Control Accounts. The accounts kept by the Liquidity Provider constitute sufficient evidence, unless proven wrong, of the amount at any time due from the Trustee under this agreement.
Appears in 3 contracts
Sources: Liquidity Facility Agreement (Westpac Securitisation MGT Pty LTD Series 2002-1g WST Trust), Liquidity Facility Agreement (Westpac Securitisation Management Pty LTD), Liquidity Facility Agreement (Westpac Securitisation Management Pty LTD)