“Financial Plan” means the financial model delivered by the Company to the Facility Agent pursuant to Clause 9.1 (Initial Conditions Precedent), and as updated from time to time in accordance with this Agreement.
“Financial Quarter” means the period commencing on the day after one Quarter Date and ending on the next Quarter Date.
“Financial Statements” means Annual Financial Statements and Quarterly Financial Statements.
“Financial Year” means the annual accounting period of the Company ending on the Accounting Reference Date in each year.
“First Effective Date” has the meaning given to the term “Restatement Effective Date” in the 2021 Amendment and Restatement Agreement.
“Funding Rate” means any individual rate notified by a Lender to the Facility Agent pursuant to paragraph (a)(ii) of Clause 15.3 (Cost of Funds).
“Group” means the Company and its Subsidiaries for the time being.
“Group Structure Chart” means the group structure chart provided to the Facility Agent pursuant to Clause 9.1 (Initial Conditions Precedent).
“Guarantee Confirmation” has the meaning given to it in the 2023 Amendment and Restatement Agreement.
“Guarantor” means:
| (a) | the Original Facility Guarantors; |
| (b) | the Original Nigeria Guarantors; and |
| (c) | each Additional Guarantor, unless it has ceased to be a Guarantor in accordance with Clause 32 (Changes to the Obligors). |
“Guarantor Accession Date” means, in relation to any Subsequent Bond Obligor or member of the Nigeria Group, the date on which that Subsequent Bond Obligor or member of the Nigeria Group becomes an Additional Guarantor pursuant to Clause 27.24 (Conditions Subsequent).
“Historic Term SOFR” means, in relation to any Loan, the most recent applicable Term SOFR for a period equal in length to the Interest Period of that Loan and which is as of a day which is no more than two days before the Quotation Day.
“Holding Company” means, in relation to a person, any other person in respect of which it is a Subsidiary.
“IFRS” means international accounting standards within the meaning of IAS Regulation 1606/2002 to the extent applicable to the relevant financial statements.
“IHS Holding Term Facility” means the term facility agreement dated 28 October 2022 between, amongst others, the Company as borrower, Citibank Europe plc, UK Branch as facility agent, Citibank N.A., London Branch as coordinator and the parties defined therein as original lenders, as amended and / or restated from time to time.
“Impaired Agent” means the Facility Agent at any time when: