MASTER SERVICER'S CERTIFICATE. Section 4.01 Master Servicer's Certificate. Each month, not later than 12:00 noon Eastern time on the 18th calendar day of such month (or if such day is not a Business Day, the following Business Day), the Master Servicer shall deliver to the Securities Administrator, a Master Servicer's Certificate based solely on the information provided by the Servicers (in substance and format mutually acceptable to the Master Servicer and the Securities Administrator) certified by a Master Servicing Officer setting forth the information necessary in order for the Securities Administrator to perform its obligations under this Agreement. The Securities Administrator may conclusively rely upon the information contained in a Master Servicer's Certificate delivered by the Master Servicer for all purposes hereunder and shall have no duty to verify or re-compute any of the information contained therein.
MASTER SERVICER'S CERTIFICATE. Section 4.01 Master Servicer's Certificate................................
MASTER SERVICER'S CERTIFICATE. No later than 10:00 a.m. Central time on each Determination Date, the Master Servicer shall deliver, or cause to be delivered, to the Indenture Trustee and the Owner Trustee, a Master Servicer's Certificate executed by a responsible officer or agent of the Master Servicer containing among other things, all information necessary to enable the Indenture Trustee to make the allocations required by Section 5.5 and the distributions with respect to such Distribution Date pursuant to each Series Supplement. Upon request, the Master Servicer will also provide a listing of all Warranty Receivables and Covenant Receivables repurchased as of the related Determination Date, identifying the Receivables so purchased. Such list will identify Receivables repurchased by the Master Servicer or by the Seller on the related Determination Date and each Receivable which became a Liquidated Receivable or which was paid in full during the related Collection Period by account number. In addition to the information set forth in the preceding sentence, the Master Servicer's Certificate shall also contain the information required by any Series Supplement.
MASTER SERVICER'S CERTIFICATE. No later than 10:00 a.m. Central time on each Determination Date, the Master Servicer shall deliver, and cause to be delivered via access to its or its Affiliate’s web-site address, to the Insurer, the Indenture Trustee and the Owner Trustee, a Master Servicer’s Certificate executed by a responsible officer or agent of the Master Servicer containing among other things, all information necessary to enable the Indenture Trustee to give any notice required by Section 3.03(c) of the Series Supplement and make the distributions with respect to the related Distribution Date pursuant to the Series Supplement. In addition to the information set forth in the preceding sentence, the Master Servicer’s Certificate shall also contain the information required by the Series Supplement.
MASTER SERVICER'S CERTIFICATE. On or before each Determination Date, the Master Servicer shall deliver to the Depositor, the Seller, the Swap Counterparty and the Trustees, a Master Servicer’s Certificate containing all information necessary to make the transfers and distributions required by Sections 4.01, 4.02, 4.07 and 4.08 in respect of the related Collection Period and the related Distribution Date and all information necessary for the Trustees, as applicable, to send (or provide access to via the internet) statements to Securityholders pursuant to Section 4.10 and pursuant to Section 6.06 of the Indenture. The Master Servicer shall also specify to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall separately identify (by account number) in a written notice to the Depositor and the Trustees, the Receivables to be repurchased by the Seller or purchased by the Master Servicer, as the case may be, on the related Deposit Date and, upon request of one of the foregoing parties, each Receivable that became a Defaulted Receivable during the related Collection Period.
MASTER SERVICER'S CERTIFICATE. On each Determination Date, the Master Servicer shall deliver to the Owner Trustee, the Trustee and the Seller, with a copy to the Rating Agencies, a Master Servicer's Certificate containing all information necessary to make the distributions pursuant to Sections 4.5 and 4.6 for the Due Period preceding the date of such Master Servicer's Certificate. Mortgage Loans to be purchased by the Master Servicer or to be repurchased by the Seller shall be identified by the Master Servicer by account number with respect to such Mortgage Loan (as specified in Exhibit A).
MASTER SERVICER'S CERTIFICATE. SECTION 4.01. Master Servicer's Certificate. Each month, not later than 12:00 noon Eastern time on the Business Day following each Determination Date, the Master Servicer shall deliver to the Trustee, a Master Servicer's Certificate (in substance and format mutually acceptable to the Master Servicer and the Trustee) certified by a Servicing Officer. The Trustee may conclusively rely upon the information contained in a Master Servicer's Certificate for all purposes hereunder and shall have no duty to verify or re-compute any of the information contained therein. Such statement shall be provided by the Trustee to any Holder of a Certificate upon request and shall also, to the extent available, include information regarding delinquencies on Mortgage Loans, indicating the number and aggregate principal amount of Mortgage Loans which are either one, two, three or more than three months delinquent and the book value of any REO Property.
MASTER SERVICER'S CERTIFICATE. Not later than 12:00 p.m. (New York City time) on each Determination Date, the Master Servicer shall deliver to the Owner Trustee, the Indenture Trustee and the Depositor, with a copy to each Rating Agency and the Underwriters, a Master Servicer's Certificate containing all information necessary to make the distributions to be made on the related Payment Date pursuant to Section 5.06 for the related Collection Period and any other information the Indenture Trustee may reasonably request. Such Master Servicer's Certificate shall be certified by a Responsible Officer of the Master Servicer that the information provided is complete and no Master Servicer Termination Event has occurred. With respect to each Collection Period, Receivables to be purchased by the Master Servicer or to be repurchased by the Seller and each Receivable that became a Liquidated Receivable, in each case, during such Collection Period shall be identified by the Master Servicer by account number with respect to such Receivable (as specified in the Schedule of Receivables).
MASTER SERVICER'S CERTIFICATE. No later than 10:00 a.m. Central time on each Determination Date, the Master Servicer shall deliver, and cause to be delivered via access to its or its Affiliate’s web-site address, to the Rating Agencies, the Indenture Trustee, the Administrator and the Owner Trustee, a Master Servicer’s Certificate executed by a responsible officer or agent of the Master Servicer containing among other things, all information necessary to enable the Administrator to make the distributions with respect to the related Distribution Date pursuant to the Series Supplement. In addition to the information set forth in the preceding sentence, the Master Servicer’s Certificate shall also contain the information required by the Series Supplement.
MASTER SERVICER'S CERTIFICATE. Each month, not later than 12:00 noon Eastern time on the 18th calendar day of such month (or if such day is not a Business Day, the following Business Day), the Master Servicer shall deliver to the Securities Administrator, a Master Servicer's Certificate based solely on the information provided by the Servicers (in substance and format mutually acceptable to the Master Servicer and the Securities Administrator) certified by a Master Servicing Officer setting forth the information necessary in order for the Securities Administrator to perform its obligations under this Agreement. The Securities Administrator may conclusively rely upon the information contained in a Master Servicer's Certificate delivered by the Master Servicer for all purposes hereunder and shall have no duty to verify or re-compute any of the information contained therein.