Split agreement letter model

#BookLetter# Introduction Agreement is a social life, collaboration between the two parties or several parties, in order to protect their legitimate rights and interests, by both parties or several parties **** the same consultation to reach an agreement, signed by the written materials. Here to bring you into the agreement model, for your reference!

A

Party A:

Address:

Contact:

Phone: Party B: Chengdu I come to the grid of information technology Limited Address: No. 42, Shuxi Road, Jinniu District, Chengdu City, Contact: Phone:

Courier Easy system for the party with independent intellectual property rights to 24-hour convenience self-service system. In order to provide users with faster and safer convenience services in Party A's property, Party A and Party B, in line with the principle of "equality and voluntariness, cooperation *** win", after friendly consultation, reached the following agreement on the cooperation of the Courier Easy system (hereinafter referred to as the "Agreement"):

Courier Easy system is Party B's 24-hour convenience self-service system with its own intellectual property rights, in order to provide users with faster and safer convenience services in Party A's property. "

First, the content of cooperation:

1, Party A allows Party B to have management rights or property rights in the property (specifically located in, hereinafter referred to as "the property") to install, run the Express Easy system, for the property users to provide 24-hour convenience self-service, better enhance the service quality of the property. This will better enhance the service quality of the Property, improve work efficiency and reduce management costs.

2. Party B is responsible for the transportation and installation of the Courier Express system, and Party A should actively assist and cooperate within its capacity to ensure that Party B's staff can enter the property in a timely and smooth manner and provide free temporary parking and loading spaces.

3, Courier Easy system cooperation required for training, maintenance, repair, upgrading and other work by Party B is responsible for, Party A should be within the ability to actively assist in cooperation, if found faults, damages should be notified in a timely manner.

4, to ensure the normal operation of the Courier Easy system infrastructure (including but not limited to lighting, continuous and stable single-phase three-wire power supply, materials and labor required to do the electricity, etc.) by Party A is responsible for providing.

5. Party B shall be responsible for the approval or registration and filing procedures required for the operation of the Courier Express system in the property, and Party A shall actively assist and cooperate with the system within its capacity.

6, in the Courier Easy days after the opening, Party B can be based on the use of Courier Easy, the use of the user or overtime occupancy charges, in order to improve the utilization rate of Courier Easy, so that more users in the property can enjoy the convenient services brought by Courier Easy.

Second, the period of cooperation:

The period of cooperation: **** years, from the date of the year to the date of the year. After the expiration of the cooperation period if there is no change in the subject matter of Party A and Party B (Party B has a significant change in the subject matter or Party A no longer manages the properties agreed upon in this agreement), then this cooperation period will be automatically renewed for another year.

Third, the cooperation is divided into:

1. Party A and Party B utilize the Courier Easy system in the property to carry out cooperative business, including the basic business (i.e., carrying out 24-hour convenience self-service delivery and receiving and dispatching services), as well as various value-added businesses (e.g., fee collection, fee payment, advertisement, etc.), and the income and expenditure generated

The Party B will be responsible for the profit generated by Party A and Party B. The profit generated by Party B will be deducted by the relevant operating expenses. After deducting the relevant operating expenses, the profits generated will be distributed between Party A and Party B in accordance with the ratio of:.

2. The profit of the cooperative business will be accounted for once a year, and Party B will provide the operating data and accounting, and submit it to Party A for written confirmation. For the initial stage of the basic business only to carry out the non-taxable income, Party B does not take into account the cost of equipment investment, daily operation and maintenance personnel costs, and only deduct the most basic electricity (calculated in accordance with the yuan / degree), network traffic costs (calculated in accordance with the yuan / month) and SMS communication costs (calculated in accordance with the yuan / article) and other costs to calculate the profit. If other value-added services are carried out, the profit shall be calculated as follows: all non-taxable revenues from the above agreed shared services shall be deducted from the reasonable costs and expenses incurred for the purpose of obtaining such revenues and then distributed on a pro-rata basis.

3. Party A's share of the cooperative business will be paid by Party B to Party A. The date of payment will be one year after the completion of the cooperative business. The payment date is one year after the full operation of the cooperative, within five working days after Party B receives the formal invoice issued by Party A (the content of which is the integrated management fee), and so on for subsequent years.

4. Payment method: bank transfer. Party A's designated payee bank account information:

Account Bank:

Account Name:

Bank Account Number:

5. Party B's VAT special invoice invoicing information:

Name: Chengdu I'm Here Grid Information Technology Co.

Taxpayer Identification Number: 510198057499922

Address, telephone: Chengdu I'm Here Grid Information Technology Co.

Address and telephone number: No. 1, 1F, Building 1, No. 39, Renhe Street, Hi-Tech District, Chengdu, China 87501755

Bank of account and account number: Agricultural Bank of China, Chengdu, Qingjiang Branch 22900801040001150

4. Rights and obligations of Party A:

1. Party A has the actual property rights or management rights of the property during the term of the cooperation, and can effectively perform this Agreement.

2, Party B is a company that can install self-service distribution, sending and receiving, payment of convenience or similar service facilities and equipment in the property.

3, in the term of this cooperation, without the consensus of both parties, neither party A nor B shall change the location of the installation of Courier Easy system in the property. Without the written consent of Party B, Party A shall not use the Courier Express system installed in the property to carry out unilateral charging or operation, use behavior, shall not open the property within the Courier Express system or in its internal and external posting of signs, hanging, construction of ancillary facilities and equipment, and any damage to the Courier Express system.

4. After signing this Agreement, Party A shall notify its security department or related departments in writing to include the Courier Easy System in its security patrols to ensure that the Courier Easy System will not be subjected to man-made or violent damage.

5, Party A should be due to the signing, fulfillment of this agreement and know the commercial secrets of Party B to be confidential. As Party A disclosure of Party B's commercial secrets lead to damage to the interests of Party B, should compensate for the loss of Party B.

6, cooperation period, such as Party A's management of the property changes, should be 90 days in advance to notify Party B in writing, and to assist Party B and the new management on the cooperation of the aftermath of friendly negotiations, in the case of receipt of written confirmation of the Party B, the transfer of its rights and obligations agreed in this Agreement to the next management unit or property rights party.

V. Party B's Rights and Obligations:

1. The Courier Express system and the infrastructure constructed by Party B belong to Party B. In the case of expiration of the cooperation period or early termination of this Agreement, Party B has the right to take back all the Courier Express system and its infrastructure that can be dismantled.

2. Party B will use the Express2Ease system to provide 24-hour self-service delivery and collection and delivery services to the users of the property, and Party B can use the Express2Ease system to carry out value-added business within the scope of national laws and regulations, and the business carried out by Party B will not affect the normal order of life of the residents of the property.

3. Party B and its partner's staff need to enter the installation area of the property for work reasons, Party A should be released; at the same time, Party B and its partner's staff should comply with Party A's management regulations when entering the property.

Six, the agreement of change, suspension, termination and liability for breach of contract:

1, in case of force majeure circumstances, so that the agreement can not continue to perform, the cooperation of any one party can immediately notify the other party in writing, the agreement that is suspended, the disappearance of force majeure circumstances, the agreement is automatically resumed performance.

2, if the impact of national policy so that this agreement can not be performed, the consensus of the two sides can terminate this agreement.

3, any party to change, cancel this agreement, should be 90 days in advance to notify the other party in writing, and set out the reasons for the written consent of both parties before the agreement and its annexes to change, suspend or cancel.

4, a party to unauthorized change, suspension or termination of this Agreement so that the other party suffered losses, the other party should be compensated for the loss of the expected operation during the period of cooperation with the total amount of cooperation agreement.

VII. Dispute Resolution:

All disputes arising from the interpretation or fulfillment of this agreement, the two should be resolved through consultation. Consultation fails to resolve, both parties agree to submit the dispute to the court of the location of Party B to resolve.

Eight, other:

1, the cooperation period (including automatic renewal period) after the expiration of the term, if Party A allows to continue to put in the property to use a similar Courier Easy system, Party B enjoys the right of priority under the same conditions of the contract. Both parties may negotiate the renewal of the contract within 90 days prior to the end of the cooperation period. If both parties decide to renew the contract, a new agreement shall be concluded.

2, this agreement is not yet complete, the parties may sign a supplementary agreement after consensus. Supplementary agreement is an integral part of this agreement. After the supplemental agreement comes into effect, if the terms of this agreement is revised, the new terms have priority over the original terms of effect.

3, this agreement in two copies, the A and B parties, one each, the two sides are stamped after the entry into force, with the same legal effect.

Party A (seal):

Authorized representative:

Part II

A, the use of the branch expense account 1, must be in accordance with the accounting standards and the standardization of the basis of accounting and other requirements, the establishment of the branch expense account of the cash diary, the bank diary and other related accounting books.2, must be According to the actual content of the business to prepare accounting vouchers, registration of the relevant accounting books, and to do the day and month, accounts in line. 3, must be issued and reported to the head office on a monthly basis for the current period of the financial report. 4, must be checked on a daily basis of the cash on hand, bank deposits and has been incurred in revenue and expenditure of business unrecorded sums of money, etc., the total amount of money with the initial amount of the cost of this account in line with the 5, the cash on hand must be done to ensure that the day of the day, ensure that The amount of cash stored overnight must be consistent with the public security department of the cash storage limit standards, and timely reconciliation with the bank. 6, the state must seriously implement the relevant provisions of the management of the use of cash in enterprises, where more than the prescribed limit of payments to be made, the use of transfer cheques to be paid, and at the same time, the establishment of the examination and approval system for the receipt of cheques. 7, the cost of the account has been used in the cash and transfer check stubs must be according to Cheque number bound book for review. 8, the expense account has been paid for the payment of bills and unpaid bills must be kept separately, and the establishment of a bill management system. 9, must be bound on a monthly basis involving all the bills of the expense account. 10, the expense account of the cash diary, bank journal and bound bills must be archived annually. 11, the expense account books, seals, bills, etc., must be set up a comprehensive handover system, and in accordance with the regulations. handover system, and in accordance with the provisions of the supervisor and the handover of both parties to sign the handover list. Second, the management and supervision of the branch cost account of the head office of the use of the cost account of the units from time to time to carry out inspections, and supervision of the monthly use of the branch cost account, the implementation of the system is not in accordance with the unit will be penalized depending on the circumstances.

Third, the scope of application of the branch expense account in accordance with the provisions of the two lines of income and two lines of expenditure, the branch expense account is for the branch in the daily operation and management of the process of incurring expenses and the need to set up, the branch in the day-to-day operation and management process must be in accordance with the rules and regulations of the management and use of the expense account, in addition to the head office in accordance with the branch of the normal cost of the expenses of the amount of the reported payment, the account of the In addition to the amount of money allocated by the head office in accordance with the amount of the branch's normal expense report, the account of interest income, all other income must be deposited in the head office revenue account.

Fourth, the payment of branch income in accordance with the provisions of the two lines of income and two lines of expenditure, the branch's operating income, other business income, subsidy income, interest income, etc. must be deposited in a timely manner in the head office of the designated income account.

V. Profit Sharing I. The branch shall pay 40% of its own sales profit (profit after business taxes and surcharges) to the head office as the head office's management fee, but business taxes and surcharges shall be borne by the head office. The branch company shall bear the salary, welfare, insurance and other expenses of the employees under its jurisdiction, as well as other taxes and fees to be borne by the enterprise. Second, the implementation of the policy of two lines of income and two lines of expenditure, that is, all operating income to the head office, the head office to bear all the expenses of the branch, the branch of the operating income of 6-10% of the general manager of the fund, for the branch of the expenses and staff incentives, the end of the year according to the realization of the profits of the general manager of the 10-15% of the salary incentives. Third, the implementation of two lines of income and two lines of expenditure policy, the head office of the implementation of the budget management system, the branch of all operating income to the head office, the head office in accordance with the approved budget amount of the monthly allocation of the branch of the budget of the branch costs to the branch cost account, the end of the year, the branch of the 10-20% of the profits of the general manager of the general manager of the funds extracted.