Safeguarding Client Data Sample Clauses

The Safeguarding Client Data clause establishes the obligation of a party, typically a service provider, to protect the confidentiality, integrity, and security of any client data it handles. This clause often requires the implementation of technical and organizational measures such as encryption, access controls, and regular security audits to prevent unauthorized access, disclosure, or loss of client information. Its core practical function is to ensure that sensitive client data is adequately protected, thereby reducing the risk of data breaches and maintaining trust between the parties.
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Safeguarding Client Data. Supplier shall develop security policies and procedures as provided in Sections 10.3 (Safety Procedures), 10.4 (Security Procedures), and 11 (Data Backup and Disaster Plan) and as required pursuant to Section 2 (Security) of Exhibit A.2 (Cross Functional Services) designed to protect Gap against the destruction, loss, or alteration of Gap Data which shall be no less rigorous than those maintained by Supplier for its own data and shall incorporate Gap’s existing policies. Notwithstanding anything in this Agreement to the contrary, provided Supplier has performed its back-up responsibilities for Gap Data as described in Section 11.1 (Data Backup), Supplier’s sole obligation shall be to restore such data or information to the most recently available electronic back-up copy.
Safeguarding Client Data. Unisys will maintain reasonable safeguards against the destruction, loss or alteration of Client's data and data files in the possession of Unisys. Such safeguards shall be no less rigorous than those Unisys observes in safeguarding its own data of a similar type. Notwithstanding anything to the contrary contained herein, it is understood and agreed by Unisys and Client that Unisys is not providing disaster recovery services to Client hereunder unless such disaster recovery services are specifically described in the SOW.
Safeguarding Client Data. AC will establish and maintain safeguards against the destruction, loss or alteration of the data of Client in the possession of AC that are consistent with commercially reasonable standards as customarily used by AC and at least comparable to Client's current standards. In the event that additional safeguards for such data are reasonably requested by Client, AC shall provide such additional safeguards, and Client shall reimburse AC for AC's costs in providing such additional safeguards.
Safeguarding Client Data. Supplier shall develop security policies and procedures as provided in the applicable Statements of Work that are designed to protect Gap against the destruction, loss, or alteration of Gap Data which shall be no less rigorous than those maintained by Supplier for its own data and shall incorporate Gap’s existing policies. Notwithstanding anything in this Agreement to the contrary, provided Supplier has performed its back-up responsibilities for Gap Data as described in Section 11.1 (Data Backup), Supplier’s sole obligation shall be to restore such data or information to the most recently available electronic back-up copy.
Safeguarding Client Data. (a) ▇▇▇▇▇ Systems will establish and maintain commercially reasonable procedures and physical security measures to protect against the unauthorized alteration, loss, or destruction of Client's Data in ▇▇▇▇▇ Systems' possession. Except as approved by Client, such procedures and physical security measures will be no less rigorous than those in effect at the Client Facilities prior to the Effective Date. Except as allowed in Section 9.2, Client personnel will not enter any computer operations area or other restricted access area in which Services are performed without ▇▇▇▇▇ Systems' prior consent, which consent will not be unreasonably withheld. (b) At Client's request and expense in accordance with Section 8.2, ▇▇▇▇▇ Systems will establish and maintain additional procedures and physical security measures to protect such data and information.
Safeguarding Client Data. (a) Supplier shall establish and maintain environmental, safety and facility procedures, data security procedures and other safeguards against the destruction, loss or alteration of Client Data in the possession of Supplier which are (i) no less rigorous than those that are commercially reasonable, documented and enforced by Client as of the Effective Date, which Client will provide to Supplier, and (ii) no less rigorous than those maintained by Supplier for its own information of a similar nature. At Client’s expense, Client shall have the right to establish backup security for Client Data and to keep backup copies of the Client Data in Client’s possession. No media on which Client Data is stored may be used simultaneously to store data of any other customer of Supplier. (b) As part of the Services, Supplier shall be responsible for developing and maintaining procedures for recovering back-up copies of Client Data.
Safeguarding Client Data. ▇▇▇▇▇ Systems will prepare and deliver ------------------------ to Client, for Client's review and approval, the Disaster Recovery and Security Plan which will be a component to the Operating Procedures Manual that sets forth the procedures and physical security measures to be maintained, after Client's approval of such procedures and physical security measures, by ▇▇▇▇▇ Systems to protect against the unauthorized alteration, loss, or destruction of Client's data and information in ▇▇▇▇▇ Systems' possession or under ▇▇▇▇▇ Systems' control.
Safeguarding Client Data. IBM shall develop security policies and procedures as provided in Sections 7.3, 7.4 and 8 and Schedule A designed to protect VMU against the destruction, loss, or alteration of VMU Data. A “Security Breach” includes any actual, attempted, potential or threatened (i) breach of physical security at any IBM Service Location or any systems maintained by IBM or IBM Personnel in connection with the Services; or (ii) unauthorized acquisition of computerized data that compromises the confidentiality, integrity or availability of any such systems, VMU Data, VMU Software, or any VMU Confidential or Proprietary Information maintained, processed or transmitted by IBM.

Related to Safeguarding Client Data

  • Safeguarding Customer Information The Servicer has implemented and will maintain security measures designed to meet the objectives of the Interagency Guidelines Establishing Standards for Safeguarding Customer Information published in final form on February 1, 2001, 66 Fed. Reg. 8616 and the rules promulgated thereunder, as amended from time to time (the “Guidelines”). The Servicer shall promptly provide the Master Servicer, the Trustee and the NIMS Insurer information reasonably available to it regarding such security measures upon the reasonable request of the Master Servicer, the Trustee and the NIMS Insurer which information shall include, but not be limited to, any Statement on Auditing Standards (SAS) No. 70 report covering the Servicer’s operations, and any other audit reports, summaries of test results or equivalent measures taken by the Servicer with respect to its security measures to the extent reasonably necessary in order for the Seller to satisfy its obligations under the Guidelines.

  • Client Data The Subrecipient shall maintain client data demonstrating client eligibility for services provided. Such data shall include, but not be limited to, client name, address, income level or other basis for determining eligibility, and description of service provided. Such information shall be made available to Grantee monitors or their designees for review upon request.

  • Safeguarding 3.1. The LA has overarching responsibility for safeguarding and promoting the welfare of all children and young people in their area. They have statutory functions under the 1989 and 2004 Children Acts which make it clear, and the ‘Working Together to safeguard Children’ 2018 guidance sets these out in detail. 3.2. The provider must follow the EYFS and have clear safeguarding policies and procedures in place that are in line with the LA guidance and procedures for responding to and reporting suspected or actual abuse and neglect. A lead practitioner must take responsibility for safeguarding and all staff must have training to identify signs of abuse and neglect. The provider must have regard to ‘Working Together to Safeguard Children’ 2018 guidance. 3.3. The LA has set the following safeguarding criteria for childcare providers as a condition of funding: • All childcare providers must sign up to the identified agreement protocols as set out in the multi-agency safeguarding arrangements, these may include but not be limited to; the Local Safeguarding Children Board (LSCB) compact (and future safeguarding children’s partnership arrangements), to receive Public Protection Notices (PPN) and Multi-Agency Risk Assessment Conference (MARAC) and the Dorset Information Sharing Charter (DISC). • Providers are required to complete and return an Annual Safeguarding/Inclusion Self- Assessment. Follow up visits or phone calls may be undertaken by the Early Years Team to support providers with developing their safeguarding and inclusion practice. This process should support providers with their ongoing self-evaluation. • Providers are required to address any identified areas of development in their safeguarding/child protection practice identified through observation and Self-Assessment process, or by other professionals. • All providers must ensure that all staff are appropriately trained in safeguarding. Designated Safeguarding Leads and their Deputy Safeguarding Leads must attend the Multi agency training provided at least every 3 years and any other identified training for their role. • All new providers will be required to undergo relevant safeguarding training prior to joining the Directory of Providers for Early Education Funding. • All providers must collate and provide self-assessment/auditing information as requested by the relevant Local Safeguarding Partners. • All providers to ensure that any actions or recommendations set by Ofsted during inspection or the LA during visits are progressed. 3.4. In addition to this Safeguarding Leads, Deputy Leads and Childminder Safeguarding Leads are encouraged to attend appropriate and recommended Safeguarding networks/forums to keep updated.

  • Customer Information CPNI of a Customer and any other non-public, individually identifiable information about a Customer or the purchase by a Customer of the services or products of a Party.

  • Privacy of Customer Information The Seller’s Customer Information in the possession of the Administrative Agent or the Buyers, other than information independently obtained by the Administrative Agent or the Buyers and not derived in any manner from or using information obtained under or in connection with this Agreement, is and shall remain confidential and proprietary information of the Seller. Except in accordance with this Section 16.9, the Administrative Agent and the Buyers shall not use any Seller’s Customer Information for any purpose, including the marketing of products or services to, or the solicitation of business from, Customers, or disclose any Seller’s Customer Information to any Person, including any of the Administrative Agent’s or the Buyers’ employees, agents or contractors or any third party not affiliated with the Administrative Agent or a Buyer. The Administrative Agent and the Buyers may use or disclose Seller’s Customer Information only to the extent necessary (i) for examination and audit of the Administrative Agent’s or the Buyers’ respective activities, books and records by their regulatory authorities, (ii) to market or sell Purchased Mortgage Loans or to enforce or exercise their rights under any Repurchase Document, (iii) to carry out the Administrative Agent’s, the Buyers’ and the Custodian’s express rights and obligations under this Agreement and the other Repurchase Documents (including providing Seller’s Customer Information to Approved Investors), or (iv) in connection with an assignment or participation as authorized by Section 22 or in connection with any hedging transaction related to the Purchased Loans and for no other purpose; provided that the Administrative Agent and the Buyers may also use and disclose the Seller’s Customer Information as expressly permitted by the Seller in writing, to the extent that such express permission is in accordance with the Privacy Requirements. The Administrative Agent and the Buyers shall ensure that each Person to which the Administrative Agent or a Buyer intends to disclose Seller’s Customer Information, before any such disclosure of information, agrees to keep confidential any such Seller’s Customer Information and to use or disclose such Seller’s Customer Information only to the extent necessary to protect or exercise the Administrative Agents, the Buyers’ or the Custodian’s rights and privileges, or to carry out the Administrative Agent’s, the Buyers’ and the Custodian’s express obligations, under this Agreement and the other Repurchase Documents (including providing Seller’s Customer Information to Approved Investors). The Administrative Agent agrees to maintain an Information Security Program and to assess, manage and control risks relating to the security and confidentiality of Seller’s Customer Information pursuant to such program in the same manner as the Administrative Agent does in respect of its own customers’ information, and shall implement the standards relating to such risks in the manner set forth in the Interagency Guidelines Establishing Standards for Safeguarding Company Customer Information set forth in 12 C.F.R. Parts 30, 208, 211, 225, 263, 308, 364, 568 and 570. Without limiting the scope of the foregoing sentence, the Administrative Agent and the Buyers shall use at least the same physical and other security measures to protect all of the Seller’s Customer Information in their possession or control as each of them uses for its own customers’ confidential and proprietary information.