Payment by Issuer. Subject to clause 3.8, the Issuer must on each Quarterly Distribution Date, pay to or to the order of the Principal Paying Agent to an account specified by the Principal Paying Agent in same day funds:
Appears in 3 contracts
Samples: Agency Agreement (Securitisation Advisory Services Pty LTD), Agency Agreement (Securitisation Advisory Services Pty LTD), Agency Agreement (Securitisation Advisory Services Pty LTD)
Payment by Issuer. Subject to clause 3.8, the Issuer must on each Quarterly Distribution Date, pay to or to the order of the Principal Paying Agent to an account specified by the Principal Paying Agent in same day funds:
Appears in 2 contracts
Samples: Agency Agreement (Securitisation Advisory Services Pty LTD), Agency Agreement (Securitisation Adv Serv Medallion Trust Series 2004-1g)