EXHIBIT 10.18 LONDON INTERBANK OFFERED RATE BORROWING AGREEMENT A. Borrower has requested and Bank has agreed to extend an interest rate option of 1.50% per annum in excess of the LIBOR; and B. Borrower has executed a Promissory Note (Unsecured) dated...London Interbank Offered Rate Borrowing Agreement • May 8th, 1997 • Whittman Hart Inc • Services-computer processing & data preparation
Contract Type FiledMay 8th, 1997 Company Industry