Delivery of Updated Schedules Sample Clauses

Delivery of Updated Schedules. The Company hereby covenants to, within 30 days after the Effective Date, deliver updated disclosure schedules identical to those which were delivered in connection with the Security Agreements. Such disclosure schedules shall be true and correct as of the date hereof and as of the date of delivery.
AutoNDA by SimpleDocs
Delivery of Updated Schedules. Jabil waives compliance by GET with the requirement set forth in Section 9.1(b) that updated Schedules to the Agreement be delivered three business days prior to the Closing Date. Attached hereto as Attachment A are updated Schedules
Delivery of Updated Schedules. Seller shall deliver updated, complete and accurate Schedules listing all Outstanding Accounts Receivable, Inventory, Purchase Orders, Customer Orders and Assumed Accounts Payable, all as of the Closing Date, within fifteen (15) Business Days following the Closing.
Delivery of Updated Schedules. No earlier than ten (10) nor fewer than five (5) days before the date scheduled for the Closing, Seller and Template shall correct and supplement in writing any information furnished on the Schedules that, to the Knowledge of Seller or Template, respectively, is incorrect or incomplete, and promptly shall furnish such corrected and supplemented information to the other, so that such information shall be correct and complete at the time such updated information is so provided. Thereafter, until the Closing, the Seller and Template shall notify the other in writing of any changes or supplements to the updated information needed, to the Knowledge of Seller or Template, respectively, to make such information correct and complete at all times prior to and as of the Closing. The parties acknowledge and agree that the furnishing of such corrected and supplemental information, in and of itself, shall not create any presumption that such information constitutes or evidences the existence of a material change or any breach or violation by Seller or Template of any provision of this Agreement, it being understood that any determination as to whether such a breach or violation exists shall be made on the basis of any and all relevant information, which may include information as is so furnished under this Section 5.13.
Delivery of Updated Schedules. 31 11.3 Performance.......................................................31 11.4
Delivery of Updated Schedules. Seller shall have provided to Buyer the final forms of each of the Schedules pursuant to Section 9.11.
Delivery of Updated Schedules. Within forty-five (45) days after the Closing Date, the Credit Parties shall deliver to the Agent updated versions of Schedules 6.5(a), 6.5(b) and 6.5(e) to this Financing Agreement, which schedules shall include all cemetery and cemetery/funeral home combination properties owned or leased by the Credit Parties and all third-party locations of Collateral, as applicable.
AutoNDA by SimpleDocs
Delivery of Updated Schedules. On or before the Closing, Seller shall deliver updated versions of the Schedules restated as of the Closing Date to take into account any event, occurrence or matter arising after the date of this Agreement; provided, -------- however, that such updated Schedules shall not in any respect be deemed to ------- modify, amend or supplement any representation or warranty made as of the date of this Agreement or as of any other date specifically referred to therein.

Related to Delivery of Updated Schedules

  • Delivery of Schedules The Company and the Physician shall deliver to Vision 21 all Schedules required to be delivered by them prior to the Closing.

  • Delivery of Reports The Depository shall furnish to Holders of Receipts any reports and communications received from the Corporation which are received by the Depository, as the holder of the Stock, and which the Corporation is required to furnish to the holders of the Stock.

  • Delivery of Documents; Delivery Dates (a) The Trustee is hereby directed (i) to execute and deliver the Intercreditor Agreement, the Escrow Agreement and the NPA on or prior to the Issuance Date, each in the form delivered to the Trustee by the Company, and (ii) subject to the respective terms thereof, to perform its obligations thereunder. Upon request of the Company and the satisfaction or waiver of the closing conditions specified in the Underwriting Agreement, the Trustee shall execute, deliver, authenticate, issue and sell Applicable Certificates in authorized denominations equaling in the aggregate the amount set forth, with respect to the Applicable Trust, in Schedule I to the Underwriting Agreement evidencing the entire ownership interest in the Applicable Trust, which amount equals the maximum aggregate principal amount of Equipment Notes which may be purchased by the Trustee pursuant to the NPA. Except as provided in Sections 3.03, 3.04, 3.05 and 3.06 of the Basic Agreement, the Trustee shall not execute, authenticate or deliver Applicable Certificates in excess of the aggregate amount specified in this paragraph. The provisions of this Section 5.01(a) supersede and replace the first sentence of Section 3.02(a) of the Basic Agreement, with respect to the Applicable Trust.

  • Delivery of Items The Borrower will (a) promptly (but in no event later than one Business Day) after its receipt thereof, deliver to the Lender any documents or certificates of title issued with respect to any property included in the Collateral, and any promissory notes, letters of credit or instruments related to or otherwise in connection with any property included in the Collateral, which in any such case come into the possession of the Borrower, or shall cause the issuer thereof to deliver any of the same directly to the Lender, in each case with any necessary endorsements in favor of the Lender and (b) deliver to the Lender as soon as available copies of any and all press releases and other similar communications issued by the Borrower.

  • Delivery of Earnings Statements As soon as practicable, the Company will make generally available to its security holders and to the Representative an earnings statement or statements of the Company and its subsidiaries which will satisfy the provisions of Section 11(a) of the Act and Rule 158.

  • Delivery of Invoices Such Grantor will deliver to the Administrative Agent immediately upon its request after the occurrence and during the continuation of an Event of Default duplicate invoices with respect to each Account owned by it bearing such language of assignment as the Administrative Agent shall specify.

  • Delivery of Other Documents Agent shall have received all other instruments, documents and agreements as Agent may reasonably request, in form and substance reasonably satisfactory to Agent.

  • Delivery of Note The Lender shall have received a Note duly executed and delivered by an Authorized Officer of the Borrower.

  • Delivery of Notice 15.1 Notices relevant to this Agreement sent by one Party to the other shall be made in written form and delivered in person, or by fax, telegram, telex or email, or by registered mail (postage paid) or express mail. As to those delivered in person or by fax, telegram, telex or email, the delivery date shall be the date when it is sent; as to those delivered by registered mail (postage paid) or express mail, the delivery date shall be the third day after it is sent.

  • Delivery of Opinion The Company shall have caused the Company Counsel to furnish to the Manager its opinion and negative assurance statement, dated as of such date and addressed to the Manager in form and substance acceptable to the Manager.

Time is Money Join Law Insider Premium to draft better contracts faster.