REPORTS AND REMITTANCES definition

REPORTS AND REMITTANCES. The Company shall REMIT monthly reports to the Reinsurer detailing by year ceded, billed written premiums, earned premiums, unearned PREMIUM, paid loss and loss adjustment expense, outstanding loss and loss adjustment expense, due within 60 days following the close of the month. Payment due either party is due 60 days following the close of the month.
REPORTS AND REMITTANCES. Within sixty (60) days after the end of each calendar quarter during the Term of this Agreement, the Company shall
REPORTS AND REMITTANCES. Reports due within 45 days following the end of each month. Remittances due within 60 days following the end of each month. OTHER PROVISIONS: Original Conditions (as attached) Currency Clause - U.S. Dollar Taxes Clause (Reinsurers pay FET as applicable) Excess of Policy Limits (90% up to $150,000, 30% is $45,000 inclusive of contractual loss). Extra Contractual Obligations (90% up to $150,000, 30% is $45,000 inclusive of contractual loss). Delays, Errors or Omissions Clause Inspection Clause Arbitration Clause Service of Suit Clause Insolvency Clause (as attached) Alexander Re, Inc. Intermediary Clause And others as existing.

Examples of REPORTS AND REMITTANCES in a sentence

  • Upon receipt of the Summary Report as described below in the REPORTS AND REMITTANCES ARTICLE, the Reinsurer agrees to promptly pay or allow, as the case may be, its share of each such settlement in accordance with this Contract.

  • The Ultimate Net Loss due from the Reinsurer shall be charged against the Funds Withheld Balance on the date such monies are due and further subject to article entitled "REPORTS AND REMITTANCES".

  • Approval of Bills List of November 18, 2020 A motion was made by Mrs.

  • The Company may deduct paid loss and loss expenses paid as provided for in the REPORTS AND REMITTANCES ARTICLE, and the Company shall record and advise the Reinsurer of these deductions as provided in the REPORTS AND REMITTANCES ARTICLE.

  • Receipt by the Reinsurer of the initial reinsurance premium and of each subsequent reinsurance premium, in accordance with the provisions of ARTICLE IV - REPORTS AND REMITTANCES of this Agreement shall be a condition to the Reinsurer's continuing liability for reinsurance of each policy reinsured.

  • The Company may deduct paid Loss and Allocated Loss Expenses paid as provided for in the REPORTS AND REMITTANCES ARTICLE, and the Company shall record and advise the Reinsurer of these deductions as provided in the REPORTS AND REMITTANCES ARTICLE.

  • The Reinsurer agrees to pay the Reinsured the amounts of Ultimate Net Loss due hereunder and paid by the Reinsured (or payable by the Reinsured in case of insolvency in accordance with the article entitled "INSOLVENCY") quarterly in arrears and payment will be due within sixty (60) days following receipt and verification of an account statement submitted by the Reinsured to the Reinsurer as set forth in the article entitled "REPORTS AND REMITTANCES".

  • The primary indication to HSE rather than a different type of encephalitis is focality, especially to the temporal lobe [38].

  • The Reinsurer shall allow the Company a 27.50% provisional commission on all Ceded Reinsurance Premium to be reported in accordance with the REPORTS AND REMITTANCES ARTICLE.

  • AN ACTCONCERNING GASOLINE AND SPECIAL FUEL TAX, AND, IN CONNECTION THEREWITH, RECONCILING DIFFERENT MEASUREMENTS USED FOR CALCULATING TAX ON GASOLINE AND SPECIAL FUEL, REQUIRING ELECTRONIC FUND TRANSFERS FOR GASOLINE AND SPECIAL FUEL TAX REMITTANCES, AND CHANGING THE DUE DATE FOR THE FILING OF REPORTS AND REMITTANCES OF TAX.


More Definitions of REPORTS AND REMITTANCES

REPORTS AND REMITTANCES. Reports due within 45 days following the end of each month. Remittances due within 60 days following the end of each month.

Related to REPORTS AND REMITTANCES

  • Remittance Information means the information that must specify the Billing Account Numbers (BANs) paid; invoices paid and the amount to be applied to each BAN and invoice.

  • Monthly Reports shall have the meaning specified in Section 5.16(b) of the Indenture.

  • Servicer Remittance Report As defined in Section 4.03(d).

  • Required Reports means, collectively, the Servicing Report required pursuant to Section 6.08(b), the Servicer’s Certificate required pursuant to Section 6.08(c), the financial statements of the Servicer required pursuant to Section 6.08(d), the tax returns of the Borrower and the Servicer required pursuant to Section 6.08(e), the financial statements and valuation reports of each Obligor required pursuant to Section 6.08(f), the annual statements as to compliance required pursuant to Section 6.09, and the annual independent public accountant’s report required pursuant to Section 6.10.

  • Master Servicer Reporting Date With respect to any Distribution Date, 3:00 p.m. New York time on the 18th day of the calendar month in which such Distribution Date occurs or, if such 18th day is not a Business Day, the Business Day immediately succeeding such 18th day.

  • money remittance means a payment service where funds are received from a payer, without any payment accounts being created in the name of the payer or the payee, for the sole purpose of transferring a corresponding amount to a payee or to another payment service provider acting on behalf of the payee, and/or where such funds are received on behalf of and made available to the payee;

  • Remittance Report A report prepared by the Master Servicer and delivered to the Trustee and the NIM Insurer in accordance with Section 4.04.

  • Collection site means the location of waste containers on collection day.

  • Monthly Servicing Report shall have the meaning attributed to such term in the Servicing Agreement.

  • SOS Reports means the official reports from the Secretaries of State of each Collateral State, Chief Executive Office State and the Borrower State and other applicable federal, state or local government offices identifying all current security interests filed in the Collateral and Liens of record as of the date of such report.

  • Monthly Remittance Conditions means, collectively, (i) TMCC is the Servicer, (ii) either (a) TMCC’s short-term unsecured debt is rated P-1 by Moody’s and A‑1 by S&P, or (b) certain arrangements are made that are acceptable to the Rating Agencies and (iii) no Event of Default or Servicer Default shall have occurred and be continuing (unless waived by the appropriate Noteholders).

  • Monthly Servicer Report means a report substantially in the form attached as Exhibit A-1 to the Servicing Agreement or in such other form as shall be agreed between the Servicer (with prior consent of the Back-Up Servicer) and the Trustee; provided, however, that no such other agreed form shall serve to exclude information expressly required by this Base Indenture or any Series Supplement.

  • Monitoring and reporting requirements means one or more of

  • Daily Remittance is defined in Section 6.11(a) of the Servicing Agreement.

  • Reporting Requirements As defined in Section 11.15.

  • Privacy Statements means, collectively, any and all of the Company’s privacy statements and policies published on Company websites or products or otherwise made available by the Company regarding the collection, retention, use and distribution of the personal information of individuals, including, without limitation, from visitors or users of any Company websites or products (“Individuals”);

  • Servicing Report has the meaning assigned to that term in Section 6.08(b).

  • Master Servicer Remittance Date With respect to any Distribution Date, the Business Day immediately preceding such Distribution Date.

  • Servicer Information As defined in Section 12.07(a).

  • Servicer Remittance Date With respect to any Distribution Date, the 18th day of the calendar month in which such Distribution Date occurs or, if such 18th day is not a Business Day, the Business Day immediately following.

  • CREFC® Servicer Remittance to Certificate Administrator Template A report substantially in the form of, and containing the information called for in, the downloadable form of the “Interest Servicer Remittance to Certificate Administrator Template” available as of the Closing Date on the CREFC® Website, or such other form for the presentation of such information and containing such additional information as may from time to time be approved by the CREFC® for commercial mortgage securities transactions generally.

  • Delinquency Collection Policies and Procedures The delinquency collection policies and procedures of the Interim Servicer, a copy of which is attached to the Interim Servicing Agreement as Exhibit 11.

  • Electronic and Information Resources Accessibility Standards means the accessibility standards for electronic and information resources contained in 1 Texas Administrative Code Chapter 213.

  • CMSA Historical Liquidation Report means a report substantially in the form of, and containing the information called for in, the downloadable form of the "Historical Liquidation Report" available as of the Closing Date on the CMSA Website, or such other form for the presentation of such information and containing such additional information as may from time to time be approved by the CMSA for commercial mortgage securities transactions generally.

  • General Special Servicer mean the Person performing the duties and obligations of special servicer with respect to the Mortgage Pool (exclusive of (A) any Serviced Loan Combination or related REO Property as to which a different Loan Combination Special Servicer has been appointed with respect thereto and (B) any Excluded Special Servicer Mortgage Loan or any related REO Property as to which an Excluded Mortgage Loan Special Servicer has been appointed with respect thereto).

  • Monthly Remittance Date The 18th day of each month, or if the 18th day is not a Business Day, the preceding Business Day.