Exhibit 10.11
JOINDER AGREEMENT

PBF Energy Western Region LLC
Torrance Logistics Company LLC
One Sylvan Way, Second Floor
Parsippany, New Jersey 07054

July 1, 2016

UBS AG, Stamford Branch
677 Washington Boulevard
Stamford, Connecticut 06901
Attention: DL-UBS Agency
Telecopier No.: (203) 719-4176
Email: DL-UBSAgency@ubs.com

Ladies and Gentlemen:

Reference is made to the Amended and Restated ABL Security Agreement (as
amended, amended and restated, replaced, supplemented or otherwise modified from
time to time, the “Security Agreement”; capitalized terms used but not otherwise
defined herein shall have the meanings assigned to such terms in the Security
Agreement), dated as of August 15, 2014, made by PBF Holding Company LLC, a
Delaware limited liability company (“Holdings”), Delaware City Refining Company
LLC, a Delaware limited liability company (“Delaware City”), Paulsboro Refining
Company LLC, a limited liability company (“Paulsboro”), Toledo Refining Company
LLC, a Delaware limited liability company (“Toledo”), Chalmette Refining,
L.L.C., a Delaware limited liability company (“Chalmette” and, together with
Holdings, Delaware City, Paulsboro and Toledo, the “Borrowers”), the Guarantors
party thereto and UBS AG, STAMFORD BRANCH, as administrative agent and a
co-collateral agent (in such capacity and together with any successors in such
capacity, the “Agent”).

This Joinder Agreement supplements the Security Agreement and is delivered by
the undersigned, PBF Energy Western Region LLC, a Delaware limited liability
company, and Torrance Logistics Company LLC, a Delaware limited liability
company (each a “New Pledgor”), pursuant to Section 3.5 of the Security
Agreement. Each New Pledgor hereby agrees to be bound as a Pledgor party to the
Security Agreement by all of the terms, covenants and conditions set forth in
the Security Agreement to the same extent that it would have been bound if it
had been a signatory to the Security Agreement on the date of the Security
Agreement. Each New Pledgor also hereby agrees to be bound as a party by all of
the terms, covenants and conditions applicable to it set forth in Articles V, VI
and VII of the Credit Agreement to the same extent that it would have been bound
if it had been a signatory to the Credit Agreement on the execution date of the
Credit Agreement. Without limiting the generality of the foregoing, each New
Pledgor hereby grants and pledges to the Agent, as collateral security for the
full, prompt and complete payment and performance when due (whether at stated
maturity, by acceleration or otherwise) of the Secured Obligations, a Lien on
and security interest in, all of its right, title and interest in, to and under
the Pledged Collateral and expressly assumes all obligations and liabilities of
a Pledgor thereunder. Each New Pledgor hereby makes each of the representations

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and warranties and agrees to each of the covenants applicable to the Pledgors
contained in the Security Agreement and Article III of the Credit Agreement.

Annexed hereto are supplements to each of the schedules to the Security
Agreement and the Credit Agreement, as applicable, with respect to each New
Pledgor. Such supplements shall be deemed to be part of the Security Agreement
or the Credit Agreement, as applicable.

This Joinder Agreement and any amendments, waivers, consents or supplements
hereto may be executed in any number of counterparts and by different parties
hereto in separate counterparts, each of which when so executed and delivered
shall be deemed to be an original, but all such counterparts together shall
constitute one and the same agreement.

THIS JOINDER AGREEMENT SHALL BE GOVERNED BY, AND SHALL BE CONSTRUED AND ENFORCED
IN ACCORDANCE WITH, THE LAW OF THE STATE OF NEW YORK.

[Signature page follows]

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IN WITNESS WHEREOF, the New Pledgor has caused this Joinder Agreement to be
executed and delivered by its duly authorized officer as of the date first above
written.

NEW PLEDGOR

PBF Energy Western Region LLC

By:__/s/ John E. Luke____________________
Name: John E. Luke
Title: Treasurer

Torrance Logistics Company LLC

By:__/s/ John E. Luke____________________
Name: John E. Luke
Title: Treasurer

AGREED TO AND ACCEPTED:

UBS AG, STAMFORD BRANCH, as Agent

By:_/s/Darlene Arias_____________________
Name: Darlene Arias
Title: Director

By:_/s/ Kenneth Chin_____________________
Name: Kenneth Chin
Title: Director

[Schedules pages follow]

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SCHEDULES

Perfection Certificate Supplement

(attached)

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PERFECTION CERTIFICATE SUPPLEMENT
July 1, 2016
Reference is made to that certain (a) Third Amended and Restated Revolving
Credit Agreement dated as of August 15, 2014 (as amended, amended and restated,
supplemented or otherwise modified from time to time, the “Credit Agreement”)
among PBF HOLDING COMPANY LLC, a Delaware limited liability company (“Holding”),
DELAWARE CITY REFINING COMPANY LLC, a Delaware limited liability company
(“Delaware City”), PAULSBORO REFINING COMPANY LLC, a Delaware limited liability
company (“Paulsboro”) and TOLEDO REFINING COMPANY LLC, a Delaware limited
liability company (“Toledo”), CHALMETTE REFINING L.L.C., a Delaware limited
liability company (“Chalmette” and together with Holding, Delaware City, Toledo
and Paulsboro, “Borrowers” and each individually, a “Borrower”), the Subsidiary
Guarantors (such term and each other capitalized term used but not defined
herein having the meaning given it in Article I of the Credit Agreement), the
Lenders, UBS SECURITIES LLC, as a Co-Documentation Agent (the “UBS
Co-Documentation Agent”) and a Co-Syndication Agent (the “UBS Co-Syndication
Agent”), UBS SECURITIES LLC, BANK OF AMERICA, N.A., WELLS FARGO BANK, N.A.,
CITIBANK, N.A., NATIXIS, DEUTSCHE BANK SECURITIES INC., CREDIT AGRICOLE
CORPORATE & INVESTMENT BANK and THE BANK OF TOKYO-MITSUBISHI UFJ, LTD., as Joint
Lead Arrangers (in such capacities, the “Joint Lead Arrangers”) and Joint Lead
Bookmanagers, UBS AG, STAMFORD BRANCH, as an Issuing Bank, Administrative Agent,
a Co-Collateral Agent and as Swingline Lender (in such capacity, the “Swingline
Lender”), BANK OF AMERICA, N.A., as a Co-Collateral Agent and as a
Co-Syndication Agent (the “BAML Co-Syndication Agent”), CITIBANK, N.A., as a
Co-Syndication Agent (the “Citibank Co-Syndication Agent”, and together with the
UBS Co-Syndication Agent and the BAML Co-Syndication Agent, the “Co-Syndication
Agents”), WELLS FARGO BANK, N.A., as a Co-Collateral Agent and a
Co-Documentation Agent (the “WF Co-Documentation Agent”), DEUTSCHE BANK
SECURITIES INC., as a Co-Documentation Agent (the “DB Co-Documentation Agent”),
and CREDIT AGRICOLE CORPORATE & INVESTMENT BANK, as a Co-Documentation Agent
(the “CA Co-Documentation Agent”), and together with the UBS Co-Documentation
Agent, the WF Co-Documentation Agent, the CA Co-Documentation Agent and the DB
Co-Documentation Agent, the “Co-Documentation Agents”, and (b) Security
Agreement. Capitalized terms used but not defined herein have the meanings
assigned to them in the Credit Agreement as of the date hereof.
As used herein, the term "Company" means PBF Energy Western Region LLC, a
Delaware limited liability company.
The undersigned hereby certifies to the Administrative Agent as of the date
hereof as follows:
1.Names. (a) Schedule 1(a) attached hereto and made a part hereof, (x) sets
forth the exact legal name of the Company, as such name appears in its
respective certificate of incorporation or any other organizational document;
(y) the Company is (i) the type of entity disclosed next to its name therein and
(ii) a registered organization except to the extent disclosed therein and (z)
sets forth the organizational identification number, if any, of the Company that
is a registered organization, the Federal Taxpayer Identification Number of the
Company and the jurisdiction of formation of the Company.
(b)    To the knowledge of the Company, Schedule 1(b) attached hereto and made a
part hereof, sets forth any other corporate or organizational names the Company
has had in the past five years, together with the date of the relevant change.
2.Current Locations. (a) Schedule 2(a) attached hereto and made a part hereof,
sets forth the principal executive office of the Company and its address.

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(b)    Schedule 2(b) attached hereto and made a part hereof, sets forth all
locations where the Company maintains any books or records relating to any
Collateral.
(c)    Schedule 2(c) attached hereto and made a part hereof, sets forth are all
the other places of business of the Company.
(d)    Schedule 2(d) attached hereto and made a part hereof, sets forth all
other locations where the Company maintains any of the Collateral consisting of
Inventory not identified above or below.
(e)    Schedule 2(e) attached hereto and made a part hereof, sets forth the
names and addresses of all persons or entities other than the Company, such as
lessees, consignees, warehousemen or purchasers of chattel paper, which have
possession or are intended to have possession of any of the Collateral
consisting of instruments, chattel paper or inventory.
3.[Intentionally omitted].
4.[Intentionally omitted].
5.[Intentionally omitted].
6.[Intentionally omitted].
7.Schedule of Filings. Schedule 7 attached hereto and made a part hereof, is a
schedule of (i) the appropriate filing offices for the financing statements
against the Company and (ii) any other actions required to create, preserve,
protect and perfect the security interests in the Pledged Collateral (as defined
in the Security Agreement) granted to the Administrative Agent pursuant to the
applicable Security Documents. No other filings or actions are required to
create, preserve, protect and perfect the security interests in the Pledged
Collateral granted to the Administrative Agent pursuant to the applicable
Security Documents.
8.[Intentionally omitted].
9.[Intentionally omitted].
10.[Intentionally omitted].
11.Instruments and Tangible Chattel Paper. Listed on Schedule 11 attached hereto
and made a part hereof, is a true and correct list of all promissory notes,
instruments (other than checks to be deposited in the ordinary course of
business), tangible chattel paper, electronic chattel paper and other evidence
of indebtedness, held by the Company as of the date hereof, including all
intercompany notes between or among any two or more Loan Parties, in each case,
to the extent constituting Collateral and to the extent in excess of $500,000
per item.
12.[Intentionally omitted].
13.Deposit Accounts, Securities Accounts, Futures Accounts and Commodity
Accounts. Attached hereto as Schedule 13 is a true and complete list of all
Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in
the Security Agreement) maintained by the Company, including the name of each
institution where each such account is held and the name of each such account,
other than the Excluded Accounts.
14.    Letter-of-Credit Rights. Schedule 14 attached hereto and made a part
hereof, is a true and correct list of all Letters of Credit issued in favor of
the Company, as beneficiary thereunder.

The schedules attached hereto supplement all schedules delivered under any prior
Perfection Certificate.

[The remainder of this page has been intentionally left blank]

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IN WITNESS WHEREOF, we have hereunto signed this Perfection Certificate as of
the date first written above.

THE COMPANY:
PBF Energy Western Region LLC
By: _/s/ John E. Luke__________
Name: John E. Luke
Title: Treasurer

[Schedules pages follow]

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SCHEDULE 1(a)
Legal Name

Legal Name
Type of Entity
Federal Taxpayer Identification Number
Jurisdiction of Formation
 
 
 
 
PBF Energy Western Region LLC
Limited Liability Company
 35-2545521
Delaware

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Schedule 1(b)
Prior Organizational Names

Prior Name
Date of Change
N/A
 

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Schedule 2(a)
Chief Executive Offices

Address

1 Sylvan Way, 2nd Floor, Parsippany, New Jersey 07054

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Schedule 2(b)
Locations where the Company maintains any books or records relating to any
Collateral

Address
One Sylvan Way, Second Floor, Parsippany, NJ 07054
111 West Ocean Blvd, Suite 1500, Long Beach, CA 90802

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Schedule 2(c)
Other places of business of the Company

Address
111 West Ocean Blvd, Suite 1500, Long Beach, CA 90802

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Schedule 2(d)
Other locations where the Company maintains any of the Collateral consisting of
Inventory not identified above or below

Locations
N/A

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Schedule 2(e)
The names and addresses of all persons or entities other than the Company, such
as lessees, consignees, warehousemen or purchasers of chattel paper, which have
possession or are intended to have possession of any of the Collateral
consisting of instruments, chattel paper or inventory

Terminal Location
Company
Terminal Address
N/A
 
 

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Schedule (7)
Filings/Filing Offices

Type of Filing

Applicable Collateral Document
(Mortgage, Security Agreement
or other)
Jurisdiction
UCC-1
Financing Statement
Delaware Secretary of State

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Schedule 11
Instruments and Tangible Chattel Paper

Not applicable.

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Schedule 13
Deposit Accounts, Securities Account and Commodity Accounts

Bank and Account Type
Account No.
None
 

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Schedule 14
Letter of Credit Rights

Type
L/C Number
Beneficiary
Issuing Bank
 
 
 
 
N/A
 
 
 

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PERFECTION CERTIFICATE SUPPLEMENT
July 1, 2016
Reference is made to that certain (a) Third Amended and Restated Revolving
Credit Agreement dated as of August 15, 2014 (as amended, amended and restated,
supplemented or otherwise modified from time to time, the “Credit Agreement”)
among PBF HOLDING COMPANY LLC, a Delaware limited liability company (“Holding”),
DELAWARE CITY REFINING COMPANY LLC, a Delaware limited liability company
(“Delaware City”), PAULSBORO REFINING COMPANY LLC, a Delaware limited liability
company (“Paulsboro”) and TOLEDO REFINING COMPANY LLC, a Delaware limited
liability company (“Toledo”), CHALMETTE REFINING L.L.C., a Delaware limited
liability company (“Chalmette” and together with Holding, Delaware City, Toledo
and Paulsboro, “Borrowers” and each individually, a “Borrower”), the Subsidiary
Guarantors (such term and each other capitalized term used but not defined
herein having the meaning given it in Article I of the Credit Agreement), the
Lenders, UBS SECURITIES LLC, as a Co-Documentation Agent (the “UBS
Co-Documentation Agent”) and a Co-Syndication Agent (the “UBS Co-Syndication
Agent”), UBS SECURITIES LLC, BANK OF AMERICA, N.A., WELLS FARGO BANK, N.A.,
CITIBANK, N.A., NATIXIS, DEUTSCHE BANK SECURITIES INC., CREDIT AGRICOLE
CORPORATE & INVESTMENT BANK and THE BANK OF TOKYO-MITSUBISHI UFJ, LTD., as Joint
Lead Arrangers (in such capacities, the “Joint Lead Arrangers”) and Joint Lead
Bookmanagers, UBS AG, STAMFORD BRANCH, as an Issuing Bank, Administrative Agent,
a Co-Collateral Agent and as Swingline Lender (in such capacity, the “Swingline
Lender”), BANK OF AMERICA, N.A., as a Co-Collateral Agent and as a
Co-Syndication Agent (the “BAML Co-Syndication Agent”), CITIBANK, N.A., as a
Co-Syndication Agent (the “Citibank Co-Syndication Agent”, and together with the
UBS Co-Syndication Agent and the BAML Co-Syndication Agent, the “Co-Syndication
Agents”), WELLS FARGO BANK, N.A., as a Co-Collateral Agent and a
Co-Documentation Agent (the “WF Co-Documentation Agent”), DEUTSCHE BANK
SECURITIES INC., as a Co-Documentation Agent (the “DB Co-Documentation Agent”),
and CREDIT AGRICOLE CORPORATE & INVESTMENT BANK, as a Co-Documentation Agent
(the “CA Co-Documentation Agent”), and together with the UBS Co-Documentation
Agent, the WF Co-Documentation Agent, the CA Co-Documentation Agent and the DB
Co-Documentation Agent, the “Co-Documentation Agents”, and (b) Security
Agreement. Capitalized terms used but not defined herein have the meanings
assigned to them in the Credit Agreement as of the date hereof.
As used herein, the term "Company" means Torrance Logistics Company LLC, a
Delaware limited liability company.
The undersigned hereby certifies to the Administrative Agent as of the date
hereof as follows:
1.Names. (a) Schedule 1(a) attached hereto and made a part hereof, (x) sets
forth the exact legal name of the Company, as such name appears in its
respective certificate of incorporation or any other organizational document;
(y) the Company is (i) the type of entity disclosed next to its name therein and
(ii) a registered organization except to the extent disclosed therein and (z)
sets forth the organizational identification number, if any, of the Company that
is a registered organization, the Federal Taxpayer Identification Number of the
Company and the jurisdiction of formation of the Company.
(b)    To the knowledge of the Company, Schedule 1(b) attached hereto and made a
part hereof, sets forth any other corporate or organizational names the Company
has had in the past five years, together with the date of the relevant change.

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2.Current Locations. (a) Schedule 2(a) attached hereto and made a part hereof,
sets forth the principal executive office of the Company and its address.
(b)    Schedule 2(b) attached hereto and made a part hereof, sets forth all
locations where the Company maintains any books or records relating to any
Collateral.
(c)    Schedule 2(c) attached hereto and made a part hereof, sets forth are all
the other places of business of the Company.
(d)    Schedule 2(d) attached hereto and made a part hereof, sets forth all
other locations where the Company maintains any of the Collateral consisting of
Inventory not identified above or below.
(e)    Schedule 2(e) attached hereto and made a part hereof, sets forth the
names and addresses of all persons or entities other than the Company, such as
lessees, consignees, warehousemen or purchasers of chattel paper, which have
possession or are intended to have possession of any of the Collateral
consisting of instruments, chattel paper or inventory.
3.[Intentionally omitted].
4.[Intentionally omitted].
5.[Intentionally omitted].
6.[Intentionally omitted].
7.Schedule of Filings. Schedule 7 attached hereto and made a part hereof, is a
schedule of (i) the appropriate filing offices for the financing statements
against the Company and (ii) any other actions required to create, preserve,
protect and perfect the security interests in the Pledged Collateral (as defined
in the Security Agreement) granted to the Administrative Agent pursuant to the
applicable Security Documents. No other filings or actions are required to
create, preserve, protect and perfect the security interests in the Pledged
Collateral granted to the Administrative Agent pursuant to the applicable
Security Documents.
8.[Intentionally omitted].
9.[Intentionally omitted].
10.[Intentionally omitted].
11.Instruments and Tangible Chattel Paper. Listed on Schedule 11 attached hereto
and made a part hereof, is a true and correct list of all promissory notes,
instruments (other than checks to be deposited in the ordinary course of
business), tangible chattel paper, electronic chattel paper and other evidence
of indebtedness, held by the Company as of the date hereof, including all
intercompany notes between or among any two or more Loan Parties, in each case,
to the extent constituting Collateral and to the extent in excess of $500,000
per item.
12.[Intentionally omitted].
13.Deposit Accounts, Securities Accounts, Futures Accounts and Commodity
Accounts. Attached hereto as Schedule 13 is a true and complete list of all
Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in
the Security Agreement) maintained by the Company, including the name of each
institution where each such account is held and the name of each such account,
other than the Excluded Accounts.

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14.    Letter-of-Credit Rights. Schedule 14 attached hereto and made a part
hereof, is a true and correct list of all Letters of Credit issued in favor of
the Company, as beneficiary thereunder.

The schedules attached hereto supplement all schedules delivered under any prior
Perfection Certificate.

[The remainder of this page has been intentionally left blank]

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IN WITNESS WHEREOF, we have hereunto signed this Perfection Certificate as of
the date first written above.

THE COMPANY:
Torrance Logistics Company LLC
By: _/s/ John E. Luke___________
Name: John E. Luke
Title: Treasurer

[Schedules pages follow]

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SCHEDULE 1(a)
Legal Name

Legal Name
Type of Entity
Federal Taxpayer Identification Number
Jurisdiction of Formation
 
 
 
 
Torrance Logistics Company LLC
Limited Liability Company
38-3983432
Delaware

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Schedule 1(b)
Prior Organizational Names

Prior Name
Date of Change
N/A
 

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Schedule 2(a)
Chief Executive Offices

Address

1 Sylvan Way, 2nd Floor, Parsippany, New Jersey 07054

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Schedule 2(b)
Locations where the Company maintains any books or records relating to any
Collateral

Address
One Sylvan Way, Second Floor, Parsippany, NJ 07054
111 West Ocean Blvd, Suite 1500, Long Beach, CA 90802

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Schedule 2(c)
Other places of business of the Company

Address
111 West Ocean Blvd, Suite 1500, Long Beach, CA 90802

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Schedule 2(d)
Other locations where the Company maintains any of the Collateral consisting of
Inventory not identified above or below

Locations
N/A

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Schedule 2(e)
The names and addresses of all persons or entities other than the Company, such
as lessees, consignees, warehousemen or purchasers of chattel paper, which have
possession or are intended to have possession of any of the Collateral
consisting of instruments, chattel paper or inventory

Terminal Location
Company
Terminal Address
N/A
 
 

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Schedule (7)
Filings/Filing Offices

Type of Filing

Applicable Collateral Document
(Mortgage, Security Agreement
or other)
Jurisdiction
UCC-1
Financing Statement
Delaware Secretary of State

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Schedule 11
Instruments and Tangible Chattel Paper

Not applicable.

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Schedule 13
Deposit Accounts, Securities Account and Commodity Accounts

Bank and Account Type
Account No.
Citibank, N.A. Checking
38893983

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Schedule 14
Letter of Credit Rights

Type
L/C Number
Beneficiary
Issuing Bank
 
 
 
 
N/A