Common use of Monthly Servicer's Reports Clause in Contracts

Monthly Servicer's Reports. The Servicer shall provide monthly reports substantially in the form of Exhibit A hereto to the Indenture Trustee, and the Indenture Trustee shall provide copies of such reports and certificates to the Seller, the Note Insurer, the Noteholders, the Rating Agencies, the Swap Counterparty (unless the Interest Rate Swap Agreement has been terminated and all amounts owed to the Swap Counterparty have been paid in full) and any other Persons, as required under this Agreement, regarding (i) payments received from or on behalf of the Obligors and deposited to the Collection Account (identified in Section 3.03 hereof) representing collections with respect to the Receivables, (ii) other amounts received with respect to the Receivables, including Repurchase Prices, Defaulted Receivable Recoveries and Insurance Proceeds and (iii) other matters relating to the Receivables including delinquencies, repossessions and filing and payment of claims under Insurance Policies. The Servicer shall include information regarding Defaulted Receivables, Events of Default, Repurchased Receivables, Events of Servicing Default, Re-Xxxxxxx Triggers and Accelerated Reserve Fund Events in its monthly report. Such reports shall be delivered to the Indenture Trustee by 11:00 a.m., New York time, on the earlier of ten (10) calendar days following the Determination Date or three (3) Business Days prior to the Transfer Date for such Payment Date.

Appears in 2 contracts

Samples: Servicing Agreement (Capital One Auto Receivables LLC), Servicing Agreement (Capital One Auto Finance Trust 2002-C)

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Monthly Servicer's Reports. The Servicer shall provide monthly reports substantially in the form of Exhibit A hereto to the Indenture Trustee, and the Indenture Trustee shall provide copies of such reports and certificates to the Seller, the Note Insurer, the Noteholders, the Rating Agencies, the Swap Counterparty (unless so long as the Interest Rate Swap Agreement has been terminated and all amounts owed to the Swap Counterparty have been paid in fullClass A-3 Notes are Outstanding) and any other Persons, as required under this Agreement, regarding (i) payments received from or on behalf of the Obligors and deposited to the Collection Account (identified in Section 3.03 hereof) representing collections with respect to the Receivables, (ii) other amounts received with respect to the Receivables, including Repurchase Prices, Defaulted Receivable Recoveries and Insurance Proceeds and (iii) other matters relating to the Receivables including delinquencies, repossessions and filing and payment of claims under Insurance Policies. The Servicer shall include information regarding Defaulted Receivables, Events of Default, Repurchased Receivables, Events of Servicing Default, Re-Xxxxxxx Triggers and Accelerated Reserve Fund Events in its monthly report. Such reports shall be delivered to the Indenture Trustee by 11:00 a.m., New York time, on the earlier of ten (10) calendar days following the Determination Date or three (3) Business Days prior to the Transfer Date for such Payment Date.

Appears in 1 contract

Samples: Servicing Agreement (Capital One Auto Receivables Trust 2001-B)

Monthly Servicer's Reports. The Servicer shall provide monthly reports substantially in the form of Exhibit A hereto to the Indenture Trustee and the Owner Trustee, and the Indenture Trustee shall provide copies of such reports and certificates to the Seller, the Note Insurer, the Noteholders, the Rating Agencies, the Swap Counterparty (unless the Interest Rate Swap Agreement has been terminated and all amounts owed to the Swap Counterparty have been paid in full) and any other Persons, as required under this Agreement, regarding (i) payments received from or on behalf of the Obligors and deposited to the Collection Account (identified in Section 3.03 hereof) representing collections with respect to the Receivables, (ii) other amounts received with respect to the Receivables, including Repurchase Prices, Defaulted Receivable Recoveries and Insurance Proceeds and (iii) other matters relating to the Receivables including delinquencies, repossessions and filing and payment of claims under Insurance Policies. The Servicer shall include information regarding Defaulted Receivables, Events of Default, Repurchased Receivables, Events of Servicing Default, Re-Xxxxxxx Triggers and Accelerated Reserve Fund Events in its monthly report. Such reports shall be delivered to the Indenture Trustee by 11:00 a.m., New York time, on the earlier of ten (10) calendar days following the Determination Date or three (3) Business Days prior to the Transfer Date for such Payment Date.

Appears in 1 contract

Samples: Servicing Agreement (Capital One Auto Receivables LLC)

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Monthly Servicer's Reports. The Servicer shall provide monthly reports substantially in the form of Exhibit A hereto to the Indenture Trustee, and the Indenture Trustee shall provide copies of such reports and certificates to the Seller, the Note Insurer, the Noteholders, the Rating Agencies, the Swap Counterparty (unless the Interest Rate Swap Agreement has been terminated and all amounts owed to the Swap Counterparty have been paid in full) Agencies and any other Persons, as required under this Agreement, regarding (i) payments received from or on behalf of the Obligors and deposited to the Collection Account (identified in Section 3.03 hereof) representing collections with respect to the Receivables, (ii) other amounts received with respect to the Receivables, including Repurchase Prices, Defaulted Receivable Recoveries and Insurance Proceeds and (iii) other matters relating to the Receivables including delinquencies, repossessions and filing and payment of claims under Insurance Policies. The Servicer shall include information regarding Defaulted Receivables, Events of Default, Repurchased Receivables, Events of Servicing Default, Re-Xxxxxxx Triggers and Accelerated Reserve Fund Events in its monthly report. Such reports shall be delivered to the Indenture Trustee by 11:00 a.m., New York time, on the earlier of ten (10) calendar days following the Determination Date or three (3) Business Days prior to the Transfer Date for such Payment Date.

Appears in 1 contract

Samples: Servicing Agreement (Capital One Auto Finance Trust 2002-A)

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