HKD PROVIDER’s Bank Officer shall undertakes to count check all notes. Bad Notes and unaccepted ones shall be return to the USD PROVIDER’s. The closing time for the counting stopped at 3:30 pm, the verified good notes shall be taken into account of the HKD PROVIDER for the exchange on the last Inter-Bank Exchange rates .By 4:30 pm the HKD PROVIDER’s Bank shall make all transfer to the USD PROVIDER’s Main Bank Account and also to the Beneficiary/ies Bank Account under the FPA without any Protest or delayed. In the event if there are any left over in the First Tranche of USD Five Hundred Million, then the HKD PROVIDER’s Bank Officer shall take note of the amount of Notes uncounted and shall issue a receipt to the USD PROVIDER for the Next day counting process.