Common use of Servicer Reports Clause in Contracts

Servicer Reports. (a) On the Servicer Data Remittance Date, the Servicer shall deliver to the Servicing Administrator, the Backup Servicer and the Securities Administrator electronically at masterservicing@jpmorgan.com and lrps@jpmorgan.com (or by such other xxxxx xx xxx Xxxxxxxx, xxx Servicing Administrator, the Backup Servicer and the Securities Administrator may agree from time to time) a servicer report with respect to the related Distribution Date, in a form mutually acceptable to the Servicer, the Servicing Administrator, the Backup Servicer and the Securities Administrator and containing the information set forth in Exhibit R. On the same date with respect to the Servicer and on the 18th day of each month (or the next succeeding Business Day) with respect to the Servicing Administrator shall electronically transmit to the Securities Administrator and the Backup Servicer, a data file containing the information set forth in such servicer report with respect to the related Distribution Date. Such servicer report shall include (i) the amount of Advances to be made by the Servicer (or the Servicing Administrator or Backup Servicer, if any) in respect of the related Distribution Date, the aggregate amount of Advances outstanding after giving effect to such Advances, and the aggregate amount of Nonrecoverable Advances in respect of such Distribution Date and (ii) such other information with respect to the Mortgage Loans (to the extent such information is available on the systems of the Servicer) as the Securities Administrator may reasonably require to perform the calculations necessary to make the distributions contemplated by Section 5.05 and to prepare the statements to Certificateholders contemplated by Section 5.06 and for the Securities Administrator to perform its obligations under this Agreement. Neither the Securities Administrator nor the Backup Servicer shall be responsible to recompute, recalculate or verify any information provided to it by the Servicer and the Servicing Administrator.

Appears in 2 contracts

Samples: Pooling and Servicing Agreement (Terwin Mortgage Trust, Series TMTS 2005-14he), Pooling and Servicing Agreement (Terwin Mortgage Trust, Series TMTS 2005-12alt)

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Servicer Reports. (a) On the Servicer Data Remittance Date, the each Servicer shall deliver to the Servicing AdministratorMaster Servicer, the Backup Servicer and the Securities Administrator electronically at masterservicing@jpmorgan.com xxxxxxxxxxxxxxx@xxxxxxxx.xxx and lrps@jpmorgan.com xxxx@xxxxxxxx.xxx (or by such other xxxxx xx xxx Xxxxxxxxmeans as the Servicers, xxx Servicing Administratorthe Master Servicer, the Backup Servicer and the Securities Administrator may agree from time to time) a servicer report with respect to the related Distribution Date, in a form mutually acceptable to the ServicerServicers, the Servicing AdministratorMaster Servicer, the Backup Servicer and the Securities Administrator and containing the information set forth in Exhibit R. On the same date with respect to the each Servicer and on the 18th day of each month (or the next succeeding Business Day) with respect to the Servicing Administrator Master Servicer shall electronically transmit to the Securities Administrator and the Backup Servicer, a data file containing the information set forth in such servicer report with respect to the related Distribution Date. Such servicer report shall include (i) the amount of Advances to be made by the Servicer (or the Servicing Administrator Master Servicer or Backup Servicer, if any) in respect of the related Distribution Date, the aggregate amount of Advances outstanding after giving effect to such Advances, and the aggregate amount of Nonrecoverable Advances in respect of such Distribution Date and (ii) such other information with respect to the Mortgage Loans (to the extent such information is available on the systems of the ServicerServicers) as the Securities Administrator may reasonably require to perform the calculations necessary to make the distributions contemplated by Section 5.05 and to prepare the statements to Certificateholders contemplated by Section 5.06 and for the Securities Administrator to perform its obligations under this Agreement. Neither the Securities Administrator nor the Backup Servicer shall be responsible to recompute, recalculate or verify any information provided to it by the Servicer Servicers and the Servicing AdministratorMaster Servicer.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Terwin Mortgage Trust, Series 2004-11he)

Servicer Reports. (a) On the Servicer Data Remittance Date, the Servicer shall deliver to the Servicing AdministratorMaster Servicer, the Backup Servicer and the Securities Administrator electronically at masterservicing@jpmorgan.com and lrps@jpmorgan.com (or by such other othex xxxxx xx xxx Xxxxxxxx, xxx Servicing AdministratorMastxx Xxxxxxxx, the xxx Backup Servicer and the Securities Administrator may agree from time to time) a servicer report with respect to the related Distribution Date, in a form mutually acceptable to the Servicer, the Servicing AdministratorMaster Servicer, the Backup Servicer and the Securities Administrator and containing the information set forth in Exhibit R. On the same date with respect to the Servicer and on the 18th day of each month (or the next succeeding Business Day) with respect to the Servicing Administrator Master Servicer shall electronically transmit to the Securities Administrator and the Backup Servicer, a data file containing the information set forth in such servicer report with respect to the related Distribution Date. Such servicer report shall include (i) the amount of Advances to be made by the Servicer (or the Servicing Administrator Master Servicer or Backup Servicer, if any) in respect of the related Distribution Date, the aggregate amount of Advances outstanding after giving effect to such Advances, and the aggregate amount of Nonrecoverable Advances in respect of such Distribution Date and (ii) such other information with respect to the Mortgage Loans (to the extent such information is available on the systems of the Servicer) as the Securities Administrator may reasonably require to perform the calculations necessary to make the distributions contemplated by Section 5.05 and to prepare the statements to Certificateholders contemplated by Section 5.06 and for the Securities Administrator to perform its obligations under this Agreement. Neither the Securities Administrator nor the Backup Servicer shall be responsible to recompute, recalculate or verify any information provided to it by the Servicer and the Servicing AdministratorMaster Servicer.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Terwin Mortgage Trust, Series TMTS 2004-22sl)

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Servicer Reports. (a) On the Servicer Data Remittance Date, the Servicer shall deliver to the Servicing Administrator, the Backup Servicer and the Securities Administrator electronically at masterservicing@jpmorgan.com xxxxxxxxxxxxxxx@xxxxxxxx.xxx and lrps@jpmorgan.com xxxx@xxxxxxxx.xxx (or by such other xxxxx xx xxx Xxxxxxxxmeans as the Servicer, xxx the Servicing Administrator, the Backup Servicer and the Securities Administrator may agree from time to time) a servicer report with respect to the related Distribution Date, in a form mutually acceptable to the Servicer, the Servicing Administrator, the Backup Servicer and the Securities Administrator and containing the information set forth in Exhibit R. On the same date with respect to the Servicer and on the 18th day of each month (or the next succeeding Business Day) with respect to the Servicing Administrator shall electronically transmit to the Securities Administrator and the Backup Servicer, a data file containing the information set forth in such servicer report with respect to the related Distribution Date. Such servicer report shall include (i) the amount of Advances to be made by the Servicer (or the Servicing Administrator or Backup Servicer, if any) in respect of the related Distribution Date, the aggregate amount of Advances outstanding after giving effect to such Advances, and the aggregate amount of Nonrecoverable Advances in respect of such Distribution Date and (ii) such other information with respect to the Mortgage Loans (to the extent such information is available on the systems of the Servicer) as the Securities Administrator may reasonably require to perform the calculations necessary to make the distributions contemplated by Section 5.05 and to prepare the statements to Certificateholders contemplated by Section 5.06 and for the Securities Administrator to perform its obligations under this Agreement. Neither the Securities Administrator nor the Backup Servicer shall be responsible to recompute, recalculate or verify any information provided to it by the Servicer and the Servicing Administrator.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Terwin Mortgage Trust Asset-Backed Certificates, Series TMTS 2005-6he)

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