Re: Second Amended and Restated Note Purchase Agreements dated as of November 5, 2003
Exhibit 99.1
Deutsche Bank Trust Company Americas
AmeriCredit Financial Services, Inc.
Re: Second Amended and Restated Note Purchase Agreements dated as of November 5, 2003
Reference is made to (1) that certain Second Amended and Restated Class A-1 Note Purchase Agreement, dated as of November 5, 2003 (the "Class A-1 Note Purchase Agreement"), by and among AmeriCredit Master Trust (the "Issuer"), AmeriCredit Financial Services, Inc., individually ("AFS") and as Servicer and Seller, AmeriCredit Funding Corp. VII, individually ("AFC") and as Seller, the Class A-1 Purchasers from time to time parties thereto, the Agents parties thereto and Deutsche Bank Trust Company Americas, as Administrative Agent (the "Administrative Agent"), (2) that certain Second Amended and Restated Class A-2 Note Purchase Agreement, dated as of November 5, 2003 (the "Class A-2 Note Purchase Agreement"), by and among the Issuer, AFS, individually and as Servicer and Seller, AFC, individually and as Seller, the Class A-2 Purchasers from time to time parties thereto, the Agents parties thereto and the Administrative Agent, (3) that certain Second Amended and Restated Class B Note Purchase Agreement, dated as of November 5, 2003 (the "Class B Note Purchase Agreement"), by and among the Issuer, AFS, individually and as Servicer and Seller, AFC, individually and as Seller, the Class B Purchasers from time to time parties, the Agents parties thereto and the Administrative Agent, and (4) that certain Second Amended and Restated Class C Note Purchase Agreement, dated as of November 5, 2003 (the "Class C Note Purchase Agreement"), by and among the Issuer, AFS, individually and as Servicer and Seller, AFC, individually and as Seller, the Class C Purchasers from time to time parties, the Agents parties thereto and the Administrative Agent (such Note Purchase Agreements, as the same may from time to time amended, supplemented or otherwise modified in accordance with the terms thereof, the "Agreements"; unless otherwise defined herein, terms defined in the Agreement are used herein as therein defined).
1. Each Committed Purchaser which is a party to the Class A-2 Note Purchase Agreement, the Class B Note Purchase Agreement or the Class C Purchase Agreement hereby agrees, pursuant to subsection 2.2(c) of each such Note Purchase Agreement, to extend the Commitment Termination Date under each such Note Purchase Agreement to which it is a party to November 5, 2007 and hereby waives receipt of a request pursuant to such subsection 2.2(c).
2. Each Committed Purchaser which is a party to the Class A-1 Note Purchase Agreement hereby agrees, pursuant to subsection 2.2(c) of the Class A-1 Note Purchase Agreement, to extend the Commitment Termination Date under the Class A-1 Note Purchase Agreement to November 2, 2005 and hereby waives receipt of request pursuant to such subsection 2.2(c).
3. Each Purchaser which is a party to the Class A-1 Note Purchase Agreement hereby agrees that the definition of "Class A-1 Commitment Fee Rate" shall be amended to read as follows:
"Class A-1 Commitment Fee Rate" shall mean the applicable rate or rates identified as the "Class A-1 Commitment Fee Rate" in the Supplemental Fee Letter entered into on the Initial Closing Date, as amended, between the Issuer and the Administrative Agent, for the benefit of, among others, the Class A-1 Purchasers.
4. Each Purchaser which is a party to the Class A-2 Note Purchase Agreement hereby agrees that the definition of "Class A-2 Commitment Fee Rate" shall be amended to read as follows:
"Class A-2 Commitment Fee Rate" shall mean the applicable rate or rates identified as the "Class A-2 Commitment Fee Rate" in the Supplemental Fee Letter entered into on the Initial Closing Date, as amended, between the Issuer and the Administrative Agent, for the benefit of, among others, the Class A-2 Purchasers.
5. Each Purchaser which is a party to the Class B Note Purchase Agreement hereby agrees that the definition of "Class B Commitment Fee Rate" shall be amended to read as follows:
"Class B Commitment Fee Rate" shall mean the applicable rate or rates identified as the "Class B Commitment Fee Rate" in the Supplemental Fee Letter entered into on the Initial Closing Date, as amended, between the Issuer and the Administrative Agent, for the benefit of, among others, the Class B Purchasers.
6. Each Purchaser which is a party to the Class C Note Purchase Agreement hereby agrees that the definition of "Class C Commitment Fee Rate" shall be amended to read as follows:
"Class C Commitment Fee Rate" shall mean the applicable rate or rates identified as the "Class C Commitment Fee Rate" in the Supplemental Fee Letter entered into on the Initial Closing Date, as amended, between the Issuer and the Administrative Agent, for the benefit of, among others, the Class C Purchasers.
This letter (i) may not be amended or modified except by a written instrument executed by the parties hereto, (ii) shall remain in effect so long as the Agreement shall be in effect, (iii) shall be construed in accordance with and governed by the laws of the State of New York, and (iv) shall be binding on, and inure to the benefits of, the respective successors and assigns of the parties hereto.
Please signify your agreement to and acceptance of the foregoing by executing this letter in the space provided below.
AMERICAS, as Administrative Agent
By____________________________
By____________________________
of the date first above written:
AMERICREDIT FINANCIAL SERVICES, INC.
By______________________________
[Names of Purchasers]
By______________________________
Title: