PAY DAY AND PAY STATEMENTS. Section 20.1 All employees covered by this Agreement shall be paid on a bi-weekly basis by direct deposit. Section 20.2 All bank charges on pay cheques shall be paid by the Company. Section 20.3 In the event of payroll errors on pay cheques within the fiscal period, over seventy-five dollars ($75.00), the Company agrees to provide a separate cheque in the proper amount within three (3) business days after receipt of full and complete discrepancy form and accompanying backup.
Appears in 3 contracts
Samples: Collective Agreement, Collective Agreement, Collective Agreement
PAY DAY AND PAY STATEMENTS. Section 20.1 All employees covered by this Agreement shall be paid on a bi-weekly basis by direct deposit.
Section 20.2 All bank charges on pay cheques shall be paid by the Company.
Section 20.3 In the event of payroll errors on pay cheques within the fiscal period, over seventy-five dollars ($75.00), the Company agrees to provide a separate cheque in make an Express Deposit for the proper exact amount within three (3) business days after receipt of full and complete discrepancy form and accompanying backup.form. The Company must complete its investigation within
Appears in 2 contracts
Samples: Collective Agreement, Collective Agreement
PAY DAY AND PAY STATEMENTS. Section 20.1 19.1 All employees covered by this Agreement shall be paid on a bi-weekly basis by direct deposit.
Section 20.2 All bank charges on pay cheques shall be paid by the Company.
Section 20.3 19.2 In the event of payroll errors on pay cheques cheques, within the fiscal period, over seventy-five fifty dollars ($75.00), 50.00) the Company Employer agrees to provide a separate cheque cheque, in the proper amount mount, within three (3) business days after receipt of full and complete discrepancy form and accompanying backup.
Appears in 1 contract
Samples: Collective Agreement