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NEWCNT New Contract Programs. NEWCNT. Setup contracts for next fiscal year Create Salary Notices Generate reports Summary, Detail & New Pay. If Employee is currently paid in USPS Job in USPS can be pulled into NEWCNT. 1. Mid-year No Retro 2. Mid-year Retro with Spread
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NEWCNT • Setup contracts for next fiscal year • Create Salary Notices • Generate reports • Summary, Detail & New Pay
If Employee is currently paid in USPS Job in USPS can be pulled into NEWCNT 1. Mid-year No Retro 2. Mid-year Retro with Spread 3. Mid-year Retro Lump Sum Retro is based on past days worked 4. New Contracts
Accessing the New Contract Programs • USPS Main Menu • type in:>NEWCNT
1. Maintenance ModuleAdd-Modify-Delete-Purge ---------------------------------------------------- • Add employee contracts one at a time • Use data entered for salary notices • Purge individual contracts into JOBSCN
ToADD a New Contract - Press F12 add - Enter Employee Name then Select the JOB • Pulls the Employee’s Job into New Contract Module
ADD Function:Data displayed is a snap shot of how it looks in JOBSCN • JOB 01 - Duck Principal • Press the Ctrl+F11 • to clear last years data: • Amount Paid, • Amount Due • Amount Earned • Amount Docked • Pays Paid • Worked (days) • Pay Period • Daily/Hrly Rate • New Hire Date
MAINT – To Adding information after the Clear Function • JOB 01 – Screen 1 of 3 • Spread Employees: • New cont type = “4” New Contract • Enter Obligation “Spread Employees” • Enter New Contract : (same as obligation) • Contract Start: • 1st day employee is paid on new rate • Equal pays = “Y” • # of Pays/# of Work Days • The following fields will be calculated: • New Pay Period & Daily Rate • NON Spread Employees: • New Cont type= “4” New Contract • Enter New Contract: • Enter Cont Start : • 1st day employee is paid at new hourly rate • Equal pays = “N” • The following fields will be calculated: • Hourly Rate & Obligation • By pressing enter this will accept your changes and continue to screen 2 of 3: Screen 1 of 3
ADD New Contract Screen 2 of 3 Calendar, EMIS & Reset Benefits Calendar Type: Blank default to Default calendar Calendar Start Date : Date the system will be counting working days on the calendar: No Calendar will be set to the Default. Reset Benefits Fields: Personal Leave: reset to beginning balance. Does an AC PL in ATDSCN screen to bring you to the beginning balance. This looks at your balance and does an AC PL . Example: 1 PL Remains Reset Value=3 ATDSCN is updated, AC PL is 2.0 for 3 days total Reset Sick Advance: NO attendance record is created. This resets to 0 Adjust Vacation Balance: input # of days to be added to balance or hours to be given. ATDSCN is updated with AC VA transaction EMIS Contract: The S11 Clear function will clear the EMIS Contract Info if data exists. FTE will remain.
ADD Screen 3 of 3Adding of Payroll accounts –Pay Account displayed is from the current JOBSCN • Pay Account Information: • Ability to change the pay accounts: • Percent or Fixed: Must always = 100%. • If fixed is used there must be a one Percentage record. Fixed accounts are charge first. • Benefits are not charge to a fixed amount account: (Vacation, sick, jury duty etc) • Maximum to Charge: Total amt for the account. As the employee is paid this will have a declining balance. • S11 Reset key will clear this information • Account Status: A=Active I=Inactive • Start/Stop Dates: Date to start using or stop using the account. Blank is always available • Leave Projection: Used for LEVPRO to charge out leave from ATDSCN to corresponding leave acts • Board Distribution: Use for BRDDIS/ Insurance Payment • Note* Import Option does not pull in the pay accounts. This is why you need to build them then do the import. • Contact ACCESS For assistance.
2. BUILD Module • Mass builds New Contracts by Pay Group • Bus Drivers, Cooks, • 260 Day • Teachers • Administrators • Creates new contracts and directly loads them into the maintenance module with Pay Accounts • Pulls contracts by Pay Group & Job Status on previous jobs. • Assigns a contract start date entered
BUILD Option • Zeroes all contract-to-date figures from previous contracts • Contract Amount paid • Contract Amount earned • Contract Amount Docked • Contract Amount Due • Days worked • Pays paid • Lump Sum Retro • Dock Next Pay
BUILD Option • Contract start Date: 1st day the employee is to be paid at new rate. • Contract stop date: Leave Blank or enter last day paid to pay BE CAREFUL!! • Selection Criteria: • Include Jobs of concealed employees? Y or N • Job Status: 1=Active 0=Inactive *=Both • Pay groups: Enter your pay groups you would like to update. • Press enter to continue the build based on your options: • The employee new contracts will be placed in the MAINT screens • View, modify or delete any contract via the MAINT screen of NEWCNT
3. Purge • Contracts are Mass Purge into JOBSCN of USPS • Contract Start Date • Appoint type • Contract Type • User defined in Jobscn-1 • Calendar Type • Pay Groups • Reset New hire date If “Y” value enter in Maint or new contract start date. BIOSCN flag Y to be reported. (R chg to Y) • Generate Report
PURGE Option • Purges New Contract into JOBSCN • Updates JOBSCN information with NEWCNT data • Adds LPE/LPA pay types to UPDCAL_FUT for pay off amounts on previous contract, the one in JOBSCN • Uses last pay calculation obligation minus amount paid minus dock • LPE = Last pay earned • USES THE CURRENT CALENDAR AND REMAINING DAYS TO DETERMINE WHAT IS OWED TO EMPLOYEE • LPA = Last pay accrued • AMOUNT PAID PLUS LPE AMOUNT AND MINUS THIS FROM THE OBLIGATION. If overpayment would occur it will be a negative amount to reduce the figure. If under paid it will be a positive amount. This would be money earned but not yet paid.
PURGE Option /JOB History • Purge takes a snap shot of JOB in USPS prior to New Contract • Information is stored in USPJOBHIS database • JOBHIS Report is only used by NEWCNT. • Creates and stores past jobs to history file • Data is then reportable by running JOBHIS report
PURGE OPTION …. • Pay accounts in PAYSCN are all set to inactive • Any accounts in NEWCNT are reactivated • New accounts are added • Resets new hire reporting date if needed • The NEW Hire Reporting Flag in USPSCN/BIOSCN does not change. • Deletes new contract data from NEWCNT Module • Contract data screen • Pay account data screen
PURGE Option • All changes are written to audit file • AUDRPT • Allows selection of just the NEWCNT purge data
PURGE Option Only informationthat meets the criteria will be purged!
DELETE Option • MASS Deletes New Contracts • Contracts were pulled into new contract anticipating a Negotiated Change • Salary Notices are required by a certain date. • Generate reports to assist with funding
DELETE Option Only informationthat meets the criteria will be Deleted!
IMPORT Option • Allows importing from outside source • Spreadsheet files • Third party vendor salary schedules • CSV (comma separated values) • Tab delimited • All contract types can be imported: • New, Mid Year, Mid Year Retro
IMPORT Option • Three Required Fields: • Employee ID Employee_ID • Job number JOB_NO • Contract type Contract_type Other fields required will depend on what the type of contract to import Hours in Day: Hrly Jobs Req’d: Days_Since_Raise: Mid Yr Retro Req’d • All calculations are completed as if the MAINT option was used • Pay per period (obligation/#pays) • Retro amounts, etc. (Days since Raise)
IMPORT Option • Sample CSV import file
REPORT Option • Generates report • Reports all NEWCNT data • MAINT • BUILD • IMPORT • Summary report • Detail report • Generate Salary Notices
NEWCNT Calculations • Rounding • All intermediate calculations use 5 decimal places • The rounding is completed at the end of all processing • Based on rounding flag in USPSDAT/USPCON • (screen 2 of 3) NEWCNT rate rounding : 3
NEWCNT Fields Defined • Days since raise • Must be greater that zero for retro payments • Must be less than or equal to days worked • Used to calculate retro earned • Contract obligation • Amount district owes to employee
NEWCNT Fields Defined • New Contract • Location of current job on the salary schedule • Total contract that could be payable to the employee for the job • Amount Paid – Amount the employee has received • Amount Due – what is owed to the employee • Amount earned by employee on job but not yet paid to that employee • = (Amt Earned – Amt Paid )–Amt Dock • Amount Earned _ Uses the calendar to calculate amount during payroll processing • = Days Worked * Daily Rate (Spread with Daily rate) • = Days worked * (Hrs * Hrly Rate)(Non spread) • Amount Docked • Keeps a running total for an employee with DCK pay type • # of Pays • # Wrk days – Looks at the calendar and give a work day when processing payroll.
Purging of New Contract Data • When to purge new contract • Before last pay of old contract • If first physical work day of new contract is inclusive of pay period begin/end dates for the last pay in old contract. • purge when pays in old are one remaining • If the 1st work day to be paid is > last processing period for the last payroll to be paid, you can wait until the old contract is paid off before purging
Purging of New Contract Data • After last pay can cause incorrect data and manual updates if payroll period begin/end dates for both last pay of old and first pay of new contracts are not adjusted • Affect depends on contract start/stop dates as well as period begin/end dates of last pay in contract and first payroll in new contract
Purging of New Contract Data • Incorrect purge timing can cause: • Days worked will be lost (Calculates begin/end dates during INICAL & JOB Calendar) • STRSAD doesn’t advance the right jobs • Mid year change calculations incorrect • Amount earned incorrect (Days work * Daily Rate) or (Hrs/day*Hrly Rate* days worked) • Accrued wages incorrect (Amt Earned – Amt Paid = Accrued Wage) • Pay off of accrued is incorrect amount • WAGOBL is incorrect
NEWCNT Purge Example Contract 47019.00 minus Amt Pd 45210.50 minus dock=0.0 (47019-45210.50 = 1808.50 owed to employee)
NEWCNT Purge Example • If neither option is used • Days from 8/23/2004 – 8/27/2004 are lost • Amount earned becomes incorrect • Accrued wages are incorrect • Days worked are incorrect
Mid-Year Changes • Can not be built in NEWCNT until last payroll to be paid at the old rate is complete • ‘Clear’ function should not be used • Effective at period begin date is ideal • Doesn’t currently work if zero days worked • Contract amount due on JOBSCN must be accurate • Days worked on JOBSCN must be accurate • Retro on a check by itself • NEWCNT does not support doing this • Manual intervention is required
Mid-Year Changes • Optional solution for mid pay period mid year contract changes • Pay one pay period beyond the effective date and retro pay • Change effective 3/8/2004 • Payroll dates 2/29 – 3/13 pay date 3/19 • Complete 3/19 payroll at old rates
Mid-Year Changes • Prior to 4/1 payroll • Process mid-year contract change with retro • Process 5 retro days, which would be 3/8 – 3/12 • 4/1 payroll would include new pay per period plus the 5 days with the retro amounts • No manual updates required
New Contract Caution Areas • Use of ‘Clear’ function • Should only be used for ‘new contract type’ • Employee new to district • Add contract directly in JOBSCN • Contract is not in NEWCNT, amount can’t be used in balancing • Contract start date • Used to calculate LPE/LPA amounts on the last pay of old contract • Should be first physical day of work on the new contract