Company: PIM
Filing Date: 2025-03-10
Form Type: DEF 14A
Source: 0000928816-25-000374
Chunk: 35

Company: PUTNAM MASTER INTERMEDIATE INCOME TRUST
Filing Date: 2025-03-10
Form: DEF 14A
Chunk 35
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 the investment adviser, and persons who beneficially own more than 10% of a registered class
of a fund’s shares, to file reports of ownership and changes in ownership with the SEC and the NYSE. Based solely on a review of
the reports filed with the SEC and upon representations that no additional Section 16(a) forms were required to be filed, each of Putnam
Premier Income Trust, Putnam Master Intermediate Income Trust, and Putnam Managed Municipal Income Trust believes that (during its most
recently completed fiscal year), and Putnam Municipal Opportunities Trust believes that (during its current fiscal year), all Section
16(a) filing requirements applicable to each fund’s officers, current Trustees and greater than 10% beneficial owners were complied
with.

Officers and other information.All of the officers
of your fund are employees of Franklin Advisers or its affiliates or serve on the staff of the Office of the Trustees. Because of his
positions with Franklin Advisers or its affiliates, Mr. Reynolds, as well as the other affiliated officers of your fund, will benefit
indirectly from the management fees and investor servicing fees paid or allowed by your fund. In addition to Mr. Reynolds, the other officers
of your fund are as follows:

| Name, Address1, Year of Birth, Position(s) Held with Fund                                                      | Length of Service with the Putnam Funds2 | Principal Occupation(s) During Past 5 Years and Position(s) with Fund’s Investment Adviser and Distributor3 |
| Jonathan S. Horwitz4 (Born 1955) Executive Vice President, Principal Executive Officer, and Compliance Liaison | Since 2004                               | Executive Vice President, Principal Executive Officer, and Compliance Liaison, The Putnam Funds.            |
| Stephen J. Tate (Born 1974)                                                                                    
 Vice President and Chief Legal Officer                                                                         | Since 2021                               | General Counsel, Putnam U.S. Holdings I, LLC (“Putnam Holdings”),                                           
 Putnam Management and Putnam Retail Management (2021 – Present).                                            
 Deputy General Counsel and related positions, Putnam Investments, Putnam                                    
 Management and Putnam Retail Management (2004-2021).                                                        |
| James F. Clark3 (Born 1974)                                                                                    
 Vice President and Chief Compliance Officer                                                                    | Since 2016                               | Chief Compliance Officer, Putnam Holdings and Putnam Management (2016 –                                     
 Present).                                                                                                   
 Associate General Counsel, Putnam Investments, Putnam Management