Bank Contact Sample Clauses

Bank Contact. Merchant may contact Bank at the following address and telephone number: Fifth Third Bank National Association,38 Xxxxxxxx Xxxxxx Xxxxx, Xxxxxxxxxx XX 00000, Telephone 000-000-0000. TERMS AND CONDITIONS FOR AMERICAN EXPRESS OPTBLUE To the extent Merchant elects at any time to accept American Express Transaction Cards and qualifies for PROCESSOR’s Direct Settlement Program for American Express OptBlue (registered trademark), the following terms and conditions shall apply, in addition to the Merchant Agreement, including the general terms and conditions as applicable (the “Agreement”), shall apply to the relationship between PROCESSOR and Merchant covered by this Addendum. In the event of any conflict between the Agreement and this Addendum related to an American Express Transaction Card or transaction related thereto, the terms of this Addendum shall apply.
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Bank Contact. Xx. Xxxxxx Xxxxxx Head, FTI Secretariat c/o the World Bank 0000 X Xxxxxx, XX Washington, DC 20433 USA Email: xxxxxxx@xxxxxxxxx.xxx Tel: (+0) 000-000-0000
Bank Contact. Merchant may contact Bank at the following address and telephone number: Fifth Third Bank National Association,38 Xxxxxxxx Xxxxxx Xxxxx, Xxxxxxxxxx XX 00000, Telephone 000-000-0000.
Bank Contact. All payments made by us under this Letter of Credit shall be transmitted by wire transfer to you pursuant to the instructions provided at the time of a drawing Telephone Number:
Bank Contact. You may contact Bank at the following address and telephone number: BAC Florida Bank, , 000 Xxxxxxx Xxxx, X-00, Xxxxx Xxxxxx, Xxxxxxx 00000, Attention: Branch Manager. Telephone Number: (000) 000-0000.
Bank Contact. [...***...]
Bank Contact. Merchant may contact Bank at the following address and telephone number: MB Financial Bank, N.A., 6000 X. Xxxxx Xxxx, Xxxxxxxx XX 00000. Telephone 800-000-0000.
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Related to Bank Contact

  • Contact a. In accordance with section 215.971(2), Florida Statutes, the Division’s Grant Manager shall be responsible for enforcing performance of this Agreement’s terms and conditions and shall serve as the Division’s liaison with the Sub-Recipient. As part of his/her duties, the Grant Manager for the Division shall: payment.

  • Points of Contact The following personnel are designated as the Points of Contact between the Parties in the performance of this Annex. Technical Points of Contact

  • Relationship Management LAUSD expects Contractors and their Representatives to ensure that their business dealings with and/or on behalf of LAUSD are conducted in a manner that is above reproach.

  • Relationship Managers The Participant Relationship Manager and the Reclaim Fund Relationship Manager at the date of this agreement for the purposes of clause 27 of Part B of this agreement are as follows:

  • Investment Management Services (a) The Manager shall manage the Fund’s assets subject to and in accordance with the investment objectives and policies of the Fund and any directions which the Trust’s Board of Trustees may issue from time to time. In pursuance of the foregoing, the Manager shall make all determinations with respect to the investment of the Fund’s assets and the purchase and sale of its investment securities, and shall take such steps as may be necessary to implement the same. Such determinations and services shall include determining the manner in which any voting rights, rights to consent to corporate action and any other rights pertaining to the Fund’s investment securities shall be exercised. The Manager shall render or cause to be rendered regular reports to the Trust, at regular meetings of its Board of Trustees and at such other times as may be reasonably requested by the Trust’s Board of Trustees, of (i) the decisions made with respect to the investment of the Fund’s assets and the purchase and sale of its investment securities, (ii) the reasons for such decisions and (iii) the extent to which those decisions have been implemented.

  • Contact Person person who provides a link for administrative information and who, depending on the structure of the higher education institution, may be the departmental coordinator or works at the international relations office or equivalent body within the institution.

  • Banking Relationships Schedule 3.22 shows the names and locations of all banks, trust companies and other financial institutions in which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access thereto.

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