Document:

Exhibit

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 

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]

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]

SCHEDULES

Perfection Certificate Supplement

(attached)

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.

(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]

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]

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

Schedule 1(b)
Prior Organizational Names

	
		
	Prior Name
	Date of Change

	N/A
	 

Schedule 2(a)
Chief Executive Offices

	
	
	Address

	

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

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

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

	
	
	Address

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

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

	
	
	Locations

	N/A

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
	 
	 

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

Schedule 11
Instruments and Tangible Chattel Paper

Not applicable.

Schedule 13
Deposit Accounts, Securities Account and Commodity Accounts

	
		
	Bank and Account Type
	Account No.

	None
	 

Schedule 14
Letter of Credit Rights

	
				
	Type
	L/C Number
	Beneficiary
	Issuing Bank

	 
	 
	 
	 

	N/A
	 
	 
	 

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.

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.  

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]

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]

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

Schedule 1(b)
Prior Organizational Names

	
		
	Prior Name
	Date of Change

	N/A
	 

Schedule 2(a)
Chief Executive Offices

	
	
	Address

	

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

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

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

	
	
	Address

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

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

	
	
	Locations

	N/A

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
	 
	 

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

Schedule 11
Instruments and Tangible Chattel Paper

Not applicable.

Schedule 13
Deposit Accounts, Securities Account and Commodity Accounts

	
		
	Bank and Account Type
	Account No.

	Citibank, N.A. Checking
	38893983

Schedule 14
Letter of Credit Rights

	
				
	Type
	L/C Number
	Beneficiary
	Issuing Bank

	 
	 
	 
	 

	N/AExhibit

Exhibit 10.12
JOINDER AGREEMENT

July 1, 2016

Reference is made to the 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 (“Holdings”), Delaware City Refining Company LLC, a Delaware limited liability company (“Delaware City”), Paulsboro Refining Company LLC (f/k/a Valero Refining Company - New Jersey, a Delaware corporation), a Delaware 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, “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, Administrative Agent (in such capacity, the “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”), 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 and the DB Co-Documentation Agent, the “Co-Documentation Agents”).

WITNESSETH:

WHEREAS, the Subsidiary Guarantors, Borrowers and Holdings have entered into the Credit Agreement and the Security Agreements in order to induce the Lenders to make the Loans and the Issuing Bank to issue Letters of Credit to or for the benefit of Borrowers; 

WHEREAS, pursuant to Section 5.10(b) of the Credit Agreement, each Subsidiary, other than an Excluded Subsidiary or Immaterial Subsidiary, that was not in existence on the date of the Credit Agreement and that is an Eligible Subsidiary, may become a Borrower under the Credit Agreement by executing a Joinder Agreement. The undersigned Subsidiary (the “New Subsidiary”) is executing this joinder agreement (“Joinder Agreement”) to the Credit Agreement in order to induce the Lenders to make additional Revolving Loans and the Issuing Bank to issue Letters of Credit and as consideration for the Loans previously made and Letters of Credit previously issued. 

NOW, THEREFORE, the Administrative Agent, Collateral Agent and the New Subsidiaries hereby agree as follows:

1. Borrower. In accordance with Section 5.10(b) of the Credit Agreement, the New Subsidiary by its signature below becomes a Borrower under the Credit Agreement with the same force and effect as if originally named therein as a Borrower.

2. Representations and Warranties. The New Subsidiary hereby (a) agrees to all the terms and provisions of the Credit Agreement applicable to it as a Borrower thereunder and (b) represents and warrants that the representations and warranties made by it as a Borrower thereunder are true and correct in all material respects (except that any representation and warranty that is qualified as to “materiality” or “Material Adverse Effect” shall be true and correct in all respects) on and as of the date hereof. Each reference to a Subsidiary Guarantor in the Credit Agreement shall be deemed to include each New Subsidiary. The New Subsidiary hereby attaches supplements to each of the schedules to the Credit Agreement applicable to it.

3. Severability. Any provision of this Joinder Agreement which is prohibited or unenforceable in any jurisdiction shall, as to such jurisdiction, be ineffective to the extent of such prohibition or unenforceability without invalidating the remaining provisions hereof, and any such prohibition or unenforceability in any jurisdiction shall not invalidate or render unenforceable such provision in any other jurisdiction.

4. Counterparts. This Joinder Agreement may be executed in counterparts, each of which shall constitute an original. Delivery of an executed signature page to this Joinder Agreement by facsimile transmission shall be as effective as delivery of a manually executed counterpart of this Joinder Agreement.

5. No Waiver. Except as expressly supplemented hereby, the Credit Agreement shall remain in full force and effect.

6. Notices. All notices, requests and demands to or upon the New Subsidiary, any Agent or any Lender shall be governed by the terms of Section 10.01 of the Credit Agreement.

7. Governing Law. THIS AGREEMENT AND THE RIGHTS AND OBLIGATIONS OF THE PARTIES HEREUNDER SHALL BE CONSTRUED IN ACCORDANCE WITH AND GOVERNED BY THE LAW OF THE STATE OF NEW YORK, WITHOUT REGARD TO CONFLICTS OF LAWS PRINCIPLES THAT WOULD REQUIRE THE APPLICATION OF THE LAWS OF ANOTHER JURISDICTION.

[Signature Pages Follow]

IN WITNESS WHEREOF, the undersigned have caused this Joinder Agreement to be duly executed and delivered by their duly authorized officers as of the day and year first above written.

NEW SUBSIDIARY

Torrance Refining Company LLC 

By: _/s/ John E. Luke___________
Name: John E. Luke
Title: Treasurer

Address for Notices:

PBF Holding Company LLC
1 Sylvan Way, 2nd Floor
Parsippany, NJ 07054-3887
Attention: Trecia Canty
Telecopier No.: 973-455-8941
Email: Trecia.Canty@pbfenergy.com

with a copy to:

Kirkland & Ellis LLP
601 Lexington Avenue
New York, New York 10022
Attention: Andres C. Mena, Esq.
Telecopier No.: (212) 446-4900
Email: andres.mena@kirland.com

UBS AG, STAMFORD BRANCH, as Administrative Agent

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

By:_/s/ Craig Pearson__________
Name: Craig Pearson
Title: Associate Director

[Schedules pages follow]

APPLICABLE SCHEDULES 

Schedule 2.22        Blocked Accounts
Schedule 3.08        Litigation
Schedule 3.18        Environmental Matters

Schedule 2.22
Blocked Accounts

	
		
	Bank and Account Type
	Account No.

	N.A.
	 

Schedule 3.08
Litigation

	
				
	Matter Number
	Matter Name
	Classification
	Law Issue

	2015-00022
	(MMOAC) Olson, Charles H v Union Carbide Corp., et al   
	Personal Injury
	Toxic Tort- Premises Owner Liability

	 

	Matter Number
	Matter Name
	Classification
	Law Issue

	2012-001010
	(MCAS)(CSHP) Steadman, Raymond; et ux vs Asbestos Corp Ltd; et al.
	Personal Injury
	Toxic Tort- Premises Liability

	 

	Matter Number
	Matter Name
	Classification
	Law Issue

	2013-000155
	(MCAS) Curran, Richard Wade; (Curran, Richard William); et al vs General Electric Co., et al.
	Personal Injury
	Toxic Tort-Premises Owner Liability

	 
	 
	 
	 

	Matter Number
	Matter Name
	Classification
	Law Issue

	2016-000008
	(Harold Wardle vs. 3M Company, et al, Los Angeles Superior Court, No. BC605308
	Toxic Tort Premises Liablity - Asbestos - Mesothelioma
	Plaintiff alleges exposure to asbestos while repairing cooling towers at the Torrance Refinery during the 1966 and 1973 timeframe while employed by Flour. Defenses - Insufficient exposure, weak causation and no liability for independent contractor employees

SCHEDULE 3.18
ENVIRONMENTAL MATTERS

	
		
	Agency
	Environmental/Safety Settlement  Agreements, Consent Decrees, and Orders

	LARWQCB
	Site and Offsite Clean Up and Abatement Orders (no assignment clause in the three issued abatement orders)

	DTSC1
	Selenium Consent Decree

	DIR/CalOSHA
	2014 PQV Inspection Settlement Order. Still need to submit proof of abatement for General Citations.

	EPAIDOJl
	NSR Consent Decree

	City of Torrance
	MHF/Safety Consent Decree

	Agency I Type
	Environmental/Safety Claims

	 
	 

	EPA
	 Potential NOV(s) associated with EPA Region IX's June and November 2015 Inspections of the Refinery's Risk Management Program

	EPAIDOJ
	 Potential NSR Consent Decree Stipulated Penalties based on prior reports and notifications
 Potential stipulated penalties associated with Multi-Media Consent Decree related to failure to meet Water
Conservation SEP Annual Reuse limit in 2014

	DTSC
	 Potential NOV associated with failure to remove Alky Chemical Cleaning hazardous waste if not removed by 8/25/15.

SCHEDULE 3.18
ENVIRONMENTAL MATTERS
	
										
	Transactional  Asset
	Project ID
	BUS. LINE / ASSET
	Regulatory 
Agency/
Other
	Regulatory Case #
	CAO/CD
	Remediation Type
	Remediation Comment
	5.13(b)
	15.8

	Yes
	TORRANCE REFINERY
	REFINING
	LARWQCB/ DOJ/ EPA
	MOBIL - TORRANCE REFINERY (SL372452438)
RB Case # 0234
	CAO - 85-17
CAO - 88-43
CAO - 89-136
CAO - 95-116
DOJ CD
Resource Conservation & Recovery Act (RCRA) Corrective Action and Environmental Indicator Program
	Active
	Active
Includes Honeywell offsite LNAPL investigation and remediation and 18-ECP boundary site remediation project (RB Case#905040161) on 190th and Crenshaw.
	X
	X

	Yes
	ATWOOD TERMINAL
	LOGISTICS-TML
	SARWQCB
	MOBIL ATWOOD TERMINAL (SLT8R1594080)
RB Case # SLT8R159
	N/A
	Active
	Active
	 
	X

	Yes
	VERNON TERMINAL/VERNCA/04011
	LOGISTICS-TML
	City of Vernon and DTSC
	DTSC Case# HAS VCA 15/15-029 
	N/A
	Active - No LARWQCB Agency Case but active case with DTSC for oversight 
	Active - CtC Program. No regulatory case at VT facility itself.  Working with City of Vernon and DTSC on an off-site third party property only.   Remove from CtC Program upon transfer of assets/projects.
	 
	X

	Yes
	VERNON METERS STATION
	LOGISTICS-TML
	City of Vernon
	N/A
	N/A
	Active - No Agency Case
	Active - CtC Program. No environmental regulatory agency case.  Working directly with City of Vernon to remediate soil and GW impact onsite.  Remove from CtC Program upon transfer of assets/projects
	 
	X

	
										
	Yes
	M-3 PIPELINE (Idle segment only on Bandini Blvd, Vernon)
	LOGISTICS-PL
	City of Vernon
	N/A
	N/A
	Active - No Agency Case
	Active. No environmental regulatory agency case.  Working directly with City of Vernon to delineate and investigate possible soil and GW impact from M-3 idle section of the pipeline after relocation project
	 
	X

	Yes: Idle betw Vernon & Torrance
	M-5 PIPELINE
	LOGISTICS-PL
	LARWQCB
	ExxonMobil Pipeline M-5 (T10000002802)
	N/A
	Closed - Agency NFA
	Regulatory case closed.  NFA received.  Only future potential work for M-5 abandoned pipeline on S. Main St. between E. Slauson Ave. & E. 59th Pl.
	 
	X

	Yes: Vernon Meters North
	M-107 PIPELINE
	LOGISTICS-PL
	N/A
	N/A
	N/A
	Inactive
	Inactive - on and off working with BNSF & Metro Trans. Authority (MTA)  on possible removal of M107 pipeline segment in their ROW (~250') and slurry fill (~2500').
	 
	X

	Yes: Idle/Abndnd Athens to Vernon
	M-6 & M-7 PIPELINE
	LOGISTICS-PL
	DTSC
	N/A
	N/A
	Closed - Agency NFA
	Regulatory case closed.  NFA received.  Only future potential work for M-6 and M-7 idled pipelines.
	 
	X

	Yes
	SOUTHWEST TERMINAL AREA I
	LOGISTICS-TML
	LARWQCB
	MOBIL SOUTHWEST TERMINAL - BERTHS 238 (SL204701660)
RB Case # 0333
	CAO - 99-103
	Active
	Active
	X
	X

	Yes: Active/Idle/Abndnd Torrance to SWT1/Wilmington/GATX
	M18 & M19 PIPELINE
	LOGISTICS-PL
	N/A.  Managed by POLA (Property Owner)
	N/A
	N/A
	Closed - No Agency Case
	 
	 
	X

	
										
	Yes
	SOUTHWEST TERMINAL AREA II
	LOGISTICS-TML
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes
	EMIDIO PUMP STATION
	LOGISTICS-PL
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes
	ROSE PUMP STATION
	LOGISTICS-PL
	N/A
	N/A
	N/A
	Active - No Agency Case
	Active.  No environmental regulatory case.  Working with Tejon Ranch for removal of impacted soil to support their redevelopment plans.
	 
	X

	Yes
	GRAPEVINE PUMP STATION
	LOGISTICS-PL
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes: same as Pump Station Case
	GRAPEVINE PIPELINE
	LOGISTICS-PL
	CVRWQCB
	MOBIL GRAPEVINE PUMPING STATION 99-GRV (SLT5FR714638)
RB Case# SLT5FR714638
	N/A
	Active - Agency Case
	Active - CTC program.  Project is associated with the pipeline but is related to Grapevine Pump Station.   Remove from CtC Program upon transfer of assets/projects
	 
	X

	Yes
	LEBEC PUMP STATION
	LOGISTICS-PL
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes
	LEBEC PIPELINE (TEJON RANCH)
	LOGISTICS-PL
	CVRWQCB
	MOBIL M-1 CRUDE OIL PIPELINE (SL205724284)
RB Case # SL205724284
	N/A
	Active - Agency Case
	Active - CTC program.  Not related to Lebec Pump Station.  Idled 8” and M-1 active 12” near 5 Fwy.  Remove from CtC Program upon transfer of assets/projects.
	 
	X

	
										
	Yes
	NEWHALL PUMP STATION
	LOGISTICS-PL
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes - M-70 Idle diverges from the M-70 active just south of the Newhall Pump Station and runs east of the active line - RAP posted to Geotracker 3/31/2014: Open case since 2000.  Case is identified in Geotracker as: Newhall Land and Farm Co.  No ID as pipeline or ExxonMobil or Mobil.
	VALENCIA PIPELINE
(NEWHALL LAND FARM)
	LOGISTICS-PL
	LARWQCB
	NEWHALL LAND AND FARM CO (SL2048Y1711)
RB Case # 0293
	N/A
	Active - Agency Case
	Active - CTC program.  3 Mobil abandoned/idle pipelines.  Remove from CtC Program upon transfer of assets/projects
	 
	X

	Yes
	SATICOY PUMP STATION
	LOGISTICS-PL
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes
	SLAUSON PUMP STATION
	LOGISTICS-PL
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes: M-70/M-53: Gorman Post Road
	GORMAN PIPELINE
	LOGISTICS-PL
	CVRWQCB
	MOBIL PIPELINES M-70 AND M-53 (SL0603714503)
RB # 1146
	N/A
	Active - Agency Case
	Active - CTC program.  Pipeline related project on a third party gas station.  Remove from CtC Program upon transfer of assets/projects.
	 
	X

	Yes
	M-145/M-8 PIPELINE
(ALAMEDA & 96TH)
	LOGISTICS-PL
	LARWQCB
	MOBIL M-8 AND M-145 PIPELINES (SL204DF2389)
RB Case # 0946
	N/A
	Active - Agency Case
	Active.  M-145 active line, M-8 abandoned line.
	 
	X

	
										
	Yes
	M-8 PIPELINE FLORENCE AVE
(ALAMEDA & FLORENCE)
	LOGISTICS-PL
	LARWQCB
	EXXON/MOBIL PIPELINE CO. LINE M-8 (SL0603783051)
RB Case # 1104B
	N/A
	Active - Agency Case
	Active.  M-8 abandoned line.
	 
	X

	Yes: M-145
	WATSON-KINDER MORGAN
	LOGISTICS-PL
	N/A
	N/A
	N/A
	None
	No regulatory case or remediation work.  Routine regulatory compliance related to operation.
	 
	N/A

	Yes
	G-8/G-10 PIPELINE
	LOGISTICS-PL
	City of Taft/Property Owner
	N/A
	N/A
	Active - No Agency Case 
	Active.  G-8/G-10 idled lines.  Removal of pipeline and any potential remediation of soil if needed for property redevelopment by current owner.  Working with the City of Taft.
	 
	X

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