{"component": "definition", "props": {"groups": [{"samples": [{"hash": "ZIrN6RXJbz", "uri": "/contracts/ZIrN6RXJbz#month-end-date", "label": "Collateral Agency Agreement (World Omni LT)", "score": 36.5783691406, "published": true}, {"hash": "b3OVLx66T6J", "uri": "/contracts/b3OVLx66T6J#month-end-date", "label": "Transfer and Administration Agreement (Greif, Inc)", "score": 35.3641341547, "published": true}, {"hash": "3thW4mQTSpw", "uri": "/contracts/3thW4mQTSpw#month-end-date", "label": "Transfer and Administration Agreement (Greif, Inc)", "score": 34.4318962097, "published": true}], "snippet_links": [{"key": "day-of", "type": "clause", "offset": [15, 21]}, {"key": "calendar-month", "type": "definition", "offset": [27, 41]}], "snippet": "means the last day of each calendar month.", "size": 61, "hash": "56478a1a4660253c6661dc5097470afa", "id": 1}, {"samples": [{"hash": "l2iHcxJGVKR", "uri": "/contracts/l2iHcxJGVKR#month-end-date", "label": "Transfer and Administration Agreement (Arrow 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Date</strong> will be redeemed on such <strong>Month End Date</strong>, and Units surrendered for redemption after 5:00 p.m. (Toronto time) on the thirtieth day immediately preceding a <strong>Month End Date</strong> will be redeemed on the next following <strong>Month End Date</strong> (such date of redemption referred to as the &quot;Redemption Date&quot;).", "Within twenty-five (25) days after each Fiscal <strong>Month End Date</strong>, a Borrowing Base Certificate, in form and substance satisfactory to the Agent reporting that all Revolving Credit Loans, the Term Loan (if any) and all Letter of Credit Obligations as of such Fiscal <strong>Month End Date</strong> are in compliance with the Borrowing Base as of such Fiscal <strong>Month End Date</strong> and such Borrowing Base Certificate shall be accompanied by a summary accounts receivable aging.", "Each Transfer Report shall set forth a summary of --------------- information as to the Pool Receivables transferred hereunder, collections on Pool Receivables and other charges or credits as may be required by this Agreement during the month ending on the preceding <strong>Month End Date</strong>.", "If the monthly average of Excess Availability (calculated using Excess Availability at the end of each day), calculated for each month on the <strong>Month End Date</strong>, based on the Borrowing Base Certificate then most recently delivered, for two consecutive months is less than 50%, the Administrative Agent may notify the Borrower in writing.", "Each Undivided Interest shall be initially computed as of the opening of business of Servicer on the date of Purchase of such Undivided Interest from Seller (it being understood that such computation will be made from information as of the most recent <strong>Month End Date</strong> or, for the initial Settlement Period, such other date as is acceptable to the Administrative Agent).", "If as of any <strong>Month End Date</strong> any of the representations or warranties of the U.S. Originator set forth in Section 5.2(a), (h), (i), (l), (n), (p) or (s) was untrue (as of the related Purchase Date) in any material respect with respect to a Sold Receivable, the U.S. Originator shall repurchase such Sold Receivable and shall pay to the U.S. SPV in immediately available funds an amount equal to the entire Outstanding Balance of such Sold Receivable as provided in Section 5.4."], "related": [["month-ended", "MONTH ENDED", "MONTH ENDED"], ["period-end-date", "Period End Date", "Period End Date"], ["contract-end-date", "CONTRACT END DATE", "CONTRACT END DATE"], ["end-date", "End Date", "End Date"], ["most-recent-fiscal-month-end", "Most Recent Fiscal Month End", "Most Recent Fiscal Month End"]], "related_snippets": [], "updated": "2026-05-16T04:22:31+00:00"}, "json": true, "cursor": ""}}