Function   of   the   Parties Sample Clauses

The "Function of the Parties" clause defines the specific roles, responsibilities, and capacities in which each party enters into the agreement. It typically clarifies whether a party is acting as an independent contractor, agent, or in another capacity, and may outline what each party is expected to do or refrain from doing under the contract. By clearly delineating these functions, the clause helps prevent misunderstandings about authority, liability, and the scope of each party’s obligations, ensuring that both sides understand their respective positions and duties within the contractual relationship.
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: i. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates ii. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates.
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: i. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates ii. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. PARTY FUNCTION i. ▇▇▇▇ Immaculate College ▇▇▇▇ Immaculate College administers the LINC programme and provides the information detailed in Table 3.4 to Pobal. In terms of the EY Settings Data from Pobal to ▇▇▇▇ Immaculate college, the requirements for this level of data are as follows: To ensure that target enrolment numbers as outlined in the Contract with the DCEDIY for the Level 6 Programme are met. To inform ELC settings of when applications for the Level 6 LINC Programme are open and to provide settings with information on the Level 6 Programme and how they can apply ii. [DCEDIY] Pobal (on behalf of DCEDIY) records the data in table 3.4 and uses the name and student ID field to verify the identity and graduate status when an ELC setting applies for higher capitation under the Access and Inclusion model (AIM) level 7. AIM level 7 looks to provide additional capitation to service providers where an application process has demonstrated that supports Level 1-6 have not, or will not, by themselves, meet the child’s needs. It can be used by the provider to buy in additional support, to reduce the staff / child ratio to ensure the optimal early learning experience for a child. DCEDIY: The functions of the Department cover policy, legislation and services in respect of children and young people, integration and equality. It also has responsibility for disability policy and legislation
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: i. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates ii. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. PARTY NAME FUNCTION Lead (ii) Enterprise Ireland Public Sector Body responsible for the development and growth of Irish enterprises in world markets. The governing legislation around the establishment of the Local Authorities is The Local Government Act 2001. The role of Enterprise Ireland and the Local Enterprise Offices is provided for in the County Enterprise Boards (Dissolution) Act 2014.
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: ▪ Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates ▪ Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. PARTY FUNCTION i. GRO(DSP) The GRO is the State authority with responsibility for the registration and recording of life events such as births, stillbirths, marriages, deaths, adoptions, gender recognition and civil partnerships. The GRO derives its authority from the Civil Registration Act 2004. The GRO maintains the national register of deaths pursuant to Part 5 of the 2004 Act. ii. HIQA HIQA was established by the Health Act 2007. Its objective is to “promote safety and quality in the provision of health and personal social services for the benefit of the health and welfare of the public” further to section 7 of the 2007 Act. HIQA will administer the survey on behalf of the NCEP, pursuant to the following functions as set out in section 8 (1) of the 2007 Act: ( g) to operate such other schemes aimed at ensuring safety and quality in the provision of the services as the Authority considers appropriate;
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: i. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates ii. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. PARTY FUNCTION i. Bord Bia DAFM will disclose the herd/flock/producer numbers which are linked to the owner (farmer). This will indicate who has applied for the DAFM programme/scheme. Bord Bia will disclose the QAe Scheme membership status to DAFM which is associated with the herd/flock/producer number provided. Both parties will be disclosing data. However, the purpose of the data being sent from DAFM to Bord Bia is to facilitate the administration of DAFM Schemes. Bord Bia may prioritise audits for entry to, or maintenance of membership to, its QA Schemes but this is solely to ensure that eligibility for DAFM Schemes is not being hindered by Bord Bia. Bord Bia administers its own Schemes in accordance with the An Bord Bia Act 1994, as amended, in order to fulfil its statutory purpose in line with Section 7 of the Bord Bia (Amendment) Act 2004. ii. DAFM DAFM will receive the QA Scheme membership status from Bord Bia associated with the herd/flock/producer number. This will be used to verify the eligibility of the applicant to DAFM Schemes where a criterion is Bord Bia QA Scheme membership. DAFM beef schemes are currently operated under the following legal bases: EU Regulations 2021/2115 & 2021/2116, and the Ministers and Secretaries Act 1924. (Additional schemes may be added in the future at the discretion of the Minister and in consultation with the Department of Public Expenditure and Reform.)
Function   of   the   Parties. ‌ 4.1 Function of the Parties In table 4.1 below: i. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates. ii. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. PARTY FUNCTION i. DAFM DAFM already shares the data listed in table 3.4 with Bord Bia. DAFM has a legal obligation to collect this data in compliance with EU and national law on livestock identification, registration and movement. DAFM is the responsible body for all Data Subject Rights requests for all data held by DAFM. ii. Bord Bia Bord Bia receives AIM data from DAFM on an ongoing basis for each herd number. On receipt of AIM data, Bord Bia will analyse the data to identify herds through/from which healthy young calves may have been slaughtered and to flag this as a concern on the Bord Bia system, which is used for auditing farms against its QA Schemes. The flag will alert the auditor at the next regular audit to review this issue with the farmer. In cases where a large number of calves were sent for ▇▇▇▇▇▇▇▇▇, a spot audit might be flagged on the system for the auditor to pick up. The legal basis relied upon by Bord Bia for processing personal data in this activity is that it is ‘necessary for the performance of a task carried out in the public interest or in the exercise of official authority vested in the controller (GDPR Art 6. 1 (e))’. Bord Bia’s statutory function is set out in section 7 (1) of the Bord Bia Act 1994 which states ‘the functions of the Board shall be to promote, assist and develop in any manner which the Board considers necessary or desirable the marketing of Irish food and livestock. AND
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: i. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates ii. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. PARTY FUNCTION i. SBCI BILS: The role of SBCI is to utilise funds provided by the MAFM iii. ▇▇▇▇ ▇▇▇▇: The role of the Minister under the BILS is to provide the funds to enable SBCI to fulfil its obligations pursuant to its functions set out in the Strategic Banking Corporation of Ireland Act 2014 (the “2014 Act”) as guarantor and cover costs and expenses incurred by the SBCI in connection with the establishment, development, launch and operation of the scheme and to assess and audit SBCI’s compliance with the terms of the BILS. The Minister also has an oversight role to assess and audit SBCI’s compliance in operating the BILS within the terms set out for the BILS. FGLS: The role of the Minister under the FGLS is to provide the funds to enable SBCI to fulfil its obligations pursuant to its functions set out in the Strategic Banking Corporation of Ireland Act 2014 (the “2014 Act”) as guarantor and cover costs and expenses incurred by the SBCI in connection with the establishment, development, launch and operation of the scheme and to assess and audit SBCI’s compliance with the terms of the FGLS. The Minister also has an oversight role to assess and audit SBCI’s compliance in operating the FGLS within the terms set out for the FGLS. [Table 4.1
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: 1. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates 2. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. 1. Department of Agriculture, Food, and the Marine 2. Department of Housing, Local Government and Heritage Habitats Directive: Article 1 (a) conservation means a series of measures required to maintain or restore the natural habitats and the populations of species of wild fauna and flora at a favourable status.
Function   of   the   Parties. 4.1 Function of the Parties In table 4.1 below: i. Specify the function of the party disclosing data to which the purpose (as defined in table 2.3) of the data sharing relates ii. Specify the function of the party receiving data to which the purpose (as defined in table 2.3) of the data sharing relates. PARTY FUNCTION i. Department of Social Protection The General Register Office (GRO) operates under the aegis of the Department of Social Protection. It provides ongoing evidence of life events by means of supplying certificates and verification of events registered and by validating certain life event records to a legal standard. It also ensures that current and historic records are preserved for future enquiry, enabling research and preserving the value of records for future generations. ii. Department of Foreign Affairs The DFA is responsible for citizenship by descent through the Foreign Births Register (FBR) under the Irish Nationality and Citizenship Act 1956 (“the 1956 Act”), as amended (particularly referenced in Sections 7 & 27 of the 1956 Act) and S.I. No. 47/2013 - Foreign Births Regulations 2013.

Related to Function   of   the   Parties

  • Relation of the Parties No Beneficiary. No term, provision or requirement, whether express or implied, of any Loan Document, or actions taken or to be taken by any party thereunder, shall be construed to create a partnership, association, or joint venture between such parties or any of them. No term or provision of any Loan Document shall be construed to confer a benefit upon, or grant a right or privilege to, any Person other than the parties hereto.

  • Cooperation of the Parties The Seller undertakes to notify the Buyer of any obstacles on his part, which may negatively influence proper and timely delivery of the Equipment.

  • INFORMATION OF THE PARTIES Information of the Company Information of the Lessees

  • Intention of the Parties The execution and delivery of this Agreement shall constitute an acknowledgment by the Seller and the Issuer that they intend that the assignment and transfer herein contemplated constitute a sale and assignment outright, and not for security, of the Receivables and Other Conveyed Property, for non-tax purposes, conveying good title thereto free and clear of any Liens, from the Seller to the Issuer, and that the Receivables and the Other Conveyed Property shall not be a part of the Seller’s estate in the event of a bankruptcy, reorganization, arrangement, insolvency or liquidation proceeding, or other proceeding under any federal or state bankruptcy or similar law, or the occurrence of another similar event, of, or with respect to the Seller. In the event that such conveyance is determined to be made as security for a loan made by the Issuer, the Noteholders or the Certificateholder to the Seller, the Seller hereby grants to the Issuer a security interest in all of the Seller’s right, title and interest in and to the following property for the benefit of the Issuer Secured Parties, whether now owned or existing or hereafter acquired or arising, and this Agreement shall constitute a security agreement under applicable law (collectively, the “Sale and Servicing Agreement Collateral”): (i) the Receivables and all moneys received thereon after the Cutoff Date; (ii) the security interests in the Financed Vehicles granted by Obligors pursuant to the Receivables and any other interest of the Seller in such Financed Vehicles; (iii) any proceeds and the right to receive proceeds with respect to the Receivables from claims on any physical damage, credit life or disability insurance policies covering Financed Vehicles or Obligors and any proceeds from the liquidation of the Receivables; (iv) any proceeds from any Receivable repurchased by a Dealer pursuant to a Dealer Agreement or a Third-Party Lender pursuant to an Auto Loan Purchase and Sale Agreement as a result of a breach of representation or warranty in the related Dealer Agreement or Auto Loan Purchase and Sale Agreement; (v) all rights under any Service Contracts on the related Financed Vehicles; (vi) the related Receivable Files; (vii) all of the Seller’s right, title and interest in its rights and benefits, but none of its obligations or burdens, under the Purchase Agreement, and the delivery requirements, representations and warranties and the cure and repurchase obligations of AmeriCredit under the Purchase Agreement; (viii) all of the Seller’s (a) Accounts, (b) Chattel Paper, (c) Documents, (d) Instruments and (e) General Intangibles (as such terms are defined in the UCC) relating to the property described in (i) through (vii); and (ix) all proceeds and investments with respect to items (i) through (viii).

  • Obligation of the Parties 2.1 The Fund shall prepare and be responsible for filing with the SEC and any state securities regulators requiring such filing, all shareholder reports, notices, proxy materials (or similar materials such as voting instruction solicitation materials), prospectuses and statements of additional information of the Fund. The Fund shall bear the costs or registration and qualification of its Shares, preparation and filing of the documents listed in this Section 2.1 and all taxes to which an issuer is subject on the issuance and transfer of its shares. 2.2 At least annually, the Fund or its designee shall provide the Company, free of charge, with as many copies of the current prospectus (describing only the Portfolios) for the Shares as the Company may reasonably request for distribution to existing Contract owners whose Contracts are funded by such Shares. The Fund or its designee shall provide the Company, at the Company's expense, with as many copies of the current prospectus for the Shares as the Company may reasonably request for distribution to prospective purchasers of Contracts. If requested by the Company in lieu thereof, the Fund or its designee shall provide such documentation (including a "camera ready" copy of the new prospectus as set in type) and other assistance as is reasonably necessary in order for the parties hereto once each year (or more frequently if the prospectus for the Shares is supplemented or amended) to have the prospectus for the Contracts and the prospectus for the Shares printed together in one document; the expenses of such printing to be borne by the Company. In the event that the Company requests that the Fund or its designee provide the Fund's prospectus in a "camera ready" format, the Fund shall be responsible solely for providing the prospectus in the format in which it is accustomed to formatting prospectuses and shall bear the expense of providing the prospectus in such format (e.g., typesetting expenses), and the Company shall bear the expense of adjusting or changing the format to conform with any of its prospectuses. 2.3 The prospectus for the Shares shall state that the statement of additional information for the Shares is available from the Fund or its designee. The Fund or its designee, at its expense, shall print and provide such statement of additional information to the Company (or a master of such statement suitable for duplication by the Company) for distribution to any owner of a Contract funded by the Shares. The Fund or its designee, at the Company's expense, shall print and provide such statement to the Company (or a master of such statement suitable for duplication by the Company) for distribution to a prospective purchaser who requests such statement. 2.4 The Fund or its designee shall provide the Company free of charge copies, if and to the extent applicable to the Shares, of the Fund's proxy materials, reports to Shareholders and other communications to Shareholders in such quantity as the Company shall reasonably require for distribution to Contract owners. 2.5 The Company shall furnish, or cause to be furnished, to the Fund or its designee, a copy of each prospectus for the Contracts or statement of additional information for the Contracts in which the Fund or its investment adviser is named prior to the filing of such document with the SEC. The Company shall furnish, or shall cause to be furnished, to the Fund or its designee, each piece of sales literature or other promotional material in which the Fund or its investment adviser is named, at least five Business Days prior to is use. No such prospectus, statement of additional information or material shall be used if the Fund or its designee reasonably objects to such use within five Business Days after receipt of such material. 2.6 The Company shall not give any information or make any representations or statements on behalf of the Fund or concerning the Fund or its investment adviser in connection with the sale of the Contracts other than information or representations contained in and accurately derived from the registration statement or prospectus for the Fund Shares (as such registration statement and prospectus may be amended or supplemented from time to time), reports of the Fund, Fund-sponsored proxy statement, or in sales literature or other promotional material approved by the Fund or its designee, except with the written permission of the Fund or its designee. 2.7 The Fund shall not give any information or make any representations or statements on behalf of the Company or concerning the Company, the Accounts or the Contracts other than information or representations contained in and accurately derived from the registration statement or prospectus for the Contracts (as such registration statement and prospectus may be amended or supplemented from time to time), or in materials approved by the Company for distribution including sales literature or other promotional materials, except with the written permission of the Company. 2.8 The Company shall amend the registration statement of the Contracts under the 1933 Act and registration statement for each Account under the 1940 Act from time to time as required in order to effect the continuous offering of the Contracts or as may otherwise be required by applicable law. The Company shall register and qualify the Contracts for sale to the extent required by applicable securities laws and insurance laws of the various states.