Exhibit 10.19
AMENDMENT NO. 2
TO THE
CASH MANAGEMENT SERVICES MASTER AGREEMENT
This AMENDMENT No. 2 (the "Amendment") is made and entered into this 8th day of
November, 2002 by and among the undersigned companies.
WHEREAS, the parties to the Cash Management Services Master Agreement dated
March 16, 1999 as amended January 5, 2001 (the "Agreement") desire to amend the
Agreement to add Allstate Motor Club, Inc. ("AMC") as an additional party to the
Agreement;
NOW THEREFORE, for and in consideration of the mutual agreements set forth
herein, and other good and valuable consideration, the receipt and sufficiency
of which is hereby acknowledged, the parties agree that the Agreement is hereby
be amended as follows:
1. The definition of "Customer" in the first paragraph of the Agreement
shall include AMC in addition to AIC, XXXX, LBL and AHL.
Except as otherwise amended hereby, the Agreement shall remain unchanged.
IN WITNESS HEREOF, the parties to the Agreement have caused this Amendment to be
duly executed in duplicate by their respective officers on the dates shown
below.
ALLSTATE BANK ALLSTATE MOTOR CLUB, INC.
By: /s/ Xxxx X. Xxxxx By: /s/ Xxxxx X. Xxxx
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Name: Xxxx X. Xxxxx Name: Xxxxx X. Xxxx
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Title: President Title: Vice President and Treasurer
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Date: 1/7/03 Date: 4/4/03
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ALLSTATE BANK
SERVICE SUPPLEMENT FOR ALLSTATE MOTOR CLUB
CASH SERVICES MASTER AGREEMENT
MAY 21, 2002
ACH FILE TRANSMISSION
All ACH files must be delivered in NACHA format to the Allstate Bank PEP+ system
in the Great Lakes Data Center. Files received after 8:00PM CT will be processed
on the next business day. Prior to January 1 of each year, Allstate Bank will
provide a schedule of holidays for that year. Files will not be collected or
transmitted on Allstate Bank holidays. All files must be confirmed by a fax
transmission of file totals prior to processing of the file.
A transaction limit of $500.00 has been established for a single ACH item.
Xxxxxxx Xxxxxx, Xxxx Xxxxxxx or a designee at the Great Lakes Data Center must
notify Allstate Bank if a transaction will exceed this limit. Allstate Bank will
increase the limit upon written notification via e-mail.
A daily exposure limit of $500,000 has been set for Allstate Motor Club. In the
event that the file total on any day will exceed $500,000, Allstate Insurance
Company must notify the Allstate Bank ACH Department PRIOR to transmitting the
file. The Chief Financial Officer or Vice President of Operations must approve
any file transmissions that exceed the limit. The ACH Department will notify
Allstate Insurance Company when approval has been obtained and the file can be
transmitted. The ACH Department will monitor compliance to the procedure on a
monthly basis.
ACH PROCESSING SCHEDULE
All request for reversals, corrections, or changes need to be received by
Allstate Bank prior to the transmission of the file to the Federal Reserve Bank
(at approximately 4:00PM CT). In the event an item was transmitted before
receiving the request, the originator will provide Allstate Bank with a letter
of indemnification before the Bank requests return of the item from the RDFI
(Receiving Depository Financial Institution). Allstate Bank, in turn, will
contact the RDFI for a fax number and will send an indemnification letter
requesting that the item be returned to the originator.
DAILY ACH SETTLEMENT PROCEDURES
Each time Allstate Bank transmits an ACH file to the Federal Reserve Bank, PEP+
produces a settlement report that indicates the dollar volume and quantity of
ACH originated transactions which will settle the next business day. (The next
morning, Allstate Bank receives an ACH statement from the Federal Reserve Bank
of Chicago through the Fedline terminal that summarizes the total amount of ACH
transactions that will settle that business day.) The report includes total
originated ACH debits and credits (if any) and ACH returns which were processed
that day.
After the ACH file is transmitted to the Federal Reserve Bank (at approximately
4:00PM CT), an Allstate Bank ACH employee will review the PEP+ settlement
report. The ACH
operator will determine the total dollar amount of ACH transactions for Allstate
Motor Club (AMC), including returns, which will settle the next business day.
Each evening the ACH operator will send an e-mail message indicating either a
request for funds to be wired from AIC to Allstate Bank or notification that
Allstate Bank will send funds to AIC. This message will be addressed to
"Forecast" with a copy to Xxxxxx Xxxxxxx, Xxxxxxx Xxxxxx, Xxxxx Xxxxxxx, Xxxxx
Xxxxxxxx, Xxxxx Xxxxxxxx, Xxxxxxx Xxxxxxxxxx, Ed St. Xxxx, Xxxxxxx Xxxxxx,
Xxxxxx Xxxxxx, Xxxxx Xxxxx, Xxxx Xxxxxxxxx, Xxxxxxx Xxxxxxxx, Xxxx
Xxxxxxxxxxxxxx, Xxxx Xxxxx and Xxxxxxx Xxxxxxx. Xxxxx Xxxxx, Xxxx Xxxxxxxxx or
Xxxxxx Xxxxxx may originate the e-mail message from Allstate Bank.
FOR FUNDS DUE TO ALLSTATE MOTOR CLUB, on settlement date, Allstate Bank will
initiate a wire transfer via Fedline to the Allstate Motor Club account at Bank
of America, ABA 0000-0000-0, account number 8188000022. This transfer will be
initiated following receipt of a credit from the Federal Reserve Bank (this
occurs at 10:00AM CT).
Allstate Bank will post the following entry for company code 280 on SAP to
represent the transfer:
Debit M20271021 9070000 ACH Settlement-I/C Allstate Motor Club
Credit M10150504 9070000 Cash, Federal Reserve Bank-ACH
FOR FUNDS DUE TO ALLSTATE BANK, on settlement date, Allstate Motor Club will
initiate a wire transfer to the Allstate Bank, ABA 000000000 not later than
8:00AM CT to insure funds are received by Allstate Bank as early as possible.
Allstate Bank will post the following entry for company code 280 on SAP to
represent the transfer:
Debit M10150504 9070000 Cash, Federal Reserve Bank-ACH
Credit M20271021 9070000 ACH Settlement-I/C Allstate Motor Club
The entries required to be recorded for Company 071 will be booked by an
employee at the Atlantic Data Center. They will record the entry based on
information received from the Forecast e-mail and the Treasury cash report.
Daily, XXXXXX at the Atlantic Data Center will reconcile the balance in account
Mxxxxxxxx on Company 071 to the balance in Allstate Bank Company 280 account
M20271021.
Allstate will be assessed a charge equal to the fed funds rate for any
overdrafts incurred at the Federal Reserve Bank as a result of late wires.
RETURN ITEM PROCESSING
Returns received with a return code of R01 (insufficient funds) and R09
(uncollected funds) will be held by Allstate Bank for 2 business days. These
returns will be redistributed back to the Federal Reserve Bank for collection
after 2 business days. All other returns will be retired back to Allstate Motor
Club no later than the second business day after receipt. AMC will be charged
only for retired returns.
Notification will be sent via e-mail to Smaruti Sura, Xxxxxxx Xxxxxx-Xxxxxx and
Xxxx Xxxxxxx for any valid return that cannot be retired back to Allstate Motor
Club through PEP+. These returns will be settled with a manual return adjustment
to the daily settlement wire. In the event of invalid R07 and R10 returns (as
defined by NACHA timing), Allstate Bank will dishonor them as untimely and
advise Smaruti Sura, Xxxxxxx Xxxxxx-Xxxxxx and Xxxx Xxxxxxx by e-mail of the
return's disposition.
MONTHLY ACCOUNT ANALYSIS PROCEDURES
In accordance with the Corporate Billing Policy, Allstate Bank will prepare a
monthly account analysis statement, in arrears, (see Exhibit 1 for a sample
statement). Copies of the statement will be sent to Smaruti Sura and Xxxx
Xxxxxxx at Allstate Motor Club. Any amounts due will be deducted from the daily
wire transfer settlement by the tenth business day of the following month.
Upon preparation of the statement Allstate Bank will record the following entry
to company code 280 on SAP:
Debit M10300001 0000000 Accounts Receivable-ACH Fees-I/C-AIC
Credit X00000000 9070000 ACH Fee I/C-AIC Functional Area "OTHR"
Upon receipt of payment from Allstate Motor Club, Allstate Bank will record the
following entry to company code 280 on SAP:
Debit M10150504 9010000 Federal Reserve Bank of Chicago
Credit M10300001 0000000 Accounts Receivable-ACH Fees-I/C-AIC
The entries required to be recorded for Company 071 will be booked by Smaruti
Sura at Allstate Motor Club
ALLSTATE BANK CONTACT LIST
Below is a contact list for any questions pertaining to the ACH processing:
PHONE NUMBER PAGER #
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Xxxxxx Xxxxxx 000-000-0000 0-000-000-0000 PIN 1152223
Xxxxxxx Xxxxxxxxx 000-000-0000 0-000-000-0000 PIN 1735143
Xxxxx Xxxxx 000-000-0000
You may also contact the wire hot line at 000-000-0000
Our fax number is 000-000-0000.
NOTE: THE INDIVIDUALS NAMED IN THIS DOCUMENT MAY BE CHANGED VIA WRITTEN
COMMUNICATION TO THE DIRECTOR OF CASH OPERATIONS AT ALLSTATE BANK. ALLSTATE BANK
WILL NOTIFY ALLSTATE MOTOR CLUB IN WRITING OF ANY CHANGE TO THE ALLSTATE BANK
INDIVIDUALS NAMED IN THIS DOCUMENT.