treat any records examined as RESELLER confidential information and shall not disclose such information unless required in any legal or other proceeding in order to protect its proprietary rights or insure that all monies owed hereunder have been paid.
Audit; Verification. CVB shall provide audit verification, as described below, to the City and demonstrating that the CVB uses the funds solely and exclusively for the purpose of promoting tourism in conformance with this Agreement. Reports are due by the fifteenth of the month following the end of the month. Failure to file required report may compromise the CVB’s status to receive grant funds. a) The CVB shall provide a cost allocation schedule for overhead costs associated with the use of CVB facilities for tourism activities. The audit verification shall include a Line Item Detailed Expense Report to the City identifying and describing each item funded with hotel/motel tax revenues including all direct and indirect costs. Detailed invoices shall be retained in compliance with the City retention schedule as per Georgia Law, and will be available for review at the CVB offices. b) At the end of the fiscal year, the CVB shall internally perform this audit verification and provide to the City a Detailed Annual Report that conveys each item funded with hotel/motel Tax. Every third year, the CVB shall hire an outside agency to perform a full audit in lieu of its annual internal review and submit the findings in a report to the City.
Audit; Verification. Regardless of whether one of the Release Conditions occurs, City shall have the right to require the IP Escrow Agent to verify the relevance, completeness, currency, accuracy, and functionality of the IP Materials held by the IP Escrow in a manner and form as directed by City at the expense of Lead Developer not more than once in any calendar year. In the event such testing demonstrates the IP Materials held by the IP Escrow does not correspond to the Work Materials and/or Project or pursuant to the Agreement, Lead Developer shall deposit the correct materials with the IP Escrow Agent within seventy-two (72) hours following notice by City.
Audit; Verification. 4.1. During the Term and for one (1) year following any termination or expiration of the End User License Agreement, Forseti and its auditors may inspect and audit Customer’s records relating to its reproduction and use of the Products for the purposes of verifying Customer’s compliance with the End User License Agreement. Customer shall cooperate fully with Forseti and its auditors in conducting such inspections and audits and provide reasonable assistance. At Forseti's request, Customer will promptly provide Forseti with a Software-generated report verifying that Customer is using the Software in accordance with the End User License Agreement.
Audit; Verification. PRO-ED may periodically conduct audits to verify the existence of the named Examinees and that such Examinees were administered the Test Materials as represented by the Field Examiner. Such audits may include contacting the guardians or parents of minor Examinees for verification of test administration. PRO-ED and the Field Examiner agree that the integrity of the data collection process and the quality of the data is of upmost importance to the validity and reliability of the test produced by PRO-ED. PRO-ED reserves the right to withhold or recoup any payment of Field Examiner Fee and terminate this Agreement if PRO-ED has any reason to suspect or believe that Field Examiner or any of the Field Examiner’s subcontractors has violated any provision of this Agreement, including the submission of data not property administered, consent for Examinees that were not properly collected, Security Incidents that are due to the fault of Field Examiner or its subcontractors, or any irregularities that appear in the data that indicate improper, negligent or potentially fraudulent submission of data. The Field Examiner Fee with regard to any given Contracted Data may be withheld or recouped even if the irregularities or suspected irregularities are related to a different set of Collected Data or Test, given all Contracted Data previously or to be received by such Field Examiner and Field Examiner’s subcontractors will be deemed to be suspect and thus unusable. PRO-ED may bar Field Examiners and/or subcontractors to any access to the Test Materials, PRO-ED Examinee Portal, and/or prohibit them for administering any Tests.

Related to Audit; Verification

  • E-VERIFICATION The Vendor represents and warrants that it will ensure its compliance with the Mississippi Employment Protection Act of 2008, and will register and participate in the status verification system for all newly hired employees. Mississippi Code Annotated §§71-11-1 et seq. The term “employee” as used herein means any person that is hired to perform work within the State of Mississippi. As used herein, “status verification system” means the Illegal Immigration Reform and Immigration Responsibility Act of 1996 that is operated by the United States Department of Homeland Security, also known as the E-Verify Program, or any other successor electronic verification system replacing the E-Verify Program. Vendor agrees to maintain records of such compliance. Upon request of the State and after approval of the Social Security Administration or Department of Homeland Security when required, Vendor agrees to provide a copy of each such verification. Vendor further represents and warrants that any person assigned to perform services hereafter meets the employment eligibility requirements of all immigration laws. The breach of this agreement may subject Vendor to the following: termination of this contract for goods or services and ineligibility for any state or public contract in Mississippi for up to three (3) years with notice of such cancellation/termination being made public; the loss of any license, permit, certification, or other document granted to Vendor by an agency, department or governmental entity for the right to do business in Mississippi for up to one (1) year; or,

  • Account Verification Whether or not a Default or Event of Default exists, Agent shall have the right at any time, in the name of Agent, any designee of Agent or any Borrower, to verify the validity, amount or any other matter relating to any Accounts of Borrowers by mail, telephone or otherwise. Borrowers shall cooperate fully with Agent in an effort to facilitate and promptly conclude any such verification process.

  • Third Party Verification 4.8.1 The SPD shall be further required to provide entry to the site of the Power Project (from which power under this Agreement is being made available) free of all encumbrances at all times during the Term of the Agreement to SECI and a third Party nominated by any Indian Governmental Instrumentality for inspection and verification of the works being carried out by the SPD at the site of the Power Project. The SPD shall provide full support to SECI and/or the third party in this regard. 4.8.2 The third party may verify the construction works/operation of the Project being carried out by the SPD and if it is found that the construction works/operation of the Power Project is not as per the Prudent Utility Practices, it may seek clarifications from SPD or require the works to be stopped or to comply with the instructions of such third party.

  • Inspection and Verification The Secured Parties and such persons as the Secured Parties may reasonably designate shall have the right to inspect the Collateral, all records related thereto (and to make extracts and copies from such records) and the premises upon which any of the Collateral is located, to discuss the Grantor’s affairs with the officers of the Grantor and its independent accountants and to verify under reasonable procedures the validity, amount, quality, quantity, value, condition and status of, or any other matter relating to, the Collateral, including, in the case of collateral in the possession of any third Person, by contacting any account debtor or third Person possessing such Collateral for the purpose of making such a verification. Out-of-pocket expenses in connection with any inspections by representatives of the Secured Parties shall be (a) the obligations of the Grantor with respect to any inspection after the Secured Parties’ demand payment of the Notes or (b) the obligation of the Secured Parties in any other case.

  • Verification Bank may, from time to time, verify directly with the respective Account Debtors the validity, amount and other matters relating to the Accounts, either in the name of Borrower or Bank or such other name as Bank may choose.