FINANCIAL INSTITUTIONS INC Contracts & Agreements
112 Contracts & Agreements
- Business Finance (25 contracts)
- Business Operations (1)
- Human Resources (52)
- Mergers & Acquisitions (1)
- Uncategorized (33)
- Underwriting Agreement, dated December 11, 2024, by and between Financial Institutions, Inc., and Keefe, Bruyette & Woods, Inc., as representative of the several underwriters... (Filed With SEC on December 12, 2024)
- Financial Institutions, Inc. Executive Incentive Plan, effective January 1, 2024 (Filed With SEC on May 6, 2024)
- Financial Institutions, Inc. Management Incentive Plan, effective January 1, 2024 (Filed With SEC on May 6, 2024)
- Form of Restricted Stock Unit Award Agreement Pursuant to the Financial Institutions, Inc. Amended and Restated 2015 Long-Term Incentive Plan (Filed With SEC on May 6, 2024)
- Form of Performance Stock Unit Award Agreement Pursuant to the Financial Institutions, Inc. Amended and Restated 2015 Long-Term Incentive Plan (Filed With SEC on May 6, 2024)
- Asset Purchase Agreement dated April 1, 2024, among NFP Property & Casualty Services, Inc., SDN Insurance Agency, LLC and Financial Institutions, Inc (Filed With SEC on April 1, 2024)
- Severance Agreement and Release of All Claims, by and between Financial Institutions, Inc. and Justin K. Bigham (Filed With SEC on March 13, 2024)
- Form of Director Annual Restricted Stock Award Agreement Pursuant to the Financial Institutions, Inc. 2015 Long-Term Incentive Plan (Filed With SEC on March 10, 2022)
- Form of Restricted Stock Unit Award Agreement Pursuant to the Financial Institutions, Inc. 2015 Long-Term Incentive Plan (Filed With SEC on March 10, 2022)
- Form of Restricted Stock Unit Award Agreement Pursuant to the Financial Institutions, Inc. Amended and Restated 2015 Long-Term Incentive Plan (Filed With SEC on March 10, 2022)
- Financial Institutions, Inc. Executive Incentive Plan, effective as of January 1, 2021 (Filed With SEC on March 10, 2022)
- Financial Institutions, Inc. Amended and Restated 2015 Long-Term Incentive Plan (Filed With SEC on August 9, 2021)
- Separation and Settlement Agreement and Release between Financial Institutions, Inc. and Joseph L. Dugan dated February 12, 2021 (Filed With SEC on May 10, 2021)
- Form of Performance Stock Unit Award Agreement pursuant to the Financial Institutions, Inc. 2015 (Filed With SEC on May 10, 2021)
- Form of Executive Agreement (Filed With SEC on March 15, 2021)
- Subordinated Note Purchase Agreement, dated as of October 7, 2020, by and among Financial Institutions, Inc. and the Purchasers (Filed With SEC on November 6, 2020)
- Registration Rights Agreement, dated as of October 7, 2020, by and among Financial Institutions, Inc. and the Purchasers (Filed With SEC on November 6, 2020)
- Subordinated Indenture, dated as of October 7, 2020, between Financial Institutions, Inc. and Wilmington Trust, National Association, as Trustee (Filed With SEC on October 7, 2020)
- Form of Subordinated Note Purchase Agreement, dated as of October 7, 2020, by and among Financial Institutions, Inc. and the Purchasers (Filed With SEC on October 7, 2020)
- Form of Registration Rights Agreement, dated as of October 7, 2020, by and among Financial Institutions, Inc. and the Purchasers (Filed With SEC on October 7, 2020)
- Severance and Settlement Agreement and Release with William L. Kreienberg (Filed With SEC on August 5, 2020)
- Description of the Companys Securities (Filed With SEC on March 4, 2020)
- Severance and Settlement Agreement and Release with Michael D. Burneal (Filed With SEC on March 8, 2019)
- Supplemental Executive Retirement Agreement between Financial Institutions, Inc. and Kevin B. Klotzbach dated June 26, 2018 (Filed With SEC on August 8, 2018)
- $40,000,000 FINANCIALINSTITUTIONS, INC. Common Stock, $0.01 Par Value Per Share Sales Agency Agreement (Filed With SEC on May 30, 2017)
- AMENDED AND RESTATED EXECUTIVE AGREEMENT (Filed With SEC on May 4, 2017)
- AMENDED AND RESTATED EXECUTIVE AGREEMENT (Filed With SEC on May 4, 2017)
- EXECUTIVE AGREEMENT (Filed With SEC on May 4, 2017)
- EXECUTIVE AGREEMENT (Filed With SEC on May 4, 2017)
- EXECUTIVE AGREEMENT (Filed With SEC on May 4, 2017)
- INDEMNIFICATION AGREEMENT (Filed With SEC on December 30, 2016)
- RESTRICTED STOCK UNIT AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on May 6, 2016)
- PERFORMANCE STOCK UNIT AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on May 6, 2016)
- CONSULTING AGREEMENT (Filed With SEC on April 1, 2016)
- FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN Approved by the MD&C Committee: January 14, 2015 Approved by the Board for Directors: January 28, 2015 Approved by... (Filed With SEC on August 5, 2015)
- DIRECTOR ANNUAL RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on August 5, 2015)
- DIRECTOR IN LIEU OF CASH FEES STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on August 5, 2015)
- RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on August 5, 2015)
- [YEAR] PERFORMANCE STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on August 5, 2015)
- RESTRICTED STOCK UNIT AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on August 5, 2015)
- [YEAR] PERFORMANCE STOCK UNIT AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2015 LONG-TERM INCENTIVE PLAN (Filed With SEC on August 5, 2015)
- FINANCIAL INSTITUTIONS, INC. Issuer and WILMINGTON TRUST, NATIONAL ASSOCIATION Trustee INDENTURE Dated as of April 15, 2015 SUBORDINATED DEBT SECURITIES FINANCIAL INSTITUTIONS,... (Filed With SEC on April 15, 2015)
- FINANCIAL INSTITUTIONS, INC. as Issuer and WILMINGTON TRUST, NATIONAL ASSOCIATION as Trustee FIRST SUPPLEMENTAL INDENTURE Dated as of April 15, 2015 to SUBORDINATED DEBT INDENTURE... (Filed With SEC on April 15, 2015)
- FINANCIAL INSTITUTIONS, INC. $40,000,000 6.00% Fixed to Floating Rate Subordinated Notes due April 15, 2030 UNDERWRITING AGREEMENT (Filed With SEC on April 10, 2015)
- SEPARATION AGREEMENT AND RELEASE OF ALL CLAIMS (Filed With SEC on November 4, 2014)
- SUPPLEMENTAL EXECUTIVE RETIREMENT AGREEMENT (Filed With SEC on August 5, 2014)
- SEPARATION AGREEMENT AND RELEASE OF ALL CLAIMS (Filed With SEC on November 5, 2013)
- AMENDED AND RESTATED EXECUTIVE AGREEMENT (Filed With SEC on May 23, 2013)
- EXECUTIVE AGREEMENT (Filed With SEC on May 23, 2013)
- EXECUTIVE AGREEMENT (Filed With SEC on May 23, 2013)
- FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN 2013 PERFORMANCE PROGRAM MASTER AGREEMENT (Filed With SEC on May 7, 2013)
- RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2009 DIRECTORS STOCK INCENTIVE PLAN (Filed With SEC on March 18, 2013)
- FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN 2013 PERFORMANCE PROGRAM MASTER AGREEMENT (Filed With SEC on March 18, 2013)
- FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN 2013 PERFORMANCE PROGRAM AWARD CERTIFICATE (Filed With SEC on March 18, 2013)
- AMENDMENT NO. 1 TO ASSIGNMENT, PURCHASE AND ASSUMPTION AGREEMENT (Filed With SEC on November 6, 2012)
- SEPARATION AGREEMENT AND RELEASE OF ALL CLAIMS (Filed With SEC on November 6, 2012)
- EXHIBIT A SUPPLEMENTAL EXECUTIVE RETIREMENT AGREEMENT (Filed With SEC on November 6, 2012)
- AMENDED AND RESTATED EXECUTIVE AGREEMENT (Filed With SEC on July 5, 2012)
- AMENDED AND RESTATED EXECUTIVE AGREEMENT (Filed With SEC on July 5, 2012)
- EXECUTIVE AGREEMENT (Filed With SEC on July 5, 2012)
- EXECUTIVE AGREEMENT (Filed With SEC on July 5, 2012)
- EXECUTIVE AGREEMENT (Filed With SEC on July 5, 2012)
- Dated: June 28, 2012 /s/ George D. Hagi State of New York) County of ) SS: George D. Hagi (Filed With SEC on July 5, 2012)
- AMENDMENT NO. 1 TO PURCHASE AND ASSUMPTION AGREEMENT (Filed With SEC on June 28, 2012)
- RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN (Filed With SEC on March 9, 2012)
- FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN 2012 PERFORMANCE PROGRAM MASTER AGREEMENT (Filed With SEC on March 9, 2012)
- FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN 2012 PERFORMANCE PROGRAM AWARD CERTIFICATE (Filed With SEC on March 9, 2012)
- ASSIGNMENT, PURCHASE AND ASSUMPTION AGREEMENT by and between FIRST NIAGARA BANK, NATIONAL ASSOCIATION and FIVE STAR BANK JANUARY 19, 2012 TABLE OF CONTENTS (Filed With SEC on March 9, 2012)
- PURCHASE AND ASSUMPTION AGREEMENT by and among FIRST NIAGARA BANK, NATIONAL ASSOCIATION and FIVE STAR BANK JANUARY 19, 2012 TABLE OF CONTENTS (Filed With SEC on March 9, 2012)
- FINANCIAL INSTITUTIONS, INC. (a New York corporation) 2,446,500 Shares of Common Stock (Par Value $0.01 Per Share) UNDERWRITING AGREEMENT (Filed With SEC on March 15, 2011)
- Financial Institutions, Inc. Stock Ownership Requirements Amended October 27, 2010 (Filed With SEC on October 28, 2010)
- AMENDMENT TO VOLUNTARY RETIREMENT AGREEMENT (Filed With SEC on March 3, 2010)
- RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN Name of Employee:Date of Grant:Number of Shares:Value of each... (Filed With SEC on March 1, 2010)
- RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN (Filed With SEC on March 1, 2010)
- RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 2009 MANAGEMENT STOCK INCENTIVE PLAN (Filed With SEC on January 19, 2010)
- Dollars in thousands, except share and per share data (Filed With SEC on August 5, 2009)
- Dollars in thousands, except share and per share data (Filed With SEC on August 5, 2009)
- AMENDMENT TO VOLUNTARY RETIREMENT AGREEMENT (Filed With SEC on July 1, 2009)
- statements with respect to the beliefs, plans, objectives, goals, guidelines, expectations, anticipations, and future financial condition, results of operations and performance of... (Filed With SEC on March 12, 2009)
- NUMBER CPP-1 7,503 SHARES Incorporated under the laws of the State of New York 50,000,000 Shares $0.01 Par Value FINANCIAL INSTITUTIONS, INC. 210,000 Shares $100.00 Par... (Filed With SEC on December 24, 2008)
- WARRANT TO PURCHASE COMMON STOCK (Filed With SEC on December 24, 2008)
- UNITED STATES DEPARTMENT OF THE TREASURY 1500 PENNSYLVANIA AVENUE, NW WASHINGTON, D.C. 20220 (Filed With SEC on December 24, 2008)
- WAIVER (Filed With SEC on December 24, 2008)
- VOLUNTARY RETIREMENT AGREEMENT (Filed With SEC on September 26, 2008)
- VOLUNTARY RETIREMENT AGREEMENT (Filed With SEC on September 26, 2008)
- RESTRICTED STOCK AWARD AGREEMENT (Filed With SEC on January 23, 2008)
- Statements regarding our business plans, and prospects (Filed With SEC on March 13, 2007)
- Statements regarding our business plans, and prospects (Filed With SEC on March 13, 2007)
- AMENDMENT NUMBER ONE TO THE FINANCIAL INSTITUTIONS, INC. 1999 MANAGEMENT STOCK INCENTIVE PLAN (Filed With SEC on July 28, 2006)
- NON-QUALIFIED STOCK OPTION AGREEMENT Pursuant To The FINANCIAL INSTITUTIONS, INC. MANAGEMENT STOCK INCENTIVE PLAN Name of Employee: _______________________________ Date of Grant:... (Filed With SEC on July 28, 2006)
- RESTRICTED STOCK AWARD AGREEMENT Pursuant to the FINANCIAL INSTITUTIONS, INC. 1999 MANAGEMENT STOCK INCENTIVE PLAN (Filed With SEC on July 28, 2006)
- TRUST COMPANY AGREEMENT AND PLAN OF MERGER by and between The Canandaigua National Bank and Trust Company and Five Star Bank Dated as of March 25, 2006 1 TRUST COMPANY AGREEMENT... (Filed With SEC on April 3, 2006)
- Statements regarding our business plans, and prospects (Filed With SEC on March 15, 2006)
- Statements regarding our business plans, and prospects (Filed With SEC on March 15, 2006)
- Statements regarding our business plans, and prospects (Filed With SEC on March 15, 2006)
- EXECUTIVE AGREEMENT (Filed With SEC on February 2, 2006)
- EX-10.17 Second Amendment to Agreement Between FI and M&T (Filed With SEC on November 4, 2005)
- EX-10.18 Fourth Amendment to Agreement Between FI and M&T (Filed With SEC on November 4, 2005)
- EXECUTIVE AGREEMENT (Filed With SEC on September 14, 2005)
- EX-10.15 Keefe, Bruyette, and Woods Letter (Filed With SEC on August 9, 2005)
- EXECUTIVE AGREEMENT (Filed With SEC on June 30, 2005)
- EXECUTIVE AGREEMENT (Filed With SEC on June 30, 2005)
- EXECUTIVE AGREEMENT (Filed With SEC on June 30, 2005)
- EXECUTIVE AGREEMENT (Filed With SEC on June 30, 2005)
- EXECUTIVE AGREEMENT (Filed With SEC on June 30, 2005)
- Peter G. Humphrey President & CEO John R. Tyler, Jr. Lead Director Financial Institutions, Inc. Peter G. Humphrey _6/8/05 John R. Tyler, Jr. 6/8/05 Signature/Date Signature/Date (Filed With SEC on June 30, 2005)
- SEPARATION AGREEMENT AND RELEASE (Filed With SEC on March 31, 2005)
- EX-10.3 Agreement with Investment Banker (Filed With SEC on March 16, 2005)
- EX-10.4 Stock Ownership Requirement (Filed With SEC on March 16, 2005)
- EX-10.5 Senior Management Incentive Compensation (Filed With SEC on March 16, 2005)
- EX-10.6 Separation Agreement - Brown 2005 (Filed With SEC on March 16, 2005)
- EX-10.7 Employment Agreement - Brown 2001 (Filed With SEC on March 16, 2005)