Datafile Software
Year End Procedures - Application User Facilities
This option allows you to configure selected features of the
year-end procedure. You can configure if
holiday pay values are to be retained, whether employee transactions are to be
retained and configure items for the end of year returns on disk.
Reset Holiday Credits to Zero
If you are using the facility to accumulate holiday credits and you wish to carry any credits remaining at the end of the year over to the next year then leave this blank. Set to reset this value.
Keep Holiday Pay Accumulations
The holiday year is assumed to be the same as the tax year – April 6th of one year to April 5th the next. If you operate on a different calendar – say January to December – then you would not want to reset the holiday weeks/pay accumulation items as part of the tax year end.If set this then these item values are retained – you would have to reset these values manually at the end of the holiday year, perhaps via a ProFiler routines, if you set this option.
Retain Employee Transactions
Transactions recorded in the, Premier only, Payroll Transactions file and the P11 Transactions file are cleared at year end. If you wish to keep these items then set this option accordingly.
Drive Letter for End-of-Year Disk
Data Item for DSS Sub-Total Breaks
Data Items on which to sort output
These parameters relate to the end of year disk submission to the Inland Revenue and have largely been superseded by the XML submission options. If using this submission method set the drive letter (usually A), and the data items as requested.
Article ID: 2062
Created On: Wed, Mar 27, 2013 at 11:23 AM
Last Updated On: Fri, Jun 16, 2023 at 4:41 PM
Online URL: https://kb.datafile.co.uk/article/year-end-procedures-application-user-facilities-2062.html