Schedule of Representations. The representations and warranties set forth on the Schedule of Representations with respect to the Receivables as of the date hereof, and as of the Closing Date, are true and correct.
Schedule of Representations. The representations and warranties set forth on the Schedule of Representations attached hereto as Schedule B are true and correct.
Schedule of Representations. The representations and warranties relating to the Subsequent Receivables set forth on the Schedule of Representations attached as Schedule B to the Purchase Agreement are true and correct.
Schedule of Representations. The representations and warranties made by the Seller and set forth on the Schedule of Representations are true and correct.
Schedule of Representations. The representations and warranties set forth on the Schedule of Representations with respect to the EFIT Receivables are true and correct.
Schedule of Representations. With respect to each Lease, the representations and warranties set forth on the Schedule of Representations are true and correct as of the date specified therein.
Schedule of Representations. The representations and warranties --------------------------- set forth in Sections 3.02, 3.03 and 3.04 of the Pooling and Servicing Agreement are true and correct.
Schedule of Representations. The representations and warranties set forth on the Schedule of Eligibility Criteria attached as Schedule I to the Series Supplement are true and correct.
Schedule of Representations. All of the representations and warranties set forth on the Schedule of Representations are true and correct with respect to all of the Contracts, and, as applicable, Underlying Contracts and Underlying Originators, related to the Receivables which are referred to in any Assignment (or any annex or schedule thereto) delivered by LEAF to the Purchaser as of the date of such Assignment.
Schedule of Representations. All of the representations and warranties set forth on the Schedule of Representations were true and correct as of each Conveyance Date with respect to each Receivable which was Conveyed on such Conveyance Date and thereafter included as an Eligible Receivable for purposes of calculating the Net Eligible Receivables Balance and/or preparing a Daily Report, Borrowing Report or Monthly Remittance Report.