SunTrust Bank definition

SunTrust Bank means SunTrust Bank, a Georgia banking corporation.
SunTrust Bank is defined in the preamble to the Master Agreement.
SunTrust Bank means SunTrust Bank and its successors.

Examples of SunTrust Bank in a sentence

  • Facsimile: (000) 000-0000 To the Custodian: SunTrust Bank 000 Xxxx Xxxx Xxxxxx Xxxxxxxx, Xxxxxxxx 00000 Attention: Retirement Services Facsimile: (000) 000-0000 or at such other address as shall be designated by any such party in a written notice to the other parties.

  • Each Lender irrevocably appoints SunTrust Bank as the Administrative Agent and authorizes it to take such actions on its behalf and to exercise such powers as are delegated to the Administrative Agent under this Agreement and the other Loan Documents, together with all such actions and powers that are reasonably incidental thereto.

  • The Company has full legal right, power, and authority to enter into this Agreement and the Escrow Agreement among the Company, SunTrust Bank (the “Escrow Agent”) and you (the “Escrow Agreement”), to issue and deliver the Shares as provided herein and in the Prospectus and to consummate the transactions contemplated herein and in the Prospectus.

  • The Escrow Agent shall deposit funds received from purchasers in the Escrow Account, which shall be a non-interest-bearing bank account at SunTrust Bank.

  • The local or regional boards or the local or regional chief executive officers or their designees may appoint officers of SunTrust Bank.


More Definitions of SunTrust Bank

SunTrust Bank means SunTrust Bank.
SunTrust Bank means SunTrust Bank, in its capacity as Lender hereunder.
SunTrust Bank. SunTrust Bank, and its successors in interest.
SunTrust Bank means SunTrust Bank, Atlanta.
SunTrust Bank is defined in the preamble to the Master Agreement. -------------
SunTrust Bank means SunTrust Bank in its individual capacity and its successors. Exh. I-18
SunTrust Bank. FFIEC 031 303 PEACHTREE STREET, NORTHEAST Consolidated Report of Xxxxxxxxx XXXXXXX, XX 00000 for June 30, 2003 Certxxxxxxx Xxxxxx: 00867 CONSOLIDATED REPORT OF CONDITION FOR INSURED COMMERCIAL AND STATE-CHARTERED SAVINGS BANKS FOR JUNE 30, 2003 All schedules are to be reported in thousands of dollars. Unless otherwise indicated, report the amount outstanding as of the last business day of the quarter. SCHEDULE RC - BALANCE SHEET C400 Dollar Amounts in Thousands --------------------------------------------------------------------------------