Banking Arrangements. Schedule 3.18 sets forth the name of each bank in or with which the Company has an account, credit line or safety deposit box, and a brief description of each such account, credit line or safety deposit box, including the names of all persons currently authorized to draw thereon or having access thereto; and the names of all persons, if any, now holding powers of attorney from the Company and a summary statement of the terms thereof.
Appears in 6 contracts
Samples: Merger Agreement (Healthtech Solutions, Inc./Ut), Share Exchange Agreement (Reac Group, Inc.), Share Exchange Agreement (Reac Group, Inc.)
Banking Arrangements. Schedule 3.18 4.23 sets forth the name of each bank in or with which the Company Acquiror has an account, credit line or safety deposit box, and a brief description of each such account, credit line or safety deposit box, including the names of all persons currently authorized to draw thereon or having access thereto; and the names of all persons, if any, now holding powers of attorney from the Company Acquiror and a summary statement of the terms thereof.
Appears in 4 contracts
Samples: Share Exchange Agreement (Reac Group, Inc.), Share Exchange Agreement (Reac Group, Inc.), Merger Agreement (Reac Group, Inc.)
Banking Arrangements. Schedule 3.18 2.22 sets forth the name of each bank in or with which the Company has an account, credit line or safety deposit box, and a brief description of each such account, credit line or and safety deposit box, including the names of all persons currently authorized to draw thereon or having access thereto; , and the names of all persons, if any, now holding powers of attorney from the Company and with a summary statement of the terms thereof.
Appears in 2 contracts
Samples: Stock Purchase Agreement (Xeta Technologies Inc), Stock Purchase Agreement (Xeta Technologies Inc)
Banking Arrangements. Schedule 3.18 2.16 sets forth the name of each bank in or with which the Company has an account, credit line or safety deposit box, and a brief description of each such account, credit line or safety deposit box, including the names of all persons currently authorized to draw thereon or having access thereto; and the names of all persons, if any, now holding powers of attorney from the Company and a summary statement of the terms thereof.
Appears in 1 contract
Samples: Stock Purchase Agreement (World Commerce Online Inc)
Banking Arrangements. Schedule 3.18 4.17 hereto sets forth the name of each bank in or with which the Company or a Subsidiary has an account, credit line or safety deposit box, box and a brief description of each such account, credit line or safety deposit box, including the names of all persons currently presently authorized to draw thereon or having have access thereto; and the names of all persons, if any, now holding powers of attorney from the Company and a summary brief statement describing the purpose of the terms thereofeach such account .
Appears in 1 contract
Banking Arrangements. Schedule 3.18 3.29 sets forth the name of each bank in or with which the Company has an account, credit line or safety deposit box, and a brief description of each such account, credit line or safety deposit boxof the same, including the account numbers and the names of all persons currently authorized to draw thereon or having access thereto; and the names of all persons, if any, now holding powers of attorney from the Company and a summary statement of the terms thereof.
Appears in 1 contract
Banking Arrangements. Schedule 3.18 4.23 sets forth the name of each bank in or with which the Company Acquiror has an account, credit line or safety deposit box, and a brief description of each such account, credit line or safety deposit box, including the names of all persons currently authorized to draw thereon or having access thereto; and the names of all persons, if any, now holding powers of attorney from the Company Acquiror and a summary statement of the terms thereof.
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