ACCOUNT MANAGEMENT AGREEMENT For Management of the Unit Subscription Agreements USA 68207V208 OCFN No's: XX-XY Date: September 4, 2013 Between: Omega Commercial Finance Corporation Miami Beach, Florida 33139 A WY Company And: Those Investors...Account Management Agreement • October 9th, 2013 • Omega Commercial Finance Corp • Short-term business credit institutions
Contract Type FiledOctober 9th, 2013 Company IndustryThis agreement will serve as the Account Control Agreement between the Investor(s), and Omega Commercial Finance Corporation (the "Company"). This Agreement to be held and managed by Elco Securities, Ltd. (the “Intermediary”).
ACCOUNT MANAGEMENT AGREEMENT This Account Management Agreement (the "Agreement") is entered into as of the 9th day of November, 2005, by and between CD Capital Management LLC, a Delaware limited liability company ("CD Capital"), and New World...Account Management Agreement • December 19th, 2005 • Cd Capital Management LLC • Real estate dealers (for their own account) • Illinois
Contract Type FiledDecember 19th, 2005 Company Industry Jurisdiction
ACCOUNT MANAGEMENT AGREEMENTAccount Management Agreement • January 19th, 2022
Contract Type FiledJanuary 19th, 2022This Agreement sets forth the terms of the provision of financial services (“Services”) that DNBC Financial Canada Limited ("us" or “DNBC”) makes available to its customers (“you”). By applying for any Services, you agree to be bound by these terms. Your use of any Service will be additional evidence of your agreement to these terms.
Account Management AgreementAccount Management Agreement • April 13th, 2022 • Delaware
Contract Type FiledApril 13th, 2022 JurisdictionThis account management agreement (this “Agreement”) sets out the terms and conditions under which 99rises Inc. (“99rises”, “we”, or “us”), a registered investment adviser, will provide ongoing discretionary management services with respect to the assets in your 99rises account (the “Account”). This Agreement will become effective, and you will become our client (“Client” or “you”), on the date you sign it. You will sign this Agreement by checking and clicking the “I Agree” button or typing your name in the electronic signature field appearing after you have scrolled through this Agreement, either of which will constitute your electronic signature. Your electronic signature will be the same as if you signed a paper agreement by hand.
EXHIBIT 99.3 (TRANSLATION FROM SPANISH) THE PARTIES INCLUDE THE FOLLOWING GENERAL INFORMATION AS AN INTEGRAL PART OF THE AGREEMENT: AGREEMENT NO.: 49464-EE DATE: 27 OF MARCH 2000 TYPE OF ACCOUNT: INDIVIDUAL (X) JOINT ( ) SEVERAL ( ) ACCOUNT...Account Management Agreement • July 19th, 2005 • Citigroup Inc • National commercial banks
Contract Type FiledJuly 19th, 2005 Company IndustryINTEREST ESTABLISHED FOR THE PURPOSES OF SECTION 3 OF THE THIRTY-SEVENTH CLAUSE: THREE TIMES THE EIIR AT TWENTY-EIGHT (28) DAYS, CORRESPONDING TO THE PERIOD OF DEFAULT. THE PARTIES HAVING READ THIS AGREEMENT AND FULLY AWARE OF ITS CONTENTS AND LEGAL SCOPE, THEY SIGN IT IN EVIDENCE ON THE SAME DATE IN TRIPLICATE IN THE GENERAL INFORMATION SECTION AND ON EACH PAGE OF THIS AGREEMENT IN THE SPACES INDICATED TO SUCH EFFECT, ONE COPY REMAINING IN THE POSSESSION OF EACH PARTY. AUTHORIZED SIGNATURE: TYPE (JOINT) NAME MAYELA DE LA PAZ RINCON ARREDONDO DE VELASCO F.T.R. *********** SIGNATURE PROFESSION, PREPONDERANT ACTIVITY: ********************************** (Illegible Signature) AUTHORIZED SIGNATURE: TYPE (JOINT) NAME ******************************* F.T.R. *********** SIGNATURE PROFESSION, PREPONDERANT ACTIVITY: ********************************** ******************************* AUTHORIZED SIGNATURE: TYPE (JOINT) NAME ******************************* F.T.R. *********** SIGNATURE PROFESSION, PRE
ContractAccount Management Agreement • November 4th, 2024 • New York
Contract Type FiledNovember 4th, 2024 JurisdictionThis account management agreement (this “Agreement”) sets out the terms and conditions under which Pave Investment Advisors, LLC. (“Pave” or “ADVISER”), a registered investment adviser, will provide ongoing discretionary or non-discretionary management services with respect to the assets you load into the Pave account you create in the Pave application (“Pave Account”). This Agreement will become effective, and you will become a Pave client (“CLIENT”, “you”, “your” or similar terms), on the date you sign it. If your Pave Account relates to the assets of your Traditional Individual Retirement Account or Roth IRA (each an “IRA”), “CLIENT”, “you” or “your” refers to both you, as the settlor of the IRA, and the IRA. You will sign this agreement by checking and clicking the “I Agree” button or typing your name in the electronic signature field appearing after you have scrolled through this Agreement, either of which will constitute your electronic signature. Your electronic signature will b
ACCOUNT MANAGEMENT AGREEMENTAccount Management Agreement • October 30th, 2014
Contract Type FiledOctober 30th, 2014
This account will automatically expire three years from the date of its opening, at which point any remaining funds will be disposed of in accordance with the account application type. Account holders must renew their accounts prior to expiration.Account Management Agreement • August 30th, 2018
Contract Type FiledAugust 30th, 2018This agreement is used to add, change or delete authorized signers who can approve expenditures related to this account. By signing this agreement, the account director agrees to be responsible for the programmatic and financial management and conduct of this account. The individuals listed below certify that all expenditures will be in compliance with the educational mission of the university, the policies and procedures of the Foundation, and the restrictions imposed. If the signature authority is delegated to other individuals, it is understood that the account director will be responsible for all expenditures relating to this account.
AGREEMENT CAccount Management Agreement • April 8th, 2020 • Ohio
Contract Type FiledApril 8th, 2020 JurisdictionTech Solutions, LLC, an Ohio Limited Liability Company, whose address is 658 N Main Street, Celina, Ohio 45822, _Dan@InstantOrder.io_ (Email) referred to as “Vendor”, and
Student Clubs and Organizations Updated Signature FormAccount Management Agreement • June 17th, 2020
Contract Type FiledJune 17th, 2020This agreement is used to add, change or delete authorized signers who can approve expenditures related to this account. By signing this agreement, the account director agrees to be responsible for the programmatic and financial management and conduct of this account. The individuals listed below certify that all expenditures will be in compliance with the educational mission of the university, the policies and procedures of the Foundation, and the restrictions imposed. If the signature authority is delegated to other individuals, it is understood that the account director will be responsible for all expenditures relating to this account.
ACCOUNT MANAGEMENT AGREEMENT ESYM27922P102 Date: July 24, 2009 Between: ECOSYSTEM CORPORATION (“Company”), VIRIDIS CAPITAL, LLC (“Viridis”), and, COPPERBOTTOM INVESTMENTS, LTD. (the "Lead Senior Investor"), ABSENTIA HOLDINGS, LTD., ON TIME...Account Management Agreement • April 9th, 2010 • Ecosystem Corp • Apparel & other finishd prods of fabrics & similar matl
Contract Type FiledApril 9th, 2010 Company IndustryThus, for example, if the Available Breakout in Month 1 is $400,000 and the Scheduled Breakout in Month 1 is $588,400, then the Breakout Deficiency to be drawn from the Draw Account would be $188,400 as follows:
Philanthropic Account Name: Account Number: Effective DateAccount Management Agreement • June 24th, 2020
Contract Type FiledJune 24th, 2020This account will automatically renew once submitted and expire three years from the date of its submission, at which point any remaining funds will be disposed of in accordance with the account application type. Account holders must renew their accounts prior to expiration.
ACCOUNT MANAGEMENT AGREEMENTAccount Management Agreement • November 19th, 2020 • Illinois
Contract Type FiledNovember 19th, 2020 JurisdictionTHIS ACCOUNT MANAGEMENT AGREEMENT (this “Agreement”) is executed as of _________, 20_____ by _______________________________ (“Chapter”) and Greek Housing Management, LLC, an Illinois limited liability company (“Manager”). In exchange for the consideration set forth below, Chapter and Manager agree as follows:
ContractAccount Management Agreement • July 16th, 2024 • New York
Contract Type FiledJuly 16th, 2024 JurisdictionThis account management agreement (this “Agreement”) sets out the terms and conditions under which Pave Investment Advisors, LLC. (“Pave” or “ADVISER”), a registered investment adviser, will provide ongoing discretionary management services with respect to the assets you load into the Pave account you create in the Pave Professional application (“Pave Pro Account”). This Agreement will become effective, and you will become a Pave client (“CLIENT”, “you”, “your” or similar terms), on the date you sign it. If your Pave Pro Account relates to the assets of your Traditional Individual Retirement Account or Roth IRA (each an “IRA”), “CLIENT”, “you” or “your” refers to both you, as the settlor of the IRA, and the IRA. You will sign this agreement by checking and clicking the “I Agree” button or typing your name in the electronic signature field appearing after you have scrolled through this Agreement, either of which will constitute your electronic signature. Your electronic signature will b
Account Management AgreementAccount Management Agreement • May 4th, 2021 • New York
Contract Type FiledMay 4th, 2021 JurisdictionThis account management agreement (this “Agreement” or “Management Agreement”) sets out the terms and conditions under which Quantalytics Investment Advisors, LLC (“Quantalytics,” “we,” or “us”), a registered investment adviser, will provide ongoing discretionary management services with respect to the assets in your Quantalytics investment account (the “Quantalytics Account”). This Agreement will become effective, and you will become our client (“Client,” “you,” “your” or similar terms), on the date you sign it. If your Quantalytics Account relates to the assets of your Traditional Individual Retirement Account or Roth Individual Retirement Account (each an “IRA”), “Client,” “you” or “your” refers to both you, as the settlor of the IRA, and the IRA. You will sign this Agreementby checking and clicking the “I Agree” button or typing your name in the electronic signature field appearing after you have scrolled through this Agreement, either of which will constitute your electronic signa
ANNEX X - ACCOUNT MANAGEMENT AGREEMENT - CENTRALIZER ACCOUNTAccount Management Agreement • September 22nd, 2020
Contract Type FiledSeptember 22nd, 2020
ACCOUNT MANAGEMENT AGREEMENT For Management of the Unit Subscription Agreements USA 849207105 STLT No's: 01-10 Date: June 9, 2014 Between: Spotlight Innovation West Des Moines, IA 50266 A Nevada Company And: Those Investors Individually Signed in the...Account Management Agreement • June 13th, 2014 • Spotlight Innovation, Inc. • Oil & gas field services, nec
Contract Type FiledJune 13th, 2014 Company IndustryThis agreement will serve as the Account Control Agreement between the Investor(s), and Spotlight Innovation (the "Company"). This Agreement to be held and managed by Elco Securities, Ltd. (the “Intermediary”).
ACCOUNT MANAGEMENT AGREEMENT (ISSUER)Account Management Agreement • January 14th, 2009 • Nevada Geothermal Power Inc • Miscellaneous metal ores • New York
Contract Type FiledJanuary 14th, 2009 Company Industry JurisdictionThis ACCOUNT MANAGEMENT AGREEMENT (ISSUER) (this “Agreement”) is dated as of August 29, 2008 and entered into by and between NGP BLUE MOUNTAIN HOLDCO LLC, a Delaware limited liability company (“Issuer”) and TCW ASSET MANAGEMENT COMPANY (in its capacity as administrative agent under the Note Purchase Agreement referred to below, together with its successors and assigns in such capacity, the “Agent”). Agent, for the benefit of itself and the Note Holders under the Note Purchase Agreement, is referred to herein as the “Secured Party.”
ACCOUNT MANAGEMENT AGREEMENT, AMENDMENT TO PURCHASE AGREEMENT AND MUTUAL RELEASEAccount Management Agreement • November 3rd, 2020 • Covenant Logistics Group, Inc. • Trucking (no local) • Texas
Contract Type FiledNovember 3rd, 2020 Company Industry JurisdictionThis Account Management Agreement, Amendment to Purchase Agreement and Mutual Release (“Agreement”), dated as of September 23, 2020 (the “Effective Date”), is made between COVENANT TRANSPORT SOLUTIONS, LLC (“Covenant”), and Covenant’s parent, COVENANT LOGISTICS GROUP, INC. (“CVLG”), on the one hand (Covenant and CVLG, together with Covenant Transport, Inc., a Tennessee corporation, Covenant Asset Management, LLC, a Nevada limited liability company, CTG Leasing Company, a Nevada corporation, Covenant Logistics, Inc., a Nevada corporation, IQS Insurance Risk Retention Group, Inc., a Vermont corporation, Southern Refrigerated Transport, Inc., an Arkansas corporation, Star Transportation, Inc., a Tennessee corporation, Heritage Insurance, Inc., a Tennessee corporation, Transport Management Services, LLC, a Tennessee limited liability company, Landair Holdings, Inc., a Tennessee corporation, Landair Transport, Inc., a Tennessee corporation, Landair Leasing, Inc., a Tennessee corporation, an
AMA Delivery No: 01 MOT Control No: MOT 530362-102 LBTG USA Control No: USA 530362-102 LBTG AMA Control No: AMA 530362-102 LBTG ACCOUNT MANAGEMENT AGREEMENT For Management of the Unit Subscription Agreements USA 530362-102 LBTG No's: 01-11 Date:...Account Management Agreement • October 11th, 2012 • Liberty Coal Energy Corp. • Services-computer programming, data processing, etc.
Contract Type FiledOctober 11th, 2012 Company Industry
ACCOUNT MANAGEMENT AGREEMENTAccount Management Agreement • November 2nd, 2009 • 7 Days Group Holdings LTD • New York
Contract Type FiledNovember 2nd, 2009 Company JurisdictionThis ACCOUNTANT MANAGEMENT AGREEMENT (this “Agreement”), dated as of September 10, 2007, is made by and among 7 Days Group Holdings Limited (the “Company”), DB Trustees (Hong Kong) Limited, as collateral agent (in such capacity, the “Collateral Agent”) for the Holders of the Notes (as defined below), and Deutsche Bank AG Hong Kong Branch, as the account manager (in such capacity, the “Account Manager”).