To mitigate transaction risk, YataPay Secure offers Holdback accounts, enabling clients to place a portion of the purchase price in escrow until the terms of an agreement are satisfied. Holdbacks offer a way for the buyer to seek claims for false representations or breaches of warranty. YataPay Secure will manage all claims on the account in accordance with the agreement terms.
Good Faith Deposits
YataPay Secure offers Good Faith Deposits, which hold a portion of the transaction purchase price in escrow to help buyers and sellers facilitate bidding and comply with regulations. J.P. Morgan can also distribute termination fees from the escrow funds if the transaction is cancelled.
Other Lending Services
YataPay Secure can hold assets in escrow as collateral for loans to help mitigate the risk of default for the lender. We offer a range of Escrow services to support M&A transactions around the globe, including Holdback Escrows, Good Faith Deposits and Paying Agent Services. YataPay Secure’s digital transaction platform for faster M&A shareholder payments: Streamline how shareholders enter, validate and submit information. Track the status of submissions and payments in real time.
Bond and Loan Issurance
YataPay Secure provides corporate and private equity firms with escrows that segregate bond and loan proceeds and can be used for a variety of transactions, including construction projects or acquisitions. YataPay Secure services can also help mitigate the risk of proceeds being used for unintended purposes.
Closing Agent/Paying Agent
YataPay Secure offers buyers escrow accounts for deposit of the full transaction purchase price to centralize funding sources and hold liquid funds before closing.
We also provide a variety of services to facilitate the transaction:
Closing Agent escrows – These escrows facilitate the exchange of the company stock from the seller for cash payments from the buyer.
Paying Agent services – J.P. Morgan disburses funds to the selling shareholders directly from an escrow account. We can efficiently manage all aspects of the process, from inspecting presentations and share certificates, to resolving issues and promptly paying shareholders.