Provident Financial Services, Inc. Contracts & Agreements
65 Contracts & Agreements
- Business Finance (9 contracts)
- Business Operations (7)
- Human Resources (29)
- Mergers & Acquisitions (6)
- Uncategorized (14)
- Amendment to Change in Control Agreement between Provident Financial Services, Inc. and Christopher Martin, dated May 28, 2024 (Filed With SEC on May 29, 2024)
- Amendment to Executive Chairman Agreement between Provident Financial Services, Inc. and Christopher Martin, dated May 28, 2024 (Filed With SEC on May 29, 2024)
- Executive Vice Chairman Agreement, dated as of September 26, 2022, by and between Provident Financial Services, Inc. and Thomas J. Shara (Filed With SEC on May 16, 2024)
- Change in Control Agreement, dated as of September 26, 2022, by and between Provident Financial Services, Inc. and Thomas J. Shara (Filed With SEC on May 16, 2024)
- Retention and Award Agreement, dated as of September 26, 2022, by and between Provident Financial Services, Inc. and Thomas J. Shara (Filed With SEC on May 16, 2024)
- Non-Competition and Non-Solicitation Agreement, dated as of September 26, 2022, by and between Provident Financial Services, Inc. and Thomas J. Shara (Filed With SEC on May 16, 2024)
- Indenture, dated May 13, 2024, between Provident Financial Services, Inc. and Wilmington Trust, National Association, as trustee (Filed With SEC on May 13, 2024)
- First Supplemental Indenture, May 13, 2024, between Provident Financial Services, Inc. and Wilmington Trust, National Association, as trustee (Filed With SEC on May 13, 2024)
- Underwriting Agreement, dated as of May 9, 2024, by and among Provident Financial Services, Inc., Provident Bank, Piper Sandler & Co. and Keefe, Bruyette & Woods, Inc., as... (Filed With SEC on May 10, 2024)
- AMENDMENT NO. 2 to AGREEMENT AND PLAN OF MERGER March 29, 2024 (Filed With SEC on March 29, 2024)
- Provident Financial Services, Inc. Clawback Policy (Filed With SEC on February 28, 2024)
- Amendment to Executive Chairman Agreement between Provident Financial Services, Inc. and Christopher Martin, dated December 19, 2023 (Filed With SEC on December 22, 2023)
- Amendment to Change in Control Agreement between Provident Financial Services, Inc. and Christopher Martin, dated December 19, 2023 (Filed With SEC on December 22, 2023)
- AMENDMENT NO. 1 to AGREEMENT AND PLAN OF MERGER December 20, 2023 (Filed With SEC on December 20, 2023)
- Agreement and Plan of Merger, dated September 26, 2022, by and among Provident Financial Services, Inc., NL 239 Corp. and Lakeland Bancorp, Inc (Filed With SEC on September 27, 2022)
- Change in Control Agreement dated December 31, 2021 between Christopher Martin and Provident Financial Services, Inc (Filed With SEC on January 6, 2022)
- Executive Chairman Agreement dated December 31, 2021 between Christopher Martin and Provident Financial Services, Inc (Filed With SEC on January 6, 2022)
- Supplemental Executive Retirement Agreement, as amended by the benefit of Anthony J. Labozzetta (Filed With SEC on March 1, 2021)
- Form of Subordinated Debt Indenture (Filed With SEC on March 1, 2021)
- Form of Senior Debt Indenture (Filed With SEC on March 1, 2021)
- Form of Subordinated Note Certificate (Filed With SEC on March 1, 2021)
- Separation and General Release Agreement (Filed With SEC on March 13, 2020)
- Settlement Agreement, dated March 11, 2020, by and among SB One Bancorp, SB One Bank, Provident Financial Services, Inc., Provident Bank and Anthony J. Labozzetta (Filed With SEC on March 12, 2020)
- Change in Control Agreement, dated March 11, 2020, by and between Provident Financial Services, Inc. and Anthony J. Labozzetta (Filed With SEC on March 12, 2020)
- Side-Letter Agreement, dated March 11, 2020, by and among Provident Financial Services, Inc., Provident Bank and Anthony J. Labozzetta (Filed With SEC on March 12, 2020)
- Employment Agreement, dated March 11, 2020, by and between Provident Financial Services, Inc. and Anthony J. Labozzetta (Filed With SEC on March 12, 2020)
- Form of Voting Agreement, dated March 11, 2020, by and between Provident Financial Services, Inc. and certain shareholders of SB One Bancorp (Filed With SEC on March 12, 2020)
- Agreement and Plan of Merger, dated March 11, 2020, by and between Provident Financial Services, Inc. and SB One Bancorp (Filed With SEC on March 12, 2020)
- Provident Financial Services, Inc. 2019 Long-Term Equity Incentive Plan (Filed With SEC on March 2, 2020)
- Description of Capital Stock of Provident Financial Services, Inc (Filed With SEC on March 2, 2020)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 29, 2016)
- EXHIBIT 10.3 (Filed With SEC on February 29, 2016)
- EXHIBIT 10.4 (Filed With SEC on February 29, 2016)
- EXHIBIT 10.5 (Filed With SEC on February 29, 2016)
- Written Description of Provident Financial Services, Inc.s 2015 Annual Cash Incentive Plan (Filed With SEC on March 2, 2015)
- Written Description of Provident Financial Services, Inc.s 2014 Annual Cash Incentive Plan (Filed With SEC on March 3, 2014)
- AGREEMENT AND PLAN OF MERGER BY AND AMONG PROVIDENTFINANCIAL SERVICES, INC. THE PROVIDENT BANK AND TEAM CAPITAL BANK DECEMBER 19, 2013 TABLE OF CONTENTS (Filed With SEC on December 20, 2013)
- Written Description of Provident Financial Services, Inc.s 2013Annual Cash Incentive Plan (Filed With SEC on March 1, 2013)
- FORM OF THREE-YEAR CHANGE IN CONTROL AGREEMENT (Filed With SEC on March 1, 2013)
- OMNIBUS INCENTIVE COMPENSATION PLAN DOCUMENT OF PROVIDENT FINANCIALSERVICES, INC. Adopted onJanuary 26, 2012 Effective as January 1, 2012 OMNIBUS INCENTIVE COMPENSATIONPLAN... (Filed With SEC on February 29, 2012)
- Written Description of Provident Financial Services, Inc.s 2012Annual Cash Incentive Plan (Filed With SEC on February 29, 2012)
- THE PROVIDENT BANK AMENDED AND RESTATED NON-QUALIFIED SUPPLEMENTAL DEFINED CONTRIBUTION PLAN Amended and Restated as of January 1, 2010 THE PROVIDENT BANK NON-QUALIFIED... (Filed With SEC on June 3, 2010)
- FORM OF AMENDED AND RESTATED CHANGE IN CONTROLAGREEMENT (Filed With SEC on March 1, 2010)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on November 9, 2009)
- EMPLOYMENT AGREEMENT (Filed With SEC on November 9, 2009)
- CONSULTING SERVICES AGREEMENT (Filed With SEC on November 9, 2009)
- VOLUNTARY SEPARATION AGREEMENT AND GENERAL RELEASE (Filed With SEC on August 10, 2009)
- AMENDED AND RESTATED CHANGE IN CONTROL AGREEMENT (Filed With SEC on March 2, 2009)
- AMENDED AND RESTATED EMPLOYMENT AGREEMENT (Filed With SEC on March 2, 2009)
- SUPPLEMENTAL EXECUTIVE RETIREMENT PLAN OF THE PROVIDENT BANK (Filed With SEC on March 2, 2009)
- AMENDED AND RESTATED SUPPLEMENTAL EXECUTIVE SAVINGS PLAN (Filed With SEC on March 2, 2009)
- RETIREMENT PLAN FOR THE BOARD OF MANAGERS OF THE PROVIDENT BANK (Filed With SEC on March 2, 2009)
- THE PROVIDENT BANK AMENDED AND RESTATED VOLUNTARY BONUS DEFERRAL PLAN (Filed With SEC on March 2, 2009)
- PROVIDENT FINANCIAL SERVICES, INC. BOARD OF DIRECTORS VOLUNTARY FEEDEFERRAL PLAN Effective January 1, 2005 Amended and Restated Effective as of December 31, 2008 Table of Contents (Filed With SEC on March 2, 2009)
- THE PROVIDENT BANK AMENDED AND RESTATED NON-QUALIFIED SUPPLEMENTAL (Filed With SEC on March 2, 2009)
- SEPARATION AGREEMENT AND GENERAL RELEASE (Filed With SEC on February 29, 2008)
- AGREEMENT AND PLAN OF MERGER BY AND BETWEEN PROVIDENT FINANCIAL SERVICES, INC. (Filed With SEC on October 16, 2006)
- FIRST SAVINGS BANK DEFERRED FEE PLAN (Filed With SEC on November 9, 2004)
- THE PROVIDENT BANK AMENDED AND RESTATED BOARD OF DIRECTORS VOLUNTARY FEE DEFERRAL PLAN (Filed With SEC on August 6, 2004)
- THE PROVIDENT BANK (Filed With SEC on August 6, 2004)
- THE PROVIDENT BANK EMPLOYEE STOCK OWNERSHIP PLAN Amendment Number One (Filed With SEC on August 6, 2004)
- SUPPLEMENTAL EXECUTIVE RETIREMENT PLAN OF (Filed With SEC on August 6, 2004)
- AMENDED AND RESTATED SUPPLEMENTAL EXECUTIVE SAVINGS PLAN OF THE PROVIDENT BANK (Filed With SEC on August 6, 2004)
- PROVIDENT FINANCIAL SERVICES, INC. BOARD OF DIRECTORS VOLUNTARY FEE DEFERRAL PLAN (Filed With SEC on August 6, 2004)
- AGREEMENT AND PLAN OF MERGER (Filed With SEC on December 31, 2003)