Schedule of Retail Leases definition

Schedule of Retail Leases. Each schedule attached to a PA Assignment or a PSA Assignment specifying the Retail Leases then being transferred to the Issuer.

Examples of Schedule of Retail Leases in a sentence

  • The information set forth in the Schedule of Retail Leases and the Schedule of Retail Notes relating to such Designated Receivables is true and correct in all material respects.

  • The information regarding such Designated Retail Leases set forth in the related Schedule of Retail Leases is true and correct in all material respects.

  • Harco Leasing shall have delivered to NFC, the General Interest Trustee and the Indenture Trustee the Initial LPA Assignment or Subsequent LPA Assignment, as applicable, and the related Schedule of Retail Leases.

  • For value received, in accordance with the Lease Purchase Agreement, Harco Leasing does hereby sell, assign, transfer and otherwise convey unto NFC, without recourse, all right, title and interest of Harco Leasing in, to and under the Retail Leases identified on the Schedule of Retail Leases attached hereto as Schedule I and the Related Titling Trust Assets with respect to such Retail Leases with a Cutoff Date of (collectively, the “Transferred Assets”).

  • By: ______________________________ Name: Title: Schedule II to Receivable Assignment FORM OF SCHEDULE OF RETAIL LEASES This Schedule of Retail Leases is made as of __________ ________ by Navistar Financial Corporation, a Delaware corporation, ("NFC"), in favor of Truck Retail Instalment Paper Corp., a Delaware corporation ("TRIP"), as contemplated by Section 2.02 of the Receivables Purchase Agreement dated as of October ____, 2000 (the "Receivables Purchase Agreement") between TRIP and NFC.

  • Pursuant to Section 10.1 of the Series 2004-A Portfolio Supplement, Harco Leasing, as the Requisite GI Holder, hereby directs the General Interest Trustee to designate the Retail Leases more particularly described on the Schedule of Retail Leases attached hereto as Schedule I, along with the Related Titling Trust Assets with respect to such Retail Leases (collectively, the “Transferred Assets”), and account for the Transferred Assets as part of the Series 2004-A Portfolio Interest.

  • Pursuant to Section 10.1 of the Series 2005-A Portfolio Supplement, Harco Leasing, as the Requisite GI Holder, hereby directs the General Interest Trustee to designate the Retail Leases more particularly described on the Schedule of Retail Leases attached hereto as Schedule I, along with the Related Titling Trust Assets with respect to such Retail Leases (collectively, the “Transferred Assets”), and account for the Transferred Assets as part of the Series 2005-A Portfolio Interest.

  • The information regarding such Designated ------------------------- Retail Leases set forth in the related Schedule of Retail Leases is true and correct in all material respects.

  • The Auction Agent shall issue and register replacement certificates for certificates represented to have been lost, stolen or destroyed upon the fulfillment of such requirements as shall be deemed appropriate by the Trust and the Auction Agent, subject at all times to provisions of law, the By-Laws of the Trust governing such matters and resolutions adopted by the Trust with respect to lost securities.

  • Pursuant to Section 10.1 of the Series 2006-ARC Portfolio Supplement, Harco Leasing, as the Requisite GI Holder, hereby directs the General Interest Trustee to designate the Retail Leases more particularly described on the Schedule of Retail Leases attached hereto as Schedule I, along with the Related Titling Trust Assets with respect to such Retail Leases (collectively, the “Transferred Assets”), and account for the Transferred Assets as part of the Series 2006-ARC Portfolio Interest.

Related to Schedule of Retail Leases

  • Schedule of Contracts means the list or lists of Contracts attached as Schedule A to this Agreement, which Contracts are being transferred to the Owner Trustee as part of the Trust Estate, which list or lists shall set forth the following information with respect to each such Contract in numbered columns:

  • Schedule of Receivables means the Schedule of Receivables sold and transferred pursuant to this Agreement which is attached hereto as Schedule A.

  • Schedule of Representations means the Schedule of Representations and Warranties attached hereto as Schedule B.

  • Schedule of Charges means the schedule as seen in clause Schedule of Charges;

  • Schedule of Rejected Executory Contracts and Unexpired Leases means the schedule (including any amendments or modifications thereto), if any, of the Executory Contracts and Unexpired Leases to be rejected by the Debtors pursuant to the Plan, as set forth in the Plan Supplement, as amended by the Debtors from time to time in accordance with the Plan, which shall be in form and substance acceptable to the Debtors.

  • Rent Roll shall have the meaning set forth in Section 3.18 hereof.

  • Schedule of Accounts means an aged trial balance and reconciliation to the Borrowing Base in form and substance reasonably satisfactory to the Administrative Agent (which may at the Administrative Agent’s discretion include copies of original invoices) listing the Accounts of the Borrower, certified on behalf of the Borrower by a Duly Authorized Officer, to be delivered on a monthly basis to the Administrative Agent by the Borrower pursuant to Section 8.1(d) hereof.

  • Schedule of Rates means the priced Schedule of Rates forming part of the tender [where applicable].

  • Receivable Schedule means the list identifying the Receivables attached as Schedule 1 to the Sale and Servicing Agreement and as Schedule A to the Receivables Purchase Agreement (which list may be in an electronic format).

  • Asset Schedule means with respect to any Transaction as of any date, an asset schedule in the form of a computer tape or other electronic medium (including an Excel spreadsheet) generated by Seller and delivered to Buyer and the Custodian, which provides information (including, without limitation, the information set forth on Exhibit E attached hereto) relating to the Purchased Mortgage Loans in a format reasonably acceptable to Buyer.

  • Schedule of compliance means a schedule of remedial measures included in a state permit, including an enforceable sequence of interim requirements (for example, actions, operations, or milestone events) leading to compliance with the Act, the CWA and regulations.

  • Equipment Schedule means (a) each Equipment Schedule attached to the applicable Requisition and (b) each Equipment Schedule attached to the applicable Lease Supplement.

  • Schedule of Assumed Executory Contracts and Unexpired Leases means the schedule of certain Executory Contracts and Unexpired Leases to be assumed (or assumed and assigned) by the Debtors pursuant to the Plan, as the same may be amended, modified, or supplemented from time to time by the Debtors.

  • Schedule of Payments means the schedule of payments disclosed on a Contract.

  • Receivables Schedule means the schedule of receivables attached as Schedule A, as amended, supplemented or otherwise modified and in effect from time to time.

  • Schedule of Values means the detailed breakdown of the cost of the materials, labor, and equipment necessary to accomplish the Work as described in the Contract Documents, submitted by Contractor for approval by Owner and A/E.

  • Initial Receivable means each Contract related to a Financed Vehicle transferred to the Issuer pursuant to Section 2.1, which, as of the Closing Date, is listed on Schedule A (which Schedule A may be in the form of an electronic file), and all rights and obligations thereunder, except for Initial Receivables that shall have become Purchased Receivables or Sold Receivables.

  • Purchase at retail means the acquisition, consumption or use of telecommunications through a sale at retail.

  • Rent Schedule means a written schedule for the Mortgaged Property showing the name of each tenant, and for each tenant, the space occupied, the lease expiration date, the rent payable for the current month, the date through which rent has been paid, and any related information requested by Lender.

  • Schedule of Benefits means the section of this policy which shows, among other things, the Eligibility Requirements, Eligibility Waiting Period, Elimination Period, Amount of Insurance, Minimum Benefit, and Maximum Benefit Period.

  • Sale at retail or "retail sale" means the act or attempted act of selling, bartering, exchanging, or

  • Schedule of Fees means the published note of the School's prevailing fees notified to you from time to time and a copy of which remains available on the School's website and from the School at any time upon request;

  • Payment Schedule ’ means a schedule which sets out—

  • Schedule of rates of Railway means the schedule of rates issued under the authority of the Chief Engineer from time to time and shall also include Rates specified in tender document.

  • Lease Supplement means a Lease Supplement, substantially in the form of Schedule 2 hereto, to be entered into between Lessor and Lessee on the Delivery Date for the purpose of leasing the Aircraft under and pursuant to the terms of this Agreement, and any subsequent Lease Supplement entered into in accordance with the terms of this Agreement.

  • Exhibit One Mortgage Loan Schedule Exhibit Two: Schedule of Discount Fractions Exhibit Three: Information to be Included in Monthly Distribution Date Statement Exhibit Four: Standard Terms of Pooling and Servicing Agreement dated as of March 1, 2003 This is a Series Supplement, dated as of April 1, 2003 (the "Series Supplement"), to the Standard Terms of Pooling and Servicing Agreement, dated as of March 1, 2003 and attached as Exhibit Four hereto (the "Standard Terms" and, together with this Series Supplement, the "Pooling and Servicing Agreement" or "Agreement"), among RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC., as the company (together with its permitted successors and assigns, the "Company"), RESIDENTIAL FUNDING CORPORATION, as master servicer (together with its permitted successors and assigns, the "Master Servicer"), and BANK ONE, NATIONAL ASSOCIATION, as Trustee (together with its permitted successors and assigns, the "Trustee").