Synchrony Card Issuance Trust Sample Contracts

SYNCHRONYSERIES Class A(2023-2) SYNCHRONY CARD ISSUANCE TRUST (Issuer) SYNCHRONY CARD FUNDING, LLC (Depositor) UNDERWRITING AGREEMENT
Underwriting Agreement • November 9th, 2023 • Synchrony Card Issuance Trust • Asset-backed securities • New York

Synchrony Card Funding, LLC, a limited liability company organized and existing under the laws of the State of Delaware (the “Company”), proposes to cause Synchrony Card Issuance Trust (the “Issuer”) to issue and sell from time to time notes of the series, classes and tranches designated in Annex I (the “Notes”). The offering of the Notes by the Underwriters pursuant to this Agreement and the Terms Document is referred to herein as the “Note Offering.” The Company is a wholly-owned subsidiary of Synchrony Bank (the “Bank”).

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Contract
Risk Retention Agreement • June 28th, 2019 • Synchrony Card Issuance Trust • Asset-backed securities

RISK RETENTION AGREEMENT, dated as of June 24, 2019 (this “Agreement”), by and among SYNCHRONY BANK, a federal savings association organized under the laws of the United States (“Synchrony Bank”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company (“Synchrony Card Funding”), and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Issuer”).

Contract
Risk Retention Agreement • November 9th, 2023 • Synchrony Card Issuance Trust • Asset-backed securities

RISK RETENTION AGREEMENT, dated as of November 15, 2023 (this “Agreement”), by and among SYNCHRONY BANK, a federal savings association organized under the laws of the United States (“Synchrony Bank”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company (“Synchrony Card Funding”), and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Issuer”).

Contract
Risk Retention Agreement • July 20th, 2022 • Synchrony Card Issuance Trust • Asset-backed securities

RISK RETENTION AGREEMENT, dated as of July 15, 2022 (this “Agreement”), by and among SYNCHRONY BANK, a federal savings association organized under the laws of the United States (“Synchrony Bank”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company (“Synchrony Card Funding”), and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Issuer”).

SYNCHRONY CARD ISSUANCE TRUST as Issuer and THE BANK OF NEW YORK MELLON as Indenture Trustee SYNCHRONYSERIES INDENTURE SUPPLEMENT dated as of September 26, 2018 to AMENDED AND RESTATED MASTER INDENTURE dated as of May 1, 2018
Master Indenture • October 2nd, 2018 • Synchrony Card Issuance Trust • Asset-backed securities • New York

This SYNCHRONYSERIES INDENTURE SUPPLEMENT, dated as of September 26, 2018 (this “Indenture Supplement”), between SYNCHRONY CARD ISSUANCE TRUST, a statutory trust organized under the laws of the State of Delaware (the “Issuer”), and THE BANK OF NEW YORK MELLON, a New York state-chartered bank, not in its individual capacity but in its capacity as Indenture Trustee (the “Indenture Trustee”) under the Amended and Restated Master Indenture, dated as of May 1, 2018 (the “Indenture”), between the Issuer and the Indenture Trustee.

SYNCHRONYSERIES Class [_] (20[_]-[_]) SYNCHRONY CARD ISSUANCE TRUST (Issuer) SYNCHRONY CARD FUNDING, LLC (Depositor) [FORM OF] UNDERWRITING AGREEMENT
Administration Agreement • June 24th, 2021 • Synchrony Card Issuance Trust • Asset-backed securities • New York

Synchrony Card Funding, LLC, a limited liability company organized and existing under the laws of the State of Delaware (the “Company”), proposes to cause Synchrony Card Issuance Trust (the “Issuer”) to issue and sell from time to time notes of the series, classes and tranches designated in Annex I (the “Notes”). The offering of the Notes by the Underwriters pursuant to this Agreement and the applicable Terms Document is referred to herein as the “Note Offering.” The Company is a wholly-owned subsidiary of Synchrony Bank (the “Bank”).

AMENDED AND RESTATED LIMITED LIABILITY COMPANY AGREEMENT OF SYNCHRONY CARD FUNDING, LLC (A DELAWARE LIMITED LIABILITY COMPANY) Dated May 1, 2018 SYNCHRONY CARD FUNDING, LLC
Limited Liability Company Agreement • May 4th, 2018 • Synchrony Card Issuance Trust • Delaware

AMENDED AND RESTATED LIMITED LIABILITY COMPANY AGREEMENT dated as of May 1, 2018, adopted by Synchrony Bank, as the sole equity member (the “Initial Member”), and the Persons that shall become Members from time to time as herein provided.

Contract
Risk Retention Agreement • October 2nd, 2018 • Synchrony Card Issuance Trust • Asset-backed securities

RISK RETENTION AGREEMENT, dated as of September 26, 2018 (this “Agreement”), by and among SYNCHRONY BANK, a federal savings association organized under the laws of the United States (“Synchrony Bank”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company (“Synchrony Card Funding”), and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Issuer”).

ASSET REPRESENTATIONS REVIEW AGREEMENT Among SYNCHRONY BANK, as Seller and as Servicer, SYNCHRONY CARD FUNDING, LLC, as Transferor, SYNCHRONY CARD ISSUANCE TRUST, as Issuer, and CLAYTON FIXED INCOME SERVICES LLC, as Asset Representations Reviewer...
Asset Representations Review Agreement • August 20th, 2018 • Synchrony Card Issuance Trust • Asset-backed securities • New York

ASSET REPRESENTATIONS REVIEW AGREEMENT, dated as of August 15, 2018, among SYNCHRONY BANK, a federal savings association, individually (“Bank”), as Seller (in such capacity, “Seller”) and as Servicer (in such capacity, “Servicer”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company, as Transferor (“Transferor”), SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust, as Issuer (“Issuer”), and CLAYTON FIXED INCOME SERVICES LLC, a Delaware limited liability company, as Asset Representations Reviewer (in such capacity, “Vendor”).

CUSTODY AND CONTROL AGREEMENT
Custody and Control Agreement • May 4th, 2018 • Synchrony Card Issuance Trust • New York

CUSTODY AND CONTROL AGREEMENT (this “Agreement”) dated as of November 30, 2017, by and among The Bank of New York Mellon, in its capacity as Custodian (the “Custodian”), Synchrony Card Issuance Trust, a Delaware statutory trust (the “Issuer”), and The Bank of New York Mellon, in its capacity as Indenture Trustee (the “Indenture Trustee”).

AMENDED AND RESTATED TRANSFER AGREEMENT
Transfer Agreement • May 4th, 2018 • Synchrony Card Issuance Trust • New York

AMENDED AND RESTATED TRANSFER AGREEMENT, dated as of May 1, 2018 (this “Agreement”), between SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company, as Transferor (“Transferor”) and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust, as Buyer (“Buyer”).

FORM OF] ASSET REPRESENTATIONS REVIEW AGREEMENT Among SYNCHRONY BANK, as Seller and as Servicer, SYNCHRONY CARD FUNDING, LLC, as Transferor, SYNCHRONY CARD ISSUANCE TRUST, as Issuer, and as Asset Representations Reviewer Dated as of [___________], [____]
Review Agreement • May 4th, 2018 • Synchrony Card Issuance Trust • New York

ASSET REPRESENTATIONS REVIEW AGREEMENT, dated as of [___________], [____], among SYNCHRONY BANK, a federal savings association, individually (“Bank”), as Seller (in such capacity, “Seller”) and as Servicer (in such capacity, “Servicer”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company, as Transferor (“Transferor”), SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust, as Issuer (“Issuer”), and [__________________], a [______________], as Asset Representations Reviewer (in such capacity, “Vendor”).

AMENDED AND RESTATED RECEIVABLES SALE AGREEMENT between SYNCHRONY BANK, Seller, and SYNCHRONY CARD FUNDING, LLC Buyer Dated as of May 1, 2018
Receivables Sale Agreement • May 4th, 2018 • Synchrony Card Issuance Trust • New York

AMENDED AND RESTATED RECEIVABLES SALE AGREEMENT, dated as of May 1, 2018 (this “Agreement”), between SYNCHRONY BANK, a federal savings association organized under the laws of the United States, (the “Bank”) and SYNCHRONY CARD FUNDING, LLC, a limited liability company organized under the laws of the State of Delaware, as Buyer (“Buyer”).

SUPPLEMENT NO. 1 TO SYNCHRONYSERIES INDENTURE SUPPLEMENT
Synchrony Card Issuance Trust • June 2nd, 2021 • Asset-backed securities

THIS SUPPLEMENT NO. 1 TO SYNCHRONYSERIES INDENTURE SUPPLEMENT, dated as of May 28, 2021 (this “Agreement”), is entered into between: (i) Synchrony Card Issuance Trust, a Delaware statutory trust, as issuer (the “Issuer”); and (ii) The Bank of New York Mellon, a New York state chartered bank, as indenture trustee under the Master Indenture referred to below (in such capacity, the “Indenture Trustee”).

ADMINISTRATION AGREEMENT
Administration Agreement • May 4th, 2018 • Synchrony Card Issuance Trust

ADMINISTRATION AGREEMENT, dated as of November 30, 2017, between SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Trust”), and SYNCHRONY BANK, a Delaware corporation, as administrator (the “Administrator”).

SYNCHRONY CARD ISSUANCE TRUST AMENDED AND RESTATED TRUST AGREEMENT
Trust Agreement • May 4th, 2018 • Synchrony Card Issuance Trust • Delaware

AMENDED AND RESTATED TRUST AGREEMENT OF SYNCHRONY CARD ISSUANCE TRUST (as amended or supplemented from time to time, this “Agreement”) dated as of May 1, 2018, among SYNCHRONY CARD FUNDING, LLC (“Synchrony Card Funding”), a Delaware limited liability company, Citibank, N.A., a national banking association, as Trustee (the “Trustee”) and Citicorp Trust Delaware, National Association, a national banking association, as Delaware trustee (the “Delaware Trustee”).

Contract
Form of Risk Retention Agreement • May 4th, 2018 • Synchrony Card Issuance Trust

FORM OF RISK RETENTION AGREEMENT, dated as of [________], 2018 (this “Agreement”), by and among SYNCHRONY BANK, a federal savings association organized under the laws of the United States (“Synchrony Bank”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company (“Synchrony Card Funding”), and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Issuer”).

Contract
Risk Retention Agreement • March 22nd, 2024 • Synchrony Card Issuance Trust • Asset-backed securities

RISK RETENTION AGREEMENT, dated as of March 18, 2024 (this “Agreement”), by and among SYNCHRONY BANK, a federal savings association organized under the laws of the United States (“Synchrony Bank”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company (“Synchrony Card Funding”), and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Issuer”).

AMENDED AND RESTATED SERVICING AGREEMENT
Amended And • May 4th, 2018 • Synchrony Card Issuance Trust • New York
SYNCHRONYSERIES Class A(2024-1) SYNCHRONY CARD ISSUANCE TRUST (Issuer) SYNCHRONY CARD FUNDING, LLC (Depositor) UNDERWRITING AGREEMENT
Underwriting Agreement • March 13th, 2024 • Synchrony Card Issuance Trust • Asset-backed securities • New York

Synchrony Card Funding, LLC, a limited liability company organized and existing under the laws of the State of Delaware (the “Company”), proposes to cause Synchrony Card Issuance Trust (the “Issuer”) to issue and sell from time to time notes of the series, classes and tranches designated in Annex I (the “Notes”). The offering of the Notes by the Underwriters pursuant to this Agreement and the Terms Document is referred to herein as the “Note Offering.” The Company is a wholly-owned subsidiary of Synchrony Bank (the “Bank”).

Contract
Risk Retention Agreement • March 13th, 2024 • Synchrony Card Issuance Trust • Asset-backed securities

RISK RETENTION AGREEMENT, dated as of March 18, 2024 (this “Agreement”), by and among SYNCHRONY BANK, a federal savings association organized under the laws of the United States (“Synchrony Bank”), SYNCHRONY CARD FUNDING, LLC, a Delaware limited liability company (“Synchrony Card Funding”), and SYNCHRONY CARD ISSUANCE TRUST, a Delaware statutory trust (the “Issuer”).

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