To the Borrower. All sums to be advanced by the Banks to the Borrower under this Agreement shall be remitted in Dollars on the date of the Advance to the account of the Agent at such bank as the Agent may have notified to the Banks and shall be paid by the Agent on such date in like funds as are received by the Agent to the account specified in the relevant Drawdown Notice.
Appears in 2 contracts
Sources: Facility Agreement (Stena Ab), Facility Agreement (Stena Ab)