Westpac Securitisation Management Pty LTD Sample Contracts

WST TRUSTS
Memorandum of Agreement • December 19th, 2001 • Westpac Securitisation Management Pty LTD • Asset-backed securities • Australian Capital Territory
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ISDA(R)
Master Agreement • May 5th, 1999 • Westpac Securitisation Management Pty LTD • Asset-backed securities • New South Wales
Chargor)
Westpac Securitisation Management Pty LTD • April 17th, 1998 • Asset-backed securities • Australian Capital Territory
Westpac Securitisation Trusts Servicing Agreement
Westpac Securitisation Management Pty LTD • December 19th, 2001 • Asset-backed securities • Australian Capital Territory
U.S.$[*]
Underwriting Agreement • December 19th, 2001 • Westpac Securitisation Management Pty LTD • Asset-backed securities • New York
as Trustee)
Westpac Securitisation Management Pty LTD • June 1st, 1998 • Asset-backed securities • New South Wales
WESTPAC BANKING CORPORATION (Westpac) THE MORTGAGE COMPANY PTY LIMITED (Servicer) WESTPAC SECURITIES ADMINISTRATION LIMITED (Trustee)
Conformed • April 20th, 1999 • Westpac Securitisation Management Pty LTD • Asset-backed securities • Australian Capital Territory
ISDA® International Swap Dealers Association, Inc. MASTER AGREEMENT dated as of
Master Agreement • June 6th, 2007 • Westpac Securitisation Management Pty LTD • Asset-backed securities • New South Wales

have entered and/or anticipate entering into one or more transactions (each a “Transaction”) that are or will be governed by this Master Agreement, which includes the schedule (the “Schedule”), and the documents and other confirming evidence (each a “Confirmation”) exchanged between the parties confirming those Transactions.

FORM OF UNDERWRITING AGREEMENT WESTPAC SECURITIES ADMINISTRATION LIMITED SERIES [ ]-[_]G WST TRUST UNDERWRITING AGREEMENT
Underwriting Agreement • December 8th, 2010 • Westpac Securitisation Management Pty LTD • Asset-backed securities • New York

[ ](ABN [ ]), a [ ] in its capacity as trustee of the Series [ ]-[_]G WST Trust (the “Issuer Trustee”) proposes to sell to the several Underwriters listed in Schedule I hereto (the “Underwriters”), for whom you are acting as representative (the “Representatives”), U.S.$[·] principal amount of Class [ ] Mortgage Backed Floating Rate Notes due 20[·] (the “Class [ ] Notes” or the “Notes”) issued by the Series [ ]-[_]G WST Trust (the “Trust”). Each Note will be secured by the assets of the Trust. The assets of the Trust include, among other things, a pool of fixed and variable-rate residential housing loans (the “Housing Loans”) originated or acquired by Westpac Banking Corporation (ABN 33 007 457 141) (“Westpac”) including all monies at any time paid or payable thereon or in respect thereof from, on and after [ ], [ ] (the “Cut-Off Date”) with respect to payments of principal and after [ ], [ ] (the “Closing Date”) with respect to payments of interest, rights under certain insurance polic

Form of ISDA® International Swap Dealers Association, Inc. MASTER AGREEMENT dated as of
Master Agreement • September 29th, 2011 • Westpac Securitisation Management Pty LTD • Asset-backed securities • New South Wales

have entered and/or anticipate entering into one or more transactions (each a “Transaction”) that are or will be governed by this Master Agreement, which includes the schedule (the “Schedule”), and the documents and other confirming evidence (each a “Confirmation”) exchanged between the parties confirming those Transactions.

Date: [*] CONFIRMATION – CURRENCY SWAP – SERIES [*] WST TRUST The purpose of this letter is to confirm the terms and conditions of the transaction entered into between us on the terms specified below (the "Transaction"). This letter constitutes a...
Westpac Securitisation Management Pty LTD • December 8th, 2010 • Asset-backed securities

This Confirmation supplements, forms part of, and is subject to, the 1992 ISDA Master Agreement dated as of [*], with a schedule headed “Westpac Cross Currency Swap”, as amended, novated or supplemented from time to time (the "Agreement"), between [*] ABN [*] ("Party A") and [*] as trustee of the Trust ("Party B").

CONFIRMATION – FIXED RATE BASIS SWAP – SERIES [*] WST TRUST The purpose of this letter is to confirm the terms and conditions of the transaction entered into between us on the terms specified below (the "Transaction"). This letter constitutes a...
Westpac Securitisation Management Pty LTD • December 8th, 2010 • Asset-backed securities

This Confirmation supplements, forms part of, and is subject to, the 1992 ISDA Master Agreement dated [*], with a schedule headed “Schedule to the Basis Swaps”, as amended, novated or supplemented from time to time (the "Agreement"), between [*] ABN [*] ("Party A") and [*] ABN [*] as trustee of the Trust ("Party B").

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