Designation of Additional Accounts. On or before the Addition Date, the Trust shall deliver to the Collateral Agent a computer file containing a true and complete list of each VISA and MasterCard account which, as of the Addition Date, shall be deemed to be an Additional Asset Pool One Account, identified by account number and the aggregate amount of the Receivables in each such Additional Asset Pool One Account as of the Addition Cut Off Date, which computer file shall be marked as Schedule 1 to this Assignment and which shall be, as of the Addition Date, incorporated into and made a part of this Assignment and the Asset Pool One Supplement.
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Samples: Chase Bank Usa, National Association, First Usa Credit Card Master Trust, Chase Bank Usa, National Association