AS GUARANTOR (IN THE CASE OF NOTES ISSUED BY CBQ FINANCE LIMITED) EURO MEDIUM TERM NOTE PROGRAMMEIssue and Paying Agency Agreement • July 5th, 2022
Contract Type FiledJuly 5th, 2022
ContractJuly 13th, 2020
FiledJuly 13th, 2020EXECUTION VERSION CBQ FINANCE LIMITED ANDTHE COMMERCIAL BANK (P.S.Q.C.) AS ISSUERSAND THE COMMERCIAL BANK (P.S.Q.C.) AS GUARANTOR(IN THE CASE OF NOTES ISSUED BY CBQ FINANCE LIMITED) U.S.$5,000,000,000EURO MEDIUM TERM NOTE PROGRAMME DEED OF GUARANTEE
ContractJuly 14th, 2013
FiledJuly 14th, 2013Deposit Direct & Debit Cards Agreement مصخلا تاقاطبو رشابملا عاديلاا تاقاطب ةيقافتا This Agreement (hereinafter referred to as the ‘Agreement’) is made between:The Commercial Bank of Qatar (Q.S.C.), valid CR No/150 , with its registered address at P.O Box 3232, Doha, State of Qatar , represented by its authorized signatory Mr. ------------ , valid QID No ( ----------) ( hereinafter referred to as the ‘Bank ’Cards Issuer ) and ----------- company having valid CR No ( ) and address P. o box No ( ) Doha, ٍ State of Qatar, represented by its authorized signatory Mr ,valid QID No ( ----------) ( hereinafter referred to as the‘ Cards owner ’). نيب ) " ةيقافتلاا " اقحلا اهيلإ راشي و ( ةيقافتلاا هذه ماربإ مت:نم لك مقر يراس يراجت لجس ،) ق.م. ش ( يرطقلا يراجتلا كنبلا ةلود ، ةحودلا ، 3232. ب. ص لجسملا هناونعو ، )051( ةيصخش ةقاطب ، ----/ديسلا عيقوتلاب ضوفملا هلثميو ، رطق كنبلا " ـب اقحلا هيلإ راشي و ( ------ مقر ةيراس ةيرطق)تاقاطبلا ردصم"واهناونعو ، )--- ( مقر يراس يراجت لجس ، / ةكرش ضوفملا اه
ContractSeptember 28th, 2023
FiledSeptember 28th, 2023Amended and Restated Issue and Paying Agency Agreement Dated 28 September 2023 CBQ Finance Limited and The Commercial Bank (P.S.Q.C.)(Issuers) The Commercial Bank (P.S.Q.C.)(Guarantor) BNP Paribas, Luxembourg Branch(Registrar) BNP Paribas, Luxembourg Branch(Fiscal Agent) BNP Paribas, Luxembourg Branch(Transfer Agent) BNP Paribas, Luxembourg Branch(Paying Agent) Dentons & Co.Level 18, Boulevard Plaza 2 Burj Khalifa DistrictPO Box 1756, Dubai United Arab Emirates وك دنأ زنوتند٢ ازلاب درافيلوب ١٨ قباطلاةفيلخ جرب يح يبد ، ١٧٥٦ ب ص ةدحتملا ةيبرعلا تاراملإا
EXECUTION VERSION CBQ FINANCE LIMITED ANDTHE COMMERCIAL BANK (P.S.Q.C.) AS ISSUERSAND THE COMMERCIAL BANK (P.S.Q.C.) AS GUARANTOR (IN THE CASE OF NOTES ISSUED BY CBQ FINANCE LIMITED) U.S.$5,000,000,000EURO MEDIUM TERM NOTE PROGRAMME PROGRAMME MANUALJuly 14th, 2020
FiledJuly 14th, 2020CBQ Finance Limited and The Commercial Bank (P.S.Q.C.) (each an "Issuer" and together, the "Issuers") and The Commercial Bank (P.S.Q.C.) (the "Guarantor") have established a Euro Medium Term Note Programme (the "Programme") for the issuance of notes (the "Notes"), in connection with which they have entered into an amended and restated dealer agreement dated 14 July 2020 (the "Dealer Agreement") and an amended and restated issue and paying agency agreement dated 14 July 2020 (the "Agency Agreement"), the Issuers have executed a deed of covenant dated 14 July 2020 (the "Deed of Covenant") and the Guarantor has executed a deed of guarantee dated 14 July 2020 (the "Deed of Guarantee").
PayCard Remittance Services AgreementRemittance Services Agreement • May 12th, 2020
Contract Type FiledMay 12th, 2020