Review of Lien Certificates Sample Clauses

Review of Lien Certificates. On or before the Closing Date, the Custodian shall deliver to the Trust Collateral Agent a listing in the form attached hereto as Schedule II of Exhibit A, of all Receivables with respect to which a Lien Certificate, showing AFS (or an Originating Affiliate or a Titled Third-Party Lender) as secured party, was not included in the related Receivable File as of such date. In addition, the Custodian shall deliver to the Trust Collateral Agent an exception report in the form attached hereto as Schedule II of Exhibit A, (i) no later than the last Business Day of the calendar month during which the 90th day after the Closing Date occurred, (ii) no later than the last Business Day of the calendar month during which the 180th day after the Closing Date occurred and (iii) no later than the last Business Day of the calendar month during which the 240th day after the Closing Date occurred.
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Review of Lien Certificates. On or before the Closing Date, the Custodian shall deliver to the Indenture Trustee and the Servicer a listing in the form attached hereto as Schedule II of Exhibit A, of all Receivables with respect to which a Lien Certificate, showing Exeter as secured party, was not included in the related Receivable File as of such date. In addition, the Custodian shall deliver to the Indenture Trustee and the Servicer an exception report in the form attached hereto as Schedule I of Exhibit A, (i) on the last Business Day of the calendar month during which the 90th day after the Closing Date occurred, (ii) on the last Business Day of the calendar month during which the 180th day after the Closing Date occurred (or such other number of days in respect of which the Rating Agency Condition shall have been satisfied) and (iii) on the last Business Day of the calendar month during which the 240th day after the Closing Date occurred (or such other number of days in respect of which the Rating Agency Condition shall have been satisfied).
Review of Lien Certificates. On or before the Closing Date, the Custodian shall deliver to the Trust Collateral Agent a listing in the form attached hereto as Schedule II of Exhibit A, of all Receivables with respect to which a Lien Certificate, showing AFS, an Originating Affiliate or a Titled Third-Party Lender (which may be accomplished by the use of a properly registereddoing business as” or “d/b/a” name in the applicable jurisdiction) as secured party, was not included in the related Receivable File as of such date. In addition, the Custodian shall deliver to the Trust Collateral Agent an exception report in the form attached hereto as Schedule II of Exhibit A, (i) no later than the last Business Day of the calendar month during which the 90th day after the Closing Date occurred, (ii) no later than the last Business Day of the calendar month during which the 180th day after the Closing Date occurred and (iii) no later than the last Business Day of the calendar month during which the 240th day after the Closing Date occurred.
Review of Lien Certificates. On or before the Closing Date, the Custodian shall deliver to the Indenture Trustee and the Servicer a listing in the form attached hereto as Schedule II of Exhibit A, of all Receivables with respect to which a Lien Certificate, showing Exeter as secured party, was not included in the related Receivable File as of such date. In addition, the Custodian shall deliver to the Indenture Trustee and the Servicer an exception report in the form attached hereto as Schedule I of Exhibit A, (i) on the last Business Day of the calendar month during which the 90th day after the Closing Date occurred, (ii) on the last Business Day of the calendar month during which the 180th day after the Closing Date occurred and (iii) on the last Business Day of the calendar month during which the 240th day after the Closing Date occurred.
Review of Lien Certificates. On or before the Closing Date, and on or before the applicable Subsequent Transfer Date in the case of any Subsequent Receivables, the Custodian shall deliver to the Trust Collateral Agent a listing in the form attached hereto as Schedule II of Exhibit A-1, or Schedule II of Exhibit A-2 with respect to any Subsequent Receivables, of all Receivables with respect to which a Lien Certificate, showing AFS (or an Originating Affiliate or Titled Third-Party Lender) as secured party, was not included in the related Receivable File as of such date. In addition, the Custodian shall deliver to the Trust Collateral Agent and the Insurer an exception report in the form attached hereto as Schedule II of Exhibit A-1, or Schedule II of Exhibit A-2 with respect to any Subsequent Receivables (i) no later than the last Business Day of the calendar month during which the 90th day after the Closing Date (or, with respect to Subsequent Receivables, the 90th day after the applicable Subsequent Transfer Date) occurred, (ii) no later than the last Business Day of the calendar month during which the 180th day after the Closing Date (or, with respect to Subsequent Receivables, the 180th day after the applicable Subsequent Transfer Date) occurred and (iii) no later than the last Business Day of the calendar month during which the 240th day after the Closing Date (or, with respect to Subsequent Receivables, the 240th day after the applicable Subsequent Transfer Date) occurred.
Review of Lien Certificates. On or before the Closing Date, [and on or before the applicable Subsequent Transfer Date in the case of any Subsequent Receivables] the Custodian shall deliver to the Indenture Trustee and the Servicer a listing in the form attached hereto as Schedule II of Exhibit A, of all Receivables with respect to which a Lien Certificate, showing Exeter as secured party, was not included in the related Receivable File as of such date. In addition, the Custodian shall deliver to the Indenture Trustee and the Servicer an exception report in the form attached hereto as Schedule I of Exhibit A, (i) on the last Business Day of the calendar month during which the [ ] day after the Closing Date [(or, with respect to Subsequent Receivables, the [ ] day after the applicable Subsequent Transfer Date)] occurred, (ii) on the last Business Day of the calendar month during which the [ ] day after the Closing Date [(or, with respect to Subsequent Receivables, the [ ] day after the applicable Subsequent Transfer Date)] occurred and (iii) on the last Business Day of the calendar month during which the [ ] day after the Closing Date [(or, with respect to Subsequent Receivables, the [ ] day after the applicable Subsequent Transfer Date)] occurred.
Review of Lien Certificates. On or before each Determination Date, the Servicer shall deliver to the Administrative Agent a listing of each Receivable with respect to which a Lien Certificate, showing AFS as secured party, was not included in the related Receivable File as of the sixtieth (60th) day following the date of origination of such Receivable.
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Review of Lien Certificates. Upon the written request of the Administrative Agent, the Custodian shall deliver to the Trust Collateral Agent, within 2 days of such request, a listing of all Receivables with respect to which a Lien Certificate, showing AmeriCredit, an Originating Affiliate or a Titled Third-Party Lender (which may be accomplished by the use of a properly registereddoing business as” name in the applicable jurisdiction) as secured party, was not included in the related Receivable File as of the date of such request.”
Review of Lien Certificates. Upon the written request of the --------------------------- Agent, the Custodian shall deliver to the Collateral Agent, within 2 days of such request, a listing of all Receivables with respect to which a Lien Certificate, showing AmeriCredit as secured party, was not included in the related Receivable File as of the date of such request.
Review of Lien Certificates. On any Transfer Date, as applicable, the Custodian shall deliver to the Indenture Trustee a listing of all Receivables with respect to which a Lien Certificate, showing Arcadia Financial Ltd. as secured party, was not included in the related Receivable File as of such Transfer Date. No later than 180 days after such Transfer Date, the Indenture Trustee shall review the Receivable File for each Receivable that is identified in such listing as not including a Lien Certificate in the related Receivable File to confirm that such Receivable File contains a Lien Certificate showing Arcadia Financial Ltd. as secured party and shall notify Xxxxxx, the Indenture Trustee, the Owner Trustee and the Seller of the results of such review, including the failure of any such Receivable File to contain such a Lien Certificate.
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