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[["cash-account", "Cash Account", "Cash Account"], ["member-account", "Member Account", "Member Account"], ["tax-account", "Tax Account", "Tax Account"], ["separate-account", "Separate Account", "Separate Account"], ["aavs-account", "AAVS Account", "AAVS Account"]], "related_snippets": [["billing-account", "is the checking account from which all Service fees will be automatically debited."], ["transfer-account", "means the account established hereunder to which amounts transferred to this Plan from a direct plan-to-plan transfer in accordance with Section 4.7 are allocated."], ["user-account", "means an account under the name of the Customer in relation to the Service subscribed by the Customer."], ["cash-account", "has the meaning set forth in Section 2.1(a)(ii)."], ["distribution-accounts", "Collectively, the Upper-Tier REMIC Distribution Account, the Lower-Tier REMIC Distribution Account, the Excess Interest Distribution Account (and in each case any subaccount thereof), all of which may be subaccounts of a single Eligible Account."], ["separate-account", "shall have the respective meanings assigned to such terms in Section 3 of ERISA."], ["aavs-account", "means the account to which your Automatic Add Value Service is linked, as defined or specified in the relevant Application Form or such other account as notified to us by the Financial Institution or by the AAVS Account Holder from time to time;"], ["frozen-account", "means an account with a relevant institution which is held or controlled (directly or indirectly) by a designated person;"], ["regular-account", "means the account established for each active and inactive member un-"], ["seller-account", "shall have the meaning set forth in the preamble of this Agreement."], ["subsidy-account", "If the Trust Estate contains any Subsidy Loans, the deposit account or accounts created and maintained by the Servicer for deposit of Subsidy Funds and amounts payable under interest subsidy agreements relating to mortgage loans other than the Mortgage Loans."], ["tax-account", "shall have the meaning set forth in Section 8.6 hereof."], ["ft-account", "Pool #: Mortgagor's Name, Address and Zip Code: Mortgage Loan Number: Reason for Requesting Documents (check one)"], ["employer-account", "The Participant's Matching 401(k) Contributions Account, Matching Thrift Contributions Account, Employer Contributions Account, Qualified Matching Contributions Account and Qualified Nonelective Contributions Account, as the case may be."], ["holding-account", "means an account:"], ["member-account", "means the regular account and the variable account."], ["master-account", "or \u201cJudicial Council\u2019s Master Account\u201d shall mean the Judicial Council\u2019s billing account to which the Contractor is authorized to charge specifically identified charges under this Agreement."], ["investment-account", "As defined in Section 3.12(a)."], ["settlement-account", "means an account at a financial institution designated by Merchant as the account to be debited and credited by Bank for Transactions, fees, Chargebacks and other amounts due under the Merchant Agreement."], ["sub-account", "means any of the individual sub-accounts of a Participant's Account that is maintained as provided in Article VIII."], ["current-account", "means a form of demand deposit wherefrom withdrawals are allowed any number of times depending upon the balance in the account or up to a particular agreed amount and will also include other deposit accounts which are neither Savings Deposit nor Term Deposit."], ["separate-accounts", "means the accounts which are to be prepared for each"], ["other-accounts", "means all of the accounts and funds, other than the Sub-Advised Assets, managed by the Sub-Adviser for or on behalf of Northern Trust Investments, Inc. and/or its affiliates that have a substantially similar investment strategy for which the Sub-Adviser is being engaged pursuant to this Agreement."], ["client-account", "means the unique personalized account of the Client consisting of all Completed Transactions, Open Positions and Orders on the Platform, the Balance of the Client money and deposit/withdrawal transactions of the Client money. It is understood that the Company may use the term Trading Account or Account on its Website or communications, which shall mean your Client Account."], ["checking-account", "means a Demand Deposit account (DDA), a Negotiable Order of Withdrawal (NOW) account, a Savings account and a Money Market account at the Bank that you open through the Bank website; \"Account\" includes any Checking, Certificate of Deposit, or Savings account at the Bank opened through the Website or in person; \"Card\" means an automated teller machine card and/or a VISA debit card that accesses your Checking, Savings, Money Market, or NOW account; \"PIN\" means the personal identification number you use in connection with your Card; \"Password\" means the password you use to access the Website and your Bank Accounts through a personal computer or other electronic terminal; \"Access Device\" means your Card, Password, or other device or code we make available to you to access your Accounts; \"Business Day\" means Monday through Friday, except federal holidays; and \"Authorized User\" means any person you authorize or permit to use your Card, Password or other Access Device to access your Accounts, whether that person uses the Access Device to obtain information or to conduct a transaction. This EFT Agreement is part of the Banking Documents. Other terms used in this EFT agreement may be defined elsewhere in the Banking Documents. \u2022 ATM Safety \u2022 Funds Transfers \u2022 Other Electronic Fund Transfer Services \u2022 Liability For Unauthorized Electronic Transfers \u2022 Other Electronic Fund Transfer Services Types of Transactions\u200c We offer the following types of Electronic Fund Transfers (EFT) Services for your Checking Account. \u2022 Direct Deposits. You can arrange for direct deposits to your checking and savings account(s). \u2022 Preauthorized Credits/Debits. We accept, on your behalf preauthorized Credits/Debits drawn on your Deposit Accounts which allow unrestricted activity. Through our electronic bill payment service, you are able to electronically transfer funds from your Deposit Account to other parties, provided the account allows such activity. We may conduct these transactions via Automated Clearinghouse (ACH) transfer. We may also accept and direct funds by wire transfer. Each of these services has unique fees associated with the transaction. Please consult our Schedule of Fees herein. When you provide the party initiating the withdrawal or deposit with advance authorization to make recurring ACH transfers to or from your Account, the transfers are referred to as \"preauthorized transfers.\" Because these preauthorized transfers are performed electronically through the ACH, they are governed by federal regulations pertaining to EFT Services, which entitle you to certain benefits and protections in connection with the EFT Services, such as the right to receive a copy of your written authorization to make preauthorized transfers from your Account from the party that obtains it. \u2022 ATM and Point-of-Sale Transactions. ATM Transactions. ATM Cards issued by us to you remain our property and you may be requested to return the Card to us at any time for any reason. Each card is used in conjunction with an authorizing Personal Identification Number (\"PIN\"). To guard against someone initiating a transaction that you have not authorized, you must take all reasonable precautions to prevent any other person from learning your PIN. If you permit or authorize another person to use your Card and PIN, you will be liable for all resulting transactions. You may use your Card at ATMs which are a part of an Electronic Funds Transfer service network to which the Bank belongs (\"EFT network\"). ATM withdrawals are available up to the daily authorization limits disclosed below, provided the available balance in the Deposit Account associated with your card is greater than or equal to the amount requested, plus any fees that may be charged along with the cash disbursement. \u2022 Withdraw cash from your Checking Account. \u2022 Find out your Checking Account balances. \u2022 Transfer funds between your own accounts at the Bank (if available on the ATM in use). \u2022 Withdraw cash from your Savings Account. \u2022 Make deposits to your own accounts."], ["participating-account", "a separate account investing all or a portion of its assets in the Trust, including the Account."]], "updated": "2025-07-06T21:58:29+00:00"}, "json": true, "cursor": ""}}