Common use of Designation of Additional Accounts Clause in Contracts

Designation of Additional Accounts. Chase USA shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Days after the date of this Assignment and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 16 contracts

Samples: Pooling and Servicing Agreement (First Usa Credit Card Master Trust), Assignment of Receivables (Chase Credit Card Master Trust), Assignment of Receivables (Chase Credit Card Master Trust)

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Designation of Additional Accounts. Chase USA Funding shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list an Account Schedule containing a true and complete list of each MasterCard MasterCard®, VISA® and VISA American Express® account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Days after the date of this Assignment Agreement and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this AssignmentAssignment and the Pooling and Servicing Agreement.

Appears in 4 contracts

Samples: Pooling and Servicing Agreement (BA Credit Card Trust), Pooling and Servicing Agreement (BA Master Credit Card Trust II), Pooling and Servicing Agreement (BA Master Credit Card Trust II)

Designation of Additional Accounts. Chase USA shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Days after the date of this Assignment Agreement and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 4 contracts

Samples: Assignment of Receivables (Chase Manhattan Bank /Ny/), Assignment of Receivables (Chase Manhattan Bank /Ny/), Assignment of Receivables (Chase Manhattan Bank /Ny/)

Designation of Additional Accounts. Chase USA shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account ac-count number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Busi- ness Days after the date of this Assignment and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 2 contracts

Samples: Assignment of Receivables (Chase Credit Card Master Trust), Assignment of Receivables (Chase Credit Card Master Trust)

Designation of Additional Accounts. Chase USA shall deliver ---------------------------------- to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Days after the date of this Assignment Agreement and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 2 contracts

Samples: Pooling and Servicing Agreement (Chase Manhattan Bank Usa), Pooling and Servicing Agreement (Chase Manhattan Bank Usa)

Designation of Additional Accounts. Chase USA The Transferor shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard MasterCardr and VISA VISAr account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Days after the date of this Assignment Agreement and shall be marked as Schedule 1 l to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Metris Companies Inc)

Designation of Additional Accounts. Chase USA shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account ac- count number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Busi- ness Days after the date of this Assignment and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 1 contract

Samples: Assignment of Receivables (Chase Credit Card Master Trust)

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Designation of Additional Accounts. Chase USA shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account ac count which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Days after the date of this Assignment Agreement and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this AssignmentAssign ment.

Appears in 1 contract

Samples: Assignment of Receivables (Chase Credit Card Master Trust)

Designation of Additional Accounts. Chase USA shall deliver ---------------------------------- to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account ac count which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Days after the date of this Assignment Agreement and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 1 contract

Samples: Assignment of Receivables (Chase Manhattan Bank Usa)

Designation of Additional Accounts. Chase USA shall deliver to the Trustee not later than five Business Days after the Addition Date, a computer file or microfiche list containing a true and complete list of each MasterCard and VISA account which as of the Addition Date shall be deemed to be an Additional Account, such accounts being identified by account ac count number and by the amount of Receivables in such accounts as of the close of business on the Addition Date. Such list shall be delivered five Business Busi ness Days after the date of this Assignment Agreement and shall be marked as Schedule 1 to this Assignment and, as of the Addition Date, shall be incorporated into and made a part of this Assignment.

Appears in 1 contract

Samples: Assignment of Receivables (Chase Manhattan Bank /Ny/)

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