Common use of PAY DAY AND PAY STATEMENTS, ETC Clause in Contracts

PAY DAY AND PAY STATEMENTS, ETC. (a) All employees covered by this Agreement shall be paid not less frequently than on a bi-weekly basis all wages earned by such employees up to and including the day of payment. (b) Each pay day the Employer shall provide each employee with an itemized statement in respect of all wage payments. Such statement shall set forth the total hours worked including overtime, the rate of wages applicable and all deductions made from the gross amount of wages. (c) Where there is an error on a pay cheque this shall be corrected and any monies owing be paid not later than two (2) working days from the date the Employer's payroll official is notified of the error, or a five percent (5%) penalty on the amount owing will be paid to the employee involved for each day the error is not corrected. (d) Whenever Canada Savings Bonds are issued for sale, the Employer shall make same available to its employees who desire same and make such deductions as are necessary. (e) The Employer shall, where it receives written authorization from any employee, make payroll deductions and remit same on behalf of such employee to the United Civic Savings Credit Union. (f) The Employer shall record on each employee's T-4 slip, the total Union dues deducted and submitted on behalf of that employee.

Appears in 2 contracts

Samples: Collective Agreement, Collective Agreement

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PAY DAY AND PAY STATEMENTS, ETC. (a) All employees covered by this Agreement shall be paid not less frequently than on a bisemi-weekly basis monthly basis, all wages earned by such employees up to and including a day not more than four (4) days prior to the day of payment. (b) Each pay day the The Employer shall provide every employee covered by this Agreement on each employee pay day with an itemized statement in respect of all wage payments. Such statement shall set forth the total hours worked including overtime, the rate of wages applicable and all deductions made from the gross amount of wageswages and accrued vacation pay. The Employer shall record on each employee's T-4 slip the total Union dues deducted and submitted on behalf of that employee. (c) Where there is an error on a pay cheque cheque, this shall be corrected and any monies owing be paid not later than two (2) working days from the date the Employer's payroll official is notified of the error, or a five percent (5%) penalty on the amount owing will be paid to the employee involved for each day the error is not corrected. (d) Whenever Canada Savings Bonds are issued for sale, the Employer shall make same available to its employees who desire same and make such deductions as are necessary, provided three (3) or more employees request same. (e) The Employer shall, where it receives written authorization from any employee, make payroll deductions and remit same on behalf of such employee to the United Civic Savings Credit Union. (f) The Employer shall record on each employee's T-4 slip, the total Union dues deducted and submitted on behalf of that employee.

Appears in 1 contract

Samples: Collective Agreement

PAY DAY AND PAY STATEMENTS, ETC. (a) All employees covered by this Agreement shall be paid not less frequently than on a bi-weekly basis alternate Thursdays all wages earned by such employees up to and including a day no more than seven (7) days prior to the day of payment. (b) Each pay day the The Employer shall provide every employee covered by this Agreement on each employee pay day with an itemized statement in respect of all wage payments. Such statement Statement shall set forth the total hours worked including overtime, the rate of wages applicable and all deductions made from the gross amount of wages. Accrued vacation pay information will be provided every other month to those employees requesting same. (c) Where there is an error on a pay cheque cheque, this shall be corrected and any monies owing be paid out not later than two (2) working days from the date the Employer's payroll official is notified of the error, or a five percent (5%) penalty on the amount owing will be paid to the employee involved for each day the error is not corrected. (d) Whenever the Canada Savings Bonds are issued for sale, the Employer shall make same available to its employees who desire same and make such deductions as are necessary. (e) The Employer shall, where it receives written authorization from any employee, make payroll deductions and remit same on behalf of such employee to the United Civic Savings Credit Union. (f) The Employer shall record on each employee's ’s T-4 slip, slip the total Union dues deducted and submitted on behalf of that employee.

Appears in 1 contract

Samples: Collective Agreement

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PAY DAY AND PAY STATEMENTS, ETC. (a) All employees covered by this Agreement shall be paid not less frequently than on a bisemi-weekly basis monthly basis, all wages earned by such employees up to and including a day not more than four (4) days prior to the day of payment. (b) Each pay day the The Employer shall provide every employee covered by this Agreement on each employee pay day with an itemized statement in respect of all wage payments. Such statement shall set forth the total hours worked including overtime, the rate of wages applicable and all deductions made from the gross amount of wageswages and accrued vacation pay. (c) Where there is an error on a pay cheque cheque, this shall be corrected and any monies owing be paid not later than two (2) working days from the date the Employer's payroll official is notified of the error, or a five percent (5%) penalty on the amount owing will be paid to the employee involved for each day the error is not corrected. (d) Whenever Canada Savings Bonds are issued for sale, the Employer shall make same available to its employees who desire same and make such deductions as are necessary, provided three (3) or more employees request same. (e) The Employer shall, where it receives written authorization from any employee, make payroll deductions and remit same on behalf of such employee to the United Civic Savings Credit Union. (f) The Employer shall record on each employee's T-4 slip, slip the total Union dues deducted and submitted on behalf of that employee.

Appears in 1 contract

Samples: Collective Agreement

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