Document:

Prepared by R.R. Donnelley Financial -- Amendment to Treasury Services Terms and Conditions Booklet-ATM Cash Services

 Exhibit 10.17 
  
 AMENDMENT TO TREASURY SERVICES 
 TERMS AND CONDITIONS BOOKLET 
  
 ATM CASH SERVICES 
  
 This Amendment (“Amendment”), dated as of March 8, 2004, is to the Treasury
Services Terms and Conditions Booklet executed by Global Cash Access, LLC on May 28, 2002 (the “Booklet”). Capitalized terms used but not defined in this Amendment will have the meanings given to them in the Booklet. Other terms are
defined herein, including in the “Definitions” section below. In addition, the terms “we,” “us” and “our” refer to Bank of America, N.A., and “you” and “your” refer to Global Cash Access,
L.L.C. The purpose of this Amendment is to describe the terms and conditions under which we will provide you with the ATM Cash Services, as described below. 
  
 ATM Cash Services 
  
 Our ATM Cash Services allow you to have us stock your ATMs with our cash, subject to the limitations set forth below. We will furnish all currency needed for the normal operating requirements of all ATMs in the
amounts, denominations and under the delivery schedules to be mutually agreed between you, your Armored Carrier and us from time to time. All such currency shall be in a physical condition suitable for dispensing from automated teller machines. Once
identified for ATM delivery and delivered to the Armored Carrier for delivery to a cash drawer in an ATM, such currency shall be considered “ATM Cash” for purposes of this Amendment. 
  
 Notwithstanding the foregoing, the aggregate total of all ATM Cash, sums due from the Network
and any adjustments, chargebacks or other corrections provided under this Amendment, shall at no time exceed Three Hundred Million Dollars ($300,000,000). Should such amount be exceeded, we cannot assure you we will be able to stock each ATM.

  
 The currency will be delivered to each ATM by the Armored Carrier. Our
obligation to provide the ATM Cash to any ATM is subject to the Armored Carrier’s ability to obtain access to that ATM during the normal business hours of the premises on which the ATM is located. Notwithstanding anything in any other Service
description in the Booklet, the Armored Carrier shall be your agent with respect to the possession, transportation and handling of ATM Cash, but as a condition to providing the ATM Cash Services described herein, the Armored Carrier shall execute
the Armored Carrier Consent substantially in the form of Exhibit B hereto. You may replace any Armored Carrier at any time upon obtaining our prior written consent (which shall not be unreasonably withheld) and obtaining the execution of the Armored
Carrier Consent by the replacement Armored Carrier. The Armored Carrier shall maintain records of all currency delivered to each ATM. Absent manifest error, in the event of any discrepancy between your records (including the records of the Armored
Carrier) and ours, our records shall prevail for purposes of this Amendment. 
  
 Settlement 
  
 You understand that we have not yet entered into a
formal agreement with the Reconcilement Agent to provide settlement services for us, but we expect the settlement process will occur as set forth below. In the event our final 

  

					
	 	  	1	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 
agreement with the Reconcilement Agent changes this process, you agree to modify this Amendment accordingly. 
  
 By 8:00 a.m. on each Business Day, the Reconcilement Agent shall make available to us an
electronic report which shall set forth the amount of ATM Cash withdrawn from all ATMs on the previous Business Day (and, if the previous day was not a Business Day, for each day prior for which no report had been provided). The report will have two
components: a report with respect to transactions involving Electronic Check Authorizations (as defined below) and a report with respect to transactions other than Electronic Check Authorizations. These amounts for each day are called the
“Reported ECA Withdrawals” and the “Reported Non-ECA Withdrawals”, respectively. An “Electronic Check Authorization” is a transaction in which a person who has previously enrolled in your program can access cash from an
ATM through an electronic debit to that person’s checking account. 
  
 With
respect to transactions other than Electronic Check Authorization transactions, the Network shall remit payment to our account no later than the Network Settlement Time (as defined below) on the next Business Day following the day on which the
transaction is deemed to occur for all ATM Cash withdrawn from all ATMs with respect to such transactions. The amount so paid is called the “Payment for Non-ECA Withdrawals.” 
  
 With respect to transactions that involve Electronic Check Authorizations, the Network shall remit payment to our account no later than the
Network Settlement Time on the second Business Day following the day on which the transaction is deemed to occur for all ATM Cash withdrawn from all ATMs with respect to such transactions. The amount so paid for each Business Day is called the
“Payment for ECA Withdrawals.” 
  
 The “Network Settlement
Time” is the time on a Business Day by which the Network performs its daily settlement of transactions consummated since the Network Settlement Time on the immediately preceding Business Day. Transactions that are consummated after the Network
Settlement Time on a Business Day or on any day other than a Business Day shall be deemed to occur on the immediately succeeding Business Day. 
  
 Each Business Day, the Reconcilement Agent shall reconcile for us the Reported Non-ECA Withdrawals with the Payment for Non-ECA Withdrawals and the Reported ECA
Withdrawals with the Payment for ECA Withdrawals. If: (i) the amount of the Payment for Non-ECA Withdrawals is greater than the Reported Non-ECA Withdrawals, we shall deposit the overage into the Settlement Account; (ii) the amount of the Payment
for Non-ECA Withdrawals is less than the Reported Non-ECA Withdrawals, we shall withdraw the shortfall from the Settlement Account; (iii) the amount of the Payment for ECA Withdrawals is greater than the Reported ECA Withdrawals for the Business Day
that is two Business Days prior, we shall deposit the overage into the Settlement Account; and (iv) the amount of the Payment for ECA Withdrawals is less than the Reported ECA Withdrawals for the Business Day that is two Business Days prior, we
shall withdraw the shortfall from the Settlement Account. The deposits and withdrawals described in this paragraph are referred to as “Reconcilements” elsewhere in this Amendment. 
  
 As between you and us, you shall have sole responsibility to investigate and resolve any
disputed or erroneous transaction, recover from the cardholder receiving the overpayment any overpayment made by any ATM, and to make an appropriate adjustment for any cardholder receiving an underpayment. 
  

					
	 	  	2	  	 Amendment to Treasury Services
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 After each re-stocking of an ATM, we will receive a report from the Armored Carrier setting forth the aggregate amount of
ATM Cash withdrawn from that ATM since the last report. If the Armored Carrier report shows that the aggregate amount of ATM Cash withdrawn from the ATM is greater than the amount reimbursed by the Network for that ATM for that same period, we shall
debit the Settlement Account for the shortfall. If the Armored Carrier report shows that the aggregate amount of ATM Cash withdrawn from the ATM is less than the amount reimbursed by the Network for that ATM for that same period, we shall credit the
Settlement Account for such overage. The credits and debits described in this paragraph are referred to as “Reconcilements” elsewhere in this Amendment. 
  
 You agree to maintain at all times a positive balance in the Settlement Account of at least Fifty Thousand Dollars ($50,000.00). If the
balance in the Settlement Account shall ever fall below that amount, you shall, immediately upon notice from us, replenish the balance so it equals or exceeds that amount. You and we shall from time to time review the minimum amount required to be
maintained in the Settlement Account, based upon transaction volumes, settlement discrepancies and other matters, and shall adjust that minimum amount appropriately upon mutual agreement (which shall not be unreasonably denied). 
  
 Transition Procedures 
  
 At a mutually agreed-upon time on the Transition Date, you and we will agree upon the amount of currency currently maintained in each ATM.
We shall transmit that amount to you or your order on the Transition Date and as of that mutually agreed-upon time, all currency maintained in each ATM shall automatically become our sole and exclusive property and shall constitute ATM Cash under
this Amendment. We agree to use our commercially reasonable efforts to coordinate with you and your existing provider of currency prior to the Transition Date in making this payment and transitioning your currency supply smoothly to us. We agree to
make an adjusting credit or debit to the Settlement Account after the settlement process in the event the amount we transmitted to you was not correct. 
  
 Ownership of ATM Cash 
  
 You and we agree that all ATM Cash shall remain our property from the time it is picked up from our cash vaults by your Armored Carrier until such time as it is dispensed from any ATM in a cash withdrawal transaction;
that none of the ATM Cash shall at any time become your property or that of any other person; that so long as we provide the ATM Cash Services under this Amendment, the only currency that will be placed in the ATMs shall be ours; and that neither
you nor any person other than us and our agents has any possessory or ownership rights to the ATM Cash under Section 362 of the Bankruptcy Code (or any successor provision). Under no circumstances shall you commingle or cause the commingling of the
ATM Cash with currency belonging to you or any other person. You shall take all steps necessary to ensure and to evidence that all ATM Cash remains our sole and exclusive property until it is dispensed from the ATMs. 
  
 Neither you nor any other person (other than the Armored Carrier and the ATM Service
Provider) shall have any access to any of the ATM Cash, except as such use relates to the dispensing of any of the ATM Cash in a bona fide cash withdrawal transaction from an ATM. 
  
 In providing its routine maintenance services to the ATMs, the ATM Service Provider will from time to time require access to the cash drawer
in the ATMs. 
  

					
	 	  	3	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 As a condition to providing the ATM Cash Services described herein, the ATM Service Provider shall execute the ATM
Service Provider Consent, substantially in the form of Exhibit C hereto. 
  
 You
shall give us exclusive dominion and control over the cash drawer in each ATM, provided that the Armored Carrier and ATM Service Provider shall have access to the ATM Cash but only to the extent necessary to carry out their duties as reflected in
this Agreement and subject to the terms and conditions of the Armored Carrier Consent and the ATM Service Provider Consent, respectively. You may have access to the remainder of the ATM for the purpose of performing routine maintenance or repairs;
but you may not have access to the cash drawer without the presence of our officer or agent. 
  
 Within 60 days following the date of this Amendment, you will cause a sticker to be affixed inside each ATM where the cash drawer of the ATM is accessed, which shall read as follows: 
  
 “ALL CASH IN THIS ATM IS THE SOLE AND EXCLUSIVE PROPERTY OF BANK OF
AMERICA.” 
  
 You shall ensure that each ATM maintains such a sticker so long
as this Amendment is in effect. 
  
 Assignment of Reimbursement Payments

  
 You irrevocably assign to us all of your right, title and interest in and
to the Reimbursements, and the right to receive such Reimbursements, in the amount of each and every withdrawal transaction of ATM Cash from an ATM. Such assignment includes all of your right with regard to all withdrawals of ATM Cash from the ATMs.

  
 As a condition to providing the ATM Cash Services herein, you agree to obtain
from the Processor its Consent to Assignment in substantially in the form of D-1 hereto. You shall use all commercially reasonable efforts to obtain from the Network its Consent to Assignment in the form of Exhibit D-2 hereto. You also agree that so
long as we provide the ATM Cash Services herein, you shall not change the Processor or Network for any ATM without our prior written consent and without first obtaining from that new Network or Processor a Consent to Assignment, as appropriate.

  
 Responsibility For Losses; Insurance 
  
 All risk of loss and liability with regard to the ATM Cash shall, as between you and us, be
your responsibility, including but not limited to loss due to theft or destruction of the ATM Cash, malfunction of equipment or malfeasance by any of your employees, agents or franchisees, including the Armored Carrier and the ATM Service Provider.
Such assumption of risks extends from the time currency identified for delivery to the ATMs is delivered to the Armored Carrier until the time it is dispensed from the ATM or redelivered to us by the Armored Carrier. 
  
 Without in any way limiting your assumption of risk as set forth in this Amendment, you shall
maintain in force at all times the following insurance to protect you and us from risk of loss. You shall similarly cause the Armored Carrier and ATM Service Provider to maintain in force at all times the insurance set forth below. You shall provide
us with certificates of insurance evidencing these coverages and, upon demand, certified copies of policies and endorsements. You shall name us as an additional insured on your Commercial General Liability and Umbrella Insurance using a form of
endorsement that 

  

					
	 	  	4	  	 Amendment to Treasury Services
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provides us with coverage coextensive to that obtained by you and all the insurers shall waive subrogation against us. Such insurance shall be in such form
and with a company or companies reasonably acceptable to us and shall require the insurers to provide us with at least 30 days’ prior written notice of any applicable cancellation, expiration or change in coverage under the policies. All
insurance carried by you, Armored Carrier and ATM Service Provider shall be primary without the right of contribution from any insurance carried by us. The policies shall be written for not less than the following coverage limits: 
  
 (i) Workers’ Compensation - statutory limits for state(s) in which your,
Armored Carrier’s and ATM Service Provider’s, as applicable, operations take place. 
  
 (ii) Employer’s Liability - minimum limits of $1,000,000 per occurrence. 
  
 (iii) Commercial General Liability, including bodily injury, property damage and personal injury, as provided in the Insurance Services Office (ISO) form
CG 00 01 dated 11/85 (or insurance company equivalent) with coverage of not less than $1,000,000 per occurrence. This insurance or self-insurance program shall include contractual liability insurance coverage. 
  
 (iv) Umbrella Liability coverage of not less than $2,000,0000 per occurrence.

  
 Representations and Warranties 
  
 In addition to the Representations and Warranties set forth in the Booklet, you represent
and warrant to us that: 
  
 You are the owner of each ATM; upon our purchase of
all currency contained in each ATM on the Transition Date, no other person has any current right, title or interest in or to any ATM. Your entering into this Amendment will not violate or otherwise conflict with the terms of any other agreement; no
consent of any other person is required for you to enter into this Amendment. 
  
 Each ATM has a separate locking compartment or cash drawer for storage of the ATM Cash which can be accessed by use of a passcode or key different from the passcode or key used to open the remainder of the ATM. Each ATM has a security
device which will identify the passcode of each person who accesses the cash drawer of the ATM. 
  
 With regard to each ATM, you maintain no keys or passcodes to open cash drawers to the ATMs, although the Armored Carrier and the ATM Service Provider shall have access to the cash drawers as set forth herein by
possessing such passcodes or keys. Except with regard to the Armored Carrier and ATM Service Provider, no employee, franchisee, subcontractor or agent of yours shall have access to any ATM Cash. 
  
 None of the contracts you have with the Armored Carrier, the ATM Service Provider or any
other person allow such person to successfully assert any interest of any kind, including but not limited to any lien, in or to the ATM Cash. 
  
 You agree that you shall be deemed to make and renew each representation and warranty in this Amendment in and as of each day on which the Service is provided.

  

					
	 	  	5	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 Fees 
  
 You shall pay the fees for the ATM Cash Services set forth herein as set forth on Exhibit E hereto. 
  
 Termination 
  
 We will provide you with the ATM Cash Services for a period of three years following the Transition Date. We will not have the right to terminate the ATM Cash Services
pursuant to the first sentence of the Termination section of the General Provisions portion of the Booklet. However, in addition to the matters listed in the Termination section of the General Provisions portion of the Booklet, each of the following
events will give us the right to immediately terminate the ATM Cash Services and this Amendment at any time: 
  
 (i) You enter into an agreement or arrangement with any person other than us (“New Provider”) for that person to supply currency to any ATM
while this Amendment is still in effect, provided that you may enter into such agreement with a New Provider which will take effect upon the termination of this Amendment and we will cooperate to facilitate the transfer of responsibility to such New
Provider in an orderly manner including the reconciliation of our ATM Cash upon such transfer; or 
  
 (ii) You breach the security of any ATM so that you obtain or can obtain access to any ATM Cash, or if you take any action or make any material
representation inconsistent with our sole and exclusive ownership of the ATM Cash, including but not limited to attempting to grant to others any right, title or interest in the ATM Cash. 
  
 General Matters 
  
 During the first three years we provide the ATM Cash Services to you, we may not change the terms and conditions upon which we provide the ATM Cash Services pursuant to
this Amendment, or the fees we charge you for the ATM Cash Services, without your prior written consent. You may assign all of your rights and obligations with respect to the ATM Cash Services to any corporation into which you convert or with which
you merge provided that the beneficial owners of your equity securities prior to such conversion or merger continue to hold a majority of the equity securities of the resulting or surviving corporation following such conversion or merger. To the
extent that the terms of this Amendment are inconsistent or conflict with the Booklet, the terms of this Amendment shall govern and control our provision of the ATM Cash Services. 
  
 Upon our written request and with the approval of the relevant contractor, we shall be provided a copy of each of your agreements with the
Network, the Processor, the Armored Carriers and the ATM Service Provider. 
  
 You
agree that we may review your books, records and ATMs to the extent necessary and appropriate to verify your compliance with this Amendment and that any review may occur at any time during your normal business hours upon reasonable advance notice.
You agree to provide to us, at no expense to us, such clerical and other assistance as may be reasonably requested with regard thereto. 
  
 Definitions 
  
 “Armored Carrier” means each of Bantek West, Inc. and Security Armored Express, Inc., with whom you have entered into contracts to supply each ATM with currency. 
  

					
	 	  	6	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 “ATM” means each automated teller machine owned or leased by you which is listed on Exhibit A hereto, as such
exhibit may be amended from time to time upon mutual agreement of you and us (which agreement shall not be unreasonably withheld). You and we agree that additions to or deletions from the list of ATMs shall be evidenced by restated versions of
Exhibit A which shall be effective as of the date of the revised Exhibit A after it is signed by both parties. Each such additional automated teller machine added to the list shall be considered an “ATM” for purposes of this Amendment.
Only cardholders from whom the Networks can obtain Reimbursement can receive cash from ATMs. 
  
 “ATM Cash” means the currency taken from our cash vaults and in the process of being delivered to an ATM by the Armored Carrier, and the currency maintained in each ATM before it is disbursed to a cardholder
making a withdrawal transaction, as more thoroughly described herein. ATM Cash is at all times owned by us. 
  
 “ATM Cash Services” means the ATM Cash Services provided by us to you by periodically stocking each ATM with ATM Cash, as further described in this Amendment. 
  
 “ATM Service Provider” means each of Diebold, Incorporated and Bantek Financial
Technology Services, with whom you have contracted to provide maintenance services with regard to each ATM. 
  
 “Network” means each electronic payment network with whom you have contracted to cause the appropriate amount of funds to be withdrawn from the relevant cardholder’s account and to make Reimbursement
payments for each withdrawal transaction. 
  
 “Processor” means USA
Payments or its subcontractors with whom you have contracted to cause transactions to be submitted to the Networks for authorization and settlement. 
  
 “Reimbursement” means the payment by a Network for each withdrawal of ATM Cash from an ATM. Each Reimbursement payment consists of the amount of ATM Cash
withdrawn from an ATM, plus the amount of any interchange or ATM usage fee (which we will deposit into the Settlement Account). 
  
 “Reconcilement Agent” means the company with whom we will have, by the Transition Date, contracted to provide reconciliation reports to us. 
  
 “Settlement Account” means account number 14591-21803, which you shall maintain
with us so long as we provide the ATM Cash Services herein. 
  
 “Transition
Date” means June 1, 2004 or such other date as you and we mutually agree upon. 
  

					
	 	  	7	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 IN WITNESS WHEREOF, each of the parties has caused this Amendment to be executed as the date first set
forth above by its duly authorized officer. 
  

									
	GLOBAL CASH ACCESS, L.L.C.	 	 	 	BANK OF AMERICA, N.A.
					
	By:	 	/s/    KIRK E. SANFORD        	 	 	 	By:	 	/s/    GEORGE W. SMITH        
	 Name:
	 	Kirk E. Sanford	 	 	 	 Name:
	 	George W. Smith
	 Title:
	 	CEO	 	 	 	 Title:
	 	President - Bank of America Nevada

  

					
	 	  	8	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 EXHIBIT A 
  

as of March 8, 2004 
  
 LIST OF ATMs 
  
 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	ALADDIN RESORT & CASINO	  	3060978	  	3667 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	ALADDIN RESORT & CASINO	  	3060979	  	3667 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	ALADDIN RESORT & CASINO	  	3060980	  	3667 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	ALADDIN RESORT & CASINO	  	3060981	  	3667 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	ALADDIN RESORT & CASINO	  	3060982	  	3667 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	ALADDIN RESORT & CASINO	  	3060983	  	3667 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	ARAPAHOE PARK	  	3060775	  	26000 EAST QUINCY	  	AURORA	  	CO	  	80016
						
	ARIZONA CHARLIE’S BOULDER	  	3060582	  	4575 BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	ARIZONA CHARLIE’S BOULDER	  	3060583	  	4575 BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	ARIZONA CHARLIE’S BOULDER	  	3060584	  	4575 BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	ARIZONA CHARLIE’S DECATUR	  	3060921	  	740 SOUTH DECATUR	  	LAS VEGAS	  	NV	  	89121
						
	ARIZONA CHARLIE’S DECATUR	  	3060922	  	740 SOUTH DECATUR	  	LAS VEGAS	  	NV	  	89121
						
	ARIZONA CHARLIE’S DECATUR	  	3060923	  	740 SOUTH DECATUR	  	LAS VEGAS	  	NV	  	89121
						
	ARIZONA CHARLIE’S DECATUR	  	3060924	  	740 SOUTH DECATUR	  	LAS VEGAS	  	NV	  	89121
						
	ARIZONA CHARLIE’S DECATUR	  	3060925	  	740 SOUTH DECATUR	  	LAS VEGAS	  	NV	  	89121
						
	ARTICHOKE JOE’S	  	3060722	  	659 HUNTINGTON AVE	  	SAN BRUNO	  	CA	  	94066
						
	ARTICHOKE JOE’S	  	3060820	  	659 HUNTINGTON AVE	  	SAN BRUNO	  	CA	  	94066
						
	ATLANTIC CITY HILTON	  	3061100	  	BOSTON & PACIFIC	  	ATLANTIC CITY	  	NJ	  	08401
						
	ATLANTIC CITY HILTON	  	3061101	  	BOSTON & PACIFIC	  	ATLANTIC CITY	  	NJ	  	08401
						
	ATLANTIC CITY HILTON	  	3061102	  	BOSTON & PACIFIC	  	ATLANTIC CITY	  	NJ	  	08401
						
	ATLANTIS HOTEL	  	3060171	  	3800 SOUTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	ATLANTIS HOTEL	  	3060172	  	3800 SOUTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	ATLANTIS HOTEL	  	3060173	  	3800 SOUTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	ATLANTIS HOTEL	  	3060174	  	3800 SOUTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	ATLANTIS HOTEL	  	3060175	  	3800 SOUTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	ATLANTIS HOTEL	  	3060176	  	3800 SOUTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	BALDINI’S GRAND PAVILIONCASINO	  	3060706	  	865 SOUTH ROCK BLVD	  	SPARKS	  	NV	  	89431
						
	BALDINI’S GRAND PAVILIONCASINO	  	3060707	  	865 SOUTH ROCK BLVD	  	SPARKS	  	NV	  	89431
						
	BALDINI’S GRAND PAVILIONCASINO	  	3060708	  	865 SOUTH ROCK BLVD	  	SPARKS	  	NV	  	89431
						
	BALLYS ATLANTIC CITY - PARK PLACE	  	3061103	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - PARK PLACE	  	3061104	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - PARK PLACE	  	3061105	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - PARK PLACE	  	3061106	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - WILD WILD WEST	  	3061107	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - WILD WILD WEST	  	3061108	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - WILD WILD WEST	  	3061109	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - WILD WILD WEST	  	3061110	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLYS ATLANTIC CITY - WILD WILD WEST	  	3061111	  	1900 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	BALLY’S LAS VEGAS	  	3060077	  	3645 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	BALLY’S LAS VEGAS	  	3060078	  	3645 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	BALLY’S LAS VEGAS	  	3060447	  	3645 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	BALLY’S LAS VEGAS	  	3060448	  	3645 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	BARBARY COAST	  	3060905	  	3595 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	BARBARY COAST	  	3060906	  	3595 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	BARLEY’S ACM	  	00616581	  	4500 EAST SUNSET	  	HENDERSON	  	NV	  	89014

  

					
	 	  	A-1	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	BARLEY’S ACM	  	00634303	  	4500 EAST SUNSET	  	HENDERSON	  	NV	  	89014
						
	BICYCLE CLUB CASINO	  	3060070	  	7301 EASTERN AVE	  	BELL GARDENS	  	CA	  	90201
						
	BICYCLE CLUB CASINO	  	3060079	  	7301 EASTERN AVE	  	BELL GARDENS	  	CA	  	90201
						
	BICYCLE CLUB CASINO	  	3060080	  	7301 EASTERN AVE	  	BELL GARDENS	  	CA	  	90201
						
	BICYCLE CLUB CASINO	  	3060081	  	7301 EASTERN AVE	  	BELL GARDENS	  	CA	  	90201
						
	BIGHORN CASINO	  	3060476	  	3016 EAST LAKE MEAD	  	LAS VEGAS	  	NV	  	89030
						
	BINION’S HORSESHOE	  	3060745	  	128 EAST FREMONT ST	  	LAS VEGAS	  	NV	  	89101
						
	BINION’S HORSESHOE	  	3060746	  	128 EAST FREMONT ST	  	LAS VEGAS	  	NV	  	89101
						
	BINION’S HORSESHOE	  	3060747	  	128 EAST FREMONT ST	  	LAS VEGAS	  	NV	  	89101
						
	BJ’S BINGO	  	3060701	  	4411 PACIFIC HWY EAST	  	FIFE	  	WA	  	98424
						
	BLACK OAK CASINO	  	3060366	  	19400 TUOLOMNE ROAD NORTH	  	TUOLOMNE	  	CA	  	95379
						
	BLACK OAK CASINO	  	3060367	  	19400 TUOLOMNE ROAD NORTH	  	TUOLOMNE	  	CA	  	95379
						
	BLACK OAK CASINO	  	3060368	  	19400 TUOLOMNE ROAD NORTH	  	TUOLOMNE	  	CA	  	95379
						
	BONANZA CASINO	  	3060502	  	4720 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89506
						
	BONANZA CASINO	  	3060618	  	4720 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89506
						
	BOOMTOWN	  	3060868	  	I-80 WEST AT EXIT 4 GARSON RD	  	VERDI	  	NV	  	89439
						
	BOOMTOWN	  	3060869	  	I-80 WEST AT EXIT 4 GARSON RD	  	VERDI	  	NV	  	89439
						
	BOOMTOWN	  	3060870	  	I-80 WEST AT EXIT 4 GARSON RD	  	VERDI	  	NV	  	89439
						
	BOOMTOWN	  	3060871	  	I-80 WEST AT EXIT 4 GARSON RD	  	VERDI	  	NV	  	89439
						
	BOOMTOWN	  	3060872	  	I-80 WEST AT EXIT 4 GARSON RD	  	VERDI	  	NV	  	89439
						
	BOOMTOWN	  	3060873	  	I-80 WEST AT EXIT 4 GARSON RD	  	VERDI	  	NV	  	89439
						
	BOOMTOWN BOSSIER CITY	  	3060692	  	300 RIVERSIDE DRIVE	  	BOSSIER CITY	  	LA	  	71115
						
	BOOMTOWN BOSSIER CITY	  	3060838	  	300 RIVERSIDE DRIVE	  	BOSSIER CITY	  	LA	  	71115
						
	BOOMTOWN BOSSIER CITY	  	3060865	  	300 RIVERSIDE DRIVE	  	BOSSIER CITY	  	LA	  	71115
						
	BORDERTOWN CASINO RESTAURANT	  	3060496	  	19575 NORTH HWY 395	  	RENO	  	NV	  	89506
						
	BORGATA ACM	  	00641977	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00641985	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00641993	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00642009	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00642017	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00642025	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00642033	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00642108	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00642116	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BORGATA ACM	  	00670042	  	1 BORGATA WAY	  	ATLANTIC CITY	  	NJ	  	08401
						
	BOULDER STATION	  	3060939	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060940	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060941	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060942	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060943	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060944	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060945	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060946	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060947	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060948	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BOULDER STATION	  	3060949	  	4111 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	BURRO INN	  	3060882	  	851 HWY 95 S	  	BEATTY	  	NV	  	89003
						
	CACTUS JACK’S CASINO	  	3060440	  	420 NORTH CARSON	  	CARSON CITY	  	NV	  	89701
						
	CAESAR’S PALACE ATLANTIC CITY	  	3061009	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	CAESAR’S PALACE ATLANTIC CITY	  	3061010	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	CAESAR’S PALACE ATLANTIC CITY	  	3061011	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	CAESAR’S PALACE ATLANTIC CITY	  	3061012	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401

  

					
	 	  	A-2	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

	CAESAR’S PALACE ATLANTIC CITY	  	3061013	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	CAESAR’S PALACE ATLANTIC CITY	  	3061014	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	CAESAR’S PALACE ATLANTIC CITY	  	3061015	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	CAESAR’S PALACE ATLANTIC CITY	  	3061017	  	2100 PACIFIC AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	CAESARS PALACE INDIANA	  	3060408	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060851	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060852	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060853	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060854	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060855	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060856	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060857	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060858	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3060859	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESARS PALACE INDIANA	  	3061118	  	11999 AVENUE OF THE EMPERORS	  	ELIZABETH	  	IN	  	47150
						
	CAESAR’S PALACE LAKE TAHOE	  	3060562	  	55 HWY 50	  	STATELINE	  	NV	  	89449
						
	CAESAR’S PALACE LAKE TAHOE	  	3060563	  	55 HWY 50	  	STATELINE	  	NV	  	89449
						
	CAESAR’S PALACE LAKE TAHOE	  	3060564	  	55 HWY 50	  	STATELINE	  	NV	  	89449
						
	CAESAR’S PALACE LAKE TAHOE	  	3060565	  	55 HWY 50	  	STATELINE	  	NV	  	89449
						
	CAESAR’S PALACE LAKE TAHOE	  	3060585	  	55 HWY 50	  	STATELINE	  	NV	  	89449
						
	CAESAR’S PALACE LAS VEGAS	  	3061002	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAESAR’S PALACE LAS VEGAS	  	3061005	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAESAR’S PALACE LAS VEGAS	  	3061006	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAESAR’S PALACE LAS VEGAS	  	3061003	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAESAR’S PALACE LAS VEGAS	  	3061004	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAESAR’S PALACE LAS VEGAS	  	3061079	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAESAR’S PALACE LAS VEGAS	  	3061122	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAESAR’S PALACE LAS VEGAS	  	3061123	  	3570 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CAL NEVA LODGE	  	3060663	  	2 STATELINE ROAD	  	CRYSTAL BAY	  	NV	  	89402
						
	CALIFORNIA GRAND CASINO	  	3060749	  	5867 PACHECO BLVD	  	PACHECO	  	CA	  	94553
						
	CALIFORNIA HOTEL	  	3060082	  	12 OGDEN AVE	  	LAS VEGAS	  	NV	  	89125
						
	CALIFORNIA HOTEL	  	3060083	  	12 OGDEN AVE	  	LAS VEGAS	  	NV	  	89125
						
	CALIFORNIA HOTEL	  	3060084	  	12 OGDEN AVE	  	LAS VEGAS	  	NV	  	89125
						
	CARSON NUGGET	  	3060658	  	507 NORTH CARSON	  	CARSON CITY	  	NV	  	89702
						
	CARSON NUGGET	  	3060659	  	507 NORTH CARSON	  	CARSON CITY	  	NV	  	89702
						
	CARSON VALLEY INN	  	3060185	  	1627 HIGHWAY 395 NORTH	  	MINDEN	  	NV	  	89423
						
	CARSON VALLEY INN	  	3060309	  	1627 HIGHWAY 395 NORTH	  	MINDEN	  	NV	  	89423
						
	CASABLANCA	  	3060750	  	915 MESQUITE	  	MESQUITE	  	NV	  	89024
						
	CASABLANCA	  	3060751	  	915 MESQUITE	  	MESQUITE	  	NV	  	89024
						
	CASINO ARIZONA - P1 ACM	  	00622639	  	524 NORTH 92ND STREET	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - P1 ACM	  	00622704	  	524 NORTH 92ND STREET	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - P1 ACM	  	00622779	  	524 NORTH 92ND STREET	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - P1 ACM	  	00638338	  	524 NORTH 92ND STREET	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - P1 ACM	  	00638403	  	524 NORTH 92ND STREET	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - P1 ACM	  	00638478	  	524 NORTH 92ND STREET	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - P1 ACM	  	00655720	  	524 NORTH 92ND STREET	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - T2 ACM	  	00622845	  	101 HIGHWAY AND INDIAN BEND	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - T2 ACM	  	00626606	  	101 HIGHWAY AND INDIAN BEND	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - T2 ACM	  	00626671	  	101 HIGHWAY AND INDIAN BEND	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - T2 ACM	  	00655589	  	101 HIGHWAY AND INDIAN BEND	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO ARIZONA - T2 ACM	  	00655613	  	101 HIGHWAY AND INDIAN BEND	  	SCOTTSDALE	  	AZ	  	85256
						
	CASINO DEL SOL ACM	  	00653790	  	5655 WEST VALENCIA ROAD	  	TUCSON	  	AZ	  	85746

  

					
	 	  	A-3	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

	CASINO DEL SOL ACM	  	00653873	  	5655 WEST VALENCIA ROAD	  	TUCSON	  	AZ	  	85746
						
	CASINO DEL SOL ACM	  	00654012	  	5655 WEST VALENCIA ROAD	  	TUCSON	  	AZ	  	85746
						
	CASINO DEL SOL ACM	  	00654087	  	5655 WEST VALENCIA ROAD	  	TUCSON	  	AZ	  	85746
						
	CASINO DEL SOL ACM	  	00654418	  	5655 WEST VALENCIA ROAD	  	TUCSON	  	AZ	  	85746
						
	CASINO FANDAGO	  	3061074	  	3800 SOUTH CARSON	  	CARSON CITY	  	NV	  	89701
						
	CASINO MAGIC BILOXI	  	3060441	  	195 BEACH RD	  	BILOXI	  	MS	  	39530
						
	CASINO MAGIC BILOXI	  	3060442	  	195 BEACH RD	  	BILOXI	  	MS	  	39530
						
	CASINO MAGIC BILOXI	  	3060443	  	195 BEACH RD	  	BILOXI	  	MS	  	39530
						
	CASINO MAGIC BILOXI	  	3061050	  	195 BEACH RD	  	BILOXI	  	MS	  	39530
						
	CASINO MONTELAGO	  	3061051	  	8 STRATA D’VILLAGIO	  	HENDERSON	  	NV	  	89011
						
	CASINO MONTELAGO	  	3061052	  	8 STRATA D’VILLAGIO	  	HENDERSON	  	NV	  	89011
						
	CASINO PAUMA	  	3060369	  	777 PAUMA RESERVATION BLVD	  	PAUMA VALLEY	  	CA	  	92061
						
	CASINO PAUMA	  	3060370	  	777 PAUMA RESERVATION BLVD	  	PAUMA VALLEY	  	CA	  	92061
						
	CASINO QUEEN ACM	  	00632489	  	200 SOUTH FRONT ST	  	EAST ST LOUIS	  	IL	  	62201
						
	CASINO QUEEN ACM	  	00632554	  	200 SOUTH FRONT ST	  	EAST ST LOUIS	  	IL	  	62201
						
	CASINO QUEEN ACM	  	00632638	  	200 SOUTH FRONT ST	  	EAST ST LOUIS	  	IL	  	62201
						
	CASINO QUEEN ACM	  	00632703	  	200 SOUTH FRONT ST	  	EAST ST LOUIS	  	IL	  	62201
						
	CASINO QUEEN ACM	  	00632786	  	200 SOUTH FRONT ST	  	EAST ST LOUIS	  	IL	  	62201
						
	CASINO ROCK ISLAND	  	3060072	  	1735 FIRST AVE	  	ROCK ISLAND	  	IL	  	61201
						
	CASINO ROCK ISLAND	  	3060073	  	1735 FIRST AVE	  	ROCK ISLAND	  	IL	  	61201
						
	CASINO ROCK ISLAND	  	3060074	  	1735 FIRST AVE	  	ROCK ISLAND	  	IL	  	61201
						
	CASINO ROYALE	  	3060186	  	3411 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CASUARINA CASINO RESORT	  	3061086	  	160 EAST FLAMINGO ROAD	  	LAS VEGAS	  	NV	  	89109
						
	CHER-AE HEIGHTS	  	3060816	  	27 SCENIC DRIVE	  	TRINIDAD	  	CA	  	95570
						
	CHER-AE HEIGHTS	  	3060817	  	27 SCENIC DRIVE	  	TRINIDAD	  	CA	  	95570
						
	CHINOOK WINDS GAMING	  	3060778	  	1500 NW 40TH ST	  	LINCOLN CITY	  	OR	  	97367
						
	CHINOOK WINDS GAMING	  	3060779	  	1500 NW 40TH ST	  	LINCOLN CITY	  	OR	  	97367
						
	CHINOOK WINDS GAMING	  	3060780	  	1500 NW 40TH ST	  	LINCOLN CITY	  	OR	  	97367
						
	CHINOOK WINDS GAMING	  	3060781	  	1500 NW 40TH ST	  	LINCOLN CITY	  	OR	  	97367
						
	CHINOOK WINDS GAMING	  	3060782	  	1500 NW 40TH ST	  	LINCOLN CITY	  	OR	  	97367
						
	CHUKCHANSI GOLD RESORT & CASINO ACM	  	00651240	  	46622 ROAD 417	  	COARSE GOLD	  	CA	  	93614
						
	CHUKCHANSI GOLD RESORT & CASINO ACM	  	00651315	  	46622 ROAD 417	  	COARSE GOLD	  	CA	  	93614
						
	CHUKCHANSI GOLD RESORT & CASINO ACM	  	00651406	  	46622 ROAD 417	  	COARSE GOLD	  	CA	  	93614
						
	CHUKCHANSI GOLD RESORT & CASINO ACM	  	00651471	  	46622 ROAD 417	  	COARSE GOLD	  	CA	  	93614
						
	CHUKCHANSI GOLD RESORT & CASINO ACM	  	00651547	  	46622 ROAD 417	  	COARSE GOLD	  	CA	  	93614
						
	CHUKCHANSI GOLD RESORT & CASINO ACM	  	00651612	  	46622 ROAD 417	  	COARSE GOLD	  	CA	  	93614
						
	CIRCUS CIRCUS LAS VEGAS	  	3060888	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS LAS VEGAS	  	3060889	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS LAS VEGAS	  	3060890	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS LAS VEGAS	  	3060891	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS LAS VEGAS	  	3060892	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS LAS VEGAS	  	3060893	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS LAS VEGAS	  	3060894	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS LAS VEGAS	  	3060887	  	2880 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	CIRCUS CIRCUS RENO	  	3060709	  	500 NORTH SIERRA	  	RENO	  	NV	  	89503
						
	CIRCUS CIRCUS RENO	  	3060710	  	500 NORTH SIERRA	  	RENO	  	NV	  	89503
						
	CIRCUS CIRCUS RENO	  	3060711	  	500 NORTH SIERRA	  	RENO	  	NV	  	89503
						
	CIRCUS CIRCUS RENO	  	3060712	  	500 NORTH SIERRA	  	RENO	  	NV	  	89503
						
	CIRCUS CIRCUS RENO	  	3060713	  	500 NORTH SIERRA	  	RENO	  	NV	  	89503
						
	CIRCUS CIRCUS RENO	  	3060714	  	500 NORTH SIERRA	  	RENO	  	NV	  	89503
						
	CIRCUS CIRCUS RENO	  	3060715	  	500 NORTH SIERRA	  	RENO	  	NV	  	89503
						
	CLIFF CASTLE	  	3060841	  	555 MIDDLE VERDE RD	  	CAMP VERDE	  	AZ	  	86322

  

					
	 	  	A-4	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 

											
						
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	CLIFF CASTLE	  	3060842	  	555 MIDDLE VERDE RD	  	CAMP VERDE	  	AZ	  	86322
						
	CLIFF CASTLE	  	3060843	  	555 MIDDLE VERDE RD	  	CAMP VERDE	  	AZ	  	86322
						
	CLUB CAL NEVA	  	3060187	  	38 EAST SECOND	  	RENO	  	NV	  	89505
						
	CLUB CAL NEVA	  	3060188	  	38 EAST SECOND	  	RENO	  	NV	  	89505
						
	CLUB CAL NEVA	  	3060189	  	38 EAST SECOND	  	RENO	  	NV	  	89505
						
	CLUB CAL NEVA VIRGINIAN	  	3060191	  	140 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89505
						
	COEUR D’ALENE TRIBAL BINGO / CASINO	  	3060381	  	27068 US HWY 95	  	WORLEY	  	ID	  	83875
						
	COEUR D’ALENE TRIBAL BINGO / CASINO	  	3060382	  	27068 US HWY 95	  	WORLEY	  	ID	  	83875
						
	COEUR D’ALENE TRIBAL BINGO / CASINO	  	3060383	  	27068 US HWY 95	  	WORLEY	  	ID	  	83875
						
	COEUR D’ALENE TRIBAL BINGO / CASINO	  	3060384	  	27068 US HWY 95	  	WORLEY	  	ID	  	83875
						
	COEUR D’ALENE TRIBAL BINGO / CASINO	  	3060385	  	27068 US HWY 95	  	WORLEY	  	ID	  	83875
						
	COLORADO BELLE	  	3060932	  	2100 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	COLORADO BELLE	  	3060933	  	2100 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	COLORADO BELLE	  	3060934	  	2100 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	COLORADO BELLE	  	3060935	  	2100 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	COLORADO CENTRAL STATION	  	3060755	  	340 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	COLORADO CENTRAL STATION	  	3060756	  	340 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	COLORADO CENTRAL STATION	  	3060757	  	340 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	COLORADO CENTRAL STATION	  	3060758	  	340 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	COULEE DAM CASINO	  	3060699	  	515 BIRCH ST	  	COULEE DAM	  	WA	  	99155
						
	CRYSTAL PARK	  	3060850	  	123 EAST ARTESIA	  	COMPTON	  	CA	  	 
						
	DANNY’S SLOT COUNTRY	  	3060474	  	4213 SOUTH BOULDER HWY	  	LAS VEGAS	  	NV	  	89121
						
	DAYTON DEPOT	  	3060479	  	755 HWY 50 E	  	DAYTON	  	NV	  	89403
						
	EDGEWATER HOTEL	  	3060936	  	2020 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	EDGEWATER HOTEL	  	3060937	  	2020 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	EDGEWATER HOTEL	  	3060938	  	2020 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	EL CORTEZ HOTEL	  	3060876	  	600 EAST FREMONT	  	LAS VEGAS	  	NV	  	89101
						
	EL CORTEZ HOTEL	  	3060877	  	600 EAST FREMONT	  	LAS VEGAS	  	NV	  	89101
						
	EL CORTEZ HOTEL	  	3060878	  	600 EAST FREMONT	  	LAS VEGAS	  	NV	  	89101
						
	ELDORADO CASINO	  	3060085	  	140 SOUTH WATER STREET	  	HENDERSON	  	NV	  	89105
						
	ELDORADO CASINO	  	3060086	  	140 SOUTH WATER STREET	  	HENDERSON	  	NV	  	89105
						
	ELDORADO HOTEL & CASINO	  	3060635	  	345 N VIRGINIA STREET	  	RENO	  	NV	  	89510
						
	ELDORADO HOTEL & CASINO	  	3060636	  	345 N VIRGINIA STREET	  	RENO	  	NV	  	89510
						
	ELDORADO HOTEL & CASINO	  	3060637	  	345 N VIRGINIA STREET	  	RENO	  	NV	  	89510
						
	ELDORADO HOTEL & CASINO	  	3060638	  	345 N VIRGINIA STREET	  	RENO	  	NV	  	89510
						
	ELDORADO HOTEL & CASINO	  	3060639	  	345 N VIRGINIA STREET	  	RENO	  	NV	  	89510
						
	ELDORADO HOTEL & CASINO	  	3060640	  	345 N VIRGINIA STREET	  	RENO	  	NV	  	89510
						
	EUREKA CASINO	  	3060664	  	595 EAST SAHARA AVE	  	LAS VEGAS	  	NV	  	89104
						
	EUREKA CASINO HOTEL	  	3060752	  	201 MESA BLVD	  	MESQUITE	  	NV	  	89027
						
	EUREKA CASINO HOTEL	  	3061083	  	201 MESA BLVD	  	MESQUITE	  	NV	  	89027
						
	EXCALIBUR	  	3061032	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	EXCALIBUR	  	3061033	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	EXCALIBUR	  	3061034	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	EXCALIBUR	  	3061035	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	EXCALIBUR	  	3061036	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	EXCALIBUR	  	3061037	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	EXCALIBUR	  	3061038	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	EXCALIBUR	  	3061039	  	3850 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FIESTA CASINO HOTEL	  	3060087	  	2400 NORTH RANCHO DRIVE	  	N LAS VEGAS	  	NV	  	89130
						
	FIESTA CASINO HOTEL	  	3060088	  	2400 NORTH RANCHO DRIVE	  	N LAS VEGAS	  	NV	  	89130
						
	FIESTA CASINO HOTEL	  	3060089	  	2400 NORTH RANCHO DRIVE	  	N LAS VEGAS	  	NV	  	89130
						
	FIESTA CASINO HOTEL	  	3060090	  	2400 NORTH RANCHO DRIVE	  	N LAS VEGAS	  	NV	  	89130

  

					
	 	  	A-5	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 

											
						
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	FIESTA CASINO HOTEL	  	3060091	  	2400 NORTH RANCHO DRIVE	  	N LAS VEGAS	  	NV	  	89130
						
	FIESTA HENDERSON	  	3060269	  	777 WEST LAKE MEAD DRIVE	  	HENDERSON	  	NV	  	89015
						
	FIESTA HENDERSON	  	3060270	  	777 WEST LAKE MEAD DRIVE	  	HENDERSON	  	NV	  	89015
						
	FIESTA HENDERSON	  	3060271	  	777 WEST LAKE MEAD DRIVE	  	HENDERSON	  	NV	  	89015
						
	FIESTA HENDERSON	  	3060272	  	777 WEST LAKE MEAD DRIVE	  	HENDERSON	  	NV	  	89015
						
	FIESTA HENDERSON	  	3060273	  	777 WEST LAKE MEAD DRIVE	  	HENDERSON	  	NV	  	89015
						
	FINGER LAKES RACE CO	  	3060010	  	5857 ROUTE 96	  	FARMINGTON	  	NY	  	14425
						
	FITZGERALD’S RENO	  	3060194	  	255 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89504
						
	FITZGERALD’S RENO	  	3060195	  	255 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89504
						
	FITZGERALD’S RENO	  	3060196	  	255 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89504
						
	FLAMINGO HILTON LAS VEGAS	  	3060973	  	3555 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FLAMINGO HILTON LAS VEGAS	  	3060974	  	3555 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FLAMINGO HILTON LAS VEGAS	  	3060975	  	3555 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FLAMINGO HILTON LAS VEGAS	  	3060976	  	3555 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FLAMINGO HILTON LAS VEGAS	  	3060977	  	3555 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FLAMINGO HILTON LAS VEGAS	  	3061117	  	3555 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FLAMINGO HILTON LAUGHLIN	  	3060792	  	1900 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	FLAMINGO HILTON LAUGHLIN	  	3060793	  	1900 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	FLAMINGO HILTON LAUGHLIN	  	3060794	  	1900 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	FLAMINGO HILTON LAUGHLIN	  	3060795	  	1900 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	FOOTHILL RANCH	  	3060766	  	3377 NORTH RANCHO	  	LAS VEGAS	  	NV	  	89130
						
	FOOTHILLS EXPRESS	  	3060767	  	714 NORTH RAINBOW	  	LAS VEGAS	  	NV	  	89129
						
	FORT MCDOWELL	  	3060641	  	10424 FORT MCDOWELL RD	  	SCOTTSDALE	  	AZ	  	85269
						
	FORT MCDOWELL	  	3060642	  	10424 FORT MCDOWELL RD	  	SCOTTSDALE	  	AZ	  	85269
						
	FORT MCDOWELL	  	3060643	  	10424 FORT MCDOWELL RD	  	SCOTTSDALE	  	AZ	  	85269
						
	FORT MCDOWELL ACM	  	00669358	  	10424 FORT MCDOWELL RD	  	SCOTTSDALE	  	AZ	  	85269
						
	FORT MCDOWELL ACM	  	00669424	  	10424 FORT MCDOWELL RD	  	SCOTTSDALE	  	AZ	  	85269
						
	FORTUNE VALLEY	  	3060110	  	321 GREGORY STREET	  	CENTRAL CITY	  	CO	  	80427
						
	FORTUNE VALLEY	  	3060112	  	321 GREGORY STREET	  	CENTRAL CITY	  	CO	  	80427
						
	FORTUNE VALLEY	  	3060113	  	321 GREGORY STREET	  	CENTRAL CITY	  	CO	  	80427
						
	FOUR WAY CASINO	  	3060533	  	I-80 AT HWY 93	  	WELLS	  	NV	  	89835
						
	FOXWOODS ACM	  	00643015	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00643080	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00643155	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00643973	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644047	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644112	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644187	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644252	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644328	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644393	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644468	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644534	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644609	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644674	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644740	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644815	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644880	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00644955	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645028	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645093	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645168	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338

  

					
	 	  	A-6	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	FOXWOODS ACM	  	00645234	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645309	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645374	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645515	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645580	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645655	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645721	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645796	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645861	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00645937	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00646000	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00646075	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00646158	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00646224	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00646299	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FOXWOODS ACM	  	00656199	  	39 NORWICH WESTERLY RD	  	MASHANTUCKET	  	CT	  	06338
						
	FREMONT HOTEL & CASINO	  	3060092	  	200 EAST FREMONT STREET	  	LAS VEGAS	  	NV	  	89101
						
	FREMONT HOTEL & CASINO	  	3060093	  	200 EAST FREMONT STREET	  	LAS VEGAS	  	NV	  	89101
						
	FRONTIER HOTEL	  	3060197	  	3120 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FRONTIER HOTEL	  	3060198	  	3120 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	FRONTIER HOTEL	  	3060199	  	3120 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	GARDEN CITY CASINO	  	3060726	  	360 S SARATOGA AVE	  	SAN JOSE	  	CA	  	94596
						
	GCA - CENTRAL CREDIT	  	3060791	  	3525 EAST POST ROAD	  	LAS VEGAS	  	NV	  	89120
						
	GCA SUITE 120	  	3060353	  	3525 EAST POST ROAD	  	LAS VEGAS	  	NV	  	89120
						
	GILA RIVER LONE BUTTE ACM	  	00629378	  	1200 SOUTH 56TH STREET	  	CHANDLER	  	AZ	  	85226
						
	GILA RIVER LONE BUTTE ACM	  	00629444	  	1200 SOUTH 56TH STREET	  	CHANDLER	  	AZ	  	85226
						
	GILA RIVER LONE BUTTE ACM	  	00629519	  	1200 SOUTH 56TH STREET	  	CHANDLER	  	AZ	  	85226
						
	GILA RIVER WILDHORSE PASS ACM	  	00629584	  	5550 WILD HORSE PASS	  	CHANDLER	  	AZ	  	85226
						
	GILA RIVER WILDHORSE PASS ACM	  	00629998	  	5550 WILD HORSE PASS	  	CHANDLER	  	AZ	  	85226
						
	GILA RIVER WILDHORSE PASS ACM	  	00630061	  	5550 WILD HORSE PASS	  	CHANDLER	  	AZ	  	85226
						
	GILA RIVER WILDHORSE PASS ACM	  	00630137	  	5550 WILD HORSE PASS	  	CHANDLER	  	AZ	  	85226
						
	GILA RIVER WILDHORSE PASS ACM	  	00630202	  	5550 WILD HORSE PASS	  	CHANDLER	  	AZ	  	85226
						
	GILPIN HOTEL	  	3060343	  	111 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	GILPIN HOTEL	  	3060344	  	111 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	GOLD COAST	  	3060926	  	4000 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	GOLD COAST	  	3060927	  	4000 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	GOLD COAST	  	3060929	  	4000 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	GOLD COAST	  	3060930	  	4000 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	GOLD COAST	  	3060931	  	4000 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	GOLD COUNTRY MOTOR INN	  	3060532	  	2050 IDAHO ST	  	ELKO	  	NV	  	89801
						
	GOLD DUST WEST	  	3060200	  	444 VINE STREET	  	RENO	  	NV	  	89503
						
	GOLD DUST WEST	  	3060340	  	444 VINE STREET	  	RENO	  	NV	  	89503
						
	GOLD RANCH	  	3060492	  	I-80 AT HWY 40	  	VERDI	  	NV	  	89439
						
	GOLD RUSH	  	3060460	  	1195 WEST SUNSET RD	  	HENDERSON	  	NV	  	89015
						
	GOLD SPIKE	  	3060860	  	400 EAST OGDEN	  	LAS VEGAS	  	NV	  	89101
						
	GOLD STRIKE	  	3060844	  	 #1 MAIN STREET -I - 15 SOUTH AT
 JEAN
	  	JEAN	  	NV	  	89019
						
	GOLD STRIKE	  	3060845	  	#1 MAIN STREET - I -15 SOUTH AT JEAN	  	JEAN	  	NV	  	89019
						
	GOLD STRIKE - MOBIL STATION	  	3060846	  	#1 MAIN STREET - I-15 SOUTH AT JEAN	  	JEAN	  	NV	  	89019
						
	GOLD STRIKE MISSISSIPPI ACM	  	00603977	  	1010 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	GOLD STRIKE MISSISSIPPI ACM	  	00604041	  	1010 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	GOLD STRIKE MISSISSIPPI ACM	  	00604116	  	1010 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	GOLD STRIKE MISSISSIPPI ACM	  	00604181	  	1010 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664

  

					
	 	  	A-7	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	GOLD STRIKE MISSISSIPPI ACM	  	00604256	  	1010 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	GOLD STRIKE MISSISSIPPI ACM	  	00604322	  	1010 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	GOLD STRIKE MISSISSIPPI ACM	  	00604397	  	1010 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	GOLDEN GATE	  	3060438	  	1 EAST FREMONT ST	  	LAS VEGAS	  	NV	  	89101
						
	GOLDEN PHOENIX	  	3060808	  	255 NORTH SIERRA	  	RENO	  	NV	  	89501
						
	GOLDEN PHOENIX ANNEX	  	3060807	  	243 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	GRAND VICTORIA ELGIN ACM	  	00604652	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00604942	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605006	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605071	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605147	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605212	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605287	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605352	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605428	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605493	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00605568	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00617712	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GRAND VICTORIA ELGIN ACM	  	00617787	  	250 SOUTH GROVE AVE	  	ELGIN	  	IL	  	60120
						
	GREEKTOWN ACM	  	00603506	  	555 EAST LAFAYETTE BLVD	  	DETROIT	  	MI	  	48226
						
	GREEKTOWN ACM	  	00603571	  	555 EAST LAFAYETTE BLVD	  	DETROIT	  	MI	  	48226
						
	GREEKTOWN ACM	  	00603647	  	555 EAST LAFAYETTE BLVD	  	DETROIT	  	MI	  	48226
						
	GREEKTOWN ACM	  	00603712	  	555 EAST LAFAYETTE BLVD	  	DETROIT	  	MI	  	48226
						
	GREEKTOWN ACM	  	00603787	  	555 EAST LAFAYETTE BLVD	  	DETROIT	  	MI	  	48226
						
	GREEKTOWN ACM	  	00603852	  	555 EAST LAFAYETTE BLVD	  	DETROIT	  	MI	  	48226
						
	GREEN VALLEY RANCH	  	3060427	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	GREEN VALLEY RANCH	  	3060428	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	GREEN VALLEY RANCH	  	3060429	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	GREEN VALLEY RANCH	  	3060430	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	GREEN VALLEY RANCH	  	3060431	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	GREEN VALLEY RANCH	  	3060432	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	GREEN VALLEY RANCH	  	3060444	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	GREEN VALLEY RANCH	  	3060446	  	2300 PASEO VERDE DR	  	HENDERSON	  	NV	  	89012
						
	HACIENDA	  	3060883	  	US HWY 93	  	BOULDER CITY	  	NV	  	89005
						
	HARD ROCK	  	3060094	  	4455 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	HARD ROCK	  	3060095	  	4455 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	HARD ROCK	  	3060096	  	4455 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	HARD ROCK	  	3060097	  	4455 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	HARD ROCK	  	3060098	  	4455 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	HARD ROCK	  	3060099	  	4455 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	HARRAH’S AK-CHIN	  	3060201	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3060202	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3060203	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3060204	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3060205	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3061007	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3061008	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3061075	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S AK-CHIN	  	3061084	  	15406 MARICOPA RD	  	MARICOPA	  	AZ	  	85239
						
	HARRAH’S BILL’S CASINO	  	3060178	  	27 HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S BILL’S CASINO	  	3060179	  	27 HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S HARVEYS LAKE TAHOE	  	3060104	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449

  

					
	 	  	A-8	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	HARRAH’S HARVEYS LAKE TAHOE	  	3060105	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S HARVEYS LAKE TAHOE	  	3060106	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S HARVEYS LAKE TAHOE	  	3060107	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S HARVEYS LAKE TAHOE	  	3060108	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S HARVEYS LAKE TAHOE	  	3061099	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S JOLIET	  	3060520	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060521	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060522	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060523	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060524	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060525	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060526	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060527	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S JOLIET	  	3060528	  	150 NORTH SCOTT STREET	  	JOLIET	  	IL	  	60432
						
	HARRAH’S LAKE CHARLES	  	3060319	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060320	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060321	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060322	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060323	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060324	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060325	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060326	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060327	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE CHARLES	  	3060328	  	800 BILBO STREET	  	LAKE CHARLES	  	LA	  	70601
						
	HARRAH’S LAKE TAHOE	  	3060220	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAKE TAHOE	  	3060221	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAKE TAHOE	  	3060222	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAKE TAHOE	  	3060223	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAKE TAHOE	  	3060224	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAKE TAHOE	  	3060226	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAKE TAHOE	  	3060227	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAKE TAHOE	  	3060228	  	HIGHWAY 50	  	STATELINE	  	NV	  	89449
						
	HARRAH’S LAS VEGAS ACM	  	00595116	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00595124	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00601203	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00638619	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00638684	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00638916	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00639013	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00639278	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00639344	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAS VEGAS ACM	  	00639450	  	3475 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89101
						
	HARRAH’S LAUGHLIN	  	3060100	  	2900 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	HARRAH’S LAUGHLIN	  	3060101	  	2900 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	HARRAH’S LAUGHLIN	  	3060102	  	2900 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	HARRAH’S LAUGHLIN	  	3060103	  	2900 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	HARRAH’S LAUGHLIN CONVENIENCE STORE	  	3060835	  	2905 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	HARRAH’S NORTH KANSAS CITY	  	3060386	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060387	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060388	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060389	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060390	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116

  

					
	 	  	A-9	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	HARRAH’S NORTH KANSAS CITY	  	3060391	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060392	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060393	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060394	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060395	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060396	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3060397	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S NORTH KANSAS CITY	  	3061116	  	1 RIVERBOAT DR	  	N KANSAS CITY	  	MO	  	64116
						
	HARRAH’S RENO	  	3060215	  	216 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	HARRAH’S RENO	  	3060216	  	216 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	HARRAH’S RENO	  	3060217	  	216 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	HARRAH’S RENO	  	3060218	  	216 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	HARRAH’S RENO	  	3060219	  	216 NORTH VIRGINIA STREET	  	RENO	  	NV	  	89501
						
	HARRAH’S RINCON CASINO ACM	  	00599332	  	33750 VALLEY CENTER RD	  	VALLEY
CENTER	  	CA	  	92082
						
	HARRAH’S RINCON CASINO ACM	  	00599340	  	33750 VALLEY CENTER RD	  	VALLEY
CENTER	  	CA	  	92082
						
	HARRAH’S RINCON CASINO ACM	  	00599357	  	33750 VALLEY CENTER RD	  	VALLEY
CENTER	  	CA	  	92082
						
	HARRAH’S RINCON CASINO ACM	  	00599423	  	33750 VALLEY CENTER RD	  	VALLEY
CENTER	  	CA	  	92082
						
	HARRAH’S RINCON CASINO ACM	  	00599498	  	33750 VALLEY CENTER RD	  	VALLEY
CENTER	  	CA	  	92082
						
	HARRAH’S RINCON CASINO ACM	  	00599621	  	33750 VALLEY CENTER RD	  	VALLEY
CENTER	  	CA	  	92082
						
	HARRAH’S RIO SUITES RESORT & CASINO	  	3060612	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637421	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637496	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637561	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637660	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637769	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637835	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637900	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00637975	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00638049	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S RIO SUITES RESORT & CASINO ACM	  	00638114	  	3700 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	HARRAH’S SHOWBOAT ATLANTIC CITY	  	3060542	  	800 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	HARRAH’S SHOWBOAT ATLANTIC CITY	  	3060543	  	800 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	HARRAH’S SHOWBOAT ATLANTIC CITY	  	3060544	  	800 BOARDWALK	  	ATLANTIC CITY	  	NJ	  	08401
						
	HARRAH’S ST LOUIS	  	3060451	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060452	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060454	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060671	  	777 CASINO CENTER DR STE 1	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060673	  	777 CASINO CENTER DR STE 1	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060674	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060675	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060676	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060677	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060678	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060679	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S ST LOUIS	  	3060680	  	777 CASINO CENTER DR	  	MARYLAND
HEIGHTS	  	MO	  	63043
						
	HARRAH’S TUNICA ACM	  	00636977	  	1100 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HARRAH’S TUNICA ACM	  	00637041	  	1100 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HARRAH’S TUNICA ACM	  	00637116	  	1100 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HARRAH’S TUNICA ACM	  	00637181	  	1100 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HAVANA PARK RACETRACK	  	3060777	  	10750 EAST ILIFF AVE	  	AURORA	  	CO	  	80014
						
	HAVASU LANDING	  	3060685	  	1 MAIN STREET	  	LAKE HAVASU	  	CA	  	92363
						
	HAWAIIAN GARDENS	  	3060681	  	11871 CARSON ST	  	HAWAIIAN
GARDENS	  	CA	  	90716

  

					
	 	  	A-10	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	HAWAIIAN GARDENS	  	3060682	  	11871 CARSON ST	  	HAWAIIAN
GARDENS	  	CA	  	90716
						
	HAWAIIAN GARDENS	  	3060683	  	11871 CARSON ST	  	HAWAIIAN
GARDENS	  	CA	  	90716
						
	HAWAIIAN GARDENS	  	3060684	  	11871 CARSON ST	  	HAWAIIAN
GARDENS	  	CA	  	90716
						
	HOBEY’S	  	3060491	  	5795 SUN VALLEY DR	  	SUN VALLEY	  	NV	  	89433
						
	HOLLYWOOD CASINO TUNICA	  	3060590	  	1150 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HOLLYWOOD CASINO TUNICA	  	3060591	  	1150 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HOLLYWOOD CASINO TUNICA	  	3060592	  	1150 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HOLLYWOOD CASINO TUNICA	  	3060593	  	1150 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HOLLYWOOD CASINO TUNICA	  	3060594	  	1150 CASINO STRIP BLVD	  	ROBINSONVILLE	  	MS	  	38664
						
	HOLLYWOOD PARK ACM	  	00632125	  	3883 W CENTURY BLVD	  	INGLEWOOD	  	CA	  	90301
						
	HOLLYWOOD PARK ACM	  	00632190	  	3883 W CENTURY BLVD	  	INGLEWOOD	  	CA	  	90301
						
	HOLLYWOOD PARK ACM	  	00632265	  	3883 W CENTURY BLVD	  	INGLEWOOD	  	CA	  	90301
						
	HORSESHOE ROBINSONVILLE	  	3060907	  	1021 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	HORSESHOE ROBINSONVILLE	  	3060908	  	1021 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	HORSESHOE ROBINSONVILLE	  	3060909	  	1021 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	HORSESHOE ROBINSONVILLE	  	3060910	  	1021 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	HORSESHOE ROBINSONVILLE	  	3060911	  	1021 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	HORSESHOE ROBINSONVILLE	  	3060912	  	1021 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	HORSESHOE ROBINSONVILLE	  	3060913	  	1021 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	HOTEL SAN REMO	  	3060736	  	115 EAST TROPICANA	  	LAS VEGAS	  	NV	  	89109
						
	HUSTLER	  	3060732	  	1000 WEST RODONDO BEACH BLVD	  	GARDENA	  	CA	  	90247
						
	HUSTLER	  	3060733	  	1000 WEST RODONDO BEACH BLVD	  	GARDENA	  	CA	  	90247
						
	IMPERIAL PALACE	  	3060234	  	3535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	IMPERIAL PALACE	  	3060235	  	3535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	IMPERIAL PALACE	  	3060236	  	3535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	IMPERIAL PALACE	  	3060237	  	3535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	IMPERIAL PALACE BILOXI	  	3060534	  	850 BAYVIEW	  	BILOXI	  	MS	  	39530
						
	IMPERIAL PALACE BILOXI	  	3060535	  	850 BAYVIEW	  	BILOXI	  	MS	  	39530
						
	IMPERIAL PALACE BILOXI	  	3060536	  	850 BAYVIEW	  	BILOXI	  	MS	  	39530
						
	IMPERIAL PALACE BILOXI	  	3060537	  	850 BAYVIEW	  	BILOXI	  	MS	  	39530
						
	JOHN ASCUAGAS NUGGET	  	3060244	  	1100 NUGGET AVE	  	SPARKS	  	NV	  	89431
						
	JOHN ASCUAGAS NUGGET	  	3060245	  	1100 NUGGET AVE	  	SPARKS	  	NV	  	89431
						
	JOHN ASCUAGAS NUGGET	  	3060246	  	1100 NUGGET AVE	  	SPARKS	  	NV	  	89431
						
	JOHN ASCUAGAS NUGGET	  	3060247	  	1100 NUGGET AVE	  	SPARKS	  	NV	  	89431
						
	JOHN ASCUAGAS NUGGET	  	3060248	  	1100 NUGGET AVE	  	SPARKS	  	NV	  	89431
						
	JOKER’S WILD	  	3060116	  	920 BOULDER HWY	  	HENDERSON	  	NV	  	89104
						
	JOKER’S WILD	  	3060117	  	920 BOULDER HWY	  	HENDERSON	  	NV	  	89104
						
	KEY LARGO	  	3060455	  	377 EAST FLAMINGO	  	LAS VEGAS	  	NV	  	89109
						
	LAKE ELSINORE	  	3060783	  	20930 MALAGA ROAD	  	LAKE ELSINORE	  	CA	  	95230
						
	LAKE TAHOE HORIZON	  	3060539	  	50 HWY 50	  	STATELINE	  	NV	  	89449
						
	LAKE TAHOE HORIZON	  	3060540	  	50 HWY 50	  	STATELINE	  	NV	  	89449
						
	LAKE TAHOE HORIZON	  	3060541	  	50 HWY 50	  	STATELINE	  	NV	  	89449
						
	LAS VEGAS CLUB	  	3060716	  	18 EAST FREMONT ST	  	LAS VEGAS	  	NV	  	89101
						
	LAS VEGAS CLUB	  	3060717	  	18 EAST FREMONT ST	  	LAS VEGAS	  	NV	  	89101
						
	LAS VEGAS HILTON	  	3060899	  	3000 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	LAS VEGAS HILTON	  	3060900	  	3000 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	LAS VEGAS HILTON	  	3060901	  	3000 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	LAS VEGAS HILTON	  	3060902	  	3000 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	LAS VEGAS HILTON	  	3060903	  	3000 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	LAS VEGAS HILTON	  	3060904	  	3000 PARADISE ROAD	  	LAS VEGAS	  	NV	  	89109
						
	LINCOLN GREYHOUND PARK	  	3060456	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060457	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865

  

					
	 	  	A-11	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	LINCOLN GREYHOUND PARK	  	3060458	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060459	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060760	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060761	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060762	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060763	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060764	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060765	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060829	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3060830	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3061071	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LINCOLN GREYHOUND PARK	  	3061072	  	1600 LOUISQUISSET PIKE	  	LINCOLN CITY	  	RI	  	02865
						
	LITTLE CREEK	  	3060400	  	WEST 91-HWY 108	  	SHELTON	  	WA	  	98584
						
	LITTLE CREEK	  	3060401	  	WEST 91-HWY 108	  	SHELTON	  	WA	  	98584
						
	LITTLE RIVER CASINO	  	3060688	  	2700 ORCHARD HWY	  	MANISTEE	  	MI	  	49660
						
	LITTLE RIVER CASINO	  	3060689	  	2700 ORCHARD HWY	  	MANISTEE	  	MI	  	49660
						
	LITTLE RIVER CASINO	  	3060690	  	2700 ORCHARD HWY	  	MANISTEE	  	MI	  	49660
						
	LITTLE RIVER CASINO	  	3060734	  	2700 ORCHARD HWY	  	MANISTEE	  	MI	  	49660
						
	LITTLE RIVER CASINO	  	3060735	  	2700 ORCHARD HWY	  	MANISTEE	  	MI	  	49660
						
	LODGE CASINO	  	3060250	  	240 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	LODGE CASINO	  	3060251	  	240 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	LODGE CASINO	  	3060252	  	240 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	LODGE CASINO	  	3060253	  	240 MAIN STREET	  	BLACK HAWK	  	CO	  	80422
						
	LONGHORN CASINO	  	3060566	  	5288 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	LUCKY CHANCES CARD ROOM	  	3060720	  	1700 HILLSIDE BLVD	  	COLMA	  	CA	  	94014
						
	LUCKY CHANCES CARD ROOM	  	3060721	  	1700 HILLSIDE BLVD	  	COLMA	  	CA	  	94014
						
	LUCKY EAGLE CASINO BINGO	  	3060702	  	12888 188TH AVE SW	  	ROCHESTER	  	WA	  	98579
						
	LUCKY EAGLE CASINO BINGO	  	3060703	  	12888 188TH AVE SW	  	ROCHESTER	  	WA	  	98579
						
	LUXOR	  	3061020	  	3900 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89119
						
	LUXOR	  	3061021	  	3900 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89119
						
	LUXOR	  	3061022	  	3900 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89119
						
	LUXOR	  	3061023	  	3900 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89119
						
	LUXOR	  	3061024	  	3900 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89119
						
	LUXOR	  	3061025	  	3900 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89119
						
	MAGIC STAR	  	3060435	  	2000 SOUTH BOULDER HWY	  	HENDERSON	  	NV	  	89015
						
	MAIN STREET STATION	  	3060118	  	200 NORTH MAIN STREET	  	LAS VEGAS	  	NV	  	89101
						
	MAIN STREET STATION	  	3060119	  	200 NORTH MAIN STREET	  	LAS VEGAS	  	NV	  	89101
						
	MANDALAY BAY	  	3061040	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061041	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061042	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061043	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061044	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061045	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061046	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061077	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MANDALAY BAY	  	3061078	  	3950 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89119
						
	MILE HIGH GREYHOUND PARK	  	3060773	  	6200 DAHLIA ST	  	COMMERCE CITY	  	CO	  	80022
						
	MILE HIGH GREYHOUND PARK	  	3060774	  	6200 DAHLIA ST	  	COMMERCE CITY	  	CO	  	80022
						
	MILLBAY CASINO	  	3060698	  	455 E WAPATO LAKE RD	  	MANSON	  	WA	  	98831
						
	MODEL T CASINO	  	3060660	  	1130 W WINNEMUCCA BLVD	  	WINNEMUCCA	  	NV	  	89445
						
	MODEL T CASINO	  	3060661	  	1130 W WINNEMUCCA BLVD	  	WINNEMUCCA	  	NV	  	89445
						
	MOHEGAN SUN ACM	  	00560276	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382

  

					
	 	  	A-12	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	MOHEGAN SUN ACM	  	00560284	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00560292	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00562306	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00562405	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00562595	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00562835	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00562900	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00562975	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00563296	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00563361	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00563445	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601278	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601344	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601427	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601500	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601575	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601641	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601732	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00601781	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00614818	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00614883	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00614958	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00615039	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00615112	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00615187	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MOHEGAN SUN ACM	  	00615252	  	1 MOHEGAN SUN BLVD	  	UNCASVILLE	  	CT	  	06382
						
	MONTE CARLO	  	3061026	  	3770 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	MONTE CARLO	  	3061027	  	3770 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	MONTE CARLO	  	3061028	  	3770 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	MONTE CARLO	  	3061029	  	3770 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	MONTE CARLO	  	3061030	  	3770 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	MONTE CARLO	  	3061031	  	3770 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	MOTOR CITY CASINO ACM	  	00602441	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00602516	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00602581	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00602656	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00602722	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00602797	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00602862	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00602938	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MOTOR CITY CASINO ACM	  	00603001	  	1922 CASS AVE	  	DETROIT	  	MI	  	48226
						
	MUCKLESHOOT CASINO	  	3060480	  	2402 AUBURN WAY S	  	AUBURN	  	WA	  	98002
						
	MUCKLESHOOT CASINO	  	3060481	  	2402 AUBURN WAY S	  	AUBURN	  	WA	  	98002
						
	MUCKLESHOOT CASINO	  	3060567	  	2402 AUBURN WAY S	  	AUBURN	  	WA	  	98002
						
	MUCKLESHOOT CASINO	  	3060620	  	2402 AUBURN WAY S	  	AUBURN	  	WA	  	98002
						
	MUCKLESHOOT CASINO	  	3060621	  	2402 AUBURN WAY S	  	AUBURN	  	WA	  	98002
						
	MUCKLESHOOT CASINO	  	3060622	  	2402 AUBURN WAY S	  	AUBURN	  	WA	  	98002
						
	MUCKLESHOOT CASINO	  	3060623	  	2402 AUBURN WAY S	  	AUBURN	  	WA	  	98002
						
	NEVADA LANDING	  	3060847	  	1 GOODSPRINGS RD - I-15 SOUTH AT JEAN	  	JEAN	  	NV	  	89019
						
	NEVADA LANDING	  	3060848	  	1 GOODSPRINGS RD - I-15 SOUTH AT JEAN	  	JEAN	  	NV	  	89019
						
	NEVADA LANDING TEXACO	  	3060849	  	1 GOODSPRINGS RD - I-15 SOUTH AT JEAN	  	JEAN	  	NV	  	89019
						
	NEVADA PALACE	  	3060254	  	5255 BOULDER HWY	  	LAS VEGAS	  	NV	  	89109

  

					
	 	  	A-13	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	NEVADA PALACE	  	3060255	  	5255 BOULDER HWY	  	LAS VEGAS	  	NV	  	89109
						
	NEWPORT JAI ALAI	  	3060768	  	150 ADMIRAL KALBFUS	  	NEWPORT	  	RI	  	02840
						
	NEWPORT JAI ALAI	  	3060769	  	150 ADMIRAL KALBFUS	  	NEWPORT	  	RI	  	02840
						
	NEWPORT JAI ALAI	  	3061096	  	150 ADMIRAL KALBFUS	  	NEWPORT	  	RI	  	02840
						
	NOOKSACK RIVER CASINO	  	3060694	  	5048 MT BAKER HWY	  	DEMING	  	WA	  	98244
						
	NORTHVILLE DOWNS	  	3060035	  	301 SOUTH CENTER STREET	  	NORTHVILLE	  	MI	  	48167
						
	OAKS CARD CASINO	  	3060730	  	4097 SAN PABLO AVE	  	EMERYVILLE	  	CA	  	94608
						
	OHKAY CASINO ACM	  	00661009	  	HIGHWAY 68	  	SAN JUAN PUEBLO	  	NM	  	87566
						
	OHKAY CASINO ACM	  	00661090	  	HIGHWAY 68	  	SAN JUAN PUEBLO	  	NM	  	87566
						
	OKANOGAN BINGO & CASINO	  	3060700	  	41 APPLE WAY RD	  	OKANOGAN	  	WA	  	98840
						
	ORLEANS	  	3060581	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3060596	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3060597	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3060598	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3060599	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3060600	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3060601	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3060602	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	ORLEANS	  	3061057	  	4500 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	O’SHEAS CASINO	  	3060839	  	3545 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	PAHRUMP NUGGET	  	3060345	  	681 SOUTH HWY 160	  	PAHRUMP	  	NV	  	89041
						
	PAHRUMP NUGGET	  	3060346	  	681 SOUTH HWY 160	  	PAHRUMP	  	NV	  	89041
						
	PALACE GAMING	  	3060463	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060464	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060465	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060466	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060467	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060468	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060469	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060470	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060471	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE GAMING	  	3060472	  	17225 JERSY AVE	  	LENMORE	  	CA	  	93245
						
	PALACE STATION	  	3060950	  	2411 WEST SAHARA AVE	  	LAS VEGAS	  	NV	  	89111
						
	PALACE STATION	  	3060951	  	2411 WEST SAHARA AVE	  	LAS VEGAS	  	NV	  	89111
						
	PALACE STATION	  	3060952	  	2411 WEST SAHARA AVE	  	LAS VEGAS	  	NV	  	89111
						
	PALACE STATION	  	3060953	  	2411 WEST SAHARA AVE	  	LAS VEGAS	  	NV	  	89111
						
	PALACE STATION	  	3060954	  	2411 WEST SAHARA AVE	  	LAS VEGAS	  	NV	  	89111
						
	PALACE STATION	  	3060955	  	2411 WEST SAHARA AVE	  	LAS VEGAS	  	NV	  	89104
						
	PALACE STATION	  	3060956	  	2411 WEST SAHARA AVE	  	LAS VEGAS	  	NV	  	89102
						
	PALMS	  	3060412	  	4321 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	PALMS	  	3060413	  	4321 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	PALMS	  	3060414	  	4321 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	PALMS	  	3060415	  	4321 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	PALMS	  	3060416	  	4321 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	PALMS	  	3060417	  	4321 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	PAR-A-DICE RIVERBOAT	  	3060993	  	21 BLACK JACK BLVD	  	EAST PEORIA	  	IL	  	61611
						
	PAR-A-DICE RIVERBOAT	  	3060994	  	21 BLACK JACK BLVD	  	EAST PEORIA	  	IL	  	61611
						
	PAR-A-DICE RIVERBOAT	  	3060995	  	21 BLACK JACK BLVD	  	EAST PEORIA	  	IL	  	61611
						
	PAR-A-DICE RIVERBOAT	  	3060996	  	21 BLACK JACK BLVD	  	EAST PEORIA	  	IL	  	61611
						
	PARADISE CASINO AZ	  	3060818	  	450 QUECHAN DR	  	FT YUMA	  	AZ	  	85364
						
	PARADISE CASINO AZ	  	3060819	  	450 QUECHAN DR	  	FT YUMA	  	AZ	  	85364
						
	PARADISE CASINO AZ	  	3061114	  	450 QUECHAN DR	  	FT YUMA	  	AZ	  	85364

  

					
	 	  	A-14	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	PARADISE CASINO CA	  	3060806	  	450 QUECHAN DR	  	WINTERHAVEN	  	CA	  	92283
						
	PARIS	  	3060120	  	3655 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	PARIS	  	3060121	  	3655 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	PARIS	  	3060122	  	3655 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	PARIS	  	3060613	  	3655 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89109
						
	PARIS	  	3060614	  	3655 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89109
						
	PARIS	  	3060615	  	3655 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89109
						
	PARIS	  	3061082	  	3655 LAS VEGAS BLVD S	  	LAS VEGAS	  	NV	  	89109
						
	PECHANGA DEVELOPMENT	  	3060330	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT	  	3061058	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00657973	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658047	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658112	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658187	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658252	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658328	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658393	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658468	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658534	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658609	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658666	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	PECHANGA DEVELOPMENT ACM	  	00658732	  	45000 PALA RD	  	TEMECULA	  	CA	  	92592
						
	POMPANO PARK	  	3060776	  	1800 SW 3RD ST	  	POMPANO BEACH	  	FL	  	33089
						
	PUEBLO GREYHOUND	  	3060759	  	3215 LAKE AVE	  	PUEBLO	  	CO	  	81004
						
	RAIL CITY	  	3060493	  	2121 VICTORIA STREET	  	SPARKS	  	NV	  	89431
						
	RAIL CITY	  	3060494	  	2121 VICTORIA STREET	  	SPARKS	  	NV	  	89431
						
	RAILROAD PASS	  	3060884	  	2800 SOUTH BOULDER HWY	  	HENDERSON	  	NV	  	89015
						
	RAMADA EXPRESS	  	3060796	  	2121 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	RAMADA EXPRESS	  	3060797	  	2121 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	RAMADA EXPRESS	  	3060798	  	2121 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	RAMADA EXPRESS	  	3060799	  	2121 SOUTH CASINO DRIVE	  	LAUGHLIN	  	NV	  	89029
						
	RED LION INN ELKO	  	3060530	  	2065 IDAHO ST	  	ELKO	  	NV	  	89801
						
	RED LION INN ELKO	  	3060531	  	2065 IDAHO ST	  	ELKO	  	NV	  	89801
						
	RED LION INN WINNEMUCCA	  	3060560	  	741 WEST MINNEMUCCA BLVD	  	WINNEMUCCA	  	NV	  	89445
						
	RENATAS	  	3060268	  	4451 EAST SUNSET ROAD	  	HENDERSON	  	NV	  	89014
						
	RENO HILTON	  	3060629	  	2500 EAST SECOND	  	RENO	  	NV	  	89501
						
	RENO HILTON	  	3060630	  	2500 EAST SECOND	  	RENO	  	NV	  	89501
						
	RENO HILTON	  	3060631	  	2500 EAST SECOND	  	RENO	  	NV	  	89501
						
	RENO HILTON	  	3060632	  	2500 EAST SECOND	  	RENO	  	NV	  	89501
						
	RENO HILTON	  	3060633	  	2500 EAST SECOND	  	RENO	  	NV	  	89501
						
	RENO HILTON	  	3060634	  	2500 EAST SECOND	  	RENO	  	NV	  	89501
						
	RIVER PALMS	  	3060800	  	2700 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	RIVER PALMS	  	3060801	  	2700 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	RIVER PALMS	  	3060802	  	2700 SOUTH CASINO DR	  	LAUGHLIN	  	NV	  	89029
						
	RIVER ROCK CASINO ACM	  	00615328	  	3250 HWY 128E	  	GEYSERVILLE	  	CA	  	95441
						
	RIVER ROCK CASINO ACM	  	00615393	  	3250 HWY 128E	  	GEYSERVILLE	  	CA	  	95441
						
	RIVER ROCK CASINO ACM	  	00615468	  	3250 HWY 128E	  	GEYSERVILLE	  	CA	  	95441
						
	RIVER ROCK CASINO ACM	  	00615534	  	3250 HWY 128E	  	GEYSERVILLE	  	CA	  	95441
						
	RIVER ROCK CASINO ACM	  	00615609	  	3250 HWY 128E	  	GEYSERVILLE	  	CA	  	95441
						
	ROUTE 66 CASINO ACM	  	00656264	  	I-40 EXIT 140	  	ALBUQUERQUE	  	NM	  	87120
						
	ROUTE 66 CASINO ACM	  	00656330	  	I-40 EXIT 140	  	ALBUQUERQUE	  	NM	  	87120
						
	ROUTE 66 CASINO ACM	  	00656405	  	I-40 EXIT 140	  	ALBUQUERQUE	  	NM	  	87120

  

					
	 	  	A-15	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	ROUTE 66 CASINO ACM	  	00656470	  	I-40 EXIT 140	  	ALBUQUERQUE	  	NM	  	87120
						
	SAHARA	  	3060984	  	2535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	SAHARA	  	3060985	  	2535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	SAHARA	  	3060986	  	2535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	SAHARA	  	3060987	  	2535 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	SAM’S TOWN HOTEL	  	3060298	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3060299	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3060300	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3060301	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3060303	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3060304	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3060306	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3060307	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAM’S TOWN HOTEL	  	3061124	  	5111 BOULDER HWY	  	LAS VEGAS	  	NV	  	89122
						
	SAN MANUEL INDIAN BINGO	  	3060044	  	5797 NORTH VICTORIA AVE	  	HIGHLAND	  	CA	  	92346
						
	SAN MANUEL INDIAN BINGO	  	3060045	  	5797 NORTH VICTORIA AVE	  	HIGHLAND	  	CA	  	92346
						
	SAN MANUEL INDIAN BINGO	  	3060046	  	5797 NORTH VICTORIA AVE	  	HIGHLAND	  	CA	  	92346
						
	SAN MANUEL INDIAN BINGO	  	3060047	  	5797 NORTH VICTORIA AVE	  	HIGHLAND	  	CA	  	92346
						
	SAN MANUEL INDIAN BINGO	  	3060048	  	5797 NORTH VICTORIA AVE	  	HIGHLAND	  	CA	  	92346
						
	SAN MANUEL INDIAN BINGO	  	3060049	  	5797 NORTH VICTORIA AVE	  	HIGHLAND	  	CA	  	92346
						
	SAN MANUEL INDIAN BINGO	  	3060050	  	5797 NORTH VICTORIA AVE	  	HIGHLAND	  	CA	  	92346
						
	SANDIA CASINO ACM	  	00610063	  	30 RAINBOW ROAD	  	ALBUQUERQUE	  	NM	  	87113
						
	SANDIA CASINO ACM	  	00610071	  	30 RAINBOW ROAD	  	ALBUQUERQUE	  	NM	  	87113
						
	SANDIA CASINO ACM	  	00610089	  	30 RAINBOW ROAD	  	ALBUQUERQUE	  	NM	  	87113
						
	SANDIA CASINO ACM	  	00610097	  	30 RAINBOW ROAD	  	ALBUQUERQUE	  	NM	  	87113
						
	SANDIA CASINO ACM	  	00610105	  	30 RAINBOW ROAD	  	ALBUQUERQUE	  	NM	  	87113
						
	SANDIA CASINO ACM	  	00610113	  	30 RAINBOW ROAD	  	ALBUQUERQUE	  	NM	  	87113
						
	SANDS REGENCY	  	3060274	  	345 NORTH ARLINGTON AVENUE	  	RENO	  	NV	  	89501
						
	SANDS REGENCY	  	3060275	  	345 NORTH ARLINGTON AVENUE	  	RENO	  	NV	  	89501
						
	SANTA ANA STAR CASINO	  	3061048	  	54 JEMEZ DAM CANYON RD	  	BERNALILLO	  	NM	  	87004
						
	SANTA ANA STAR CASINO	  	3061049	  	54 JEMEZ DAM CANYON RD	  	BERNALILLO	  	NM	  	87004
						
	SANTA ANA STAR CASINO ACM	  	00632919	  	54 JEMEZ DAM CANYON RD	  	BERNALILLO	  	NM	  	87004
						
	SANTA ANA STAR CASINO ACM	  	00632984	  	54 JEMEZ DAM CANYON RD	  	BERNALILLO	  	NM	  	87004
						
	SANTA FE	  	3060276	  	4949 N RANCHO DR	  	LAS VEGAS	  	NV	  	89130
						
	SANTA FE	  	3060277	  	4949 N RANCHO DR	  	LAS VEGAS	  	NV	  	89130
						
	SANTA FE	  	3060278	  	4949 N RANCHO DR	  	LAS VEGAS	  	NV	  	89130
						
	SANTA FE	  	3060279	  	4949 N RANCHO DR	  	LAS VEGAS	  	NV	  	89130
						
	SANTA FE	  	3060280	  	4949 N RANCHO DR	  	LAS VEGAS	  	NV	  	89130
						
	SANTA FE	  	3060329	  	4949 N RANCHO DR	  	LAS VEGAS	  	NV	  	89130
						
	SCARBOROUGH DOWNS	  	3060364	  	US ROUTE 1	  	SCARBOROUGH	  	ME	  	04074
						
	SCARBOROUGH DOWNS	  	3060365	  	US ROUTE 1	  	SCARBOROUGH	  	ME	  	04074
						
	SEABROOK GREYHOUND	  	3060051	  	PARK NEW ZEALAND ROAD	  	SEABROOK	  	NH	  	03874
						
	SEABROOK GREYHOUND	  	3060052	  	PARK NEW ZEALAND ROAD	  	SEABROOK	  	NH	  	03874
						
	SEARCHLIGHT NUGGET	  	3060478	  	100 N HWY 95	  	SEARCHLIGHT	  	NV	  	89046
						
	SENECA CASINO ACM	  	00624791	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	SENECA CASINO ACM	  	00624866	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	SENECA CASINO ACM	  	00624932	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	SENECA CASINO ACM	  	00625004	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	SENECA CASINO ACM	  	00625079	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	SENECA CASINO ACM	  	00625152	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	SENECA CASINO ACM	  	00625228	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	SENECA CASINO ACM	  	00625293	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303

  

					
	 	  	A-16	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	 SENECA CASINO ACM
	  	00646612	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	 SENECA CASINO ACM
	  	00646687	  	310 4TH ST	  	NIAGARA FALLS	  	NY	  	14303
						
	 SEVEN CEDARS CASINO
	  	3060695	  	270756 HWY 101	  	SEQUIM	  	WA	  	98382
						
	 SHERATON CASINO MISSISSIPPI
	  	3060997	  	1107 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	 SHERATON CASINO MISSISSIPPI
	  	3060998	  	1107 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	 SHERATON CASINO MISSISSIPPI
	  	3060999	  	1107 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	 SHERATON CASINO MISSISSIPPI
	  	3061000	  	1107 CASINO CENTER DR	  	ROBINSONVILLE	  	MS	  	38664
						
	 SI REDD’S OASIS
	  	3060718	  	897 WEST MESQUITE	  	MESQUITE	  	NV	  	89024
						
	 SI REDD’S OASIS
	  	3060719	  	897 WEST MESQUITE	  	MESQUITE	  	NV	  	89024
						
	 SIERRA SIDS
	  	3060495	  	200 N MCCARRAN	  	SPARKS	  	NV	  	89431
						
	 SILVER CLUB
	  	3060287	  	1040 B STREET	  	SPARKS	  	NV	  	89431
						
	 SILVER CLUB
	  	3060288	  	1040 B STREET	  	SPARKS	  	NV	  	89431
						
	 SILVER DOLLAR
	  	3060406	  	1897 NORTH EDMUNDS	  	CARSON CITY	  	NV	  	89701
						
	 SILVER LEGACY
	  	3060665	  	407 NORTH VIRGINIA ST	  	RENO	  	NV	  	89501
						
	 SILVER LEGACY
	  	3060666	  	407 NORTH VIRGINIA ST	  	RENO	  	NV	  	89501
						
	 SILVER LEGACY
	  	3060667	  	407 NORTH VIRGINIA ST	  	RENO	  	NV	  	89501
						
	 SILVER LEGACY
	  	3060668	  	407 NORTH VIRGINIA ST	  	RENO	  	NV	  	89501
						
	 SILVER LEGACY
	  	3060669	  	407 NORTH VIRGINIA ST	  	RENO	  	NV	  	89501
						
	 SILVERHAWK
	  	3061112	  	100 CHASE STREET	  	BLACKHAWK	  	CO	  	80422
						
	 SILVERTON
	  	3060879	  	3333 BLUE DIAMOND RD	  	LAS VEGAS	  	NV	  	89139
						
	 SILVERTON
	  	3060880	  	3333 BLUE DIAMOND RD	  	LAS VEGAS	  	NV	  	89139
						
	 SILVERTON
	  	3060881	  	3333 BLUE DIAMOND RD	  	LAS VEGAS	  	NV	  	89139
						
	 SKY CITY CASINO ACM
	  	00632349	  	I40 AT EXIT 102	  	PUEBLO OF ACOMA	  	NM	  	87034
						
	 SKY CITY CASINO ACM
	  	00632414	  	I40 AT EXIT 102	  	PUEBLO OF ACOMA	  	NM	  	87034
						
	 SKYLINE CASINO
	  	3060289	  	1741 BOULDER HWY	  	HENDERSON	  	NV	  	89105
						
	 SLOTS A FUN
	  	3060840	  	2890 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89109
						
	 ST PETERSBURG KENNEL CLUB
	  	3060770	  	10490 GANDY ROAD	  	ST PETERSBURG	  	FL	  	33702
						
	 ST PETERSBURG KENNEL CLUB
	  	3060771	  	10490 GANDY ROAD	  	ST PETERSBURG	  	FL	  	33716
						
	 ST PETERSBURG KENNEL CLUB
	  	3060772	  	10490 GANDY ROAD	  	ST PETERSBURG	  	FL	  	33702
						
	 STARDUST RESORT & CASINO
	  	3060143	  	3000 LAS VEGAS BLVD	  	LAS VEGAS	  	NV	  	89109
						
	 STARDUST RESORT & CASINO
	  	3060144	  	3000 LAS VEGAS BLVD	  	LAS VEGAS	  	NV	  	89109
						
	 STARDUST RESORT & CASINO
	  	3060145	  	3000 LAS VEGAS BLVD	  	LAS VEGAS	  	NV	  	89109
						
	 STARDUST RESORT & CASINO
	  	3060146	  	3000 LAS VEGAS BLVD	  	LAS VEGAS	  	NV	  	89109
						
	 STATE LINE NUGGET
	  	3060832	  	101 WENDOVER BLVD	  	WENDOVER	  	NV	  	89883
						
	 STATE LINE NUGGET
	  	3060833	  	101 WENDOVER BLVD	  	WENDOVER	  	NV	  	89883
						
	 STRATOSPHERE
	  	3060895	  	2000 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89104
						
	 STRATOSPHERE
	  	3060896	  	2000 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89104
						
	 STRATOSPHERE
	  	3060897	  	2000 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89104
						
	 STRATOSPHERE
	  	3060898	  	2000 LAS VEGAS BLVD SOUTH	  	LAS VEGAS	  	NV	  	89104
						
	 SULLIVANS PUB
	  	3061069	  	1700 S PAHRUMP VALLEY DR	  	PAHRUMP	  	NV	  	89048
						
	 SUNCOAST
	  	3060418	  	9090 ALTA DR	  	LAS VEGAS	  	NV	  	89145
						
	 SUNCOAST
	  	3060988	  	9090 ALTA DR	  	LAS VEGAS	  	NV	  	89145
						
	 SUNCOAST
	  	3060989	  	9090 ALTA DR	  	LAS VEGAS	  	NV	  	89145
						
	 SUNCOAST
	  	3060990	  	9090 ALTA DR	  	LAS VEGAS	  	NV	  	89145
						
	 SUNCOAST
	  	3060991	  	9090 ALTA DR	  	LAS VEGAS	  	NV	  	89145
						
	 SUNCOAST
	  	3060992	  	9090 ALTA DR	  	LAS VEGAS	  	NV	  	89145
						
	 SUNSET STATION
	  	3060957	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	 SUNSET STATION
	  	3060958	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	 SUNSET STATION
	  	3060959	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	 SUNSET STATION
	  	3060960	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	 SUNSET STATION
	  	3060961	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	 SUNSET STATION
	  	3060962	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014

  

					
	 	  	A-17	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	SUNSET STATION	  	3060963	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	SUNSET STATION	  	3060964	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	SUNSET STATION	  	3060965	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	SUNSET STATION	  	3060966	  	1301-A WEST SUNSET	  	HENDERSON	  	NV	  	89014
						
	TAHOE BILTMORE ACM	  	00642876	  	5 HWY 28	  	CRYSTAL BAY	  	NV	  	89402
						
	TAHOE BILTMORE ACM	  	00642942	  	5 HWY 28	  	CRYSTAL BAY	  	NV	  	89402
						
	TAMARACK JUNCTION	  	3060407	  	13101 SOUTH RENO	  	RENO	  	NV	  	89511
						
	TAOS MOUNTAIN CASINO	  	3060874	  	MAIN TAOS PUEBLO HWY	  	TAOS	  	NM	  	87571
						
	TEXAS STATION	  	3060967	  	2101 TEXAS STAR LANE	  	N LAS VEGAS	  	NV	  	89106
						
	TEXAS STATION	  	3060968	  	2101 TEXAS STAR LANE	  	N LAS VEGAS	  	NV	  	89106
						
	TEXAS STATION	  	3060969	  	2101 TEXAS STAR LANE	  	N LAS VEGAS	  	NV	  	89106
						
	TEXAS STATION	  	3060970	  	2101 TEXAS STAR LANE	  	N LAS VEGAS	  	NV	  	89106
						
	TEXAS STATION	  	3060971	  	2101 TEXAS STAR LANE	  	N LAS VEGAS	  	NV	  	89106
						
	TEXAS STATION	  	3060972	  	2101 TEXAS STAR LANE	  	N LAS VEGAS	  	NV	  	89106
						
	THE LIFT CASINO	  	3060628	  	3045 VALLEY VIEW	  	LAS VEGAS	  	NV	  	89102
						
	TOPAZ	  	3060445	  	1979 INTERSTATE 395 SOUTH	  	TOPAZ	  	NV	  	89410
						
	TOWN HALL CASINO	  	3060561	  	4155 KOVAL LANE	  	LAS VEGAS	  	NV	  	89109
						
	TRAVEL CENTERS OF AMERICA	  	3060423	  	8050 SOUTH INDUSTRIAL RD	  	LAS VEGAS	  	NV	  	89139
						
	TRUMP MARINA HOTEL CASINO ACM	  	00628685	  	HURON AVE & BRIGANTINE BLVD	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP MARINA HOTEL CASINO ACM	  	00628750	  	HURON AVE & BRIGANTINE BLVD	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP MARINA HOTEL CASINO ACM	  	00628826	  	HURON AVE & BRIGANTINE BLVD	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP MARINA HOTEL CASINO ACM	  	00628891	  	HURON AVE & BRIGANTINE BLVD	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP MARINA HOTEL CASINO ACM	  	00628966	  	HURON AVE & BRIGANTINE BLVD	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP PLAZA ACM	  	00602086	  	BOARDWALK & MISSISSIPPI AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP PLAZA ACM	  	00602151	  	BOARDWALK & MISSISSIPPI AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP PLAZA ACM	  	00602235	  	BOARDWALK & MISSISSIPPI AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP PLAZA ACM	  	00602300	  	BOARDWALK & MISSISSIPPI AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP PLAZA ACM	  	00602375	  	BOARDWALK & MISSISSIPPI AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP PLAZA ACM	  	00652362	  	BOARDWALK & MISSISSIPPI AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP SPOTLIGHT 29 CASINO	  	3060572	  	46-200 HARRISON	  	COACHELLA	  	CA	  	92236
						
	TRUMP SPOTLIGHT 29 CASINO	  	3060573	  	46-200 HARRISON	  	COACHELLA	  	CA	  	92236
						
	TRUMP SPOTLIGHT 29 CASINO	  	3060574	  	46-200 HARRISON	  	COACHELLA	  	CA	  	92236
						
	TRUMP SPOTLIGHT 29 CASINO	  	3060789	  	46-200 HARRISON	  	COACHELLA	  	CA	  	92236
						
	TRUMP TAJ MAHAL CASINO RESORT	  	3060296	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612184	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612259	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612325	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612390	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612465	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612531	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612606	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TRUMP TAJ MAHAL CASINO RESORT ACM	  	00612671	  	1000 BOARDWALK AT VIRGINIA AVE	  	ATLANTIC CITY	  	NJ	  	08401
						
	TULALIP BINGO	  	3060784	  	2911 QUIL CEDA WAY	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP BINGO	  	3060785	  	2911 QUIL CEDA WAY	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP CASINO ACM	  	00607127	  	6410 33RD AVE NE	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP CASINO ACM	  	00607192	  	6410 33RD AVE NE	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP CASINO ACM	  	00607267	  	6410 33RD AVE NE	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP CASINO ACM	  	00607333	  	6410 33RD AVE NE	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP CASINO ACM	  	00607408	  	6410 33RD AVE NE	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP CASINO ACM	  	00607473	  	6410 33RD AVE NE	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00648477	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00648543	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271

  

					
	 	  	A-18	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 ATM INFO 
  

											
	 CUSTOMER NAME

	  	TERMINAL
ID

	  	 STREET ADDRESS

	  	CITY

	  	STATE

	  	ZIP
CODE

						
	TULALIP II CASINO ACM	  	00648618	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00648683	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00648766	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00648832	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00648915	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00648980	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00649053	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00649129	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00649194	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00649269	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00649335	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TULALIP II CASINO ACM	  	00649400	  	10200 7TH AVE NW	  	MARYSVILLE	  	WA	  	98271
						
	TURNING STONE	  	3060836	  	5218 PATRICK ROAD	  	VERONA	  	NY	  	13478
						
	TURTLE STOP #8	  	3060425	  	3715 WEST FLAMINGO	  	LAS VEGAS	  	NV	  	89103
						
	TUSCANY HOTEL	  	3060822	  	255 FLAMINGO ROAD	  	LAS VEGAS	  	NV	  	89109
						
	UNION PLAZA	  	3060863	  	1 MAIN STREET	  	LAS VEGAS	  	NV	  	89101
						
	UNION PLAZA	  	3060864	  	1 MAIN STREET	  	LAS VEGAS	  	NV	  	89101
						
	VEE QUIVA ACM	  	00628099	  	6443 N KOMATKE DR	  	LAVEEN	  	AZ	  	85339
						
	VEE QUIVA ACM	  	00628545	  	6443 N KOMATKE DR	  	LAVEEN	  	AZ	  	85339
						
	VEE QUIVA ACM	  	00628610	  	6443 N KOMATKE DR	  	LAVEEN	  	AZ	  	85339
						
	VIRGIN RIVER	  	3060753	  	200 PIONEER BLVD	  	MESQUITE	  	NV	  	89021
						
	VIRGIN RIVER	  	3060788	  	200 PIONEER BLVD	  	MESQUITE	  	NV	  	89024
						
	VIRGIN RIVER FOOD MART	  	3060754	  	200 PIONEER BLVD	  	MESQUITE	  	NV	  	89021
						
	WEMBLEY POST TIME	  	3060379	  	3701 NORTH NEVADA	  	COLORADO SPRINGS	  	CO	  	80907
						
	WESTERN HOTEL & BINGO PARLOR	  	3060875	  	889 FREMONT ST	  	LAS VEGAS	  	NV	  	89101
						
	WHITE CLOUD	  	3060341	  	777 JACKPOT DR	  	WHITE CLOUD	  	KS	  	66094
						
	WILD WILD WEST	  	3060559	  	3330 WEST TROPICANA	  	LAS VEGAS	  	NV	  	89103
						
	WILDHORSE GAMING RESORT	  	3061018	  	I-84 EXIT 216	  	PENDLETON	  	OR	  	97801
						
	WILDHORSE GAMING RESORT	  	3061019	  	I-84 EXIT 216	  	PENDLETON	  	OR	  	97801
						
	YAKIMA LEGENDS CASINO	  	3060704	  	580 FORT ROAD	  	TOPPENISH	  	WA	  	98948
						
	YAKIMA LEGENDS CASINO	  	3060705	  	580 FORT ROAD	  	TOPPENISH	  	WA	  	98948
						
	DAKOTA DEUCES	  	3061121	  	155 SHERMAN ST	  	DEADWOOD	  	SD	  	57732
						
	THE WOODLANDS	  	3061119	  	9700 LEAVENWORTH RD	  	KANSAS CITY	  	KS	  	66109
						
	THE WOODLANDS	  	3061120	  	9700 LEAVENWORTH RD	  	KANSAS CITY	  	KS	  	66109

  

									
	 GLOBAL CASH ACCESS, L.L.C.
	 	 	 	 BANK OF AMERICA, N.A.

					
	By:	 	/s/    KIRK E. SANFORD        	 	 	 	By:	 	/s/    GEORGE W. SMITH        
	 Name:
	 	Kirk E. Sanford	 	 	 	 Name:
	 	George W. Smith
	 Title:
	 	CEO	 	 	 	 Title:
	 	President - Bank of America Nevada

  

					
	 	  	A-19	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 EXHIBIT B 
  

ARMORED CARRIER CONSENT 
  
 [         Insert name         ] (“Armored Carrier”) has
been informed that Global Cash Access, L.L.C. (“GCA”) has entered into an ATM Cash Services Amendment with Bank of America, N.A. (“Bank”), whereby automated teller machines owned or leased by GCA (“ATMs”) will be
stocked with cash belonging to Bank (“ATM Cash”). 
  
 The Armored Carrier provides ATM cash replenishment services to GCA, including the ATM balancing, cash replenishment, and reporting which requires access to the locked cash drawers within the ATMs. 
  
 The Armored Carrier understands that the execution of this Armored Carrier
Consent is a condition precedent to the Bank executing the ATM Cash Services Amendment with GCA. 
  
 As a result, the Armored Carrier hereby agrees as follows: 
  
 1. The Armored Carrier will work with GCA and Bank to establish mutually agreeable service schedules and reports for replenishing cash at the ATMs.

  
 2. The Armored Carrier agrees and acknowledges that all of the
ATM Cash is owned by Bank. At no time shall the ATM Cash become the property of Armored Carrier or anyone else until it is duly withdrawn from an ATM by a cardholder. At no time shall the ATM Cash become subject to any manner of lien, securing
interest, attachment, levy or other process or agreement created by, for or on behalf of Armored Carrier. Armored Carrier shall take no action, or cause any action to be taken, which would cause the ATM Cash to be treated as property of the Armored
Carrier or any person other than Bank. The Armored Carrier shall not commingle the ATM Cash with any other cash it may maintain for others, including GCA. 
  
 3. All fees for Armored Carrier services, including those set forth herein, shall continue to be paid by GCA. 
  
 4. Armored Carrier agrees and acknowledges that nothing contained in this
Armored Carrier Consent conflicts with any provision of its contracts or agreements to provide armored carrier services to GCA. 
  
 This Armored Carrier Consent is duly executed by an authorized officer of Armored Carrier and shall remain in full force and effect until the ATM Cash
Services Amendment is terminated. 
  
 Dated
                     , 2004 
  

					
	[
                                    Insert name	 	]
			
	By:	 	 	 	 
	 Name:
	 	 	 	 
	 Title:
	 	 	 	 

  

					
	 	  	B-1	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 EXHIBIT C 
  

ATM SERVICE PROVIDER CONSENT 
  
 [Diebold, Incorporated] [Bantek Financial Technology Services] (“ATM Service Provider”) has been informed that Global Cash Access, L.L.C.
(“GCA”) has entered into an ATM Cash Services Amendment with Bank of America, N.A. (“Bank”), whereby automated teller machines owned or leased by GCA (“ATMs”) will be stocked with cash belonging to Bank (“ATM
Cash”). 
  
 The ATM Service Provider provides ATM maintenance
services to GCA, including the maintenance and repair of ATMs, which may require access to the locked cash drawers within the ATMs. 
  
 The ATM Service Provider understands that the execution of this ATM Service Provider Consent is a condition precedent to the Bank executing the ATM Cash
Services Amendment with GCA. 
  
 As a result, the ATM Service
Provider hereby agrees as follows: 
  
 1. The ATM Service Provider
will work with GCA and Bank to establish mutually agreeable service schedules for the routine maintenance of the ATMs. 
  
 2. The ATM Service Provider agrees and acknowledges that all of the ATM Cash is owned by Bank. At no time shall the ATM Cash become the property of ATM
Service Provider or anyone else until it is duly withdrawn from an ATM by a cardholder. At no time shall the ATM Cash become subject to any manner of lien, securing interest, attachment, levy or other process or agreement created by, for or on
behalf of ATM Service Provider. ATM Service Provider shall take no action, or cause any action to be taken, which would cause the ATM Cash to be treated as property of the ATM Service Provider or any person other than Bank. 
  
 3. All fees for ATM Service Provider services, including those set forth
herein, shall continue to be paid by GCA. 
  
 4. ATM Service
Provider agrees and acknowledges that nothing contained in this ATM Service Provider Consent conflicts with any provision of its contracts or agreements to provide armored carrier services to GCA. 
  
 This ATM Service Provider Consent is duly executed by an authorized officer
of ATM Service Provider and shall remain in full force and effect until the ATM Cash Services Amendment is terminated. 
  
 Dated                     , 2004 
  
 [DIEBOLD, INCORPORATED] [BANTEK FINANCIAL TECHNOLOGY SERVICES] 
  

			
		
	By:	 	 
	 Name:
	 	 
	 Title:
	 	 

  

					
	 	  	C-1	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 EXHIBIT D-1 
  
 PROCESSOR CONSENT TO ASSIGNMENT 
  
 USA Payment Systems (“Processor”) has been informed that Global Cash Access, L.L.C. (“GCA”) has entered
into an ATM Cash Services Amendment with Bank of America, N.A. (“Bank”), whereby automated teller machines owned or leased by GCA (“ATMs”) will be stocked with cash belonging to Bank (“ATM Cash”). 
  
 Processor provides electronic payment processing services to GCA, which
includes causing certain electronic payment networks (“Networks”) to collect from participating cardholder banks reimbursement payments with regard to withdrawals of ATM Cash from the ATMs (“Reimbursements”), and causing the
Networks to pay such Reimbursements to GCA or to its order. 
  
 As
part of the ATM Cash Services Amendment, Bank has received from GCA an irrevocable assignment of the Reimbursements. 
  
 It is a condition to providing the ATM services to GCA that Bank receive from Processor its consent to the assignment of the Reimbursements as set forth
herein. 
  
 As a result, Processor agrees as follows: 

 
 1. Processor represents and warrants to Bank that it has the right to
direct the Networks’ payment of Reimbursements with regard to withdrawal transactions from each ATM. Bank’s right to receive Reimbursements extends to the full amount of each ATM withdrawal transaction, including any and all interchange
revenue fees or ATM surcharge fees. 
  
 2. Processor will promptly
notify Bank if Processor receives any instruction, request or other communication from GCA attempting to discontinue or alter Processor’s direction of the Networks’ payment of Reimbursements to Bank. 
  
 3. Processor consents to the irrevocable assignment of all Reimbursement
payments to Bank. Effective as of the Transition Date set forth below, Processor will cause the Networks to send all Reimbursement payments directly to Bank on the same day the Networks receive them (assuming it receives such payments during
Network’s processing hours). Such payments will be sent as follows: 
  
 Bank of America 
 ABA No. 121-000-358 
 Account No. 12334-42044 
 Account Name Bank of
America - GCA 
  
 Such payments will be made without set-off, deductions or other
claims; Processor waives any and all rights or claims it may have with regard to each Reimbursement payment it makes to Bank. Notwithstanding the foregoing, Processor may make adjusting entries but only to correct errors in entries previously made.

  
 4. Processor agrees and acknowledges that the assignment of
the Reimbursement payments is irrevocable. Processor will continue to cause the Networks to make Reimbursement payments to Bank regardless of any contrary instructions it may receive from GCA or any person other than Bank. Processor will continue to
cause the Networks to make Reimbursement payments to Bank regardless of the financial status, insolvency or bankruptcy of GCA. Processor will continue to cause the Networks to make Reimbursement payments to Bank until Bank provides it with written
direction for it to stop. 
  
 5. Processor agrees and acknowledges
that pursuant to the Amendment, Bank is the owner of the ATM Cash and is entitled to receive the Reimbursement payments from the Networks. Processor agrees and acknowledges that none of the ATM Cash will constitute the property of GCA and that GCA
has no ownership or possessory rights to the ATM Cash under Section 362 of the Bankruptcy Code (or any successor provision). 
  
 6. Processor agrees and acknowledges that nothing contained in this Processor Consent to Assignment conflicts with any provision of its contracts or
agreements to provide payment processing services to GCA. 
  

					
	 	  	D-1-1	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 This Processor Consent to Assignment is duly executed by an authorized officer of Processor and shall
remain in full force and effect until the ATM Cash Services Amendment is terminated. 
  
 Transition Date: June 1, 2004 
  
 Dated March
    , 2004 
  

			
	USA Payment Systems
		
	By:	 	 
	 Name:
	 	 
	 Title:
	 	 

  

					
	 	  	D-1-2	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 EXHIBIT D-2 
  
 NETWORK CONSENT TO ASSIGNMENT 
  

[        Insert name         ] (“Network”) has been
informed that Global Cash Access, L.L.C. (“GCA”) has entered into an ATM Cash Services Amendment with Bank of America, N.A. (“Bank”), whereby automated teller machines owned or leased by GCA (“ATMs”) will be stocked
with cash belonging to Bank (“ATM Cash”). 
  
 Network
provides ATM processing and settlement services to GCA, consisting of the receipt from participating cardholder banks of reimbursement payments with regard to withdrawals of ATM Cash from the ATMs (“Reimbursements”), and the payment of the
Reimbursements. 
  
 As part of the ATM Cash Services Amendment,
Bank has received from GCA an irrevocable assignment of the Reimbursements. 
  
 It is a condition to providing the ATM services to GCA that Bank receive from Network its consent to the ATM assignment as set forth herein. 
  
 As a result, Network agrees as follows: 
  
 1. Network represents and warrants to Bank that it has the right to receive Reimbursement payments with regard to withdrawal
transactions from each ATM. Bank’s right to receive Reimbursements extends to the full amount of each ATM withdrawal transaction, including any and all interchange revenue fees or ATM surcharge fees. 
  
 2. Network will promptly notify Bank if Network receives any instruction,
request or other communication from GCA attempting to discontinue Network’s receipt of Reimbursements or payment of the Reimbursements to Bank. 
  
 3. Network consents to the irrevocable assignment of all Reimbursement payments to Bank. Effective as of the Transition Date set forth below, Network will
send directly to Bank all Reimbursement payments on the same day it receives them (assuming it receives such payments during Network’s processing hours). Such payments will be sent as follows 
  
 Bank of America 
 ABA No. 121-000-358 
 Account No. 12334-42044

 Account Name Bank of America - GCA 
  
 Such payments will be made without set-off, deductions or other claims; Network waives any and all rights or claims it may have with regard to each Reimbursement payment
it makes to Bank. Notwithstanding the foregoing, Network may make adjusting entries but only to correct errors in entries previously made. 
  
 4. Network agrees and acknowledges that the assignment of the Reimbursement payments is irrevocable. Network will continue to make Reimbursement payments
to Bank regardless of any contrary instructions it may receive from GCA or any person other than Bank. Network will continue to make Reimbursement payments to Bank regardless of the financial status, insolvency or bankruptcy of GCA. Network will
continue to make Reimbursement payments to Bank until Bank provides it with written direction for it to stop. 
  
 5. Network agrees and acknowledges that pursuant to the Amendment, Bank is the owner of the ATM Cash and is entitled to receive the Reimbursement payments
from Network. Network agrees and acknowledges that none of the ATM Cash will constitute the property of GCA and that GCA has no ownership or possessory rights to the ATM Cash under Section 362 of the Bankruptcy Code (or any successor provision).

  

					
	 	  	D-2-1	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 6. Network agrees and acknowledges that nothing contained in this Network Consent to Assignment conflicts
with any provision of its contracts or agreements to provide ATM funding services to GCA. 
  
 This Network Consent to Assignment is duly executed by an authorized officer of Network and shall remain in full force and effect until the ATM Cash Services Amendment is terminated. 
  
 Transition Date: June 1, 2004 
  
 Dated March     , 2004 
  

			
	[Network name]
		
	By:	 	 
	 Name:
	 	 
	 Title:
	 	 

  

					
	 	  	D-2-2	  	 Amendment to Treasury Services
 Terms and Conditions Booklet

 EXHIBIT E 
  

FEES FOR ATM CASH SERVICES 
  
 Each month, we will debit from the Settlement Account our fees for providing the ATM Cash Services. We will also provide to you a report of the ATM Cash Service
components and the fees for each during that monthly period, as set forth below: 
  

	1.	Cash Processing Fees: 

  

				
	 Depository Services

	  	Unit
Price

	 Vault Deposit
	  	$	1.00
	 Vault Deposit Extended Hours
	  	$	2.00
	 Change Order per request, per vault
	  	$	2.50
	 Standing Change Order per request, per vault
	  	$	1.50
	 Late Change Order
	  	$	8.00
	 Emergency Change Order
	  	$	100.00
	 Currency Supplied per each $100 supplied
	  	$	.013
	 Currency Deposited per each $100 supplied
	  	$	.06
	 Deposit Correction per corrected deposit
	  	$	6.00

  

	2.	Cash Usage Fees: 

  
 Average Daily Cash Balance x One Month LIBOR + 25 basis points. 
  

“The Average Daily Cash Balance” means (i) for each day in the monthly period, the total amount of ATM Cash, plus amounts due but not yet
received from the Network, plus any amounts due but not yet paid to us for Reconcilements where there are insufficient funds in the Settlement Account; (ii) aggregated for each day in that monthly period, (iii) divided by the number of days in that
monthly period. 
  
 “One Month LIBOR” means the rate
determined by referring to the rate set forth on the Telerate Screen for the London Interbank Offered Rate for one-month US Dollar deposits for each day that the rate is published in that month (“LIBOR Days”), aggregating those rates and
dividing that sum by the number of LIBOR Days in that month. That average is then multiplied by fraction, the numerator of which is the number of days in that year and the denominator is 360. That product is then multiplied by a fraction, the
numerator is the number of days in that month and the denominator is the number of days in that year. 
  

	3.	Reconcilement Fee: 

  
 We will pass along to you the actual cost of the Reconcilement Agent in performing its services to us with regard to the ATM Cash Services. 
  

					
	 	  	E-1	  	 Amendment to Treasury Services
 Terms and Conditions BookletPrepared by R.R. Donnelley Financial -- Limited Liability Company Agreement of QuikPlay, LLC

 Exhibit 10.18 
  
 LIMITED LIABILITY COMPANY AGREEMENT 
 OF 
 QUIKPLAY, LLC, 
 A DELAWARE LIMITED LIABILITY COMPANY 
  
 THE SECURITIES REPRESENTED BY THIS AGREEMENT HAVE NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933 NOR REGISTERED NOR QUALIFIED UNDER ANY STATE SECURITIES LAWS. SUCH SECURITIES MAY NOT BE OFFERED FOR SALE, SOLD, DELIVERED AFTER SALE,
TRANSFERRED, PLEDGED, OR HYPOTHECATED UNLESS QUALIFIED AND REGISTERED UNDER APPLICABLE STATE AND FEDERAL SECURITIES LAWS OR UNLESS, IN THE OPINION OF COUNSEL SATISFACTORY TO THE COMPANY, SUCH QUALIFICATION AND REGISTRATION IS NOT REQUIRED. ANY
TRANSFER OF THE SECURITIES REPRESENTED BY THIS AGREEMENT IS FURTHER SUBJECT TO OTHER RESTRICTIONS, TERMS AND CONDITIONS WHICH ARE SET FORTH HEREIN. 
  

 TABLE OF CONTENTS 
  

 

							
	 	 	 	  	 	  	Page

	ARTICLE 1	 	ORGANIZATIONAL MATTERS	  	2
				
	 	 	1.1	  	Formation	  	2
	 	 	1.2	  	Name	  	2
	 	 	1.3	  	Term	  	2
	 	 	1.4	  	Registered Office and Agent	  	2
	 	 	1.5	  	Principal Place of Business	  	3
	 	 	1.6	  	Addresses of the Members	  	3
	 	 	1.7	  	Purpose and Business of Company	  	3
	 	 	1.8	  	Title to Company Property	  	3
	 	 	1.9	  	Definitions	  	3
	 	 	1.10	  	Filing of Other Certificates	  	3
	 	 	1.11	  	Qualification in Other Jurisdictions	  	3
	 	 	1.12	  	Tax Treatment	  	3
	 	 	1.13	  	Company Agreements	  	3
			
	ARTICLE 2	 	CAPITAL CONTRIBUTIONS	  	4
				
	 	 	2.1	  	Initial Capital Contributions	  	4
	 	 	2.2	  	Mandatory Capital Contributions	  	4
	 	 	 	  	 (a)    Mandatory Capital Call
	  	4
	 	 	 	  	 (b)    Member’s Failure to Contribute
	  	4
	 	 	2.3	  	Additional Capital Contributions	  	5
	 	 	2.4	  	Capital Accounts	  	5
	 	 	2.5	  	Return of Capital Contributions; Interest	  	5
			
	ARTICLE 3	 	MEMBERS	  	5
				
	 	 	3.1	  	Limited Liability	  	5
	 	 	3.2	  	Admission of Additional Members	  	5
	 	 	3.3	  	Vote or Written Consent of the Members	  	6
	 	 	3.4	  	Members Are Not Agents	  	6
	 	 	3.5	  	Meetings of Members	  	6
	 	 	3.6	  	Withdrawals or Resignation	  	6
	 	 	3.7	  	Payment to Members	  	6
	 	 	3.8	  	Competing Activities	  	6
	 	 	3.9	  	Transactions Between the Company and the Members	  	8
	 	 	3.10	  	Termination of Membership Interest	  	8
	 	 	3.11	  	Gaming Industry Regulatory Compliance	  	8
			
	ARTICLE 4	 	MANAGEMENT AND CONTROL OF THE COMPANY	  	9
				
	 	 	4.1	  	Management of the Company by Managers	  	9
	 	 	 	  	 (a)    Management by Managers
	  	9
	 	 	 	  	 (b)    Meetings of Managers
	  	9
	 	 	4.2	  	Election of Managers	  	10

  

 -i- 

 TABLE OF CONTENTS 
 (continued) 
  

							
	 	 	 	  	 	  	Page

	 	 	 	  	 (a)    Number, Term, and Qualifications
	  	10
	 	 	 	  	 (b)    Resignation
	  	10
	 	 	 	  	 (c)    Removal
	  	10
	 	 	 	  	 (d)    Vacancies
	  	10
	 	 	4.3	  	Power of Managers	  	10
	 	 	4.4	  	Limitations on Power of Managers	  	11
	 	 	4.5	  	Members Have No Managerial Authority	  	13
	 	 	4.6	  	Performance of Duties; Liability of Managers	  	13
	 	 	4.7	  	Transactions between the Company and a Manager	  	13
	 	 	4.8	  	Payments to Managers	  	13
	 	 	4.9	  	Appointment of Officers	  	13
	 	 	 	  	 (a)    Removal, Resignation, and Filling of Vacancy of Officers
	  	13
	 	 	 	  	 (b)    Salaries of Officers
	  	14
	 	 	 	  	 (c)    Duties and Powers of the President
	  	14
	 	 	 	  	 (d)    Duties and Powers of the Vice-President
	  	14
	 	 	 	  	 (e)    Duties and Powers of the Secretary
	  	14
	 	 	 	  	 (f)     Duties and Powers of the Chief Financial Officer
	  	15
	 	 	 	  	 (g)    Acts of Officers as Conclusive Evidence of Authority
	  	15
	 	 	 	  	 (h)    Signing Authority of Officers
	  	15
			
	ARTICLE 5	 	ALLOCATIONS OF NET PROFITS AND NET LOSSES AND DISTRIBUTIONS	  	16
				
	 	 	5.1	  	Allocations of Net Profit and Net Loss	  	16
	 	 	 	  	 (a)    Net Loss
	  	16
	 	 	 	  	 (b)    Loss Limitation
	  	16
	 	 	 	  	 (c)    Net Profit
	  	16
	 	 	5.2	  	Tax Allocations	  	16
	 	 	 	  	 (a)    General Tax Allocations
	  	16
	 	 	 	  	 (b)    Method of Allocations
	  	16
	 	 	 	  	 (c)    Contributed Property
	  	16
	 	 	 	  	 (d)    Adjustments to Book Value
	  	17
	 	 	5.3	  	Distributions and Allocations with Respect to Transferred or Newly Issued Units	  	17
	 	 	 	  	 (a)    Newly Issued Units
	  	17
	 	 	 	  	 (b)    Transferred Units
	  	17
	 	 	5.4	  	Distributions of Cash	  	18
	 	 	5.5	  	Distributions in Kind	  	18
	 	 	5.6	  	Return of Distributions	  	18
	 	 	5.7	  	Obligations of Members to Report Allocations	  	18
			
	ARTICLE 6	 	TRANSFER AND ASSIGNMENT OF INTERESTS	  	18
				
	 	 	6.1	  	Transfer and Assignment of Interests	  	18
	 	 	6.2	  	Transfers to Affiliates	  	19
	 	 	6.3	  	Substitution of Members	  	19
	 	 	6.4	  	Assignee’s Rights	  	20

  

 -ii- 

 TABLE OF CONTENTS 
 (continued) 
  

							
	 	 	 	  	 	  	Page

	 	 	6.5	  	Death or Incapacity of a Member	  	20
	 	 	6.6	  	Bankruptcy or Dissolution of a Member	  	20
	 	 	6.7	  	Option to Purchase Membership Rights	  	21
	 	 	6.8	  	Right of First Refusal	  	21
	 	 	6.9	  	Change in Control of Members	  	22
			
	ARTICLE 7	 	CONSEQUENCES OF A DISSOCIATION EVENT	  	22
			
	ARTICLE 8	 	ACCOUNTING, RECORDS, REPORTING BY MEMBERS	  	22
	 	 	8.1	  	Books and Records	  	22
	 	 	8.2	  	Reports	  	23
	 	 	8.3	  	Annual Audit	  	23
	 	 	8.4	  	Bank Accounts	  	23
	 	 	8.5	  	Accounting Decisions and Reliance on Others	  	23
	 	 	8.6	  	Annual Budget	  	23
	 	 	8.7	  	Operating Plan	  	24
	 	 	8.8	  	Tax Matters for the Company Handled by Members and Tax Matters Partner	  	24
			
	ARTICLE 9	 	DISSOLUTION AND WINDING UP	  	24
	 	 	9.1	  	Dissolution	  	24
	 	 	9.2	  	Winding Up	  	24
	 	 	9.3	  	Distributions in Kind	  	24
	 	 	9.4	  	Order of Payment of Liabilities Upon Dissolution	  	25
	 	 	9.5	  	Limitations on Payments Made in Dissolution	  	25
	 	 	9.6	  	Termination of the Company	  	25
			
	ARTICLE 10	 	INDEMNIFICATION AND INSURANCE	  	25
	 	 	10.1	  	Indemnification of Agents	  	25
	 	 	10.2	  	Insurance	  	26
	 	 	10.3	  	Limit on Liability of Members	  	26
			
	ARTICLE 11	 	INVESTMENT REPRESENTATIONS	  	26
	 	 	11.1	  	Preexisting Experience	  	26
	 	 	11.2	  	No Advertising	  	26
	 	 	11.3	  	Investment Intent	  	26
	 	 	11.4	  	No Liquidity	  	27
	 	 	11.5	  	All Information	  	27
	 	 	11.6	  	Restriction on Alienation	  	27
	 	 	11.7	  	No Registration.	  	27
			
	ARTICLE 12	 	MISCELLANEOUS	  	27
	 	 	12.1	  	Conference Telephone Meetings	  	27
	 	 	12.2	  	Complete Agreement	  	27
	 	 	12.3	  	Binding Effect	  	27
	 	 	12.4	  	Parties in Interest	  	28

  

 -iii- 

 TABLE OF CONTENTS 
 (continued) 
  

							
	 	 	 	  	 	  	Page

	 	 	12.5	  	Pronouns; Statutory References	  	28
	 	 	12.6	  	Headings	  	28
	 	 	12.7	  	Interpretation	  	28
	 	 	12.8	  	References to this Agreement	  	28
	 	 	12.9	  	Jurisdiction	  	28
	 	 	12.10	  	Exhibits	  	28
	 	 	12.11	  	Severability	  	28
	 	 	12.12	  	Additional Documents and Acts	  	28
	 	 	12.13	  	Notices	  	28
	 	 	12.14	  	Amendments	  	29
	 	 	12.15	  	Multiple Counterparts	  	29
	 	 	12.16	  	Attorney Fees	  	29
	 	 	12.17	  	Special Power of Attorney	  	29
	 	 	 	  	 (a)    Attorney In Fact
	  	29
	 	 	 	  	 (b)    Irrevocable Power
	  	30
	 	 	 	  	 (c)    Signatures
	  	30
	 	 	12.18	  	Remedies Cumulative	  	30
	 	 	12.19	  	Governing Law	  	30

  

 -iv- 

 LIMITED LIABILITY COMPANY AGREEMENT 
 OF 
 QUIKPLAY, LLC, 
 A DELAWARE LIMITED LIABILITY COMPANY 
  
 This Limited Liability Company Agreement (this “Agreement”) is made and entered into as of the 6th day of December, 2000, among QuikPlay, LLC, a
Delaware limited liability company (the “Company”), Global Cash Access, L.L.C., a Delaware limited liability company (“GCA”), and IGT, a Nevada corporation (“IGT”) (GCA and IGT are hereinafter sometimes collectively
referred to as the “Members” and individually as “Member”). 
  
 RECITALS 
  
 A. GCA and IGT have
heretofore authorized and caused to be filed a Certificate of Formation with the Secretary of State of the State of Delaware to organize the Company under and pursuant to the Delaware Limited Liability Company Act; 
  
 B. The Company’s primary activities (the “Company Business”)
shall be the (i) development, marketing, selling and maintenance of Cashless Gaming Products (as defined herein), wherever in the world such products are lawful and together with such other activities incidental to such purpose (including, without
limitation, facilitating cash access by debit cards (and such other cards as GCA and IGT shall mutually agree) at or in a gaming machine; selling equipment for the reading of such cards; and licensing intellectual property owned by the Company to
permit gaming machine and system manufacturers to develop, manufacture and supply products that facilitate or promote the use of Cashless Gaming Products), (ii) the charging of fees for debit card (and such other cards as GCA and IGT shall mutually
agree) transaction processing in connection with the Cashless Gaming Products, (iii) the development of the Cashless Gaming Interface, (iv) the licensing of the Cashless Gaming Interface to third parties, and (v) any additional business activities
contained in any future business plan of the Company or amendment thereto, which additional activities have been unanimously approved by the Members. Unless otherwise unanimously approved by the Members, Company shall only engage in a business in
which all of the elements of the Cashless Gaming Products are present. If, for example, a casino company issues its own magnetic stripe card for use with a cashless accounting system supplied by that casino at its affiliated casino(s), and no third
party financial institution account of the gaming customer of the casino is involved in the transaction of supplying credits to the gaming machine, this would be outside the Company Business. Unless otherwise unanimously approved by the Members,
Company Business does not include: (i) the design, licensure, sale or other development and/or distribution of gaming machines, it being the intention of the parties that Company shall not directly or indirectly compete with IGT in the sale or
distribution of gaming machines; (ii) cashless products used in gaming that do not involve third party financial institution debit cards, or products other than the Cashless Gaming Product; and (iii) internet or web-based gaming or other internet
activities. For example, cashless gaming machine products involving bar coded tickets printed at the gaming machines are outside the Company Business. 
  
 C. Subject to the terms and conditions set forth herein, IGT and GCA have agreed to enter into a Joint Venture License Agreement with the Company in the
form attached hereto as 

  

 -1- 

 
Exhibit C (the “License Agreement”), IGT has agreed to enter into a Non-Exclusive Distributorship Agreement with the Company in the form attached
hereto as Exhibit D (the “Non-Exclusive Distributorship Agreement”), GCA has agreed to enter into a Contract Services Agreement with the Company in the form attached hereto as Exhibit E (the “Contract Services Agreement”), and
IGT has agreed to enter into a Development Agreement with the Company in the form attached hereto as Exhibit H (the “IGT Development Agreement”); 
  
 D. Each of GCA and IGT are concurrently with the execution of this Agreement acquiring certain Membership Units (as herein defined) in the Company; and

  
 E. In accordance with the Delaware Limited Liability Company
Act, each of the Company and the Members desire to enter into this Agreement to set forth the respective rights, powers and interests of the Members with respect to the Company and their respective Membership Units therein and to provide for the
management of the business and operations of the Company. 
  
 NOW,
THEREFORE, in consideration of their mutual promises, covenants and agreements, the Members hereby promise, covenant and agree as follows: 
  
 AGREEMENT 
  
 ARTICLE 1 
  
 ORGANIZATIONAL MATTERS 
  
 1.1 Formation. Pursuant
to the Act, the Members have formed a Delaware limited liability company under the laws of the State of Delaware by the filing of a Certificate of Formation with the Secretary of State of Delaware and entering into this Agreement. The rights and
liabilities of the Members shall be determined pursuant to the Act and this Agreement. To the extent that the rights or obligations of any Member are different by reason of any provision of this Agreement than they would be in the absence of such
provision, this Agreement shall, to the extent permitted by the Act, control. 
  
 1.2 Name. The name of the Company shall be “QuikPlay, LLC” or such other name as the Managers shall determine. The business of the Company may be conducted under that name or, upon compliance with
applicable laws, any other name that the Managers deem appropriate or advisable. The Managers shall file any fictitious name certificates and similar filings, and any amendments thereto, that the Managers consider appropriate or advisable.

  
 1.3 Term. The term of the Company shall commence on the
date the Certificate of Formation was filed with the Delaware Secretary of State (“Formation Date”) and shall continue until dissolved upon the occurrence of an event set forth in Section 9.1. 
  
 1.4 Registered Office and Agent. The Company shall continuously
maintain a registered office and agent in the State of Delaware as required by the Act. The Company’s registered office in the State of Delaware shall be the initial registered office named in the Certificate of Formation or such other office
(which need not be a place of business of the 

  

 -2- 

 
Company) as the Managers may designate from time to time in the manner provided by the Act. The initial registered agent for service of process for the
Company shall be as stated on the Certificate of Formation or as otherwise determined by the Managers. The Managers may change the agent for service of process at any time. 
  
 1.5 Principal Place of Business. The principal place of business of the Company shall be 3763 Howard Hughes Parkway,
Las Vegas, Nevada 89109, or such other location as the Managers may determine. 
  
 1.6 Addresses of the Members. The respective addresses of the Members and the Managers are set forth on Exhibit A. 
  
 1.7 Purpose and Business of Company. Without the unanimous consent of the Members, the Company shall not engage in any business other than the
Company Business. 
  
 1.8 Title to Company Property. Title
to property acquired by or contributed to the Company shall be placed in the name of the Company and shall remain in the Company’s name for as long as the Company owns the property. 
  
 1.9 Definitions. The capitalized terms used in this Agreement shall have the meanings specified on Exhibit B; or, if
not defined on Exhibit B, as such terms are defined elsewhere in this Agreement. 
  
 1.10 Filing of Other Certificates. In addition to the Certificate of Formation, the Managers shall execute, file, publish and record all such certificates, notices, statements and other instruments and
amendments thereto for the formation and operation of a limited liability company as the Managers deem necessary. 
  
 1.11 Qualification in Other Jurisdictions. The Managers shall cause the Company to be qualified, formed or registered under assumed or fictitious
names statutes or similar laws in any jurisdiction in which the Company transacts business in such qualification, formation or registration is required or desirable. 
  
 1.12 Tax Treatment. The Members agree that the Company shall be treated as a partnership for federal income tax
purposes and no Member or Manager shall act in a manner that would cause the Company to lose its federal partnership tax classification without the written consent of all of the Members. 
  
 1.13 Company Agreements. The Members hereby direct, and the Managers shall cause, the Company to enter into a
Development Agreement with Infonox on the Web, a California corporation, in the form attached hereto as Exhibit F (the “Infonox Development Agreement”) and an Agreement for Electronic Payment Processing with USA Payment, Inc., or other
network processing companies as agreed upon by the Members, in the form attached hereto as Exhibit G (the “Electronic Payment Processing Agreement”). 
  

 -3- 

 ARTICLE 2 
  
 CAPITAL CONTRIBUTIONS 
  
 2.1 Initial Capital Contributions. Each Member shall be obligated to make any and all contributions in accordance with Article 1 of the
Contribution Agreement (the “Initial Capital Contribution”). In exchange for its Initial Capital Contribution, GCA shall receive (i) six thousand (6,000) Units, and (ii) a credit to its Capital Account equal to $120,000. In exchange for
its Initial Capital Contribution, IGT shall receive (i) four thousand (4,000) Units, and (ii) a credit to its Capital Account equal to $80,000. 
  
 2.2 Mandatory Capital Contributions. 
  
 (a) Mandatory Capital Call. In the event that, from time to time after the execution of this Agreement, GCA, in its sole, personal
and nonassignable discretion, determines that the Company requires a Mandatory Capital Call, each of the Members shall be required to make mandatory Capital Contributions (“Mandatory Capital Contributions”) to the extent so called for by
GCA in accordance with this Section 2.2(a). The respective portion of any Mandatory Capital Contributions to be contributed by each Member shall be determined on a pro rata basis in accordance with each Member’s Membership Units in the Company
at the time of such call. Any such call for Mandatory Capital Contributions from the Members shall be evidenced in a notification delivered to the Members which shall specify the amount of such Mandatory Capital Contributions required from each
Member. On or prior to the 20th day following the delivery of such written call notice, the Members shall contribute or cause there to be contributed to the Company an amount (in cash) equal to such Member’s required portion of the mandatory
Capital Contributions so called for by GCA. Notwithstanding anything contained herein to the contrary, in no event shall any Member be obligated to contribute to the Company more than such Member’s pro rata portion of $10,000,000 in aggregate
Mandatory Capital Contributions without the unanimous approval of the Members. 
  
 (b) Member’s Failure to Contribute. In addition to any other remedies available to the Company, in the event any Member fails
to make such Member’s full pro rata share of a Mandatory Cash Contribution, but other Members make such Members’ full pro rata share of such Mandatory Cash Contributions, such non-contributing Member shall be deemed to be in default of
this Agreement, and the Membership Units of each Member who has made such Mandatory Cash Contribution shall be adjusted by issuing to each such Member such number of Membership Units as shall be determined by good faith negotiation between the
contributing Member (or Members) and the non-contributing Member (or Members). In the event the Members are unable to agree upon the issuance of additional Membership Units within 30 days following completion of the Mandatory Capital Contribution,
then the Mandatory Capital Contribution contributed by each contributing Member shall become a demand loan from such Member to the Company bearing interest at a per annum rate equal to three percent (3%) above the rate of interest publicly announced
by Bank of America, N.A. as its “prime” or “reference” rate on the date the Member made such contribution, with interest payable annually. No distributions shall be made to the Members hereunder until the Mandatory Capital
Contributions 

  

 -4- 

 
which are converted to a loan pursuant to this Section 2.2(b) plus interest thereon have been paid in full. 
  
 2.3 Additional Capital Contributions. Except as set forth in Sections
2.1 or 2.2, no Member shall be required to make any additional Capital Contributions. Notwithstanding the foregoing, if a Member determines that additional funds beyond the Initial Capital Contributions are necessary or appropriate for the conduct
of the Company’s business, then all of the Members must unanimously determine in writing to participate in such additional Capital Contributions on a pro rata basis in accordance with their Units. Any non pro rata Capital Contribution will
result in an appropriate adjustment in the Membership Units, or at the discretion of the contributing Member, be deemed a loan with priority over any distribution to Members, bearing interest at a per annum rate equal to three percent (3%) above the
rate of interest publicly announced by Bank of America, N.A. as its “prime” or “reference” rate on the date the Member made such contribution, with interest payable annually. 
  
 2.4 Capital Accounts. The Company shall maintain an individual Capital
Account for each Unitholder. 
  
 2.5 Return of Capital
Contributions; Interest. No Member shall have any right to withdraw or demand withdrawal of cash contributed to the capital of the Company, or to receive a distribution of cash or property from the Company, except as expressly authorized by this
Agreement. No Member shall be entitled to receive any interest with respect to the Member’s contributions to Company capital. 
  
 ARTICLE 3 
  
 MEMBERS 
  
 3.1 Limited Liability. Except as expressly set forth in this Agreement or required by law, no Member shall be personally liable for any debt, obligation, or liability of the Company, whether that liability or obligation arises in
contract, tort, or otherwise. 
  
 3.2 Admission of Additional
Members. Subject to the express limitations contained herein, additional Members may be admitted to the Company only upon the prior unanimous written consent of the Members. If the Company authorizes the issuance of any Units to any
Person other than a Member named herein (or any securities containing options or rights to acquire any Units), then the Company will first offer to sell to each Member a portion of such Units (or securities containing options or rights to acquire
Units) in an amount equal to such Member’s proportionate Membership Interest. Each Member shall be entitled to purchase such Units (or securities containing options or rights to acquire Units) at the same per Unit purchase and on the same terms
as the Units (or securities containing options or rights to acquire Units) are to be offered to such Person. Additional Members will participate in the management, Net Profits, Net Losses, and distributions of the Company on such terms as are
determined by all of the Members. Exhibit A shall be amended upon the admission of an additional Member to set forth such Member’s name, capital contribution and Membership Interest and such other 

  

 -5- 

 
information as the Managers reasonably deem necessary. Notwithstanding the foregoing, Substitute Members may only be admitted in accordance with Article 6.

  
 3.3 Vote or Written Consent of the Members. Except as
expressly provided in this Agreement, Members shall have no voting, approval or consent rights. Each matter requiring the vote or written consent of the Members shall be authorized or approved by the vote or written consent of Members holding a
Majority Interest (unless such greater percentage or unanimity is explicitly required in this Agreement to approve or disapprove such matter). Notwithstanding anything to the contrary herein, the Managers may from time to time elect to submit a
matter to the vote or approval of the Members even though the Managers are not obligated to submit such matter to the vote or approval of the Members. 
  
 3.4 Members Are Not Agents. In accordance with Section 4.1, the management of the Company is vested in the Managers. No Member, acting solely in
the capacity of a Member, is an agent of the Company nor can any Member in such capacity bind nor execute any instrument on behalf of the Company. Any Member who takes any action or binds the Company in violation of this Section 3.4 shall be solely
responsible for any loss and expense incurred by the Company as a result of the unauthorized action and shall indemnify and hold the Company and the other Members harmless with respect to the loss or expense. 
  
 3.5 Meetings of Members. No annual or regular meetings of Members are
required. 
  
 3.6 Withdrawals or Resignation. Except for
Cause, no Member may withdraw, retire or resign from the Company for a period of five years from the execution of this Agreement. In the event that a Member either withdraws after such five year period or for Cause, the non-withdrawing Members shall
have the right of first refusal under Article 6 to buy out the withdrawing Member’s Membership Interest, and all licenses granted by the withdrawing Member under the Associated Agreements will remain in full force and effect, but no continuing
technology delivery obligations of the withdrawing Member will survive. In addition, a Member withdrawing under this Section 3.6 shall provide the Company with the necessary documentation and reasonable technical support and training to enable the
Company to continue the then-current operation of the Company Business. This Section 3.6 will in no event limit a withdrawing Member’s remedies under law or equity when such withdrawal is for Cause. 
  
 3.7 Payment to Members. Except as specified in this Agreement, neither
a Member nor its Affiliates are entitled to remuneration for services rendered or goods provided to the Company. 
  
 3.8 Competing Activities. In furtherance of the respective contributions pursuant to the Contribution Agreement, by virtue of the transactions
contemplated hereby and in the Associated Agreements and more effectively to protect the value of the Company Business and to encourage and promote the flow of ideas among the Members and as a material inducement to the Members to enter into this
Agreement and the Associated Agreements and to further memorialize their fiduciary duties to one another, each Member covenants and agrees that, subject to exclusions and limitations provided in this Agreement and the Associated Agreements,
commencing on the date hereof and for so long as such Member (or its Controlled Affiliate) is a Unitholder of the Company or has an equity interest in the successor to the Company, and for a 

  

 -6- 

 
period ending on the ten year anniversary of the date such Member (or its Controlled Affiliate) is no longer a Unitholder of the Company or no longer has an
equity interest in the successor to the Company, such Member and its Controlled Affiliates will not directly or indirectly (whether as principal, agent, independent contractor, partner or otherwise), (each of the following a “Restricted
Activity”): 
  
 (a) Except as a Member of
the Company, (x) own, operate, control or otherwise possess an ownership interest in a business engaged in the Company Business or any other activity which is directly competitive with the Company Business, (y) own, develop, assist a third party in
developing, manage, operate, control, participate in, advise or otherwise possess an ownership interest in or carry on, a business engaged in the development of any Cashless Gaming Products, or (z) own, develop, or assist a third party in developing
any product or system similar in design and functionality to any Cashless Gaming Product developed, marketed, sold or maintained by the Company during the period of time in which such Member (or its Controlled Affiliate) was a Unitholder of the
Company or had an equity interest in the successor to the Company; in each case, anywhere in the world, it being understood by the parties hereto that the Company Business is not limited to any particular region because such business may be engaged
in effectively from any location where such Cashless Gaming Product is legal; 
  
 (b) With respect to IGT and its Controlled Affiliates, own, operate, control or otherwise possess an ownership interest in any business that is substantially similar to the GCA Business (other than as a member in the
Company); 
  
 (c) With respect to GCA and its
Controlled Affiliates, own, operate, control or otherwise possess an ownership interest in any business that is substantially similar to the IGT business (other than as a member in the Company); 
  
 provided, however, that nothing set forth in this Section 3.8 shall prohibit
any Member or any of its Controlled Affiliates from: (i) owning not in excess of 10% of the aggregate of any class of capital stock of any corporation engaged in any Restricted Activity if such stock is publicly traded and listed on any national or
regional stock exchange or on the NASDAQ National Market System; (ii) acquiring, and following such acquisition, actively engaging in, any business that has a subsidiary, division, group, franchise or segment that is engaged in any Restricted
Activity, so long as: (A) on the date of such acquisition, not more than 25% of the consolidated revenues of such business are derived from such Restricted Activity and (B) such business divests itself of such subsidiary, division, group, franchise
or segment as soon as practicable after the date of such acquisition, provided, that with respect to any purchase intended to be accounted for as a pooling of interests under generally accepted accounting principles or treated for federal income tax
purposes as a tax-free reorganization, no such divestiture shall be required until, in the reasonable opinion of the acquirer, such divestiture would no longer endanger the accounting of such acquisition as a pooling of interests under generally
accepted accounting principles or the treatment for federal income tax purposes of such acquisition as a tax-free reorganization; (iii) performing any services pursuant to this Agreement or any Associated Agreement; and (iv) except for the
Restricted Activities (to the extent not otherwise permitted), engaging in any other activity which may now or hereafter be engaged in by such party; 
  

 -7- 

 provided, further, that nothing set forth in this Section 3.8 shall prohibit (A) GCA from providing cash
access services that are outside of the scope of the Company Business and the IGT Business or from providing or processing internet and web based transactions; or (B) IGT from engaging in any business or activity outside the scope of the Company
Business and the GCA Business, providing ticket printers, voucher systems, smart card systems or other forms of “cashless” gaming products that are outside the scope of the Company Business and the GCA Business, or providing slot machines,
gaming equipment and gaming computer systems to any customer even if such customer chooses to utilize a product competitive to a Cashless Gaming Product developed by the Company pursuant to the Company Business; and 
  
 provided, further, that upon the withdrawal of a Member from the Company for
Cause, or termination of the Licenses pursuant to Paragraph 13.3 of the License Agreement, the obligations set forth in this Section 3.8 shall expire with respect to such withdrawing Member or licensing Parties as the case may be. 
  
 provided, further, that notwithstanding anything to the contrary herein or
any agreement that is an Exhibit to this Agreement, neither the Company, GCA nor IGT are precluded from operating or participating in internet or web-based gaming or other internet activities. 
  
 3.9 Transactions Between the Company and the Members. Notwithstanding
that it may constitute a conflict of interest, the Members and their Affiliates may engage in any transaction with the Company so long as such transaction is not expressly prohibited by this Agreement and, unless explicitly stated to the contrary
herein, so long as the terms and conditions of such transaction, on an overall basis, are fair and reasonable to the Company and are at least as favorable to the Company as those that are generally available from persons capable of similarly
performing them. A transaction shall be conclusively determined to constitute a transaction on terms and conditions, on an overall basis, fair and reasonable to the Company and at least as favorable to the Company as those generally available in a
similar transaction if such transaction is approved in writing by all of the Managers after being apprised of all material facts necessary to form such a conclusion. 
  
 3.10 Termination of Membership Interest. Upon (i) the transfer of all or a portion of a Member’s Membership
Interest in violation of this Agreement, or (ii) the occurrence of a Dissociation Event of a Member which does not result in the admission of a Substitute Member pursuant to Section 6.3 as to such Member’s Membership Interest, the Membership
Interest of such Member may be purchased by the Company or remaining Members as provided herein, or, if not so purchased, such Membership Interest shall become an Economic Interest and the balance of the rights associated with the Membership
Interest (including without limitation, the right of the Member to vote or participate in the management of the business, property and affairs of the Company) may be purchased by the Company pursuant to Section 6.7. 
  
 3.11 Gaming Industry Regulatory Compliance. 
  
 (a) Each of the Members and the Company agree to fully
cooperate with requests, inquiries or investigations of any gaming regulatory authorities or law enforcement agencies in connection with the performance of this Agreement, including the disclosure of information to gaming regulatory agencies that
would otherwise be considered confidential under 

  

 -8- 

 
other sections of this Agreement. If any approval and/or license necessary for the performance of this Agreement is denied, suspended or revoked, this
Agreement shall terminate immediately and the Company shall dissolve and wind up its affairs in accordance with Article 9; provided, however, that the provisions of Article 10 and the obligations that would otherwise survive termination of this
Agreement or the withdrawal of a Member by its terms, including without limitation obligations under Section 3.8 and obligations relating to confidentiality and nondisclosure, shall survive termination of this Agreement and, provided further,
however, that if the denial, suspension or revocation affects performance of this Agreement in part only, the parties agree to continue to perform their obligations and duties to the extent the Agreement is not affected by such denial, suspension or
revocation. 
  
 (b) The continued suitability
under the standards of the gaming regulators of the Members is a mandatory requirement placed upon IGT by the gaming bodies which enforce the strict gaming laws and regulations of this industry and the parties hereto acknowledge the need to comply
with these requirements and reasonably cooperate with IGT in this regard as an ongoing material condition of this Agreement. From time to time during the term of this Agreement, IGT shall provide GCA copies of applicable suitability standards of
applicable gaming regulations. 
  
 ARTICLE 4 
  
 MANAGEMENT AND CONTROL OF THE COMPANY 
  
 4.1 Management of the Company by Managers. 
  
 (a) Management by Managers. The overall business,
property and affairs of the Company shall be managed by the Managers, who may, but need not, be Members. Except for situations in which the approval of the Members is expressly required by the Act, the Certificate of Formation or this Agreement, the
Managers shall have full, complete and exclusive authority, power, and discretion to manage, and control the business, property and affairs of the Company, to make all decisions regarding those matters and to perform any and all other acts or
activities customary or incident to the management of the Company’s business, property and affairs. 
  
 (b) Meetings of Managers. The Managers shall meet at least monthly. No notice need be given to Managers of regular meetings for
which the Managers have previously designated a time and place for the meeting. Special meetings of the Managers may be held at any time upon the request of the President of the Company, if any, or a Manager. Notification of any Special Meeting
shall be sent to the last known address of each Manager at least five (5) days before the meeting. Meetings of the Managers may be held at any place within or without the State of Nevada which has been designated in the notice of the meeting or at
such place as may be approved by the Managers. Managers may participate in the meeting through use of conference telephone or similar communications equipment, so long as all Managers participating in such meeting can hear one another. Participation
in a meeting in such manner constitutes a presence in person at such meeting. All Managers must be present at a meeting in order to form a quorum of the Managers for the purpose of transacting Company business. Except to the extent that this 

  

 -9- 

 
Agreement expressly requires the approval of all Managers, every act or decision done or made by the Managers whether at a meeting duly held at which a
quorum is present or by written consent must be approved by at least two Managers. Unless expressly stated to the contrary, any provision in this Agreement requiring the consent or approval of the Managers shall mean the consent of at least two
Managers. 
  
 4.2 Election of Managers. 
  
 (a) Number, Term, and Qualifications. The Company
shall initially have three (3) Managers, two (2) Managers to be designated by GCA, and one (1) Manager to be designated by IGT. Until the number of Managers is changed pursuant to this Agreement, GCA shall have the power to elect and remove its two
(2) designee Managers and IGT shall have the power to elect and remove its one (1) designee Manager. No Member may unilaterally remove the designee Manager of the other Member. Should the number of Members increase as provided herein, thereafter the
number of Managers of the Company and the number of Managers each Member is entitled to elect and remove shall be fixed from time to time by the affirmative vote or written consent of all the Members. Unless a Manager resigns or is removed, each
Manager shall hold office until a successor shall have been elected, or appointed and qualified. Successor Managers shall be elected by the affirmative vote or written consent of the Members entitled to elect and remove such Manager. A Manager need
not be a Member, an individual, a resident of the State of Delaware, or a citizen of the United States. 
  
 (b) Resignation. Any Manager may resign at any time by giving written notice to the Members entitled to elect and remove such
Manager and the remaining Managers, if any. Any such resignation shall be without prejudice to the rights, if any, of the Company under any contract to which the resigning Manager is a party. The resignation of any Manager shall take effect upon
receipt of that notice or at such later time as shall be specified in the notice; and, unless otherwise specified in the notice, the acceptance of the resignation shall not be necessary to make it effective. The resignation of a Manager who is also
a Member shall not affect the Manager’s rights as a Member and shall not constitute a withdrawal of a Member. 
  
 (c) Removal. A Manager may be removed at any time, with or without cause, by the affirmative vote or written consent of Members
entitled to elect or remove such Manager. Any removal shall be without prejudice to the rights, if any, of a Manager under any employment contract. 
  
 (d) Vacancies. Any vacancy occurring for any reason in the number of Managers may be filled by the affirmative vote or written
consent of Members entitled to elect and remove the Manager causing the vacancy. 
  
 4.3 Power of Managers. Without limiting the generality of Section 4.1 but subject to Sections 4.4 and 4.5 and to the express limitations set forth elsewhere in this Agreement, the Managers shall have complete
and exclusive discretion in the management and control of the business and affairs of the Company, including the right to make and control all ordinary and usual decisions concerning the business and affairs of the Company. The Managers shall
possess all power, on behalf of the Company, to do or authorize the Company or to direct the executive officers of the Company, on behalf of the Company, to do all things necessary or 

  

 -10- 

 
convenient to carry out the business and affairs of the Company. The President shall submit to the Members for their approval each year a strategic plan, the
Operating Plan, and the Annual Budget for the Company and any of its subsidiaries for the approval of the Members, and, provided that all costs, expenses and other obligations are within such approved Annual Budget, the Managers shall have all
necessary powers, including, without limitation, to: 
  
 (a) Acquire, purchase and own property or assets that the Managers determine is necessary or appropriate or in the interest of the business of the Company, and to acquire options for the purchase of any such property; 
  
 (b) Guarantee the payment of money or the performance of any
contract or obligation of any Person; 
  
 (c)
Issue notes, bonds, and other obligations and secure any of them by mortgage or deed of trust or security interest of any or all of the Company’s assets; 
  

(d) Retain legal counsel, auditors, and other professionals in connection with the Company business and to pay therefor such
remuneration as the Managers may determine; 
  
 (e) Care for and distribute funds to the Members by way of cash flow, income, return of capital, or otherwise, all in accordance with the provisions of this Agreement, and perform all matters in furtherance of the objectives of the Company
or this Agreement; 
  
 (f) Employ from time to
time, at the expense of the Company, on such terms and for such compensation as the Managers may determine, but subject to this Agreement, Persons to render services to the Company; and 
  
 (g) Make elections for federal, state and local tax purposes, including without limitation, any election
permitted by applicable law to (i) adjust the basis of the Company property pursuant to Code Sections 754, 734(b), and/or 743(b), and/or comparable provisions of state or local law in connection with the transfer of Membership Units; and (ii) extend
the statute of limitations for assessment of tax deficiencies against Members with respect to adjustments to the Company’s federal, state or local tax returns. 
  
 The expression of any power or authority of the Managers in this Agreement shall not in any way limit or exclude any other
power or authority which is not specifically or expressly set forth in this Agreement. The rights and powers of the Managers hereunder shall be exercised by the Managers in such manner as they may agree, including without limitation by delegating
responsibility for conduct of Company business or any portion thereof to any one (1) or more of the Managers or officers of the Company or officers of either Member. Any such delegation of responsibility or authority to one (1) or more Managers or
officers of the Company or officers of either Member may be revoked at any time by the remaining Managers. Initially, responsibility for the day-to-day operations of the Company shall be delegated to the officers of GCA. 
  
 4.4 Limitations on Power of Managers. Notwithstanding any other
provisions of this Agreement, no Manager shall have authority hereunder to cause the Company to engage in the 

  

 -11- 

 
following transactions without first obtaining the affirmative vote or written consent of all the Members: 
  
 (a) The incurrence of Company debt in excess of amounts set
forth in the Annual Budget; 
  
 (b) The sale,
merger, consolidation, conversion of the Company to or with any other Person; 
  
 (c) The establishment of different classes of Members; 
  
 (d) Engage in any business other than the Company Business and such activities as are necessarily incidental thereto; 

 
 (e) Any act which would make it impossible to carry on
the ordinary business of the Company; 
  
 (f) The
confession of a judgment against the Company; 
  
 (g) The commencement or settlement of any litigation that is material to the Company or any subsidiary of the Company; 
  
 (h) Payment or assumption of obligations outside of the Annual Budget or the payment, incurrence or assumption of any single cost,
indebtedness, expense or other expenditure in excess of $200,000; 
  
 (i) The initial determination of the salaries of the Company’s Manager’s and officers, and thereafter, any increase in a Manager’s or an officer’s annual salary in excess of five percent (5%) of
the prior year’s based salary and all management bonus and incentive compensation plans; 
  
 (j) Except as otherwise provide for in the Annual Budget and Operating Plan, the sale, exchange or other disposition of Company assets
aggregating ten thousand dollars ($10,000) or more as part of a single transaction or plan, or in multiple transactions over a twelve (12) month period, except in the orderly liquidation and winding up of the business of the Company upon its duly
authorized dissolution; 
  
 (k) The issuance of
any new Units or other equity interests in the Company other than as provided under Sections 2.2 and 2.3; 
  
 (l) Any transaction (including, without limitation, the purchase, sale, lease, or exchange of any property, or the lending of funds, or
the rendering of any service, or the establishment of any salary, other compensation, or other terms of employment) between the Company and any Manager, Member, Affiliate of a Manager, Member or member of a Member, or an officer, director, employee,
or other agent of a Manager or Member; or 
  
 (m)
Approval of the Company’s Annual Budget and Operating Plan. 
  

 -12- 

 4.5 Members Have No Managerial Authority. The Members shall have no power to participate in the
management of the Company except as expressly authorized by this Agreement or the Certificate of Formation and except as expressly required by the Act. Unless expressly and duly authorized in writing to do so by the Managers or by this Agreement, no
Member shall have any power or authority to bind or act on behalf of the Company in any way, to pledge its credit, or to render it liable for any purpose. 
  
 4.6 Performance of Duties; Liability of Managers. Every Manager shall discharge his duties as a Manager in good faith, with the care an ordinarily
prudent person in a like position would exercise under similar circumstances, and in a manner he reasonably believes to be in the best interests of the Company. A Manager shall not be liable for any monetary damages to the Company for any breach of
such duties except for receipt of a financial benefit to which the Manager is not entitled; voting for or assenting to a distribution to Members in violation of this Agreement or the Act; or a knowing violation of the Agreement or of the law.

  
 4.7 Transactions between the Company and a Manager. The
Managers may, and may cause their Affiliates to, engage in any transaction (including, without limitation, the purchase, sale, lease, or exchange of any property, or the lending of funds, or the rendering of any service, or the establishment of any
salary, other compensation, or other terms of employment) with the Company only if such transaction is approved by all of the Members. Any agreements authorized to be executed and delivered under the terms of this Agreement shall be deemed approved
by all of the Members. 
  
 4.8 Payments to Managers. Except
as otherwise authorized in, or pursuant to, this Section 4.8 or this Agreement, neither the Managers nor their Affiliates are entitled to remuneration for services rendered or goods provided to the Company unless otherwise approved by the Members
pursuant to Section 4.4(i). The Company shall reimburse a Manager and such Manager’s Affiliates for the actual cost of goods and materials used for or by the Company. 
  
 4.9 Appointment of Officers. The Managers may appoint officers at any time which officers may include a president,
one or more vice presidents or executive vice presidents, secretary, chief financial officer, and such other officers as deemed necessary by the Managers. The officers shall serve at the pleasure of the Managers, subject to all rights, if any, of an
officer under any contract of employment. Any individual may hold any number of offices. The officers shall exercise such powers and perform such duties as specified in this Agreement and as shall be determined from time to time by the Managers.

  
 (a) Removal, Resignation, and Filling of
Vacancy of Officers. Subject to the rights, if any, of an officer under a contract of employment, any officer may be removed, with or without cause, by the Managers at any time. Any officer may resign at any time by giving written notice to the
Managers. Any resignation shall take effect at the date of the receipt of that notice or at any later time specified in that notice; and, unless otherwise specified in that notice, the acceptance of the resignation shall not be necessary to make it
effective. Any resignation is without prejudice to the rights, if any, of the Company under any contract to which the officer is a party. A vacancy in any office because of death, resignation, removal, disqualification or any 

  

 -13- 

 
other cause shall be filled in the manner prescribed in this Agreement for regular appointments to that office. 
  
 (b) Salaries of Officers. Subject to Section 4.4(i),
the salaries of all officers and agents of the Company shall be fixed by the Managers. 
  
 (c) Duties and Powers of the President. Subject to such supervisory powers, if any, as may be given by the Managers to the
chairman, if there be such an officer, the president shall be the chief executive officer of the Company, and shall, subject to the control of the Managers, have general and active management of the business of the Company and shall see that all
orders and resolutions of the Managers are carried into effect. He or she shall have the general powers and duties of management usually vested in the office of president of a corporation, and shall have such other powers and duties as may be
prescribed by the Managers or this Agreement. 
  
 The president shall execute bonds, mortgages and other contracts requiring a seal, under the seal of the Company, except where required or permitted by law to be otherwise signed and executed, and except where the signing and execution
thereof shall be expressly delegated by the Managers to some other officer or agent of the Company. 
  
 (d) Duties and Powers of the Vice-President. The vice-president or executive vice-president, or if there shall be more than one,
the vice-presidents or executive vice-presidents in the order determined by a resolution of the Managers, shall, in the absence or disability of the president, perform the duties and exercise the powers of the president and shall perform such other
duties and have such other powers as the Managers by resolution may from time to time prescribe. 
  
 (e) Duties and Powers of the Secretary. The secretary shall attend all meetings of the Managers and Members, and shall record all
the proceedings of the meetings in a book to be kept for that purpose, and shall perform like duties for the standing committees when required. The secretary shall give, or cause to be given, notice of all meetings of the Managers and Members and
shall perform such other duties as may be prescribed by the Managers. The secretary shall have custody of the seal, if any, and the secretary shall have authority to affix the same to any instrument requiring it, and when so affixed, it may be
attested by his or her signature. The Managers may give general authority to any other officer to affix the seal of the Company, if any, and to attest the affixing by his or her signature. 
  
 The secretary shall keep, or cause to be kept, at the
principal executive office or at the office of the Company’s transfer agent or registrar, as determined by resolution of the Managers, a register, or a duplicate register, showing the names of all Members and their addresses, Units, the number
and date of certificates issued for the same (if any), and the number and date of cancellation of every certificate surrendered for cancellation (if any). The secretary shall also keep all documents as may be required under the Act. The secretary
shall perform such other duties and have such other authority as may be prescribed elsewhere in this Agreement or from time to time by the Managers. The secretary shall have the general duties, powers and responsibilities of a secretary of a
corporation. 
  

 -14- 

 If the Managers choose to appoint an assistant secretary or assistant secretaries, the
assistant secretaries, in the order of their seniority, in the absence, disability or inability to act of the secretary, shall perform the duties and exercise the powers of the secretary, and shall perform such other duties as the Managers may from
time to time prescribe. 
  
 (f) Duties and
Powers of the Chief Financial Officer. The chief financial officer shall keep and maintain, or cause to be kept and maintained, adequate and correct books and records of accounts of the properties and business transactions of the Company,
including accounts of its assets, liabilities, receipts, disbursements, gains, losses, capital, and Units. The books of account shall at all reasonable times be open to inspection by any Manager. 
  
 The chief financial officer shall have the custody of the
funds and securities of the Company, and shall keep full and accurate accounts of receipts and disbursements in books belonging to the Company, and shall deposit all moneys and other valuable effects in the name and to the credit of the Company in
such depositories as may be designated by the Managers. 
  
 The chief financial officer shall disburse the funds of the Company as may be ordered by the Managers, taking proper vouchers for such disbursements, and shall render to the president and the Managers, at their
regular meetings, or when Managers so require, at a meeting of the Managers an account of all his or her transactions as chief financial officer and of the financial condition of the Company. 
  
 The chief financial officer shall perform such other duties
and shall have such other responsibility and authority as may be prescribed elsewhere in this Agreement or from time to time by the Managers. The chief financial officer shall have the general duties, powers and responsibility of a chief financial
officer of a corporation, and shall be the chief financial and accounting officer of the Company. 
  
 If the Managers choose to elect an assistant treasurer or assistant treasurers, the assistant treasurers in the order of their seniority
shall, in the absence, disability or inability to act of the chief financial officer, perform the duties and exercise the powers of the chief financial officer, and shall perform such other duties as the Managers shall from time to time prescribe.

  
 (g) Acts of Officers as Conclusive
Evidence of Authority. Any note, mortgage, evidence of indebtedness, contract, certificate, statement, conveyance, or other instrument in writing, and any assignment or endorsement thereof, executed or entered into between the Company and any
other Person, when signed by the chairman of the board, the president or any vice president and any secretary, any assistant secretary, the chief financial officer, or any assistant treasurer of the Company, is not invalidated as to the Company by
any lack of authority of the signing officers in the absence of actual knowledge on the part of the other Person that the signing officers had no authority to execute the same. 
  
 (h) Signing Authority of Officers. Subject to any restrictions imposed by the Managers, any officer,
acting alone, is authorized to endorse checks, drafts, and other evidences of indebtedness made payable to the order of the Company, but only for the purpose of deposit into the Company’s accounts. Unless the Managers specifically provide
otherwise, all checks, 

  

 -15- 

 
drafts, and other instruments obligating the Company to pay money as well as all contracts, obligations and other documents must be signed on behalf of the
Company by the President. 
  
 ARTICLE 5 
  
 ALLOCATIONS OF NET PROFITS AND NET LOSSES AND DISTRIBUTIONS 
  
 5.1 Allocations of Net Profit and Net Loss. 
  
 (a) Net Loss. Subject to the limitation set forth in
Section 5.1(b), Net Losses for each Fiscal Year shall be allocated to the Unitholders in proportion to their Units. 
  
 (b) Loss Limitation. Notwithstanding Section 5.1(a), loss allocations to a Unitholder shall be made only to the extent that such
loss allocations will not create a deficit Capital Account balance for that Unitholder in excess of an amount, if any, equal to such Unitholder’s share of Company Minimum Gain that would be realized on a foreclosure of the Company’s
property. Any loss not allocated to a Unitholder because of the foregoing provision shall be allocated to the other Unitholders (to the extent the other Unitholders are not limited in respect of the allocation of losses under this Section 5.1(b)).
Any loss reallocated under this Section 5.1(b) shall be taken into account in computing subsequent allocations of income and losses pursuant to this Article 5, so that the net amount of any item so allocated and the income and losses allocated to
each Unitholder pursuant to this Article 5, to the extent possible, shall be equal to the net amount that would have been allocated to each such Unitholder pursuant to this Article 5 if no reallocation of losses had occurred under this Section
5.1(b). 
  
 (c) Net Profit. Subject to
allocations under Section 5.1(b), Net Profit shall be allocated to the Unitholders in proportion to their Units. 
  
 5.2 Tax Allocations. 
  
 (a) General Tax Allocations. Except as otherwise set forth in this Agreement, every item of income, gain, loss, deduction, or
credit of the Company shall be allocated for income tax purposes to each Unitholder insofar as possible in accordance with the allocation of Net Profits and Net Losses for book accounting purposes. 
  
 (b) Method of Allocations. The Members shall make any
elections or other decisions relating to tax allocations in a manner that reasonably reflects the intention of this Agreement. Allocations pursuant to this Section 5.2 are solely for purposes of federal, state, and local taxes and shall not affect,
or in any way be taken into account in computing, any Person’s Capital Account or share of Net Profits, Net Losses, other items or distributions pursuant to any provision of this Agreement. 
  
 (c) Contributed Property. In accordance with Code
Section 704(c) and the Regulations thereunder, items of income, gain, loss and deduction with respect to any property contributed to the capital of the Company shall, solely for tax purposes, be allocated among the Members using the traditional
method described in Treasury Regulations Section 1.704-3(b) so as to take account of any variation between the adjusted basis of such property to the Company for 

  

 -16- 

 
federal income tax purposes and its fair market value on the date of contribution (as determined by the contributing Member and the Company, and subject to
the Contribution Agreement). 
  
 (d)
Adjustments to Book Value. If the Book Value of any Company asset is adjusted pursuant to paragraph (a) under the definition of Book Value, subsequent allocations of income, gain, loss, and deduction with respect to such asset shall take
account of any variation between the adjusted basis of such asset for federal income tax purposes and its Book Value in the same manner as under Code Section 704(c) and the Treasury Regulations thereunder. 
  
 (e) All items of income, gain, loss, deduction and credit
recognized by the Company for federal income tax purposes and allocated to the Members in accordance with the provisions hereof shall be determined without regard to any election under Section 754 of the Code which may be made by the Company;
provided, however, that such allocations, once made, shall be adjusted as necessary or appropriate to take into account those adjustments permitted by Sections 734 and 743 of the Code. 
  
 (f) Whenever the income, gain and loss of the Company allocable hereunder consists of items of different
character for tax purposes (e.g., ordinary income, long-term capital gain, interest expense, etc.), the income, gain and loss for tax purposes allocable to each Member shall be deemed to include its pro rata share of each such item.
Notwithstanding the foregoing if the Company realizes depreciation recapture income pursuant to Section 1245 or Section 1250 (or other comparable provision) of the Code as the result of the sale or other disposition of any asset, then, except as
otherwise expressly required by Sections 1.1245-1(e) and 1.1250-1(f) of the Treasury Regulations, the allocations to each Member hereunder shall be deemed to include the same proportion of such depreciation recapture as the total amount of
deductions for tax depreciation of such asset previously allocated to such Member bears to the total amount of deductions for tax depreciation of such asset previously allocated to all Members. This Section 5.2(f) shall be construed to affect only
the character rather than the amount, of any items of income, gain and loss. 
  
 5.3 Distributions and Allocations with Respect to Transferred or Newly Issued Units. 
  
 (a) Newly Issued Units. If the Company issues Units on different dates during any fiscal year, the Net Profits, Net Losses, each
item thereof, and all other items allocable to the Unitholders for each such fiscal year shall be allocated among the Unitholders in proportion to the number of Units each holds from time to time during the fiscal year in accordance with Code
Section 706(d), using any convention permitted by law and selected by the Members. 
  
 (b) Transferred Units. If any Unit is transferred during any accounting period in compliance with Article 6, Net Profits, Net
Losses, each item thereof, and all other items attributable to the Unit for such period shall be divided and allocated between the transferor and the transferee by taking into account their varying interests during the period in accordance with Code
Section 706(d), using any conventions permitted by law and selected by the Members. All distributions on or before the date of such transfer shall be made to the transferor, and all distributions thereafter shall be made to the transferee. Solely
for purposes of making such allocations and distributions, the Company shall recognize such transfer not later than the end of the calendar month during which it is given notice of such transfer, provided that if the Company 

  

 -17- 

 
does not receive a notice stating the date such Unit was transferred and such other information as the non-transferring Members may reasonably require within
thirty (30) days after the end of the accounting period during which the transfer occurs, then all of such items shall be allocated, and all distributions shall be made, to the Person who, according to the books and records of the Company, on the
last day of the accounting period during which the transfer occurs, was the owner of the Unit. Neither the Company nor any Member shall incur any liability for making allocations and distributions in accordance with the provisions of this Section
5.3(b), whether or not any Member or the Company has knowledge of any transfer of ownership of any Unit. 
  
 5.4 Distributions of Cash. Subject to applicable law and any limitations contained elsewhere in this Agreement, at the end of each fiscal quarter
of the Company, the Managers shall distribute an amount of cash to the Unitholders, which distributions shall be made to the Unitholders in proportion to their Units, with cash that is available at the time of distribution after all other required
distributions and obligations have been met, including, without limitation: (i) reserving operating expenses for the following 60 days based upon the operating budget of the Company for such fiscal year; (ii) maintaining a reasonably prudent
debt-to-equity ratio; (iii) funding expected capital expenditures required in the Annual Budget; (iv) funding contingent liabilities; and (v) providing such additional reserves as the Managers determine are necessary. 
  
 5.5 Distributions in Kind. A Unitholder has no right to demand and
receive any distribution from the Company in any form other than money. Except for distributions in liquidation, all distributions in kind to the Unitholders shall be made to the Unitholders in proportion to their Units. No Member may be compelled
to accept from the Company a distribution of any asset in kind in lieu of a proportionate distribution of money being made to the other. Except upon dissolution and the winding up of the Company, no Member may be compelled to accept a distribution
of any asset in kind. The Company shall not, under any provision of this Agreement, distribute notes or other securities in violation of any securities or other law. 
  
 5.6 Return of Distributions. Except for distributions made in violation of the Act or this Agreement, no Unitholder
shall be obligated to return any distribution to the Company or pay the amount of any distribution for the account of the Company or to any creditor of the Company. The amount of any distribution returned to the Company by a Unitholder or paid by a
Unitholder for the account of the Company or to a creditor of the Company shall be added to the account or accounts from which it was subtracted when it was distributed to the Unitholder. 
  
 5.7 Obligations of Members to Report Allocations. The Members are aware of the income tax consequences of the
allocations made by this Article 5 and hereby agree to be bound by the provisions of this Article 5 in reporting their shares of Company income and loss for income tax purposes. 
  
 ARTICLE 6 
  
 TRANSFER AND ASSIGNMENT OF INTERESTS 
  
 6.1 Transfer and Assignment of Interests. No Member shall be entitled to transfer, assign, convey, sell, encumber or in any way alienate all or
part of its Membership Interest, except 

  

 -18- 

 
as permitted pursuant to this Article 6. All transfers shall be made in strict compliance with the provisions of this Article 6. Any transfer in violation of
this Section 6.1 shall be voidable by any Member. No Member shall be entitled to transfer, assign, convey, sell, encumber or in any way alienate all or any part of its Membership Interest without the prior written consent of the remaining Members.
After the consummation of any transfer of any part of a Membership Interest, the Membership Interest so transferred shall continue to be subject to the terms and provisions of this Agreement and any further transfers shall be required to comply with
all the terms and provisions of this Agreement. 
  
 6.2
Transfers to Affiliates. Notwithstanding anything to contrary in Section 6.1, Members may transfer some or all of their Membership Interest to a wholly owned Affiliate or, in the case of GCA, to a member of GCA, without the consent of the
remaining Members, provided that such transfer (i) meets all applicable gaming regulations and other regulatory licensing requirements, (ii) will not cause the dissolution of the Company under the Act, (iii) will not cause the termination of the
Company under Section 708(1)(B) of the Code, or (iv) will not cause the Company to be treated as a publicly traded partnership under Section 7704 of the Code. Notwithstanding the foregoing, such assignment will not relieve the assignor from any
obligations under this Agreement or the Associated Agreements. 
  
 6.3 Substitution of Members. An assignee of Units shall have the right to become a Substitute Member on satisfaction of the conditions in Section 6.2 or on the satisfaction of the following conditions: 
  
 (a) The written consent of all of the non-transferring
Members, the granting or denial of which shall be within the absolute discretion of each such Member. Notwithstanding the foregoing and subject to all other requirements of this Section 6.3, the consent of the non-transferring Members shall not be
required to become a Member for any assignments of Units to a Member: 
  
 (b) The filing with the Company of a duly executed written instrument of assignment in a form approved by the Managers specifying the interest being assigned and setting forth the intention of the assignor that the
assignee succeed to the assignor’s interest as a Member with respect to such interest; 
  
 (c) The execution and acknowledgment by the assignor (except in the case of an assignment occurring by will, intestate succession, or
otherwise by operation of law) and assignee of any other instruments that the Managers deem necessary or appropriate including, without limitation, an instrument accepting and adopting the terms and provisions of this Agreement; and 
  
 (d) The payment by the assignor or the assignee of all
reasonable expenses, including attorneys’ fees, incurred by the Company in connection with the assignment and substitution. 
  
 The admission of a Substitute Member pursuant to this Section 6.3 shall not result in the release of the assignor from any liability that he, she or it
may have to the Company. 
  

 -19- 

 6.4 Assignee’s Rights. 
  
 (a) Subject to compliance with the Company’s and Members’ rights of first refusal under this
Article 6, an assignee of a Member’s Interest shall be entitled to receive distributions of Net Cash Flow, and allocations of Net Profit and Net Losses attributable to the interest after the effective date of the assignment. The effective date
of an assignment shall be the later of (i) the date of receipt and acceptance by the Managers of the written notice of the assignment and all other documents required under this Article 6, or (ii) such later date as may be specified in the notice of
assignment. Notwithstanding anything to the contrary in this Section, distributions and allocations among the assignee and assignor shall be subject to the provisions of Section 5.3. 
  
 (b) An assignee shall be entitled to become a Substituted Member upon the terms and conditions set forth in
Section 6.3. Unless and until an assignee becomes a Substituted Member in accordance with the provisions of Section 6.3, the assignee shall not be entitled to any of the rights granted to a Member under this Agreement other than the rights granted
to an assignee under Section 6.3(a). 
  
 (c) The
Company and the Members shall be entitled to treat the record owner (as reflected on the books of the Company) of any Company Units as the absolute owner thereof in all respects, and shall incur no liability for distributions of Net Cash Flow made
in good faith to such owner until such time as a written assignment of such interest has been received by the Managers and recorded on the books of the Company. In no event shall any Units be sold, transferred or assigned to an incompetent or a
minor (unless to a custodian or trustee or other fiduciary for the benefit of such minor or incompetent). 
  
 (d) Any purported assignment of an interest in the Company which is not in compliance with this Agreement is hereby declared to be null
and void and of no force or effect whatsoever. For purposes of this section, any transfer of an interest, whether voluntary or by operation of law, shall be considered an assignment. 
  
 6.5 Death or Incapacity of a Member. Upon the death or legal incompetency of an individual Member, such Member’s
personal representative shall have all the rights of a Member (subject to any obligations of the Member to the Company) for the purpose of settling or managing the Member’s estate, and such power as the decedent or incompetent possessed to
constitute a successor as an assignee of his or her interest in the Company and to join with such assignee in making application to substitute such assignee as a Member. 
  
 6.6 Bankruptcy or Dissolution of a Member. Upon the bankruptcy, insolvency, dissolution (other than for failure to
file any required annual report or to pay any tax or fee due to the Secretary of State of the state of incorporation or organization of any Member) or other cessation to exist as a legal entity of a Member not an individual, the authorized
representative of such entity shall have all of the rights of a Member (subject to any obligation of the Member to the Company) for the purpose of effecting the orderly winding up and disposition of the business of such entity and such power as such
entity possessed to constitute a successor as an assignee of its interest in the Company and to join with such assignee in making application to substitute such assignee as a Member. 
  

 -20- 

 6.7 Option to Purchase Membership Rights. Upon and contemporaneously with any transfer,
assignment, conveyance or sale (whether arising out of an attempted charge upon that Member’s Units by judicial process, a foreclosure by a creditor of the Member or otherwise) of a Member’s Units (or portion thereof) which does not result
in the assignee becoming a Substitute Member with regard to the Units within thirty (30) days from the effective date of the assignment, the Company shall purchase from the Member for a purchase price of One Hundred Dollars ($100) all remaining
rights of membership (including, but not limited to, the right to vote or participate in the management of the business, property and affairs of the Company) retained by the Member that were associated with the transferred Units. 
  
 Each Member hereby acknowledges and agrees that the obligation of the Company
to purchase all remaining rights of membership retained by a Member upon the terms on conditions set forth in this Section 6.7 is not unreasonable under the circumstances existing as of the date hereof. 
  
 6.8 Right of First Refusal. Subject to such limitations and
restrictions that appear elsewhere in this Agreement, each time a Unitholder (“Transferor”) proposes to transfer, assign, convey, sell, encumber or in any way alienate all or any part of such Unitholder’s Units (or as required by
operation of law or other involuntary transfer to do so) to any Person other than another Member, such Transferor shall first offer such Units to the non-transferring Members in accordance with the following provisions: 
  
 (a) Transferor shall deliver a written notice (the
“Offer Notice”) to the Company and the non-transferring Members stating (i) Transferor’s bona fide intention to transfer such Interest, (ii) the name and address of the proposed transferee, (iii) the Units to be transferred (the
“Offered Units”), and (iv) the purchase price in terms of payment for which the Transferor proposes to transfer such Units; 
  
 (b) Within thirty (30) days after receipt of the Offer Notice, each non-transferring Member shall notify all other non-transferring
Members in writing of its desire to purchase a portion of the Offered Units. The failure of any Member to submit a notice within the applicable period shall constitute an election on the part of that Member not to purchase any of the Offered Units.
Each Member electing to purchase shall be entitled to purchase a portion of Offered Units in the same proportion that the number of Units owned by such Member bears to the aggregate of the Units owned by all of the Members electing to so purchase.
In the event any Member elects to purchase none or less than all of its pro rata share of the Offered Units, then the other Members can elect to purchase more than their pro rata share; 
  
 (c) Within ninety (90) days after receipt of the Offer Notice, the purchasing Members shall have the first
right to purchase or obtain the Offered Units at the price designated in the Offer Notice. The purchase price shall be paid by the purchasing Members, pursuant to the terms set forth in the Offer Notice. If the Offer Notice provides for the payment
of non-cash consideration, the purchasing Members may elect to pay the consideration in cash equal to the good faith estimate of the present fair market value of the non-cash consideration offered as determined by the purchasing Members or, if the
Transferor objects, by a qualified independent appraiser; and 
  

 -21- 

 (d) If the non-transferring Members elect not to purchase all of the Offered Units, then
the Transferor may transfer the Offered Units to the proposed transferee, providing such transfer (i) is completed within thirty (30) days after the expiration of the non-transferring Members’ right to purchase the Offered Units, and (ii) is
made on terms no less favorable to the Transferor than as designated in the Offer Notice. If the Offered Units are not so transferred, the Transferor must give notice in accordance with this Section prior to any other or subsequent transfer of such
Offered Units. Notwithstanding anything to the contrary, an assignee of the Offered Units hereunder shall only have such rights as set forth in Section 6.4 until such assignee becomes a Substitute Member pursuant to Section 6.3. 
  
 6.9 Change in Control of Members. A change in Control of a Member will
be deemed a transfer of such Member’s Membership Units for purposes of this Agreement and this Article 6, and such transfer must meet the requirements and conditions of this Article 6, including without limitation the unanimous consent of the
remaining Members, which will not be unreasonably withheld. “Control” for purposes of this Agreement means the possession, directly or indirectly, of the power to direct or cause the direction of the management and policies of a Member
either through the majority ownership of fifty percent (50%) or greater of the voting securities of such Member or fifty percent (50%) of the assets of such Member, or any combination thereof. Transfers of members interests among members of GCA,
directly or indirectly, or to affiliates of such members shall not be deemed a change in control of GCA. 
  
 ARTICLE 7 
  
 CONSEQUENCES OF A DISSOCIATION EVENT 
  
 The occurrence
of a Dissociation Event shall not dissolve the Company nor shall it require the vote of the remaining Members consenting to the continuation of the business of the Company. 
  
 ARTICLE 8 
  
 ACCOUNTING, RECORDS, REPORTING BY MEMBERS 
  
 8.1 Books and Records. The Managers shall keep the books and records of the Company in accordance with generally accepted accounting principals.
The Managers shall maintain at the Company’s principal office all of the following: 
  
 (a) A current list of the full name and last known business or residence address of each Unitholder set forth in alphabetical order,
together with the capital contributions and Units held by each Unitholder; 
  
 (b) A current list of the full name and business or residence address of each Manager; 
  
 (c) A copy of the Certificate of Formation and any and all amendments thereto together with executed copies of any powers of attorney
pursuant to which the Certificate of Formation or any amendments thereto have been executed; 
  

 -22- 

 (d) Copies of the Company’s federal, state, and local income tax or information
returns and reports, if any, for the six (6) most recent taxable years; 
  
 (e) A copy of this Agreement and any and all amendments thereto together with executed copies of any powers of attorney pursuant to which this Agreement or any amendments thereto have been executed; 
  
 (f) Copies of the financial statements of the Company, if
any, for the six (6) most recent Fiscal Years; and 
  
 (g) The Company’s books and records as they relate to the internal affairs of the Company for at least the current and past four (4) Fiscal Years. 
  

8.2 Reports. The Managers shall cause to be filed, in accordance with the Act and all applicable laws, all reports and documents required to be
filed with any governmental agency, including without limitation, and at Company expense, income tax returns of the Company. The Company shall cause to be prepared at least annually information necessary for the preparation of the Unitholders’
foreign, federal and state income tax returns. The Company shall send or cause to be sent to each Unitholder within ninety (90) days after the end of each taxable year such information as is necessary to complete foreign, federal and state
income tax or information returns. 
  
 8.3 Annual Audit.
The Managers shall cause to be preformed at least annually, at Company expense, an audit of the Company’s books and records by the Company’s independent accountant. Within thirty (30) days following the completion of an audit of the
Company’s books and records, the Managers shall cause a report to be sent to each Member containing: (i) a balance sheet as of the end of the period audited and an income statement and statement of changes in financial position for the period
audited; and (ii) the Independent Accountant’s report regarding the Company’s financial statements. 
  
 8.4 Bank Accounts. The Managers shall maintain the funds of the Company in one or more separate bank accounts in the name of the Company, and shall
not permit the funds of the Company to be commingled in any fashion with the funds of any other Person. 
  
 8.5 Accounting Decisions and Reliance on Others. All decisions as to accounting matters, except as otherwise specifically set forth herein, shall
be made by the Managers in accordance with generally accepted accounting principles. The Managers may rely upon the advice of their Independent Accountants as to whether such decisions are in accordance with generally accepted accounting principles.

  
 8.6 Annual Budget. The Managers shall cause to be
prepared and unanimously approved by the Members prior to commencement of each Fiscal Year an Annual Budget. The parties intend that an Annual Budget for the following Fiscal Year be approved at least one (1) month prior the beginning of such Fiscal
Year. If the Members are unable to approve an Annual Budget for a Fiscal Year, then the Annual Budget for such Fiscal Year shall be the same as the Annual Budget from the prior year less any and all extra-ordinary capital expenditures. No material
changes or departures from the Annual Budget shall be made without the prior 

  

 -23- 

 
unanimous consent of the Members. The Managers shall use all reasonable efforts to have the actual operating expenditures conform to the costs set forth in
the Annual Budget. 
  
 8.7 Operating Plan. The Managers
shall cause to be prepared and unanimously approved by the Members an Operating Plan. The Managers shall amend or otherwise modify the Operating Plan as necessary or appropriate to accurately reflect the Company’s business plan, goals and
strategies. No material changes or departures from the Operating Plan shall be made without the prior unanimous consent of the Members. The Managers shall use all reasonable efforts to operate the Company in conformity with the Operating Plan.

  
 8.8 Tax Matters for the Company Handled by Members and Tax
Matters Partner. GCA is designated as the “Tax Matters Partner” (as defined in Code Section 6231), to represent the Company (at the Company’s expense) in connection with all examination of the Company’s affairs by tax
authorities and to expend Company funds for professional services and costs associated therewith, provided, however, that GCA shall not have the authority without first obtaining the consent of all other Members to do any of the following: (i) enter
into a settlement agreement with the Internal Revenue Service (or any similar state agency) that purports to bind the Company; (ii) file a petition as contemplated in Sections 6226(a) or 6228 of the Code; (iii) intervene in any action contemplated
in Section 6226(b)(6) of the Code; (iv) file any request contemplated in Section 6227(c) of the Code; and (v) enter into an agreement extending the period of limitation as contemplated in Section 6229(b)(1)(B) of the Code. If GCA ceases or fails to
serve as Tax Matters Partner, then IGT shall appoint another to be the Tax Matters Partner. 
  
 ARTICLE 9 
  
 DISSOLUTION AND
WINDING UP 
  
 9.1 Dissolution. The Company shall be
dissolved, its assets shall be disposed of, and its affairs wound up on the first to occur of the following: 
  
 (a) Upon the happening of any event of dissolution specified in the Certificate of Formation; 
  
 (b) Upon the entry of a decree of judicial dissolution
pursuant to Section 18-802 of the Act; 
  
 (c)
Upon the unanimous vote of all the Members; and 
  
 (d) Upon termination of the Agreement in whole (not in part) pursuant to Section 3.11. 
  
 9.2 Winding Up. Upon the dissolution of the Company, the Company’s assets shall be disposed of and its affairs wound up. The Company shall
give written notice of the commencement of the dissolution to all of its known creditors. 
  
 9.3 Distributions in Kind. Except as provided in Section 5.5, any non-cash asset distributed to one or more Unitholders shall first be valued at its fair market value to determine 

  

 -24- 

 
the Net Profit or Net Loss that would have resulted if such asset were sold for such value, such Net Profit or Net Loss shall then be allocated pursuant to
Article 5, and the Unitholders’ Capital Accounts shall be adjusted to reflect such allocations. The amount distributed and charged to the Capital Account of each Unitholder receiving an interest in such distributed asset shall be the fair
market value of such interest (net of any liability secured by such asset that such Member assumes or takes subject to). The fair market value of such asset shall be determined by the Managers or if any Member objects by an independent appraiser
(any such appraiser must be recognized as an expert in valuing the type of asset involved) selected by the Managers. 
  
 9.4 Order of Payment of Liabilities Upon Dissolution. After determining that all the known debts and liabilities of the Company have been paid or
adequately provided for, the remaining assets shall be distributed to the Unitholders in accordance with their Units, after taking into account income and loss allocations for the Company’s taxable year during which liquidation occurs.
Notwithstanding anything to the contrary herein, all payments to the Unitholders upon the winding up and dissolution of the Company shall be made strictly in accordance with the positive capital account balance limitation and other requirements of
Treasury Regulations Section 1.704-1(b)(2)(ii)(d). 
  
 9.5
Limitations on Payments Made in Dissolution. Except as otherwise specifically provided in this Agreement, each Unitholder shall be entitled to look only to the assets of the Company for the return of its capital contributions and shall have
no recourse for its capital contribution and/or share of Net Profits against any Member except as provided in Article 10. 
  
 9.6 Termination of the Company. Upon the completion of the liquidation of the Company and the distribution of all Company assets, the
Company’s affairs shall terminate and the liquidating Manager shall cause to be executed and filed a Certificate of Cancellation to accomplish the cancellation of the Company’s Certificate of Formation, as well as any other documents
required to effectively terminate the Company. The Certificate of Cancellation shall set forth: 
  
 (a) The name of the Company; 
  
 (b) The date of the filing of the Company’s Certificate of Formation; 
  
 (c) The reason for filing the Certificate of Cancellation; 
  
 (d) The future effective date or time (which shall be a date
or time certain) of cancellation if it is not to be effective upon the filing of the Certificate of Cancellation; and 
  
 (e) Any other information the liquidating Manager determines. 
  
 ARTICLE 10 
  
 INDEMNIFICATION AND INSURANCE 
  
 10.1 Indemnification of Agents. The Company shall defend and indemnify any Member or Manager and may indemnify any person who was or is a party or
is threatened to be made a 

  

 -25- 

 
party to any threatened, pending or completed action, suit or proceeding by reason of the fact that he or she is or was a Member, Manager, officer, employee
or other agent of the Company or that, being or having been such a Member, Manager, officer, employee or agent, he or she is or was serving at the request of the Company as a manager, director, officer, employee or other agent of another limited
liability company, corporation, partnership, joint venture, trust or other enterprise (all such persons being referred to hereinafter as an “agent”), to the fullest extent permitted by applicable law in effect on the date hereof and to
such greater extent as applicable law may hereafter from time to time permit. Based on the foregoing, such defense and indemnity includes the right to have legal fees and costs incurred by any Member or Manager hereunder to be paid in advance of a
final disposition. Notwithstanding anything in this Article to the contrary, the Company will not have an obligation of indemnifying any Person with respect to proceedings, claims or actions initiated or brought voluntarily by such Person and not by
way of defense nor with respect to proceedings, claims or actions brought by a Member against another Member as a result of alleged breaches of this Agreement or other duties owed by a Member to another Member. 
  
 10.2 Insurance. The Company shall have the power to purchase and
maintain insurance on behalf of any Person who is or was an agent of the Company against any liability asserted against such Person and incurred by such Person in any such capacity, or arising out of such Person’s status as an agent, whether or
not the Company would have the power to indemnify such Person against such liability under the provisions of Section 10.1 or under applicable law. 
  
 10.3 Limit on Liability of Members. The indemnification set forth in this Article shall in no event cause the Members to incur any personal
liability beyond their total Capital Contributions, nor shall it result in any liability of the Members to any third party. 
  
 ARTICLE 11 
  
 INVESTMENT REPRESENTATIONS 
  
 Each Member hereby represents and warrants to, and agrees with, the Managers, the other Members, and the Company as follows: 
  
 11.1 Preexisting Experience. Such Member by reason of its business or financial experience, or by reason of the business or financial experience of
its financial advisor who is unaffiliated with and who is not compensated, directly or indirectly, by the Company or any affiliate or selling agent of the Company, is capable of evaluating the risks and merits of an investment in the Company and of
protecting its own interests in connection with this investment. 
  
 11.2 No Advertising. Such Member has not seen, received, been presented with, or been solicited by any leaflet, public promotional meeting, article or any other form of advertising or general solicitation with respect to the sale of
the Membership Interest. 
  
 11.3 Investment Intent. Such
Member is acquiring the Membership Interest for investment purposes for its own account only and not with a view to or for sale in connection with any distribution of all or any part of the Membership Interest. No other person will have any direct
or indirect beneficial interest in or right to the Membership Interest. 
  

 -26- 

 11.4 No Liquidity. Such Member is financially able to bear the economic risk of an investment in
the Company and has no need for liquidity in this investment. 
  
 11.5 All Information. Such Member (i) has received all information that such Member deems necessary to make an informed investment decision with respect to an investment in the Company; (ii) has had the unrestricted opportunity to
make such investigation as such Member desires pertaining to the Company and an investment therein and to verify any information furnished to such Member; and (iii) has had the opportunity to ask questions of representatives of the Company
concerning the Company and such Member’s investment. 
  
 11.6
Restriction on Alienation. Such Member understands that such Member must bear the economic risk of an investment in the Company for an indefinite period of time because (i) the Units have not been registered under the Securities Act and
applicable state securities laws and (ii) the Units may not be sold, transferred, pledged or otherwise disposed of except in accordance with this Agreement and then only if they are subsequently registered in accordance with the provisions of the
Securities Act and applicable state securities laws or registration under the Securities Act or any applicable state securities laws is not required. 
  
 11.7 No Registration. Such Member understands that the Company is not obligated to register the Units for resale under the Securities Act or any
applicable state securities laws and that the Company is not obligated to supply such Member with information or assistance in complying with any exemption under the Securities Act or any applicable state securities laws. Upon the request of the
Company, such Member will provide the Company with an opinion of counsel satisfactory to the Company that a proposed resale of the Units complies with the Securities Act or any applicable state securities laws. 
  
 ARTICLE 12 
  
 MISCELLANEOUS 
  
 12.1 Conference Telephone Meetings. The meetings of the Managers may be held by means of conference telephone or similar communication equipment so
long as all persons participating in the meeting can hear each other. 
  
 12.2 Complete Agreement. This Agreement and the Certificate of Formation, the Contribution Agreement, and all Associated Agreements (and any other agreements contemplated herein or therein) constitute the complete and exclusive
statement of agreement among the Members and Manager with respect to the subject matter herein and therein and replace and supersede all prior written and oral agreements among the Members and Manager. To the extent that any provision of the
Certificate of Formation conflict with any provision of this Agreement, the Certificate of Formation shall control. 
  
 12.3 Binding Effect. Subject to the provisions of this Agreement relating to transferability, this Agreement will be binding upon and inure to the
benefit of the Members and Manager, and their respective successors and assigns. 
  

 -27- 

 12.4 Parties in Interest. Except as expressly provided in the Act, nothing in this Agreement shall
confer any rights or remedies under or by reason of this Agreement on any Persons other than the Members, Managers, and their respective successors and assigns nor shall anything in this Agreement relieve or discharge the obligation or liability of
any third person to any party to this Agreement, nor shall any provision give any third person any right of subrogation or action over or against any party to this Agreement. 
  
 12.5 Pronouns; Statutory References. All pronouns and all variations thereof shall be deemed to refer to the
masculine, feminine, or neuter, singular or plural, as the context in which they are used may require. Any reference to the Code, the Regulations, the Act, or other statutes or laws will include all amendments, modifications, or replacements of the
specific sections and provisions concerned. 
  
 12.6
Headings. All headings herein are inserted only for convenience and ease of reference and are not to be considered in the construction or interpretation of any provision of this Agreement. 
  
 12.7 Interpretation. In the event any claim is made by any Member or
Manager relating to any conflict, omission or ambiguity in this Agreement, no presumption or burden of proof or persuasion shall be implied by virtue of the fact that this Agreement was prepared by or at the request of a particular Member or Manager
or by such Member or Manager’s counsel. 
  
 12.8
References to this Agreement. Numbered or lettered articles, sections and subsections herein contained refer to articles, sections and subsections of this Agreement unless otherwise expressly stated. 
  
 12.9 Jurisdiction. Each Member and Manager hereby consents and
acknowledges that the laws of the State of Delaware shall govern the interpretation and effect of this Agreement. Any disputes between or among the then Members or Managers concerning enforcement of the terms of this Agreement shall be tried
exclusively in the courts of Clark County in the State of Nevada or in the U.S. District Court for the District of Nevada. 
  
 12.10 Exhibits. All Exhibits attached to this Agreement are incorporated and shall be treated as if set forth herein. 
  
 12.11 Severability. If any provision of this Agreement or the
application of such provision to any person or circumstance shall be held invalid, the remainder of this Agreement or the application of such provision to persons or circumstances other than those to which it is held invalid shall not be affected
thereby. 
  
 12.12 Additional Documents and Acts. Each
Member and Manager agrees to execute and deliver such additional documents and instruments and to perform such additional acts as may be necessary or appropriate to effectuate, carry out and perform all of the terms, provisions, and conditions of
this Agreement and the transactions contemplated hereby. 
  
 12.13
Notices. Any notice to be given or to be served upon the Company or any party hereto in connection with this Agreement must be in writing and sent by either certified mail, 

  

 -28- 

 
return receipt requested or by nationally recognized overnight courier service requiring a signed receipt on delivery and will be deemed to have been given
and received when delivered to the address specified by the party to receive the notice. Such notices will be given to a Member at the address specified in Exhibit A hereto. Any party may, at any time by giving five (5) days prior written notice to
the other parties, designate any other address in substitution of the foregoing address to which such notice will be given. 
  
 12.14 Amendments. All amendments to this Agreement and the Certificate of Formation must be in writing and signed by all the Members. 

 
 12.15 Multiple Counterparts. This Agreement may be executed in two
or more counterparts, each of which shall be deemed an original, but all of which shall constitute one and the same instrument. 
  
 12.16 Attorney Fees. In the event that any dispute between the Company and the Members or among the Members should result in litigation or
arbitration, the prevailing party in such dispute shall be entitled to recover from the other party all reasonable fees, costs and expenses of enforcing any right of the prevailing party, including without limitation, reasonable attorneys’ fees
and expenses, all of which shall be deemed to have accrued upon the commencement of such action and shall be paid whether or not such action is prosecuted to judgment. Any judgment or order entered in such action shall contain a specific provision
providing for the recovery of attorney fees and costs incurred in enforcing such judgment. For the purposes of this Section: (i) ”attorney fees” shall include, without limitation, fees incurred in the following: (a) postjudgment motions;
(b) contempt proceedings; (c) garnishment, levy, and debtor and third party examinations; (d) discovery; and (e) bankruptcy litigation; and (ii) ”prevailing party” shall mean the party who is determined in the proceeding to have prevailed
or who prevails by dismissal, default or otherwise. 
  
 12.17
Special Power of Attorney. 
  
 (a)
Attorney In Fact. Each Member hereby grants the Managers a special power of attorney irrevocably making, constituting, and appointing the Managers as the Member’s attorney in fact, with all power and authority to act in the Member’s
name and on the Member’s behalf to execute, acknowledge and deliver and swear to in the execution, acknowledgment, delivery and filing of the following documents: 
  
 (i) Promissory notes, security agreements, and/or UCC-1 financing statements (and all amendments thereto) to
be delivered in connection of such Member’s failure to make a capital contribution if required; 
  
 (ii) Assignments of Membership Interests or other documents of transfer to be delivered in connection with the purchase or other transfer
of Units pursuant to Article 6 or 7; or 
  
 (iii)
Any other instrument or document that may be reasonably required by the Mangers in connection with any of the foregoing or to reflect any reduction in the Member’s Capital Account, Membership Interest, or Units. 
  

 -29- 

 (b) Irrevocable Power. The special power of attorney granted pursuant to this
Section (i) is irrevocable, (ii) is coupled with an interest, and (iii) shall survive a Member’s death, incapacity or dissolution. 
  
 (c) Signatures. The Managers may exercise the special power of attorney granted in this Section 12.17 by a facsimile signature of
any Manager or by the signature of any Manager. 
  
 12.18
Remedies Cumulative. The remedies under this Agreement are cumulative and shall not exclude any other remedies to which any person may be lawfully entitled. 
  
 12.19 Governing Law. This Agreement shall be governed by and construed in accordance with the local, internal laws of
the State of Delaware. 
  

 -30- 

 SIGNATURE PAGE 
 OF THE 
 LIMITED LIABILITY COMPANY AGREEMENT 
 OF 
 QUIKPLAY, LLC 
  
 IN WITNESS WHEREOF, all of the Members of QuikPlay, LLC, a Delaware limited liability company, have executed this Agreement,
effective as of the date written above. 
  

			
	COMPANY:
	
	 QUIKPLAY, LLC,

	 a Delaware limited liability company

		
	 By:
	 	/s/    KIRK E. SANFORD        
	 Name:
	 	Kirk E. Sanford
	 Title:
	 	President

  

			
	MEMBERS:
	
	 IGT

	 a Nevada corporation

		
	 By:
	 	/s/    RAYMOND D. PIKE        
	 Name:
	 	Raymond D. Pike
	 Title:
	 	Executive Vice President

  

			
	 GLOBAL CASH ACCESS,

	 a Delaware limited liability company

		
	 By:
	 	/s/    KIRK E. SANFORD        
	 Name:
	 	Kirk E. Sanford
	 Title:
	 	CEO

  

 EXHIBIT A 
  
 MEMBER INFORMATION 
  

							
	 Member’s Name

	  	 Member’s Address

	  	Initial
Capital Account

	  	Units

	 IGT
	  	 IGT
 9295 Prototype Drive
 Reno, NV 89511
 Attn:     G. Thomas Baker,
President
 Phone:   775-448-0104
 Fax:        775-448-0777
  
 Copies to:
 Attn:    SaraBeth Brown
             General Counsel
 Phone:  775-448-3225
 Fax:       775-448-0120
	  	$80,000	  	4,000
				
	 Global Cash Access, L.L.C.
	  	 Global Cash Access, L.L.C.
 2350 Mission College
Blvd., Suite 275
 Santa Clara, CA 95054
 Attn:
    Kirk Sanford
 Phone:  408-588-7155
 Fax:       408-588-7145
  
 Copies
to:
 Morrison & Foerster LLP
 755 Page Mill
Road
 Palo Alto, CA 94304
 Attn:     Paul L.
Lion III, Esq.
 Phone:   650-813-5600
 Fax:        650-494-0792
	  	$120,000	  	6,000
	 	  	 	  	
	  	

	 	  	 	  	$200,000	  	10,000
	 	  	 	  	
	  	

  

 A-1 

 EXHIBIT B 
  
 DEFINITIONS 
  
 When used in the limited liability company agreement, the following terms shall have the meanings set forth below (section, subsection and paragraph
references are to sections, subsections and paragraphs in the limited liability company agreement.): 
  
 “Act” means the Delaware Limited Liability Company Act, as it may be amended from time to time, and any successor to such Act.

  
 “Affiliate” shall mean any person or entity
controlled by, controlling, or under common control with a Member or Manager, as the case may be. 
  
 “Annual Budget” shall mean the Company’s annual operating budget prepared by the Mangers and approved by the Members pursuant to
Section 8.6. The Annual Budget shall include the following information: 
  
 (a) A schedule of all costs and expenses projected to be incurred by the Company during the Fiscal Year, including, but not limited to, all expenses relating to employees, independent contractors, supplies, rent,
lease payments, and utilities, together with specific details allocating such costs and expenses among the various operations of the Company; 
  
 (b) A schedule of the Company’s anticipated gross receipts from operations for such Fiscal Year, together with specific details
attributing such gross receipts among the various operations of the Company; 
  
 (c) A schedule of anticipated capital expenditures for the Fiscal Year including, but not limited to, the cost of equipment, furniture and fixtures, and leasehold improvements; and 
  
 (d) A schedule of anticipated capital calls and other
financings. 
  
 “Associated Agreements” means the
License Agreement, the Non-Exclusive Distributorship Agreement, the IGT Development Agreement, the Contract Services Agreement, the Consulting Services Agreement, and the Electronic Payment Processing Agreement. 
  
 “Bankruptcy” shall mean (i) the filing of an application by
a Member for, or such Member’s consent to, the appointment of a trustee, receiver, or custodian of his, her or its other assets; (ii) the entry of an order for relief with respect to a Member in proceedings under the United States Bankruptcy
Code, as amended or superseded from time to time; (iii) the making by a Member of a general assignment for the benefit of creditors; (iv) the entry of an order, judgment, or decree by any court of competent jurisdiction appointing a trustee,
receiver, or custodian of the assets of a Member unless the proceedings and the person appointed are dismissed within ninety (90) days; or (v) the failure by a Member generally to pay such Member’s debts as the debts become due within the
meaning of Section 303(h)(1) of the United States Bankruptcy Code, as determined by the Bankruptcy Court, or the admission in writing of such Member’s inability to pay his, her or its debts as they become due. 
  

 B-1 

 “Book Value” shall mean: (i) as to property contributed to the Company, its gross fair
market value as agreed between the Company and the contributing Member; (ii) as to property acquired in any other manner, its value as reflected on the books of the Company; and (iii) as to property distributed in kind to the Members, its gross fair
market value on the date of distribution. 
  
 (a)
The Book Value of all Company assets shall be adjusted to equal their respective gross fair market values, as determined by the Members, as of the following times: (i) the acquisition of an additional interest in the Company by any new or existing
Member in exchange for more than a de minimis Capital Contribution; (ii) the distribution by the Company to a Member of more than a de minimis amount of Company property as consideration for an interest in the Company if the Members reasonably
determine that such adjustment is necessary or appropriate to reflect the relative economic interests of the Members in the Company; and (iii) the liquidation of the Company within the meaning of Treasury Regulations Section 1.704-1(b)(2)(ii)(g).

  
 (b) The Book Value of Company assets shall be
increased (or decreased) to reflect any adjustments to the adjusted basis of such assets pursuant to Code Section 734(b) or Code Section 743(b), but only to the extent that such adjustments are taken into account in determining Capital Accounts
pursuant to Treasury Regulations Section 1.704-1(b)(2)(iv)(m) and Section 5.6 of this Agreement. Notwithstanding the foregoing, Book Value shall not be adjusted to the extent the Members determine that an adjustment pursuant to paragraph (a) of this
definition is necessary or appropriate in connection with a transaction that would otherwise result in an adjustment pursuant to this paragraph (b). 
  
 (c) If the Book Value of an asset has been determined or adjusted pursuant to this definition, such Book Value shall thereafter be
adjusted by book depreciation, which means the depreciation, cost recovery, or amortization of assets that would be allowable to the Company for federal income tax purposes if its tax basis in such assets were equal to what would otherwise be the
Book Value of such assets. 
  
 “Capital Account”
shall means, with respect to any Unitholder, the Capital Account maintained for such Unitholder in accordance with the following provisions: 
  
 (a) To each Unitholder’s Capital Account there shall be credited (i) Capital Contributions made with respect to such
Unitholder’s Units, (ii) such Unitholder’s distributive share of Net Profits, (iii) any items in the nature of income or gain that are specially allocated pursuant to Section 5.2, and (iv) the amount of any Company liabilities assumed by
such Unitholder or that are secured by any Company property distributed to such Person; 
  
 (b) To each Unitholder’s Capital Account there shall be debited (i) the amount of cash and the Book Value of any property distributed
to such Unitholder pursuant to any provision of this Agreement, (ii) such Unitholder’s distributive share of Net Losses and any items in the nature of expenses of losses which are specially allocated pursuant to Section 5.2, and (iii) the
amount of any liabilities of such Unitholder assumed by the Company or that are secured by property the Unitholder has contributed to the Company; 
  

 B-2 

 (c) If any interest in the Company is transferred in accordance with the terms of this
Agreement, the transferee shall succeed to the Capital Account of the transferor to the extent it relates to the transferred interest; and 
  
 (d) In determining the amount of any liability for purposes of paragraphs (a) and (b) of this definition, there shall be taken into
account Code Section 752(c) and any other applicable provisions of the Code and Treasury Regulations. 
  
 If the values of Company assets are adjusted pursuant to the definition of “Book Value,” the Capital Accounts of all Unitholders shall be
adjusted simultaneously to reflect the aggregate net adjustment as if the Company recognized gain or loss equal to the amount of such aggregate net adjustment. 
  

“Capital Contribution” shall mean the total value of cash and fair market value of property (including promissory notes or other
obligation to contribute cash or property) contributed and/or services rendered or to be rendered to the Company by Members. 
  
 “Cashless Gaming Interface” shall have the meaning specified in the License Agreement. 
  
 “Cashless Gaming Product” shall have the meaning specified
in the License Agreement. 
  
 “Cause” shall mean
an uncured material breach of this Agreement by another Member, including failure to contribute capital to the Company by another member pursuant to Section 2.2 or a governmental action or order which materially affects the ability of the Member to
continue involvement in the Company or would materially and detrimentally affect a Member’s gaming related license. 
  
 “Certificate of Formation” shall mean the Certificate of Formation for the Company originally filed with the Delaware Secretary of State
and as amended from time to time. 
  
 “Code”
shall mean the Internal Revenue Code of 1986, as amended from time to time, the provisions of succeeding law, and to the extent applicable, the Regulations. 
  
 “Company” shall mean the limited liability company formed upon the filing of the Certificate of Formation pursuant to Recital A and which
is governed by this Agreement. 
  
 “Company Minimum
Gain” shall have the meaning ascribed to the term “Partnership Minimum Gain” in the Regulations Section 1.704-2(d). 
  
 “Contribution Agreement” shall mean the Contribution Agreement among IGT, GCA and the Company dated as of the date of this Agreement.

  
 “Controlled Affiliate” means an entity in
which a Member directly or indirectly owns greater than 50% of the equity interest or has the power to direct the business which such entity may or may not conduct. 
  

 B-3 

 “Dissociation Event” shall mean with respect to any Member the death, Bankruptcy,
dissolution, incapacity, withdrawal, resignation, retirement, expulsion or occurrence of any other event which terminates the continued membership of such Member. 
  
 “Economic Interest” shall mean the right to receive distributions of the Company’s assets and
allocations of income, gain, loss, deduction, credit and similar items from the Company pursuant to this Agreement and the Act, but shall not include any other rights of a Member, including, without limitation, the right to vote or participate in
the management of the Company, or any right to information concerning the business and affairs of the Company. 
  
 “Fiscal Year” shall mean the Company’s fiscal year, which shall be the calendar year. 
  
 “GCA Business” shall mean the business of providing or
facilitating the provision of cash access services, including, without limitation, one or more of the following cash access services: ATM, debit card cash access, credit card cash advance, smart cards and chip cards issued by or involving third
party financial institutions, wire transfer, check cashing, authorization and collection. For purposes of this Agreement, GCA Business does not include internet or web-based gaming or other internet activities. 
  
 “IGT Business” shall mean the business of manufacturing,
distributing or marketing slot machines or similar gaming machines; operation of wide area progressive gaming systems; and the development, manufacture, distributing or marketing of player activity accounting, slot accounting and security systems
for use with slot machines or similar gaming machines. For purposes of this Agreement, IGT Business does not include internet or web-based gaming or other internet activities. 
  
 “Independent Accountant” shall mean Deloitte Touche or such other reputable accounting firm as the Members
shall unanimously agree in writing. 
  
 “Mandatory Capital
Call” shall mean funds necessary for proper Company purposes (including working capital), other than making distributions to the Members. 
  
 “Majority Interest” shall mean one or more Members who own Units which taken together exceed fifty percent (50%) of the aggregate number
of Units held by Members under consideration. 
  
 “Managers” means at any time the Persons elected in accordance with Section 4.2. 
  
 “Member” shall mean any Person who has been admitted to the Company as a Member in accordance with the terms of this Agreement and at
time of reference of this Agreement has not become the subject of a Dissociation Event or ceased to be a Member for any other reason. 
  
 “Membership Interest” shall mean a Member’s entire interest in the Company including the Member’s right to distributions of Net
Cash Flow, allocations of Net Profits and Losses, the right to vote on or participate in the management, and the right to receive information concerning the business and affairs, of the Company. 
  

 B-4 

 “Net Profits” and “Net Losses” shall mean, for each taxable year of the
Company (or other period for which Net Profits or Net Losses must be computed), the Company’s taxable income or loss determined in accordance with Code Section 703(a), with the following adjustments: 
  
 (a) All items of income, gain, loss, deduction, or credit
required to be stated separately pursuant to Code Section 703(a)(1) shall be included in computing taxable income or loss; 
  
 (b) Any tax-exempt income of the Company, not otherwise taken into account in computing Net Profits or Net Losses, shall be included in
computing taxable income or loss; 
  
 (c) Any
expenditures of the Company described in Code Section 705(a)(2)(B) (or treated as such pursuant to Regulations Section 1.704-1(b)(2)(iv)(i)) and not otherwise taken into account in computing Net Profits or Net Losses, shall be subtracted from
taxable income or loss; 
  
 (d) Gain or loss
resulting from any taxable disposition of Company property shall be computed by reference to the Book Value of the property disposed of, notwithstanding the fact that the Book Value differs from the adjusted basis of the property for federal income
tax purposes; 
  
 (e) In lieu of the
depreciation, amortization or cost recovery deductions allowable in computing taxable income or loss, there shall be taken into account the depreciation computed based upon the adjusted book value of the asset; 
  
 (f) Notwithstanding any other provision of this definition,
any items which are specially allocate pursuant to the Code or the Regulations shall not be taken into account in computing Net Profits or Net Losses. 
  
 “Operating Plan” shall mean the Company’s business plan prepared and approved by the Managers pursuant to Section 8.7. The Operating
Plan shall include such things as: 
  
 (a) A
schedule and plan for hiring and training employees and independent contractors; 
  
 (b) A schedule and plan for expanding the operations of the Company; 
  
 (c) Targeted or potential customers, suppliers, strategic partners, markets, and acquisitions; and

  
 (d) Such other plans, strategies and goals as
the Managers deem appropriate. 
  
 “Person” shall
mean an individual, general partnership, limited partnership, limited liability company, corporation, trust, estate, real estate investment trust association or any other association or business entity. 
  
 “Company Business” shall have the meaning specified in
Paragraph B of this Agreement. 
  

 B-5 

 “Regulations” shall, unless the context clearly indicates otherwise, mean the
regulations currently in force as final or temporary that have been issued by the U.S. Department of Treasury pursuant to its authority under the Code, or the gaming regulations of any jurisdiction in which a Party is licensed or doing business,
whichever is appropriate. 
  
 “Secretary of
State” shall mean the Secretary of State for the state of Delaware and its delegates responsible for the administration of the Act. 
  
 “Substitute Member” means any Person admitted to the Company as a Member pursuant to Section 6.3. 
  
 “Tax Matters Partner” shall be GCA or its successor as
designated pursuant to Section 8.8. 
  
 “Unit”
means a unit of Economic Interest in the Company acquired or issued pursuant to this Agreement. 
  
 “Unitholders” means all Persons who hold Units regardless of whether such Persons are Members. “Unitholder” means any one of
the Unitholders. 
  

 B-6 

 EXHIBIT C 
  
 LICENSE AGREEMENT 
  

 C-1 

 EXHIBIT D 
  
 NON-EXCLUSIVE DISTRIBUTOR AGREEMENT 
  

 D-1 

 EXHIBIT E 
  
 CONTRACT SERVICES AGREEMENT 
  

 E-1 

 EXHIBIT F 
  
 INFONOX DEVELOPMENT AGREEMENT 
  

 F-1 

 EXHIBIT G 
  
 ELECTRONIC PAYMENT PROCESSING AGREEMENT 
  

 G-1 

 EXHIBIT H 
  
 IGT DEVELOPMENT AGREEMENT 
  

 H-1

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