Worker's Comp Entry

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This Distribution Entry screen displays if Distribution Code W was selected on the Distribution Master Selection screen.

Worker’s Comp Entry screen

Distribution Code


Description

Distribution Number

Deduction Type

W

Worker's Compensation

State Code

User-Defined

Description

Enter a Description for this Worker’s Compensation Distribution record.

Account Numbers

Workers Comp

Enter the Liability (credit) G/L Account Number to which Workers Comp should be posted, or click the prompt to select from a list.

Bodily Injury

Enter the Liability (credit) G/L Account Number to which this type of coverage should be posted, or click the prompt to select from a list.

Property Damage

Enter the Liability (credit) G/L Account Number to which this type of coverage should be posted, or click the prompt to select from a list.

Expense Account

Enter the Expense (debit) G/L Account Number to which this Premium should be posted, or click the prompt to select from a list.

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.

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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.