Payment Instruction to Master Trust. Promptly after the receipt by the Issuer of each Monthly Servicer’s Certificate under the applicable Series Supplement, the Issuer will, in cooperation with the Servicer, complete the Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
(a) From time to time, the Issuer will notify the Servicer of the information necessary to be provided by the Issuer under the applicable section of the applicable Pooling and Servicing Agreement as supplemented by any Series Supplement to calculate the Invested Amount of the Collateral Certificate issued under that Pooling and Servicing Agreement.
Payment Instruction to Master Trust. (a) Promptly after the receipt by the Issuing Entity of each Monthly Servicer’s Certificate under the applicable Series Supplement, the Issuing Entity will, in cooperation with the Servicer, complete an applicable Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
(b) From time to time, the Issuing Entity will notify the Servicer of the information necessary to be provided by the Issuing Entity under the applicable section of the applicable Pooling and Servicing Agreement as supplemented by any Series Supplement to calculate the Invested Amount of the Collateral Certificate issued under such Pooling and Servicing Agreement.
Payment Instruction to Master Trust. Promptly after the receipt by the Issuer of each Monthly Servicer's Certificate under the Series 2005-CC Supplement, the Issuer will, in cooperation with the Servicer of the Master Trust, complete the Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
Payment Instruction to Master Trust. In connection with the delivery of each Monthly Servicer’s Certificate under the Series 2001-D Supplement, the Servicer will, in cooperation with and based on information provided to it by the Issuer and the Beneficiary, complete the Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
Payment Instruction to Master Trust. (a) Promptly after the receipt by the Issuer of each Monthly Servicer’s Certificate under the Series 2004-MC Supplement, the Issuer shall, in cooperation with the Servicer of the Master Trust, complete the Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
(b) From time to time, the Issuer shall notify the Servicer under the Series 2004-MC Supplement of the information necessary to be provided by the Issuer under Section 5.2 of the Pooling and Servicing Agreement as supplemented by the Series 2004-MC Supplement to calculate the Investor Interest and the Principal Allocation Investor Interest of the Collateral Certificate.
Payment Instruction to Master Trust. (a) Promptly after the receipt by the Issuer of each Monthly Servicer's Certificate under the Series 2002-CC Supplement, the Issuer will, in cooperation with the Servicer, complete the Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
(b) From time to time, the Issuer will notify the Servicer of the information necessary to be provided by the Issuer under the applicable section of the COMT Pooling and Servicing Agreement as supplemented by the Series 2002-CC Supplement to calculate the Invested Amount of the COMT Collateral Certificate.
Payment Instruction to Master Trust. (a) Promptly after the receipt by the Issuer of each Monthly Servicer's Certificate under the Series Supplement, the Issuer will, in cooperation with the Servicer of the Master Trust, complete the Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
(b) From time to time, the Issuer will notify the Servicer under the Series Supplement of the information necessary to be provided by the Issuer under the Pooling and Servicing Agreement as supplemented by the Series Supplement to calculate the various amounts required under the Pooling and Servicing Agreement with respect to the Collateral Certificate.
Payment Instruction to Master Trust. (a) Promptly after the receipt by the Issuer of each Monthly Servicer's Certificate under the Supplement, the Issuer will, in cooperation with the Servicer, complete the Payment Instruction and deliver a copy thereof to the Indenture Trustee and the Master Trust Trustee.
(b) From time to time, the Issuer will notify the Servicer of the information necessary to be provided by the Issuer under the applicable section of the Pooling and Servicing Agreement as supplemented by the Supplement to calculate the Invested Amount of the COMT Collateral Certificate.