Common use of Servicer’s Certificate Clause in Contracts

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 39 contracts

Samples: Sale and Servicing Agreement (Honda Auto Receivables 2012-3 Owner Trust), Sale and Servicing Agreement (Honda Auto Receivables 2012-1 Owner Trust), Sale and Servicing Agreement (Honda Auto Receivables 2011-1 Owner Trust)

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Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator each Rating Agency a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 13 contracts

Samples: Sale and Servicing Agreement (Honda Auto Receivables 2010-1 Owner Trust), Sale and Servicing Agreement (Honda Auto Receivables 2009-2 Owner Trust), Sale and Servicing Agreement (Honda Auto Receivables 2009-3 Owner Trust)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) a Servicer's Certificate containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 13 contracts

Samples: Sale and Servicing Agreement (American Honda Receivables Corp), Sale and Servicing Agreement (Honda Auto Receivables 2007-2 Owner Trust), Sale and Servicing Agreement (American Honda Receivables 2006-1 Owner Trust)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) a Servicer's Certificate containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 6 contracts

Samples: Sale and Servicing Agreement (Honda Auto Receivables 2001-3 Owner Trust), Sale and Servicing Agreement (Honda Auto Receivables 2002-3 Owner Trust), Sale and Servicing Agreement (American Honda Receivables Corp)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Owner Trustee, each Paying Agent, the Indenture Trustee and the Administrator Seller, with a Servicer’s Certificate (which the Administrator shall make available copy to each Rating Agency pursuant to Section 1.02(c) Agency, a Servicer's Certificate substantially in the form of Exhibit A hereto, containing the Administration Agreement) containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of payments to be made on the related Collection Period Payment Date and all the information necessary for the Trustees Owner Trustee and the Indenture Trustee to send statements to the Securityholders pursuant to Section 4.10the Trust Agreement or Indenture, as the case may be. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and therein the identity of any Receivable which that the Servicer shall have or the Seller became obligated to repurchase or that the Servicer has determined to be a Defaulted Receivable during such the related Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which that the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s related Obligor's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 4 contracts

Samples: Sale and Servicing Agreement (Toyota Motor Credit Receivables Corp), Sale and Servicing Agreement (Toyota Motor Credit Receivables Corp), Sale and Servicing Agreement (Toyota Motor Credit Receivables Corp)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Trustee and the Administrator Letter of Credit Bank, if any, a Servicer’s 's Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) containing all information necessary to make the distributions required by Sections 4.06 and 4.07 pursuant to Section 14.07 in respect of the related Collection Period preceding the date of such Servicer's Certificate and all information necessary for the Trustees Trustee to send statements to Securityholders Certificateholders pursuant to Section 4.1014.10. The Servicer shall also specify in writing to the Trustees, Trustee no later than the Determination Date following the last day of a Collection Period Record Date as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such the preceding Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such the Collection Period to be Defaulted Receivables that eventual payment in full is unlikely and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment Repurchase Amount has been provided from whatever source as of last day of such Collection Period any Record Date shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables). The Rating Agencies may request such additional information as the Servicer may be able to reasonably provide.

Appears in 3 contracts

Samples: Pooling and Servicing Agreement (Fleetwood Credit Receivables Corp), Pooling and Servicing Agreement (Fleetwood Credit Receivables Corp), Pooling and Servicing Agreement (Fleetwood Credit Receivables Corp)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) a Servicer's Certificate containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller Transferor shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller Transferor and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s Transferor's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 2 contracts

Samples: Sale and Servicing Agreement (American Honda Receivables Corp), Sale and Servicing Agreement (Pooled Auto Securities Shelf LLC)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Trustees, [the Swap Counterparty] and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 2 contracts

Samples: Sale and Servicing Agreement (American Honda Receivables LLC), Sale and Servicing Agreement (American Honda Receivables LLC)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Owner Trustee and the Administrator Letter of Credit Bank, if any, a certificate (the "Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement's Certificate") containing all information necessary to make the distributions required by Sections 4.06 and 4.07 pursuant to Section 6.07 in respect of the related Collection Period preceding the date of such Servicer's Certificate and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10the Indenture or the Trust Agreement, as the case may be. The Servicer shall also specify in writing to the Trustees, Owner Trustee no later than the Determination Date following the last day of a Collection Period Record Date as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which that the Servicer shall have determined to be a Defaulted Receivable during such the preceding Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such the Collection Period to be Defaulted Receivables that eventual payment in full is unlikely and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment Repurchase Amount has been provided from whatever source as of last day of such Collection Period any Record Date shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables). Each Rating Agency may request such additional information as the Servicer may be able to reasonably provide.

Appears in 1 contract

Samples: Sale and Servicing Agreement (Fleetwood Credit Receivables Corp)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to Trustee, each Rating Agency pursuant to Section 1.02(c) and the Letter of Credit Bank, if any, a Servicer's Certificate executed by the President or any Vice President of the Administration AgreementServicer substantially in the form of an Exhibit to the Agreement (and setting forth such additional information as requested by the Trustee or any Rating Agency from time to time which information the Servicer is able to reasonably provide) containing all information necessary to make the distributions required by Sections 4.06 14.06 and 4.07 14.07 in respect of the related Collection Period immediately preceding the date of such Servicer's Certificate and all information necessary for the Trustees Trustee to send statements to Securityholders Certificateholders pursuant to Section 4.1014.10(a). The Servicer shall also specify in writing to the TrusteesTrustee, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Honda Auto Receivables 1996-a Grantor Trust)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Trustees, the Swap Counterparty and the Administrator each Rating Agency a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 1 contract

Samples: Sale and Servicing Agreement (Honda Auto Receivables 2008-2 Owner Trust)

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Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Trustees, the Swap Counterparty and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) a Servicer's Certificate containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 1 contract

Samples: Sale and Servicing Agreement (Honda Auto Receivables 2007-3 Owner Trust)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Trustees, [the Swap Counterparty] and the Administrator each Rating Agency a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 1 contract

Samples: Sale and Servicing Agreement (American Honda Receivables Corp)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to Trustee, each Rating Agency pursuant to Section 1.02(c) and the Letter of Credit Bank, if any, a Servicer's Certificate executed by the President or any Vice President of the Administration AgreementServicer substantially in the form of an Exhibit to the Agreement (and setting forth such additional information as requested by the Trustee or any Rating Agency from time to time which information the Servicer is able to reasonably provide) containing all information necessary to make the distributions required by Sections 4.06 14.06 and 4.07 14.07 in respect of the related Collection Period and all information necessary for the Trustees Trustee to send statements to Securityholders Certificateholders pursuant to Section 4.1014.10(a). The Servicer shall also specify in writing to the TrusteesTrustee, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Pooled Auto Securities Shelf LLC)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) a Servicer's Certificate containing all information necessary to make the distributions required by Sections 4.06 and 4.07 in respect of the related Collection Period and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.10. The Servicer shall also specify in writing to the Trustees, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 1 contract

Samples: Sale and Servicing Agreement (American Honda Receivables Corp)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees Depositor, the Trustees, the Insurer and the Administrator a Servicer’s Certificate (which the Administrator shall make available to each Rating Agency pursuant to Section 1.02(c) of the Administration Agreement) a Servicer's Certificate containing all information necessary to make the distributions required by Sections 4.05 and 4.06 and 4.07 in respect of the related Collection Period on the related Distribution Date and all information necessary for the Trustees to send statements to Securityholders pursuant to Section 4.104.08. The Servicer shall also specify in writing to the TrusteesTrustees and the Insurer, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Repurchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of ReceivablesReceivables Schedule).

Appears in 1 contract

Samples: Sale and Servicing Agreement (Pooled Auto Securities Shelf LLC)

Servicer’s Certificate. On or before each Determination Date, the Servicer shall deliver to the Trustees and the Administrator a Servicer’s Certificate (which the Administrator shall make available to Trustee, each Rating Agency pursuant to Section 1.02(c) and the Letter of Credit Bank, if any, a Servicer's Certificate executed by the President or any Vice President of the Administration AgreementServicer substantially in the form of Exhibit E to the Agreement (and setting forth such additional information as requested by the Trustee or any Rating Agency from time to time which information the Servicer is able to reasonably provide) containing all information necessary to make the distributions required by Sections 4.06 14.06 and 4.07 14.07 in respect of the related Collection Period immediately preceding the date of such Servicer's Certificate and all information necessary for the Trustees Trustee to send statements to Securityholders Certificateholders pursuant to Section 4.1014.10(a). The Servicer shall also specify in writing to the TrusteesTrustee, no later than the Determination Date following the last day of a Collection Period as of which the Seller shall be required to repurchase or the Servicer shall be required to purchase a Receivable, the identity of any such Receivable and the identity of any Receivable which the Servicer shall have determined to be a Defaulted Receivable during such Collection Period. Receivables purchased or to be purchased by the Servicer or the Seller and Receivables as to which the Servicer has determined during such Collection Period to be Defaulted Receivables and with respect to which payment of the Administrative Purchase Payment or Warranty Purchase Payment has been provided from whatever source as of last day of such Collection Period shall be identified by the Seller’s 's account number with respect to such Receivable (as specified in the Schedule of Receivables).

Appears in 1 contract

Samples: Pooling and Servicing Agreement (American Honda Receivables Corp)

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