{"component": "clause", "props": {"groups": [{"size": 127, "samples": [{"hash": "7pexqqaU1mk", "uri": "/contracts/7pexqqaU1mk#other-reports", "label": "Revolving Credit and Security Agreement (SMTC Corp)", "score": 31.9979457855, "published": true}, {"hash": "vCoH00MZ53", "uri": "/contracts/vCoH00MZ53#other-reports", "label": "Revolving Credit and Security Agreement (SMTC Corp)", "score": 29.8542098999, "published": true}, {"hash": "k5SsyZO2hZv", "uri": "/contracts/k5SsyZO2hZv#other-reports", "label": "Revolving Credit and Security Agreement (SMTC Corp)", "score": 22.7522239685, "published": true}], "snippet": "Furnish Agent as soon as available, but in any event within ten (10) days after the issuance thereof, with copies of such financial statements, reports and returns as each Borrower shall send to its stockholders.", "snippet_links": [{"key": "furnish-agent", "type": "definition", "offset": [0, 13]}, {"key": "as-available", "type": "definition", "offset": [22, 34]}, {"key": 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Matters.....................................................50 SECTION 6.6 Accuracy of Information....................................................................52", "snippet_links": [{"key": "section-65", "type": "clause", "offset": [3, 14]}, {"key": "notice-of-litigation-and-other-matters", "type": "clause", "offset": [15, 53]}, {"key": "section-66", "type": "clause", "offset": [109, 120]}, {"key": "accuracy-of-information", "type": "clause", "offset": [121, 144]}], "hash": "b1d6bd045b4d2e14b53064b71d81e374", "id": 4}, {"size": 60, "samples": [{"hash": "lncWSANmEOx", "uri": "/contracts/lncWSANmEOx#other-reports", "label": "Credit Agreement (Cooper River Properties LLC)", "score": 18.0, "published": true}, {"hash": "l4Dhi8ci7t", "uri": "/contracts/l4Dhi8ci7t#other-reports", "label": "Credit Agreement (Cooper River Properties LLC)", "score": 18.0, "published": true}, {"hash": "iid1tK2n3lL", "uri": "/contracts/iid1tK2n3lL#other-reports", "label": "Credit Agreement (Cooper River 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true}, {"hash": "hhoVCIS4tKV", "uri": "/contracts/hhoVCIS4tKV#other-reports", "label": "Limited Partnership Agreement (WNC Housing Tax Credit Fund Vi Lp Series 11)", "score": 18.0, "published": true}, {"hash": "dVz1W4W2SFN", "uri": "/contracts/dVz1W4W2SFN#other-reports", "label": "Limited Partnership Agreement (WNC Housing Tax Credit Fund Vi Lp Series 10)", "score": 18.0, "published": true}], "snippet": "The General Partner shall provide to the Limited Partner and the Special Limited Partner the following reports:\n(a) during construction, on a regular basis, but in no event less than once a month, a copy of the Inspecting Architect's report and other construction reports including, but not limited to, (1) the name of each person performing work on the Improvements or providing materials for the Improvements, the work performed or materials supplied by said person and the code number corresponding to the line item in the Construction Budget which the person will be paid, (2) an original AIA Document G702, or similar form acceptable to the Special Limited Partner, (3) if not included in the Inspecting Architect's report or the AIA Document G702, a line item break-down of the Construction Budget (which shall include, description of work to be performed or materials to be supplied; total dollar amount of the work or materials; dollar amount of work previously completed and paid or materials supplied and paid; dollar amount of work or materials to be paid per the current disbursement request; dollar amount of materials stored; total dollar amount of work completed and stored as of the current disbursement date; percentage of completion; dollar amount of work or materials needed to complete the line item; and retainage), (4) a reconciliation of the sources and uses to determine that the Construction Budget is in balance and there are sufficient funds to complete the construction of the Improvements, and (5) copies of lien releases, or waivers, from the Contractor and all sub-contractors or material suppliers who were paid the previous month;\n(b) during the rent-up phase, and continuing until the end of the first six-month period during which the Apartment Housing has a sustained occupancy of 95% or better, by the twentieth day of each month within such period a copy of the previous month's rent roll (through the last day of the month) and a tenant LIHTC compliance worksheet similar to the monthly initial tenant certification worksheet included in Exhibit \"G\" attached hereto and incorporated herein by this reference;\n(c) a quarterly tax credit compliance report similar to the worksheet included in Exhibit \"G\" due on or before April 30 of each year for the first quarter, July 31 of each year for the second quarter, October 31 of each year for the third quarter and January 31 of each year for the fourth quarter. In order to verify the reliability of the information being provided on the compliance report the Limited Partner may request a small sampling of tenant files to be provided. The sampling will include, but not be limited to, copies of tenant applications, certifications and third party verifications used to qualify tenants. If any inaccuracies are found to exist on the tax credit compliance report or any items of noncompliance are discovered then the sampling will be expanded as determined by the Limited Partner;\n(d) a quarterly report on operations, in the form attached hereto as Exhibit \"G,\" due on or before April 30 of each year for the first quarter of operations, July 31 of each year for the second quarter of operations, October 31 of each year for the third quarter of operations and January 31 of each year for the fourth quarter of operations which shall include, but is not limited to, an unaudited income statement showing all activity in the reserve accounts required to be maintained pursuant to Section VIII of this Agreement, statement of income and expenses, balance sheet, rent roll as of the end of each calendar quarter of each year, and third party verification of current utility allowance;\n(e) by September 15 of each year, an estimate of LIHTC for that year;\n(f) if the Apartment Housing receives a reservation of LIHTC in one year but will not complete the construction and rent-up until a later year, an audited cost certification together with the Accountant's work papers verifying that the Partnership has expended the requisite 10% of the reasonably expected cost basis to meet the carryover test provisions of Section 42 of the Code. Such certification shall be provided to the Limited Partner and Special Limited Partner by December 31 of the year during which the reservation was received. Furthermore, if materials and supplies are purchased to meet the 10% requirement then the General Partner shall provide to the Limited Partner an opinion of counsel that title to the materials and supplies pass to the Partnership and that the Partnership bears the risk of loss of the materials and supplies;\n(g) during the Compliance Period, no later than the day any such certification is filed, copies of any certifications which the Partnership must furnish to federal or state governmental authorities administering the Tax Credit program including, but not limited to, copies of all annual tenant recertifications required under Section 42 of the Code;\n(h) by the annual renewal date each and every year, an executed original or certified copy of each and every Insurance policy or certificate required by the terms of this Agreement;\n(i) by the payment date of the real estate property taxes each and every year verification that the same has been paid in full;\n(j) on or before March 15th of each calendar year, a copy of the General Partner's updated financial statement as of December 31 of the previous year;\n(k) on or before November 1 of each calendar year, a copy of the following year's proposed operating budget. Each such Budget shall contain all the anticipated Cash Expenses of the Partnership. Such Budget shall only be adopted with the Consent of the Special Limited Partner; and\n(l) notice of the occurrence, or of the likelihood of occurrence, of any event which has had a material adverse effect upon the Apartment Housing or the Partnership, including, but not limited to, any breach of any of the representations and warranties set forth in Section 9.12 of this Agreement, and any inability of the Partnership to meet its cash obligations as they become payable, within ten days after the occurrence of such event.", "snippet_links": [{"key": "the-general-partner", "type": "clause", "offset": [0, 19]}, {"key": "provide-to", "type": "clause", "offset": [26, 36]}, {"key": "the-limited", "type": "definition", "offset": [37, 48]}, {"key": "during-construction", "type": "clause", "offset": [116, 135]}, {"key": "on-a-regular-basis", "type": "definition", "offset": [137, 155]}, {"key": "in-no-event", "type": "clause", "offset": [161, 172]}, {"key": "once-a-month", "type": "clause", 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