REPORTS; NOTICES OF CERTAIN PAYMENTS. (a) Following each payment to the Noteholders, the Trustee shall mail to the Issuer, Cede & Co. and the Rating Agencies, and make available to each Noteholder, the Monthly Servicer Report furnished to the Trustee by the Servicer on the Determination Date prior to such Payment Date (or if such report has not been received, a written statement to such effect). (b) The Trustee shall deliver to the Servicer, and within two Business Days after the request of the Issuer, deliver to the Issuer a written statement setting forth the amounts on deposit in the Collection Account and the Reserve Account, and identifying the investments included therein.
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Samples: Indenture (Dvi Receivables Corp Viii), Indenture (Dvi Receivables Corp Viii), Indenture (Dvi Receivables Corp Viii)
REPORTS; NOTICES OF CERTAIN PAYMENTS. (a) Following each payment to the Noteholders, the Trustee shall mail to the Issuer, Cede & Co. and the Rating Agencies, and make available to each Noteholder, the Monthly Servicer Report furnished to the Trustee by the Servicer on the Determination Date prior to such Payment Date (or if such report has not been received, a written statement to such effect).
(b) The Trustee shall deliver to the Servicer, and within two Business Days after the request of the Issuer, deliver to the Issuer a written statement setting forth the amounts on deposit in the Collection Account, the Reserve Account and the Successor Servicer Reserve Account, and identifying the investments included therein.
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REPORTS; NOTICES OF CERTAIN PAYMENTS. (a) Following each payment to the NoteholdersNoteholders and the Swap Providers, the Trustee shall mail to the Issuer, Cede & Co. and the Rating Agencies, and make available to each NoteholderNoteholder and each Swap Provider, the Monthly Servicer Report furnished to the Trustee by the Servicer on the Determination Date prior to such Payment Date (or if such report has not been received, a written statement to such effect).
(b) The Trustee shall deliver to the Servicer, and within two Business Days after the request of the Issuer, deliver to the Issuer a written statement setting forth the amounts on deposit in the Collection Account, the Reserve Account and the Successor Servicer Reserve Account, and identifying the investments included therein.
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