Common use of Reports by the Collateral Agent Clause in Contracts

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.

Appears in 9 contracts

Samples: Spread Account Agreement (United Pan Am Financial Corp), Spread Account Agreement (AFS SenSub Corp.), Spread Account Agreement (AmeriCredit Automobile Receivables Trust 2004-C-A)

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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, Servicer on a monthly basis no later than each Distribution Date, Date with respect to 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.

Appears in 2 contracts

Samples: Spread Account Agreement (AmeriCredit Automobile Receivables Trust 2005-a-X), Spread Account Agreement (AmeriCredit Automobile Receivables Trust 2007-a-X)

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Reports by the Collateral Agent. The Collateral Agent shall report to the Issuer, the Insurer, the Indenture Trustee (unless the Indenture Trustee is the same party as the Collateral Agent), the Trust Collateral Agent ) and the Servicer, Servicer on a monthly basis no later than each Distribution Date, Payment Date with respect to 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.

Appears in 1 contract

Samples: Spread Account Agreement (Prudential Securities Secured Financing Corp)

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