Foreign Banks and Currency. Checks drawn in foreign currency will be processed in accordance with the Bank's normal procedure for such checks and the Agent will be notified by advice of any such checks on the date received by the Bank.
Appears in 3 contracts
Samples: Credit Agreement (Sunrise Medical Inc), Credit Agreement (FWT Inc), Credit Agreement (Lynch Corp)
Foreign Banks and Currency. Checks drawn in foreign currency will be processed in accordance with the Bank's normal procedure for such checks and the Collateral Agent will be notified by advice telephone of any such checks on the date received by the Bank.
Appears in 2 contracts
Samples: Landlord Access Agreement (Sola International Inc), Credit Agreement (Sola International Inc)
Foreign Banks and Currency. Checks drawn in foreign currency will be processed in accordance with the Bank's normal procedure for such checks and the Agent will be notified by advice of any such checks which exceed $_____________ on the date received by the Bank.
Appears in 1 contract
Foreign Banks and Currency. Checks drawn in foreign currency will be processed in accordance with the Bank's normal procedure for such checks and the Administrative Agent will be notified by advice of any such checks which exceed $_______________ on the date received by the Bank.
Appears in 1 contract
Foreign Banks and Currency. Checks drawn in foreign currency will be processed in accordance with the Bank's normal procedure for such checks and the Agent will be notified by advice of any such checks which exceed $_______________ on the date received by the Bank.
Appears in 1 contract
Samples: Credit Agreement (Fresh Foods Inc)