Common use of Accounts and Cash Flow Clause in Contracts

Accounts and Cash Flow. Schedule 3 sets forth as of the date hereof a true and complete list of all bank or other similar accounts that have been opened in respect of the Aircraft relating to the Lease and sets forth in reasonable detail a written description of all material arrangements and procedures, if any, relating to the flow of cash related to the Aircraft relating to the lease, including wire transfer instructions.

Appears in 4 contracts

Samples: Servicing Agreement (Avolon Holdings LTD), Servicing Agreement (Avolon Holdings LTD), Servicing Agreement (Avolon Holdings LTD)

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