Calculating deductions and net pay
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Select
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Select a locked payment schedule.
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Click Calculate
Payments.
- Specify this information:
- Payment Date
- Select a date for the payments. The payment date prints on
payments when the Print
Payments action is run. This date determines the
deduction and one-time deductions to process.
- Deduction Cycle Number
- Optionally, select a deduction cycle. The
deduction cycle determines which deductions are taken for the
payroll cycle.
- Errors Only
- Optionally, select this check box to process time records with a
status of Error. Select the Enable Tax Vendor Display Log
check box to save the data that is sent to and received by the tax
vendor. When you select the Enable Tax Vendor Display Log
check box, the data is displayed in the triage log.
- Move Error Results To Future
- Optionally, select this check box to move time records in
Error status to a future payroll cycle.
- Override Bank Code
- Optionally, select a bank code to override
the bank and cash accounts that are associated with the employee's
organization unit. To complete a bank code override, you must also
select the override bank code when you print payments.
- Create All As System Checks
- Optionally, select this check box to create
payments as system checks instead of as direct
deposits.
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Click Submit to run the Calculate Payments action.
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Click Refresh, then check the status in the Calculate Payments column
to ensure that the action completed successfully.