Association Interchange Downgrades Sample Clauses

Association Interchange Downgrades. 11.1. (a) Network shall provide Planet payment access to VISA On Line (VOL) & MasterCard On line (MOL) in order to receive Card Association bulletins, technical manuals, member letters for the CEMEA Region. Planet Payment shall not be liable for any noncompliance, assessment and penalty levied by Card Associations nor any financial loss including fees, chargeback losses, or loss of commissions or Acquirer Revenue pursuant to Section 11.2 or otherwise, as a result of non-availability of applicable notification and information through VOL and MOL.
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Related to Association Interchange Downgrades

  • Interchange The Seller receives Interchange Fees from financial institutions for clearing transactions arising under the Accounts and as compensation for assuming credit risk and funding receivables for a limited period of time prior to initial billing. The Seller will Transfer to the Custodian on a daily basis the Interchange Fees, representing the aggregate amount of fees paid or payable to the Seller on such day in respect of all Visa Accounts, Mastercard Accounts and other Specified Account Designation Accounts from other financial institutions that clear such credit card transactions for merchants after netting or set-off occurs. The Seller may, from time to time, in its sole discretion, voluntarily increase or decrease the rate used to calculate amounts receivable or payable in respect of Interchange Fees. The Account Assets include the then applicable Interchange Fees.

  • Notice to Parties to the Lead Securitization PSA Each Non-Lead Note Holder shall provide the Depositor, the Trustee, the Servicer, and the Special Servicer under the Lead Securitization PSA (as of the related Securitization Date) (provided such party is not also a party to the Lead Securitization PSA) notice of the related Securitization in writing (which may be by email) prior to or promptly following such Securitization Date. Such notice shall contain contact information for each of the parties to the related PSA and the identity of the Controlling Class Representative under such PSA. In addition, after the Securitization Date for any other Notes, the related Note Holder shall send a copy of the related PSA to the Depositor, the Servicer, and the Special Servicer under the Lead Securitization PSA (as of the related Securitization Date) (provided such party is not also a party to the Lead Securitization PSA).

  • Collections Payment Processing Remittance (a) Collection Efforts, Policies, Procedures.

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