Common use of Annual Report to Members Clause in Contracts

Annual Report to Members. The committee must submit an annual bank reconciliation to all bank members. This may be done through payroll’s check distribution. The data must include, at a minimum: number of bank members, number of days contributed from new members, number of days assessed for all members and the total number of days generated by that assessment, number of days used, reasons for use, and bank balance. The names of members who receive grants will not be reported.

Appears in 2 contracts

Samples: Negotiated Agreement, Negotiated Agreement

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Annual Report to Members. The committee must submit an annual bank reconciliation to all bank members. This may be done through payroll’s check distribution. The data must include, at a minimum: number of bank members, number of days contributed from new members, number of days assessed for all members and the total number of days generated by that assessment, number of days used, reasons for use, and bank balance. The names of members who receive grants will not be reported.. Items that were updated / changed in the 2021-2022 agreement:

Appears in 1 contract

Samples: Negotiated Agreement

Annual Report to Members. The committee must submit an annual bank reconciliation to all bank members. This may be done through payroll’s check distribution. The data must include, at a minimum: number of bank members, number of days contributed from new members, number of days assessed for all members and the total number of days generated by that assessment, number of days used, reasons for use, and bank balance. The names of members who receive grants will not be reported.. Articles that were modified or added in the 2023-2024 agreement:

Appears in 1 contract

Samples: Negotiated Agreement

Annual Report to Members. The committee must submit an annual bank reconciliation to all bank members. This may be done through payroll’s check distribution. The data must include, at a minimum: number of bank members, number of days contributed from new members, number of days assessed for all members and the total number of days generated by that assessment, number of days used, reasons for use, and bank balance. The names of members who receive grants will not be reported.. Items that were updated / changed in the 2020-2021 agreement:

Appears in 1 contract

Samples: Negotiated Agreement

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Annual Report to Members. The committee must submit an annual bank reconciliation to all bank members. This may be done through payroll’s check distribution. The data must include, at a minimum: number of bank members, number of days contributed from new members, number of days assessed for all members and the total number of days generated by that assessment, number of days used, reasons for use, and bank balance. The names of members who receive grants will not be reported.. Items that were updated / changed in the 2022-2023 agreement:

Appears in 1 contract

Samples: Negotiated Agreement

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