Exhibit 10(f)
REVISION AGREEMENT
Mercedes-Benz INSTALLMENT CREDIT TRANSACTION
Credit Corporation Original Acct # SEE SCHEDULE DCN # N/A
FOR VALUABLE CONSIDERATION, it is mutually agreed that the Retail Installment
Contract - Security Agreement (Contract) dated SEE SCHEDULE, by and between
SEE ORIGINAL CONTRACT as Seller, Seller's interest having been asigned to
Mercedes-Benz Credit Corporation (MCBCC), and OTR Express, Inc. as purchaser
covering:
SEE ORIGINAL CONTRACT
be and hereby amended in that the gross remaining balance of $ SEE SCHEDULE
due on the Contract shall be payable as follows:
subject to final resolution of late fees and remaining balance questions.
SEE SCHEDULE monthly payments of $ SEE SCHEDULE, commencing SEE SCHEDULE, and
continuing on the same date every month until the account is paid in full.
Except for the modifications stated above, the Contract shall remain in full
force and effect. This agreement will become effective upon acceptance by
MBCC.
Total Interest Charges Due $ SEE SCHEDULE
Late Charges/Misc. Charges $ SEE SCHEDULE
Amount to be paid at a later date $ SEE SCHEDULE
Amount to be paid up front $ 0.00
PURCHASER : OTR Express, Inc. APPROVAL:
Mercedes-Benz Corporation
Signature: /s/ Xxxxxx X. Xxxxx By: /s/ Xxxxxx Odin/sk
Title: CFO Title: Fleet Manager
Date: 7/25/00 Date: 7/27/00
GROSS REMAINING BALANCE $4,077,889.39
PAYMENT AMOUNT $ 138,825.85
EXTENTION FEES DUE $ 68,772.54
FEES TO BE PAID
OVER 3 MONTHS $ 22,926.53
LATE CHARGES $ 14,277.35