Document ID: chunk:federal_register_of_legislation:C2025C00096:schedule:1:p2
Version: federal_register_of_legislation:C2025C00096
Segment Type: schedule
Provision Reference: sch 1 (pt 2/51)
Character Range: 164281–168011

Credit Arrangement
         9.3 Election by Borrower
         9.4 Loan Interest Offset Arrangement
         9.5 Banking Account
         9.6 Obligations of Bank
         9.7 Prepayments
         9.8 Effect of prepayment
         9.9 Prepayment on a loan

    10. PROVISION OF INFORMATION
         10.1 Obligations of Bank to notify the Commonwealth
         10.2 Variation of Bank's Obligations under Sub‑clause 10.1
         10.3 Action taken by Bank to enforce security
         10.4 Form of Notification
         10.5 Schedule D Information
         10.6 Provision of report by Bank's External Auditor
         10.7 Discussion of audit procedures between External Auditors
         10.8 Bank to provide External Auditors Report with Subsidy Invoice
         10.9 Bank to supply information to enable verification
         10.10 Documentation to be provided by the Bank
         10.11 Charge to Commonwealth by Bank

    11. SUBSIDY SCHEME
         11.1 Agreement to pay Subsidy
         11.2 Commencement of obligation to pay Subsidy
         11.3 Subsidy payable monthly
         11.4 Subsidy Invoice
         11.5 Verification and Payment of Subsidy
         11.6 Manner of Payment of Subsidy
         11.7 Dispute as to Subsidy Claim
         11.8 Adjustment of Subsidy Invoice
         11.9 Calculation of Subsidy
         11.10 Calculation of Benchmark Rate
         11.11 Bank Providers of Housing Finance
         11.12 Fall in Benchmark Rate
         11.13 Deduction from Subsidy Payments
         11.14 Where Benchmark rate falls below 6.85 per centum
         11.15 Termination/Suspension of Subsidy Payments and Recovery of Subsidy from Borrower
         11.16 Notice of termination of Subsidy payments to Bank
         11.17 Entitlement of Bank to charge applicable interest rate

    12. DEFAULT PROVISION
         12.1 Persistent Failure by Bank to provide Subsidised Advances
         12.2 Failure by Bank to comply with any other term of the Agreement
         12.3 Commonwealth Remedies
         12.4 Employees actions resulting in Subsidy overpayment
         12.5 Recovery of Subsidy
         12.6 Default in payment of Consideration
         12.7 Breach of this Agreement—Interest payable
         12.8 Exercise of Remedies
         12.9 Termination
         12.10 Appointment of Receiver/Receiver and Manager/ Liquidation/Official Management of the Bank

    13. GRANT OF FRANCHISE
         13.1 Exclusive Right
         13.2 Notification of Bank's Exclusive Right

    14. PROVISION FOR REFUND OF PART OF ONE HUNDRED MILLION DOLLARS REFERRED TO IN SUB‑CLAUSE 3.1.1(a)

    15. WARRANTIES
         15.1 Bank
         15.2 Commonwealth

    16. INDEMNITIES
         16.1 Obligations of Bank
         16.2 Obligations of Commonwealth
         16.3 Obligation of Commonwealth

    17. DEALINGS WITH SOUTH AFRICA AND NAMIBIA

    18. NON‑MERGING ON SETTLEMENT AND SEVERABILITY

    19. STAMP DUTY ADMINISTRATIVE ARRANGEMENTS AND STATE/TERRITORY GOVERNMENT FEES
         19.1 Stamp Duty
         19.2 Assessment
         19.3 Commonwealth to facilitate Transfer
         19.4 Fees or charges necessary to give effect to the transfer of Portfolio Assets shall be borne by the Commonwealth

    20. LEGAL AND ACCOUNTING COSTS

    21. APPLICABLE LAW

    22. NOTICES

    23. WAIVER

    24. ENTIRE AGREEMENT

    25. AMENDMENTS OR VARIATION

    26. ARBITRATION
         26.1 Notice of dispute, question or difference
         26.2 Submitting a dispute to Arbitration

    27. ASSIGNMENT

    28. DISPOSAL BY BANK

    29. CONFIDENTIALITY
         29.1 Bank's acknowledgement of material
         29.2 Commonwealth's acknowledgement of material

    30. PERFORMANCE OF OBLIGATIONS BY CORPORATION SCHEDULES
    1.