Common use of Review Procedures for Identifying Entity Accounts Clause in Contracts

Review Procedures for Identifying Entity Accounts. With Respect to Which Reporting is Required. For Preexisting Entity Accounts described in paragraph B of this section, the Reporting Cayman Islands Financial Institution must apply the following review procedures to determine whether the account is held by one or more Specified United Kingdom Persons, by Passive NFFEs with one or more Controlling Persons who is a Specified United Kingdom Persons:

Appears in 3 contracts

Samples: International Tax Compliance Agreement, International Tax Compliance Agreement, International Tax Compliance Agreement

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Review Procedures for Identifying Entity Accounts. With Respect to Which Reporting is Required. For Preexisting Entity Accounts described in paragraph B of this section, the Reporting Cayman Islands Anguilla Financial Institution must apply the following review procedures to determine whether the account is held by one or more Specified United Kingdom Persons, by Passive NFFEs with one or more Controlling Persons who is a Specified United Kingdom Persons:

Appears in 2 contracts

Samples: International Tax Compliance Agreement, Tax Compliance Agreement

Review Procedures for Identifying Entity Accounts. With Respect to Which Reporting is Required. For Preexisting Entity Accounts described in paragraph B of this section, the Reporting Cayman Turks and Caicos Islands Financial Institution must apply the following review procedures to determine whether the account is held by one or more Specified United Kingdom Persons, by Passive NFFEs with one or more Controlling Persons who is a Specified United Kingdom Persons:

Appears in 2 contracts

Samples: International Tax Compliance Agreement, International Tax Compliance Agreement

Review Procedures for Identifying Entity Accounts. With Respect to Which Reporting is Required. For Preexisting Entity Accounts described in paragraph B of this section, the Reporting Cayman Islands Montserrat Financial Institution must apply the following review procedures to determine whether the account is held by one or more Specified United Kingdom Persons, by Passive NFFEs with one or more Controlling Persons who is a Specified United Kingdom Persons:

Appears in 2 contracts

Samples: International Tax Compliance Agreement, International Tax Compliance Agreement

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Review Procedures for Identifying Entity Accounts. With Respect to Which Reporting is Required. For Preexisting Entity Accounts described in paragraph B of this section, the Reporting Cayman British Virgin Islands Financial Institution must apply the following review procedures to determine whether the account is held by one or more Specified United Kingdom Persons, by Passive NFFEs with one or more Controlling Persons who is a Specified United Kingdom Persons:

Appears in 2 contracts

Samples: International Tax Compliance Agreement, International Tax Compliance Agreement

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