Account Reconciliations. A monthly reconciliation of the Trust Deposit Accounts and Trust Operating Accounts and all deposits, disbursements, fees and charges, fund balances and all related information (the “Account Reconciliations”), not later than five (5) calendar days following the end of each month.
Appears in 4 contracts
Samples: Property Management Agreement (Silver Bay Realty Trust Corp.), Property Management Agreement (Silver Bay Realty Trust Corp.), Property Management Agreement (Silver Bay Realty Trust Corp.)
Account Reconciliations. A monthly reconciliation of the Trust Deposit Accounts and Trust Operating Accounts Accounts, as applicable, and all deposits, disbursements, fees and charges, fund balances and all related information (the “Account Reconciliations”), not later than five (5) calendar days following the end of each month.
Appears in 1 contract
Samples: Revolving Credit Agreement (Silver Bay Realty Trust Corp.)