Persons entitled
- Citibank, N.A.
Amount secured
All monies due or to become due from the company to the chargee under the terms of a reinsurance deposit agreement on any account whatsoever
Short particulars
All monies at the date of the reinsuarnce deposit agreement or at any time thereafter during the subsistence of the security by the reinsurance deposit agreement standing to the credit of (a) each reinsurance deposit or other account the account details of which appear in the schedule to the reinsurance deposit agreement or other wise as may be from time to time agreed in writing between the bank and the chargor (for full details see form 395).