{"url_path":"/sec/cik-0002133003/8-k/2026-06-24/item-1122","section_key":"item-1122","section_title":"Item 1122 of Regulation AB, as of and for the 12-month period ending December 31, 20[__] (the &ldquo;Reporting","topic":"sec","document":{"doc_type":"8-K","doc_date":"2026-06-24","source_url":"https://www.sec.gov/Archives/edgar/data/2133003/0001539497-26-001856-index.html","accession_number":"0001539497-26-001856","cik":"0002133003","ticker":null,"issuer_name":"Wells Fargo Commercial Mortgage Trust 2026-5C9","edgar_url":"https://www.sec.gov/Archives/edgar/data/2133003/0001539497-26-001856-index.html","primary_entity_key":"0002133003","primary_entity_name":"Wells Fargo Commercial Mortgage Trust 2026-5C9"},"word_count":3901,"has_tables":true,"body_markdown":"Item 1122 of Regulation AB, as of and for the 12-month period ending December 31, 20[__] (the &ldquo;Reporting\nPeriod&rdquo;), as set forth in Exhibit AA to the Pooling and Servicing Agreement. The transactions covered by this report\ninclude asset-backed securities transactions for which the Reporting Servicer acted as [a master servicer, special servicer, trustee,\ncertificate administrator] involving commercial mortgage loans **[other than __________________1]**(the &ldquo;Platform&rdquo;);\n\nThe Reporting Servicer has engaged certain\nvendors, which are not servicers as defined in Item 1101(j) of Regulation AB (the &ldquo;Vendors&rdquo;)\nto perform specific, limited or scripted activities, and the Reporting Servicer elects to take responsibility for assessing compliance\nwith the servicing criteria or portion of the servicing criteria applicable to such Vendors&rsquo; activities as set forth on Schedule\nA;\n\nExcept as set forth in paragraph 4 below, the\nReporting Servicer used the criteria set forth in paragraph (d) of Item 1122 of Regulation AB to assess the compliance with the applicable\nservicing criteria;\n\nThe criteria listed in the column titled &ldquo;Inapplicable\nServicing Criteria&rdquo; on Schedule A hereto are inapplicable to the Reporting Servicer based on the activities it performs, directly\nor through its Vendors, with respect to the Platform;\n\nThe Reporting Servicer has complied, in all\nmaterial respects, with the applicable servicing criteria as of December 31, 20[__] and for the Reporting Period with respect to the Platform\ntaken as a whole**[, except as described on Schedule B hereto]**;\n\nThe Reporting Servicer has not identified and\nis not aware of any material instance of noncompliance by the Vendors with the applicable servicing criteria as of December 31, 20[__]\nand for the Reporting Period with respect to the Platform taken as a whole**[, except as described on Schedule B hereto]**;\n\nThe Reporting Servicer has not identified\nany material deficiency in its policies and procedures to monitor the compliance by the Vendors with the applicable servicing criteria\nas of December 31, 20[__] and for the Reporting Period with respect to the Platform taken as a whole**[, except as described on Schedule\nB hereto]**; and\n\n1\nDescribe any permissible exclusions, including those permitted under telephone interpretation 17.04 (i.e., transactions registered prior\nto compliance with Regulation AB, transactions involving an offer and sale of asset-backed securities that were not required to be issued),\nif applicable.\n\nExhibit II-1\n\n[____], a registered public accounting firm,\nhas issued an attestation report on the Reporting Servicer&rsquo;s assessment of compliance with the applicable servicing criteria for\nthe Reporting Period.\n\n[Date of Certification]\n\n[NAME OF REPORTING SERVICER]\n\nBy:\n\nName:\n\nTitle:\n\nExhibit II-2\n\n**EXHIBIT JJ**\n\n**CREFC&reg;\nPAYMENT INFORMATION**\n\n&thinsp;\n\nPayments shall be made to &ldquo;CRE Finance Council&rdquo; and sent to:\n\nCommercial Real Estate Finance Council, Inc.\n\n28 West 44th Street, Suite 815\n\nNew York, NY 10036\n\nAttention: Executive Director\n\n&thinsp;\n\nor by wire transfer to:\n\n&thinsp;\n\nAccount Name: Commercial Real Estate Finance Council (CREFC&reg;)\n\nBank Name: Chase\n\nBank Address: 80 Broadway, New York, NY 10005\n\nRouting Number: 021000021\n\nAccount Number: 213597397\n\nExhibit JJ-1\n\n**EXHIBIT KK**\n\n**&thinsp;**\n\n**Form of\nNotice of ADDITIONAL**\n\n**INDEBTEDNESS\nNOTIFICATION**\n\n**&thinsp;**\n\n**VIA E-MAIL:**\n\n**To: Computershare Trust Company, National Association, as Certificate\nAdministrator; trustadministrationgroup@computershare.com; CCTCMBSBondAdmin@computershare.com and cctsecnotifications@computershare.com**\n\n&thinsp;\n\nRef: BBCMS 2026-5C42, Additional Debt Notice for Form 10-D\n\n&thinsp;\n\nThe following information is being furnished to you for inclusion on Form\n10-D pursuant to Sections 3.18(e) and 11.04(a) of the Pooling and Servicing Agreement\n\n&thinsp;\n\n&thinsp;\n**Portfolio Name**\n**Mortgage Loan**\n**Position in Debt Stack**\n**Additional Debt**\n**OPB**\n**OPB Date**\n**Appraised Value**\n**Appraised Value Date**\n**Aggregate LTV**\n**Aggregate NCF DSCR**\n**Aggregate NCF DSCR Date**\n**Primary Servicer**\n**Master Servicer**\n**Lead Servicer**\n**Prospectus ID**\n\n1\nBBCMS 2026-5C42\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nOutside the Trust\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nOutside the Trust\n&thinsp;\n&thinsp;\n\n$\n\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nTotal\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n2\nBBCMS 2026-5C42\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nOutside the Trust\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nOutside the Trust\n&thinsp;\n&thinsp;\n\n$\n\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nTotal\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n3\nBBCMS 2026-5C42\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nOutside the Trust\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nOutside the Trust\n&thinsp;\n&thinsp;\n\n$\n\n&thinsp;\n&thinsp;\n$\n&thinsp;\n%\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\nTotal\n&thinsp;\n&thinsp;\n$\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n&thinsp;\n\n&thinsp;\n\n&thinsp;\n\nExhibit KK-1\n\n**EXHIBIT LL**\n\n&thinsp;\n\n[Reserved.]\n\nExhibit LL-1\n\n**EXHIBIT MM**\n\n**ADDITIONAL\nDISCLOSURE NOTIFICATION (ACCOUNTS)**\n\n**&thinsp;**\n\n**INSTRUCTIONS:**\n\n**&thinsp;**\n\n**FOR ACCOUNT BALANCE REPORTING: SEND VIA EMAIL TO:**\n\n**!nacctsecnotifications@computershare.com**\n\n**FOR ALL OTHER NOTIFICATIONS: SEND VIA EMAIL AND OVERNIGHT MAIL TO THE\nADDRESS IMMEDIATELY BELOW****\n\n&thinsp;\n\nComputershare Trust Company, National Association, as Certificate Administrator\n\n9062 Old Annapolis Road\n\nColumbia, Maryland 21045-1951\n\nAttention: Corporate Trust Services (CMBS)– BBCMS Mortgage Trust\n2026-5C42 —SEC REPORT PROCESSING\n\nE-Mail: !nacctsecnotifications@computershare.com\n\n&thinsp;\n\nRE: **Additional Form [10-D][10-K][8-K] Disclosure** Required\n\nTo the above-mentioned addressees:\n\nIn accordance with Section\n11.04 of the Pooling and Servicing Agreement, dated and effective as of June 1, 2026 (the &ldquo;Pooling and Servicing Agreement&rdquo;),\namong Barclays Commercial Mortgage Securities LLC, as Depositor (the &ldquo;Depositor&rdquo;), Midland Loan Services, a Division\nof PNC Bank, National Association, as Master Servicer, LNR Partners, LLC, as Special Servicer, Computershare Trust Company, National Association,\nas Certificate Administrator and as Trustee, and Park Bridge Lender Services LLC, as Operating Advisor and as Asset Representations Reviewer,\nthe undersigned, as [ ], hereby notifies you that certain events have come to our attention that [will] [may] need to be disclosed on\nForm [10-D][10-K][8-K].\n\nDescription of Additional Form [10-D][10-K][8-K] Disclosure:\n\n[With respect to the Collection Account and REO Account balance\ninformation:\n\n**Account Name**\n\n**Beginning Balance as of**\n\n**MM/DD/YYYY**\n\n**Ending Balance as of**\n\n**MM/DD/YYYY**\n\nCollection Account\n&thinsp;\n&thinsp;\n\nREO Account\n&thinsp;\n&thinsp;\n\n]\n\nExhibit MM-1\n\nList of any Attachments hereto to be included in the Additional\nForm [10-D][10-K][8-K] Disclosure:\n\nAny inquiries related to this notification should be directed to\n[&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;],\nphone number: [&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;]; email address:&thinsp;&thinsp;[&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;].\n\n[NAME OF PARTY],\n\nas [role]\n\nBy:\n\nName:\n\nTitle:\n\ncc: Depositor\n\nExhibit MM-2\n\n**EXHIBIT NN**\n\n**Form\nof NOTICE OF PURCHASE OF CONTROLLING CLASS CERTIFICATE**\n\n[Date]\n\nComputershare Trust Company, National Association\n\nas Certificate Administrator and Trustee\n\n9062 Old Annapolis Road\n\nColumbia, Maryland 21045\n\nAttention: Corporate Trust Services (CMBS)– BBCMS Mortgage Trust 2026-5C42\n\nEmail: trustadministrationgroup@computershare.com and\n\nCCTCMBSBondAdmin@computershare.com\n\n&thinsp;\n\nMidland Loan Services, a Division of PNC Bank, National Association\n\nas Master Servicer\n\n10851 Mastin Street, Suite 700\n\nOverland Park, Kansas 66210\n\nAttention: Executive Vice President – Division Head\n\nEmail: NoticeAdmin@pnc.com\n\n&thinsp;\n\nLNR Partners, LLC\n\nas Special Servicer\n\n2340 Collins Avenue, Suite 700\n\nMiami Beach, Florida 33139\n\nAttention:&thinsp;Heather Bennett and Arne Shulkin\n\nEmail: hbennett@lnrpartners.com, ashulkin@lnrpartners.com and\n\nlnr.cmbs.notices@lnrproperty.com\n\n&thinsp;\n\nPark Bridge Lender Services LLC\n\nas Operating Advisor\n\n600 Third Avenue, 40th Floor\n\nNew York, New York 10016\n\nAttention: BBCMS 2026-5C42 – Surveillance Manager\n\nWith a copy sent via email to: cmbs.notices@parkbridgefinancial.com\n\n&thinsp;\n\nExhibit NN-1\n\nRe:BBCMS Mortgage Trust 2026-5C42, Commercial Mortgage Pass-Through Certificates, Series\n2026-5C42 (the &ldquo;Certificates&rdquo;) issued pursuant to the Pooling and Servicing Agreement (the &ldquo;Pooling and Servicing\nAgreement&rdquo;), dated and effective as of June 1, 2026, among Barclays Commercial Mortgage Securities LLC, as Depositor, Midland\nLoan Services, a Division of PNC Bank, National Association, as Master Servicer, LNR Partners, LLC, as Special Servicer, Computershare\nTrust Company, National Association, as Certificate Administrator and as Trustee, and Park Bridge Lender Services LLC, as Operating Advisor\nand as Asset Representations Reviewer.\n\nThis letter is delivered to you, pursuant to\nSection 3.23(a) of the Pooling and Servicing Agreement in connection with the transfer by ____________ (the &ldquo;Transferor&rdquo;)\nto us (the &ldquo;Transferee&rdquo;) of $__________________ original principal balance in the Class [__] Certificates, representing\n[_____]% of the Class [__] Certificates. The Certificates were issued pursuant to the Pooling and Servicing Agreement.\n\n1.Our\nname and address is as follows:\n\nContact Info: [Tel/Email]\n\n2.[IF APPLICABLE] We hereby certify, represent and warrant to you, as Certificate Administrator, that we are purchasing a majority interest\nin the Class [__] Certificates, and that we are not affiliated with the Transferor. To the extent that any Control Termination Event or\nConsultation Termination Event has occurred due to a waiver of a prior Class [__] Certificateholder of its rights under the Pooling and\nServicing Agreement, we hereby request that you reinstate such rights and post a &ldquo;special notice&rdquo; on your website to the following\neffect:\n\n&ldquo;A Consultation Termination Event\nor a Control Termination Event has been terminated and is no longer in effect due to a transfer of a majority interest of the Controlling\nClass to an unaffiliated third party which has terminated any waiver by the prior Holder.&rdquo;\n\nAll capitalized terms used\nbut not otherwise defined herein shall have the respective meanings set forth in the Pooling and Servicing Agreement.\n\nExhibit NN-2\n\nVery\ntruly yours,\n\n(Transferee)\n\nBy:\n\nName:\n\nTitle:\n\nExhibit NN-3\n\n**EXHIBIT OO**\n\n**FORM OF ASSET REVIEW REPORT**\n\n**BY THE ASSET REPRESENTATIONS\nREVIEWER1**\n\nTo: [Addresses of Recipients]\n\nRe:BBCMS Mortgage Trust 2026-5C42, Commercial Mortgage Pass-Through Certificates, Series\n2026-5C42\n\nTo the above-mentioned\naddressees:\n\nIn\naccordance with Section 12.01 of the Pooling and Servicing Agreement, dated and effective as of June 1,\n2026 (the &ldquo;Pooling and Servicing Agreement&rdquo;), the undersigned, as asset representations reviewer (the &ldquo;Asset\nRepresentations Reviewer&rdquo;), has performed an Asset Review on each Delinquent Loan identified in accordance with the terms of\nthe Pooling and Servicing Agreement, and is hereby issuing the following Asset Review Report.\n\n1.As described in the detailed scorecard attached hereto as Exhibit A, we have performed an Asset Review\non each Delinquent Loan identified in accordance with the Pooling and Servicing Agreement and our conclusion is that there is [no evidence\nof a Test failure/evidence of [&bull;] Test failures] with respect to the Delinquent Loans.\n\n2.A conclusion by the Asset Representations Reviewer of a Test pass or a Test failure shall not constitute\na determination by the Asset Representations Reviewer of (i) the existence or nonexistence of a Material Defect, or (ii) whether the Trust\nshould enforce any rights it may have against the applicable Mortgage Loan Seller. In addition, the Tests may not be sufficient to determine\nevery instance of noncompliance.\n\n3.The Asset Representations Reviewer, other than forwarding this report to the persons listed above, will\nnot be required to take or participate in any other or further action with respect to the aforementioned Asset Review Report.\n\n4.Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling\nand Servicing Agreement.\n\n1 This report is an indicative report, and the\nAsset Representations Reviewer will have the ability to modify or alter the organization and content of this report, subject to compliance\nwith the terms of the Pooling and Servicing Agreement, including without limitation, provisions relating to Privileged Information.\n\nExhibit OO-1\n\nPARK BRIDGE LENDER SERVICES LLC,\n\nas Asset Representations Reviewer\n\nBy:\nPark Bridge Advisors LLC, a New York limited\n\nliability company, its sole member\n\nBy:\nPark Bridge Financial LLC, a New York limited\n\nliability company, its sole member\n\nBy:\n\nName:\n\nTitle:\n\nExhibit OO-2\n\n&thinsp;\n\nExhibit A\n\n&thinsp;\n\nDetailed Scorecard\n\n[Template Example Below]\n\n**Test failures**\n\n**&thinsp;**\n\n**Loan #**\n**Loan Name**\n**R&W #**\n**R&W Name**\n**Test Description**\n**Findings**\n\n[Insert Loan Number]\n[Insert Loan Name]\n44\nCross-Collateralization\n[Insert Test Description]\n[Insert Test findings]\n\n31\nDue on Sale or Encumbrance\n&thinsp;\n&thinsp;\n\nExhibit OO-3\n\n**EXHIBIT PP**\n\n**FORM OF ASSET REVIEW REPORT\nSUMMARY1**\n\nTo: [Addresses of Recipients]\n\nRe:\nBBCMS Mortgage Trust 2026-5C42, Commercial Mortgage Pass-Through Certificates, Series 2026-5C42\n\nTo the above-mentioned addressees:\n\nIn accordance with Section\n12.01 of the Pooling and Servicing Agreement, dated and effective as of June 1, 2026 (the &ldquo;Pooling and Servicing Agreement&rdquo;),\nthe undersigned, as asset representations reviewer (the &ldquo;Asset Representations Reviewer&rdquo;), has performed an Asset Review\non each Delinquent Loan identified in accordance with the terms of the Pooling and Servicing Agreement, and is hereby issuing the following\nAsset Review Report Summary.\n\n1.As described in the summary scorecard attached hereto as Exhibit A, we have performed an Asset Review\non each Delinquent Loan identified in accordance with the terms of the Pooling and Servicing Agreement and our conclusion is that there\nis [no evidence of a Test failure/evidence of [&bull;] Test failures] with respect to the Delinquent Loans.\n\n2.A conclusion by the Asset Representations Reviewer of a Test pass or a Test failure shall not constitute\na determination by the Asset Representations Reviewer of (i) the existence or nonexistence of a Material Defect, or (ii) whether the Trust\nshould enforce any rights it may have against the applicable Mortgage Loan Seller. In addition, the Tests may not be sufficient to determine\nevery instance of noncompliance.\n\n3.The Asset Representations Reviewer, other than forwarding this Asset Review Report Summary to the parties\nlisted above, will not be required to take or participate in any other or further action with respect to the aforementioned Asset Review\nReport Summary.\n\n4.Capitalized words and phrases used herein shall have the respective meanings assigned to them in the Pooling\nand Servicing Agreement.\n\n1 This report is an indicative report, and the Asset\nRepresentations Reviewer will have the ability to modify or alter the organization and content of this report, subject to compliance\nwith the terms of the Pooling and Servicing Agreement, including without limitation, provisions relating to Privileged Information.\n\nExhibit PP-1\n\n&thinsp;\n\nPARK BRIDGE LENDER SERVICES LLC,\n\nas Asset Representations Reviewer.\n\nBy:\nPark Bridge Advisors LLC, a New York limited\n\nliability company, its sole member\n\nBy:\nPark Bridge Financial LLC, a New York\n\nlimited liability company, its sole member\n\nBy:\n\nName:\n\nTitle:\n\nExhibit PP-2\n\nExhibit A\n\n&thinsp;\n\nSummary Scorecard\n\n[Template Example Below]\n\n**Test failures**\n\n**&thinsp;**\n\n**Loan #**\n**Loan Name**\n**Mortgage Loan Seller**\n**Representations and Warranty #**\n**Representation and Warranty Name**\n\n[Insert Loan #]\n[Insert Loan Name]\n[Insert Mortgage Loan Seller]\n22\nCompliance with Usury Laws\n\n32\nSingle-Purpose Entity\n\nExhibit PP-3\n\n**EXHIBIT\nQQ\n\nASSET REVIEW PROCEDURES**\n\nSubject to the Pooling and Servicing\nAgreement, this Exhibit sets forth the Asset Representations Reviewer&rsquo;s review procedures for each Delinquent Loan based on the\ninformation provided for an Asset Review. Capitalized terms used herein and not defined herein shall have the meanings ascribed to them\nin the Pooling and Servicing Agreement. In the event of any conflict between this Exhibit QQ and the terms of the Pooling and Servicing\nAgreement, the Pooling and Servicing Agreement shall control and govern the Asset Representations Reviewer&rsquo;s responsibilities and\nduties with respect to Asset Reviews.\n\n&thinsp;\n\n**Call for Review and Collection and Inventory of\nReview Materials**\n\n**&thinsp;**\n\n**Step 1**\nAsset Representations Reviewer (&ldquo;ARR&rdquo;) receives the following items before beginning its review:\n\n&thinsp;\n\n&middot;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;\nCREFC&reg; Delinquent Loan Status Report\n\n&middot;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;\nNotice of Asset Review Trigger (with attachments)\n\n&middot;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;\nNotice of Asset Review Vote Election\n\n&middot;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;\nNotice of Affirmative Asset Review Vote\n\n&middot;&thinsp;&thinsp;\nAsset Review Notice\n\n&middot;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;\nList of all Subject Loans\n\n&middot;&thinsp;&thinsp;\nReview Materials for each Subject Loan via Secure Data Room access,\n\nincluding the Diligence File\n\n&middot;&thinsp;&thinsp;&thinsp;&thinsp;&thinsp;\nAny Unsolicited Information (if applicable)\n\n**Step 2**\nFor each Subject Loan, ARR inventories all Review Materials to which ARR is provided access in the Secure Data Room to determine what,\nif any, Review Materials for such Subject Loan are missing, using the list of documents provided in the definition of &ldquo;Mortgage\nFile&rdquo; of this Agreement, any comparable lists included in the related Mortgage Loan Purchase Agreement, and any closing checklist\nfrom the origination of such Subject Loan, to guide its review and determination.\n\n**Step 3**\nIf ARR determines that the information made available to it in the Secure Data Room with respect to any Subject Loan is missing any documents\nrequired to complete an Asset Review of such Subject Loan, ARR prepares list of such\n\nExhibit QQ-1\n\nmissing documents and (i) notifies the\nMaster Servicer (with respect to Non-Specially Serviced Loans) and the Special Servicer (with respect to Specially Serviced Loans) of\nsuch missing documents, and requests that the Master Servicer or the Special Servicer, as the case may be, deliver to the ARR such missing\ndocument(s) to the extent in its possession and (ii) in the event any missing documents are not provided by the Master Servicer or the\nSpecial Servicer, as the case may be, the ARR shall request such documents from the related Mortgage Loan Seller.\n\n&thinsp;\n\n**Analysis and Testing\nof Representations and Warranties**\n\n**&thinsp;**\n\n**Step 4**\nFor each Subject Loan for which ARR has received all Review Materials required to complete an Asset Review of such Subject Loan, ARR\ntests such Subject Loan for compliance with each representation and warranty made by the related Mortgage Loan Seller with respect to\nsuch Subject Loan as follows:\n\n&thinsp;\n\n■ARR\nreviews each representation and warranty and each item included in the Review Materials applicable\nor related to such representation or warranty to determine whether there is any evidence\nthat such representation or warranty was not true when made by the related Mortgage Loan\nSeller.\n\n&thinsp;\n\n■\nFor each representation and warranty,\nARR lists\n\n&thinsp;\n\n●all\nitems from the Review Materials reviewed or used in its testing of such representation and\nwarranty;\n\n&thinsp;\n\n●whether\nARR has determined that there is any evidence that such representation or warranty was not\ntrue when made by the related Mortgage Loan Seller; and\n\n&thinsp;\n\n○if\nso, stating the aspect of the applicable representation or warranty that does not appear\nto have been true when made by the related Mortgage Loan Seller and ARR&rsquo;s basis for\nits conclusion;\n\n&thinsp;\n\n○completing\nthe Asset Review Report by setting forth, for each Subject Loan, the information contemplated\nherein with respect to each representation and warranty.\n\n&thinsp;\n\nARR will not attempt (and has no obligation) to determine the materiality\nof any potential breach of a representation or warranty that it discovers evidence of during its review as contemplated herein.\n\nExhibit QQ-2\n\n**EXHIBIT RR**\n\n**FORM OF CERTIFICATION TO\nCERTIFICATE ADMINISTRATOR REQUESTING\nACCESS TO SECURE DATA ROOM**\n\n**&thinsp;**\n\nComputershare Trust Company, National Association\n\n9062 Old Annapolis Road\n\nColumbia, Maryland 21045\n\nAttention: Corporate Trust Services (CMBS)– BBCMS Mortgage Trust 2026-5C42\n\nEmail: trustadministrationgroup@computershare.com and\n\nCCTCMBSBondAdmin@computershare.com\n\nAttention:BBCMS Mortgage Trust 2026-5C42, Commercial Mortgage Pass-Through Certificates,\nSeries 2026-5C42\n\n&thinsp;\n\nIn accordance with the requirements\nfor obtaining access to the Secure Data Room pursuant to the Pooling and Servicing Agreement, dated and effective as of June 1, 2026 (the\n&ldquo;Pooling and Servicing Agreement&rdquo;), among Barclays Commercial Mortgage Securities LLC, as Depositor, Midland Loan Services,\na Division of PNC Bank, National Association, as Master Servicer, LNR Partners, LLC, as Special Servicer, Computershare Trust Company,\nNational Association, as Certificate Administrator and as Trustee, and Park Bridge Lender Services LLC, as Operating Advisor and as Asset\nRepresentations Reviewer, with respect to the certificates (the &ldquo;Certificates&rdquo;), the undersigned hereby certifies and\nagrees as follows:\n\n1.The undersigned is [an authorized representative of the Asset Representations Reviewer][an\nauthorized representative of the Depositor][a designee of the Depositor].\n\n2.The undersigned acknowledges and agrees that (a) access to the Secure Data Room\nis being granted to it solely for purposes of the undersigned carrying out its obligations under the Pooling and Servicing Agreement (b)\nit will not disseminate or otherwise make information contained on the Secure Data Room available to any other person except in accordance\nwith the Pooling and Servicing Agreement or otherwise with the written consent of the Depositor and (c) it will only access information\nrelating to the Mortgage Loans to which the Asset Review relates.\n\n&thinsp;\n\n3.The undersigned agrees that each time it accesses the Secure Data Room, the undersigned\nis deemed to have recertified that the representations above remains true and correct.\n\n&thinsp;\n\nExhibit RR-1\n\n4.[The undersigned is not a Certificateholder, a beneficial owner or a prospective\npurchaser of any Certificate.]*\n\nBY ITS CERTIFICATION HEREOF,\nthe undersigned has made the representations above and shall have caused, or shall be deemed to have caused its name to be signed hereto\nby its duly authorized signatory, as of the date certified.\n\n[NAME\nOF PARTY],\n\nas [role]\n\nBy:\n\nName:\n\nTitle:\n\nDated:\n\n[Barclays Commercial Mortgage Securities LLC, as Depositor]*\n\nBy:\n\n[Name]\n\n[Title]\n\n&thinsp;\n\n* &thinsp;&thinsp;&thinsp;&thinsp;Required\nto the extent that a party other than the Asset Representations Reviewer is identified by the Depositor as needing access to the Secure\nData Room.\n\nExhibit RR-2\n\n**EXHIBIT SS**\n\n**FORM OF NOTICE OF [ADDITIONAL DELINQUENT\nLOAN][CESSATION OF\nDELINQUENT LOAN][CESSATION OF ASSET REVIEW TRIGGER]**\n\n[Date]\n\nMidland Loan Services, a Division of PNC\n\nBank, National Association\n\n10851 Mastin Street, Suite 700\n\nOverland Park, Kansas 66210\n\nAttention: Executive Vice President – Division\n\nHead\n\nEmail: NoticeAdmin@pnc.com\n\nPark Bridge Lender Services LLC\n\n600 Third Avenue, 40th Floor\n\nNew York, New York 10016\n\nAttention: BBCMS 2026-5C42 — Surveillance\n\nManager\n\nWith a copy sent via email to:\n\ncmbs.notices@parkbridgefinancial.com\n\n&thinsp;\n&thinsp;\n\nLNR Partners, LLC\n\n2340 Collins Avenue, Suite 700\n\nMiami Beach, Florida 33139\n\nAttention:&thinsp;Heather Bennett and Arne Shulkin\n\nEmail: hbennett@lnrpartners.com,\n\nashulkin@lnrpartners.com\nand\n\nlnr.cmbs.notices@lnrproperty.com\n\n&thinsp;\n\n&thinsp;\n&thinsp;\n\nAttention:BBCMS Mortgage Trust 2026-5C42, Commercial Mortgage Pass-Through Certificates,\nSeries 2026-5C42\n\nIn accordance with Section\n12.01(a) of the Pooling and Servicing Agreement, dated and effective as of June 1, 2026 (the &ldquo;Pooling and Servicing Agreement&rdquo;),\namong Barclays Commercial Mortgage Securities LLC, as Depositor, Midland Loan Services, a Division of PNC Bank, National Association,\nas Master Servicer, LNR Partners, LLC, as Special Servicer, Computershare Trust Company, National Association, as Certificate Administrator\nand as Trustee, and Park Bridge Lender Services LLC, as Operating Advisor and as Asset Representations Reviewer, the Certificate Administrator\nhereby notifies you that as of [RELATED DISTRIBUTION DATE]:\n\n1._____ An additional Mortgage Loan has become a Delinquent Loan.\n\n2._____ A Mortgage Loan has ceased to be a Delinquent Loan.\n\n&thinsp;\n\n3._____ An Asset Review Trigger has ceased to exist.\n\n(check all that apply)\n\nCapitalized terms used\nbut not defined herein have the respective meanings given to them in the Pooling and Servicing Agreement.\n\nExhibit SS-1\n\nCOMPUTERSHARE TRUST COMPANY, NATIONAL ASSOCIATION, as Certificate Administrator for the Holders of the BBCMS Mortgage Trust 2026-5C42,\nCommercial Mortgage Pass-Through Certificates, Series 2026-5C42\n\nBy:\n\n[Name]\n\n[Title]\n\nExhibit SS-2\n\nSCHEDULE 1\n\n**Mortgage\nLoans with Additional SECURED Debt**\n\n&thinsp;\n\n1.Marriott Savannah Riverfront\n\n2.ONX Industrial Campus\n\n3.535 & 545 5th Avenue\n\n4.Franklin 8 Pack\n\n5.Pinnacle Tower\n\n6.Haimov Miami Portfolio\n\n7.Hunter Portfolio Tranche 2\n\n8.2104 Ryer Ave\n\n&thinsp;\n\nSchedule 1-1\n\nSCHEDULE 2\n\n&thinsp;\n\n[Reserved.]\n\nSchedule 2-1\n\nSCHEDULE 3\n\n&thinsp;\n\n**MORTGAGE LOANS WITH &ldquo;PERFORMANCE&rdquo;, &ldquo;EARN-OUT&rdquo;\nOR &ldquo;HOLDBACK&rdquo;**\n\n**ESCROWS OR RESERVES**\n\n&thinsp;\n\n&thinsp;\n\n**Mortgage\nLoan No.**\n**Mortgage\nLoan Name**\n**Reserve\nType**\n**Applicable\nEscrow or Reserve (Initial Amount)**\n\n12\n1505\nEast Warner Avenue\nHoldback\n$929,500\n\n13\nHaimov\nMiami Portfolio\nEarnout\n$500,000\n\n19\nThe\nShreve Building\nHoldback\n$990,000\n\n19\nThe\nShreve Building\nHoldback\n$1,100,000\n\nSchedule 3\n\nSCHEDULE\n4\n\n**TIME\nOF SALE DEFINITIONS**\n\n&thinsp;\n\n(1)&ldquo;Preliminary Private Placement Memorandum&rdquo;: The Depositor&rsquo;s Preliminary Private Placement Memorandum, dated\nMay 28, 2026, relating to the offering of the Non-Registered Certificates.\n\n(2)&ldquo;Term Sheet&rdquo;: The free writing prospectus designated as the structural and collateral term sheet, dated May 28,\n2026, relating to the Offered Certificates.\n\n(3)&ldquo;Time of Sale&rdquo;: At or prior to the time when sales to purchasers of the Certificates were first made, which was\napproximately (a) 11:00 a.m. (Eastern Time) on June 2, 2026 with respect to all Certificates (other than the Class X-A, Class X-B, Class\nX-D and Class R Certificates); (b) 4:00 p.m. (Eastern Time) on June 2, 2026 with respect to the Class X-A, Class X-B and Class X-D Certificates\nand (c) 11:15 a.m. (Eastern Time) on June 3, 2026 with respect to the Class R Certificates.\n\nSchedule 4"}