Aggregation of Entity Accounts. For purposes of determining the aggregate balance or value of accounts held by an Entity, a Reporting Danish Financial Institution shall be required to take into account all accounts held by Entities that are maintained by the Reporting Danish Financial Institution, or Related Entities, to the extent that the Reporting Danish Financial Institution’s computerized systems link the accounts by reference to a data element such as client number or taxpayer identification number and allow account balances to be aggregated.
Appears in 3 contracts
Aggregation of Entity Accounts. For purposes of determining the aggregate balance or value of accounts held by an Entity, a Reporting Danish Norwegian Financial Institution shall be required to take into account all accounts held by Entities that are maintained by the Reporting Danish Nor- wegian Financial Institution, or Related Entities, to the extent that the Reporting Danish Norwegian Financial Institution’s computerized compute- rized systems link the accounts by reference refe- rence to a data element such as client number num- ber or taxpayer identification number and allow account balances to be aggregated.
Appears in 1 contract
Samples: www.regjeringen.no
Aggregation of Entity Accounts. For purposes of determining the aggregate balance or value of accounts held by an Entity, a Reporting Danish Norwegian Financial Institution shall be required to take into account all accounts held by Entities that are maintained by the Reporting Danish Norwegian Financial Institution, or Related Entities, to the extent that the Reporting Danish Norwegian Financial Institution’s computerized systems link the accounts by reference to a data element such as client number or taxpayer identification number and allow account balances to be aggregated.
Appears in 1 contract
Samples: Agreement