Reports by the Collateral Agent Sample Clauses

Reports by the Collateral Agent. The Collateral Agent shall report to the Seller, Financial Security, the Trustee and the Servicer on a monthly basis no later than each Distribution Date with respect to the amount on deposit in each Spread Account and the identity of the investments included therein as of the last day of the related Monthly Period, and shall provide accountings of deposits into and withdrawals from the Spread Accounts, and of the investments made therein, to the independent accountants upon their request for purposes of their reports pursuant to Section 3.11 of the Pooling and Servicing Agreements and Section 3.11 of the Sale and Servicing Agreements.
Reports by the Collateral Agent. The Collateral Agent shall report to the Issuer, the Insurer, the Trustee (unless the Trustee is the same party as the Collateral Agent), the Trust Collateral Agent and the Servicer, on a monthly basis no later than each Distribution Date, the amount on deposit in the Spread Account and the identity of the investments included therein as of the last day of the related Collection Period, and shall provide accountings of deposits into and withdrawals from the Spread Account, and of the investments made therein, upon the request of the Issuer, the Insurer or the Servicer.
Reports by the Collateral Agent. The Collateral Agent shall report to the Issuer, the Insurer, the Trustee (unless the Trustee is the same party as the Collateral Agent), the Trust Collateral Agent (unless the Trust Collateral Agent is the same party as the Collateral Agent) and the Servicer, on a monthly basis no later than each Distribution Date, the amount on deposit in the Spread Account and the identity of the investments included therein as of the last day of the related Collection Period, and shall provide accountings of deposits into and withdrawals from the Spread Account, and of the investments made therein, upon the request of the Issuer, the Insurer or the Servicer.
Reports by the Collateral Agent. The Collateral Agent shall report to the Trust Depositor, the Trustee and the Servicer on a monthly basis no later than each Payment Date with respect to the amount on deposit in each Account and the identity of the investments included therein as of the last day of the related Due Period. The Collateral Agent shall provide accountings of deposits into and withdrawals from the Accounts, and of the investments made therein, upon the written request of the Trustee, Servicer and the Trust Depositor.
Reports by the Collateral Agent. The Collateral Agent shall report to the Administrative Agent, Financial Security and the Seller on a monthly basis no later than each Determination Date with respect to the amount on deposit in each RCCA, the earnings on such amount for the period and the identity of the investments included therein as of the last day of the related Monthly Period.
Reports by the Collateral Agent. 10 ARTICLE IV