Information to be provided to customers Sample Clauses

Information to be provided to customers before entering into a distant contract pursuant to Regulation 6 of the European Communities (Distance Marketing of Consumer Financial Services) Regulations 2004 Unless otherwise defined or the context requires otherwise, capitalised terms used in this section have the meanings given to them in the Retail Instalment Plan Terms and Conditions. Information Requirement Response Identity of the Supplier FlexiFi Europe Limited. Main Business of the Supplier We are a provider of retail instalment payment plans. Address of the Supplier Our registered office is at Xxxxx 0, Xx.0 Xxxxxx Xxxxx Xxxxx, Xxxxxxxxxxxxx Xxxxx, X.X.X.X, Xxxxxx 0, Xxxxxxx. If you wish to contact us Supplier Company Registration Number Our company number in the Companies Registration Office is 600124. VAT Registration Number of Supplier Our VAT number is 3466324IH. Main characteristics of the financial service to be supplied The financial service being supplied is a Retail Instalment Plan which may be used as set out in the Retail Instalment Plan Terms and Conditions above. Total price to be paid by the consumer (including all fee, charges, expenses and taxes) The total price to be paid is set out in the Important Information section of the Retail Instalment Plan Terms and Conditions above. Arrangements for Payment and Performance under the Contract The payment arrangements are set out in clause 8 (Payment) of the Retail Instalment Plan Terms and Conditions above. Amount of any additional charge to customer for using a particular means of distance communication There is no additional charge to the Customer for using a particular means of distance communication under this Retail Instalment Plan. Whether or not there is a right to cancel the contract There is a right to withdraw from the Retail Instalment Plan in clause 10 (Right to Withdraw) of the Retail Instalment Plan Terms and Conditions. The period in which the right to cancellation can be exercised The right to withdraw from the Retail Instalment Plan may be exercised within 14 days of the Agreement Date and the date on which you receive a copy of the Agreement. The conditions under which the right to cancellation can be exercised See clause 10 (Right to Withdraw) of the Retail Instalment Plan Terms and Conditions. Consequences of not exercising the right to cancel the contract If you do not cancel your contract, it will continue in accordance with the Retail Instalment Plan Terms and Conditions. Any rights the customer / the supplier ma...
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Related to Information to be provided to customers

  • Information to be Provided The Fund shall provide to Service Provider a copy of the current prospectus and SAI. The Fund shall provide Service Provider with written copies of any amendments to, or changes in such documents promptly after such amendments or changes become available.

  • Information to be Provided by the Servicer (a) At the request of the Administrator, acting on behalf of the Issuer, for the purpose of satisfying its reporting obligation under the Exchange Act with respect to any class of asset-backed securities, the Servicer shall (or shall cause each Subservicer to) (i) notify the Issuer and the Administrator in writing of any material litigation or governmental proceedings pending against the Servicer or any Subservicer and (ii) provide to the Issuer and the Administrator a description of such proceedings.

  • Information to Be Provided by the Seller In connection with any Securitization Transaction the Seller shall (i) within five Business Days following request by the Purchaser or any Depositor, provide to the Purchaser and such Depositor (or, as applicable, cause each Third-Party Originator to provide), in writing and in form and substance reasonably satisfactory to the Purchaser and such Depositor, the information and materials specified in paragraphs (a) and (b) of this Section, and (ii) as promptly as practicable following notice to or discovery by the Seller, provide to the Purchaser and any Depositor (in writing and in form and substance reasonably satisfactory to the Purchaser and such Depositor) the information specified in paragraph (d) of this Section.

  • Information to Be Provided by the Company In connection with any Securitization Transaction, the Company shall use its best efforts to (i) within five (5) Business Days, but in no event later than ten (10) Business Days, following written request by the Purchaser or any Depositor, provide to the Purchaser and such Depositor (or, as applicable, cause each Third-Party Originator to provide), in writing and in form and substance reasonably satisfactory to the Purchaser and such Depositor, the information and materials specified in paragraphs (a), (b), (c) and (f) of this Section, and (ii) as promptly as practicable following notice to or discovery by the Company, provide to the Purchaser and any Depositor (in writing and in form and substance reasonably satisfactory to the Purchaser and such Depositor) the information specified in paragraph (d) of this Section.

  • Data to Be Provided In order for the Operator to perform the Services described in the Service Agreement, LEA shall provide the categories of data described in the Schedule of Data, attached as Exhibit B.

  • Information to be Supplied The Lessee shall —

  • Information to be Furnished If Tenant desires at any time to Sublet the Premises or any portion thereof, it shall first notify Landlord of its desire to do so and shall submit in writing to Landlord: (i) the name of the proposed Subtenant; (ii) the nature of the proposed Subtenant's business to be carried on in the Premises; (iii) the terms and provisions of the proposed Sublet and a copy of the proposed Sublet form containing a description of the subject premises; and (iv) such financial information, including financial statements, as Landlord may reasonably request concerning the proposed Subtenant.

  • Information to be Provided by the Trustee The Trustee shall notify the Depositor promptly after the Trustee becomes aware of (a) the initiation of any legal proceedings against the Trustee, or of which any property of the Trustee is subject, that are material to the Noteholders, (b) any developments in any such proceedings that are material to the Noteholders and (c) any such proceedings that are contemplated by any governmental authority.

  • Information to Be Provided by the Owner Trustee The Owner Trustee shall (i) on or before the fifth Business Day following a written request of the Depositor, provide to the Depositor, in writing, such information regarding the Owner Trustee as is requested for the purpose of compliance with Item 1117 of Regulation AB, and (ii) pursuant to Section 7.09 hereof as promptly as practicable following notice to or discovery by the Owner Trustee of any changes to such information, provide to the Depositor, in writing, updated information necessary for compliance with Item 1117 of Regulation AB. The Owner Trustee shall (i) on or before the fifth Business Day following a written request of the Depositor in connection with the preparation of any required quarterly or annual report, provide to the Depositor such information regarding the Owner Trustee as is requested for the purpose of compliance with Items 1109(a), 1109(b) and 1119 of Regulation AB, and (ii) as promptly as practicable following notice to or discovery by the Owner Trustee of any changes to such information, provide to the Depositor, in writing, updated information. Such information shall include, at a minimum:

  • Information to Be Provided by the Indenture Trustee (a) Each of the Servicer and the Indenture Trustee shall (i) on or before the fifth Business Day of each month, notify the Seller, in writing, of any Form 10-D Disclosure Item with respect to such Person (or in the case of the Indenture Trustee, any Form 10-D Disclosure Item of which a Responsible Officer of the Indenture Trustee has knowledge) together with a description of any such Form 10-D Disclosure Item in form and substance reasonably satisfactory to the Seller; provided, however, that the Indenture Trustee shall not be required to provide such information in the event that there has been no change to the information previously provided by the Indenture Trustee to Seller, and (ii) as promptly as practicable following notice to or actual knowledge by a Responsible Officer of the Indenture Trustee of any changes to such information, provide to the Seller, in writing, such updated information.

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