Common use of Bank Accounts; Powers of Attorney Clause in Contracts

Bank Accounts; Powers of Attorney. Schedule 3.19 sets forth, as of the date hereof, a true, complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries has an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon or have access thereto.

Appears in 4 contracts

Samples: Agreement and Plan of Merger (Rodgers Silicon Valley Acquisition Corp), Agreement and Plan of Merger (BCTG Acquisition Corp.), Agreement and Plan of Merger (Technology & Telecommunication Acquisition Corp)

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Bank Accounts; Powers of Attorney. Schedule 3.19 3.21 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon withdraw therefrom or have access theretothereto and the names of all Persons holding powers of attorney from the Company as of the date of this Agreement.

Appears in 3 contracts

Samples: Agreement and Plan of Merger (Sourcefire Inc), Stock Purchase Agreement (Si International Inc), Stock Purchase Agreement (Si International Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.24 sets forth, as of the date hereof, forth a true, --------------------------------- correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon withdraw therefrom or have access theretothereto and the names of all Persons holding powers of attorney from the Company.

Appears in 2 contracts

Samples: Agreement and Plan of Merger (Lifeminders Inc), Agreement and Plan of Merger (Lifeminders Com Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.23 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each or any of its Subsidiaries has maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon access such accounts or have access theretosafe deposit boxes.

Appears in 2 contracts

Samples: Equity Transfer and Acquisition Agreement (Chart Acquisition Corp.), Agreement and Plan of Merger (Chart Acquisition Corp.)

Bank Accounts; Powers of Attorney. Schedule 3.19 sets forth, as of the date hereof, a true, complete and correct list of lists each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries has an account or safe deposit box, including or lock box and the names and identification of all Persons persons authorized to draw thereon on it or to have access theretoto it as of the Closing Date. Except as set forth on Schedule 3.19, neither the Company nor any of its managers or officers, has any power of attorney with respect to the Business outstanding.

Appears in 2 contracts

Samples: Membership Interest Purchase Agreement (Macquarie Infrastructure CO LLC), Membership Interest Purchase Agreement (Macquarie Infrastructure CO LLC)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.18 sets forth, as of the date hereof, a true, complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which Pubco or the Company and each of its Subsidiaries has an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon or have access thereto.

Appears in 2 contracts

Samples: Agreement and Plan of Merger (Mountain Crest Acquisition Corp. IV), Amended and Restated Agreement and Plan of Merger (Mountain Crest Acquisition Corp. IV)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.21 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has maintain an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon withdraw therefrom or have access theretothereto and the names of all Persons holding powers of attorney from the Company or any of its Subsidiaries as of the date of this Agreement.

Appears in 2 contracts

Samples: Agreement and Plan of Merger (Veeco Instruments Inc), Agreement and Plan of Merger (Veeco Instruments Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.21 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon access such accounts or have access theretodeposit boxes and the names of all Persons holding powers of attorney or other similar authorizations from the Company and a summary statement of the terms thereof.

Appears in 2 contracts

Samples: And Restated Purchase Agreement (Global Defense Technology & Systems, Inc.), Stock Purchase Agreement (Global Defense Technology & Systems, Inc.)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.33 sets forth, as of forth the date hereof, a true, complete name and correct list location of each bank, trust company, savings institution, brokerage firm, mutual fund and loan or other financial institution with at which the Company and each of its Subsidiaries has an any depository or other account or lock box or safe deposit boxbox or into which revenues of the business or other cash resources of the Company are deposited, including the together with all account numbers and names and identification of all Persons authorized to draw thereon or to have access thereto. Except as set forth on Schedule 3.33, no person holds a power of attorney to act on behalf of the Company.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Powersecure International, Inc.)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.22 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bankthe names and locations of all banks, trust company, savings institution, brokerage firm, mutual fund or other financial institution with institutions and similar entities at which the Company and each or any of its Subsidiaries has an maintains a deposit account or safe deposit box, including the names and identification of all Persons authorized to draw thereon access such deposit accounts or have access theretosafe deposit boxes and the names of all Persons holding powers of attorney or other similar authorizations from the Company or any of its Subsidiaries and a summary statement of the terms thereof.

Appears in 1 contract

Samples: Stock Purchase Agreement (Global Defense & National Security Systems, Inc.)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.25 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries has an account or safe deposit box, including the names and identification addresses of all Persons banks in which the Group Companies have depository bank accounts, safe deposit boxes or trusts, the account names and the account numbers of such accounts and the names of persons authorized to draw thereon or otherwise have access thereto. No Person holds a power of attorney to act on behalf of the Company or any of its Subsidiaries.

Appears in 1 contract

Samples: Agreement and Plan of Merger (ClimateRock)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.22 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has or any Subsidiary maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon withdraw therefrom or have access theretothereto and the names of all Persons holding powers of attorney from the Company or any Subsidiary a summary statement of the terms thereof.

Appears in 1 contract

Samples: Stock Purchase Agreement (Si International Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.24 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries has an account or safe deposit box, including the names and identification addresses of all Persons banks in which the Group Companies have depository bank accounts, safe deposit boxes or trusts, the account names and the account numbers of such accounts and the names of persons authorized to draw thereon or otherwise have access thereto. No Person holds a power of attorney to act on behalf of the Company or any of its Subsidiaries.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Kingswood Acquisition Corp.)

Bank Accounts; Powers of Attorney. Schedule 3.19 sets forthforth a true, correct and complete list of (a) all bank accounts, fiduciary accounts and safe deposit boxes of the Company (including the identity of the banks or financial institutions at which such accounts are maintained and the respective account numbers of any such accounts) and the Persons authorized to sign or otherwise act with respect thereto as of the date hereof, a true, complete hereof and correct list (b) all Persons holding powers of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which attorney for the Company and each a summary description of its Subsidiaries has an account or safe deposit box, including the names and identification such powers of all Persons authorized to draw thereon or have access theretoattorney.

Appears in 1 contract

Samples: Stock Purchase Agreement (Amalgamated Specialty Group Holdings, Inc.)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.20 sets forth, forth a true and complete list as of the date hereof, a true, complete hereof of the name and correct list of address of: (a) each bank, trust company, savings institution, brokerage firm, mutual fund bank or other financial institution with which the any Acquired Company and each of its Subsidiaries has an account or safe deposit box, including box and the names and identification name of all Persons each Person authorized to draw thereon or have has access thereto; and (b) the name of each Person holding a power of attorney on behalf of an Acquired Company.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Amn Healthcare Services Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.22 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each or any of its Subsidiaries has maintain an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon withdraw therefrom or have access theretothereto and the names of all Persons holding powers of attorney from the Company or any of its Subsidiaries as of the date of this Agreement.

Appears in 1 contract

Samples: Agreement and Plan of Merger (STG Group, Inc.)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.23 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon withdraw therefrom or have access theretothereto and the names of all Persons holding powers of attorney from the Company as of the date of this Agreement.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Si International Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.20 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with the names and locations of all banks in which the Company and each of or its Subsidiaries has an account or depository bank accounts, safe deposit boxboxes or trusts, including the account numbers of such accounts and the names and identification of all Persons persons authorized to draw thereon or otherwise have access thereto. Except as set forth on Schedule 3.20, no Person holds a power of attorney to act on behalf of any member of the Company Group.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Blackbaud Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 sets forth, as of the date hereof, a true, complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries has an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon or have access thereto.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Mountain Crest Acquisition Corp II)

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Bank Accounts; Powers of Attorney. Schedule 3.19 3.24 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has Company Subsidiary maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon access such accounts or have access theretodeposit boxes and the names of all Persons holding powers of attorney or other similar authorizations from the Company and each Company Subsidiary.

Appears in 1 contract

Samples: Membership Interest Purchase Agreement (Booz Allen Hamilton Holding Corp)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.16 sets forthforth a true and complete (a) lists all bank, as money market, savings and similar accounts and safe deposit boxes of the date hereofCompany, a true, complete specifying the account numbers and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund the authorized signatories or other financial institution with which the Company and each of its Subsidiaries has an account persons having access to such accounts or safe deposit boxboxes, including the names and identification (b) a list of all Persons authorized to draw thereon or have access theretopowers of attorney granted by the Company that will remain in effect after the Closing.

Appears in 1 contract

Samples: Stock Purchase Agreement (Mercadolibre Inc)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.23 sets forthforth a true and complete list, as of the date hereof, a true, complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund bank or other financial institution with in which the Company and each of its Subsidiaries has an account or safe deposit box, including and the names and identification of all Persons persons authorized to draw thereon or to have access theretothereto and the names of all persons, if any, who hold any powers of attorney for or granted by the Company.

Appears in 1 contract

Samples: Stock Purchase Agreement (Salona Global Medical Device Corp)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.24 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with the names and addresses of all banks in which the Company and each of its Subsidiaries has an account or have depository bank accounts, safe deposit boxboxes or trusts, including the account names and the account numbers of such accounts and the names and identification of all Persons persons authorized to draw thereon or otherwise have access thereto. No Person holds a power of attorney to act on behalf of the Company or any of its Subsidiaries.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Gordon Pointe Acquisition Corp.)

Bank Accounts; Powers of Attorney. Schedule 3.19 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries or any Subsidiary has an account or account, safe deposit box, including or lock box and the names and identification of all Persons persons authorized to draw thereon on it or to have access theretoto it and the names of all Persons holding general or special powers of attorney from the Company or its Subsidiaries.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Telecommunication Systems Inc /Fa/)

Bank Accounts; Powers of Attorney. Schedule 3.19 sets forth3.15 contains a true and complete list of all accounts or deposits of the Company with banks or other financial institutions, safe deposit boxes of the Company, persons authorized to sign or otherwise act with respect thereto as of the date hereof, a trueand powers of attorney for the Company. No change in such accounts or deposits, complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries has an account or safe deposit box, including the names and identification of all Persons boxes or persons authorized to draw thereon or have access theretosign will be made prior to the Closing.

Appears in 1 contract

Samples: Partnership Interest Purchase Agreement (Paxson Communications Corp)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.22 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has or any Subsidiary maintain an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon withdraw therefrom or have access theretothereto and the names of all Persons holding powers of attorney from the Company or its Subsidiaries as of the date of this Agreement.

Appears in 1 contract

Samples: Agreement and Plan of Merger by And (Hughes Communications, Inc.)

Bank Accounts; Powers of Attorney. Schedule 3.19 sets forth, as of the date hereof, a true, complete and correct list of lists each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the any Company and each of its Subsidiaries has an account or safe deposit box, including or lock box and the names and identification of all Persons persons authorized to draw thereon on it or to have access theretoto it as of the Closing Date. Except as set forth on Schedule 3.19, none of the Companies nor any of their managers or officers, has any power of attorney with respect to the Business outstanding.

Appears in 1 contract

Samples: Business Purchase Agreement (Macquarie Infrastructure CO LLC)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.21 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon access such accounts or have access theretodeposit boxes and the names of all Persons holding powers of attorney or other similar authorizations from the Company.

Appears in 1 contract

Samples: Stock Purchase Agreement (Mantech International Corp)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.23 sets forth, forth an accurate list as of the date hereofof this Agreement, a trueof all bank accounts, complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or other financial institution with which the Company and each of its Subsidiaries has an account or safe deposit boxboxes and lock boxes, the locations thereof, account numbers therefor, and amounts therein, of the Company, including the names and identification name of all Persons each person authorized to draw thereon or have access thereto.

Appears in 1 contract

Samples: Agreement and Plan of Reorganization (Forensic Technologies International Corp)

Bank Accounts; Powers of Attorney. Schedule 3.19 3.20 sets forth, as of the date hereof, forth a true, correct and complete and correct list of each bank, trust company, savings institution, brokerage firm, mutual fund or the names and locations of all banks and other financial institution with institutions at which the Company and each of its Subsidiaries has maintains an account or safe deposit box, including the names and identification of all Persons authorized to draw thereon access such accounts or have access theretodeposit boxes and the names of all Persons holding powers of attorney or other similar authorizations form the Company and a summary statement of the terms thereof.

Appears in 1 contract

Samples: Share Purchase Agreement (Si International Inc)

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