Webster Financial Corp (CT) Human Resources Contracts & Agreements
64 Contracts & Agreements
- Bonus & Incentive Agreements (5 contracts)
- Change of Control Agreements (28)
- Compensation Agreements (1)
- Non-Competition Agreements (16)
- Retention Agreements (3)
- Retirement Agreements (7)
- Separation Agreements (4)
- Provident Bank 2005 Supplemental Executive Retirement Plan (Filed With SEC on February 25, 2022)
- Form of Stock Option Award Agreement Pursuant to the Sterling Bancorp 2014 Stock Incentive Plan (Filed With SEC on February 25, 2022)
- Form of Stock Option Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Form of Performance Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Form of NEO Restricted Stock Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Form of non-NEO Restricted Stock Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Retention Agreement, dated as of April 18, 2021, by and between Webster Financial Corporation and John R. Ciulla (Filed With SEC on February 1, 2022)
- Retention Agreement, dated as of April 18, 2021, by and between Webster Financial Corporation and Glenn I. MacInnes (Filed With SEC on February 1, 2022)
- Retention Agreement, dated as of April 18, 2021, by and between Webster Financial Corporation and Luis Massiani (Filed With SEC on February 1, 2022)
- Non-Competition Agreement, dated as of June 25, 2020, by and between Webster Financial Corporation and James C. Smith (Filed With SEC on February 26, 2021)
- Change in Control Agreement, dated as of November 2, 2020, by and between Webster Financial Corporation and Jonathan Roberts (Filed With SEC on February 26, 2021)
- Non-Competition Agreement, dated as of November 2, 2020, by and between Webster Financial Corporation and Jonathan Roberts (Filed With SEC on February 26, 2021)
- Change in Control Agreement, dated July 16, 2018, between Webster Financial Corporation, and Karen Higgins-Carter (Filed With SEC on August 3, 2018)
- Change in Control Agreement, dated as of February 26, 2018, by and between Webster Financial Corporation and John Ciulla (Filed With SEC on March 1, 2018)
- Change in Control Agreement, dated as of February 26, 2018, by and between Webster Financial Corporation and Brian Runkle (Filed With SEC on March 1, 2018)
- Retirement and Advisory Services Agreement, dated as of September 17, 2017, by and between Webster Financial Corporation and James C. Smith (Filed With SEC on September 19, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- NON-COMPETITION Agreement (Filed With SEC on March 1, 2017)
- NON-COMPETITION AGREEMENT (Filed With SEC on February 29, 2016)
- NON-COMPETITION AGREEMENT (Filed With SEC on February 29, 2016)
- NON-COMPETITION AGREEMENT (Filed With SEC on March 20, 2015)
- NON-COMPETITION AGREEMENT (Filed With SEC on February 27, 2015)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on August 6, 2014)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on May 7, 2014)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2014)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2013)
- CONFIDENTIAL SEPARATION AGREEMENT AND RELEASE (Filed With SEC on February 28, 2013)
- FORM OF CHANGE In CONTROL AGREEMENT (Filed With SEC on December 27, 2012)
- FORM OF NON-COMPETITION AGREEMENT (Filed With SEC on December 27, 2012)
- AMENDMENT TO SEPARATION AGREEMENT AND GENERAL RELEASE (Filed With SEC on July 27, 2012)
- SEPARATION AGREEMENT AND GENERAL RELEASE (Filed With SEC on April 10, 2012)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 29, 2012)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on May 31, 2011)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2011)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2011)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on August 5, 2008)