Remittance Agency Agreement definition

Remittance Agency Agreement. As defined in Section 2.2 hereof.
Remittance Agency Agreement means the Remittance Agency Agreement, dated as of November [ ], 2002, among the undersigned financial institution (the “Counterparty”), Saxon Asset Securities Company (“SASCO”), and Deutsche Bank Trust Company Americas (the “Remittance Agent”) relating to Saxon Asset Securities Trust 2002-3. The term “Pooling and Servicing Agreement” shall mean the Pooling and Servicing Agreement among Saxon Asset Securities Company (“Saxon”), Saxon Mortgage, Inc. (“SMI”) as Master Servicer, Saxon Mortgage Services, Inc. (“SMS”), as Servicer, and the Trustee named therein relating to the said Saxon Asset Securities Trust. Release. Simultaneously with receipt by wire transfer of the Remitted Amount as defined in the Remittance Agency Agreement, the Counterparty hereby, without further act, releases any and all right, title, interest, or security interest in the Mortgage Loans identified in the Pooling and Servicing Agreement, together with all of the Counterparty’s rights and interests in and to the related loan files, rights, assets of any kind, and proceeds thereof, related to the Mortgage Loans. Until payment for such Mortgage Loans is received by the Remittance Agent, the Counterparty’s aforesaid ownership interest therein will remain in full force and effect. The Counterparty agrees that upon receipt by the Remittance Agent of the Remitted Amount it shall execute and deliver to SMI and such other parties as SMI may designate such further release documents, and file with the appropriate filing officials, as required, any and all documents appropriate to further evidence such release and to reflect such release in appropriate public records.
Remittance Agency Agreement means the Remittance Agency Agreement, dated as of _____________, 20__, among the undersigned financial institution (the “Counterparty”), Saxon Asset Securities Company (“SAXON”), and Deutsche Bank National Trust Company (the “Remittance Agent”) relating to Saxon Asset Securities Trust 2007-3. The term “Pooling and Servicing Agreement” shall mean the Pooling and Servicing Agreement among Saxon Asset Securities Company (“Saxon”), Saxon Mortgage Services, Inc. (“Saxon”), as Servicer, and the Trustee named therein relating to the said Saxon Asset Securities Trust.

Examples of Remittance Agency Agreement in a sentence

  • As used in this Security Release Certification, the term “Remittance Agency Agreement” shall mean the Remittance Agency Agreement, dated as of June ___, 2006, among the undersigned financial institution (the “Counterparty”), Saxon Asset Securities Company (“SAXON”), and Deutsche Bank National Trust Company (the “Remittance Agent”) relating to Saxon Asset Securities Trust 2007-1.

  • As used in this Security Release Certification, the term “Remittance Agency Agreement” shall mean the Remittance Agency Agreement, dated as of _____________, 20__, among the undersigned financial institution (the “Counterparty”), Saxon Asset Securities Company (“SAXON”), and Deutsche Bank National Trust Company (the “Remittance Agent”) relating to Saxon Asset Securities Trust 2007-3.

  • Simultaneously with receipt by wire transfer of the Remitted Amount as defined in the Remittance Agency Agreement, the Counterparty hereby, without further act, releases any and all right, title, interest, or security interest in the Mortgage Loans identified in the Pooling and Servicing Agreement, together with all of the Counterparty's rights and interests in and to the related loan files, rights, assets of any kind, and proceeds thereof, related to the Mortgage Loans.

  • As used in this Security Release Certification, the term “Remittance Agency Agreement” shall mean the Remittance Agency Agreement, dated as of _____________, 20__, among the undersigned financial institution (the “Counterparty”), Saxon Asset Securities Company (“SAXON”), and Deutsche Bank National Trust Company (the “Remittance Agent”) relating to Saxon Asset Securities Trust 2007-2.

  • The EIN base for an organization is the IRS Tax ID number; for individuals it is their social security number.

  • In doing so, the Board must take into account the requirements of the Australian Stock Exchange Listing Rules and the Corporations Act 2001.In accordance with the Company’s constitution, Mr J C Atkinson will retire at the Company’s forthcoming annual general meeting and offers himself for re-election.Currently, all directors are required to be re-elected at least every three years, at least one-third of the directors must retire at each annual general meeting.

  • As used in this Security Release Certification, the term "Remittance Agency Agreement" shall mean the Remittance Agency Agreement, dated as of July [ ], 2002, among the undersigned financial institution (the "Counterparty"), Saxon Asset Securities Company ("SASCO"), and Deutsche Bank Trust Company Americas (the "Remittance Agent") relating to Saxon Asset Securities Trust 2002-2.


More Definitions of Remittance Agency Agreement

Remittance Agency Agreement means the Remittance Agency Agreement dated as of [[ ]], 2001 among the undersigned financial institution (the "Counterparty"), Saxon Asset Securities Company ("SASCO"), and Bankers Trust Company (the "Remittance Agent") relating to Saxon Asset Securities Trust 2001-3. The term "Pooling and Servicing Agreement" shall mean the Pooling and Servicing Agreement among Saxon Asset Securities Company ("Saxon"), Saxon Mortgage, Inc. ("SMI") as Master Servicer, Meritech Mortgage Services, Inc. ("Meritech"), as Servicer, and the Trustee named therein relating to the said Saxon Asset Securities Trust.
Remittance Agency Agreement means the Remittance Agency Agreement, dated as of [ ], 2006, among the undersigned financial institution (the “Counterparty”), Saxon Asset Securities Trust 2006-3 (the “Trust”), and Deutsche Bank Trust Company Americas (the “Remittance Agent”). The termSale and Servicing Agreement” shall mean the Sale and Servicing Agreement among Saxon Asset Securities Trust 2006-3, as Issuer (the “Issuer”), Saxon Asset Securities Company (“Saxon”), Saxon Funding Management, Inc. (“SFM”) as Master Servicer, Saxon Mortgage Services, Inc. (“Saxon”), as Servicer, and the Indenture Trustee named therein relating to the said Issuer.

Related to Remittance Agency Agreement

  • Calculation Agency Agreement means the Calculation Agency Agreement, dated as of December 21, 2006 between the Company and the Calculation Agent, as amended from time to time, or any successor calculation agency agreement.

  • Auction Agency Agreement means the agreement between the Fund and the Auction Agent which provides, among other things, that the Auction Agent will follow the Auction Procedures for purposes of determining the Applicable Rate for shares of a series of MuniPreferred so long as the Applicable Rate for shares of such series is to be based on the results of an Auction.

  • Swap Administration Agreement As defined in Section 4.08(b).

  • Fiscal Agency Agreement The Fiscal Agency Agreement dated as of the Closing Date among the Fiscal Agent, the Share Registrar and the Issuer, as amended from time to time in accordance with the terms thereof.

  • Paying Agency Agreement means one or more Paying Agency Agreements made

  • Lead Securitization Servicing Agreement means (i) the pooling and servicing agreement or other comparable agreement related to the Lead Securitization, and (ii) on and after the date on which the Mortgage Loan is no longer subject to the provisions of the Lead Securitization Servicing Agreement, the “Lead Securitization Servicing Agreement” shall be determined in accordance with the second paragraph of Section 2(a).

  • Master Servicing Agreement means the master servicing agreement entered into on 20 May 2013 between the Guarantor, the Issuer and the Master Servicer.

  • Non-Lead Securitization Servicing Agreement shall have the meaning assigned to such term in Section 2(b).

  • Global Agency Agreement The global agency agreement between Xxxxxxx Mac and the Global Agent, dated as of the Closing Date.

  • Collateral Agency Agreement means that certain Collateral Agency Agreement dated as of the Effective Date among the Collateral Agent, the Administrative Agent and the Term Loan Administrative Agent, as the same may be amended, restated, amended and restated, supplemented or otherwise modified or replaced from time to time.

  • Sub-Servicing Agreement The written contract between the Servicer and a Sub-Servicer relating to servicing and administration of certain Mortgage Loans as provided in Section 3.02.

  • Securitization Servicing Agreement means the Lead Securitization Servicing Agreement or any Non-Lead Securitization Servicing Agreement.

  • Agency Agreement means the agency agreement entered into on or before the First Issue Date, between the Issuer and the Agent, or any replacement agency agreement entered into after the First Issue Date between the Issuer and an agent.

  • Servicing Arrangement is defined in Section 11.06(b).

  • Issuer Administration Agreement means that certain issuer administration agreement, dated as of the date hereof, among the Administrator, the Issuer, the Transferor and the Indenture Trustee.

  • Collateral Administration Agreement An agreement dated as of the Closing Date among the Issuer, the Collateral Manager and the Collateral Administrator, as amended from time to time in accordance with the terms thereof.

  • Servicing Agreement means such subsequent Servicing Agreement; provided, however, that until a replacement Servicing Agreement has been entered into (and such written confirmation has been obtained), the Note A-1 Holder shall cause the Mortgage Loan to be serviced pursuant to the provisions of the Servicing Agreement as if such agreement was still in full force and effect with respect to the Mortgage Loan; provided, further, however, that until a replacement Servicing Agreement is in place, the actual servicing of the Mortgage Loan may be performed by any Qualified Servicer appointed by the Note A-1 Holder and does not have to be performed by the service providers set forth under the Servicing Agreement that was previously in effect.

  • Interim Servicing Agreement The agreement to be entered into by the Purchaser and the Interim Servicer, providing for the Interim Servicer to service the Mortgage Loans as specified by the Interim Servicing Agreement.

  • Basic Collateral Agency Agreement means the Amended and Restated Basic Collateral Agency Agreement, dated as of March 1, 2009, among Daimler Trust, the Administrative Agent, Daimler Title Co., as collateral agent, and MBFS USA, as lender and as servicer.

  • Primary Servicing Agreement means, with respect to each Primary Servicer, the agreement between such Primary Servicer and the Master Servicer, dated as of August 1, 2004, under which such Primary Servicer services the Mortgage Loans and, if applicable, the Serviced Companion Loan set forth on the schedule attached thereto.

  • Back-Up Servicing Agreement means that certain Back-Up Servicing Agreement to be entered into by and among the Company, the Administrative Agent and the Back-Up Servicer, as such agreement may be amended, restated, supplemented or otherwise modified from time to time.

  • Backup Servicing Agreement means the Amended and Restated Backup Servicing Agreement dated as of the Closing Date among the Borrower, the Servicer, the Administrative Agent and the Backup Servicer, as amended by that certain Amendment No. 1 to Backup Servicing Agreement dated as of April 14, 2009, as the same may from time to time be further amended, restated, supplemented, waived or modified.

  • Non-Lead Servicing Agreement means the pooling and servicing agreement, trust and servicing agreement or other similar agreement to be entered into in connection with a Non-Lead Securitization Note.

  • Basic Servicing Agreement means the Amended and Restated Servicing Agreement, dated as of March 1, 2009, among MBFS USA, as lender and as servicer, Daimler Trust, as titling trust, and Daimler Title Co., as collateral agent.

  • Pledged Asset Mortgage Servicing Agreement The Pledged Asset Mortgage Servicing Agreement, dated as of February 28, 1996 between MLCC and the Master Servicer. Pooling and Servicing Agreement or Agreement: With respect to any Series, this Standard Terms together with the related Series Supplement.

  • National City Servicing Agreement Solely with respect to the National City Mortgage Loans, the Master Seller’s Warranties and Servicing Agreement, dated as of October 1, 2001, between the Transferor and National City, as the same may be amended from time to time, and any assignments and conveyances related to the National City Mortgage Loans.