Accounts with Financial Institutions. of the Disclosure Schedule sets forth a true and correct list, as of the date of this Agreement, of all safe deposit boxes, active bank accounts and other time or demand deposits of the Acquired Group, together with the names and addresses of the applicable financial institution or other depository, the account number, the contact person at the applicable financial institution and the names of all persons who are authorized to draw thereon by any Acquired Company.
Appears in 2 contracts
Sources: Purchase Agreement (Abb LTD), Purchase Agreement (White Mountains Insurance Group LTD)