List of Bank Accounts Sample Clauses

List of Bank Accounts. 4.1 The Pledgor shall supply at its own expense to the Security Agent a list of the pledged accounts referred to in this Agreement within a period of ten (10) days from the end of each calendar quarter. The first list shall be supplied on the [Date] (the “Account List”).
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List of Bank Accounts. (i) All bank accounts maintained by the Crillion Corp: Total Outstanding Balance (as of Name of the Bank Account Type Account Number December 10, 2003) Businessvantage HSBC Account 500-000000-000 HK$2,500.00
List of Bank Accounts. 38 Table of Contents (Continued) Governmental Licenses and Permits........................................39 List of Debts and Obligations............................................40
List of Bank Accounts. JPMORGAN CHASE BANK ACCOUNTS Company Accounts Purpose Acount # 1 Gxxxxxxxxxxx.xxx, Inc. Day to Day Operating account ****** 2 Grand Card LLC Grand Card program ****** 3 American Grandparents Association LLC AGA Membership Revenue ****** 4 Grandparents Insurance Solutions LLC Insurance Royalty revenue ******
List of Bank Accounts. 95 SIGNATURE PAGE.......................................................................... 98 THIS CREDIT FACILITIES AGREEMENT is made on 29 March 2001 Between ACT MANUFACTURING (THAILAND) PUBLIC COMPANY LIMITED of 00 Xxx 0, Xx-Xxxx Xxxxxxxxxx Xxxxxx, Xxxxxxx, Bang-Pa-In, Phra Xxxxxx Xx Xxxxxxxxx 00000, Xxxxxxxx (the Borrower); THE THAI FARMERS BANK PUBLIC COMPANY LIMITED of 1 Thai Xxxxxxx Xxxx, Xxxxxxxxx Xxxx, Xxxxxxx 00000, Xxxxxxxx as arranger of the Facilities (the Arranger); THE THAI FARMERS BANK PUBLIC COMPANY LIMITED of 0 Xxxx Xxxxxxx Xxxx, Xxxxxxxxx Xxxx, Xxxxxxx 00000, Xxxxxxxx and BANK OF AYUDHYA PUBLIC COMPANY LIMITED of 0000 Xxxx XXX Xxxx, Xxxxxxxxxxxx, Xxxxxxx, Xxxxxxx 00000, Thailand, as Lenders (the Lenders); BANK OF AYUDHYA PUBLIC COMPANY LIMITED as facility agent for the Lenders; and THE THAI FARMERS BANK PUBLIC COMPANY LIMITED as security agent for the Lenders It is agreed:
List of Bank Accounts. Schedule 3.25 sets forth all bank accounts of the Company and its Subsidiaries.

Related to List of Bank Accounts

  • Location of Bank Accounts Schedule 6.01(v) sets forth a complete and accurate list as of the Effective Date of all deposit, checking and other bank accounts, all securities and other accounts maintained with any broker dealer and all other similar accounts maintained by each Loan Party, together with a description thereof (i.e., the bank or broker dealer at which such deposit or other account is maintained and the account number and the purpose thereof).

  • Establishment of Bank Accounts On or before the Closing Date, the Servicer will establish the following segregated trust accounts at a Qualified Institution (initially the corporate trust department of ), each in the name “ , as Indenture Trustee, as secured party for Ford Credit Auto Owner Trust 20 - “, to be designated as follows:

  • Bank Account Payments shall be made to the Contractor’s bank account denominated in euro, identified as follows: Name of bank: [complete] Address of branch in full: [complete] Exact designation of account holder: [complete] Full account number including codes: [complete] [IBAN code: [complete]]

  • Deposits to the Bank Account 3.1 The Selling Agents shall promptly deliver to the Escrow Agent all monies which they receive from prospective purchasers of the Securities, which monies shall be in the form of checks or wire transfers. Upon the Escrow Agent’s receipt of such monies, they shall be credited to the Escrow Account. All checks delivered to the Escrow Agent shall be made payable to “HIGHTIMES HOLDING CORP.’s. Escrow Account.” Any check payable other than to the Escrow Agent as required hereby shall be returned to the prospective purchaser, or if the Escrow Agent has insufficient information to do so, then to the applicable Selling Agent (together with any Subscription Information, as defined below or other documents delivered therewith) by noon of the next business day following receipt of such check by the Escrow Agent, and such check shall be deemed not to have been delivered to the Escrow Agent pursuant to the terms of this Agreement.

  • Bank Accounts The Custodian shall identify on its books as belonging to the applicable Fund cash (including cash denominated in foreign currencies) deposited with the Custodian. Where the Custodian is unable to maintain, or market practice does not facilitate the maintenance of, cash on the books of the Custodian, a bank account or bank accounts shall be opened and maintained outside the United States on behalf of a Portfolio with a Foreign Sub-Custodian. All accounts referred to in this Section shall be subject only to draft or order by the Custodian (or, if applicable, such Foreign Sub-Custodian) acting pursuant to the terms of this Agreement to hold cash received by or from or for the account of the Portfolio. Cash maintained on the books of the Custodian (including its branches, subsidiaries and affiliates), regardless of currency denomination, is maintained in bank accounts established under, and subject to the laws of, The Commonwealth of Massachusetts.

  • Establishment of the Bank Account 2.1 The Escrow Agent shall establish a non-interest bearing bank account at a branch of XX Xxxxxx Chase selected by the Escrow Agent, and bearing the designation set forth on the Information Sheet (heretofore defined as the “Bank Account”). The purpose of the Bank Account is for (a) the deposit of all subscription monies (checks, or wire transfers) which are received by the Underwriter from prospective purchasers of the Securities and are delivered by the Underwriter to the Escrow Agent, (b) the holding of amounts of subscription monies which are collected through the banking system, and (c) the disbursement of collected funds, all as described herein.

  • Disbursement from the Bank Account 4.1 Subject to 4.3 below, if by the close of regular banking hours on the Termination Date the Escrow Agent determines that the amount in the Fund is less than the Minimum Dollar Amount or the Minimum Securities Amount, as indicated by the Subscription Information submitted to the Escrow Agent, then in either such case, the Escrow Agent shall promptly refund to each prospective purchaser the amount of payment received from such purchaser which is then held in the Fund or which thereafter clears the banking system, without interest thereon or deduction therefrom, by drawing checks on the Bank Account for the amounts of such payments and transmitting them to the purchasers. In such event, the Escrow Agent shall promptly notify the Issuer of its distribution of the Fund.

  • Bank Accounts, etc A true and correct and complete list as of the ------------------- date of this Agreement of all banks, trust companies, savings and loan associations and brokerage firms in which the Company or any Subsidiary has an account or a safe deposit box and the names of all Persons authorized to draw thereon, to have access thereto, or to authorize transactions therein, the names of all Persons, if any, holding powers of attorney from the Company or any Subsidiary and a summary statement as to the terms thereof has been previously delivered to VIALOG.

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