Common use of Bank Accounts; Receivables Clause in Contracts

Bank Accounts; Receivables. (a) Section 3.8(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of the Company at any bank or other financial institution, including the name of the bank or financial institution, the account number, the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accounts.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Volcano Corp)

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Bank Accounts; Receivables. (a) Section 3.8(a3.9(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of each of the Company Acquired Entities at any bank or other financial institution, including the name of the bank or financial institution, the account number, number and the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accountshereof.

Appears in 1 contract

Samples: Stock Purchase Agreement (Bassett Furniture Industries Inc)

Bank Accounts; Receivables. (a) Section 3.8(aPart 3.10(a) of the Company Disclosure Schedule provides accurate the following information with respect to each account maintained by or for the benefit of the Company or the Company Subsidiary at any bank or other financial institution, institution including the name of the bank or financial institution, the account number, the balance as of the date hereof number and the names of all individuals authorized to draw on or make withdrawals from such accounts.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Ocz Technology Group Inc)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.10(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit names and locations of all banks and other financial institutions at which the Company at or any bank or other financial institution, including the name Company Subsidiary maintains accounts of the bank or financial institution, the account number, the balance as of the date hereof any nature and the names of all individuals persons authorized to draw on thereon or make withdrawals from such accountstherefrom.

Appears in 1 contract

Samples: Agreement and Plan of Merger and Reorganization (Broadsoft Inc)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.7(a) of the Company Disclosure Schedule provides a complete and accurate information with respect to each account list of accounts maintained by or for the benefit of the Company at any bank or other financial institution, institution including the name of the bank or financial institution, the account number, number and the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accountshereof.

Appears in 1 contract

Samples: Primary Stock Purchase Agreement (Optical Communication Products Inc)

Bank Accounts; Receivables. (a) Section 3.8(a3.10(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of the Company at any bank or other financial institution, including the name of the bank or financial institution, the account number, the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accounts.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Medicines Co /De)

Bank Accounts; Receivables. (a) Section 3.8(a2.10(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit names and locations of all banks and other financial institutions at which the Company at maintains accounts of any bank or other financial institution, including the name of the bank or financial institution, the account number, the balance as of the date hereof nature and the names of all individuals persons authorized to draw on thereon or make withdrawals from such accountstherefrom.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Fusion Acquisition Corp.)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.10(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of the Company at any bank or other financial institution, institution including the name of the bank or financial institution, the account number, number and the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accountshereof.

Appears in 1 contract

Samples: Agreement and Plan of Merger and Reorganization (Clarient, Inc)

Bank Accounts; Receivables. (a) Section Schedule 3.8(a) of the Company Disclosure Schedule Schedules provides accurate information with respect to each account maintained by or for the benefit of the Company Target Companies at any bank or other financial institution, institution including the name of the bank or financial institution, the account number, number and the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accountshereof.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Plains Capital Corp)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.10(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit names and locations of all banks and other financial institutions at which the Company at or any bank or other financial institution, including the name Company Subsidiary maintains accounts of the bank or financial institution, any nature and the account number, the balance as of the date hereof numbers thereof and the names of all individuals persons authorized to draw on thereon or make withdrawals from such accountstherefrom.

Appears in 1 contract

Samples: Packet Island Merger Agreement (Broadsoft Inc)

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Bank Accounts; Receivables. (a) Section 3.8(aPart 3.16(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of the Company any Subsidiary at any bank or other financial institution, including the name of the bank or financial institution, the account number, the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accounts.

Appears in 1 contract

Samples: Stock and Asset Purchase Agreement (Discovery Partners International Inc)

Bank Accounts; Receivables. (a) Section 3.8(a3.7(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of the Company at any bank or other financial institution, including the name of the bank or financial institution, the account number, the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accounts.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Volcano CORP)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.7(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of the Company at any bank or other financial institution, institution including the name of the bank or financial institution, the account number, number and the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accountsFebruary 29, 2000.

Appears in 1 contract

Samples: Agreement and Plan of Merger and Reorganization (Vitesse Semiconductor Corp)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.7(a) of the Company Disclosure Schedule provides accurate information with respect to each account maintained by or for the benefit of any of the Company Acquired Corporations at any bank or other financial institution, institution including the name of the bank or financial institution, the account number, the balance as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accounts.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Titan Corp)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.7(a) of the Company Disclosure Schedule provides accurate information with respect to the names and locations of each account maintained by or for the benefit of the Company at any bank or other financial institution, including the name of the bank or financial institution, institution at which the account number, Company maintains accounts of any nature and the balance balances in such accounts as of the date hereof and the names of all individuals authorized to draw on or make withdrawals from such accountsJune 1, 2000.

Appears in 1 contract

Samples: Agreement and Plan of Merger and Reorganization (Placeware Inc)

Bank Accounts; Receivables. (a) Section 3.8(aPart 2.7(a) of the Company Disclosure Schedule provides accurate information with respect to identifies (by institution, account number and account name) each account maintained by or for the benefit of the Company or any Subsidiary at any bank or other financial institutioninstitution (each, including a “Bank Account”), and sets forth the name respective balance of the bank or financial institution, the account number, the balance each such Bank Account as of the close of business on the date hereof and prior to the names of all individuals authorized to draw on or make withdrawals from such accountsdate hereof.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Perion Network Ltd.)

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