UNIFIED REMITTANCE OF FUNDS Sample Clauses

UNIFIED REMITTANCE OF FUNDS. 24.01 All Funds and Checkoff payments shall be recorded and itemized on a Unified Remittance Form. This Form shall be supplied by the Union and shall make provisions for the listing of each Employee’s name, Social Insurance Number, number of hours earned.
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UNIFIED REMITTANCE OF FUNDS. (a) All Funds and Check-off payments shall be recorded and itemized on a Unified Remittance Form. This form shall be supplied by the Union and shall make provisions for the listing of each employee's name, Social Insurance Number, and number of hours earned.
UNIFIED REMITTANCE OF FUNDS. A) Pursuant to Article 8C of the Master Agreement all Funds and Check-Off payments, other than the Consolidated Fund, shall be recorded and itemized on a Unified Remittance Form. This Form shall be supplied by the IUPAT District Council 39 Fund and shall make provisions for the listing of each employee’s name, Social Insurance Number and number of hours earned.
UNIFIED REMITTANCE OF FUNDS. All Funds and Check-Off payments shall be recorded and itemized on a Unified Remittance Form. This form shall be supplied by the Atlantic Provinces Benefit Trust Fund and shall make provisions for the listing of each employee’s name, social insurance number and number of hours All Fund and Check-Off remittances shall be consolidated into one (1) cheque payable to: District Council Fund Drive Dartmouth, Nova Scotia And received by the Fund not later than the fifteenth (1 day of the month following for which such payments are payable. An Agreement between the parties of the Collective Agreement, the Administrator appointed from time to time by the parties, the various Trustees and/or organizations having responsibility for the receipt, collection and administration of all the various funds pursuant to the Collective Agreement shall be signed by the various participants. The employersparty to this Collective Agreement whether or not directly signatoryto the Collective Agreement hereby irrevocably designate the “Union” and the as the parties responsible for amending or adjusting the specificmonetary amounts required pursuant to the various funds and check-offpayments required time to time. If the employer has no employees during a given month, he shall submit a “Nil Report” unless it is clearly understood by all parties that he has declared himself of-business in writing. No discrimination will be made by the Administrator between one Fund or any other Fund when there is a failure on the part of the employer to remit as specified by the Agreement. Any changes to the design of the Remittance Form will be approved by the Trustees of the Atlantic Provinces Benefit Trust Fund. All monies required for the various Funds and Dues required by the CollectiveAgreement are deemed to be held in Trust by the employeruntil as aforesaid. PAINTERS LOCAL August
UNIFIED REMITTANCE OF FUNDS 

Related to UNIFIED REMITTANCE OF FUNDS

  • Remittance of Dues The Employer shall electronically transmit to the Union on the first bank working day after each payday all dues deducted for that pay period in those bargaining units for which the Union is the exclusive bargaining representative.

  • Dues Remittance The amounts deducted under Article 6.1(a) will be remitted monthly to the Association no later than the twentieth (20th) day of the following month. The Employer will subtract any sum to be paid to charitable organizations prior to each monthly remittance to the Association. The Association will advise the Employer in writing one (1) month in advance of any changes in the amount of regular monthly dues. The Employer will inform the Association of the names and ranks of the Members from whose salaries deductions have been made and the amounts so deducted from every Member's salary, on a monthly basis.

  • Remittance of Union Dues The amounts deducted in accordance with Article 12.01, shall be remitted to the Secretary-Treasurer of the Union by cheque within a reasonable time after deductions are made and shall be accompanied by particulars identifying each employee and the deductions made on his behalf.

  • Allocation of Funds A. The Faculty Development Committee shall approve all applications for reassignment of duties that do not require additional funding and have been endorsed by the applicant’s Division.

  • Application of Funds After the exercise of remedies provided for in Section 8.02 (or after the Loans have automatically become immediately due and payable and the L/C Obligations have automatically been required to be Cash Collateralized as set forth in the proviso to Section 8.02), any amounts received on account of the Obligations shall be applied by the Administrative Agent in the following order: First, to payment of that portion of the Obligations constituting fees, indemnities, expenses and other amounts (including fees, charges and disbursements of counsel to the Administrative Agent and amounts payable under Article III) payable to the Administrative Agent in its capacity as such; Second, to payment of that portion of the Obligations constituting fees, indemnities and other amounts (other than principal, interest and Letter of Credit Fees) payable to the Lenders and the L/C Issuer (including fees, charges and disbursements of counsel to the respective Lenders and the L/C Issuer and amounts payable under Article III), ratably among them in proportion to the respective amounts described in this clause Second payable to them; Third, to payment of that portion of the Obligations constituting accrued and unpaid Letter of Credit Fees and interest on the Loans, L/C Borrowings and other Obligations, ratably among the Lenders and the L/C Issuer in proportion to the respective amounts described in this clause Third payable to them;

  • Payment of Funds No federal appropriated funds have been paid or will be paid by or on behalf of the parties to any person for influencing or attempting to influence an officer or employee of any federal agency, a Member of Congress, an officer or employee of Congress, or an employee of a Member of Congress in connection with the awarding of any federal contract, the making of any federal grant, the making of any federal loan, the entering into of any cooperative agreement, and the extension, continuation, renewal, amendment, or modification of any federal contract, grant, loan, or cooperative agreement.

  • Termination for Non-Allocation of Funds 4.17.2 Renegotiate the Contract under the revised funding conditions; or

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