Bank Account Statements. The Administrative Agent shall take all necessary steps to ensure that the Indenture Trustee, as an Operating Bank, and each Operating Bank at which an Account is located shall furnish as of the close of business on each Calculation Date a statement providing the then current Balance of each applicable Account to the Indenture Trustee, WEST or the Servicer.
Appears in 7 contracts
Sources: Administrative Agency Agreement (Willis Lease Finance Corp), Administrative Agency Agreement (Willis Lease Finance Corp), Administrative Agency Agreement (Willis Lease Finance Corp)
Bank Account Statements. The Administrative Agent shall take all necessary steps to ensure that the Indenture Trustee, as an Operating Bank, Bank and each Operating Bank other bank at which an a Non-Trustee Account is located shall furnish as of the close of business on each Calculation Date a statement providing the then current Balance balance of each applicable Account to it as well as the Indenture Security Trustee, WEST or the Issuer, the Trustee, and the Servicer.
Appears in 3 contracts
Sources: Administrative Agency Agreement (Aircraft Finance Trust), Administrative Agency Agreement (Lease Investment Flight Trust), Asset Purchase Agreement (Lease Investment Flight Trust)
Bank Account Statements. The Administrative Agent shall take all necessary steps to ensure that the Indenture Trustee, as an Operating Bank, Bank and each Operating Bank other bank at which an a Rental Account is located shall furnish as of the close of business on each Calculation Date a statement providing the then current Balance balance of each applicable Account to the Indenture Security Trustee, WEST or MSAF, the ServicerTrustee, the Servicer and the Cash Manager.
Appears in 2 contracts
Sources: Administrative Agency Agreement (Morgan Stanley Aircraft Finance), Administrative Agency Agreement (Morgan Stanley Aircraft Finance)
Bank Account Statements. The Administrative Agent shall take all necessary steps to ensure that the Indenture Trustee, as an Operating Bank, and each Operating Bank at which an Account is located shall furnish as of the close of business on each Calculation Determination Date a statement providing the then current Balance of each applicable Account to the Indenture Trustee, WEST WEST, the Servicer or the Back-Up Servicer.
Appears in 1 contract
Sources: Administrative Agency Agreement (Willis Lease Finance Corp)