Statement Rendition Clause Samples

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Statement Rendition. All checks, drafts, and other orders for the payment of money drawn against accounts at Client which are to be stored by Fiserv, will be retained by Fiserv until the end of each Client's checking account cycle. The items will be sorted, filed with the monthly statement, and mailed to the depositor. Client agrees to have statements printed according to predefined cycles and print classes. Statement enclosure counts will be accurately and clearly reported in the top fold of the statement. If required, Client agrees to expedite the return of any paid exception items to Fiserv in order to facilitate timely statement processing. Fiserv will apply proper postage, which will be pre- paid monthly (or as agreed upon by Client and Fiserv) on an estimated basis by Client.
Statement Rendition. All checks, drafts, and other orders for the payment of money drawn against accounts at CUSTOMER which are to be stored by IMPERIAL, will be retained by IMPERIAL until the end of each CUSTOMER'S account cycle, at which time the ITEMS will be sorted, filed with the monthly statement, and mailed to the depositor.