Attached files

file filename
EXCEL - IDEA: XBRL DOCUMENT - NCM FinancialFinancial_Report.xls
EX-3.2 - BYLAWS - NCM Financialex3_2bylaws.htm
EX-10.16 - LOCK-UP AGREEMENT - NCM Financialex10_16lockupagmnt.htm
EX-10.3 - INDEPENDENT CONTRACTOR AGREEMENT - NCM Financialex10_3kapilagmnt.htm
EX-10.17 - REVOLVING CREDITNOTE - NCM Financialex10_17loanagreement.htm
EX-10.14 - D'ARRIENS TERMS - NCM Financialex10_14darriensterms.htm
EX-10.10 - BLINKX VIDEO ADVANTAGE TERMS - NCM Financialex10_10blinxterms.htm
EX-23.1 - CONSENT OF KLJ AND ASSOCIATES LLP - NCM Financialex23_1consentklj060514.htm
EX-10.1 - MASTER CONSULTING SERVICES AGREEMENT - NCM Financialex10_1masterconsultingagmnt.htm
EX-10.9 - CLICKBANK CLIENT CONTRACT - NCM Financialex10_9clickbankterms.htm
EX-10.15 - IGNITIONONE TERMS - NCM Financialex10_15ignitiononeterms.htm
EX-10.6 - PATENT LICENSE AGREEMENT - NCM Financialex10_6patentlicenseagmnt.htm
EX-10.8 - SERVCORP VIRTUAL OFFICE SERVICE AGREEMENT - NCM Financialex10_8sercorpterms.htm
EX-10.5 - NCM FINANCIAL, LLC - NCM Financialex10_5michaelnoelagmnt.htm
EX-3.1 - ARTICLES OF INCORPORATION - NCM Financialex3_1articlesofinc.htm
EX-10.4 - SCOTT M. NOEL - NCM Financialex10_4noelagmnt.htm
EX-10.7 - CONSULTING AGREEMENT - NCM Financialex10_7iotaagreement2.htm
EX-10.11 - EBUZZING TERMS - NCM Financialex10_11ebuzzingterms.htm
EX-10.2 - CONSULTING AGREEMENT - NCM Financialex10_2keystoneagmnt.htm
S-1/A - NCM Financialncmf060314s1a.htm
EX-10.13 - CREAFI ONLINE MEDIA TERMS - NCM Financialex10_13creafiterms.htm

Exhibit 10.12

TradeDoubler Terms

 

 

1. The conditions of remuneration for each Publisher Program are published on TradeDoubler's website and shall apply at all times. The Publisher therefore agrees to "self-billing", which means that TradeDoubler will create the invoice on behalf of the Publisher. VAT (if applicable) is added to the remuneration shown on TradeDoubler's website.

 

2. Subject to clause 5.3, payment of accumulated remuneration to the Publisher shall be made monthly in arrears provided that the Publisher has generated valid Traffic and that TradeDoubler has received payment from each company with whose Publisher Program the Publisher has registered.

 

3. Payment of remuneration will only be made if two months prior to the payment date the Publisher is due an amount of at least £30 and if TradeDoubler has received full payment for these transactions. An amount due of less than £30 will be accumulated to the next payment and will be included in the amount to be paid out at the next payment date, again provided that the minimum amount of at least £30 is due two months prior to that payment date. All payments are calculated upon the total Traffic generated up to the end of two months prior to the month of payment. Accumulated amounts do not accrue any interest.

 

4. Nothing in this Agreement shall create or be deemed to create, a partnership or relationship of employer and employee between TradeDoubler and the Publisher.

 

5. Payment to the Publisher will be made direct to the Publisher's bank account. The Publisher must specify on TradeDoubler's website details of his bank account (including name and branch of the bank, sort code of the branch and the Publisher's account number).

 

6. The Publisher is responsible for the payment of all tax and national insurance payable on any payments made to him by TradeDoubler.