Deposit Summary. Attached hereto as Schedule 3.23 is a summary of the amounts and types of the deposits held by the Bank on December 31, 2005 and the weighted average interest rates being paid thereon as of such date (the “Deposit Summary”). The Deposit Summary was prepared by the Bank from the books and records of the Bank in the ordinary course of business and, to the Knowledge of the Bank, the information contained therein is true, complete and correct as of the date thereof.
Appears in 2 contracts
Samples: Merger Agreement (Green Bancorp, Inc.), Merger Agreement (Green Bancorp, Inc.)
Deposit Summary. Attached hereto as Schedule 3.23 is 3.20 contains a summary of the amounts and types of the deposits held by the Bank on as of December 31, 2005 2001 and as of October 31, 2002 and the weighted average interest rates being paid thereon as of such date (the “"Deposit Summary”"). The Deposit Summary was prepared and other data and information provided by the Bank from the books BVB, relating to assets, liabilities and records business of the Bank in the ordinary course of business and, to the Knowledge of the Bank, the information contained therein is true, complete and correct in all material respects as of the date thereof.
Appears in 1 contract
Deposit Summary. Attached hereto as Schedule 3.23 is 3.20 contains a summary of the amounts and types of the deposits held by the Bank on as of December 31, 2005 2001 and as of October 31, 2002 and the weighted average interest rates being paid thereon as of such date (the “Deposit the"Deposit Summary”"). The Deposit Summary was prepared and other data and information provided by the Bank from the books BVB, relating to assets, liabilities and records business of the Bank in the ordinary course of business and, to the Knowledge of the Bank, the information contained therein is true, complete and correct in all material respects as of the date thereof.
Appears in 1 contract
Samples: Merger Agreement (Interchange Financial Services Corp /Nj/)
Deposit Summary. Attached hereto as Schedule 3.23 3.30 is a summary of the amounts and types of the deposits held by the Bank on December 31as of September 30, 2005 2004 and the weighted average interest rates being paid thereon as of such date (the “Deposit Summary”). The Deposit Summary was prepared by the Bank from the books and records of the Bank in the ordinary course of business and, to the Knowledge of the Bank, and the information contained therein is true, complete and correct as of the date thereof.
Appears in 1 contract