Records and Bank Accounts Sample Clauses

Records and Bank Accounts. As soon as practicable after the Effective --------------------------- Date, ICF shall take such steps as may be necessary to (a) reflect in the corporate records of ICF, its subsidiaries, joint ventures, and affiliated companies, organizations, and entities that Tipermas has resigned as an officer and director of ICF and as an officer and director of ICF's subsidiaries, joint ventures, and affiliated companies, organizations, and entities; and (b) remove Tipermas as an authorized signatory on all corporate bank accounts.
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Records and Bank Accounts. The minute books, stock certificate books and stock transfer ledgers of the Company are complete and correct in all material respects with respect to the matters set forth therein and have been maintained in a manner consistent with good business practice. Schedule 2.30 delivered by the Company to the Acquiror concurrently with the execution hereof identifies all bank and brokerage accounts of the Company, whether or not such accounts are held in the name of the Company, lists the respective signatories therefor and lists the names of all persons holding a power of attorney from the Company and a summary of the terms thereof. SECTION 2.31
Records and Bank Accounts. As soon as practicable (but not later than 30 days) after the Effective Date, ICX shall take such steps as may be necessary to (a) reflect in the corporate records of ICX, its subsidiaries, joint ventures, and affiliated companies, organizations and entities that Spoehel has resigned as an officer and director of ICX and as an officer and director of ICX’s subsidiaries, joint ventures, and affiliated companies, organizations and entities; and (b) remove Spoehel as an authorized signatory on all corporate bank accounts.
Records and Bank Accounts. As soon as practicable (but not later than 30 days) after the Effective Date, Kaiser shall take such steps as may be necessary to (a) reflect in the corporate records of Kaiser, its subsidiaries, joint ventures, and affiliated companies, organizations and entities that Xxxxxxx has resigned as an officer and director of Kaiser and as an officer and director of Xxxxxx’x subsidiaries, joint ventures, and affiliated companies, organizations and entities; and (b) remove Xxxxxxx as an authorized signatory on all corporate bank accounts.
Records and Bank Accounts. As soon as practicable (but not later than 30 days) after the Effective Date, ATS shall take such steps as may be necessary to (a) reflect in the corporate records of ATS, its subsidiaries, joint ventures, and affiliated companies, organizations, and entities that Xxxxx has resigned as an officer and director of ATS and as an officer and director of ATS’ subsidiaries, joint ventures, and affiliated companies, organizations, and entities; and (b) remove Xxxxx as an authorized signatory on all corporate bank accounts.
Records and Bank Accounts. On expiration or termination of the Development Term, Master Franchisee shall provide to Franchisor all agreements, records, files and any other materials or information Franchisor reasonably requests pertaining to the Franchise Agreements which are assigned to Franchisor or its designee. On termination or expiration of the Agreement Term, Master Franchisee shall provide to Franchisor (1) all agreements, records, files and any other materials or information Franchisor reasonably requests pertaining to any Franchise Agreements then in effect, (2) all agreements, records, files and any other materials or information Franchisor reasonably requests pertaining to the Territory Marketing Fund, and (3) all monies then held in the Territory Marketing Fund. Additionally, if Master Franchisee has established a bank or other account for the electronic deposit of fees that Franchisees owe to Master Franchisee, then upon termination of this Agreement, and at Franchisor’s option, Master Franchisee shall assign such account to Franchisor to allow Franchisor to continue using the existing payment mechanism. Muscle Maker Development International LLCMaster Franchise Agreement – Saudi Arabia1419.001.308072.5
Records and Bank Accounts. All funds of the Partnership shall be deposited in such bank or banks as are agreed upon by the Partners and may be withdrawn or disbursed upon the signature of either Partner. A complete set of books and records, truly and correctly reflecting the business transactions of the Partnership, shall be kept and maintained at the principal place of business of the Partnership and either Partner shall have access to and the right to inspect said books and records at any reasonable time. Promptly after the close of each fiscal year, the Partnership shall provide unaudited financial statements prepared by a firm of public accountants acceptable to both Partners.
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Related to Records and Bank Accounts

  • Records and Accounts The Trustee shall maintain accurate and detailed records and accounts of all transactions of the Trust, which shall be available at all reasonable times for inspection by any legally entitled person or entity to the extent required by applicable law, or any other person determined by the Committee.

  • Books Records Reports and Bank Accounts 8.1 Maintenance of Books 46 8.2 Financial Statements 46 8.3 Bank Accounts 46 8.4 Fiscal Year 46

  • Records and Record Keeping Therapist may take notes during session, and will also produce other notes and records regarding Patient’s treatment. These notes constitute Therapist’s clinical and business records, which by law, Therapist is required to maintain. Such records are the sole property of Therapist. Therapist will not alter his/her normal record keeping process at the request of any patient. Should Patient request a copy of Therapist’s records, such a request must be made in writing. Therapist reserves the right, under California law, to provide Patient with a treatment summary in lieu of actual records. Therapist also reserves the right to refuse to produce a copy of the record under certain circumstances, but may, as requested, provide a copy of the record to another treating health care provider. Therapist will maintain Patient’s records for ten years following termination of therapy. However, after ten years, Patient’s records will be destroyed in a manner that preserves Patient’s confidentiality.

  • Books, Records and Accounts Custodian acknowledges that all the records it shall prepare and maintain pursuant to this Agreement shall be the property of Fund and that upon request of Fund it shall make Fund's records available to it, along with such other information and data as are reasonably requested by Fund, for inspection, audit or copying, or turn said records over to Fund. Custodian shall, within a reasonable time, render to Fund as of the close of business on each day, a detailed statement of the amounts received or paid and of securities received or delivered for the account of Fund during said day. Custodian shall, from time to time, upon request by Fund, render a detailed statement of the securities and monies held for Fund under this Agreement, and Custodian shall maintain such books and records as are necessary to enable it do so and shall permit such persons as are authorized by Fund, including Fund's independent public accountants, to examine such records or to confirm the contents of such records; and, if demanded, shall permit federal and state regulatory agencies to examine said securities, books and records. Upon the written instructions of Fund or as demanded by federal or state regulatory agencies, Custodian shall instruct any sub- custodian to permit such persons as are authorized by Fund to examine the books, records and securities held by such sub-custodian which relate to Fund.

  • Records and Schedules of Accounts Each Obligor shall keep accurate and complete records of its Accounts, including all payments and collections thereon, and shall submit to Agent sales, collection, reconciliation and other reports in form satisfactory to Agent, on such periodic basis as Agent may request. Each Obligor shall also provide to Agent, on or before the 15th day of each month, a detailed aged trial balance of all Accounts as of the end of the most recent Fiscal Month, specifying each Account’s Account Debtor name and address, amount, invoice date and due date, showing any discount, allowance, credit, authorized return or dispute, and including such proof of delivery, copies of invoices and invoice registers, copies of related documents, repayment histories, status reports and other information as Agent may reasonably request. If Accounts in an aggregate face amount of $250,000 or more cease to be Eligible Accounts, Obligors shall notify Agent of such occurrence promptly (and in any event within one Business Day) after any Obligor has knowledge thereof.

  • Records and Accounting The General Partner shall keep or cause to be kept at the principal office of the Partnership appropriate books and records with respect to the Partnership’s business, including all books and records necessary to provide to the Limited Partners any information required to be provided pursuant to Section 3.4(a). Any books and records maintained by or on behalf of the Partnership in the regular course of its business, including the record of the Record Holders and Assignees of Units or other Partnership Securities, books of account and records of Partnership proceedings, may be kept on, or be in the form of, computer disks, hard drives, punch cards, magnetic tape, photographs, micrographics or any other information storage device; provided, that the books and records so maintained are convertible into clearly legible written form within a reasonable period of time. The books of the Partnership shall be maintained, for financial reporting purposes, on an accrual basis in accordance with U.S. GAAP.

  • Documents, Records and Funds in Possession of the Master Servicer to be Held for the Trustee. The Master Servicer shall account fully to the Trustee for any funds it receives or otherwise collects as Liquidation Proceeds or Insurance Proceeds in respect of any Mortgage Loan. All Mortgage Files and funds collected or held by, or under the control of, the Master Servicer in respect of any Mortgage Loans, whether from the collection of principal and interest payments or from Liquidation Proceeds, including any funds on deposit in the Certificate Account, shall be held by the Master Servicer for and on behalf of the Trustee and shall be and remain the sole and exclusive property of the Trustee, subject to the applicable provisions of this Agreement. The Master Servicer also agrees that it shall not create, incur or subject any Mortgage File or any funds that are deposited in the Certificate Account, the Collection Account, Distribution Account, or any Escrow Account, or any funds that otherwise are or may become due or payable to the Trustee for the benefit of the Certificateholders, to any claim, lien, security interest, judgment, levy, writ of attachment, or other encumbrance, or assert by legal action or otherwise any claim or right of setoff against any Mortgage File or any funds collected on, or in connection with, a Mortgage Loan, except, however, that the Master Servicer shall be entitled to set off against and deduct from any such funds any amounts that are properly due and payable to the Master Servicer under this Agreement.

  • Documents, Records and Funds in Possession of the Master Servicer To Be Held for Trustee.

  • Books and Records of Account The Company shall maintain adequate books and records of account that shall be maintained on the accrual method of accounting. All of the books of account of the Company shall at all times be maintained at the principal office of the Company, or at such other place or places as may be designated by the Member or an officer of the Company.

  • FINANCIAL RECORDS AND AUDIT Seller shall retain all financial records and documents pertaining to the Goods for a period of no less than three years after final payment. Such records and documents shall date back to the time this Contract was issued and shall include without limitation, catalogs, price lists, invoices, underlying data and basis for cost estimates, and inventory records. Buyer shall have the right to examine, reproduce and audit all Seller records related to pricing, incurred costs and proposed costs associated with any proposals (prior to or after contract award), invoices or claims.

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