Examples of Group B Accounts in a sentence
Transfers from Group B Accounts: If you request a transfer from your Group B Account to any other account (including other accounts held in your own name with us), we will process it for value in accordance with the processing times set out under clause 12.
Group A Accounts to Group B Accounts (Working Day): If the request relates to a transfer from your Group A Account to your Group B Account on any Working Day and your request is received in advance of the Cut-off Time, the amount you transfer will leave your Group A Account that same Working Day, but may not be shown as arriving in your Group B Account until the next Working Day.
Group A Accounts to Group B Accounts (non-Working Day): If the request relates to a transfer from your Group A Account to your Group B Account on any non-Working Day, the amount you transfer will leave your Group A Account and be shown as arriving in your Group B Account on the next Working Day.
Please note a cheque to be paid into your Group B Accounts is processed by a central processing team and will be forwarded to them from the person or place at which you paid in your cheque.
For Group B Accounts, no cash withdrawals are permitted over the counter in any of our branches.
The US Dollar Account and Euro Account are Group B Accounts as detailed in the Table of Accounts in both the Lloyds Bank International Limited and the Lloyds Bank (Gibraltar) Limited Customer Relationship Agreements.
If we agree to do this, we will buy it from you by paying you the amount of the cheque (or the pounds equivalent) normally on around the tenth Working Day after the central processing team receive it in respect of foreign cheques paid into Group B Accounts and on the fifth Working Day after we receive it in respect of foreign cheques paid into Group A Accounts.
If we agree to do this, we will buy it from you by paying you the amount of the cheque (or the sterling equivalent) normally on around the tenth Working Day after the central processing team receive it in respect of foreign cheques paid into Group B Accounts and on the fifth Working Day after we receive it in respect of foreign cheques paid into Group A Accounts.
Each SMS Notice shall include a hyperlink to a webpage, on the Settlement Website, that includes the substance of the appropriate form of Email Notice being disseminated pursuant to section VI.2 of this Settlement Agreement (e.g., for accounts that are Group A Accounts but not Group B Accounts, the hyperlink in the SMS Notice will link to a webpage on the Settlement Website that includes the substance of Email Notice A).
Count II asserts a claim for breach of contract as to the Group B Plaintiffs, alleging that upon the opening of each Group B Account, the Group B Plaintiffs and BB&T entered into a contractual relationship which was breached when BB&T accepted and acted upon unauthorized instructions on the Group B Accounts resulting in illegitimate transfers.