Common use of Payment on the Closing Date Clause in Contracts

Payment on the Closing Date. Concurrently with the execution and delivery hereof, Buyer is paying Seller an amount equal to the Closing Date Cash Payment by wire transfer of immediately available funds to the bank accounts in the United States set forth in Schedule 4.2.

Appears in 1 contract

Sources: Asset Purchase Agreement (Phoenix Color Corp)

Payment on the Closing Date. Concurrently with the execution and delivery hereof, At Closing Buyer is paying shall (a) pay Seller an amount equal to the Closing Date Cash Payment by wire transfer of immediately available funds to the bank accounts account in the United States set forth specified by Seller in Schedule 4.2writing to Buyer prior to the Closing and (b) issue and deliver to Seller a certificate representing (or upon Seller’s written request, issue and deliver to Seller and one or more Shareholders, certificates representing in the aggregate) the Closing Date Shares.

Appears in 1 contract

Sources: Asset Purchase Agreement (Navigant International Inc)

Payment on the Closing Date. Concurrently with the execution and delivery hereof, At Closing Buyer is paying shall pay Seller an amount equal to the Closing Date Cash Payment (less the aggregate amount of the Deposits listed on Schedule 2.1(B) and plus the aggregate amount of the expenses listed on Schedule 7.10) by wire transfer of immediately available funds to the bank accounts account in the United States set forth specified by Seller in Schedule 4.2writing to Buyer at least two business days prior to the Closing.

Appears in 1 contract

Sources: Asset Purchase Agreement (Navigant Consulting Inc)

Payment on the Closing Date. Concurrently with the execution and delivery hereof, At Closing Buyer is paying shall (a) pay Seller an amount equal to the Closing Date Cash Payment by wire transfer of immediately available funds to the bank accounts account in the United States set forth specified by Seller in Schedule 4.2writing to Buyer at least two days prior to the Closing and (b) issue and deliver to Seller a certificate representing the Shares.

Appears in 1 contract

Sources: Asset Purchase Agreement (Navigant Consulting Inc)