This Distribution Entry screen displays if Distribution Code G was selected on the Distribution Master Selection screen.
Distribution Code |
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Distribution Number |
Deduction Type |
G |
FICA (Medicare) |
N/A |
N/A |
Description
Enter a Description for the FICA Medicare Tax.
Account Number
Employee Liability
Enter the Liability (credit) G/L Account Number to which the employee deduction portion of this tax should be posted, or click the prompt to select from a list. The Application Code for this account must be set to General Ledger. Leave this field blank if entering information for an Employer only.
Employer Expense
Enter the Employer Expense (debit) G/L Account Number to which this tax should be posted, or click the prompt to select from a list. The Application Code for this account must be set to General Ledger. Leave this field blank if entering information for an Employee only.
Employer Liability
Enter the Employer Liability (credit) G/L Account Number to which this tax should be posted, or click the prompt to select from a list. The Application Code for this account must be set to General Ledger. Leave this field blank if entering information for an Employee only.
ADP Tax Code
If you are using the ADP Tax service, enter the ADP Tax Code the system will use to map to this Distribution Code.
Accounts Payable
Vendor Number
Enter a valid Vendor Number or click the prompt to select from a list. If the Vendor Master record is in a different Company/Division than the Distribution record, make the Company/Division selections (below) prior to selecting this Vendor Number.
Company/Division Number
Accept the Company/Division used at login or, if the Vendor Master record is in a different Company/Division, click the Division Number prompt to make new selections from a list. The Company/Division Numbers are used for Inter-company transactions at the detail level.
The Vendor and Company/Division entries will allow a deduction, or benefit, to automatically build an open Accounts Payable transaction.
The following processing occurs during Payroll Update
1. These transactions will update the Accounts Payable batch file with a batch number of 88888.
2. The Liability Account will be used to post the tax liability during Payroll Update. When the batch entries are updated in Accounts Payable, a debit entry will be posted to this account and a credit entry will be posted to the Accounts Payable control account.
3. All of the transactions will be summarized according to Vendor Number/G/L Account Numbers to create one invoice per Vendor.
Note: The invoices will be created during Payroll Update if the Vendor Number is currently set up and is non-zero. The Vendor Number cannot be added to the Vendor Master during this procedure.
Click to process these entries and return to the Distribution Master Selection screen. |
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Click to return to the Main Menu without saving changes. |
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Click to return to the Distribution Master Selection screen without saving changes. |