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8-K - CURRENT REPORT - CIT GROUP INCe44865_8k.htm
EX-99.3 - DESCRIPTION OF CASH SWEEP - CIT GROUP INCe44865ex99_3.htm
EX-99.2 - NOTICE DATE REPORT FOR QUARTER ENDED JUNE 30, 2011 - CIT GROUP INCe44865ex99_2.htm

EXHIBIT 99.1

CIT Group Inc.

NOTICE DATE REPORT
(Series A Indenture Supplement)

Set forth below is the Notice Date Report for the Quarter ended June 30, 2011 under Section 7.15(e) of the First Supplemental Indenture among CIT Group Inc., as Issuer, the Guarantors Named Therein, as Guarantors, and Deutsche Bank Trust Company Americas, as Trustee, Series A Parent Collateral Agent and Series A Subsidiary Collateral Agent, dated as of December 10, 2009.

1. Sweep Cash Amount* for the quarter ended June 30, 2011 $ 561,776,111
 
2. Other Available Cash* as of June 30, 2011 $ 2,733,119,945
 
3a. Payments made during the quarter ended June 30, 2011 on obligations    
that were Time-To-Fund (TTF) Requirements* $ 4,486,341,824
 
3b. Payments made during the quarter ended June 30, 2011 on Qualified    
Debt Obligations* $ 3,080,989,643
 
3c. The projected amounts of TTF payments for the 12-month period    
ending June 30, 2012 $ 3,363,533,019
 
4a. Permitted Bank Investments* made from sweep accounts during    
the quarter ended June 30, 2011 $ 0
 
4b. Required Bank Investments* made from sweep accounts during    
the quarter ended June 30, 2011 $ 0
 
4c. Required Bank Investments* made from Other Available Cash*    
during the quarter ended June 30, 2011 $ 23,167,997
 
5. Business Reinvestments* made from sweep accounts during the    
quarter ended June 30, 2011 $ 0
 
6. Payments made or required to be made to repay or repurchase    
indebtedness outstanding under the 1st Lien Facility or Series A    
Notes, as applicable, during the quarter ending    
September 30, 2011 $ 500,000,000
 
7. Cash sweep payment (i.e., “Available Sweep Amount”) required    
for the quarter ended June 30, 2011 $ 0
 
* As defined under the Series A Indenture.    

CIT Group Inc.

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