Location of Bank Accounts Sample Clauses

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).
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Location of Bank Accounts. Schedule 9.19 sets forth a complete and accurate list as of the Closing Date of all deposit, checking, and other bank accounts, all securities and other accounts maintained with any broker dealer or other securities intermediary, and all other similar accounts maintained by each Loan Party, together with a description thereof (including the bank, broker dealer, or securities intermediary at which each such account is maintained and the account number and the purpose thereof).
Location of Bank Accounts. Schedule 7.21 hereto sets forth a complete and accurate list as of the Entry Date of all deposit and other accounts, including the Cash Concentration Account and all Depository Accounts, maintained by the Borrower and its Subsidiaries together with a description thereof (i.e. the bank at which such deposit or other account is maintained and the account number and the purpose thereof).
Location of Bank Accounts. Schedule 4.1(m) sets forth a complete and accurate list as of the date hereof 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 the Issuer or any of its Subsidiaries, 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).
Location of Bank Accounts. 52 6.28 No Event of Default ............................................. 52 6.29 Capitalized Leases .............................................. 52 6.30 Tradenames ...................................................... 52 6.31 Solvency ........................................................ 53 6.32 Inventory ....................................................... 53 6.33
Location of Bank Accounts. Schedule 3.21, as amended from time to time by Borrower Representative (by delivery of a revised Schedule 3.21 to Agent), sets forth a complete and accurate list 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 Credit 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). No Credit Party maintains any other accounts other than those set forth on Schedule 3.21.
Location of Bank Accounts. Promptly upon the establishment thereof, inform the Administrative Agent of the location and purpose of each bank account of the Credit Parties.
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Location of Bank Accounts. Schedule 6.27 hereto sets forth a complete and accurate list as of the Closing Date of all deposit and other accounts, including all Cash Concentration Accounts and all Depository Accounts (in each case designated as such), maintained by the Borrower and its Subsidiaries together with a description thereof (i.e. the bank at which such deposit or other account is maintained and the account number and the purpose thereof).
Location of Bank Accounts. Schedule 6.01(cc) hereto sets forth a complete and accurate list of all deposit and other accounts maintained by the Companies and their Subsidiaries (including the Cash Concentration Account and all Depository Accounts of the Borrower) together with a description thereof (i.e. the bank at which such deposit or other account is maintained and the account number and the purpose thereof).
Location of Bank Accounts. Schedule 6.01(v) sets forth a complete and accurate list of all Deposit Accounts and Securities Accounts of the Credit Parties as of the Closing Date or the date of the most recent update to such schedule, together with a description thereof (i.e., the bank or securities firm at which such Deposit Account or Securities Account is maintained and the account number and the purpose thereof). Except to the extent specified in Schedule 6.01(v) or as specified in SECTION 9.15, and subject to SECTION 8.21, the Collateral Agent has a control agreement for each such Deposit Account or Securities Account.
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