Customer Refunds Sample Clauses

Customer Refunds. If we determine that your customers should receive refunds of tax preparation fees and/or Bank Products fees, we will refund these fees and xxxx you for these amounts.
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Customer Refunds. 7.3.1 Credit Sales Refunds: Customer Refunds are initiated by Customers in writing, providing bank details where the account balances are in credit as a result of overpayment of credit notes. Once a request is made in writing, a Credit Controller will verify and submit online refund requisition to the GHUB team who will raise the refund request in SAP. This is then reviewed by the Credit Manager who will then approve the refund request. Once signed off, this will go to Accounts Payable who will then process the refund into the customers’ account. Where an account status is overdue, any excess credits will be allocated against overdue balances before a refund is approved.
Customer Refunds. Allied Cash agrees to refund the consumers identified in the 25 prior regulatory examinations set forth in paragraph K of the above recitals. Allied Cash hereby 26 agrees to refund all amounts to their customers referenced in this section within 10 days of the 27 date of this Agreement. Any amounts remaining unclaimed by customers, shall escheat to the 28 State of California pursuant to the California Code of Civil Procedure, Title 10, Chapter 5.
Customer Refunds. If it is necessary for Qwest to offer Customers refunds or credits for Services not adequately rendered to such Customers due to problems attributable to FVC; Qwest may withhold payments from FVC; or, if applicable, FVC will reimburse Qwest. Such withholding or reimbursement shall not exceed what Qwest owes or has paid FVC in charges for such Customers for the period being refunded or credited.
Customer Refunds. ACE Cash agrees to refund $5,783.29 for the finance charges 21 collected on 154 loans from customers that had one or more loans outstanding at the same time. ACE 22 Cash agrees not to collect finance charges totaling $6,013.44 on 153 outstanding loans from 23 customers that had one or more loans outstanding at the same time. Further, ACE Cash agrees to 24 refund $540 to customers that paid NSF fees on transactions that were honored by customers' banks. 25 ACE Cash previously refunded $315 to customers that paid NSF fees on transactions that were 26 honored by the customers' banks. In addition, ACE Cash agrees to refund $13,826.41 in excess 27 amounts that were allegedly collected from customers. ACE Cash previously refunded excess 28 amounts collected from customers totaling $18,322.20. ACE Cash agrees to refund $28,484.60 to 1 those customers that ACE Cash collected double the authorized loan amounts and unauthorized NSF 2 fees. ACE Cash had previously refunded $125,885.08 to customers that were allegedly charged 3 double the authorized loan amounts. Of this amount, $30,096.16 was refunded in excess of 30 days 4 from the date of the alleged overcharge. ACE Cash hereby agrees to refund all amounts to their 5 customers referenced in this section within 30 days of the date of this Agreement. Any amounts 6 remaining unclaimed by customers, shall escheat to the State of California pursuant to the California 7 Code of Civil Procedure, Title 10, Chapter 5. ACE Cash agrees that it will not collect any charged 8 but unallocated excess bank or non-sufficient fund fees referenced in this Agreement. State of California - Department of Corporations

Related to Customer Refunds

  • Customer Remittances Obligors of the Receivables will be directed by AmeriCredit to forward their remittances to Processor at a post office address (the “Lockbox”) assigned by Processor. Processor, acting for the exclusive benefit of the Trustee, shall have unrestricted and exclusive access to the mail directed to this address. AmeriCredit agrees to notify Processor thirty (30) days in advance of any change in Obligor remittance statements and/or mailing schedule.

  • Customer List The Administrative Agent shall have received a true and complete customer list for the Borrower and its Subsidiaries, which list shall state the customer’s name, mailing address and phone number and shall be certified as true and correct by a Financial Officer.

  • Customer Accounts The Bank agrees to establish and maintain the following accounts ("Accounts"):

  • Customer Lists We hereby agree that we shall not use any list of your customers which may be obtained in connection with this Agreement for the purpose of solicitation of any product or service without your express written consent. However, nothing in this paragraph or otherwise shall be deemed to prohibit or restrict us or our affiliates in any way from solicitations of any product or service directed at, without limitation, the general public, any segment thereof, or any specific individual, provided such solicitation is not based upon such list.

  • Customer will 1.1 Select and notify Boeing of the suppliers and part numbers of the following BFE items by the following dates: Galley System Complete Galley Inserts Complete Seats (passenger) Complete Cabin Systems Equipment Complete

  • Customer Contracts 6.2.1 The Redistributor should ensure that its contracts with its Customers give it all necessary rights to control and monitor Data use.

  • Customer Support If Customer is entitled to receive Customer Support as part of a separately purchased Service Plan, Sage warrants that while Customer’s Service Plan is in effect and if it has paid all required Service Plan fees, Sage will use qualified personnel to provide Customer Support in a professional manner consistent with industry standards. Customer’s sole remedy under this section 5.2 is limited to Sage’s re-performance of the Customer Support services giving rise to Customer’s claim.

  • Customer The agency or eligible user that purchases commodities or contractual services pursuant to the Contract.

  • Monthly Data Download Not later than fifteen (15) days after the end of each month, beginning with the month in which the Commencement Date occurs and ending with the Final Shared-Loss Month, Assuming Institution shall provide Receiver:

  • End Users Customer will control access to and use of the Products by End Users and is responsible for any use of the Products that does not comply with this Agreement.

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