Reports to the Certificate Administrator; Collection Account Statements Sample Clauses

Reports to the Certificate Administrator; Collection Account Statements. (a) The Master Servicer shall deliver to the Certificate Administrator no later than 3:00 p.m. (New York City time) one Business Day prior to the Servicer Remittance Date prior to each Distribution Date (beginning June 2015), the CREFC® Loan Periodic Update File with respect to all of the Mortgage Loans that it is servicing for the related Distribution Date (which shall include, without limitation, the amount of Available Funds allocable to all of the Mortgage Loans (other than the Courtyard by Marriott Available Funds allocable to the Courtyard by Marriott Non-Pooled Trust Companion Loans) and Courtyard by Marriott Available Funds with respect to the Courtyard by Marriott Non-Pooled Trust Companion Loans, as applicable) including information therein that states the anticipated P&I Advances for the related Distribution Date. The Master Servicer’s responsibilities under this Section 3.13(a) with respect to Serviced REO Loans shall be subject to the satisfaction of the Special Servicer’s obligations under Section 3.23 of this Agreement. With respect to each Serviced Companion Loan, the Master Servicer shall (no later than the time(s) that it or any portion thereof is made to the Certificate Administrator) make available to each Serviced Companion Loan Noteholder with respect to the related Loan Combination or, if such Serviced Companion Loan is securitized, the respective Other Servicer, the CREFC® Investor Reporting Package (excluding any templates) pursuant to the terms of this Agreement on a monthly basis. The Special Servicer shall provide any templates relating to the Serviced Companion Loan included in the CREFC® Investor Reporting Package and prepared by the Special Servicer pursuant to the terms hereof to the Master Servicer promptly upon reasonable request. The Master Servicer shall provide any templates relating to the Serviced Companion Loan included in the CREFC® Investor Reporting Package (with respect to templates required to be prepared by the Special Servicer pursuant to the terms hereof, to the extent received) to the Other Servicer upon reasonable request.(b) For so long as the Master Servicer makes deposits into or credits to and withdrawals or debits from the Collection Account or any Serviced Loan Combination Collection Account, not later than 15 days after each Distribution Date, the Master Servicer shall forward to the Certificate Administrator, upon request, a statement prepared by the Master Servicer setting forth the status of each ...
Reports to the Certificate Administrator; Collection Account Statements. (a) The Servicer shall prepare, or cause to be prepared, and deliver to the Certificate Administrator, in an electronic format reasonably acceptable to the Certificate Administrator, consistent with Accepted Servicing Practices, not later than (i) 9:00 a.m. (New York time) one (1) Business Day prior to each Distribution Date, the CREFC® Loan Periodic Update File, (ii) 1:00 p.m. (New York time) one (1) Business Day prior to each Distribution Date, any updated CREFC® Loan Periodic Update File, if applicable, and (iii) 3:00 p.m. (New York time) one (1) Business Day prior to each Distribution Date, the remaining CREFC® Investor Reporting Package (except the CREFC® Bond Level File, the CREFC® Collateral Summary File, the CREFC® Special Servicer Loan File, the CREFC® Operating Statement Analysis Report and the CREFC® NOI Adjustment Worksheet).The CREFC® Operating Statement Analysis Report and the CREFC® NOI Adjustment Worksheet shall be delivered by the Servicer to the Certificate Administrator on a quarterly and annual basis (commencing with the quarter ending September 30, 2015 and year ending December 31, 2015, each within 30 days after receipt by the Servicer), within 30 days after receipt by the Servicer of the financial statements, operating statements, rent rolls, or other information required to prepare (or, if previously prepared, update) the CREFC® Operating Statement Analysis Report and the CREFC® NOI Adjustment Worksheet, but will not be deemed to have been received by the Certificate Administrator until such time as it is actually received.(b) The Servicer shall furnish to the Certificate Administrator in electronic format the CREFC® Investor Reporting Package produced by it pursuant to this Agreement notlater than the time period specified in Section 3.13(a), and thereafter to the 17g-5 Information Provider, who shall make such reports available to the Rating Agencies on its website.(c) The Servicer shall produce the reports described in this Section 3.13 solely from information provided to the Servicer by the Borrowers pursuant to the Loan Agreements (without modification, interpretation or analysis) or by the applicable Special Servicer, the Mortgage Loan Seller or Depositor pursuant to this Agreement. None of the Trustee, the Certificate Administrator, the Servicer or the applicable Special Servicer shall be responsible for the completeness or accuracy of such information (except that the Servicer shall use efforts consistent with Accepted Servi...
Reports to the Certificate Administrator; Collection Account Statements. In this Section 3.13, the term “Mortgage Loan”, unless otherwise indicated, shall also generally refer to the related Companion Loan or Loan Combination, as the context may require.
Reports to the Certificate Administrator; Collection Account Statements. In this Section 3.13, the term “Mortgage Loan”, unless otherwise indicated, shall not include the Non-Serviced Mortgage Loan.