Banking Relationships. Section 3.21 of the Company Disclosure Schedule sets forth a true and complete list of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which Company or any of its subsidiaries has an account or safe deposit box or other arrangement, the account or other identifying numbers thereof and the names of all Persons authorized to draw on or who have access to such account or safe deposit box or such other arrangement. There are no outstanding powers of attorney executed by or on behalf of Company or any of its subsidiaries with respect to the foregoing.
Appears in 2 contracts
Samples: Merger Agreement (Gsi Commerce Inc), Merger Agreement (Gsi Commerce Inc)
Banking Relationships. Section 3.21 3.23 of the Company Disclosure Schedule sets forth a true and complete list of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which the Company or any of its subsidiaries Subsidiaries has an account or a safe deposit box or other arrangement, the account or other identifying numbers thereof and the names of all Persons persons authorized to draw on or who have access to such account or safe deposit box or such other arrangement. There are no outstanding powers of attorney executed by or on behalf of the Company or any of its subsidiaries with respect to the foregoingSubsidiaries.
Appears in 1 contract
Samples: Merger Agreement (Mykrolis Corp)
Banking Relationships. Section 3.21 3.26 of the Company Disclosure Schedule sets forth a true complete and complete accurate list of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which the Company or any of its subsidiaries Subsidiaries has an account or account, safe deposit box or other arrangement, the account or other identifying numbers thereof numbers, account balances of the most recent account statements, and the names of all Persons authorized to draw on or who have access to such account or accounts, safe deposit box boxes or such other arrangementarrangements. There are no outstanding powers of attorney executed by or on behalf of the Company or any of its subsidiaries with respect to the foregoing.Subsidiaries
Appears in 1 contract
Samples: Agreement and Plan of Reorganization (Square, Inc.)
Banking Relationships. Section 3.21 of the Company Disclosure Schedule sets forth a list, which is true and complete list in all material respects, of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which Company or any of its subsidiaries has an account or safe deposit box or other arrangement, the account or other identifying numbers thereof and the names of all Persons authorized to draw on or who have access to such account or safe deposit box or such other arrangement. There are no outstanding powers of attorney executed by or on behalf of Company or any of its subsidiaries with respect to the foregoingsubsidiaries.
Appears in 1 contract
Samples: Merger Agreement (Gsi Commerce Inc)
Banking Relationships. Section 3.21 3.26 of the Company Disclosure Schedule sets forth a true complete and complete accurate list of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which the Company or any of its subsidiaries Subsidiaries has an account or account, safe deposit box or other arrangementbox, the account or other identifying numbers thereof and the names of all Persons authorized to draw on or who have access to such account or accounts, safe deposit box boxes or such other arrangementarrangements. There are no outstanding powers of attorney executed by or on behalf of the Company or any of its subsidiaries with respect to the foregoingSubsidiaries.
Appears in 1 contract
Samples: Merger Agreement (Acxiom Corp)
Banking Relationships. Section 3.21 3.24 of the Company Disclosure Schedule sets forth a true complete and complete accurate list of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which the Company or any of its subsidiaries Subsidiaries has an account or account, safe deposit box or other arrangement, the account or other identifying numbers thereof numbers, account balances of the most recent account statements, and the names of all Persons authorized to draw on or who have access to such account or accounts, safe deposit box boxes or such other arrangementarrangements. There are no outstanding powers of attorney executed by or on behalf of the Company or any of its subsidiaries with respect to the foregoingSubsidiaries.
Appears in 1 contract
Samples: Merger Agreement (Pluralsight, Inc.)
Banking Relationships. Section 3.21 3.22 of the Company Disclosure Schedule sets forth a true complete and complete accurate list of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which the Company or any of its subsidiaries Subsidiaries currently has an account or a safe deposit box or other arrangementbox, the account or other identifying numbers thereof number, the account balances as of December 31, 2014, and the names of all Persons authorized to draw on or who have access signatory rights on behalf of the Company to act in such account accounts or safe deposit box or such other arrangement. There are no outstanding powers of attorney executed by or on behalf of Company or any of its subsidiaries with respect to the foregoingbox.
Appears in 1 contract
Samples: Share Purchase Agreement (Harman International Industries Inc /De/)
Banking Relationships. Section 3.21 3.25 of the Company Disclosure Schedule sets forth a true complete and complete accurate list of the name and location of each bank, brokerage or investment firm, savings and loan or similar financial institution in which the Company or any of its subsidiaries Subsidiaries has an account or account, safe deposit box or other arrangement, the account or other identifying numbers thereof numbers, account balances of the most recent account statements, and the names of all Persons authorized to draw on or who have access to such account or accounts, safe deposit box boxes or such other arrangementarrangements. There are no outstanding powers of attorney executed by or on behalf of the Company or any of its subsidiaries with respect to the foregoingSubsidiaries.
Appears in 1 contract
Samples: Merger Agreement (F5 Networks Inc)