How do I reconcile an employee's check file totals to the employee master file totals for taxes in Sage 300 CRE?
Compare Employee Master file tax totals to Employee Check tax totals
- From the Payroll Reports menu, select Tax Preparation.
- Print the Subject-to Employee report for employee tax totals.
- Print the Subject-to Employer report for employer tax totals.
- Compare the totals to confirm they are in balance.
- From the Payroll Reports menu, select Pay Period Processing and print the Deposit Summary.
- Select the Current.prt.
- Use the Check date prompts, entering January 1 through December 31 of the reconciliation year.
- Compare the summarized totals on the Deposit Summary to the Subject-to Employee and Subject to Employer.
- If there are variances, compare the Subject-to Employee/Employer to the Subject-to Date Range.
- From the Payroll Reports menu, select Tax Preparation.
- Print the following report for employee tax totals:
- Subject-to Date Range: Select Employee and Check Dates and enter January 1 through December 31 of the reconciliation year
- Print the following report for employer tax totals:
- Subject-to Date Range: Selecting Employer and Check Dates and enter January 1 through December 31 of the reconciliation year
- Compare the totals.
- Solution ID
- 222924650021673
- Last Modified Date
- Wed Nov 06 22:11:49 UTC 2024
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