Examples of Foreign ATM Transaction in a sentence
ATM Access Fee means the fee assessed by an ATM operator to a Cardholder for completing a Foreign ATM Transaction.
For the midpoint realistic opportunity review due on July 1, 2020, as required pursuant to N.J.S.A. 52:27D-313, the Borough will post on its municipal website, with a copy provided to FSHC, a status report as to its implementation of its plan and an analysis of whether any unbuilt sites or unfulfilled mechanisms continue to present a realistic opportunity and whether any mechanisms to meet Unmet Need should be revised or supplemented.
Each proposed Settlement Class is identical, with the Settlement Class defined as:All individuals and entities that paid an unreimbursed ATM Access Fee directly to any Bank Defendant or Alleged Bank Co- Conspirator for a Foreign ATM Transaction using an ATM card issued by a financial institution in the United States to withdraw cash at an ATM located in the United States at any time from October 1, 2007 to the date of the Preliminary Approval Order.
Plaintiffs estimate that the number of ATM cardholders forced to pay inflated ATM Access Fees in connection with a Foreign ATM Transaction are at least in the many thousands.
The Settlement Class is defined as follows: All individuals and entities that paid an unreimbursed ATM Access Fee directly to any Bank Defendant or Alleged Bank Co-Conspirator for a Foreign ATM Transaction using an ATM card issued by a financial institution in the United States to withdraw cash at an ATM located in the United States at any time from 07069-00001/12354187.1 October 1, 2007, to the date of the Preliminary Approval Order [November 12, 2021].
Bank Guarantee issued by a scheduled commercial bank in India, in the prescribed form as provided in Section XV of this document.
In the absence of a correlate of protection, this will always be the case.
Payments for Section 502, Part B consist of the Foreign ATM Transaction Fee applied to the preceding month’s Foreign ATM Transactions to be paid on or before the 15th day of the second month and each succeeding month.
REPORTS.A. Concessionaire shall submit to the City by the 15th day of the second and each succeeding month of each Contract Year hereof, an accurate statement of Foreign ATM Transaction surcharges.
The “Bid Item” shall be: The highest Foreign ATM Transaction Fee Percentage per Contract Year, but not less than 45% per Contract Year (see Section 11 entitled “Disqualifications Of Bidders” of the Instructions To Bidders).