Account Name definition

Account Name means the name of the individual who lives with the child(ren) and who applies for the Children’s Health Insurance Program coverage on behalf of the child(ren).
Account Name. Permanent Financing (No. 4) PLC Transaction Account It is agreed by the parties that payments made by Party A to the Principal Paying Agent in accordance with the settlement instructions, as detailed above, will be considered as absolute and conclusive discharge of Party A's obligations to Party B in respect of such payment, regardless of whether the Principal Paying Agent makes a payment in turn to Party B. This will continue to be the case until Party B changes its account in accordance with Section 2(b) of the Agreement.
Account Name. SGD : #: ountry: : : Account #: Account Name: : : #: ountry: : : Account #: Account Name: : Currency: US Dollars Bank Name: ABA #: City: State: Account #: Account Name: Attention: Currency: GBP Bank Name: SWIFT #: Country: Account #: Account Name: FCC Account #: FCC Account Name: Attention: Currency: JPY Bank Name: SWIFT #: Country: Account #: Account Name: FCC Account #: FCC Account Name: Attention: Currency: HKD Bank Name: SWIFT #: Country: Account #: Account Name: FCC Account #: FCC Account Name: Attention: Currency: EUR Bank Name: SWIFT #: Country: Account #: Account Name: FCC Account #: FCC Account Name: Attention: Currency: AUD Bank Name: SWIFT #: Country: Account #: Account Name: FCC Account #: FCC Account Name: Attention: Currency: SGD Bank Name: SWIFT #: Country: Account #: Account Name: FCC Account #: FCC Account Name: Attention: Currency: Bank Name: SWIFT #: Country: Account #: Account Name: FCC Account #: FCC Account Name: Attention: ADMINISTRATIVE QUESTIONNAIRE – (MULTICURRENCY) CONFIDENTIAL

Examples of Account Name in a sentence

  • The bidder shall also provide Bank Name, Account Name, Account Number, Account Type, Branch IFSC Code for safer & easier payment transaction through RTGS/NEFT.

  • RUNNING THE ACCOUNT STATUS REPORT Navigation is Reports > Run.To select the reporting criteria, click on the arrow on the right side of the page for each section.1. REPORTING ENTITY: You can run by either Account Name or Account Number.

  • Red Oak Capital Fund VI, LLC Name of Financial Institution: Your Bank’s ABA Routing #: Your Account #: Name on Account: Further Credit Account # (if any): Further Credit Account Name (if any): Brokerage Mailing Address: City, State, Zip Code: Account Type: ☐ Checking ☐ Savings ☐ Brokerage Please attach a pre-printed, voided check.

  • NAVIGATION IS REPORTS > RUN.To select the reporting criteria, click on the arrow on the right side of the page for each section.1. REPORTING ENTITY: You can run by either Account Name or Account Number.


More Definitions of Account Name

Account Name. Address: ABA Routing#: SWIFT: Account #: Ref: The Purchase Price will be held by the Escrow Agent and released to the Company at Closing against delivery to the Investor of stock certificates representing the Shares pursuant to the terms and conditions of that certain Closing Escrow Agreement by and among the Investor, the Company and the Escrow Agent in the form attached hereto as Exhibit B (the “Escrow Agreement” and together with this Agreement, the “Transaction Documents”).
Account Name. Account Number: Ref: Further Credit to: [amount to be provided by Lessee]
Account Name. Corpxxxxx Xxxxt Clearing FFC: Acct 17214200 SABR 2006-WM1 Excess Reserve Fund Account
Account Name. Corporate Txxxx Xxxxxing FFC: Acct 17214200 SABR 2006-NC1 Excess Reserve Fund Account
Account Name. Reference: LACMTA Sub Lien. Meas. R Series C As of the Drawing Date: SUBSERIES C-2 BONDS (TAXABLE) TOTAL Cumulative principal amount previously drawn under C- 1 Bonds and C-2 Bonds: Cumulative principal amount previously redeemed C-1 Bonds and C-2 Bonds: Principal amount Outstanding under C-1 Bonds and C-2 Bonds prior to this drawing: Principal amount of this Drawing: Drawing Date will be: Subseries C-1 Bonds (Tax-Exempt) (if any) which will be redeemed on or prior to the Drawing Date: Subseries C-2 Bonds (Taxable) (if any) which will be redeemed on or prior to the Drawing Date: Following this Drawing and redemptions on or prior to the Drawing Date, the Outstanding principal amount of Subseries C-1 Bonds (Tax-Exempt): Following this Drawing and redemptions on or prior to the Drawing Date, the Outstanding principal amount of Subseries C-2 Bonds (Taxable): Accrued Interest, if any, on this Drawing: Total Amount to be paid for this Drawing: Upon receipt by the Trustee from the Owner on the Drawing Date of a federal funds wire, for the account of the Authority, in the amount of $ , representing the agreed purchase price for the Drawing, the Trustee is hereby requested and authorized to revise the Schedule of Drawings, Redemptions and Remarketings attached to the Subseries C-2 Bonds (Taxable) to reflect such Drawing. As of the date hereof and on the Drawing Date:
Account Name. Address: Any Person so designated by the Holder (or a Participant or designee of a Participant on behalf of a Holder) to receive Warrant Shares shall be deemed to have become holder of record of such Warrant Shares as of the time that an appropriately completed and duly signed Election to Purchase has been delivered to the Warrant Agent, provided that the Holder (or Participant on behalf of the Holder) makes delivery of the deliverables referenced in the immediately preceding sentence by the date that is one (1) Trading Day after the delivery of the Election to Purchase. If the Holder (or Participant on behalf of the Holder) fails to make delivery of such deliverables on or prior to the Trading Day following delivery of the Election to Purchase, such Election to Purchase shall be void ab initio.