Form
20-F o
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Form
40-F x
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Yes
o
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No
x
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THE
TORONTO-DOMINION BANK
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DATE: February
23, 2006
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By:
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/s/
Rasha El Sissi
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Name:
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Rasha
El Sissi
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Title:
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Associate
Vice President, Legal
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1.
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I
have reviewed the interim filings (as this term is defined
in Multilateral
Instrument 52-109 Certification
of Disclosure in Issuers' Annual and Interim Filings)
of The Toronto-Dominion Bank, (the issuer) for the interim
period ending
January 31, 2006;
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2.
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Based
on my knowledge, the interim filings do not contain any untrue
statement
of a material fact or omit to state a material fact required
to be stated
or that is necessary to make a statement not misleading in
light of the
circumstances under which it was made, with respect to the
period covered
by the interim filings;
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3.
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Based
on my knowledge, the interim financial statements together
with the other
financial information included in the interim filings fairly
present in
all material respects the financial condition, results of operations
and
cash flows of the issuer, as of the date and for the periods
presented in
the interim filings; and
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4.
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the
issuer’s other certifying officers and I are responsible for establishing
and maintaining disclosure controls and procedures for the
issuer, and we
have:
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1.
|
I
have reviewed the interim filings (as this term is defined in Multilateral
Instrument 52-109 Certification
of Disclosure in Issuers' Annual and Interim Filings)
of The Toronto-Dominion Bank, (the issuer) for the interim period
ending
January 31, 2006;
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2.
|
Based
on my knowledge, the interim filings do not contain any untrue
statement
of a material fact or omit to state a material fact required to
be stated
or that is necessary to make a statement not misleading in light
of the
circumstances under which it was made, with respect to the period
covered
by the interim filings;
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3.
|
Based
on my knowledge, the interim financial statements together with
the other
financial information included in the interim filings fairly present
in
all material respects the financial condition, results of operations
and
cash flows of the issuer, as of the date and for the periods presented
in
the interim filings; and
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4.
|
the
issuer’s other certifying officers and I are responsible for establishing
and maintaining disclosure controls and procedures for the issuer,
and we
have:
|