Employee Accounts. Accounts that arise from a sale to any director, officer, other employee, or to any entity that has any common officer or director with any Credit Party;
Employee Accounts. Each employee shall be provided with his or her leave balances on the employee’s pay advice.
Employee Accounts. Withdrawals from Employee Accounts [See Section 9.2(d). Check one.]
a. [ x ] Standard: will be allowed. b. [ ] will not be allowed.
Employee Accounts. The number of Restricted Stock Units granted pursuant to this Agreement shall be credited to the Employee’s RSU Account. Each RSU Account shall be maintained on the books of the Company until full payment of the balance thereof has been made to the Employee (or the Employee’s beneficiaries if the Employee is deceased). No funds shall be set aside or earmarked for any RSU Account, which shall be purely a bookkeeping device.
Employee Accounts. Each employee shall be given an account of sick and vacation leave on the bi-weekly pay advice. The Town shall provide each employee with on-line access to their retirement and deferred compensation contributions, balances and years of credited service.
Employee Accounts. The Company will establish a separate notional account (the “Deferred Unit Account”) for the Employee and will record in such account the aggregate number of Deferred Units granted to the Employee under this Agreement, the vesting of any Deferred Units, and any distributions made with respect to such Deferred Units as provided in Section 4.
Employee Accounts. 13.1 For the purposes of this Clause 13 (Employee Accounts):
Employee Accounts. SpiralFrog will limit the access to its servers only to the database and server administrators and the software architect. Access requires Windows XP Server userid and password – passwords will be set to expire every 90 days. Employees who leave or are terminated will have their account privileges deleted immediately.
Employee Accounts. Section 1. Each employee shall be given a statement of accounting of the following time: sick days, vacation days, holidays and hours owed. Such statement shall be given the employee within thirty (30) days of his/her annual appointment date.
Section 2. The TOWN shall furnish to the UNION a statement of accounting, in writing, of the total amount of all contributions to the Pension Fund by members of the bargaining unit as of January 1 of each year, and furnish a copy of the Trust Fund’s Annual Report
Employee Accounts. Notwithstanding anything to the contrary contained in the Agreement, this Schedule 2.1(b) shall be applicable to all Employee Accounts. Except as otherwise set forth in this Schedule 2.1(b), Employee Accounts shall be “Accounts” under the Agreement and all Cardholder Indebtedness existing under Employee Accounts shall be “Cardholder Indebtedness” under the Agreement.