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AG 2011 07 18
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AG 2011 07 18
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Last modified
7/19/2011 2:20:33 PM
Creation date
11/27/2017 11:16:10 AM
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Meeting Minutes
Doc Type
Agenda
Meeting Minutes - Date
7/18/2011
Board
Board of Commissioners
Meeting Type
Regular
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r <br />Resolution No 2004 -20 <br />Citibank <br />Certified Copy of Unincorporated Association Resolutions <br />Opening and Maintaining Deposit Accounts and Services <br />Citibank, N.A. (THE "BANK ") <br />Name of Unincorporated Association: County of Cabarrus <br />I, the undersigned, hereby certify to Citibank, that I am the Clerk and the <br />designated keeper of the records and minutes of the County of Cabarrus, an <br />unincorporated association whose principal address is in the State of North <br />Carolina (the "Association "); that I have full authority to manage, <br />represent, sign for and bind the Association, that the following is a true <br />copy of resolutions duly adopted by the governing body of said Association at <br />a meeting duly held on the 14 day of June, 2004, at which a quorum was <br />present and acted throughout or adopted by the unanimous written consent of <br />the governing body; and that such resolutions are in full force and effect <br />and have not been amended or rescinded. <br />1. Resolved, that Citibank (the "Bank ")is hereby designated as a <br />depository of the Association and that deposit accounts and /or time <br />deposits (CD's) be opened and maintained in the name of this <br />Association with the Bank in accordance with the terms of the Bank's <br />Deposit Agreement and Disclosures and the applicable rules and <br />regulations for such accounts; that any one of the following Authorized <br />Representatives of this Association: Pamela S. Dubois, Deputy Co. <br />Mgr. /Finance Director; Robert M. Freeman, Chairman, Board of <br />Commissioners is hereby authorized, on behalf of this Association and <br />in its name, to execute and to sign any application, deposit agreement, <br />signature card and any other documentation required by the Bank to open <br />said accounts; to sign checks, drafts, notes, bills of exchange, <br />acceptances, time deposits (CDs) or other orders for payment of money; <br />to endorse checks, drafts, notes, bills, time deposits (CDs) or other <br />instruments owned or held by this Association for deposit with Bank or <br />for collection or discount by the Bank; to accept drafts, acceptances, <br />and other instruments payable at the Bank; to place orders with the <br />Bank for the purchase and sale of foreign currencies on behalf of this <br />Association; to execute and deliver an electronic fund transfers <br />agreement and to make transfers or withdrawals by electronic transfer <br />on behalf of the Association; to obtain an access device (including but <br />not limited to a card, code, or other means of access to the <br />Association's accounts) that may be used for the purpose of initiating <br />electronic fund transfers (Association agrees and acknowledges that <br />neither the Electronic Funds Transfer Act (15 U.S.C. 1693 et seq.) nor <br />Regulation E (12 C.F.R. Part 205) are applicable to any such access <br />device] ; to establish and maintain a night deposit relationship; to <br />execute and deliver a wire transfer agreement and to request, or to <br />appoint or delegate from time to time such persons who may request, <br />wires of funds: to enter into any agreements with the Bank for the <br />provision by the Bank of various Treasury Management services to this <br />Association as such Authorized Representative may determine, in his or <br />her sole discretion, and to sign any and all documents and take all <br />actions required by Bank relative to such Treasury Management services <br />or the performance of the Association's obligations thereunder, and <br />that any such Treasury Management agreement(s) shall remain in full <br />force and effect until written notice to terminate given in accordance <br />F -4 <br />Attachment number 1 <br />Page 86 <br />
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