Notices to Customers Sample Clauses

Notices to Customers. (A) After each revised Charge has gone into effect pursuant to a True-Up Adjustment, the Servicer shall, to the extent and in the manner and time frame required by applicable Authority Regulations, if any, cause to be prepared and delivered to customers any required notices announcing such revised Charges.
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Notices to Customers. A. Buyer and Seller agree to jointly mail or cause to be jointly mailed to each of the Depositors, each holder of a safe deposit box domiciled at the Branch and to such other customers as may be required by applicable law, such notice of the contemplated transfer of the Assets and the Liabilities as may be required as a condition of approval by any regulatory authority, or as otherwise may be required by applicable law.
Notices to Customers. Prior to the Closing Date, to the extent required by applicable law or as a condition of approval by any regulatory authority, Seller agrees to mail or cause to be mailed, to each of the Deposit holders, each holder of a safe deposit box domiciled at the Branch and to such other customers as may be required, notice of the contemplated transfer of the Assets, Liabilities and operations of the Branch. Each such notice shall be in a form acceptable to Buyer and Seller, such approval not to be unreasonably withheld.
Notices to Customers. At least thirty (30) days prior to the Closing Date, and provided that all Regulatory Approvals have been received by the parties, Seller agrees to mail or cause to be mailed at Buyer’s expense, to each of the Depositors, and to such other customers as may be required by applicable law, such notice of contemplated transfer of the Assets, the Assumed Liabilities or the operations of the Branches as may be required as a condition of approval by any regulatory authority, or as otherwise may be required by applicable law or regulation, including, but not limited to, Regulation DD (12 C.F.R Part 230). Each such notice shall be in form and substance acceptable to each party hereto, such approval not to be unreasonably withheld. At least fifteen (15) days prior to the Closing Date, and provided that all Regulatory Approvals have been received by the parties, Seller agrees to mail or cause to be mailed appropriate notices of the transfer of servicing with respect to any of the Loans that are subject to the notice requirements of the Real Estate Settlement and Procedures Act (“RESPA”). The content of such notices shall be sufficient to satisfy the related requirements of RESPA and its implementing regulations.
Notices to Customers. At Purchaser's direction and expense, Seller and Purchaser will jointly author notices to customers of Motion Control as soon as reasonably practical after the Effective Date, informing them of Seller's transfer of operations to Purchaser pursuant to the purchase and sale of Assets hereunder (the "Notices").
Notices to Customers. (a) Not earlier than September 6, 2005 nor later than thirty (30) days prior to the Closing Date (or such other time as may be required by law), Seller and Purchaser shall jointly notify customers with Deposits that, subject to the terms and conditions of this Agreement, Purchaser will be assuming all Deposits and each of Seller and Purchaser shall join in providing where appropriate, all notices to customers of the Branches and all other persons as Seller or Purchaser as the case may be, is or are required to give under applicable law or the terms of any agreements between Seller and any customer in connection with the transactions contemplated hereby. No earlier than September 6, 2005, Purchaser may communicate with and deliver information to depositors and other customers of the Branches concerning this Agreement and the business of Purchaser. Upon the request of Purchaser, Seller will provide reasonable assistance to Purchaser in mailing or causing to be mailed such communications. Purchaser and Seller shall jointly approve in good faith the content of all notices and communications under this Section 3.10 prior to the distribution of any such notices and communications.
Notices to Customers. (a) The Seller will notify the customers with Deposit Liabilities that, subject to the terms of this Agreement, the Purchaser will be assuming liability for the Deposit Liabilities.
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Notices to Customers. PEAK COMM, with the cooperation of CCSI and at PEAK COMM's sole expense, shall have provided any notice(s) to its customers, if any, required by its contracts, federal or state laws, rules or regulations, if any, with respect to the transfer of the Identified Assets to CCSI. The content of such notice(s) shall be approved by CCSI.
Notices to Customers. The Contractor shall cooperate with the City to inform all customers about relevant complaint procedures, rates and billing procedures, collection and recycling regulations, days and hours of scheduled collection service, landfill usage requirements and any other relevant notices. In addition to other means of informing customers, the Contractor shall provide information as necessary to the City for customers.
Notices to Customers. The Assuming Bank may, following receipt of all required regulatory approvals for the transactions contemplated herein, but no earlier than 35 days prior to the Closing Date, communicate with, and deliver information, brochures, bulletins, press releases and other communications to, depositors and borrowers of the Purchased Branch concerning the transactions contemplated by this Agreement and concerning the business and operations of the Purchased Branch, and Seller shall take all reasonable steps to cooperate with the Assuming Bank in effecting such communications.
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