Common use of Asset Schedule Clause in Contracts

Asset Schedule. The information set forth in the related Asset Schedule and all other information or data furnished by, or on behalf of, a Borrower to the Lender is complete, true and correct in all material respects, and each Borrower acknowledges that the Lender has not verified the accuracy of such information or data.

Appears in 2 contracts

Sources: Master Loan and Security Agreement (Sutherland Asset Management Corp), Master Loan and Security Agreement (Sutherland Asset Management Corp)