ATM PROCESSING AGREEMENT

This Agreement is made this day of , 201 , (the “ Effective Date ”) by and between

, located at

, hereinafter referred to as “Merchant", and Canmor Inc., an Ontario Corporation, located at 600 Euclid St.. Whitby, Ontario, L1N 5C2, operating under the name and style of Canmor Merchant Services hereinafter referred to as Canmor,

WHEREAS, Canmor is an authorized affiliate of Transaction Network Services (TNS), and other third-party electronic funds transfer (EFT) Acquirers transactions through , hereinafter referred to as “Acquirer” and, WHEREAS, Canmor is engaged in the sales & service of automated bank machines (Terminals) and is a certified ISO in the Canadian SCD Service industry engaged in connecting Terminals, through an Interac® Acquirer , to a Network and/or third party processor to facilitate and conduct cardholder Transactions. Canmor has also developed and acquired certain confidential information, trade secrets and information relating to conducting the Business such as, but not limited to, specific systems, procedures and forms necessary to operate the Business; and WHEREAS, Merchant is requesting the exclusive services of Canmor to provide Terminal(s) and/or connecting the Merchant's Terminal(s) to a SCD Service Network, in order for the Merchant to offer SCD Service connection to its customers; and

NOW, THEREFORE, in consideration of the mutual covenants and promises contained herein, Canmor and Merchant do hereby agree as follows:

DEFINITIONS In this Agreement, the expressions following shall have the meanings indicated below: “Acquirer” refers to a member organization authorized by Interac® to enable merchants to process transactions on the Interac® Shared Cash Dispensing service or Network. An Acquirer is responsible for each Transaction and ensures Terminals meet the Network certification standards. “Agreement” refers to this ATM Processing Agreement between the Merchant and Canmor and any attachments signed by both parties. (ie: any Schedule, Exhibit or Appendix etc.. ) “Agreement” means this Agreement together with all schedules, exhibits, addenda, attachments and other agreements now and hereafter annexed hereto or incorporated herein by reference as it or they may be amended, supplemented, replaced, re-stated or otherwise modified from time to time. “Business” means the sales, placement, servicing of Terminals and related equipment & supplies and/or connecting Terminals, through an Interac® Acquirer's Switch, to a Network and/or third party processor to facilitate and conduct SCD Services. “Card Issuer” refers to Financial Institution that issued the Credit and/or Debit Card used by the cardholder. “Confidential Information” means all confidential or proprietary data and information in any form disclosed by either party (or by a representative of either party) to the other party (or to a representative of the other party) including but not limited to: trade secrets, ideas, trade processes, systems, plans, product information, business and financial information, all data and information including source code, executable code, specifications, documentation, or any part or component thereof, and any and all proprietary information and information received from third parties to whom a duty of confidence is owed or such information as a reasonable person would consider to be confidential. Merchant acknowledges that the Canmor manuals, the Terminal and website software, and Network Regulations (to the extent disclosed by Canmor to Merchant under this Agreement) all constitute Confidential Information of Canmor. “Interac®” refers to a Canadian organization linking enterprises that have proprietary networks so that they may communicate with each other for the purpose of exchanging electronic financial transactions. “General Maintenance” means the day to day up keep that is required during a routine vault cash load to keep a Terminal operating smoothly. [ie: change receipt paper, lightly cleaning of dispenser, card reader, printer etc.. and assist Canmor retrieving receipts(if required), notify Canmor of any quires etc...]

CONFIDENTIAL Canmor ATM Processing Agreement Page 1 of 8 Merchant Initials 03252016 “Merchant” means the individual or business, outlined above, who owns and/or operates and/or authorizes the use of a Terminal at the business premises outlined herein. “Network” refers to the systems, including computing and communication facilities, software, and the processing rules and regulations that the Acquirer, Card Issuer and Processor enabling the SCD Service functionality. “Network Errors” refers to Network failures, report errors, processing errors, Network settlement errors, Terminal application and software bugs, acts of god, communication problems/failures and/or any processing problem(s) or error(s) caused by a Network and/or Network party that is/was beyond the scope of Canmor to prevent and/or resolve. “Network Regulations” means, collectively, the memorandum of association, bylaws, rules, regulations, directives, guidelines and other policy instruments adopted or issued by Interac® from time to time and/or any other Network used by Canmor. “Network Reversal Penalties” refers to a fee charged by the Network each time a Terminal runs out of Vault Cash and/or requires the Network to perform a Transaction reversal. “On-Site Support” means any service that requires time consuming or complex onsite servicing of a Terminal which is not part of the Vault Cash Loader's responsibilities. “Sales Agent” refers to independent sales agents contracted by Canmor and not authorized to make or approve any additions to, deletions from or alterations of the printed provisions of this Agreement, or to terminate this Agreement once executed. “SCD Service” refers to the Shared Cash Dispensing service whereby a cardholder presenting an eligible card and valid PIN at the Terminal is able to their bank account and receive cash from the Terminal, in accordance with the procedures and standards established by Interac®. “Settlement Agent” refers to an agency under contract, by an Acquirer, used to settle SCD Service funds and fees, processed through the Terminal, with the Card Issuers. “Settlement Funds” refers to the funds debited from the cardholder's eligible account and deposited into the Vault Cash Loader's account to replace the vault cash that was dispensed from the Terminal. “Source of Funds Declaration Form” refers to the government mandated form identifying the individual or company and the banking information of the individual or company providing the currency to be dispensed from the terminal. “Surcharge” means a per Transaction fee charged to cardholder for using a Terminal. The Surcharge is in addition to banking fees and/or Interchange fees charged by the cardholder's bank. “Switch” refers to the hardware and software operated by the Acquirer for the purpose of connecting a Terminal to a Network. “Technical Support” means any service which may be rendered via telephone to a Merchant or Terminal related party. “Terminal” means the Automated Terminal Machines (ATM) and/or Automated Bank Machines (ABM) certified to dispense currency. “Transaction” means a transaction that is initiated at a Terminal through the use of an eligible card and valid PIN resulting in a cash withdrawal, purchase or payment. “Vault Cash Loader(ing)” means the Merchant and/or a third party contracted to supply and replenish the vault cash in the Terminal(s) outlined in this Agreement.

TERMS AND CONDITIONS

1. PROCESSING: Canmor agrees to provide to Merchant twenty-four (24) hour, three Hundred sixty- five (365) day per year access to ATM processing for ATM machine(s) listed by serial number(s) in Exhibit “A” attached hereto and incorporated by reference herein, except when maintenance is necessary or when events beyond the control of Canmor occur. Merchant acknowledges that Canmor will provide such processing services through its affiliate relationship with Processor(s), and that Merchant hereby agrees to use Canmor as Merchant's exclusive provider for such ATM processing services for said ATM machines for the term of this Agreement. Canmor shall reserve the right to utilize other processor(s) to perform identical functions.

2. TERM and TERMINATION: The initial term of this Agreement shall be for a minimum period of five (5) years starting on the date of this agreement. The Customer agrees this Agreement will automatically renew for further successive five (5) year periods ("Renewal(s)") unless one party gives the other written notice, at least ninety (90) days prior to the expiry of the initial or renewal term, of its intent to not renew this Agreement. The Customer further acknowledges and agrees that in the event Customer has requested or received a proposal from a competitor of Canmor, Canmor shall receive right of first refusal to match the proposal. Customer agrees to deliver to Canmor the proposed agreement for review and if Canmor matches the proposed agreement, Customer shall accept Canmor's agreement. Canmor reserves the right to terminate the agreement, at its discretion, by providing 30 days' notice.

3. NETWORK AVAILABILITY: Canmor will make available, to Merchant, through Canmor's Processor, the ATM Debit Card Networks for processing on Merchant's ATM machines listed in Exhibit “A” attached hereto, and incorporated by reference herein.

CONFIDENTIAL Canmor ATM Processing Agreement Page 2 of 8 03252016 Merchant Initials 4. SETTLEMENT: Upon execution of this agreement by Customer, Customer shall provide a VOID for the Customer's Settlement Account. Canmor's processors will facilitate the transfer of funds via the ATM networks to the Customer's account in the event that Customer is the cash provider for Customer's ATM using the Automated Clearing House (ACH), on a two (2) day delayed basis. If Customer provides cash replenishment, Customer shall be responsible for terminal balancing on a periodic basis. 5. INCOME: Merchant shall be entitled to the income generated by Merchant's ATM as set forth in Schedule A below and calculated by multiplying the number of chargeable transactions times the Net Income to Merchant per Transaction minus Maintenance fee per transactions. Canmor shall pay Merchant's surcharge on or about the 5th day of the month for the income due from the previous month's transactions. 6. VAULT CASH LOADING: Merchant shall: (a) Supply and replenish the cash in the Terminal(s) and, to the best of its ability, maintain an adequate condition and at a level to support the cash withdrawal functions of the system. (b) Cover all cost associated with the Vault Cash Loading duties including any Network Reversal Penalties fees that may apply. (c) Provide General Maintenance and assist Canmor from time to time as may be required to correct minor quires and/or problems. (d) Provide a VOID CHECK from a Canadian Bank account in good standing (belonging to the Vault Cash Loader) for direct deposits. (e) Notify Canmor, in writing, before making any changes as stipulated in the “Source of Funds Declaration Form.” and provide Canmor with a revised Source of Funds Declaration Form (f) Terminal slips and journals MUST be supplied, if requested by Canmor, within 7 days of being so requested. (PLEASE NOTE: a “Schedule A” must be completed for each Terminal setup under this Agreement.) 7. INSTALLATION, ACTIVATION & REMOVAL: Canmor shall perform the installation work in a workman-like manner, according to standard industry practices. Scope of the Work is drill four holes (if possible) in floor and attach Terminal to floor using anchor bolts or wood bolts. In the event the Merchant is renting the business location, Merchant will negotiate with the Landlord and make arrangements with the Landlord to mount the anchor bolts or wood bolts. In the event the Terminal needs to be removed or relocated from the current location Canmor shall not be liable to repair damages and/or restore the install area to its original condition. The Merchant represents and warrants that it has full power and authority to authorize the installation of and scope of work to of preformed at the premises. In the event the Merchant is renting the business location, Merchant will obtain written approval from the Landlord permitting Canmor to mount the anchor bolts or wood bolts or make arrangements for the Landlord to mount the anchor bolts or wood bolts. 8. PAPER: Merchant agrees to purchase ATM receipt paper exclusively from Canmor. Merchant agrees to give Canmor 2 weeks' notice to make delivery arrangements. 9. LOCATION: Merchant agrees to locate the Terminal in such a manner that it is visible to Cardholders and offers uninterrupted access during normal operating hours of the Business. 10. POWER SUPPLY & COMMUNICATIONS: Merchant agrees to provide and pay for all cost associated with providing electrical power and agrees to provide access to and pay for all cost associated with providing dedicated telephone/IP communication circuits that may be required for the smooth operation of the Terminal used in connection with this Agreement. 11. ADVERTISING: Merchant understands and agrees that Canmor shall reserve the right to sell advertising on the equipment including, but not limited to, on-screen advertising, mini billboard advertisements, and coupon dispensing. Merchant shall retain the right to prohibit ads that would conflict with existing merchant products. 12. NETWORK AUTHORITY, MAINTENANCE & AVAILABILITY: Merchant hereby agrees to follow and be bound by all procedures and standards established by the Network Regulations. A copy of the current Interac® Regulations may be supplied to the Merchant upon request only. The Acquirer and Network reserves the right to have four scheduled maintenance windows per year between 3 and 6 AM EST on Sundays. Canmor shall use commercially reasonable efforts to make the Network portion of the SCD Service available 24 hours a day, 7 days a week a minimum of 98% of the time. 13. ADJUSTMENTS: Merchant understands and acknowledges that, upon demonstration and in the event of a Surcharge or Interchange rate change or a change in direct SCD Service costs payable to providers or Networks, or a change in Transaction fee revenue due to a change in Network rule or other law or regulation which affects fees payable, that are beyond the control of Canmor, the Merchant's fees and/or profits may also be adjust accordingly. Merchant further agrees that, upon demonstration, and in the event the Merchant defaults on any payment(s) and/or fees payable to Canmor, Canmor shall have the right to recover and settle said loss using any and all means possible including, but not limited to, adjustment of Settlement Funds, if applicable. 14. CONFIDENTIAL INFORMATION: Canmor agrees not to disclose any confidential information about Merchant, including but not limited to, banking information, social security or tax ID numbers or any other information that may be deemed confidential and that Merchant notifies Canmor in writing as to such confidentiality, except as required by law or by court order to the extent necessary to perform SCD Services, and Merchant agrees not to disclose any confidential information about Canmor, including but not limited to, banking information, trade secrets and any other information that Canmor or it's represenatives may from time to time inform Merchant in writing of such confidential information or material, except as required by law or court order. 15. SUCCESSORS AND ASSIGNS: This Agreement may not be assigned or in any way disposed of all or any part of its rights or obligations by Merchant under this Agreement without the prior written consent of Canmor. Canmor shall not unnecessarily withhold consent. Canmor reserves the right to transfer or assign any part of its rights or obligations under this Agreement without the prior written consent of Merchant. A waiver by either party of a breach of any provision of this Agreement shall not constitute a waiver of that party's rights to otherwise demand strict compliance with this Agreement and any and all provisions hereof. This Agreement shall inure to the benefit of and be binding upon the parties named herein and their respective heirs, executors, administrators, successors and assigns.

CONFIDENTIAL Canmor ATM Processing Agreement Page 3 of 8 03252016 Merchant Initials 16. OBILGATIONS OF THE PARTIES: The parties hereto agree that each will use its best efforts to comply with all applicable federal, provincial, and local laws, ordinances, rules and regulations of the Networks and any provider of an affiliated service under this Agreement. Each party agrees that, at the request of the other, he or she will execute and deliver any instrument, furnish any information, or perform any other act reasonably necessary to carry out the provisions of this agreement. Canmor reserves the right to suspend or completely cancel all or any portion of the Interac SCD service at any time without prior notice to the Merchant if any evidence or suspicion that fraudulent or other eligal activities have occurred or requests by regulatory agencies or association to suspend service. 17. NOTICES: All notices, requests demands and other communications pursuant to this Agreement shall be deemed to have been duly given if they are delivered by hand, by courier or by registered mail with postage prepaid, return receipt requested to the address of the parties hereto. 18. JURISDICTION & DISPUTES: This Agreement shall be governed by and construed and enforced in accordance with the laws of the Province of Ontario, both substantive and remedial, with venue in the city of Toronto, Province of Ontario. All disputes hereunder shall be resolved in the provincial or federal courts of Ontario The parties consent to the jurisdiction of such courts, agree to accept service of process by mail, and waive any jurisdictional or venue defenses otherwise available. In any between parties, whether or not resulting litigation, the prevailing party shall be entitled to recover from the other party all reasonable costs including, without limitation, reasonable attorney fees. 19. INDEMNIFICATION: Merchant agrees to release, defend, indemnify, and hold Canmor, and its officers, directors, agents, and employees, (collectively the “Canmor Group”) harmless against all, costs, expenses, and losses (including reasonable legal fees and costs) incurred through claims against the Canmor Group of any and all liability associated with the Business services requested for the Terminal(s) listed below and certifies that there are no current contracts in effect with either a previous ATM distributor, processor, or any other group or organization that would prohibit the service requested for this particular Terminal. Merchant further agrees to release, defend, indemnify, and hold the Canmor Group harmless against all, costs, expenses, and losses (including reasonable legal fees and costs) incurred through claims against the Canmor Group of any and all liability in the event of any unforeseen and/or disclosed hazardous materials or hazardous waste of any form or kind is caused, discovered, uprooted or disturbed from or during the Terminal installation which resulted in any accidents resulting in damages, injuries, death, hazardous incident or causing environmental contamination, including but not limited to, air born dust and dribs. Merchant further agrees to release, defend, indemnify, and hold the Canmor Group harmless against all, costs, expenses, and losses (including reasonable legal fees and costs) incurred through claims against the Canmor Group of any and all liability in the event of any accidents resulting in damages and/or injuries and/or death due to unknown objects and/or problems of any form or kind that is either directly or indirectly responsible for a work place accident such as, but not limited to, any electrical wiring or water lines installed under the flooring or in walls, from or during the installation of a Terminal. 20. LIMITATION OF REMEDIED and LIABILITY: Merchant agrees that Canmor will not be liable for any loss, expense or cost incurred by Merchant, customers or any persons or entity as a result of any cause beyond the reasonable control of Canmor including but not limited to, weather and all other Acts of God, war, fire, explosions, power failures, Government priorities, labor stoppages, supplier failure or delay, civil disorder, or breakdown or malfunction of machinery, transportation facilities or other equipment or any nature. Merchant agrees to indemnify and hold Canmor harmless and to reimburse Canmor for and in respect of any and all losses, claims, damages or injuries arising out of or as a result of any fraudulent, improper or illegal act or omission committed or occurring by or on behalf of the Merchant, its employees, agents, officers, directors or customers or any person making use of any Personal Idenifiaction Number (PIN) entry device or component located on the premises of the Merchant and for which Canmor may become liable. Canmor's performance shall be excused during the time of any such event, but Canmor shall use its best efforts to limit the duration of any such delay. 20.1 PRODUCTS & SERVICES - Canmor shall NOT be liable to Merchant or any other party for Canmor's; failure to process orders, for errors in processing orders, delays in delivery, service or failure to perform, in any capacity whatsoever. Canmor's liability to Merchant for defective products is limited to Canmor's obligations under the standard warranty accompanying each product sold and to Canmor's obligations arising under this Agreement. In no event shall Canmor be liable for cost of procurement, substitute goods, loss of profits, or for any other special, incidental, or consequential damages, however caused. 20.2 NETWORK ERRORS - In the event of Network Errors, Canmor agrees to use every reasonable means available to work with both the Merchant and the Network parties involved to correct and/or resolve problems. Merchant hereby acknowledges and agrees that Network Errors are beyond the scope of POS to prevent and/or resolve and in no event shall Canmor be liable for cost of procurement, substitute goods, loss of profits, or for any other special, incidental, or consequential damages, however caused. In the event either party initiates a proceeding to interpret or enforce this Agreement or any of its terms or conditions, the prevailing party shall be entitled to recover reasonable costs and legal fees CANMOR MAKES NO WARRANTIES, EXPRESS OR IMPLIED, WITH RESPECT TO THE CASH DISPENSING SERVICES, EXCEPT AS EXPRESSLY PROVIDED IN THIS AGREEMENT. NO ORAL OR WRITTEN REPRESENTATION OR STATEMENTS MADE BY CANMOR OR ANY OF ITS AGENTS OR EMPLOYEES INCLUDING, BUT NOT LIMITED TO, ANY SPECIFICATIONS, DESCRIPTIONS OR STATEMENTS CONTAINED IN USER GUIDES PROVIDED TO MERCHANT, SHALL BE BINDING UPON CANMOR AS A WARRANTY PROMISE OR PERFORMANCE UNLESS EXPRESSLY CONTAINED IN THIS AGREEMENT.

CONFIDENTIAL Canmor ATM Processing Agreement Page 4 of 8 03252016 Merchant Initials 21. SEVERABILITY; If any portion of this Agreement is held illegal, unenforceable, void, or voidable by any Court, each of the remaining terms hereof shall nevertheless remain in full force and effect as a separate contract. This Agreement shall be deemed modified and amended to the extent necessary to render it valid and enforceable. To that end, the parties further agree to replace any void or unenforceable provisions of this Agreement with a valid and enforceable provision that will achieve, to the fullest extent possible, the economic, business and other purposes of any void or unenforceable provision.

22. AUTHORITY: Merchant hereby acknowledges that this Agreement will not be binding until signed by an officer of Canmor. Sales Agent, affiliated with Canmor are NOT authorized to sign, make alterations or terminate agreements on behave of Canmor. Merchant further represents and warrants to Canmor that the execution and delivery of this Agreement and the performance of the provisions hereof have been duly authorized by all necessary action (including corporate action, if applicable) by Merchant on its part, and that this Agreement has been duly and validly executed and delivered by Merchant and is valid and legally binding, enforceable against Merchant in accordance with its terms. Any purported amendment, modification or termination of this Agreement which is oral, or which is in writing but not signed by both Merchant and an officer of Canmor, shall be void and of no effect whatsoever.

23. MISCELLANEOUS: The section headings contained herein are for reference purposes only and shall not in any way affect the meaning or interpretation of this Agreement. If any term, provision, covenant, or condition of this Agreement is held by a court of competent jurisdiction to be invalid or unenforceable, the remainder of the provisions shall remain in full force and effect and shall not be affected, impaired or invalidated thereby.

24. ENTIRE AGREEMENT: This Agreement constitutes the entire agreement between the parties relating to the subject matter hereof, and there are no other promises, representations, terms, conditions or obligations other than those contained herein. This Agreement supersedes all prior communications, representations or agreements, oral or written, regarding the Business, between the parties and shall not be modified except in writing signed by both parties. Both parties agree that this Agreement has been fully negotiated by the parties and such parties have had full and complete opportunity to consult with legal counsel.

25. LANGUAGE: The parties hereby acknowledge that they have required these agreements and all related documents to be drawn up in the English language. Les parties reconnaissent avoir demandé que les présents contrats ainsi que les documents qui s'y rattachent soient rédigés en langue anglaise.

IN WITNESS WHEREOF, the parties have caused this ATM NETWORK AGREEMENT and attached Schedule “A” to be duly executed on the date and year written below.

Accepted By Accepted By MERCHANT CANMOR INC. x______Merchant’s Signature Authorized Signature

______Merchant’s Printed Name Title

Date: ______Date: ______

Please Note: THE TERMS OF THIS AGREEMENT ARE IN CONSIDERATION FOR THE MERCHANT RECEIVING PREMIUM PROFITS SPLITS LISTED IN SCHEDULE A.

CONFIDENTIAL Canmor ATM Processing Agreement Page 5 of 8 03252016 Merchant Initials SCHEDULE “A” - TERMINAL & FINANCIAL INFORMATION

TERMINAL INFORMATION

Business Name:

DBA Name:

Terminal Address:

City / Town Province Postal Code Terminal Model:

Terminal Serial No.:

Check here if the Vault Cas h Loader is the Merchant. The Merchant agrees to supply Canmor with a VOID cheque from its Vault Cas l Loading Account.

Check here if both parties agree to contract a third party to perform the Vault Cash Loader duties.

Merchant agrees to pay the Terminal Purchase Price listed below for the Terminal listed above. Once paid in full or leasing terms have been arranged the Terminal shall belong to the Merchant Free and clear.

FINANCIAL INFORMATION

TERMINAL PURCHASE PRICE $ (Includes Delivery and Setup Fees) Initial TERMINAL SURCHARGE (per transaction fee) $ Initial MAINTENANCE FEE (per transaction) Minus $ Initial NET INCOME TO MERCHANT (per transaction) $ Initial

MONTHLY SERVICE FEE $ Initial

NOTE: A separate Schedule "A" is required for each Terminal.

CONFIDENTIAL Canmor ATM Processing Agreement Page 6 of 8 03252016 Merchant Initials SCHEDULE “B” – RELEASE FORM

Merchant represents and confirms that, to the best of his/her knowledge, the following statements are true:

Checklist:

MERCHANT’S TRUE FALSE INITIAL

1. As of the dates outlined in this Agreement there are no contracts in effect with a previous distributor, processor or any other group or organization that would prohibit this business from entering into an agreement with Canmor.

2. There is no automatic renewal terms in the agreement with my current processor and/or I have/will give proper notice to my current ATM processor that I will not be renewing within the proper time frames.

3. There are no further obligations that would prohibit us from entering into an agreement with Canmor such as right of first refusal agreement.

4. The ATM(s) listed below are owned/leased by the Canmor and the Merchant has the authority to authorize Canmor to change its programming to channel through the Canmor processing switch.

The Merchant or his/her representative hereby agrees to release and indemnify Canmor from any and all liability associated with adding this location/business to the Canmor Switch. Merchant further confirm that there are no current contracts in effect with a previous distributor, processor or any other group or organization that would prohibit the services requested for this particular location/business. Canmor did not in any way induce actions of breach towards any other contract, existent or past existent.

The Merchant hereby acknowledges that he/she has received, read, and understands the terms stated in this form.

Company Name:

Merchant’s Name: Title:

Merchant’s Signature: Date:

CONFIDENTIAL Canmor ATM Processing Agreement Page 7 of 8 03252016 Merchant Initials ATM Setup Information

ATM INFORMATION and SITE ADDRESS

Name:

ABM Phone #:

Currency Denomination: ($10, $20, $50)

Serial No.: Make & Model:

Street:

City: Prov: Postal Code: Phone #:

SITE CONTACT INFORMATION

Contact:

Phone #:

VAULT CASH OWNER

Cash Owner:

Acccount Name:

Name of Bank:

Transit # Bank # Account#: (5 digits) (3 digits)

SURCHARGE OWNER #1

Acccount Name:

Name of Bank:

Transit # Bank # Account#: (5 digits) (3 digits)

Surcharge $ or %

SURCHARGE OWNER #2

Acccount Name:

Name of Bank:

Transit # Bank # Account#: (5 digits) (3 digits)

Surcharge $ or %

CONFIDENTIAL Canmor ATM Processing Agreement Page 8 of 8 03252016 Merchant Initials