Customer’s Compliance Clause Samples

The Customer’s Compliance clause requires the customer to adhere to all relevant laws, regulations, and contractual obligations in connection with the agreement. Typically, this means the customer must ensure their actions, use of products or services, and any data they provide or process are in full compliance with applicable legal standards, such as data protection laws or industry-specific regulations. This clause serves to allocate responsibility for legal compliance to the customer, protecting the provider from liability arising from the customer’s unlawful or non-compliant activities.
Customer’s Compliance. In addition to Customer’s obligations stated in the Agreement, Customer is responsible for its own processing of Personal Data including (i) integrity, security, maintenance and appropriate protection of Personal Data that are under Customer’s control , and (ii) ensuring its compliance with any applicable privacy, data protection and security law and regulation relative to: (a) Processing of the Personal Data processed by the Customer; (b) its use of the Services; and
Customer’s Compliance. Customer shall be solely responsible for compliance with laws, including any laws that apply to Customer’s business or industry, applicable to any information or data, Content placed in the Services, and Customer’s use of the Services.
Customer’s Compliance with laws and technical requirements (a) The Customer must ensure that the Customer’s Electrical Equipment complies, at all times, with the requirements of Energy Laws and Standards and good electricity industry practice. (b) The Customer must: (i) immediately notify UE if the Customer’s Electrical Equipment will, or is likely to, adversely affect UE’s electricity distribution system or the reliability and quality of supply to other customers; and (ii) provide such information as requested by UE in relation to that equipment. (“Disturbing Loads”) (c) Where the Customer fails to comply with clause 6.2(a), then UE may direct the Customer to make such changes required to its equipment as UE considers are required to address the failure and the Customer must comply with such a direction. (d) The Customer must pay UE at the Standard Rates for the time spent by UE in reviewing whether the Customer has complied with any requirement put in place by UE under clause 6.2(c). (e) The fact UE has not issued a direction under clause 6.2(c), does not relieve the Customer of the obligation to comply with clause 6.2(a). (f) The Customer must ensure that any electrical work on the Customer’s Electrical Equipment is, where required by Energy Laws, undertaken by a Registered Electrical Contractor.
Customer’s Compliance. Customer shall use commercially reasonable efforts to ensure that software or systems proprietary to Customer and used by Customer in connection with its business shall be Year 2000 Compliant. However, Customer shall not be responsible for (1) software or system failures based on improvements, enhancements, modifications or updates to, and any inaccuracies, delays, interruptions, or errors caused by any software or systems that are not proprietary to Customer; (2) any inaccuracies, delays, interruptions or errors occurring as a result of incorrect data or data from other systems, software, hardware, processes or third parties provided in a format that is inconsistent with the format and protocols established for the Customer software and systems including date data in two-digit format, even if such data is required for the operation of the software or systems; and (3) any inaccuracies, delays, interruptions or errors occurring, at no fault of Customer, as a result of incorrect data or data from telecommunication systems.
Customer’s Compliance 

Related to Customer’s Compliance

  • Subscriber’s Compliance Nothing in this Section 4 shall affect in any way Subscriber’s obligations and agreements to comply with all applicable securities laws upon resale of the Securities.

  • PCI Compliance Company shall not connect to or utilize any computer network or systems of the Aviation Authority, including, without limitation, for transmission of credit card payments. Company shall be solely responsible for providing and maintaining its own computer networks and systems and shall ensure its system ensure its system used to collect, process, store or transmit credit card or customer credit card and/or personal information is compliant with all applicable Payment Card Industry (“PCI”) Data Security Standard (“DSS”). 1. Company shall, within 5 days, notify the Aviation Authority of any security malfunction or breach, intrusion or unauthorized access to cardholder or other customer data, and shall comply with all then applicable PCI requirements. 2. Company, in addition to notifying the Aviation Authority and satisfying the PCI requirements, will immediately take the remedial actions available under the circumstances and provide the Aviation Authority with an explanation of the cause of the breach or intrusion and the proposed remediation plan. Company will notify the Aviation Authority promptly if it learns that it is no longer PCI DSS compliant and will immediately provide the Aviation Authority with a report on steps being taken to remediate the non-compliance status and provide evidence of compliance once PCI DSS compliance is achieved. 3. Company, its successor’s and assigns, will continue to comply with all provisions of this Agreement relating to accidents, incidents, damages and remedial requirements after the termination of this Agreement. 4. Company shall ensure strict compliance with PCI DSS for each credit card transaction and acknowledges responsibility for the security of cardholder data. Company will create and maintain reasonable detailed, complete and accurate documentation describing the systems, processes, network segments, security controls and dataflow used to receive, process transmit store and secure Customer’s cardholder data. Such documentation shall conform to the most current version of PCI DSS. 5. Company must maintain PCI Certification as a bankcard merchant at the Airport. Company is responsible, at Company’s own expense, to contract and pay for all quarterly, annual or other required assessments, remediation activities related to processes within Concessionaire’s control, analysis or certification processes necessary to maintain PCI certification as a bankcard merchant. 6. PCI DSS - Company shall make available on the Premises, within 24 hours upon request by the Aviation Authority, such documentation, policies, procedures, reports, logs, configuration standards and settings and all other documentation necessary for the Aviation Authority to validate Company’s compliance with PCI DSS as well as make available to the individuals responsible for implementing, maintaining and monitoring those system components and processes. Requested logs must be made available to the Aviation Authority in electronic format compatible with computers used by the Aviation Authority. 7. Evidence of PCI DSS Compliance – Company agrees to supply their PCI DSS compliance status and evidence of its most recent validation of compliance upon execution of the Contract. Company must supply to the Aviation Authority evidence of validation of compliance at least annually to be delivered along with the Annual Certification of Fees in accordance with Article 5.C. of this Agreement.