Common use of Banking Relationships Clause in Contracts

Banking Relationships. Schedule 3.22 shows the names and locations of all banks, trust companies and other financial institutions in which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access thereto.

Appears in 6 contracts

Sources: Stock Purchase Agreement, Share Purchase Agreement (ICF International, Inc.), Membership Purchase Agreement (Vse Corp)

Banking Relationships. Schedule 3.22 3.20 hereto shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company or any of its Subsidiaries has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 2 contracts

Sources: Merger Agreement (Caci International Inc /De/), Stock Purchase Agreement (Caci International Inc /De/)

Banking Relationships. Schedule 3.22 3.23 shows the names and locations of all banks, trust companies and other financial institutions in which the any Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Share Purchase Agreement (Braintech Inc)

Banking Relationships. Schedule 3.22 SCHEDULE 3.20 hereto shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Merger Agreement (Allaire Corp)

Banking Relationships. Schedule 3.22 3.19 hereto shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company or any of its Subsidiaries has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Merger Agreement (Caci International Inc /De/)

Banking Relationships. Schedule 3.22 shows 3.23 sets forth the names and locations of all banksbanking, trust companies lock box accounts, and other financial institutions in which safe deposit boxes of the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access theretoany Company Subsidiary.

Appears in 1 contract

Sources: Agreement and Plan of Merger (Clarus Corp)

Banking Relationships. Schedule 3.22 shows the names and locations of all banks, trust companies and other financial institutions in which the any Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Share Purchase Agreement (Vse Corp)

Banking Relationships. Schedule 3.22 3.20 shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Asset Purchase Agreement (Caci International Inc /De/)

Banking Relationships. Schedule 3.22 shows the names and locations of all banks, trust companies and other financial institutions in which the Company or any Company Subsidiary has accounts, lines of credit, letters of credit, credit card programs or safety deposit boxes and, with respect to each account, line of credit, letters of credit, credit card programs or safety deposit box, the names of all Persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Merger Agreement (ICF International, Inc.)

Banking Relationships. Schedule 3.22 shows 3.23 sets forth the names names, account numbers and locations of all banks, trust companies companies, savings and loan associations and other financial institutions in at which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access theretoa banking relationship.

Appears in 1 contract

Sources: Stock Purchase Agreement (Fluid Media Networks, Inc.)

Banking Relationships. Schedule 3.22 shows 3.23 sets forth the names and locations of all banksbanking, trust companies and other financial institutions in which the Company has lock box accounts, lines of credit or safety and safe deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access theretoCompany.

Appears in 1 contract

Sources: Merger Agreement (Clarus Corp)

Banking Relationships. Schedule 3.22 3.20 hereto shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Merger Agreement (Caci International Inc /De/)

Banking Relationships. Schedule 3.22 shows the names and locations of all banks, trust companies and other financial institutions in which the Company or any Company Subsidiary has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Merger Agreement (ICF International, Inc.)

Banking Relationships. Schedule 3.22 3.20 hereto shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company or any Company Sub has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Stock Purchase Agreement (Patni Computer Systems LTD)

Banking Relationships. Schedule 3.22 4.23 shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Stock Purchase Agreement (Inverness Medical Innovations Inc)

Banking Relationships. Schedule 3.22 * hereto shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company has accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Stock Purchase Agreement (Dag Media Inc)

Banking Relationships. Schedule 3.22 shows 3.17 sets forth the names and locations of all banks, trust companies companies, savings and loan associations and other financial institutions in at which the Company has accounts, lines of credit or safety maintains safe deposit boxes and, with respect to each account, line or accounts of credit or safety deposit box, any nature and the names of all Persons persons authorized to draw thereon or to have access thereto, draw thereon or make withdrawals therefrom.

Appears in 1 contract

Sources: Membership Interest Purchase Agreement (Visium Technologies, Inc.)

Banking Relationships. Schedule 3.22 2.19 shows the names and locations of all banks, banks and trust companies and other financial institutions in which the Company has and Forefront have accounts, lines of credit or safety deposit boxes and, with respect to each account, line of credit or safety deposit box, the names of all Persons persons authorized to draw thereon or to have access thereto.

Appears in 1 contract

Sources: Stock Purchase Agreement (Inverness Medical Innovations Inc)