Entering and Processing Retirement Allowances
This section discusses how to enter and process retirement allowances. When the system processes a retirement allowance, it automatically calculates the related income tax and inhabitant tax, based on information entered on the Maintain Ret Allow Data JPN page.
To enter processing instructions:
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Create a calendar for an off-cycle run, using the following settings:
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Payee Selection = All Payees with....
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Additional Criteria = Positive Input.
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Create an off-cycle request that specifies which employees are to receive a retirement allowance and the amount of each allowance:
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Access the Off Cycle Requests component (GP_OFFCYCLE_SETUP) for the appropriate pay group and target period.
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On the Main page, enter a description and payment date.
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On the Unscheduled Payments page: Period tab, enter a row for each employee who is to receive a retirement allowance.
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On the Unscheduled Payments page: Associated Data (Links) tab, click the P.I. for Target Calendar link to access an employee's Positive Input page.
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On the Positive Input page: Action tab, select the delivered earning element for retirement allowance, ER RET ALW, and select an action type of Override.
Note:
If you modified the accumulator ER AC RET CUST ERN to include earnings in addition to ER RET ALW, enter the amounts for those earnings elements as well, if applicable.
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On the Positive Input page: Main Components tab, enter the amount of the retirement allowance for ER RET ALW.
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Repeat step d through f for each employee that is to receive a retirement allowance.
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Create an off-cycle calendar group using the Calendar Group component (GP_CALENDAR_RUN).
When creating the off-cycle calendar group, select the Off cycle check box and specify the pay group, period ID, and off-cycle group to process.
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Run the process.
Use the Payroll/Absence Run Control page to run the off-cycle process.
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