Common use of Cash Collateral Account Clause in Contracts

Cash Collateral Account. In accordance with Section 4.22 of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that after such deposit the Available Cash Collateral Account Amount is equal to the Required Cash Collateral Account Amount.

Appears in 2 contracts

Samples: Class D Terms Document (Advanta Business Receivables Corp), Indenture (Advanta Business Receivables Corp)

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Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2006-A7) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2006 A7) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class C(2005-C1) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Indenture (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after giving effect to such issuance, the amount on deposit in the Available Cash Collateral Account Amount is for the AdvantaSeries must be at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Indenture (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2006-A4) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Indenture (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class D(2005-D1) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class D(2005 D1) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2005-A5) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2005 A5) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2006-A2) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2006 A2) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that that, immediately after such giving effect to the issuance of the Class A(2007-A4) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2007 A4) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2006-A1) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2006 A1) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class B(2006-B2) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class B(2006 B2) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class D(2006-D2) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class D Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that that, immediately after such giving effect to the issuance of the Class B(2007-B2) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class B(2007 B2) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2005-A2) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Indenture (Advanta Business Receivables Corp)

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Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2005-A3) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2005 A3) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that that, immediately after such giving effect to the issuance of the Class A(2007-A2) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Indenture (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2006-A3) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class a Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2005-A4) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2005 A4) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class C(2006-C1) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class C(2006 C1) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class A(2005-A1) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Indenture (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class D(2005-D2) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class A(2005 A3) Terms Document (Advanta Business Receivables Corp)

Cash Collateral Account. In accordance with Section 4.22 4.22(a) of the AdvantaSeries Indenture Supplement, on or prior to the Closing Date, the Transferor shall deposit, cause to be deposited or maintain funds in the Cash Collateral Account such that immediately after such giving effect to the issuance of the Class D(2006-D1) Notes, the amount on deposit in the Available Cash Collateral Account Amount for the AdvantaSeries is at least equal to the Required Cash Collateral Account Amount.

Appears in 1 contract

Samples: Class D Terms Document (Advanta Business Receivables Corp)

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