Common use of Servicing Reports Clause in Contracts

Servicing Reports. Seller shall deliver and cause Sub-Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of each month containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 5 contracts

Samples: Master Repurchase and Securities Contract (Starwood Property Trust, Inc.), Master Repurchase and Securities Contract (Starwood Property Trust, Inc.), Master Repurchase Agreement (Dividend Capital Total Realty Trust Inc.)

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Servicing Reports. Seller shall deliver and (or cause Sub-each Servicer to deliver deliver) to Buyer and Custodian a monthly remittance report in the form of the attached Exhibit H on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 5 contracts

Samples: Master Repurchase and Securities Contract (FS Credit Real Estate Income Trust, Inc.), Master Repurchase and Securities Contract (FS Credit Real Estate Income Trust, Inc.), Master Repurchase and Securities Contract (FS Credit Real Estate Income Trust, Inc.)

Servicing Reports. Seller shall deliver and cause Sub-each Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 5 contracts

Samples: Master Repurchase and Securities Contract (Blackstone Mortgage Trust, Inc.), Master Repurchase and Securities Contract (Blackstone Mortgage Trust, Inc.), Master Repurchase and Securities Contract (Blackstone Mortgage Trust, Inc.)

Servicing Reports. Seller shall deliver and cause Sub-each Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 4 contracts

Samples: Master Repurchase and Securities Contract (KKR Real Estate Finance Trust Inc.), Master Repurchase and Securities Contract (KKR Real Estate Finance Trust Inc.), Master Repurchase and Securities Contract (KKR Real Estate Finance Trust Inc.)

Servicing Reports. Seller shall deliver and (or cause Sub-each Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 3 contracts

Samples: Master Repurchase and Securities Contract (BrightSpire Capital, Inc.), Master Repurchase and Securities Contract (BrightSpire Capital, Inc.), Master Repurchase and Securities Contract (Colony Credit Real Estate, Inc.)

Servicing Reports. Each Seller shall deliver and cause Sub-Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of third Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 3 contracts

Samples: Omnibus Amendment to Repurchase Documents (Ares Commercial Real Estate Corp), Master Repurchase and Securities Contract (Ares Commercial Real Estate Corp), Master Repurchase and Securities Contract (Ares Commercial Real Estate Corp)

Servicing Reports. Seller shall deliver and cause Sub-Servicer to deliver to Buyer and Custodian a monthly remittance report on or before two (2) Business Days prior to the 15th day of each month Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset basis and in the aggregate, with respect to the Purchased Assets serviced by Servicer for the month (or any portion thereof) before the date of such report.

Appears in 3 contracts

Samples: Master Repurchase and Securities Contract (NorthStar Real Estate Income Trust, Inc.), Master Repurchase and Securities Contract (Resource Capital Corp.), Master Repurchase and Securities Contract (Northstar Realty Finance Corp.)

Servicing Reports. Seller shall deliver and cause Sub-Servicer to deliver to Buyer and Custodian a monthly remittance report on or before no later than two (2) Business Days prior to the 15th day of each month related Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 2 contracts

Samples: Master Repurchase and Securities Contract (Starwood Property Trust, Inc.), Master Repurchase and Securities Contract (Starwood Property Trust, Inc.)

Servicing Reports. Seller shall deliver and (or cause Sub-each Servicer to deliver deliver) to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (Benefit Street Partners Realty Trust, Inc.)

Servicing Reports. Seller shall deliver and cause Sub-each Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (AG Mortgage Investment Trust, Inc.)

Servicing Reports. Seller shall deliver and cause Sub-each Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably - 82 - requested by Buyer Xxxxx from time to time, on an asset-by-asset by asset and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (Blackstone Mortgage Trust, Inc.)

Servicing Reports. Seller shall deliver and cause Sub-each Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase Agreement (Granite Point Mortgage Trust Inc.)

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Servicing Reports. Seller shall deliver and cause Sub-Servicer to deliver to Buyer and Custodian a monthly remittance report on or before no later than two (2) Business Days prior to the 15th day of each month related Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (Starwood Credit Real Estate Income Trust)

Servicing Reports. Seller shall deliver and cause Sub-Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of third Business Day immediately prior to each month Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (Ares Commercial Real Estate Corp)

Servicing Reports. Seller shall deliver and cause Sub-each Servicer to deliver to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.report Section

Appears in 1 contract

Samples: Master Repurchase Agreement (Granite Point Mortgage Trust Inc.)

Servicing Reports. Seller shall deliver and (or cause Sub-each Servicer to deliver deliver) to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (Claros Mortgage Trust, Inc.)

Servicing Reports. Seller shall deliver and (or cause Sub-each Servicer to deliver deliver) to Buyer and Custodian a monthly remittance report in the form of the attached Exhibit I on or before the 15th day of second Business Day immediately preceding each month monthly Remittance Date containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset by asset basis and in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (FS Credit Real Estate Income Trust, Inc.)

Servicing Reports. Seller shall deliver and (or cause Sub-each Servicer to deliver or make available) to Buyer and Custodian a monthly remittance report on or before the 15th day of second Business Day immediately preceding each month containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset and monthly Remittance Date in the aggregate, with respect to the Purchased Assets for the month (or any portion thereof) before the date of such reportServicer’s customary format.

Appears in 1 contract

Samples: Master Repurchase and Securities Contract (Seven Hills Realty Trust)

Servicing Reports. Seller Sellers shall deliver and cause Sub-Servicer to deliver to Buyer Buyer, Master Servicer and Custodian a monthly remittance report on or before the 15th day of each month containing servicing information, including those fields reasonably requested by Buyer from time to time, on an asset-by-asset and in the aggregate, with respect to the Purchased Assets and Underlying Assets serviced by Servicer for the month (or any portion thereof) before the date of such report.

Appears in 1 contract

Samples: Master Repurchase Agreement (PennyMac Mortgage Investment Trust)

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