Remittance of Issuer Sales Tax Revenues to Trustee; Deposit Into Escrow Fund Sample Clauses

Remittance of Issuer Sales Tax Revenues to Trustee; Deposit Into Escrow Fund. The Issuer hereby directs, and the State Treasurer hereby covenants and agrees, that all Issuer Sales Tax Revenues collected and credited to the appropriate funds pursuant to Section 2.01 shall be remitted monthly by not later than the last Business Day of each calendar month directly to the Trustee for deposit in the Escrow Fund.
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Related to Remittance of Issuer Sales Tax Revenues to Trustee; Deposit Into Escrow Fund

  • Remittance of Dues The Employer shall electronically transmit to the Union on the first bank working day after each payday all dues deducted for that pay period in those bargaining units for which the Union is the exclusive bargaining representative.

  • Payment of Debt or Delinquency to the State Pursuant to §§2107.008 and 2252.903, Texas Government Code, Contractor agrees any payments owing to Contractor under this Agreement may be applied directly toward any debt or delinquency Contractor owes the State of Texas or any agency of the State of Texas, regardless of when it arises, until paid in full.

  • Dues Remittance The amounts deducted under Article 6.1(a) will be remitted monthly to the Association no later than the twentieth (20th) day of the following month. The Employer will subtract any sum to be paid to charitable organizations prior to each monthly remittance to the Association. The Association will advise the Employer in writing one (1) month in advance of any changes in the amount of regular monthly dues. The Employer will inform the Association of the names and ranks of the Members from whose salaries deductions have been made and the amounts so deducted from every Member's salary, on a monthly basis.

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