ACCOUNT INFORMATION AND TRANSFERRED BATCH DETERMINATION Sample Clauses

ACCOUNT INFORMATION AND TRANSFERRED BATCH DETERMINATION. (a) On each Business Day after the Initial Transfer Date, the Primary Servicer, on behalf of the Originators, shall provide the Master Servicer by Transmission the information listed on EXHIBIT I hereto (as such Exhibit may be modified by the Company from time to time, the "ACCOUNT INFORMATION") with respect to all new Accounts. The Primary Servicer shall also designate those new Accounts that it has determined constitute Eligible Accounts (the "PROPOSED ELIGIBLE ACCOUNTS") and those new Accounts that it has determined do not constitute Eligible Accounts. (b) All Proposed Eligible Accounts for which Account Information has been received by the Master Servicer between the prior Batching Deadline and the current Batching Deadline shall be reviewed by the Lender Group. On or prior to each Transfer Date, the Company or the Agent shall prepare a list of all Proposed Eligible Accounts delineating those Proposed Eligible Accounts that the Company will purchase on the Transfer Date (a "PURCHASED BATCH", and together with the remaining Proposed Eligible Accounts and all other Accounts that are not Eligible Accounts that will not be purchased and instead will be contributed to the Company, the "TRANSFERRED BATCH").
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Related to ACCOUNT INFORMATION AND TRANSFERRED BATCH DETERMINATION

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  • Account Information Disclosure We will disclose information to third parties about your account or the transfers you make:

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