Payments to the Transferor. The Servicer shall on each Deposit Date withdraw from the Collection Account and pay to the Holders of the Transferor Certificates the following amounts:
Payments to the Transferor. The Servicer shall on each Deposit Date direct the Indenture Trustee to withdraw from the Collection Account and pay to the Holders of the Transferor Certificates (or to the Successor Servicer to the extent that the Successor Servicer is owed Transition Expenses after the application of Section 4.04(a)):
Payments to the Transferor. The Servicer shall on Deposit Dates pay to the Holder of the Transferor Security the following amounts: (i) an amount equal to the Transferor Percentage for the related Monthly Period of Series 1998-3 Allocable Finance Charge Collections; and (ii) an amount equal to the Transferor Percentage for the related Monthly Period of Series 1998-3 Allocable Principal Collections, if the Transferor Amount (determined after giving effect to any Principal Receivables transferred to the Trust on such Deposit Date) exceeds the Required Transferor Amount. The withdrawals to be made from the Collection Account pursuant to this subsection 4.1(b) do not apply to deposits into the Collection Account that do not represent Collections, including payment of the purchase price for the Securityholders' Interest pursuant to Section 2.6 or 10.1 of the Agreement, payment of the purchase price for the Series 1998-3 Securityholders' Interest pursuant to Section 7.1 of this Supplement and proceeds from the sale, disposition or liquidation of Receivables pursuant to Section 9.1 or 12.2 of the Agreement. (c) Allocations to the Series 1998-3
Payments to the Transferor. The Servicer shall on Deposit -------------------------- Dates withdraw from the Collection Account and, after giving effect to the deposit into the Special Funding Account, pay to the Owner Trustee for distribution in accordance with the Trust Agreement the following amounts:
Payments to the Transferor. The Servicer shall on the first Business Day of each calendar week, upon satisfaction of the Weekly Release Conditions, withdraw from the Collection Account and pay to the Holders of the Transferor Certificates the following amounts:
Payments to the Transferor. (a) ----------- (a) Collections of Non-Principal Receivables and Principal Receivables, Miscellaneous Payments and Defaulted Amounts, as they relate to Series (_), shall be allocated and distributed as set forth in this Article.
Payments to the Transferor. The Servicer shall on any Business Day requested by the Transferor, upon satisfaction of the Release Conditions, withdraw from the Collection Account and pay to the Holders of the Transferor Certificates the following amounts: