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Note

If you marked the Payroll Post to Job Cost Only check box checkbox in the Posting Options window, your payroll batch will be deleted after posting the batch to Job Cost. Also, you can choose to have Microsoft Dynamics GP Payroll offset your Job Cost payroll offset credit. This would be offset by the gross wage entry by department, position, and pay code.

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Table of Contents
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Step 1: Complete the Payroll Transaction Entry window

  1. Choose Transactions > Payroll > Transaction Entry. The following message displays: Did you know you can use the Payroll Mass Transaction Entry window instead, to enter several similar pay transactions at the same time?
  2. Choose Transaction Entry. The Payroll Transaction Entry window opens.
  3. Complete the window. See the Microsoft Dynamics GP Payroll Manual for more information. Overtime and doubletime functionality has no effect on Job Cost transactions.

Step 2: Enter job-related information

To assign a transaction to a job, you must choose a transaction type of Pay Code and a pay code with a pay type of Hourly, Overtime, Double Time, Vacation, Sick, or Holiday.

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Note
Once a transaction is assigned to a job and saved, you cannot change the Product field. You must delete the transaction and reenter the information.

Step 3: Build checks

You can build checks to pay employees for their work. Conditions that apply to building checks include:

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  1. Choose Transactions > Payroll > Build Checks.
  2. Complete the Build Payroll Checks window. See the Microsoft Dynamics GP Payroll Manual for information on completing this window.

Step 4: Post payroll transactions to Job Cost

The Job Cost posting process creates a journal entry that does the following:

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Note
  • You cannot print or process your payroll if you do not complete the Job Cost Posting process.
  • See Distribution of payroll transactions below for information on how payroll transactions are distributed in the general ledger.
  • If you changed overhead detail codes (or created new codes and assigned them to affected overhead accounts) since the unposted transactions were entered, DO NOT proceed to post these transactions. Posting these transactions could result in unbalanced general ledger entries. Contact Key2Act WennSoft Support for assistance.
  • (rate classes) If you are posting payroll transactions on a daily, when you calculate checks, benefits/deductions will only be calculated for one day instead of five. Therefore, when using rate classes, you cannot run Job Cost Posting daily; only once a week.

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  1. Choose Transactions > Payroll > Signature Payroll Posting

    Note

    You can only post the batches marked by the user that is logged in.


    • Posting Date
      Enter a posting date.
    • Display Batches
      Choose to display batches created by all users or by the current user only. The batches are marked in the Job Cost or Service column to let you know the contents of that batch. If a batch contains transactions attached to a job number or service call ID, the appropriate column(s) will be marked with an asterisk (star).
    • Status
      Mark the check box checkbox in this column to choose the batches you want to post.
    • Post Job Cost, Post Service
      Mark these check boxescheckboxes, as desired. 

      Note

      If you are not using Service Management or you are, and the Service Invoicing feature is not registered, or the Post to Service Only option is not marked in invoice options, the Post Service check box checkbox will be disabled.


  2. Choose Post.

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Job Cost batches may not be available to post prior to building checks, depending upon Job Cost setup and validation performed in this window. However, a batch that contains both Job Cost and Service related transactions will be available to a user who wants to post only the Service related contents of a batch. Unless posting to Job Cost is selected along with Service, all job-related transactions will remain un-posted in the batch and only the Service related transaction will be posted and Microsoft Dynamics GP payroll transactions deleted. This allows for Job Cost and Service to be posted at separate times, as required by the business processes of each product.

Distribution of payroll transactions

The general ledger journal entry for each payroll transaction distributes as follows:

  • Debit amounts
    Debit amounts distribute to the -labor or other general ledger account you defined for the cost code entered in the Payroll Transaction Entry window. The debit amount equals the total labor cost posted, including overhead.
  • Credit amounts
    The payroll and overhead offset credit amounts post to the default overhead and payroll offset credit accounts defined in the Revenue and Exp Account Setup window, based on a job's assigned division. The following example shows a typical Job Cost payroll posting entry. Overhead calculates automatically based on the overhead group code you assigned to the employee's department and position. See Setting up overhead group codesOverhead Group Codes for more information on how Job Cost automatically calculates overhead for payroll transactions.
AccountAccount DescriptionDebitCredit
000-1411-00Labor$1135.47
000-2135-00Accrued Payroll
$959.47
000-2125-00Benefits Allowed
$176.00


Step 5: Calculate and print checks.

See the Microsoft Dynamics GP Payroll Manual for more information on calculating and printing checks.

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