Duplicate Statements and Confirmations Sample Clauses

Duplicate Statements and Confirmations.ย MLBUSA will be sent duplicate copies of periodic account statements and trade confirmations for the Account if MLBUSA so requests.
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Duplicate Statements and Confirmations.ย To have duplicate statements and confirmations mailed to someone other than the person listed in Section 1, please provide mailing information below. To request only one option, check the appropriate box: Name Address City State ZIP Code ๐Ÿž Quarterly statements only ๏ฟฝ๏ฟฝ Transaction confirmations only Complete a separate form for each Beneficiary (future student). Name* Citizenship:* ๐Ÿž U.S. Citizen ๐Ÿž U.S. Resident Alien Social Security Number* Date of Birth (mm/dd/yyyy)* Address* ๐Ÿž If same as Account Holder, check this box and skip address. City* State* ZIP Code* 3 CUSTODIAN OR TRUSTEE A trustee is required if the Account Holder is a trust. A Custodian is required if (1) the Account Holder is a minor or (2) the Account is being funded with the proceeds from an UGMA/UTMA. Statements will be mailed to the Custodian or trustee address. ๐Ÿž Check if the Account is funded with proceeds from a UGMA/UTMA. Name* Citizenship:* ๐Ÿž U.S. Citizen ๐Ÿž U.S. Resident Alien Social Security Number* Date of Birth (mm/dd/yyyy)* Residential Address (cannot be a P.O. box)* ๐Ÿž If same as Account Holder, check this box and skip address. City* State* ZIP Code* Day Phone Evening Phone Email Address Mailing Address (if different from residential) City State ZIP Code If the Account Holder is a trust and there are multiple trustees, provide the additional trustee information on a separate page. *NOTE: Required to establish the account.
Duplicate Statements and Confirmations.ย The Financial Institution shall provide the Owner with duplicate monthly and year-end statements and purchase and sale confirmations of all transactions. The Owner acknowledges that values placed on security positions (with regard to bonds, treasury bills and/or treasury notes) do not constitute a guarantee or representation of the liquidation value and that such statements are general guidelines.
Duplicate Statements and Confirmations.ย Xxxxxxx Xxxxx will send Creditor duplicate copies of periodic account statements and trade confirmations, if any, contemporaneously with those sent to Client.
Duplicate Statements and Confirmations.ย To have duplicate statements and confirmations mailed to someone other than the person listed in Section 1, please provide mailing information below. To request only one option, check the appropriate box: Name Address City State ZIP Code ๐Ÿž Quarterly statements only ๐Ÿž Confirmations only Complete a separate form for each Beneficiary (future student). Name* Citizenship:* ๐Ÿž U.S. Citizen ๐Ÿž U.S. Resident Alien Social Security Number* Date of Birth (mm/dd/yyyy)* Address* ๐Ÿž If same as Account Holder, check this box and skip address. City* State* ZIP Code*

Related to Duplicate Statements and Confirmations

  • Statements and Confirmations The Securities Intermediary will promptly send copies of all statements, confirmations and other correspondence concerning the Collateral Account and any financial assets credited thereto simultaneously to each of the Purchase Contract Agent and the Collateral Agent at their addresses for notices under this Agreement.

  • Financial Information Certifications The Parties agree to cooperate with each other in such manner as is necessary to enable the principal executive officer or officers, principal financial officer or officers and controller or controllers of each of the Parties to make the certifications required of them under Sections 302, 404 and 906 of the Xxxxxxxx-Xxxxx Act of 2002.

  • Invoice Certification When and if requested by DXC, as a condition precedent to payment thereof, Supplier shall separately certify each invoice as follows: โ€œWe certify that contract deliverables listed hereon were produced in compliance with all applicable requirements of Sections 6, 7, and 12 of the Fair Labor Standards Act, as amended, and of regulations and orders of the U.S. Department of Labor issued under Section 14 thereof. We further certify that any and all additional contract deliverables will be produced in compliance with same.โ€

  • Reaffirmation and Confirmation Borrower hereby ratifies, affirms, acknowledges and agrees that the Credit Agreement and the other Loan Documents to which it is a party represent the valid, enforceable and collectible obligations of Borrower, and further acknowledges that there are no existing claims, defenses, personal or otherwise, or rights of setoff whatsoever with respect to the Credit Agreement or any other Loan Document. Borrower hereby agrees that this Amendment in no way acts as a release or relinquishment of the Liens and rights securing payments of the Obligations. The Liens and rights securing payment of the Obligations are hereby ratified and confirmed by Borrower in all respects.

  • Field Audits and Examination Reports; Confidentiality; Disclaimers by Lenders; Other Reports and Information By becoming a party to this Agreement, each Lender:

  • Confirmations and Statements The Transfer Agent shall confirm each transaction either at the time of the transaction or through periodic reports as may be legally permitted.

  • Amendments to Clarify and Correct Errors and Defects The parties may amend this Agreement to clarify an ambiguity, correct an error or correct or supplement any term of this Agreement that may be defective or inconsistent with the other terms of this Agreement, in each case, without the consent of the Noteholders, the Certificateholders or any other Person. The parties may amend any term or provision of this Agreement from time to time for the purpose of conforming the terms of this Agreement to the description thereof in the Prospectus, without the consent of Noteholders, the Certificateholders or any other Person.

  • Master Servicerโ€™s Financial Statements and Related Information For each year this Agreement is in effect, the Master Servicer shall submit to the Trustee, any NIMS Insurer, each Rating Agency and the Depositor a copy of its annual unaudited financial statements on or prior to March 15 of each year, beginning March 15, 2006. Such financial statements shall include a balance sheet, income statement, statement of retained earnings, statement of additional paid-in capital, statement of changes in financial position and all related notes and schedules and shall be in comparative form, certified by a nationally recognized firm of Independent Accountants to the effect that such statements were examined and prepared in accordance with generally accepted accounting principles applied on a basis consistent with that of the preceding year.

  • Confirmation and Statements Promptly after the close of business on each day, the Custodian shall furnish the Fund with confirmations and a summary of all transfers to or from the account of the Fund during the day. Where securities purchased by the Fund are in a fungible bulk of securities registered in the name of the Custodian (or its nominee) or shown in the Custodian's account on the books of a Securities Depository, the Custodian shall by book-entry or otherwise identify the quantity of those securities belonging to the Fund. At least monthly, the Custodian shall furnish the Fund with a detailed statement of the Securities and monies held for the Fund under this Agreement.

  • Auditor's Reports Promptly upon receipt thereof, a copy of any other report or "management letter" submitted by independent accountants to any Consolidated Party in connection with any annual, interim or special audit of the books of such Person.

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