Bank Documents Clause Samples
Bank Documents. Bank Documents" means that certain Credit Agreement, among ▇▇▇▇ Las Vegas, LLC, the lenders party thereto, Deutsche Bank Securities, Inc., as lead arranger and joint book running manager, Deutsche Bank Trust Company Americas, as administrative agent and swing line lender, Banc of America Securities LLC, as lead arranger, joint book running manager and syndication agent, Bear, ▇▇▇▇▇▇▇ & Co. Inc., as arranger and joint book running manager, Bear ▇▇▇▇▇▇▇ Corporate Lending Inc., as joint documentation agent, and Dresdner Bank AG, New York Branch, as arranger and joint documentation agent, entered into to finance the development and construction of the Le Rêve Casino Resort, and all documents, instruments and agreements executed or delivered in connection therewith, as the foregoing may from time to time be supplemented, modified, amended, restated, refinanced or replaced, with the same or any successor or replacement agents and lenders.
Bank Documents. Signature and authorization cards for the bank accounts set forth on Schedule 4.29.
Bank Documents. Fully-executed copies of each of the Bank Documents, and all schedules thereto prepared by the Borrower;
Bank Documents. The Obligors shall have entered into the Credit Agreement in form and substance satisfactory to the Noteholders and their special counsel. The Obligors shall have delivered to each Noteholder copies of the Credit Agreement and each of the other agreements and instruments executed in connection therewith (collectively, as the same may be amended, supplemented or otherwise modified from time to time in accordance with the provisions of this Agreement and the Intercreditor Agreement, the "BANK DOCUMENTS"), certified as true and correct by a Responsible Officer.
Bank Documents. 18 4.8. Private Placement Numbers...............................................................18 4.9. Consent to Receive Service of Process...................................................18 4.10.
Bank Documents. Administrative Agent shall have received on or before the Closing Date the following, each dated as of the Closing Date (unless otherwise specified) and in form and substance reasonably satisfactory to Administrative Agent:
(i) a certificate of the Secretary or an Assistant Secretary of Bank certifying (A) the organizational documents of Bank, (B) the resolutions of the board of directors of Bank approving the execution, delivery and performance of each Operative Agreement to which Bank, as Trustee is a party, and (C) the names and true signatures of the officers of Bank authorized to sign each Construction Agency Agreement Operative Agreement to which Bank, as Trustee is a party and the other documents or certificates to be delivered hereunder and thereunder;
(ii) an Officer's Certificate of Bank certifying as to the truth and correctness of the representations and warranties made by Bank in each Operative Agreement;
(iii) a certificate of authority from the Comptroller of the Currency with respect to Bank dated as of a recent date prior to the Closing Date; and
(iv) the Certificate of Trust of the Owner Trust issued by the State of Delaware.
Bank Documents. The terms and conditions of this Agreement are in addition to, and shall supplement the terms, conditions, rules, and regulations that apply to any of your existing Brighton Bank accounts or services which you currently use.
Bank Documents. Bond Documents. 2 1.8 Bonds.
Bank Documents. Signature and authorization cards for any Project Partnership bank accounts and any other accounts for which Purchaser or its designee needs to be a signatory as the assignee of any Purchased Interest;
Bank Documents. The Bank Documents have been duly authorized, executed and delivered by each of the parties thereto.
