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Escrow Account Contract
"I need an Escrow Account Contract for a real estate development project in California, where construction funds of $5 million will be held and released in stages based on completion milestones, with the escrow period running from March 1, 2025, to December 31, 2025."
1. Parties: Identification of escrow agent, depositor, and beneficiary with full legal names and addresses
2. Background: Context and purpose of the escrow arrangement, including the underlying transaction
3. Definitions: Key terms used throughout the agreement including Escrow Account, Escrow Funds, Release Conditions, etc.
4. Escrow Deposit: Details of funds/assets to be held in escrow, including amount, form, and timing of deposits
5. Escrow Agent's Duties: Responsibilities and obligations of the escrow agent, including fund management and reporting requirements
6. Release Conditions: Specific conditions and procedures for releasing escrow funds/assets to respective parties
7. Fees and Expenses: Escrow agent compensation, transaction fees, and allocation of costs between parties
8. Term and Termination: Duration of the agreement and circumstances under which it may be terminated
1. Investment Provisions: Terms governing the investment of escrow funds during the escrow period, including permitted investments and risk allocation
2. Dispute Resolution: Procedures for resolving disputes between parties, including mediation and arbitration provisions
3. Tax Provisions: Provisions addressing tax implications, reporting requirements, and allocation of tax responsibilities
1. Schedule A - Fee Schedule: Detailed breakdown of escrow agent fees, transaction costs, and payment terms
2. Schedule B - Release Instructions: Specific instructions and procedures for releasing funds, including required documentation
3. Schedule C - Authorized Signatories: List of persons authorized to give instructions regarding the escrow account
4. Appendix 1 - Form of Release Notice: Standard template for requesting the release of escrow funds
Authors
Applicable Law
Authorized Representative
Banking Day
Beneficiary
Business Day
Confidential Information
Deposit
Depositor
Disbursement
Effective Date
Escrow Account
Escrow Agent
Escrow Funds
Escrow Period
Event of Default
Fee Schedule
Force Majeure
Instructions
Interest
Investment Earnings
Losses
Material Adverse Effect
Notice
Party/Parties
Release Conditions
Release Notice
Release Request
Security Interest
Term
Transaction Documents
Written Instructions
Account Management
Amendment and Modification
Anti-Money Laundering
Assignment
Authorized Representatives
Bank Fees
Confidentiality
Conflicts of Interest
Deposit and Release
Dispute Resolution
Duties and Responsibilities
Entire Agreement
Force Majeure
Governing Law
Indemnification
Interest and Investments
Liability Limitations
Notices
Record Keeping
Removal or Resignation
Representations and Warranties
Security Procedures
Severability
Standard of Care
Succession
Tax Matters
Term and Termination
Third Party Rights
Waiver
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