MAINTAIN GATE CARD SECURITY Clause Samples

The "Maintain Gate Card Security" clause requires parties to ensure the safekeeping and proper use of gate cards or access credentials provided for entry to a facility or premises. In practice, this means that recipients of gate cards must take reasonable steps to prevent loss, theft, or unauthorized use, such as not sharing cards with others and promptly reporting any security breaches. The core function of this clause is to protect the security and integrity of the premises by controlling access and minimizing the risk of unauthorized entry.
MAINTAIN GATE CARD SECURITY. Tenant shall maintain gate card security and not allow access to the field by non- authorized parties.

Related to MAINTAIN GATE CARD SECURITY

  • Deposit Accounts and Securities Accounts Set forth on Schedule 4.15 (as updated pursuant to the provisions of the Security Agreement from time to time) is a listing of all of the Loan Parties’ and their Subsidiaries’ Deposit Accounts and Securities Accounts, including, with respect to each bank or securities intermediary (a) the name and address of such Person, and (b) the account numbers of the Deposit Accounts or Securities Accounts maintained with such Person.

  • Password Security Any password we provide to you may be used only during the Term to access Seller Central (or other tools we provide) to use the Services, electronically accept Your Transactions, and review your completed Transactions. You are solely responsible for maintaining the security of your password. You may not disclose your password to any third party (other than third parties authorized by you to use your account or Seller Central in accordance with this Agreement) and are solely responsible for any use of or action taken under your password. If your password is compromised, you must immediately change your password.

  • Deposit Accounts; Securities Accounts The only Deposit Accounts or Securities Accounts maintained by any Grantor on the date hereof are those listed on Schedule 6 (Bank Accounts; Control Accounts), which sets forth such information separately for each Grantor.

  • Deposit Accounts, Securities Accounts and Commodity Accounts Attached hereto as Schedule 14 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts maintained by each Company, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.

  • Concentration Account Concentration Account" has the meaning set forth in Section 2.3.