Create Payments
Use this form to generate payments which you'll print on cheques and/or use to create a direct credit file. All payment methods that exist in a pay batch will be created in the one payment process. In addition, the create payment process creates the journal entries that update the job costing and general ledger.
If paying employees in cash, Greentree will not update cash management because the cash might not be withdrawn from the bank account. You'll need to do a manual adjustment to clear the payroll clearing account(s). The create payments process also creates accruals for employees if you have selected accruals to be updated when payments are created in Module Control.
Once payments have been created, you cannot make adjustments to the pays in those payments.
Options Reference
Each option and field on the form is described below. Mandatory options and fields are highlighted in red.
Select Pays
Pay Group filter
Select the pay group that you want to create pays for. This displays the pay group code in the Pay Group code field. If left empty when you click Apply Criteria, Greentree returns pays for all pay groups that are not finalised.
Pay Group code
This field is populated when you select a pay group code.
Employee filter
You can select the employee that you want to create pays for from the dropdown list. The employee code to displays in the next corresponding field. If left empty when you click the Apply Criteria button, the criteria returns pays for all employees that are not finalised.
Employee Name
This field is populated when an employee code is selected.
Batch filter
You can select the batch that you want to create pays for from the dropdown list. The batch number displays in the corresponding field. If left empty when you click the Apply Criteria button, the criteria returns pays for all batches that are not finalised.
Batch number
This field is populated when a batch number is selected.
Date From
Enter the date from where your search should start when you click the Apply Criteria button.
Date to
Enter the date at which your search should finish when you click the Apply Criteria button.
Apply Criteria
Click this button to return all pays that are not finalised that meet the filter criteria set.
Results table
The results table contains these columns:
- PAY NUMBER - The number of the pay that fits the select pays filter criteria displays in this field.
- CODE - The employee code that fits the select pays filter criteria will be displayed in this field.
- NAME - The name of the employee that fits the select pays filter criteria displays in this field.
- NET - The net amount of the pay that fits the select pays filter criteria displays in this field.
- SELECT - Selection of this checkbox indicates that the individual pay line is to be included in the create payments process. Pays where a Timecard exists but has not been processed. TC displays in this column. If the pay has a hold code, HC displays in this column and you can't select the pay.
- HOLD CODE - The Hold code that applies to the pay displays in this field.
- PAY DATE - The pay date of the pay that fits the select pays filter criteria displays in this field.
- POSTING DATE - The posting date of the pay that fits the select pays filter criteria displays in this field.
- PAY GROUP - The payment group of the pay that fits the select pays filter criteria displays in this field.
- BATCH - The batch number of the pay that fits the select pays filter criteria displays in this field.
- BRANCH - The branch code of the pay that fits the select pays filter criteria displays in this field.
- PROFIT CENTRE - The profit centre of the pay that fits the select pays filter criteria displays in this field.
Select All
Click this button to mark all pays displayed within the pay selection form as Selected.
Deselect All
Click this button to reverse the selected status from all pays displayed within the pay selection window.
Process
Click this button to start the process to create a payment.
Details
Click this button to view the details of a successful payment run.
Payment Details
Payment Log
A log will be created and a unique log number assigned to the log when the create pays is processed.
Description
Enter a description for the payment log.
Bank
You can select from the dropdown list the bank account from which the selected pay will be paid from.
Payment Date
Enter or accept the date that the payment is to be made.
Posting Date
Enter or accept the date that the payment is to be posted to the general ledger.
Cheque output order - Code
Select this option to print payment cheques in the order of the employee code.
Cheque output order - Surname
Select this option to print payment cheques in the order of the employee's surname.
Log Report
Click this button to run a report that lists the payments made split by payment method. You can set up the report in Payroll Module Control.
This button is only available when you select a payment log.
Create Lodgement (Australia only)
Select the Payment log for the pay you want to submit to the ATO using Single Touch Payroll. Then, click this button. The STP Lodgement form displays.
On the STP Lodgement form, select Tick this box to sign this declaration with the AUSkey used by this software and your login details. Then, click Submit to lodge the payment with the ATO.
The Create Lodgement button isn't available if the date of the payment is before the Lodge pays using STP from date that you set in Module Control.