Monthly Status Reports. Furnish to the Agent, on a monthly basis on each Payment Date, a monthly report in the form of Exhibit B hereto (which report shall have attached thereto a copy of the Servicer's Certificate delivered pursuant to the Pooling Agreement for the related Collection Period) and such other information with respect to the Trust's property as the Agent may reasonably request (including a copy of the monthly statements with respect to the Cash Collateral Account furnished by the holder thereof (if other than the Trust Depositor, the Servicer or an Affiliate thereof) and information relating to the source and amount of any prepayment of the Loans pursuant to Section 2.02(c) or (d)).
Appears in 8 contracts
Samples: Loan Agreement (Cit Equipment Collateral 2001-1), Loan Agreement (Cit Equipment Collateral 2003-Vt1), Loan Agreement (NCT Funding Co LLC)