Common use of Banking Facilities Clause in Contracts

Banking Facilities. Section 3.6(f) of the Company Disclosure Schedule sets forth an accurate and complete list of (i) each bank, savings and loan or similar financial institution with which the Company has an account or safety deposit box or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, and (ii) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement.

Appears in 2 contracts

Samples: Stock Purchase Agreement, Stock Purchase Agreement (Mercury Computer Systems Inc)

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Banking Facilities. Section 3.6(f3.06(c) of the Company Sellers’ Disclosure Schedule Schedules sets forth an accurate and complete list of (i) each bank, savings and loan or similar financial institution with which the Company has an account or safety deposit box or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, and (ii) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement.

Appears in 2 contracts

Samples: Purchase and Sale Agreement (Kohlberg Capital CORP), Purchase and Sale Agreement (Kohlberg Capital CORP)

Banking Facilities. Section 3.6(f3.06(d) of the Company Disclosure Schedule Schedules sets forth an accurate and complete list of (i) each bank, savings and loan or similar financial institution with which the Company has an account or safety deposit box or other similar arrangement, arrangement and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, and (ii) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement.

Appears in 2 contracts

Samples: Agreement and Plan of Merger (Abeona Therapeutics Inc.), Agreement and Plan of Merger (Abeona Therapeutics Inc.)

Banking Facilities. Section 3.6(f) 4.10 of the Company Disclosure Schedule Schedules sets forth an accurate and complete list of (ia) each bank, savings and loan or similar financial institution with which the Company or any of its Subsidiaries has an account or safety deposit box or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company or any of its Subsidiaries thereat, and (iib) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement.

Appears in 2 contracts

Samples: Share Exchange Agreement (GAN LTD), Share Exchange Agreement (GAN LTD)

Banking Facilities. Section 3.6(f) 2.28 of the Company Disclosure Schedule sets forth an accurate and complete list of identifies the following: (ia) each bank, savings and loan or similar financial institution with in which the Company has an account or safety deposit box and the numbers of the accounts or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, ; and (iib) the names of all Persons persons authorized to draw on any each such account or to have access to any such safety deposit box facility or facility, together with a description of the authority (and conditions thereof, if any) of each such other arrangementperson with respect thereto.

Appears in 1 contract

Samples: Stock Purchase Agreement (Corvel Corp)

Banking Facilities. Section 3.6(f) 4.27 of the Company Disclosure Schedule sets forth an accurate a correct and complete list of: (a) the name of (i) each bank, savings and loan or similar financial institution with which the Company has an account or safety deposit box or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, and ; (iib) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement; and (c) any outstanding banking-related powers of attorney executed by or on behalf of the Company.

Appears in 1 contract

Samples: Stock Purchase Agreement (Vishay Precision Group, Inc.)

Banking Facilities. Section 3.6(f) 3.26 of the Company Disclosure Schedule sets ------------------ ------------ forth an accurate a true, correct and complete list of (i) each bank, savings and loan or similar financial institution with in which the Company has an account or safety deposit box and the numbers of the accounts or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, at such financial institution and (ii) the names of all Persons persons authorized to draw on any each such account or to have access to any such safety deposit box facility or such other arrangementfacility.

Appears in 1 contract

Samples: Stock Purchase Agreement (Synbiotics Corp)

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Banking Facilities. Section 3.6(f4.06(f) of the Company Disclosure Schedule sets forth an accurate and complete list as of the date of this Agreement of (i) each bank, savings and loan or similar financial institution with which the Company or any of its Subsidiaries has an account or safety deposit box or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company or its Subsidiaries thereat, and (ii) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement.

Appears in 1 contract

Samples: Agreement and Plan of Merger (Mercury Computer Systems Inc)

Banking Facilities. Section 3.6(f) 4.30 of the Company Disclosure Schedule sets forth an accurate a complete and complete correct list of (ia) the name and address of each bank, savings and loan loan, brokerage firm or similar financial institution with in which the Company has an account or safety deposit box or other similar arrangement, and any the numbers or other identifying codes of such accounts, accounts or safety deposit boxes or such other arrangements maintained by the Company thereat, thereat and (iib) the names of all Persons persons authorized to draw on any each such account or to have access to any such safety deposit box facility or such other arrangementbox, together with a description of the authority (and conditions thereto, if any) of each person with respect thereto.

Appears in 1 contract

Samples: Unit and Stock Purchase Agreement (Ducommun Inc /De/)

Banking Facilities. Section 3.6(f) 4.29 of the Company Disclosure Schedule Schedules sets forth an accurate a true, correct and complete list of of: (ia) each bank, savings and loan or similar financial institution with which the Company has an account or safety deposit box or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, and ; (iib) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement; and (c) any outstanding powers of attorney executed by or on behalf of the Company.

Appears in 1 contract

Samples: Unit Purchase Agreement (ExactTarget, Inc.)

Banking Facilities. Section 3.6(f3.06(f) of the Company Disclosure Schedule sets forth an accurate and complete list as of the date of this Agreement of (i) each bank, savings and loan or similar financial institution with which the Company has an account or safety deposit box or other similar arrangement, and any numbers or other identifying codes of such accounts, safety deposit boxes or such other arrangements maintained by the Company thereat, and (ii) the names of all Persons authorized to draw on any such account or to have access to any such safety deposit box facility or such other arrangement.

Appears in 1 contract

Samples: Stock Purchase Agreement (Gsi Technology Inc)

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