Remittance Date Statements. On or before each Remittance Date, the Servicer will prepare and furnish to the First Issuer and the Bond Trustee a statement setting forth the aggregate amount remitted or to be remitted by the Servicer to the Bond Trustee for deposit on such Remittance Date pursuant to ss.5.10 of the Servicing Agreement and the Indenture.
Appears in 3 contracts
Samples: Master Servicing Agreement (Peco Energy Transition Trust), Master Servicing Agreement (Peco Energy Transition Trust), Master Servicing Agreement (Peco Energy Transition Trust)
Remittance Date Statements. On or before each Remittance Date, the Servicer will prepare and furnish to the First Issuer and the Bond Trustee a statement setting forth the aggregate amount remitted or to be remitted by the Servicer to the Bond Trustee for deposit on such Remittance Date pursuant to ss.5.10 Section 5.10 of the Servicing Agreement and the Indenture.
Appears in 3 contracts
Samples: Servicing Agreement (West Penn Power Co), Servicing Agreement (West Penn Funding LLC), Servicing Agreement (West Penn Funding LLC)
Remittance Date Statements. On or before each Remittance -------------------------- Date, the Servicer will prepare and furnish to the First Issuer and the Bond Trustee a statement setting forth the aggregate amount remitted or to be remitted by the Servicer to the Bond Trustee for deposit on such Remittance Date pursuant to ss.5.10 Section 5.10 of the Servicing Agreement and the Indenture.
Appears in 1 contract
Remittance Date Statements. On or before each Remittance Date, the Servicer will prepare and furnish to the First Issuer and the Bond Trustee a statement setting forth the aggregate amount remitted or to be remitted by the Servicer to the Bond Trustee for deposit on such Remittance Date pursuant to ss.5.10 of the Servicing Agreement and the Indenture.
Appears in 1 contract
Samples: Master Servicing Agreement (Peco Energy Transition Trust)