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Tasks to be completed when documenting an operation (from creation to publication)1. Enter the Title of the operation / page2. Add the following Labels :
3. Fill in all fields as described above4. Once the description of the operation is completed, ensure it is approved and published by launching the SBS-Finance approval workflow |
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Responsibility area: N/A |
1. Objective and Scope
1.1. Objective of this Operation
Simply said, withholdingWithholding tax means, that Solvay entities assumes the responsibility from the supplier to pay due taxes to the fiscal authorities.
The purpose of this document is to prepare the data to deliver these obligations until the 16 of each month..It is known in Italy as RITENUTA D' ACCONTO and corresponds to the amount of withholding tax to be paid to the tax authorities on invoices effectively paid, by the 16th of the month following the date of the payment of the invoice.
Based on this procedure, we will
preparethen summarize the information of the withholding tax on third parties
to be paid on monthly basis and must be summarized in a specific model (called 770) in the beginning of the year. This annual return is completed by HR with the WHT concerning the personnelpaid in a specific model, called Single Certification (Certificazione unica - CU) to be submitted no latter than 31 March Y+1. The withholding agents use the Single Certification (CU), to certify the income from employment and similar, the income from self-employment, commissions and other income as well as the fees deriving from short lease contracts.
The purpose of this procedure is, in a first stage, to identify all invoices paid and calculate the amount of tax withheld to be paid every month (until the 16th of each month) and with a set of checks to ensure that possible errors have been identified and corrected, maintaining a database and the overview of the annual declaration.
1.2. Scope
This
operatingprocedure
(OP)applies to
companyall Italian companies:
0270 : SOLVAY CHIMICA (IT)0279 : SOLVAY (IT)
- 5835 : SOLVAY SPOL IT
- 6306 : COGEN SPINETTA
- 6428 :
- SYENSQO SA
- 8090 : SOLVAY SOLUTIONS IT
2. Definitions
See Finance Glossary:
3. Tasks description
3.1. Periodicity
To be done onOn a monthly basis
at D6 the latest.3.2. Withholding tax to be paid
It is known in Italy as RITENUTA D' ACCONTO and corresponds to the amount of withholding tax to be paid to the tax authorities on invoices effectively paid on behalf of third parties by the 16th of the month following the date of the payment of the invoiceit is necessary to pay the withholding tax retained. This procedure has to be performed until D7 (the lattest), to ensure that the payment is approved by the 16th of each month.
Also we need to ensure accuracy of data and payments done to the suppliers as a basis of the annual declaration Single Certification (Certificazione unica - CU) that should be prepared in February of Y+1.
3.2.
1. How toI prepare the information
3.2.1.1. Transaction FIWTIT_CU - Italy withholding tax reporting
Run transaction FIWTIT_CU - Italy withholding tax reporting
1. Select Variant IT RITENUTA
- Company code
- Period (should always be the previous month)
3. Execute.
The result will be similar to:
4. Then change the layout to /RITENUTA
5. Last step is to extract the data to excel and copy it to the template indicated.
Go to "Print preview of entire hierarchy"
A new screen will appear and go to system and extract to excel as shown:
With this extraction we will have an overview of all movements in the accounts and provide detailed information about the vendors we are paying the withholding tax for.
of the withholding tax to be paid on a monthly basis
Before starting, you should be aware that there is a form that is used to support in the monthly justification and annual declaration preparation.
This file is the base of all work to be done and applicable for all systems, despite the different ways of working in each and is composed by 5 sheets:
1. DATABASE - Vendor information to support preparation of the yearly declaration;
List of all vendors that have WHT tax indicator, it is necessary to know the country of the vendor, the % of Cassa Prev. if applied and in case of a natural person detail several info like date and city of birth,...
To collect this info we go to the following website http://www.codicefiscaleonline.com/codice_inverso.php and by adding the fiscal number we will copy the data indicated there.
2. RESUME - Where all information is resumed (monthly amounts calculated, effective payment information, account reconciliation and some analysis of the vendors invoices);
3. Detailed Withholding Tax Report - Where extraction from SAP of all suppliers identified with withholding tax should be analyzed;
4. RE.KS Docs extracted - Where you will add all payments done during the year (automatic identification of the month of payment to facilitate the monthly works);
5. Year Withholding Tax Report - Template required for the submission of the yearly declaration, simple compilation of all information of the year. Maintenance under accounting platform responsibility.
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By principle we have to pay the WHT only for those invoices effectively paid reflected in account 2452090000. |
Taking in consideration that |
at the |
time of the assignment to CICC, the WHT is posted temporary in account 2452090100 (KS document) and only at the due date of the invoice (= real payment date to the vendor) the amount is cleared and transferred to account 2452090000 - Withholding taxes payable-others, it's in account 2452090000 that we find the WHT to be paid. |
Copy the information extracted in 3.1.1.1 to column B:
This is valid for all supplier that have in it's master data the withholding tax indicators updated and when invoices/credit notes are booked it should be indicated the base amount and the WHT to pay. See example of supplier FEDERICO CIACCIO (FK03): Invoice example: |
3.2.1. I prepare the information for PF2 companies
3.2.1.1. I run the SAP transaction S_P00_07000134 - Generic Withholding Tax Report
Run transaction S_P00_07000134 - Italy withholding tax reporting:
1) Select Variant RITENUTA D'ACC
- Company code.
- Reporting Period (from the beginning of previous year to end of current year).
- In further selections ensure that you add in field Entry date the period of analysis (previous period).
3) Execute:
It will pop up an additional screen but you can go ahead:
The result will be similar to:
4) Last step is to extract the data to excel and copy it to the template shared:
If you save it " In Google Drive" it will generate a google sheet with all the details as in excel.
With this extraction we will have an overview of all invoices/credit notes registered in the current month where withholding tax was applied and you just copy to sheet "Detailed Withholding Tax Report" from column M to AC.
3.2.1.2. I calculate the monthly F24 payment
The next step is to search for the payments that occurred in the current period.
Open a new tab in SAP with transaction FBL3N with variant IT WHT CHECK to perform the extraction of all items posted in the current period, between 01/MM/20YY and 31/MM/YYYY, in accounts 2452090000 and 2452090100.
We will need to retrieve all document numbers and clearing dates of the invoices paid in the period, so we do a filter and select only doc type KS and clearing date 01/MM/2021 to 31/MM/2021 to copy the document number and clearing date to sheet RE.KS Docs extracted:
The idea is to automatically retrieve the month of payment and update sheet Detailed Withholding Tax Report that will automatically feed the pivot table available in RESUME:
To summarize, this information is retrieved from sheet Detailed Withholding Tax Report column A F24 Payment (month):
- If invoice was paid in the current month we indicate the month (January to December);
The extraction is providing us all the invoices posted within the period with withholding tax to be paid. From this list we will need to confirm if there are invoices from previous periods paid in the current month and if invoices posted will be paid in the future.
For that, open transaction FBL3N with open items at end of each month for account 2452090000 and confirm with the details extracted.
Go to the file, sheet Detail RITENUTA D'ACCONTO and add in collumn A the month of the payment:
- If invoice paid in the current month add the number correspondent to the month (1 to 12)
- If invoices posted will be paid in the future
leave it - they are blank.
Note that in some cases you may have differences between the vendor extraction and SAP due to manual postings, contracts cancellation, etc.
InAll manual postings (G1/S1), some manual clearings done with AB document type can generate differences. All these cases have to be analysed individually to make sure they are correct and in our database. In these cases check line items in the SAP vendor account and add
it Detail RITENUTA D'ACCONTO/delete the documents necessary to justify the entries in the file
sheet.
Refresh the pivot table from sheet F24 PAYMENT to calculate the total amount to be paid in the month.3.2.1.3. I make a consistency check
In the end the total amount to be paid in the current month reflect the open items balance of account 2452090000 and the invoices we are not considering reflect the amount open in account 2452090100.
Take as example
March 2017 for company 0270:May 2021 for company 0279:
3.2.1.4. I make a consistency check to prevent issues in the annual declaration (CU)
The main controls to perform are:
- If all vendors listed in the database and all necessary details are filled;
- If Withholding tax rate applied is coherent with the most common tax applied (5%/20%/23%);
- If for vendors apply in the invoice the "Cassa Previdenziale", "Bollo", amount not subject to WHT;
- Control the total amount paid to supplier.
These controls should be done from time to time, preferably every month before sending to CAM the monthly analysis.
3.2.1.5. I share with CAM the analysis and ask to issue the payment
As soon as you finalize all previous steps
As soon as you finalise this check
send a message to CAM indicating the amount to pay for the month in analysis and the link to the filled template to ensure that the F24 payment is done
.3.2.1.3.
Consistency checkBy the end of the month after the booking of the bank movement F24 (1040 + 1038) you can complete the procedure by checking and clearing the a account 2452090000.
Complete the information in the table for future reference
and in case of differences add a comment and report to CAM.as this will be important for the annual declaration. Any payment not related to the current year has to be analyzed and properly justified.
3.2.2.
How toI prepare the information for
Solvay SolutionsWP1 company
3.2.2.1.
TransactionI run the SAP transaction S_P00_07000134 - Generic Withholding Tax Report
Run transaction S_P00_07000134 - Generic Withholding Tax Report:
1. Select ) Select Variant RITENUTA D'ACC
2. Several ) Several parameters are already filled you just need to confirm:
- Company code
- Period (should always be the previous month)
3. ) Execute.
The result will be similar to:
4. ) Last step is to extract the data to excel and copy it to the template indicated.
and:
and
With this extraction we will have an overview of all movements in the accounts and provide detailed information about the vendors we are paying the withholding tax for.
3.2.2.2.
Calculation of the monthly F24 PaymentI calculate the monthly F24 payment
Run transaction Z3F_FA_AP_WHTAX_TRF and select variant RITENUTA_8090, there is no need to change the parameters and run.
From the transaction outcome you will need to retrieve the list of documents paid in the current month. Search for column "CalcPmtDt" and do a filter with the previous month date.
Example if you are running the transaction in September for August period:
From this list you will need to copy to sheet "RE.KS Docs extracted" the document no and the payment date
The idea is to automatically retrieve the month of payment and update sheet Detailed Withholding Tax Report that will automatically feed the pivot table available in RESUME:
To summarize, this information is retrieved from sheet Detailed Withholding Tax Report column A F24 Payment (month):
- If invoice was paid in the current month we indicate the month (January to December);
- If invoices posted will be paid in the future they are blank.
By principle we have to pay the WHT only for those invoices effectively paid.
Having that, as a second step open the template indicated in the end of the procedure.
The file is cumulative and copy the information extracted in 3.1.2.2 to column B:
The extraction is providing us all the invoices posted within the period with withholding tax to be paid. From this list we will need to confirm if there are invoices from previous periods paid in the current month and if invoices posted will be paid in the future.
For that, open transaction FBL3N with open items at end of each month for account
44900921. and confirm with the details extracted.
Go to the file, sheet Detail RITENUTA D'ACCONTO and add in column A the month of the payment:Note that in some cases you may have differences between the vendor extraction and SAP due to manual postings, contracts cancellation, etc. All manual postings (G1/S1), some manual clearings done with AB document type can generate differences. All these cases have to be analysed individually to make sure they are correct and in our database. In these cases check line items in the SAP vendor account and add/delete the documents necessary to justify the entries in the file.
3.2.2.3. I make a consistency check
- If invoice paid in the current month add the number correspondent to the month (1 to 12)
- If invoices posted will be paid in the future leave it blank.
In the end the total amount to be paid in the current month reflect the open items balance of account
4490090044900921. In case of manual payments or corrections (not reflected in the vendor accounts) you will have to add it manually in the sheet Detail RITENUTA D'ACCONT.
Take as example
February 2025 for company 8090:
As soon as you finalize this check send a message to CAM a indicating the amount to pay and the link to the filled template to ensure that the F24 payment is done.
3.2.2.
2. Consistency checkBy the end of the month after the booking of the bank movement F24 (1040 + 1038) you can complete the procedure by checking 44900900.4. I make a consistency check to prevent issues in the annual declaration (CU)
The main controls to perform are:
- If all vendors listed in the database and all necessary details are filled;
- If Withholding tax rate applied is coherent with the most common tax applied (5%/20%/23%);
- If for vendors apply in the invoice the "Cassa Previdenziale", "Bollo", amount not subject to WHT;
- Control the total amount paid to supplier.
These controls should be done from time to time, preferably every month before sending to CAM the monthly analysis.
3.2.2.5. I share with CAM the analysis and ask to issue the payment
As soon as you finalize all previous steps send a message to CAM indicating the amount to pay for the month in analysis and the link to the filled template to ensure that the F24 payment is done.
Complete the information in the table for future reference
and in case of differences add a comment and report to CAM.3.3. Contacts
0279 - Tiziana Macchia and Francesco Piccoli0270 - Filomena Forlano and Rocco Castagna
5835 - Paola Gagianesi and Tiziana Macchia
6306 6277 - Tiziana Macchia
6328 - Filomena Forlano and Rocco Castagna
8090 - Francesco Piccoli
as this will be important for the annual declaration. Any payment not related to the current year has to be analyzed and properly justified.
End of document.
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