JOINDER TO CASH MANAGEMENTAGREEMENT Dated as of November 29, 2006 among CROWN CASTLE TOWERS LLC AND THE SUBSIDIARIES THEREOF LISTED ON THE SIGNATURE PAGES, collectively, as Issuers, CROWN CASTLE GT HOLDING SUB LLC CROWN CASTLE ATLANTIC LLC as Members of Crown Castle GT Company LLC and Crown Atlantic Company LLC, respectively, THE BANK OF NEW YORK
Exhibit 10.2
EXECUTION VERSION
JOINDER TO CASH MANAGEMENT AGREEMENT
Dated as of November 29, 2006
among
CROWN CASTLE TOWERS LLC AND
THE SUBSIDIARIES THEREOF LISTED ON THE SIGNATURE PAGES,
collectively, as Issuers,
CROWN CASTLE GT HOLDING SUB LLC
CROWN CASTLE ATLANTIC LLC
as Members of Crown Castle GT Company LLC
and Crown Atlantic Company LLC, respectively,
THE BANK OF NEW YORK
as successor to JPMorgan Chase Bank, N.A.
as Indenture Trustee
and
CROWN CASTLE USA INC.
as Manager
JOINDER TO CASH MANAGEMENT AGREEMENT
This JOINDER TO CASH MANAGEMENT AGREEMENT, dated as of November 29, 2006 (this Agreement), among CROWN CASTLE TOWERS LLC, a Delaware limited liability company (the Issuer Entity), CROWN CASTLE SOUTH LLC, a Delaware limited liability company, CROWN COMMUNICATION INC., a Delaware corporation, CROWN CASTLE PT INC., a Delaware corporation, CROWN COMMUNICATION NEW YORK, INC., a Delaware corporation, CROWN CASTLE INTERNATIONAL CORP. DE PUERTO RICO, a Puerto Rico corporation (collectively, together with the Issuer Entity, the Initial Issuers), CROWN CASTLE TOWERS 05 LLC, a Delaware limited liability company (Crown 05), CROWN CASTLE PR LLC, a Puerto Rico limited liability company (Crown PR LLC), CROWN CASTLE MU LLC, a Delaware limited liability company (Crown MU), CROWN CASTLE MUPA LLC, a Delaware limited liability company (Crown MUPA and, together with Crown 05, Crown PR LLC and Crown MU, the Additional Issuers, and, together with the Initial Issuers, the Issuers), CROWN CASTLE GT HOLDING SUB LLC, a Delaware limited liability company, CROWN CASTLE ATLANTIC LLC, a Delaware limited liability company (together with Crown Castle GT Holding Sub LLC, the Members), THE BANK OF NEW YORK (as successor to JPMorgan Chase Bank, N.A.), a New York banking corporation, as indenture trustee and not in its individual capacity (the Indenture Trustee), and CROWN CASTLE USA INC., a Pennsylvania corporation (the Manager).
W I T N E S S E T H:
WHEREAS, the Initial Issuers, the Members, the Indenture Trustee and the Manager are parties to that certain Cash Management Agreement dated as of June 8, 2005 (the Cash Management Agreement);
WHEREAS, the Initial Issuers and the Indenture Trustee are parties to that certain Indenture dated as of June 1, 2005, as amended, supplemented and modified prior to the date hereof (the Indenture);
WHEREAS, the Initial Issuers, the Additional Issuers and the Indenture Trustee have entered into an Indenture Supplement (the Indenture Supplement), dated as of the date hereof, in order to issue Additional Notes (as defined in the Indenture) pursuant to the terms of Section 2.12 of the Indenture and to designate the Additional Issuers as Issuers; and
WHEREAS, pursuant to Section 4.02 of the Indenture Supplement, it is a condition precedent to the Additional Issuers becoming Issuers under the Indenture and the issuance of the Additional Notes thereunder that the Additional Issuers become parties to the Cash Management Agreement;
NOW, THEREFORE, in consideration of the covenants herein contained and other good and valuable consideration, the receipt and sufficiency of which are hereby
acknowledged, the Initial Issuers, the Members, the Indenture Trustee and the Manager hereby agree with the Additional Issuers as follows:
Section 1. Defined Terms.
Capitalized terms used in this Agreement but not defined herein shall have the respective meanings ascribed to them in the Cash Management Agreement.
Section 2. Agreement.
(a) Each Additional Issuer hereby agrees to all of the provisions of the Cash Management Agreement and, upon the execution and delivery of this Agreement by such Additional Issuer, such Additional Issuer shall be jointly and severally liable under the Cash Management Agreement as an Issuer, shall be entitled to all of the respective rights and privileges, and subject to all of the respective duties and obligations, of an Issuer under the Cash Management Agreement and shall perform in accordance with their terms all of the obligations which by the terms of the Cash Management Agreement are required to be performed by it as an Issuer.
(b) To secure the full and punctual payment and performance of all Obligations of the Issuers under the Notes, the Indenture, this Agreement and all other Transaction Documents, the Additional Issuers hereby grant to the Indenture Trustee a first priority continuing security interest in and to the following property of the Additional Issuers, whether now owned or existing or hereafter acquired or arising and regardless of where located (all of the same, collectively, the Collateral):
(i) the Accounts and all cash, checks, drafts, certificates and instruments, if any, from time to time deposited or held therein, including, without limitation, all deposits or wire transfers made to the Collection Account, the Lock Box Accounts, and each of the Sub-Accounts;
(ii) any and all amounts invested in Permitted Investments;
(iii) all interest, dividends, cash, instruments and other property from time to time received, receivable or otherwise payable in respect of, or in exchange for, any or all of the foregoing; and
(iv) to the extent not covered by clauses (i), (ii) or (iii) above, all proceeds (as defined under the Uniform Commercial Code as in effect in the State of New York (the UCC)) of any or all of the foregoing.
(c) Each Additional Issuer hereby represents and warrants to the Indenture Trustee that, as to itself, each of the representations and warranties set forth in the Cash Management Agreement is true as of the date hereof.
(d) The definition of Permitted Investments in the Cash Management Agreement shall be amended by replacing JPMorgan Funds in (ix) with Hamilton Funds.
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(e) For clarification, in accordance with Section 2.05 of the Cash Management Agreement, the Manager shall only instruct the Indenture Trustee to invest in Permitted Investments that mature one Business Day prior to the related Payment Date. In the absence of specific written investment instructions from the Manager, funds on deposit in the Collection Account or in the Sub-Accounts shall remain uninvested.
Section 3. Counterparts.
This Agreement may be executed in any number of counterparts, each of which when so executed shall be deemed to be an original, but all of such counterparts shall together constitute but one and the same instrument.
Section 4. Ratification of Agreement.
Except as modified and expressly amended by this Agreement, the Cash Management Agreement is in all respects ratified and confirmed, and all the terms, provisions and conditions thereof shall be and remain in full force and effect. The execution of this Agreement shall in no manner constitute a waiver or extinguishment of any rights of the Indenture Trustee or the Manager under the Cash Management Agreement and all such rights are hereby reserved.
Section 5. Amendment to Exhibit A of Cash Management Agreement.
Exhibit A of the Cash Management Agreement is hereby amended to read in its entirety as set forth in Exhibit A of this Agreement.
Section 6. Governing Law.
THIS AGREEMENT SHALL BE GOVERNED BY AND CONSTRUED IN ACCORDANCE WITH THE LAWS OF THE STATE OF NEW YORK. THE INITIAL ISSUERS AND EACH OF THE ADDITIONAL ISSUERS IRREVOCABLY SUBMITS TO THE JURISDICTION OF ANY NEW YORK STATE COURT OR UNITED STATES FEDERAL COURT SITTING IN THE BOROUGH OF MANHATTAN, THE CITY OF NEW YORK IN RESPECT OF ANY SUIT, ACTION OR PROCEEDING ARISING OUT OF OR IN RELATION TO THIS AGREEMENT OR THE CASH MANAGEMENT AGREEMENT.
[SIGNATURE PAGE FOLLOWS]
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IN WITNESS WHEREOF, the parties hereto have duly executed this Agreement as of the day and year first above written.
ISSUERS: | ||
CROWN CASTLE TOWERS LLC | ||
CROWN CASTLE SOUTH LLC | ||
CROWN COMMUNICATION INC. | ||
CROWN CASTLE PT INC. | ||
CROWN COMMUNICATION NEW YORK, INC. | ||
CROWN CASTLE INTERNATIONAL CORP. DE PUERTO RICO | ||
CROWN CASTLE TOWERS 05 LLC | ||
CROWN CASTLE PR LLC | ||
CROWN CASTLE MU LLC | ||
CROWN CASTLE MUPA LLC | ||
By: | /s/ Jay A. Brown | |
Name: | Jay A. Brown | |
Title: | Vice President | |
Tax Payer ID #: ([ ]) |
[SIGNATURES CONTINUE ON THE FOLLOWING PAGE]
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INDENTURE TRUSTEE: | ||
THE BANK OF NEW YORK, as successor to JPMorgan Chase Bank, N.A., a New York banking corporation | ||
By: | /s/ Pei Huang | |
Name: | Pei Huang | |
Title: | Assistant Vice President | |
MANAGER: | ||
CROWN CASTLE USA INC., a Pennsylvania corporation | ||
By: | /s/ Jay A. Brown | |
Name: | Jay A. Brown | |
Title: | Vice President | |
MEMBERS: | ||
CROWN CASTLE GT HOLDING SUB LLC, a Delaware limited liability company | ||
By: | /s/ Jay A. Brown | |
Name: | Jay A. Brown | |
Title: | Vice President | |
CROWN CASTLE ATLANTIC LLC, a Delaware limited liability company | ||
By: | /s/ Jay A. Brown | |
Name: | Jay A. Brown | |
Title: | Vice President |
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