Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables. (b) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 shall be deposited in the Collection Account.
Appears in 113 contracts
Sources: Sale and Servicing Agreement (GM Financial Consumer Automobile Receivables Trust 2025-3), Sale and Servicing Agreement (GM Financial Consumer Automobile Receivables Trust 2025-3), Sale and Servicing Agreement (GM Financial Consumer Automobile Receivables Trust 2025-2)
Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(b) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 hereof shall be deposited in the Collection Account.
Appears in 55 contracts
Sources: Sale and Servicing Agreement (AFS SenSub Corp.), Sale and Servicing Agreement (AmeriCredit Automobile Receivables Trust 2015-4), Sale and Servicing Agreement (AFS SenSub Corp.)
Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(b) The proceeds of any purchase or sale of the assets of the Holding Trust described in Section 10.1 hereof shall be deposited in the Collection Account.
Appears in 50 contracts
Sources: Sale and Servicing Agreement (Exeter Automobile Receivables Trust 2025-4), Sale and Servicing Agreement (Exeter Automobile Receivables Trust 2025-4), Sale and Servicing Agreement (Exeter Select Automobile Receivables Trust 2025-2)
Additional Deposits. (a) The Servicer Servicer, the Seller and the SellerDepositor, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Accounting Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(b) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 shall be deposited in the Collection Account.
Appears in 2 contracts
Sources: Sale and Servicing Agreement (Vroom, Inc.), Sale and Servicing Agreement (Vroom, Inc.)
Additional Deposits. (a) The Servicer and the related Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(ba) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 9.1 hereof shall be deposited in the Collection Account.
Appears in 2 contracts
Sources: Sale and Servicing Agreement (Americredit Corp), Sale and Servicing Agreement (Americredit Corp)
Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(b) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 shall be deposited in the Collection Account.
(c) [Net payments received from the Hedge Provider, if any, shall be deposited by the Indenture Trustee in the Collection Account.]
Appears in 2 contracts
Sources: Sale and Servicing Agreement (Efcar, LLC), Sale and Servicing Agreement (Efcar, LLC)
Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Preliminary Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(b) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 hereof shall be deposited in the Collection Account.
Appears in 1 contract
Sources: Sale and Servicing Agreement (Americredit Financial Services Inc)
Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(b) The proceeds of any purchase or sale of the assets of the Holding Trust described in Section 10.1 hereof shall be deposited in the Collection Account.
(c) [Net payments received from the Hedge Provider, if any, shall be deposited by the Indenture Trustee in the Collection Account.]
Appears in 1 contract
Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(b) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 hereof shall be deposited in the Collection Account.
Appears in 1 contract
Sources: Sale and Servicing Agreement (AmeriCredit Automobile Receivables Trust 2004-1)
Additional Deposits. (a) The Servicer and the Seller, as applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(ba) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 9.1 hereof shall be deposited in the Collection Account.
Appears in 1 contract
Additional Deposits. (a) The Servicer and the related Seller, as ------------------- applicable, shall deposit or cause to be deposited in the Collection Account on the Determination Date on which such obligations are due the aggregate Purchase Amount with respect to Purchased Receivables and the aggregate Sale Amounts with respect to Sold Receivables.
(ba) The proceeds of any purchase or sale of the assets of the Trust described in Section 10.1 9.1 hereof shall be deposited in the Collection Account.
Appears in 1 contract