METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS Sample Clauses

METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. 5.01 The contributions referred to in Clause 4 shall be remitted monthly by cheque not later than the fifteenth (15th) day of the month following the month in which such hours were earned, together with a form supplied to Employers by the agency appointed by the Board of Trustees. The said agency shall remit monthly all such monies received to the funds and plans as provided for in Clause 4 and may make reasonable charge for administrative expenses as determined by the agency and approved by the Trustees of the recipient funds.
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METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. 21.01 The contributions and deductions referred to in Article 13, 14, 17, 18, 19, 20 and Schedule "A" - (10) –Benefits Plan and Pension Plans, shall be remitted monthly by cheque, together with a form supplied to the Employers by the Union, to the Operating Engineers' Benefits Plan. The said Operating Engineers' Benefits Plan shall remit monthly all such monies received to the Operating Engineers' Joint Apprenticeship and Upgrading Fund and Plan, the Jurisdictional Assignment Plan Fund, the Operating Engineers' Mechanics Tool Allowance Fund, the Construction Industry Rehabilitation Fund, the Operating Engineers' Advancement Fund and the Union. The said Operating Engineers' Benefits Plan may make reasonable charge for administrative expenses as determined by the Trustees of the said Plan, and approved by the Trustees of the recipient Funds.
METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. 25.01 The contributions and deductions referred to in Articles 3, 4, 13, 16, 17, 18, 19, 20, 21, 22, 23 and Schedule "C", shall be remitted monthly by cheque together with a form supplied to the Employers by the Union to the Operating Engineers' Benefits Plan. The said Operating Engineers' Benefits Plan shall remit monthly all such monies received to the IUOETA, the BCBCBTU Fund, the BCBT Fund, the Tool Allowance Fund, the JAPlan Fund, the Construction Industry Rehabilitation Fund, the OE Advancement Fund, the Contract Administration Fund, the D&A Policy, and the Union. The said Operating Engineers' Benefits Plan may make reasonable charge for administrative expenses as determined by the Trustees of the said Plan, and approved by the Trustees of the recipient Funds.
METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. The contributions referred to in Clause VIII Training and Upgrading Programmes and Teamsters Advancement Fund, Rehabilitation Fund and the Owner Operator/Dependent Contractor Advancement Fund and the deductions referred to in Clause XVII (a) Dues Supplement, (b) Teamsters Local Union 213 Owner Operator Building, Recreational and Legal Fund shall be remitted monthly by cheque, together with a form supplied to the Employer by the Union to the Local Union Office concerned. The said Local Union shall, by the thirtieth (30th) day of the month following that to which they refer, remit to the Funds concerned all collections made on their behalf. The contributions for Health, Welfare and Pension (see Schedule "A") paragraph one (1) shall be remitted by the Employer in accordance with and on the form provided. If, within forty-eight (48) hours of receipt of notification, exclusive of Saturdays, Sundays and Holidays, the Employer has failed to pay delinquent contributions then the Employer agrees that all contributions/deductions due and payable in accordance with this Agreement are in arrears and subject to a delinquency charge of two percent (2%) per month of the total amounts of the unpaid Trust Funds in arrears and will attach to those unpaid Trust Funds and become due and payable as damages to cover costs of collections and loss of earnings suffered by the Trust. This is not to be construed that the above charges relieve the Employer of any further liabilities which may occur because of his failure to report and pay contributions/deductions as provided. (Clause applicable to Dependent Contractors.)
METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. 30.01 The contributions and deductions referred to in Articles 3, 15, 18, 19, 20, 21, 22, 23, 24, 25, 27, and 28 shall be remitted monthly by cheque together with a form supplied to the Employers by the Union to the Operating Engineers' Benefits Plan. The said Operating Engineers' Benefits Plan shall remit monthly all such monies received to the Jurisdictional Assignment Plan Fund, the Bargaining Council of British Columbia Building Trades Unions Fund, the IUOE Local 115 Training Association Fund, the British Columbia Building Trades Fund, the Operating Engineers' Mechanics, Servicemen and Welders Tool Allowance Fund, the Construction Industry Rehabilitation Fund, the Operating Engineers' Advancement Fund, the Operating Engineers Benefits Plan and Pension Plan, the Mobile Crane Owners Association Fund, the CLR Contract Administration Fund, the Construction Industry of BC Substance Abuse Testing and Treatment Program (D&A Policy) Fund, and the Union. The said Operating Engineers' Benefits Plan may make reasonable charge for administrative expenses as determined by the Trustees of the said Plan, and approved by the Trustees of the recipient Funds.
METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. The contributions referred to in Clause VIII (a) Training and Upgrading and Clause VIII (c) Teamsters Advancement Fund and the deductions referred to in Clause XVIII
METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. (a) The contributions and deductions referred to in Clauses 56, 57, 58, 59 and 60 shall be remitted monthly by cheque together with a form supplied to the Employer by the Administrator of the Operating Engineers' Welfare Plan and mailed not later than the 15th day of each month to the Administrator of the Operating Engineers' Welfare Plan. The said Operating Engineers' Welfare Plan shall remit monthly all such monies received to the Operating Engineers' Joint Apprenticeship and Upgrading Fund and Plan, the Operating Engineers' Tool Allowance Fund and the Operating Engineers' Advancement Fund. The said Operating Engineers' Welfare Plan may make reasonable charge for administrative expenses as determined by the Trustees of the said Plan, and approved by the Trustees of the recipient Funds.
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METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. The contributions and deductions referred to in Clauses 8, 18, 19, and paragraph 4 of Schedule “B”, Addendum #1 shall be remitted monthly by cheque together with a form supplied to the Employer by the Administrator of the Cement Masons' Health &' Welfare Plan and mailed not later than the 15th day of each month to the Administrator of the Cement Masons' Health & Welfare Plan. The said Cement Masons' Health & Welfare Plan shall remit monthly all such monies received to the Cement Masons' Apprenticeship & Trade Promotional Fund and Plan. The said Cement Masons' Health & Welfare Plan may make reasonable charge for administrative expenses as determined by the Trustees of the said Plan, and approved by the Trustees of the recipient Funds. If within forty-eight (48) hours of receipt of notification, by either the Union or the Welfare Plan, exclusive of Saturday, Sunday and holidays, the Employer has failed to pay delinquent contributions then the Employer agrees that all contributions/deductions due and payable in accordance with this Agreement, are in arrears and a delinquency charge of two percent (2%) per month of the total amount of the unpaid trust funds in arrears will attach to those unpaid trust funds and become due and payable as damages to cover costs of collection and loss of earnings suffered by the Trust. This is not to be construed that the above charges relieve the Employer of any further liabilities, which may occur because of his failure to report and pay contributions/deductions as provided. {PRIVATE }CLAUSE 21: ENABLING CLAUSE:{tc \l 1 "CLAUSE XXII RETROACTIVE PAY"} The Local Union, in conjunction with the Employer’s Representative or the Employer bidding work in the respective areas, may determine on a job by job basis if special dispensation is required to become competitive, and should the necessity arise, may by mutual agreement, and in writing, amend or delete any terms or conditions of the Agreement for the duration of the job. Signed on behalf of the Employer: Signed on behalf of the Union: SIGNATURE SIGNING AUTHORITY SIGNATURE SIGNING AUTHORITY SIGNATURE SIGNING AUTHORITY SIGNATURE SIGNING AUTHORITY SIGNATURE SIGNING AUTHORITY SIGNATURE SIGNING AUTHORITY OPERATIVE PLASTERERS' & CEMENT MASONS' SIGNATURE SIGNING AUTHORITY INTERNATIONAL ASSOCIATION OF THE UNITED STATES AND CANADA, LOCAL 919 DATE ADDENDUM # 1‌ MEMORANDUM OF AGREEMENT BETWEEN BA BLACKTOP LTD. XXXX XXXX LTD. COLUMBIA BITULITHIC LTD. (A division of Lafarge Canada Inc.) IMPERI...
METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. 22.01 Local 115 Contributions and Deductions: The contributions and deductions referred to in Article 14, 18, 19, 20, 21 and Schedule "A" - (8) –Benefits Plan and Pension Plans, shall be remitted monthly by cheque, or, upon receiving a written request from the Union, electronically in a format acceptable to the Union, together with a form supplied to the Employers by the Union (s), to the Operating Engineers' Benefits Plan. The said Operating Engineers' Benefits Plan shall remit monthly all such monies received to the Operating Engineers’ (Local 115) Training Association, the Jurisdictional Assignment Plan Fund, the Operating Engineers' Mechanics Tool Allowance Fund, the Construction Industry Rehabilitation Fund, the Operating Engineers' Advancement Fund and the Union. The said Operating Engineers' Benefits Plan may make reasonable charge for administrative expenses as determined by the Trustees of the said Plan, and approved by the Trustees of the recipient Funds.
METHOD OF PAYMENT OF CONTRIBUTIONS AND DEDUCTIONS. 20.01 The contributions and deductions referred to in Articles 5, 16, 17, 18, and 19 shall be remitted monthly by cheque together with a form supplied to the Employer by the Administrator of the Operating EngineersBenefits Plan and mailed not later than the 15th day of each month to the Administrator of the Operating Engineers’ Benefits Plan. The said Operating Engineers’ Benefits Plan shall remit monthly all such monies received to the Operating Engineers’ Joint Apprenticeship and Upgrading Fund and Plan, the Operating Engineers’ Tool Allowance Fund, the Operating Engineers’ Advancement Fund and the Construction Industry Rehabilitation Fund. The said Operating Engineers’ Benefits Plan may make reasonable charge for administrative expenses as determined by the Trustees of the said Plan, and approved by the Trustees of the recipient Funds.
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