MASTER TREASURY MANAGEMENT AGREEMENTMaster Treasury Management Agreement • September 23rd, 2016
Contract Type FiledSeptember 23rd, 2016This Master Treasury Management Agreement (“MTMA” or, in this document, this “Agreement”) is between the undersigned “Customer” and Fifth Third Bank (“we” or “us”) and is effective when and as of the later date executed by us as indicated on the Signature Page to this Agreement.