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Access & Use of Information
All access to and use of this and all affiliated websites (each a “Site” and collectively, the “Sites”) are governed by the terms and conditions provided in these Legal Notices. Entering into a Site indicates that you have reviewed and have agreed to be bound by these terms. Premiere Global Services, Inc. and our subsidiaries (collectively, “PGi”) may make future changes or modifications to these terms and conditions at any time without notice. Your subsequent access or use of a Site will constitute your agreement to any changes and modifications and to the most current version of these terms. There are additional terms and conditions provided governing your use of particular services, functions, features, information and applications available through a Site. These additional terms and conditions are located in the sections of a Site where particular services are described and include official “Terms & Conditions” for ordering services from our subsidiaries.
A Site is provided for informational purposes only for our customers, vendors, investors, employees and other constituencies and may not be used by any other person or entity or for any other purpose. Any access or attempt to access other areas of our networks or computer systems or other information contained on these platforms for any purposes is strictly prohibited. You may not use a Site or any of the services provided through a Site in any manner whatsoever that could lead to a violation of any foreign, federal, state or local laws, rules or regulations.
All information provided on a Site may be changed, updated or deleted without notice. While efforts have been made to make the Sites helpful and accurate, they could contain technical inaccuracies or other errors. We are not responsible for any errors or omissions on a Site, and we do not warrant the accuracy of information obtained from any Site.
ALL THE SITES AND THEIR CONTENT ARE PROVIDED “AS IS” FOR YOUR INFORMATIONAL PURPOSES ONLY WITHOUT WARRANTIES OF ANY KIND, EXPRESS OR IMPLIED, TO ANY USER OR THIRD PARTY, INCLUDING WITHOUT LIMITATION, ANY IMPLIED WARRANTIES OF MERCHANTABILITY, FITNESS FOR A PARTICULAR PURPOSE, TITLE OR NON-INFRINGEMENT, ACCURACY, TIMELINESS OR COMPLETENESS. PGI DOES NOT WARRANT THAT FUNCTIONS CONTAINED ON A SITE WILL BE UNINTERRUPTED OR ERROR-FREE, THAT DEFECTS WILL BE CORRECTED, OR THAT A SITE OR ITS CONTENT ARE FREE OF VIRUSES OR OTHER HARMFUL COMPONENTS. USE OF A SITE AND ITS CONTENT IS AT YOUR SOLE RISK. TO THE MAXIMUM EXTENT PERMITTED BY LAW, PGI HAS NO LIABILITY IN TORT, CONTRACT OR OTHERWISE (AND, AS PERMITTED BY LAW, PRODUCT LIABILITY) TO ANY USER OR THIRD PARTY. PGI WILL IN NO EVENT BE LIABLE FOR ANY DIRECT, INDIRECT, CONSEQUENTIAL, INCIDENTAL, PUNITIVE OR OTHER DAMAGES WHATSOEVER UNDER ANY THEORY OF LAW FOR ANY ERRORS IN OR THE USE OF OR INABILITY TO USE A SITE AND ITS CONTENT (OR ANY HYPERLINKED WEB SITE) INCLUDING WITHOUT LIMITATION, DAMAGES FOR LOST PROFITS, BUSINESS, DATA OR DAMAGE TO ANY COMPUTER SYSTEMS, EVEN IF YOU HAVE ADVISED PGI OF THE POSSIBILITY OF SUCH DAMAGES.
SOME JURISDICTIONS PROVIDE RIGHTS IN ADDITION TO THOSE SPECIFIED HEREIN OR DO NOT ALLOW THE EXCLUSION OF IMPLIED WARRANTIES OR LIABILITY FOR INCIDENTAL OR CONSEQUENTIAL DAMAGES, SO THE ABOVE EXCLUSIONS MAY NOT APPLY TO YOU, OR THERE MAY BE STATE PROVISIONS WHICH SUPERSEDE THE ABOVE. ANY CLAUSE OF THIS DISCLAIMER DECLARED INVALID SHALL BE DEEMED SEVERABLE AND NOT AFFECT THE VALIDITY OR ENFORCEABILITY OF THE REMAINDER.
Links to Other Web Sites
There may, from time to time, be links on a Site which allow you to visit other Web sites which are not maintained by us. We are not responsible or liable for the content of those third party sites and make no representations concerning the information provided or made available on such sites nor the quality or acceptability of the products or services offered through any such sites. Links provided by us to such Web sites are provided solely for your convenience and do not imply endorsement, sponsorship or recommendation by us of these other sites.
The works of authorship contained in a Site in the domain “www.pgi.com,” including but not limited to all design, text and images, are owned, except as otherwise expressly stated, by us and may not be copied, reproduced, transmitted, displayed, performed, distributed, rented, sublicensed, altered, stored for subsequent use or otherwise used in whole or in part in any manner without our prior written consent, except to the extent that such use constitutes “fair use” under the Copyright Act of 1976 (17 U.S.C. §107), as amended, and except for one temporary copy in a single computer’s memory. Any copying, downloading, publication or distribution of any part of a Site except as expressly permitted herein is prohibited. Any service, process or technology described in a Site may be the subject of other intellectual property rights reserved by us and are not licensed hereunder. We do not convey to anyone, through allowing access to a Site, any ownership rights in a Site or in any content appearing on or made available through a Site.
We have no control over the content of information (whether visual, written, or audible) and/or distribution lists provided by our customers and transmitted through our services and platforms, including without limitation relating to transmissions of emails, instant or SMS messages in connection with the services. We do not examine the use to which our customers put our services or the nature of the information our customers or our customers’ users send or receive, and it is the sole responsibility of customers to use our services in accordance with all applicable local, state/provincial, federal and foreign laws and regulations. Our customers are prohibited from transmitting content or other communications through use of our services that infringes any third party’s intellectual property rights or that is unlawful, threatening, abusive, harassing, libelous, deceptive, fraudulent, invasive of another’s privacy, vulgar, obscene or otherwise contains objectionable material of any kind or nature.
Access Numbers, Passwords & User Names
Customers are responsible for maintaining the confidentiality of, and shall not transfer, sell or assign, access numbers, passwords and user names provided by us solely for use by our customers.
We enforce our rights in our trademarks, service marks and logos (the “Marks”), which include but are not limited to the marks:
M & Talk Bubble Design®
ReadyTalk and Talk Bubble Design®
The absence of a name or logo in this list does not constitute a waiver of any intellectual property rights that we have established in any of our products, features, service names or logos. Our Marks may not be used in connection with any product or service that is not provided or authorized in writing by us, or in any manner that is likely to cause confusion among customers, or in any manner that disparages or discredits us. Without limiting the foregoing, only authorized licensees, agents, resellers and strategic partners may be permitted to use our Marks pursuant to use guidelines, and in no event does PGi permit or consent to third parties purchasing our Marks as keywords, using our Marks in second-level domains or imitating PGi’s website designs, typefaces, logos, slogans or taglines.
Trademarks of Third Parties
Sites may contain trademarks that are the property of their respective owners, including without limitation:
Facebook® and the Facebook logo are registered trademarks of Facebook, Inc.
flickr® is a registered trademark of Yahoo! Inc.
LinkedIn, the LinkedIn logo, the IN logo and InMail are registered trademarks or trademarks of LinkedIn Corporation and its affiliates in the United States and/or other countries.
Twitter® and the Twitter logo are registered trademarks of Twitter, Inc.
YouTube® and the YouTube logo are registered trademarks Google Inc.
Trademarks and/or service marks of third parties not specifically identified above are the property of their respective owners. If you are the owner of a trademark, certification mark or service mark found on this website and you feel that your ownership has not been adequately acknowledged, send an email to our Webmaster explaining your concerns.
All the Sites are created and controlled by us in the State of Georgia, USA. As such, the laws of the State of Georgia will govern these disclaimers, terms and conditions, without giving effect to any principles of conflicts of laws. We reserve the right to make changes or modifications to a Site and these disclaimers, terms and conditions at any time without notice. Your continued access or use of a Site after such changes have been included in this Legal Notice constitutes acceptance of the revised terms.
Click here to contact the Webmaster.
Last Revised December 6, 2012. Subject to periodic revisions and updates.
Code of Conduct
Click to View Conduct and Ethics
Code of Conduct and Ethics
Dear Premiere Global Services employees, officers and directors:
Premiere Global Services encourages you to conduct yourself everyday in a way that helps us maintain an outstanding reputation in the communities we serve. Nonetheless, a written code is an important reference source for employees, officers and directors, especially in situations where there is some question about how to determine “the right thing to do.”
You should keep in mind these important considerations when reading this Code:
• The Code should be applied both in letter and in spirit.
• This Code should be considered together with any applicable laws and regulations, as well as any applicable company policies and procedures.
• The Code applies to Premiere Global Services, all of our subsidiaries and affiliates, and employees, officers and directors of each regardless of where they work or their positions in the overall organization.
• It is our policy for anyone aware of any possible violation of this Code or of any company policy or legal requirement to report the possible violation. We will not tolerate retaliation against anyone for such reporting.
• Anyone who does not comply with this Code, as well as with our other policies and procedures, may be disciplined up to and including termination. Violations of the standards outlined in this Code also could result in criminal penalties, civil liabilities, or both.
We will take steps to communicate the provisions of this Code and our other policies and procedures to our workforce through periodic training programs and the dissemination of other information. Your commitment to this Code is required. If you have questions about this Code or the proper course of action to take in a particular situation, ask your immediate supervisor or the Compliance Officer for direction. We may modify the Code from time to time, so please be alert to notices relating to changes.
Principal Executive Officer and Other Senior Financial Officers
This Code contains additional standards of conduct for our Chief Executive Officer, Chief Financial Officer and principal accounting officer. These can be found under the section entitled “Supplemental Standards for Principal Executive Officer and Other Senior Financial Officers.”
II. REPORTING VIOLATIONS
It is our policy that anyone aware of a possible violation of this Code, or any other Premiere Global Services policy or legal requirement, report that possible violation to us. There are several options available to you if you need to make a report:
You can speak with your supervisor. We encourage you first to contact your immediate supervisor, who is in turn responsible for informing the Compliance Officer of any concerns raised
You can speak directly with the Compliance Officer. If you prefer not to discuss a concern with your own supervisor, you may instead contact the Compliance Officer directly at the phone number listed at the end of this Code. You are also free to e-mail the Compliance Officer at email@example.com
You can call our compliance hotline or utilize our compliance e-mail address. You may also call our Compliance Line at 1-866-207-4508 (for toll access outside of the United States, U.S. territories or Canada, first dial Premiere Global Services’ direct access number for the country from which you are calling) or utilize our Compliance E-mail at firstname.lastname@example.org. You can use the Compliance Line or Compliance E-mail to report possible violations or to check on the status of a previously filed report. You can also report to the Compliance Line or Compliance E-mail if you feel that a report previously made to company management, your supervisor, other management personnel or the Compliance Officer has not been addressed.
The Compliance Line and Compliance E-mail are administered by an outside vendor. The Compliance Line and Compliance E-mail are available 24 hours a day, seven days a week. Calls to the Compliance Line are recorded, but are not able to be traced. You have the option to remain anonymous. If you remain anonymous, you will be given a numeric code so that you may call or e-mail back and ask for follow up, and in the event more information is required, this will be an opportunity for you to provide those details. Once the call or e-mail is completed, a report will be generated and sent to the Compliance Officer and other designated Premiere Global Services personnel.
If you report a possible violation, regardless of the method that you use to make the report, it is important that you provide as much detail as possible, including names, dates, times, locations and the specific conduct in question. Only with sufficient specific information can we adequately investigate the reported action.
Your submission of information will be treated in a confidential manner to the extent reasonably possible. Please note, however, that if an investigation by us of the activities you have reported takes place, it may be impossible for us to maintain the confidentiality of the fact of the report or the information reported.
III. OUR OBLIGATION TO YOU
We are committed to providing a workplace conducive to open discussion of our business practices. It is our policy for anyone aware of any possible violation of this Code or of any company policy or legal requirement to report the possible violation. We will not tolerate retaliation against anyone for such reporting. It is also our policy to comply with all laws that protect employees against unlawful discrimination or retaliation by anyone at the company as a result of their lawfully and truthfully reporting information regarding, or their participating in, investigations involving allegations of corporate fraud or other violations by us or our agents of federal or state law.
Of course, reports based upon evidence that the employee knows to be false and reports that the employee knows, or reasonably should know, to be groundless are not appropriate and we reserve the right to take appropriate disciplinary action with respect to such reports. In addition, except to the extent required by law, this policy does not cover an employee who violates the confidentiality of any applicable lawyer-client privilege to which Premiere Global Services or our agents may be entitled, or who violates his or her confidentiality obligations with regard to our trade secrets, or confidential information. If you have any questions as to what information may be confidential or as to what your obligations may be with respect to particular information, you should contact the Human Resources Contact or the Compliance Officer. You can find the appropriate contact information for the Human Resources Contact and the Compliance Officer at the end of this Code.
If you believe that you have been subjected to any action that violates this policy, you may file a complaint with your supervisor, the Compliance Officer or Premiere Global Services’ Human Resources Contact. If it is determined that you experienced any improper employment action in violation of this policy, corrective action will be taken.
IV. INVESTIGATIONS AND ENFORCEMENTS
Reports of possible violations of the Code will be collected, reviewed and processed by the Compliance Officer. The Compliance Officer may refer reports submitted, as he or she determines to be appropriate or as required under the directives of the Board of Directors to the Board or an appropriate committee of the Board. Any reports submitted that involve our accounting, auditing and internal auditing controls and disclosure practices will be presented directly to the Audit Committee of the Board of Directors on a periodic basis, unless immediate attention by the Audit Committee is warranted.
Reports of possible violations of the Code will be investigated by us and, if a violation of the Code is substantiated, disciplinary action will be taken, where necessary, including appropriate sanctions for the individual(s) involved, up to and including termination of employment. Any executive officer or director believed to have participated in a possible violation shall not be permitted to participate in any investigation or recommendation for disciplinary action or sanctions.
Violations of the Code that may also constitute illegal conduct shall be addressed, which may include making a report to civil or criminal authorities for further action. In addition, we may, under certain circumstances, be required to disclose violations of the Code to our shareholders.
We may also from time to time conduct reviews to assess compliance with the Code.
V. STANDARDS OF CONDUCT AND ETHICS FOR EMPLOYEES, OFFICERS AND DIRECTORS
Compliance with Laws, Rules and Regulations
We strive to ensure that all activity by us or on our behalf is in compliance with applicable laws, rules and regulations. The following standards are intended to provide guidance to employees, officers and directors to assist them in their obligation to comply with applicable laws, rules and regulations. These standards are neither exclusive nor complete. Additional company policies and rules can be found in our employee handbook and others may be published to employees from time to time. For additional guidance, or if questions regarding the existence, interpretation or application of any law, rule or regulation arise, please contact your supervisor or the Compliance Officer.
All employees must comply with applicable antitrust and similar laws that regulate competition in the countries in which we operate. Examples of conduct prohibited by such laws include:
• agreements to fix prices, bid rigging, market allocation and collusion (including price sharing) with competitors;
• boycotts, certain exclusive dealing arrangements and price discrimination agreements; and
• unfair trade practices, including bribery, misappropriation of trade secrets, deception, intimidation and similar unfair practices.
It is our policy to comply with all applicable environmental laws, rules and regulations. Our employees, officers and directors will strive to utilize resources appropriately and efficiently and dispose of waste in accordance with applicable laws, rules and regulations.
We believe the fair and equitable treatment of employees, customers and suppliers and other persons is critical to fulfilling our visions and goals. It is our policy to conduct our business, and to recruit, hire, train, promote, assign, transfer, layoff, recall and terminate employees, without regard to the race, color, religion, gender, ethnic origin, sexual orientation, age or disability of such person, or any other classification protected by applicable law. It is our policy to recruit, hire, train, promote, assign, transfer, layoff, recall and terminate employees based on their own ability, achievement, experience and conduct and other legitimate business reasons.
Employees should report allegations of harassment or discrimination immediately upon their occurrence in accordance with policies found in our employee handbook. Reported allegations of harassment or discrimination will be investigated in accordance with applicable laws and human resources policies. Employees are expected to seek advice from the Human Resources Contact when confronted with business decisions involving a risk of violation (or even the potential appearance of violation) of these laws.
The purchase or sale of our securities while aware of material nonpublic information about us, or the disclosure of material nonpublic information to others who then trade in our securities, is prohibited by us and by the federal securities laws. Our Board of Directors has adopted an insider trading policy that applies to all directors, officers and other employees. All employees, officers and directors should review the insider trading policy carefully and follow the policies and procedures described therein. The failure of a director, officer or other employee to comply with our insider trading policy may subject him or her to company-imposed sanctions, up to and including termination for cause, whether or not the failure to comply results in a violation of law. You should seek the advice of the Compliance Officer on any questions regarding this subject and our insider trading policy.
Employees, officers and directors shall comply with all laws, rules and regulations governing campaign finance and lobbying activities and shall not engage in any conduct that is intended to avoid the application of such laws to activities undertaken on our behalf. In addition, executive officers shall monitor compliance with lobbyist registration and disclosure requirements by all individuals who act on behalf of us.
Conflicts of Interest
A “conflict of interest” occurs when an individual’s private interest interferes in any way, or even appears to interfere, with our interests as a whole. A conflict of interest situation can arise when an employee, officer or director takes actions or has interests that may make it difficult to perform his or her company work objectively and effectively. Conflicts of interest also arise when an employee, officer or director, or a member of his or her family, receives improper personal benefits as a result of his or her position with us.
Directors, officers and employees owe a duty of undivided and unqualified loyalty to us and may not use their positions improperly to profit personally or to assist others in profiting at our expense. All directors, officers and employees are expected to regulate their activities so as to avoid conflicts of interest. In addition, directors, officers and employees shall communicate to the Compliance Officer any material transaction or relationship that reasonably could be expected to give rise to a conflict of interest.
While not all inclusive, the following will serve as a guide to the types of activities that might cause conflicts of interest:
Outside Financial Interests
• Conducting business, not on our behalf, with any Premiere Global Services vendor, supplier, contractor, agency, or any of their directors, officers or employees.
• Representation of us by a director, officer or employee in any transaction in which he or she, or a family member, has a substantial personal interest.
• Disclosure or use of confidential, special or inside information of ours or about us, particularly for personal profit or advantage of the director, officer or employee, or a family member of such person.
• Competition with us by a director, officer or employee, directly or indirectly, in the purchase, sale or ownership of property or services or business investment opportunities.
Services for Competitors/Vendors
No director, officer or employee shall perform work or render services for any competitor of ours or for any organization with which we do business or which seeks to do business with us, outside of the normal course of his/her service or employment with us, without the approval of the Compliance Officer or the Audit Committee of the Board of Directors (for executive officers, senior financial officers or directors). Nor shall any such person be a director, officer, or consultant of such an organization, nor permit his/her name to be used in any fashion that would tend to indicate a business connection with such organization without such approval.
Participation on Boards of Directors/Trustees
• In order to avoid any conflict of interest, or appearance of a conflict, that could arise from service by an employee of ours as a director of another organization, an employee must obtain approval from the Compliance Officer prior to serving as a member of the Board of Directors/Trustees of any business, industry or community organization.
• We retain the right to prohibit membership by officers or employees on any Board of Directors/Trustees where such membership might conflict with our best interests.
• An officer or other employee must disclose all Board of Directors/Trustees activities in his or her Conflict of Interest Disclosure Statement.
Employees, officers and directors owe a duty to us to advance our legitimate interests when the opportunity to do so arises. Employees, officers and directors shall not take for personal use (or for use by a family member) any business opportunity learned of during the course of serving us, using our property or as a result of such individual’s position with us. To the extent that an employee, officer or director learns of a business opportunity that is within our existing or proposed lines of business, the employee, officer or director should inform his or her supervisor or the Compliance Officer or the Board of Directors, as appropriate, of the business opportunity and refrain from personally pursuing the matter until such time as we decide to forego the business opportunity. At no time may any employee, officer or director utilize any Premiere Global Services property, information or position to generate personal gain or engage or participate in any business that directly competes with us.
Protection and Proper Use of Company Assets
All employees, officers and directors shall strive to preserve and protect our assets and resources and to promote their efficient use. The standards set forth below are intended to guide employees, officers and directors by articulating our expectations as they relate to activities or behaviors that may affect our assets.
Personal Use of Corporate Assets
Theft, carelessness and waste have a direct impact on our profitability. Employees, officers and directors are not to convert our assets to personal use. Our property should be used for Premiere Global Services’ legitimate business purposes and our business shall be conducted in a manner designed to further Premiere Global Services’ interest rather than the personal interest of an individual employee, officer or director. Employees, officers and directors are prohibited from the unauthorized use or taking of our equipment, supplies, materials or services.
Use of Company Software
Our employees use software programs for word processing, spreadsheets, data management, and many other applications. Software products purchased by us are covered by some form of licensing agreement that describes the terms, conditions and allowed uses. It is our policy to respect copyright laws and observe the terms and conditions of any license agreements. Copyright laws in the United States and other countries impose civil and criminal penalties for illegal reproductions and use of licensed software.
Our computer resources, which include the electronic mail system, belong to us and not to the employee. They are not intended to be used for amusement, solicitation, or other non-business purposes. While it is recognized that employees will occasionally use the system for personal communications, it is expected that such uses will be kept to a minimum and that employees will be responsible and professional in their use of e-mail. The use of the computer systems to make or forward derogatory or offensive remarks about other people or groups is prohibited. E-mail messages should be treated as any other written business communication. Our policies regarding our electronic systems and communications are more fully described in the employee handbook.
Confidential and Proprietary Information
Confidential information includes all non-public information that might be of use to competitors, or harmful to us or our customers, if disclosed. All information (in any form, including electronic information) that is created or used in support of our business activities is the property of Premiere Global Services. This company information is a valuable asset and employees, officers and directors are expected to protect it from unauthorized disclosure. This includes our customer, supplier, business partner and employee data. Federal and state law may restrict the use of such information and impose penalties for impermissible use or disclosure.
Information pertaining to our competitive position or business strategies, and information relating to negotiations with employees or third parties, should be protected and shared only with employees having a need to know such information in order to perform their job responsibilities.
Intellectual Property and Proprietary Information
Employees, officers and directors must carefully maintain and manage our intellectual property rights, including patents, trademarks, copyrights and trade secrets, to preserve and protect their value. Information, ideas and intellectual property assets of Premiere Global Services are important to our success.
Our names, logos, trademarks, service marks, inventions, processes and innovations are intellectual property assets and their protection is vital to the success of our business. Our names, logos, trademarks and service marks are to be used only for authorized company business and never in connection with personal or other activities unless appropriately approved and in accordance with our policy. In addition, our employees, officers and directors must respect the intellectual property rights of third parties. Violation of these rights can subject both you and us to substantial liability, including criminal penalties.
Intellectual property that you create while employed by us belongs to Premiere Global Services. You must share any innovations or inventions you create with your supervisor so that we can take steps to protect these valuable assets.
Our corporate records are important assets. Corporate records include essentially everything you produce as an employee, regardless of its format. A corporate record may be in the form of paper, computer tapes, microfilm, e-mail, or voice mail.
We are required by law to maintain certain types of corporate records, usually for a specified period of time. Failure to retain such documents for such minimum periods could subject us to penalties and fines, cause the loss of rights, obstruct justice, place us in contempt of court, or place us at a serious disadvantage in litigation. However, storage of voluminous records over time is costly. Therefore, we have established controls to assure retention for required periods and timely destruction of retrievable records, such as paper copies and records on computers, electronic systems, microfiche, and microfilm. Even if a document is retained for the legally required period, liability could still result if a document is destroyed before its scheduled destruction date.
We expect all employees to become familiar with and fully comply with the records retention/destruction schedule for the departments for which they work. If you believe documents should be retained beyond the applicable retention period, consult with the Compliance Officer.
Salary, benefit, medical and other personal information relating to employees shall be treated as confidential. Personnel files, payroll information, disciplinary matters, and similar information are to be maintained in a manner designed to protect confidentiality in accordance with applicable laws. Employees, officers and directors shall exercise due care to prevent the release or sharing of information beyond those persons who may need such information to fulfill their job function. Notwithstanding the foregoing, all personnel information belongs solely to us and may be reviewed or used by us as needed to conduct our business.
Integrity of Records and Compliance with Accounting Principles
The preparation and maintenance of accurate and reliable business records is required by law and is of critical importance to our decision-making processes and to the proper discharge of our financial, legal, and reporting obligations. All financial and other business records, including expense accounts, purchase orders, requisitions, bills, payroll, reports to government agencies and other reports, books and records of ours must be prepared with care and honesty. False or misleading entries in such records are unlawful and are not permitted. All corporate funds and assets must be recorded in accordance with generally accepted accounting principles and applicable corporate procedures. No undisclosed or unrecorded corporate funds shall be established for any purpose nor should our funds be placed in any personal or non-corporate account. No director, officer or employee, whatever his or her position, is authorized to depart from our policy or to condone a departure by anyone else.
We maintain a system of internal controls and procedures that we believe provides reasonable assurance that transactions are executed in accordance with management’s authorization and properly recorded and that financial records and reports are accurate and reliable. This system includes written policies and procedures. All directors, officers and employees are expected to adhere to these procedures.
Compliance with accounting and internal controls and procedures and auditing procedures is required at all times. We expect for both the letter and the spirit of internal controls and procedures to be strictly adhered to at all times.
Customer and Supplier Relations
Premiere Global Services and our employees, officers and directors must maintain high ethical and professional standards in dealing with government officials and members of the private sector. Premiere Global Servicesfunds, property or services must not be given, either directly or indirectly, to anyone in an improper effort to obtain or retain business for Premiere Global Services or to obtain special or unusual treatment in connection with a business transaction.
Selling to Customers
We compete vigorously, but fairly. Do not misrepresent our products, services or capabilities, even if fair and honest representation means losing a sale. If silence about a fact could mislead a customer, disclose the information. Communicate clearly and precisely so that customers understand the terms of contracts, including schedules, prices and responsibilities. Customers rely on our employees and on our commitment to them.
Strive to build good working relationships with our suppliers. Choose suppliers based on merit, considering, among other things, price, quality, delivery capability, responsiveness and reputation for service and integrity.
Business Courtesies and Inducements
Gifts, meals and entertainment are common courtesies intended to build goodwill and sound working relationships among business professionals. You may accept or offer meals and entertainment from and to other business professionals if they are voluntarily offered, for a legitimate business purpose, are reasonable, and do not compromise (or could appear to compromise) your or their business judgment or your or their ability to make objective and fair business decisions.
Sales-related commissions, rebates, discounts, credits and allowances are often customary business inducements. Both givers and receivers of these inducements need to be careful to avoid illegal or unethical payments and to maintain compliance with tax laws, if applicable. Any such commissions or credits given or received by Premiere Global Services must be reasonable in value, competitively justified, properly documented and made to the business entity with which the original sales agreement was made or to which the original invoice was issued. Such inducements should not be made to or received by individual officers, employees or agents of the business entity or to another related business entity. Although discouraged, some payments are permitted if they are legal and necessary, and if they follow established, well-recognized practice in the area. Payments must be made only for administrative actions to which we are clearly entitled and they should be approved and recorded.
Dealings with Government Agencies
Special care must be taken when dealing with government customers. Do not directly or indirectly promise, offer or make payment in money or anything of value to anyone, including a government official, agent or employee of a government, political party, labor organization or business entity or a candidate of a political party, or their families, with the intent to induce favorable business treatment or to improperly affect business or government decisions. This policy prohibits actions intended either to influence a specific decision or merely to enhance future relationships. It is also inappropriate in certain circumstances to discuss employment possibilities with government employees while doing business with the government. In short, special care must be taken when dealing with government customers. Contact the Compliance Officer if you have questions concerning compliance with these obligations.
Ethics and Compliance in the International Community
We are committed to maintaining high standards of business conduct at home and abroad. We and our employees, officers and directors must comply with all local laws of the countries in which we conduct business, applicable international and inter-governmental regulations and U.S. laws that apply to international activities and other applicable laws.
If you conduct business for Premiere Global Services outside of the U.S., in addition to being familiar with the local laws of the other countries involved, be sure you are familiar with U.S. laws and regulations that apply to international activities.
Supplemental Standards for Principal Executive Officer and Other Senior Financial Officers
The Board of Directors of Premiere Global Services has established certain supplemental ethical standards for our Chief Executive Officer, Chief Financial Officer and principal accounting officer (the “Senior Financial Officers”). The Senior Financial Officers must comply with these standards in addition to all of the other standards contained in this Code.
Integrity and Accuracy of Public Disclosures
The Senior Financial Officers shall take all reasonable steps to provide full, fair, accurate, timely and understandable disclosures in the reports and documents that we file with or submit to the Securities and Exchange Commission and in other public communications made by us. In the event that a Senior Financial Officer learns that any such report, document or communication does not meet this standard and the deviation is material, then such officer shall review and investigate such deviation, advise the Board of Directors or the appropriate committee of the Board of Directors regarding the deviation and, where necessary, revise the relevant report, document or communication.
Although a particular accounting treatment for one or more of our operations may be permitted under applicable accounting standards, the Senior Financial Officers shall not authorize or permit the use of such an accounting treatment if the effect is to distort or conceal our true financial condition. The accounting standards and treatments utilized by us shall, in all instances, be determined on an objective and uniform basis and without reference to a single transaction or series of transactions and their impact on our financial results for a particular time period. Any new or novel accounting treatment or standard that is to be utilized in the preparation of our financial statements shall be first discussed with the Audit Committee of the Board of Directors and our independent auditors.
Contacts and Phone Numbers
- Compliance Officer Phone (404) 262-8502
- Compliance Officer email email@example.com
- Compliance Line 1-866-207-4508 (For toll-free access outside of the USA, US territories or Canada, first dial Premiere Global Services’ direct access number for the country from which you are calling.)
Compliance E-mail firstname.lastname@example.org
This Code is not intended to create, nor does it create, any contractual rights related to employment.