Common use of Servicer’s Accounting Clause in Contracts

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX and the Rating Agencies a Servicer’s Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX or GMAC under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX is the Owner, the Servicer shall deliver to CXXX such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX may reasonably request.

Appears in 4 contracts

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Asset Trust 2007-1), Pooling and Servicing Agreement (Capital Auto Receivables LLC), Pooling and Servicing Agreement (Capital Auto Receivables Asset Trust 2006-1)

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Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX XXXX and the Rating Agencies a Servicer’s Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President Authorized Officer of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 Section 3.07 or 5.04 Section 5.04(a) or to be repurchased by CXXX XXXX, the Servicer or GMAC the Seller under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX XXXX is the Owner, the Servicer shall deliver to CXXX XXXX such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX XXXX may reasonably request.

Appears in 2 contracts

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Asset Trust 2016-3), Pooling and Servicing Agreement (Capital Auto Receivables Asset Trust 2016-3)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX CARI and the Rating Agencies a Servicer’s 's Accounting with respect to the tx xxe immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX CARI or GMAC under the Further Transfer and Servicing Agreements as of xx the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX CARI is the Owner, the Servicer shall deliver to CXXX CARI such accountings relating accountinxx xelating to such Receivables and the actions of the xxx Servicer with respect thereto as CXXX CARI may reasonably request.

Appears in 2 contracts

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc), Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX XXXX and the Rating Agencies a Servicer’s Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President Authorized Officer of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 5.04(a) or to be repurchased by CXXX XXXX, the Seller or GMAC the Servicer under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX XXXX is the Owner, the Servicer shall deliver to CXXX XXXX such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX XXXX may reasonably request.

Appears in 2 contracts

Samples: Pooling and Servicing Agreement (Capital Auto Receivables LLC), Pooling and Servicing Agreement (Capital Auto Receivables LLC)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX CARI and the Rating Agencies a Servicer’s 's Accounting with respect to the xxx immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX CARI or GMAC under the Further Transfer and Servicing Agreements as of the ox xxe last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX CARI is the Owner, the Servicer shall deliver to CXXX CARI such accountings relating accountingx xxlating to such Receivables and the actions of the xxx Servicer with respect thereto as CXXX CARI may reasonably request.

Appears in 2 contracts

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc), Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX CARI and the Rating Agencies a Servicer’s 's Accounting with respect to the xx xhe immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX CARI or GMAC under the Further Transfer and Servicing Agreements as of ax xx the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX CARI is the Owner, the Servicer shall deliver to CXXX CARI such accountings accountixxx relating to such Receivables and the actions of the ox xxe Servicer with respect thereto as CXXX CARI may reasonably request.

Appears in 2 contracts

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc), Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX CARI and the Rating Agencies a Servicer’s 's Accounting with respect to the xxx immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX CARI or GMAC under the Further Transfer and Servicing Agreements as of the xx xhe last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX CARI is the Owner, the Servicer shall deliver to CXXX CARI such accountings relating accountinxx xelating to such Receivables and the actions of the ox xxe Servicer with respect thereto as CXXX CARI may reasonably request.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX XXXX and the Rating Agencies a Servicer’s Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX XXXX, the Seller or GMAC the Servicer under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX XXXX is the Owner, the Servicer shall deliver to CXXX XXXX such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX XXXX may reasonably request.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Capital Auto Receivables LLC)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX and CARI xxx the Rating Agencies a Servicer’s 's Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables Secured Notes to be purchased by the Servicer under Sections 3.08 Section 3.07 or GMAC under Section 5.04 or to be repurchased by CXXX or CARI xx GMAC under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable Secured Note number (as set forth in the Schedule of ReceivablesSecured Notes). With respect to any Receivables Secured Notes for which CXXX is CARI xx the Owner, the Servicer shall deliver to CXXX such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX may reasonably request.CARI xxxh

Appears in 1 contract

Samples: Secured Note Pooling and Servicing Agreement (Central Originating Lease Trust)

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Servicer’s Accounting. On each Determination Date under a Further Second Step Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Second Step Transfer and Servicing Agreements and to CXXX XXXX and the Rating Agencies a Servicer’s 's Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Second Step Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Second Step Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX XXXX or GMAC under the Further Second Step Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX XXXX is the Owner, the Servicer shall deliver to CXXX XXXX such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX XXXX may reasonably request.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX CARI and the Rating Agencies a Servicer’s 's Accounting with respect to the tx xxe immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX CARI or GMAC under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX CARI is the Owner, the Servicer shall deliver to CXXX CARI such accountings relating accountinxx xelating to such Receivables and the actions of the xxx Servicer with respect thereto as CXXX CARI may reasonably request.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX CARI and the Rating Agencies a Servicer’s 's Accounting with respect to xx the immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections SECTIONS 3.08 or OR 5.04 or to be repurchased by CXXX CARI or GMAC under the Further Transfer and Servicing Agreements as Agreementx xs of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX CARI is the Owner, the Servicer shall deliver to CXXX CARI such accountings relating accountinxx xelating to such Receivables and the actions of the xxx Servicer with respect thereto as CXXX CARI may reasonably request.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements (including the Swap Counterparty) and to CXXX and CARI xxx the Rating Agencies a Servicer’s 's Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX or CARI xx GMAC under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX is CARI xx the Owner, the Servicer shall deliver to CXXX CARI such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX may CARI xxx reasonably request.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Capital Auto Receivables Inc)

Servicer’s Accounting. On each Determination Date under a Further Transfer and Servicing Agreement, the Servicer shall deliver to each of the trustees and other applicable parties under the Further Transfer and Servicing Agreements and to CXXX XXXX and the Rating Agencies a Servicer’s Accounting with respect to the immediately preceding Monthly Period executed by the President or any Vice President Authorized Officer of the Servicer containing all information necessary to each such party for making any distributions required by the Further Transfer and Servicing Agreements, and all information necessary to each such party for sending any statements required under the Further Transfer and Servicing Agreements. Receivables to be purchased by the Servicer under Sections 3.08 or 5.04 or to be repurchased by CXXX XXXX, the Seller or GMAC the Servicer under the Further Transfer and Servicing Agreements as of the last day of any Monthly Period shall be identified by Receivable number (as set forth in the Schedule of Receivables). With respect to any Receivables for which CXXX XXXX is the Owner, the Servicer shall deliver to CXXX XXXX such accountings relating to such Receivables and the actions of the Servicer with respect thereto as CXXX XXXX may reasonably request.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Capital Auto Receivables LLC)

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