Common use of Terms and Conditions for Overseas Remittance Clause in Contracts

Terms and Conditions for Overseas Remittance. These Terms and Conditions for Overseas Remittance (hereafter in this Section, the “Terms and Conditions”) govern the Bank’s handling of Overseas Remittance Transactions and other similar transactions carried out by a Customer holding a Deposit Account, using an Overseas Remittance and Domestic Foreign Currency Remittance Request Form/Overseas Remittance, etc. Statement (the “Overseas Remittance Request Form”) prescribed by the Bank.

Appears in 4 contracts

Samples: Corporate Account Terms and Conditions, Corporate Account Terms and Conditions, Corporate Account Terms and Conditions

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