Examples of Payment Date Schedule in a sentence
A Payment Date Schedule indicating the time period included in the paychecks will be available at the beginning of the school year.
On each Payment Date (to the extent sufficient cleared and immediately available funds are available in the 2022-1 Series Account), the Indenture Trustee, as specified in the related Payment Date Schedule with respect to the Flow of Funds, shall distribute funds then on deposit in the 2022-1 Series Account to the Series 2022-1 Noteholders in accordance with Section 3.11 of the Master Indenture.
On each Payment Date (to the extent sufficient cleared and immediately available funds are available in the 2024-1 Series Account), the Indenture Trustee, as specified in the related Payment Date Schedule with respect to the Flow of Funds, shall distribute funds then on deposit in the 2024-1 Series Account to the Series 2024-1 Noteholders in accordance with Section 3.11 of the Master Indenture.
On each Payment Date (to the extent sufficient cleared and immediately available funds are available in the 2021-1 Series Account), the Indenture Trustee, as specified in the related Payment Date Schedule with respect to the Flow of Funds, shall distribute funds then on deposit in the 2021-1 Series Account to the Series 2021-1 Noteholders in accordance with Section 3.11 of the Master Indenture.
The completed application must be submitted by March 1 (for conditional admission into the Fall semester), August 15 (admission into the Fall semester) or by November 1 (admission into the Winter semester).Program intake terms.
On each Payment Date (to the extent sufficient cleared and immediately available funds are available in the 2022-1 Series Account), the Indenture Trustee, as specified in the related Payment Date Schedule with respect to the Flow of Funds, shall distribute funds then on deposit in the 2022-1 Series Account to the Series 2022-1 Holders in accordance with Section 3.11 of the Master Indenture.
On each Payment Date (to the extent sufficient cleared and immediately available funds are available in the 2021-1 Series Account), the Indenture Trustee, as specified in the related Payment Date Schedule with respect to the Flow of Funds, shall distribute funds then on deposit in the 2021-1 Series Account to the Series 2021-1 Holders in accordance with Section 3.11 of the Master Indenture.
The Administrative Agent shall distribute a copy of each Payment Date Schedule delivered pursuant to Section 3.12(e) of the Indenture to the Series B2 Noteholders.
On each Payment Date (to the extent sufficient cleared and immediately available funds are available in the 2019-2 Series Account), the Indenture Trustee, as specified in the related Payment Date Schedule with respect to the Flow of Funds, shall distribute funds then on deposit in the 2019-2 Series Account to the Series 2019-2 Noteholders in accordance with Section 3.11 of the Master Indenture.
These external service providers, who are particularly important in animated film production, expose the Group to a financial counterparty risk.