Running Banking Processes

This chapter provides an overview of banking processing for the Netherlands and discusses how to run banking processes.

Note. Before you run banking processes, you must set up banking information. Banking setup for the Netherlands is discussed previously in this PeopleBook.

See Also

Setting Up Banking

Click to jump to parent topicUnderstanding Banking Processing for the Netherlands

In addition to the core payroll and banking process, there are three processes specific to banking for the Netherlands:

This diagram illustrates how the banking processes for the Netherlands supplement the core application banking process:

Global Payroll for the Netherlands banking processes

See Also

Setting Up Banks and Bank Branches

Defining Banking Instructions

Setting Up Banking

Click to jump to parent topicRunning Banking Processes

This section discusses how to:

Note. All the additional information required by the system is at the pay entity level.

Click to jump to top of pageClick to jump to parent topicPages Used to Run Banking Processes for the Netherlands

Page Name

Definition Name

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Usage

Run Payment Prep Process NLD (run payment preparation process NLD)

GPNL_RC_BNK_PMT

Global Payroll & Absence Mgmt, Payment Processing, Run Payment Prep Process NLD, Run Payment Prep Process NLD

Launch the Dutch banking process. Run this process after running the core application banking process. You specify only the Calendar Group ID for the processing.

Note. You cannot recalculate the core banking process for a selected calendar group ID after running the Dutch banking process.

Create EFT Payment File NLD (create electronic funds transfer payment file NLD)

GPNL_RC_BNK_EFT

Global Payroll & Absence Mgmt, Payment Processing, Create EFT Payment File NLD, Create EFT Payment File NLD

Launch the Create EFT Payment File process that creates the CLIEOP03 file. Run this process after running the core application banking process and the Banking Process NLD.

Payment List Report NLD

GPNL_RC_PMT_LST

Global Payroll & Absence Mgmt, Payment Processing, Payment List Report NLD, Payment List Report NLD

Select the parameters for printing the payment list.

Click to jump to top of pageClick to jump to parent topicCreating the CLIEOP03 Electronic File

Access the Create EFT Payment File NLD page (Global Payroll & Absence Mgmt, Payment Processing, Create EFT Payment File NLD, Create EFT Payment File NLD).

Calendar Group ID

Select the calendar group for which you want to process payments.

Pay Entity

Select a pay entity if you want to restrict the processing of payments for a particular pay entity when your calendar group includes more than one. If you don't make a selection here, the system will process payments for all pay entities in the calendar group.

Banking Recipient

Select from: Bank Accounts, Bank and Postbank Accounts, (accounts numbers greater than 7 digits) or Postbank Accounts (account numbers with a maximum of 7 digits).

Transactions from bank account to Postbank accounts usually take two or three days, while transactions between bank accounts take only one day. By processing transactions to Postbank accounts separately and earlier than you process the transactions to bank accounts, you can pay all your employees on the same day.

Fixed Description Info

The description you enter here appears in the header of the CLIEOP03 file. It also appears on each employee's bank statement, for example “Salary January 2006”.

Batch Reference

Enter the batch reference that's to appear on the Instruction letter for business payments.

Required Process Date

Enter the date on which Interpay must process the batch. The date appears in the header of the CLIEOP03 file and in the Instruction letter for business payments.

Delivery Type

Select either Original or Duplicate. The value is included in the file but not the Instruction letter for business payments.

Click to jump to top of pageClick to jump to parent topicLaunching the Payment List Report

Access the Payment List Report NLD page (Global Payroll & Absence Mgmt, Payment Processing, Payment List Report NLD, Payment List Report NLD).

Calendar Group ID

Select the calendar group for which you want to report detailed payment data. You can isolate the data retrieval to a single calendar in the group by also entering a calendar ID.

Payment Status

Select from No Active Allocations, Paid, and Prepared. If you select No Active Allocations this means that the system found no net distribution allocations specified for a payee.

Element Name

Select a specific element, such as a deduction, to report on transactions for that element in the calendar or calendar group you specified. Examples are savings plans deductions or garnishments.