Payment for Witness Service Sample Clauses

Payment for Witness Service. Upon receipt of payment for witness service, the employee shall submit fees to the Administrative Bureau who will then deposit such funds with the City Treasurer.
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Payment for Witness Service. Upon receipt of payment for witness service, the employee shall submit fees to the County Treasurer.
Payment for Witness Service. 65 Section 26.9. Xxxxx Xxxxxxxxxx Living Organ Donor Leave 65 ARTICLE 27 - SICK LEAVE 65 Section 27.1. Sick Leave Accrual 65 Section 27.2. Accumulation and Payment of Sick Leave 66 Section 27.3. Separation Payment 67 Section 27.4. Use of Sick Leave 67 Section 27.5. Limitations on the Use of Sick Leave 68 Section 27.6. Evidence Required 69 Section 27.7. Sick Leave Charged 69 Section 27.8. Payment upon Death 69 Section 27.9. Accrual Eligibility 69 Section 27.10. Sick Leave upon Appointment 69 Section 27.11. Advancement of Sick Leave 70 ARTICLE 28 – SENIORITY 70 Section 28.1. Definition 70 Section 28.2. Rank Seniority 70 Section 28.3. Break in Seniority 70 Section 28.4. Seniority List 71 ARTICLE 29 - UNPAID LEAVES OF ABSENCE 71 Section 29.1. Family Medical Leave Act (FMLA) Leave 71 Section 29.2. Unpaid Disability Leave 76 Section 29.3. Accrual of Seniority/Continuous Service 77 Section 29.4. Continuation of Insurance Benefits 77 ARTICLE 30 – TRADES 77 Section 30.1. Trades Approval 77 Section 30.2. Requests for Trades 77 Section 30.3. Trades Denial 77 Section 30.4. Xxxxx Xxx 77 Section 30.5. Eight (8) Hour Assignments 77 Section 30.6. Employee Responsibility 78 Section 30.7. Time Trade Denial 78 ARTICLE 31 – LAYOFFS 78 Section 31.1. Layoffs 78 ARTICLE 32 - EMPLOYEE ALCOHOL AND DRUG TESTING 78 Section 32.1. Statement of Policy 78 Section 32.2. Testing Information 79 Section 32.3. Prohibitions 79 Section 32.4. Drug and Alcohol Testing Permitted 79 Section 32.5. Order to Submit to Testing 80 Section 32.6. Test to be Conducted 80 Section 32.8. Disciplinary Action 84 Section 32.9. Right of Appeal 85 Section 32.10. Employee Assistance Program 86 Section 32.11. Treatment 86 Section 32.12. Duty Assignment after Treatment 86 Section 32.13. Union Held Harmless 86 Section 32.14. Changes in Testing Procedures 86 Section 32.15. Conflict With Other Laws 87 Section 32.16. Definitions 87 ARTICLE 33 - INCLEMENT WEATHER 87 Section 33.1. Inclement Weather 87 ARTICLE 34 – SEPARABILITY 87 Section 34.1. Separability 87 ARTICLE 35 - JOB DUTIES 88 Section 35.1. Job Duties 88 Section 35.2. Proposed Changes 88 Section 35.3. Building Repairs 88 ARTICLE 36 - TOUR OF DUTY AND HOURS OF WORK 88 Section 36.1. Forty (40) Hour Workweek 88 Section 36.2. Canine Handlers 89 Section 36.3. Three (3)-Platoon System Workweek 89 Section 36.4. Xxxxx Xxx Definition 89 Section 36.5. Xxxxx Xxx Draw 89 Section 36.6. Xxxxx Xxx Scheduling 89 Section 36.7. Hours of Operation for Battalion Chief and Deputy Chi...

Related to Payment for Witness Service

  • PAYMENT FOR WORK The H-GAC Customer is responsible for making payment to the Contractor upon delivery and acceptance of the goods or completion of the services and submission of the subsequent invoice.

  • Payment for Overtime 1. Except as provided in 2.C.3., below, overtime shall be compensated at one and one-half (1 1/2) times the regular rate. 2. Except as provided in 2.C.3., below, for all regular, limited-term and probationary employees, overtime may be converted to compensatory time or paid for at the option of the agency/department. Consideration shall be given to effectuating the wishes of employees. The maximum number of CTO hours which may be accrued by any employee is eighty (80). If an employee accrues 80 hours of CTO, he/she cannot accrue additional CTO until he/she uses some of the hours in his/her bank; instead, employees will be paid for all overtime work performed in excess of that amount. 3. Overtime hours worked by extra help employees shall be paid. 4. Compensatory time earned and accrued by an employee in excess of thirty-two (32) hours may be scheduled off for an employee by his or her agency/department; however, consideration shall be given to effectuating the wishes of those employees requesting specific compensatory time off periods. 5. No scheduled compensatory time off will be cancelled except in cases of emergency. 6. In no case may an employee's work schedule be changed during the workweek when the purpose of such change is to avoid overtime compensation. 7. Time worked as overtime shall not be used to earn fringe benefits or to serve out probation or merit increase periods. Compensatory time off may be used as part of the established workweek to earn fringe benefits and to serve out probationary and merit increase periods. 8. An employee separating from the County service shall be paid for accumulated compensatory time in a lump sum payment.

  • Payment for Working Overtime (a) For all work done outside ordinary hours, the rates of pay will be time and a half for the first two hours and double time thereafter. (b) Except as provided in clause 8.4, in computing overtime each day’s work will stand alone. (c) To avoid doubt, overtime provisions for shift workers are contained in clause 10.7.

  • Payment for Services Contractor shall exert reasonable and diligent efforts to collect prompt payment from the Commonwealth. Contractor shall pay Subcontractor in proportion to amounts received from the Commonwealth which are attributable to the Services performed by Subcontractor. Contractor shall pay Subcontractor within fourteen (14) days after the Contractor receives such payment from the Commonwealth, unless the parties expressly agree upon a different payment schedule or structure as set forth below: ______________________________________________________________________________________________________________________________________________________________________________________________________________________________________.

  • Payment for annual leave (a) Before going on annual leave, an employee will be paid the amount of wages they would have received for ordinary time worked had they not been on leave during that period. (b) At the election of the employee such payments may be paid in accordance with the usual pay day relevant to the period of leave being taken.

  • Payment for period of leave 30.9.1. Each employee before going on leave shall be paid the amount of wage he/she would have received in respect of the ordinary time which he/she would have worked had he/she not been on leave during the relevant periods. For the purpose of this clause and 29.1 wages shall be at the rate prescribed by the relevant part of Schedule 3 for the classification in which the employee was ordinarily employed immediately prior to the commencement of his/her leave.

  • Contract Amount and Payment for Services The total amount of this Contract shall not exceed $436,091.00, as provided for in Attachment B – Budget.

  • Payment for leave (a) Payment will be made based on the Employee’s ordinary pay for the ordinary hours the Employee would have worked on the day or days on which the leave was taken. (b) An Employee utilising personal leave may take leave for part of a single day. Leave will be deducted from the Employee’s accrued personal leave including, where relevant, for a part day.

  • Reimbursement for Expenses of a Witness or in Response to a Subpoena Notwithstanding any other provision of this Agreement, to the extent that Indemnitee, by reason of his or her Corporate Status, (i) is a witness in any Proceeding to which Indemnitee is not a party and is not threatened to be made a party or (ii) receives a subpoena with respect to any Proceeding to which Indemnitee is not a party and is not threatened to be made a party, the Company shall reimburse Indemnitee for all Expenses actually and reasonably incurred by him or her or on his or her behalf in connection therewith.

  • Description of Administration Services on a Continuous Basis (a) PNC will perform the following administration services with respect to each Portfolio: (i) Prepare quarterly broker security transactions summaries; (ii) Prepare monthly security transaction listings; (iii) Supply, in the form requested, various customary Portfolio and Fund statistical data on an ongoing basis; (iv) Prepare and ensure the filing of the Funds’ annual and semi-annual reports with the SEC on Forms N-SAR and N-CSR and the Fund’s quarterly reports with the SEC on Form N-Q; (v) If mutually agreed by PNC and VP Distributors in writing, prepare (or assist in the preparation of) and ensure the filing of (or coordinate filing of, as may be mutually agreed) such other reports with the SEC as may be required by the SEC and that would be primarily fulfilled using books and records maintained by PNC under the terms of this Agreement; (vi) Assist in the preparation of registration statements and other filings relating to the registration of Shares; (vii) Monitor each Portfolio’s status as a regulated investment company under Sub-chapter M of the Internal Revenue Code of 1986, as amended (“Sub-Chapter M”); (viii) Coordinate contractual relationships and communications between the Funds and their contractual service providers; (ix) Prepare expense budgets, accrual review and expense reports as needed; (x) Provide read-only on-line access to accounting system as requested; (xi) Provide electronic transmissions of holdings, transactions, security master, general ledger, NAV, security pricing data, and cash activity as specified; (xii) Coordinate printing and mailing of annual and semi-annual financial statements; (xiii) Prepare reports for Fund Boards and attend Board meetings when and as requested; (xiv) Prepare, execute, and file each Portfolio’s Federal and state tax returns, including closed funds, and appropriate extensions after review and approval by the Fund’s independent registered public accounting firm; (xv) Prepare, execute, and file each Portfolio’s federal excise returns (Form 8613) after review and approval by the Fund’s independent registered public accounting firm; (xvi) Prepare annual tax provisions and financial tax disclosures; (xvii) Prepare tax cost for semi-annual and Form N-Q filings updated for current year-to-date wash sales and prior year known Schedule M adjustments; (xviii) Prepare dividend calculations, including accompanying analysis and earnings summary in accordance with applicable policy (as such policy is provided in writing by VP Distributors to PNC), and maintain dividend history; (xix) Prepare required disclosures for shareholder reporting, including Form 1099-DIV reporting and supporting materials such as QDI, DRD, income from U.S. Obligations, income from State obligations, income from AMT obligations, tax-exempt income, and Florida intangibles; (xx) Monitor and propose procedures as needed for tax considerations in the following areas: corporate actions, consent income, bad debt/restructurings, new instruments, premium amortization, and legislation and industry developments on an ad hoc basis; and (xxi) Prepare and deliver, to the extent available to PNC, survey information when and in the form requested.

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