MAINTENANCE OF RECORDS; INSPECTION OF ASSET FILES. (a) The Servicer shall retain all data relating directly to or maintained in connection with the servicing of the Assets for any Series at the address of the Servicer set forth in Section 11.04 hereof or at such other place where the servicing offices of the Servicer are located. The Servicer shall permit the Trustee or any authorized agent of the Trustee reasonable access, upon prior written notice to the Servicer, during the Servicer's normal business hours, to the Asset Files, the Servicer Files, and the Servicer's other records, if any, relating to the Assets for any related Series. Any such examination of such files or records will be conducted in a manner that does not unreasonably interfere with the Servicer's normal operations or customer or employee relations. Without otherwise limiting the scope of the examination the Trustee may make, the Trustee or its authorized agents, using generally accepted audit procedures, may in their discretion verify the status of each Asset and review the records relating thereto for conformity to Remittance Reports prepared pursuant to Article IV hereof and compliance with the standards represented to exist as to each Asset in the Pooling and Servicing Agreement. (b) At all times during the term hereof, the Servicer shall keep available a copy of the Asset Schedule at its principal executive office for inspection by Certificateholders. (c) On or before the date of the Servicer's delivery of the Remittance Report to the Trustee in any month, the Servicer will, upon the written request of the Trustee, provide to the Trustee a list of outstanding Assets, setting forth the Scheduled Principal Balance of each such Asset as of the preceding Distribution Date. (d) Notwithstanding the provisions of this Section 3.02, the Trustee shall at no time have any duty or obligation to examine any records of the Servicer or to recalculate or otherwise verify the accuracy of any certificate or report prepared by the Servicer, and no implied duty to do so shall be asserted against the Trustee. (e) On or before the Closing Date for a Series, the Servicer shall deliver to the Trustee a list of Officers of the Servicer (each a "Servicing Officer") involved in, or responsible for, the administration and servicing of the Assets underlying such Series, which list shall be amended from time to time as necessary by the Servicer by delivery of an amended list of Servicing Officers to the Trustee.
Appears in 6 contracts
Samples: Pooling and Servicing Agreement (Deutsche Financial Capital Securitization LLC), Pooling and Servicing Agreement (Oakwood Mortgage Investors Inc), Pooling and Servicing Agreement (Oakwood Mortgage Investors Inc)
MAINTENANCE OF RECORDS; INSPECTION OF ASSET FILES. (a) The Servicer shall retain all data relating directly to or maintained in connection with the servicing of the Assets for any Series at the address of the Servicer set forth in Section 11.04 hereof or at such other place where the servicing offices of the Servicer are located. The Servicer shall permit the Trustee or any authorized agent of the Trustee reasonable access, upon reasonable prior written notice to the Servicer, during the Servicer's normal business hours, to the Asset Files, the Servicer Files, and the Servicer's other records, if any, relating to the Assets for any related Series. Any such examination of such files or records will be conducted in a manner that does not unreasonably interfere with the Servicer's normal operations or customer or employee relations. Without otherwise limiting the scope of the examination the Trustee may make, the Trustee or its authorized agents, using generally accepted audit procedures, may in their discretion verify the status of each Asset and review the records relating thereto for conformity to Remittance Reports prepared pursuant to Article IV hereof and compliance with the standards represented to exist as to each Asset in the Pooling and Servicing Agreement.
(b) At all times during the term hereof, the Servicer shall keep available a copy of the Asset Schedule at its principal executive office for inspection by Certificateholders.
(c) On or before the date of the Servicer's delivery of the Remittance Report to the Trustee in any month, the Servicer will, upon the written request of the Trustee, provide to the Trustee a list of outstanding Assets, setting forth the Scheduled Principal Balance of each such Asset as of the preceding Distribution Date.
(d) Notwithstanding the provisions of this Section 3.02, the Trustee shall at no time have any duty or obligation to examine any records of the Servicer or to recalculate or otherwise verify the accuracy of any certificate or report prepared by the Servicer, and no implied duty to do so shall be asserted against the Trustee.
(e) On or before the Closing Date for a Series, the Servicer shall deliver to the Trustee a list of Officers of the Servicer (each a "Servicing Officer") involved in, or responsible for, the administration and servicing of the Assets underlying such Series, which list shall be amended from time to time as necessary by the Servicer by delivery of an amended list of Servicing Officers to the Trustee.
Appears in 4 contracts
Samples: Pooling and Servicing Agreement (Bombardier Capital Mortgage Securitization Corp), Pooling and Servicing Agreement (Bombardier Capital Mortgage Securitization Corp), Pooling and Servicing Agreement (Bombardier Capital Mortgage Securitization Corp)
MAINTENANCE OF RECORDS; INSPECTION OF ASSET FILES. (a) The Master Servicer shall retain all data relating directly to or maintained in connection with the servicing of the Assets for any Series at the address of the Master Servicer set forth in Section 11.04 hereof or at such other place where the servicing offices of the Master Servicer are located. The Master Servicer shall permit the Trustee or any authorized agent of the Trustee reasonable access, upon prior written notice to the Master Servicer, during the Master Servicer's normal business hours, to the Asset Files, the Master Servicer Mortgage Loan Files, and the Master Servicer's other records, if any, relating to the Assets for any related Series. Any such examination of such files or records will be conducted in a manner that does not unreasonably interfere with the Master Servicer's normal operations or customer or employee relations. Without otherwise limiting the scope of the examination the Trustee may make, the Trustee or its authorized agents, using generally accepted audit procedures, may in their discretion verify the status of each Asset and review the records relating thereto for conformity to Remittance Reports prepared pursuant to Article IV hereof and compliance with the standards represented to exist as to each Asset in the Pooling and Servicing Agreement.
(b) At all times during the term hereof, the Master Servicer shall keep available a copy of the Asset Schedule at its principal executive office for inspection by Certificateholders.
(c) On or before the date of the Master Servicer's delivery of the Remittance Report to the Trustee in any month, the Master Servicer will, upon the written request of the Trustee, provide to the Trustee a list of outstanding Assets, setting forth the Scheduled Principal Balance of each such Asset as of the end of the Collection Period relating to the preceding Distribution Date.
(d) Notwithstanding the provisions of this Section 3.02, the Trustee shall at no time have any duty or obligation to examine any records of the Master Servicer or to recalculate or otherwise verify the accuracy of any certificate or report prepared by the Master Servicer, and no implied duty to do so shall be asserted against the Trustee.
(e) On or before the Closing Date for a Series, the Master Servicer shall deliver to the Trustee a list of Officers of the Master Servicer (each a "Servicing Officer") involved in, or responsible for, the administration and servicing of the Assets underlying such Series, which list shall be amended from time to time as necessary by the Master Servicer by delivery of an amended list of Servicing Officers to the Trustee.
Appears in 2 contracts
Samples: Pooling and Servicing Agreement (Union Planters Home Equity Corp), Pooling and Servicing Agreement (Union Planters Mortgage Finance Corp)
MAINTENANCE OF RECORDS; INSPECTION OF ASSET FILES. (a) The Servicer shall retain all data relating directly to or maintained in connection with the servicing of the Assets for any Series at the address of the Servicer set forth in Section 11.04 hereof or at such other place where the servicing offices of the Servicer are located. The Servicer shall permit the Trustee or any authorized agent of the Trustee reasonable access, upon reasonable prior written notice to the Servicer, during the Servicer's normal business hours, to the Asset Files, the Servicer Files, and the Servicer's other records, if any, relating to the Assets for any related Series. Any such examination of such files or records will be conducted in a manner that does not unreasonably interfere with the Servicer's normal operations or customer or employee relations. Without otherwise limiting the scope of the examination the Trustee may make, the Trustee or its authorized agents, using generally accepted audit procedures, may in their discretion verify the status of each Asset and review the records relating thereto for conformity to Remittance Reports prepared pursuant to Article IV hereof and compliance with the standards represented to exist as to each Asset in the Pooling and Servicing Agreement.
(b) At all times during the term hereof, the Servicer shall keep available a copy of the Asset Schedule at its principal executive office for inspection by Certificateholders.
(c) On or before the date of the Servicer's delivery of the Remittance Report to the Trustee in any month, the Servicer will, upon the written request of the Trustee, provide to the Trustee a list of outstanding Assets, setting forth the Scheduled Principal Balance of each such Asset as of the preceding Distribution Date.
(d) Notwithstanding the provisions of this Section 3.02, the Trustee shall at no time have any duty or obligation to examine any records of the Servicer or to recalculate or otherwise verify the accuracy of any certificate or report prepared by the Servicer, and no implied duty to do so shall be asserted against the Trustee.
(e) On or before the Closing Date for a Series, the Servicer shall deliver to the Trustee a list of Officers of the Servicer (each a "Servicing Officer") involved in, or responsible for, the administration and servicing of the Assets underlying such Series, which list shall be amended from time to time as necessary by the Servicer by delivery of an amended list of Servicing Officers to the Trustee.
Appears in 1 contract
Samples: Pooling and Servicing Agreement (Bombardier Capital Mortgage Securitization Corp)
MAINTENANCE OF RECORDS; INSPECTION OF ASSET FILES. (a) The Master Servicer shall retain all data relating directly to or maintained in connection with the servicing of the Assets for any Series at the address of the Master Servicer set forth in Section 11.04 hereof or at such other place where the servicing offices of the Master Servicer are located. The Master Servicer shall permit the Trustee or any authorized agent of the Trustee reasonable access, upon prior written notice to the Master Servicer, during the Master Servicer's ’s normal business hours, to the Asset Files, the Master Servicer Mortgage Loan Files, and the Master Servicer's ’s other records, if any, relating to the Assets for any related Series. Any such examination of such files or records will be conducted in a manner that does not unreasonably interfere with the Master Servicer's ’s normal operations or customer or employee relations. Without otherwise limiting the scope of the examination the Trustee may make, the Trustee or its authorized agents, using generally accepted audit procedures, may in their discretion verify the status of each Asset and review the records relating thereto for conformity to Remittance Reports prepared pursuant to Article IV hereof and compliance with the standards represented to exist as to each Asset in the Pooling and Servicing Agreement.
(b) At all times during the term hereof, the Master Servicer shall keep available a copy of the Asset Schedule at its principal executive office for inspection by Certificateholders.
(c) On or before the date of the Master Servicer's ’s delivery of the Remittance Report to the Trustee in any month, the Master Servicer will, upon the written request of the Trustee, provide to the Trustee a list of outstanding Assets, setting forth the Scheduled Principal Balance of each such Asset as of the preceding Distribution Date.
(d) Notwithstanding the provisions of this Section 3.02, the Trustee shall at no time have any duty or obligation to examine any records of the Master Servicer or to recalculate or otherwise verify the accuracy of any certificate or report prepared by the Master Servicer, and no implied duty to do so shall be asserted against the Trustee.
(e) On or before the Closing Date for a Series, the Master Servicer shall deliver to the Trustee a list of Officers of the Master Servicer (each a "“Servicing Officer"”) involved in, or responsible for, the administration and servicing of the Assets underlying such Series, which list shall be amended from time to time as necessary by the Master Servicer by delivery of an amended list of Servicing Officers to the Trustee.
Appears in 1 contract
Samples: Pooling and Servicing Agreement (Residential Resources Inc)
MAINTENANCE OF RECORDS; INSPECTION OF ASSET FILES. (a) The Master Servicer shall retain all data relating directly to or maintained in connection with the servicing of the Assets for any Series at the address of the Master Servicer set forth in Section 11.04 hereof or at such other place where the servicing offices of the Master Servicer are located. The Master Servicer shall permit the Trustee or any authorized agent of the Trustee reasonable access, upon prior written notice to the Master Servicer, during the Master Servicer's normal business hours, to the Asset Files, the Master Servicer Mortgage Loan Files, and the Master Servicer's other records, if any, relating to the Assets for any related Series. Any such examination of such files or records will be conducted in a manner that does not unreasonably interfere with the Master Servicer's normal operations or customer or employee relations. Without otherwise limiting the scope of the examination the Trustee may make, the Trustee or its authorized agents, using generally accepted audit procedures, may in their discretion verify the status of each Asset and review the records relating thereto for conformity to Remittance Reports prepared pursuant to Article IV hereof and compliance with the standards represented to exist as to each Asset in the Pooling and Servicing Agreement.
(b) At all times during the term hereof, the Master Servicer shall keep available a copy of the Asset Schedule at its principal executive office for inspection by Certificateholders.
(c) On or before the date of the Master Servicer's delivery of the Remittance Report to the Trustee in any month, the Master Servicer will, upon the written request of the Trustee, provide to the Trustee a list of outstanding Assets, setting forth the Scheduled Principal Balance of each such Asset as of the preceding Distribution Date.
(d) Notwithstanding the provisions of this Section 3.02, the Trustee shall at no time have any duty or obligation to examine any records of the Master Servicer or to recalculate or otherwise verify the accuracy of any certificate or report prepared by the Master Servicer, and no implied duty to do so shall be asserted against the Trustee.
(e) On or before the Closing Date for a Series, the Master Servicer shall deliver to the Trustee a list of Officers of the Master Servicer (each a "Servicing Officer") involved in, or responsible for, the administration and servicing of the Assets underlying such Series, which list shall be amended from time to time as necessary by the Master Servicer by delivery of an amended list of Servicing Officers to the Trustee.
Appears in 1 contract
Samples: Pooling and Servicing Agreement (Union Planters Mortgage Finance Corp)