IMPORTANT DOCUMENT RELATED TO INTEGRATOR CUSTOMER ACCOUNTS
INITIAL NOTICE TO INTEGRATOR CUSTOMERS OF ACCOUNT TREATMENT PROCEDURES: If you are, or think you are, an Integrator Customer of Prime Trust, LLC, please see below link to the Plan Administrator’s Initial Notice to Integrator Customers of Account Treatment Procedures (the “Initial Notice”). The Initial Notice sets forth the Plan Administrator’s preliminary determination of the type of master service agreement or service agreement held by the Debtors’ known Integrator Customers. The Initial Notice also identifies November 1, 2024, as the date of the Plan Administrator’s determination regarding: (a) whether Currency held in an Account constitutes a Non-Estate Asset (Article 2.5(b)(ii)); or (b) whether Currency held in an Account constitutes property of the Debtors’ Estates (the “Estate Property Determination Notice;” Article 2.5(b)(iii)).
ALL INTEGRATOR CUSTOMERS AND END-USER CUSTOMERS OF THE DEBTORS SHOULD READ THE INITIAL NOTICE CAREFULLY AS YOUR RIGHTS MAY BE AFFECTED AS DESCRIBED HEREIN AND A WRITTEN RESPONSE MAY BE REQUIRED FROM YOU.