Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the Issuer, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the Issuer’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer PII.
Appears in 43 contracts
Samples: Asset Representations Review Agreement (Nissan Auto Receivables 2024-B Owner Trust), Asset Representations Review Agreement (Nissan Auto Receivables 2024-B Owner Trust), Asset Representations Review Agreement (Nissan Auto Receivables 2024-a Owner Trust)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the Issuer, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Lease whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Lease was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the Issuer’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer PII.
Appears in 20 contracts
Samples: Asset Representations Review Agreement (Nissan Auto Leasing LLC Ii), Asset Representations Review Agreement (Nissan Auto Leasing LLC Ii), Asset Representations Review Agreement (Nissan Auto Leasing LLC Ii)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the Issuer, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Asset whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Asset was a Test Complete and the related reason. The Review Report will contain a summary of include the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to and will be included in the Issuer’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer PII.
Appears in 14 contracts
Samples: Asset Representations Review Agreement (Nissan Master Owner Trust Receivables), Asset Representations Review Agreement (Nissan Master Owner Trust Receivables), Asset Representations Review Agreement (Nissan Wholesale Receivables Corp Ii)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the IssuerIssuing Entity, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Lease whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Lease was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the IssuerIssuing Entity’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer Issuing Entity PII.
Appears in 10 contracts
Samples: Asset Representations Review Agreement (Nissan-Infiniti Lt LLC), Asset Representations Review Agreement (Nissan Auto Lease Trust 2024-B), Asset Representations Review Agreement (Nissan Auto Lease Trust 2024-B)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the IssuerIssuing Entity, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Lease whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Lease was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the IssuerIssuing Entity’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer Issuing Entity PII.. 4 (NALT 2023-A Asset Representations Review Agreement)
Appears in 2 contracts
Samples: Asset Representations Review Agreement (Nissan Auto Lease Trust 2023-A), Asset Representations Review Agreement (Nissan Auto Lease Trust 2023-A)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the IssuerIssuing Entity, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Lease whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Lease was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the IssuerIssuing Entity’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer Issuing Entity PII.. 4 (NALT 2023-B Asset Representations Review Agreement)
Appears in 2 contracts
Samples: Asset Representations Review Agreement (Nissan Auto Lease Trust 2023-B), Asset Representations Review Agreement (Nissan Auto Lease Trust 2023-B)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the IssuerIssuing Entity, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Lease whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Lease was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the IssuerIssuing Entity’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer Issuing Entity PII.. 4 (NALT 2022-A Asset Representations Review Agreement)
Appears in 2 contracts
Samples: Asset Representations Review Agreement (Nissan Auto Lease Trust 2022-A), Asset Representations Review Agreement (Nissan Auto Lease Trust 2022-A)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the Issuer, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Asset whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Asset was a Test Complete and the related reason. The Review Report will contain a summary of include the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the Issuer’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer PII.
Appears in 1 contract
Samples: Asset Representations Review Agreement (Nissan Wholesale Receivables Corp Ii)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the Issuer, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable Asset whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable Asset was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the Issuer’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer PII.
Appears in 1 contract
Samples: Asset Representations Review Agreement (Nissan Wholesale Receivables Corp Ii)
Review Reports. (a) Within five (5) days after the end of the Asset Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the Issuer, the Servicer and the Indenture Trustee a Review Report indicating for each Subject Receivable whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to be included in the Issuer’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer PII.
Appears in 1 contract
Samples: Asset Representations Review Agreement (Nissan Auto Receivables Corp Ii)
Review Reports. (a) Within five (5) days after the end of the Asset Representations Review period under Section 3.4(b), the Asset Representations Reviewer will deliver to the Issuer, the Servicer and the Indenture Security Trustee a Review Report indicating for each Subject Receivable whether there was a Test Pass or a Test Fail for each Test, or whether the Subject Receivable was a Test Complete and the related reason. The Review Report will contain a summary of the findings and conclusions of the Asset Representations Reviewer with respect to the Asset Review to results, which may (in whole or in part) be included in the Issuer’s Form 10-D report for the Collection Period in which the Review Report is received. The Asset Representations Reviewer will ensure that the Review Report does not contain any Issuer PII.
Appears in 1 contract
Samples: Asset Representations Review Agreement (Macquarie Leasing Pty LTD)