Common use of Banking Relations Clause in Contracts

Banking Relations. Set forth in the Disclosure Schedules is a complete and accurate list of all borrowing and investing arrangements that the Company has with any bank or other financial institution, indicating with respect to each relationship the type of arrangement maintained (such as checking account, borrowing arrangements, safe deposit box, etc.) and the Person or Persons authorized in respect thereof.

Appears in 13 contracts

Sources: Merger Agreement (American Physician Partners Inc), Agreement and Plan of Reorganization and Merger (American Physician Partners Inc), Agreement and Plan of Reorganization and Merger (American Physician Partners Inc)

Banking Relations. Set forth in the Company Disclosure Schedules is a complete and accurate list of all borrowing and investing arrangements that the Company has with any bank or other financial institution, indicating with respect to each relationship the type of arrangement maintained (such as checking account, borrowing arrangements, safe deposit box, etc.) and the Person person or Persons persons authorized in respect thereof.

Appears in 8 contracts

Sources: Merger Agreement (Universal Document MGMT Systems Inc), Asset Purchase Agreement (Access Corp), Merger Agreement (Universal Document MGMT Systems Inc)

Banking Relations. Set forth in the Disclosure Schedules is a complete and accurate list of all borrowing and investing arrangements that the Company has with any bank or other financial institution, indicating with respect to each relationship the type of arrangement maintained (such as checking account, borrowing arrangements, safe deposit box, etc.) and the Person or Persons authorized in respect thereof.such

Appears in 4 contracts

Sources: Agreement and Plan of Reorganization and Merger (American Physician Partners Inc), Agreement and Plan of Reorganization and Merger (American Physician Partners Inc), Merger Agreement (American Physician Partners Inc)

Banking Relations. Set forth in the The InSystems Disclosure Schedules is set forth a complete and accurate list of all borrowing and investing arrangements or other banking relationships that the Company InSystems has with any bank or other financial institution, indicating with respect to each relationship the type of arrangement maintained (such as checking account, borrowing arrangements, safe deposit box, etc.) and the Person or Persons authorized in respect thereof.

Appears in 1 contract

Sources: Share Purchase Agreement (Standard Register Co)

Banking Relations. Set forth in the Company Disclosure Schedules is a complete and accurate list of all borrowing and investing arrangements that the Company has with any bank or other financial institution, indicating with respect to each relationship the type of arrangement maintained (such as checking account, borrowing arrangements, safe deposit box, etc.) and the Person or Persons authorized in respect thereof.of

Appears in 1 contract

Sources: Merger Agreement (Universal Document MGMT Systems Inc)

Banking Relations. Set forth in the Disclosure Schedules is a complete and accurate list of all borrowing and investing arrangements that the Company ▇▇▇▇▇ has with any bank or other financial institution, indicating with respect to each relationship the type of arrangement maintained (such as checking account, borrowing arrangements, safe deposit box, etc.) and the Person person or Persons persons authorized in respect thereof.

Appears in 1 contract

Sources: Merger Agreement (LCNB Corp)

Banking Relations. Set forth in the Disclosure Schedules Schedule is a complete and accurate list of all borrowing and investing arrangements that the Company has with any bank or other financial institution, indicating with respect to each relationship the type of arrangement maintained (such as checking account, borrowing arrangements, safe deposit box, etc.) and the Person person or Persons persons authorized in respect thereof.

Appears in 1 contract

Sources: Stock Purchase Agreement (Vision Twenty One Inc)