Responsibilities of the Agent Bank Sample Clauses

Responsibilities of the Agent Bank. (1) After receiving the original copies or photocopies of any document forwarded by either Party hereto to any other Party hereto through the Agent Bank, the Agent Bank shall forward such documents within two (2) Business Days; unless otherwise agreed herein, the Agent Bank will not be responsible for the investigation of the sufficiency, correctness or completeness of the format and content of any document forwarded by any Party to this Agreement. (2) The Agent Bank shall open and maintain an account book in connection with this Agreement, and provide such account book to the other Lenders upon request. (3) The Agent Bank shall be responsible for the disbursement and payment of the Loan Fund in accordance with the Article 8.1 hereof (Disbursement of Loan Fund) and Article 8.2 hereof (Payment of Loan Fund), as well as the management and control over the Loan Fund. (4) The Agent Bank shall inform each Syndicate Member of the notice specifying an Event of Default given by either Party to this Agreement within one (1) business day after receiving such notice. (5) The Agent Bank shall inform each Syndicate Member of it within one (1) business day upon being informed that either Party hereto fails to pay any amount due and payable to any other Syndicate Member in accordance with this Agreement. (6) The Agent Bank shall, subject to the decision of Majority Lenders, organize the Syndicate Members to file and participated in any litigation, arbitration, or legal dispute settlement procedures with respect to this Agreement, however, provided that, each Lender has, pursuant to the Article 16 hereof (Fees and Expenses), indemnified or prepaid the Agent Bank, for any and all costs, fees, and expenses (including but not limited to legal fees), paid or to be paid by the Agent Bank for compliance with such instruction. (7) The Agent Bank should not be held liable to any other Party hereto due to any other Party’s breach of this Agreement. (8) Where any decision of Majority Lenders or any action according to such decision, violates or will violate any law or regulation, the Agent Bank may omit to take any action under such decision by giving prior notice to each Syndicate Member. (9) The Agent Bank shall diligently use all efforts to perform all of its responsibilities hereunder.
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Responsibilities of the Agent Bank. ​ 1. The agent bank shall, within [10] business days after receiving the original or photocopy of any document transmitted by any party to this Contract to the other party through the agent bank, transmit such document to the other party; unless otherwise agreed in this Contract, the agent bank shall not be responsible for reviewing the adequacy, accuracy or completeness of the form and content of any document transmitted by it. ​ 2. The agent bank shall establish and maintain ledgers related to this Contract and provide such ledgers to the lender upon each lender’s request. ​ 3. The agent bank shall disburse and pay loan funds in accordance with the provisions of Article 8.1 (Disbursement of loan funds) and Article 8.2 (Payment of loan funds) of this Contract, and manage and control the same. 4. The agent bank shall notify each syndicate member bank within [10] business days after receiving a notice from any party to this Contract regarding the occurrence of an event of default. ​ 5. The agent bank shall notify each syndicate member bank within [10] business days after becoming aware that any party to this Contract has failed to pay any amount due and payable to any other syndicate member bank in accordance with the provisions of this Contract. If the agent bank discovers the above situation, it shall conduct necessary investigations and transmit the information obtained from the investigations to each lender in a timely manner. ​ 6. The agent bank shall, according to the decision of the majority lender, organize each syndicate member bank to initiate and/or participate in any litigation, arbitration or legal dispute procedures related to this Contract, provided, however, that each lender has, in accordance with this Contract, reimbursed or advanced to the agent bank any costs, fees, expenses (including but not limited to attorney’s fees) and liabilities that the agent bank has expended or incurred or may expend or incur in compliance with such decisions. ​ 7. The agent bank shall not be liable to any other party to this Contract for any violations of the provisions of this Contract by such any other party. ​ 8. Where acting in accordance with any decision of the majority lender would result in or may result in violations of laws and regulations, upon prior notice to each syndicate member bank, the agent bank may refrain from acting in accordance with such decisions. ​ 9. The agent bank shall perform all its duties under this Contract with diligence and c...

Related to Responsibilities of the Agent Bank

  • Responsibilities of the Borrower (a) Anything herein to the contrary notwithstanding, the Borrower shall: (i) perform all of its obligations, if any, under the Contracts related to the Pool Receivables to the same extent as if interests in such Pool Receivables had not been transferred hereunder, and the exercise by the Administrative Agent, or any other Credit Party of their respective rights hereunder shall not relieve the Borrower from such obligations and (ii) pay when due any taxes, including any sales taxes payable in connection with the Pool Receivables and their creation and satisfaction. None of the Credit Parties shall have any obligation or liability with respect to any Collateral, nor shall any of them be obligated to perform any of the obligations of the Borrower, the Servicer or any Originator thereunder. (b) Alliance hereby irrevocably agrees that if at any time it shall cease to be the Servicer hereunder, it shall act (if the then-current Servicer so requests) as the data-processing agent of the Servicer and, in such capacity, Alliance shall conduct the data-processing functions of the administration of the Receivables and the Collections thereon in substantially the same way that Alliance conducted such data-processing functions while it acted as the Servicer. In connection with any such processing functions, the Borrower shall pay to Alliance its reasonable out-of-pocket costs and expenses from the Borrower’s own funds (subject to the priority of payments set forth in Section 4.01).

  • RESPONSIBILITIES OF CITY City or its representative shall issue all communications to Contractor. City has the authority to request changes in the work in accordance with the terms of this Agreement and with the terms in Exhibit A – Scope of Work. City has the authority to stop work or to suspend any work.

  • Responsibilities of the Company 3.3.1 The Company shall provide participants of CopyTrade with a complete package of services according to the Customer Agreement. The Company is liable for proper performance of technological solutions according to the Customer Agreement. 3.3.2 The Company bears no liability to participants of CopyTrade for lost profit or losses, which may directly or indirectly occur as a result of trading operations performed or not performed by an Investor or a Trader. 3.3.3 The Company bears no liability to participants of CopyTrade for lost profit or losses, which may be directly or indirectly occur as a result of their ignorance of regulatory documents or cooperation scheme. 3.3.4 The Company doesn’t evaluate Traders’ professional skills and suitability not on a single stage of their activity and bears no responsibility to Investors for any losses or lost profit they may incur. 3.3.5 The Company is not liable for:

  • Responsibilities of the Transfer Agent The Transfer Agent undertakes the duties and obligations imposed by this Agreement upon the following terms and conditions, by all of which the Fund, by its acceptance hereof, shall be bound: 11.1 Whenever in the performance of its duties hereunder the Transfer Agent shall deem it necessary or desirable that any fact or matter be proved or established prior to taking or suffering any action hereunder, such fact or matter may be deemed to be conclusively proved and established by a certificate signed by an officer of the Fund and delivered to the Transfer Agent. Such certificate shall be full authorization to the recipient for any action taken or suffered in good faith by it under the provisions of this Agreement in reliance upon such certificate. 11.2 The Fund agrees that it will perform, execute, acknowledge and deliver or cause to be performed, executed, acknowledged and delivered all such further and other acts, instruments and assurances as may reasonably be required by the Transfer Agent for the carrying out, or performing by the Transfer Agent of the provisions of this Agreement.

  • Responsibilities of the Parties 1.5.1 The Parties shall perform all obligations of this Agreement in accordance with all Applicable Laws and Regulations, Operating Requirements, and

  • Duties of the Agent (a) The Agent shall promptly forward to a Party the original or a copy of any document which is delivered to the Agent for that Party by any other Party. (b) Except where a Finance Document specifically provides otherwise, the Agent is not obliged to review or check the adequacy, accuracy or completeness of any document it forwards to another Party. (c) If the Agent receives notice from a Party referring to this Agreement, describing a Default and stating that the circumstance described is a Default, it shall promptly notify the Finance Parties. (d) If the Agent is aware of the non-payment of any principal, interest, commitment fee or other fee payable to a Finance Party (other than the Agent or the Arranger) under this Agreement it shall promptly notify the other Finance Parties. (e) The Agent’s duties under the Finance Documents are solely mechanical and administrative in nature.

  • Responsibilities of the Seller (a) Anything herein to the contrary notwithstanding, the Seller shall: (i) perform all of its obligations, if any, under the Contracts related to the Pool Receivables to the same extent as if interests in such Pool Receivables had not been transferred hereunder, and the exercise by the Administrator, the Purchaser Agents or the Purchasers of their respective rights hereunder shall not relieve the Seller from such obligations, and (ii) pay when due any taxes, including any sales taxes payable in connection with the Pool Receivables and their creation and satisfaction. The Administrator, the Purchaser Agents or any of the Purchasers shall not have any obligation or liability with respect to any Pool Asset, nor shall any of them be obligated to perform any of the obligations of the Seller, Servicer, WESCO or the Originators thereunder. (b) WESCO hereby irrevocably agrees that if at any time it shall cease to be the Servicer hereunder, it shall act (if the then-current Servicer so requests) as the data-processing agent of the Servicer and, in such capacity, WESCO shall conduct the data-processing functions of the administration of the Receivables and the Collections thereon in substantially the same way that WESCO conducted such data-processing functions while it acted as the Servicer.

  • Responsibilities of the City The City’s Contract Manager will be responsible for exercising general oversight of the Contractor’s activities in completing the Scope of Work. Specifically, the Contract Manager will represent the City’s interests in resolving day-to-day issues that may arise during the term of this Contract, shall participate regularly in conference calls or meetings for status reporting, shall promptly review any written reports submitted by the Contractor, and shall approve all invoices for payment, as appropriate. The City’s Contract Manager shall give the Contractor timely feedback on the acceptability of progress and task reports.

  • RESPONSIBILITIES OF THE OWNER The Owner agrees to: Provide all documentation, records, and disclosures as required by law or required by the Agent to manage and operate the Property, and immediately notify the Agent if the Owner becomes aware of any change in such documentation, records or disclosures, or any matter affecting the habitability of the Property; Indemnify, defend, and hold harmless the Agent, and all persons in the Agent's firm, regardless of responsibility, from all costs, expenses suits, liabilities, damages, attorneys fees, and claims of every type, including, but not limited to, those arising out of injury or death of any person, or damage to any real or personal property of any person, including the Owner, for: Any repairs performed by the Owner or by others hired directly by the Owner; or Those relating to the management, leasing, rental, security deposit, or operation of the Property by the Agent, or any person in the Agent's company, or the performance or exercise of any of the duties, powers, or authorities granted to the Agent; This sub-section, and all rights to the Agent’s indemnification, shall be considered void if the Agent exemplifies any willful acts of gross negligence; Maintain the Property in a condition fit for human habitation as required by applicable State and local laws; Pay all interest on Tenants’ security deposits if required by applicable laws; Carry and pay for: Public and premises liability insurance in an amount of no less than one-million dollars ($1,000,000.00); and Property damage and worker’s compensation insurance adequate to protect the interests of the Owner and the Agent. The Agent shall be, and the Owner authorizes Agent to be, named as an additional insured party on the Owner’s policies; and Pay any late charges, penalties and/or interest imposed by lenders or other parties for failure to make payment only if the failure is due to insufficient funds in the Agent’s trust account available for such payment. In addition, the Owner agrees to replace any funds required if there are insufficient funds in the Agent’s trust account to cover such responsibilities of the Owner.

  • RESPONSIBILITIES OF PARTIES A. BST will include billing number information associated with resold exchange lines or SPNP arrangements in its LIDB. The Local Exchange Company will request any toll billing exceptions via the Local Service Request (LSR) form used to order resold exchange lines, or the SPNP service request form used to order SPNP arrangements. B. Under normal operating conditions, BST shall include the billing number information in its LIDB upon completion of the service order establishing either the resold local exchange service or the SPNP arrangement, provided that BST shall not be held responsible for any delay or failure in performance to the extent such delay or failure is caused by circumstances or conditions beyond BST’s reasonable control. BST will store in its LIDB an unlimited volume of the working telephone numbers associated with either the resold local exchange lines or the SPNP arrangements. For resold local exchange lines or for SPNP arrangements, BST will issue line-based calling cards only in the name of Local Exchange Company. BST will not issue line- based calling cards in the name of Local Exchange Company’s individual end users. In the event that Local Exchange Company wants to include calling card numbers assigned by the Local Exchange Company in the BST LIDB, a separate agreement is required. C. BST will provide responses to on-line, call-by-call queries to the stored information for the specific purposes listed in the next paragraph. D. BST is authorized to use the billing number information to perform the following functions for authorized users on an on-line basis: 1. Validate a 14 digit Calling Card number where the first 10 digits are a line number or special billing number assigned by BST, and where the last four digits (PIN) are a security code assigned by BST. 2. Determine whether the Local Exchange Company has identified the billing number as one which should not be billed for collect or third number calls, or both.

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