Appendix G - Payroll PostingsPosting to the General Ledger
OverviewWhen a weekly or biweekly payroll is to be processed for the last pay period of a month and the Payroll Ending Date does not fall on the last day of the month, enter the number of accrual days to be generated for the remainder of the month. The number of days entered should equal the number of days between the end of this pay period and the last day of the month. For example, When the Payroll Ending Date is 03/28/99, the number of Accrual Days entered should be 3, since there are three days between the 28th and the 31st (the last day of the month). All payroll expenses will be prorated for three accrual days and posted to the general ledger for the current month with an automatic reversing entry posted to the general ledger at the end of the next month. The expenses will be posted in the following manner:
PAY=By Payroll Period End Date NPER=By Next Period Ending Date, as calculated from the Payroll Period End Date
Accrue Taxes at Payroll Period EndDuring the update, cash amounts are transferred from bank to accrued salaries on the check date. On the pay period ending date, accrued salaries are transferred to salaries and wages expense according to the specifications entered in the Department Code maintenance task. When the Accrue Taxes At Payroll Period End field in the Payroll Application Parameters task is set to ‘Y’, GL transactions will be processed in the following manner during the Check Register Update:
CHK=By Check Date PAY=By Payroll Period End Date When the Accrue Taxes At Payroll Period End field in the Payroll System Parameters task is set to ‘N’, GL transactions will be processed in the following manner during the Check Register Update:
CHK=By Check Date PAY=By Payroll Period End Date
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