Agreement and Schedules. This Agreement duly executed by Borrower, and all Schedules, duly and fully completed, that are provided for in this Agreement.
Agreement and Schedules. 2.1 This Agreement, besides the main body of the agreement shall also consist of Schedule A (‘Loading Terminal’), Schedule B (‘Crude Oil Typical Specification), Schedule C (‘Planning, and nomination of Quantities’), Schedule D (‘Custody Transfer Quantity: sample calculation), Schedule E (‘Payment Security Deposit’), Schedule F(‘Arbitration and Dispute Resolution), Schedule G (Pricing Sheet), all annexures, attachments and appendices hereto, as amended/modified/supplemented from time to time. This agreement shall also consist of Notification of Award(s) (NOA), as issued from to time during the term of this Agreement.
Agreement and Schedules. (a) Schedule 1 describes the procedure by which we will place deposits for you through the form of ICS known as ICS-Daily Rate. Schedule 2 describes the account type and placement feature that we will use. Schedule 3 describes the procedure by which we will place deposits for you through the form of ICS known as ICS-Fixed Rate if we offer such placement.
(b) Each participating institution in ICS that is an insured depository institution (“Destination Institution”) will be one at which deposit accounts are insured by the Federal Deposit Insurance Corporation (“FDIC”) up to the FDIC standard maximum deposit insurance amount (“SMDIA”) of $250,000.
(c) Subject to the terms and conditions of this Agreement, when we place deposits in a deposit account at a Destination Institution for your funds placed through ICS (“Deposit Account”), the amount of our outstanding placements for you at the Destination Institution through ICS and through CDARS®, the Certificate of Deposit Account Registry Service®, will not exceed $250,000.
(d) The Bank of New York Mellon (“BNY Mellon”) provides services that support deposit placement through ICS. XXX Xxxxxx’x services include acting as our sub-custodian and settlement agent.
(e) You must be capable of using, and you agree to use, the Depositor Control Panel (“DCP”), an online tool, to review provisional allocations of deposits and for other purposes. You also agree to receive notices that may be posted on the DCP or sent to you by email.
Agreement and Schedules. The execution and delivery by Stockholder of all schedules and exhibits required by this Agreement to be delivered on the date hereof and the Closing Date, including the updating of such schedules and exhibits.
Agreement and Schedules. This Agreement, besides the main body of the agreement shall also consist of all annexures, attachments and appendices hereto, as amended/modified/supplemented from time to time.
Agreement and Schedules. 1.1 This Trust Agreement consists of Articles 1 through 15, and includes the following schedules which are attached to this Trust Agreement: Article 1 Agreement and Schedules Article 2 Name
Agreement and Schedules. 2.1 This Agreement for the Sale and Purchase of Crude Oil shall consist of this Agreement and attached at Schedule A, Schedule B (the "Commercial Term Sheet"), all annexure, attachments and appendices hereto, as amended/modified/supplemented from time to time. This agreement also consists of Notification of Award(s) (NOA), as issued from to time during the term of this Agreement.
Agreement and Schedules. 2.1 This Agreement, besides the main body of the agreement shall also consist of Schedule A (‘Loading Terminal’), Schedule B (‘Crude Oil Typical Specification), Schedule C (‘Planning, Scheduling, Allocation and Shortfall in Quantities’), Schedule D (‘Custody Transfer Quantity: sample calculation), Schedule E (‘Payment Security Deposit’), Schedule F(‘Arbitration and Dispute Resolution), Schedule G (Pricing Sheet), Schedule H (Letter of Undertaking), all annexures, attachments and appendices hereto, as amended/modified/supplemented from time to time.
Agreement and Schedules. This Agreement consists of the terms and conditions set forth below and Schedules A, B, C, D, and E, which are incorporated and made part this Agreement by this reference and are included in any reference to this Agreement. EWS shall use commercially reasonable efforts to (a) provide Customer with the Software described more specifically in Schedule A (“Description of Software”); (b) make the Software available for use in accordance with the terms and conditions specified in Schedule B (“Service Level Agreement”); (c) provide Customer with the levels of support and response times indicated in Schedule C (“Customer Support Policies”); (d) notify Customer of EWS’s acceptable use policy for the Software, a current copy of which is attached as Schedule D (“Acceptable Use Policy”); and (e) adhere to the levels of security in accordance with Schedule E (“Data Security Requirements).
Agreement and Schedules. This Crude Oil Sale Agreement, besides the main body of the agreement shall also consist of all annexures, attachments and appendices hereto, as amended/modified/supplemented from time to time.