Depositor Payment Obligation Sample Clauses

Depositor Payment Obligation. The Depositor shall be responsible for payment of the Administrator’s compensation under the Administration Agreement and shall reimburse the Administrator for all expenses and liabilities of the Administrator incurred under the Administration Agreement.
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Depositor Payment Obligation. The Depositor shall be responsible for payment of the Administrator’s compensation under the Administration Agreement and shall reimburse the Administrator for all expenses and liabilities of the Administrator incurred thereunder. In addition, the Depositor shall be responsible for the payment of all fees and expenses of the Issuer and the Trustees paid by any of them in connection with any of their obligations under the Basic Documents to obtain or maintain any required license under the Pennsylvania Motor Vehicle Sales Finance Act and the Maryland Act (MD Fin. Inst. Code Axx., Title 11, Subtitle 4).
Depositor Payment Obligation. The Depositor shall be responsible for payment of the Administrator's fees under the Administration Agreement and shall reimburse the Administrator for all expenses and liabilities of the Administrator incurred thereunder. In addition, the Depositor shall be responsible for the payment of all fees and expenses of the Trust, the Owner Trustee and the Indenture Trustee paid by any of them in connection with any of their obligations under the Basic Documents to obtain or maintain any required license under the Pennsylvania Motor Vehicle Sales Finance Act.
Depositor Payment Obligation. 28 EXHIBITS EXHIBIT A -- Form of Trust Certificate.............................. A-1 EXHIBIT B -- Form of Certificate of Trust of Premier Auto Trust 1997-3................................... B-1 EXHIBIT C -- Form of Transferor Certificate......................... C-1 EXHIBIT D -- Form of Investment Letter.............................. D-1 EXHIBIT E -- Form of Rule 144A Letter............................... E-1 AMENDED AND RESTATED TRUST AGREEMENT dated as of September 1, 1997, among CHRYSLER FINANCIAL CORPORATION, a Michigan corporation, as depositor (the "Depositor"), PREMIER RECEIVABLES L.L.C. (the "Company"), a Michigan limited liability company, and CHASE MANHATTAN BANK DELAWARE, a Delaware banking corporation, as owner trustee (the "Owner Trustee").
Depositor Payment Obligation. 37 Section 11.14 Certain Matters Regarding the Insurer.................................................... 37 Section 11.15 Fiduciary Duties......................................................................... 38 EXHIBITS Exhibit A - Form of Certificate of Trust Exhibit B - Form of Residual Interest Instrument This TRUST AGREEMENT, dated as of January 1, 2003, is among ONYX ACCEPTANCE FINANCIAL CORPORATION, a Delaware corporation (the "DEPOSITOR"), THE BANK OF NEW YORK (DELAWARE), a Delaware banking corporation, as owner trustee (the "OWNER TRUSTEE"), and JPMorgan Chase Bank, a New York banking corporation, as agent of the Owner Trustee for the limited purposes set forth herein (the "TRUST AGENT").
Depositor Payment Obligation. 35 Section 11.14.
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Depositor Payment Obligation. The Servicer shall be responsible for payment of the Administrator's compensation pursuant to Section 3 of the Administration Agreement and shall reimburse the Administrator for all expenses and liabilities of the Administrator incurred thereunder.
Depositor Payment Obligation. 40 Section 11.14. Insurer Default or Insolvency.......................................... 40 EXHIBITS Exhibit A - Form of Certificate Depository Agreement................................... A-1 Exhibit B - Form of Certificate of Trust............................................... B-1 Exhibit C - Form of Trust Certificate.................................................. C-1
Depositor Payment Obligation. 30 Section 11.14. Federal Tax Treatment.....................................30 EXHIBITS Exhibit A - Form of Trust Certificate A-1 Exhibit B - Form of Seller Certificate B-1 Exhibit C - Form of Investment Letter C-1 Exhibit D - Form of Rule 144A Letter D-1 This Amended and Restated Trust Agreement, dated August 19, 2003, is between American Honda Receivables Corp., a California corporation, as depositor (the "Depositor") and Chase Manhattan Bank USA, National Association, as trustee (the "Owner Trustee").
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