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Tasks to be completed when documenting an operation (from creation to publication)

 1. Enter the Title of the operation / page

2. Add the following Labels

    • Scope of applicability: ww, country_accounting 

    • Country or group of countries (if applicable): belux, china, france, italy, lam, nam, uk_ie, bulgaria, dach, netherlands, iberia, poland, latvia, australia, india, japan, south_korea, thailand, singapore, new_zealand, emea_transversal, apac_transversal

    • Unit and Domain according to the List of labels to be used in the Finance Service Line space

      • E.g. 1: WW Operation in Financial Accounting under domain "Central Finance Processes & Compliance":
        • Labels to be used: ww, financial_accounting, central_fin_proc_compliance

      • E.g. 2: France Operation in Financial Accounting:
        • Labels to be used: country_accounting, france, financial_accounting
          (for country operations, the Domain is always country_accounting)


3. Fill in all fields as described above

4. Name the title of each section using OPD methodology naming convention - Infinitive verb without the “to”, mainly action verb...something) - " I do something..."

5. 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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Domain:
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Responsibility area:

Table of contents 

Table of Contents
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Scope


ERP


Frequency

 

References



Forms



Attachments


 

 

<<

Page_title
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1. Objective and Scope

1.1. Objective of this Operation

 

1.2. Scope


2. Definitions

See Finance Glossary:

  • ...


3. Creation of Cycles and update of the year date

I guarantee that the Bonus cycles are created before the April closure, when we need to report the figures in R33310. To do that, FSL SUFA GL team must team must coordinate with FSL SU Management Accounting and share the list of company codes managed in PP9 and interfaced to PF1 PF2 and WP1 accounting WP2 accounting systems.

3.1. I create the cycles

3.1.1. I coordinate the creation of the Bonus cycles

PF1 PF2 - social charges and bonus cycles

To reflect the employer contribution in R33310, the assessment cycle should contain the following parameters. This cycle is to be run on D-1, it is the first to be run.
CO-PA Assessment cycle – KSU3
cycle CCCCBN (where the CCCC stands for the company code);
Start date 01.01.YYYY-31.12.YYYY
Text: Bonus accrual – social charges
Segment name:
Sender CC group
Segment text:
Allocation social charges R33310

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Assessment cost element: 9629200201
Sender rule: Posted amounts
Share in % (percentage of the social charges for the concerned country)
Receiver tracing factor: fixed percentages

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Check the dynamic table with the average percentage of social charges by country provided by PE HR Reporting & SC Data & Reporting Process Leader.
Senders/Receivers
Sender Cost Center Group (eg.: 0294BONUS2002_CBNR)
Cost element
6250023340
Receiver
Organization C Center proposed of the division
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Sender values

Share in % - percentage of social charges from segment header tab

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Receiver tracing factor:
100%

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PF2 PF1 - bonus cycle clearing of Y-1 bonus accrual accounts

To reflect the bonus delta in R33310, the distribution cycle should contain the following parameters.
Distribution cycle – KSV3
Codification: CCCC-BU
Start date 01.01.YYYY -31.12.YYYY
Text: Bonus accrual
Cycle run group: eg.: 02942002BU
Segment name:
Sender CC group
Segment text:
Allocation bonus to R33310


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Segment Header:
Sender rule: posted amounts;
Share in %: 100
Receiver tracing: Factor:
Fixed percentages


Senders/Receivers
Sender:
Cost Center group (eg.: 0294BONUS2002_CBNR)
Cost element:
6250023340
Receiver:
Organizational Cost Center of the division

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This distribution cycle should be run on D-1 but it will only transfer the delta from the employee cost center to the reporting division cost center. The KE30 recognition in R33310 (value field I25) will only be possible after the CO-PA cycle run on D+2, CCCCP*.

WP1

WP2 - social charges and bonus cycles


The Bonus delta transfer from the employee cost center to reporting cost centers is done via cycles. To perform it, three cycles must be run. The first and the second to allocate the social charges and the bonus delta to an unallocated cost center (assessment cycles KSU3), the third to allocate the values from the cost center to CO-PA, value filed I25 (CO-PA assessment cycle KEU3).


To reflect the employer contribution in R33310, the assessment cycle should contain the following parameters. This should be the first cycle to be run on D-1.
Assessment cycle KSU3
CCCCB1
CCCC stands for company code
Start data
From 01.01.YYYY-31.12.YYYY
Text: SC allocation to division
Assessment cost element: 99422099
Share in %: social charges %

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Sender cost center:
Organization cost center of the employee
Cost element: 98320191
Receiver cost center:
Division cost center (non-allocated)
Sender values: % of social costs

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To reflect the bonus delta in R33310, the second assessment cycle should contain the following parameters.
Assessment cycle
KSU1
CCCCB2 – delta of bonus to division cost center
Assessment cost element: 99422098
Posted amounts;
Fixed percentages


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Sender cost center:
Organization cost center of the employee
Cost element: 98320191
Receiver cost center:
Division cost center (non-allocated)
Sender values: 100%

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Assessment CO-PA cycle
KEU1KEU3
Controlling area: eg.: Z006
TF basis: 1
Allocation structure: C6
PA transfer structure: C8

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Segment name: name of the cost center
Allocation structure: C6
PA transfer structure: C8
Posted amounts
100%
Fixed percentages

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Sender cost center:
Organizational cost center of the employee
Cost element: 99422098 to 99422099
Company code: CCCC
IECRA****

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Receiver Tracing factor:
CCCC IECRA
Portion/percent
100%

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For the countries/legal entities where we have simultaneously Bonus cadres and GPS, there will be an overlapping in case we run the two CO-PA cycles. This is due to the fact that both premiums share the same assessment cost element for the social charges 99422099 Grp-Leg contr empl and the same allocation structure C6 and also the PA transfer structure C8.
For these cases, whenever running the cycles, if we are in presence of the two premiums, run the following sequence:
CCCCB1 (if social charges are applicable), CCCCB2
CCCCG1 (if social charges are applicable), CCCCG2, CCCCG3 (bearing in mind that the cost elements data as sender are range 99422097 to 99422099)

3.1.2. I create a cycles based on the other cycles

If the company had a cycle created in the last year, we can replicate the cycles to this year


PF1PF2WP!
BonusKSV1KSU1
Bonus Social ChargesKSU1KSU1
GPSKSV1KSU1
GPS Social ChargesKSU1KSU1
PSUKSV1KSU1
PSU Social ChargesKSU1KSU1
COPAnothing to be  done in PF2KEU1


31.3. I update the year date of the cycles 

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We should update of the for all the Bonus, GP and PSU

3


4.

2.

I do

something...

3.2.1. I update the Social Charges of the cycles

3.2.1.

3.2.2. Step 2 of Task 2 (I do something...)

4.I do the split of accounts 

the split of accounts (In January)

Files with the split for PF1 PF2 and WP1WP2

4.1. How to create the files 

Goal: to retrieve quickly the open amounts from Bonus cadres accounts (42900504/43900414) accounts  from the previous year and the amounts recognised recognized by HtR to be transferred to the Y-1 accounts (42900505/43900415).



PF1PF2WP1WP2
BonusCurrent year2455025000245502510042900504
Year - 142900504245502510042900505
Bonus - Social Charges Current year2455025001245502510143900414
Year - 143900414245502510143900415

9G61 - Bonus accruals

9G62 - Charges/Bonus accruals

9G66 - Bonus accruals Y-1 transf 

9G67 - Chrg/Bonus acc Y-1 transf


PF2/WP2PF1/WP1

Transaction - S_ALR_87012277

Variant - BONUS ACCRUAL


Export to a local file the data retrieved and paste it on the correspondent sheet balance 31.12.20XX

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Go to HR team site ad retrieve the Simulation/Production posting for the countries under the scope - AODoc HR- Finance 

and paste it on 9G66 and 9G67 accordingly.


 Replace in those sheets the company number:


6080


3. On the tab "Controls Sheet" you can verify the deltas, which need to be reconciled.


4.2 How to reconciled the deltas

FBL3N - to pick up the amounts from SAP 



PF1PF2WP1WP2
BonusCurrent year245502500042900504
Year - 12455025001245502510042900505
Bonus - Social Charges Current year245502500143900414
Year - 1245502510143900415


All Items 01.01.20xx to 31.1.20xx

E.g.:

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Total FBL3N = 12177.930.826823,0570

9G66 (AODocs Hr) = 14197.185.815166,9078

Delta = 119.254.979334,8508


FB01 > To split amounts 

E.g.:



Doc. date:31/01/2025

doc. type:H1

ReferenceBonus MJE

Doc. header text:MJE Bonus Split
assigment: accrual 2024504290050412,930,826.05177.823,70
assigment: accrual 2024404290050414,185,815.90197.166,78
assigment: accrual 202550429005041,254,989.8519.334,08


FBL3N> To see the amounts for the transfer of the accounts


Open items:31/12/2025
1

Change the payroll postings for the assigment "Accrual 2024"


2Sort by assigment




Amounts:

Accrual 2024125,264.881.697,21

Accrual 20251,254,989.8519.334,08


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FB01> Transfer of accounts

Doc. date:31/01/2025
doc. type:H1
ReferenceBonus MJE
Doc. header text:

MJE Bonus Transfer


4042900504125,264.881.697,21
5042900505125,264.881.697,21


F-03> Clearing of account (42900504)

 The current year accounts need to be just with the amounts of year, other amounts from previous year should be cleaned.

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This example is for WP1WP2. We need to do it for Social Charges if applicable and PF1PF2.


5. I send the communication of Bonus, GPS and PSU (in March) 

In the end of March/ beginning of April we should send this communication for all GBS Finance team.

6. Update of the Social Charges of Bonus

6.1. I update the Social Charges of the cycles

6.1.1. I confirm the average social charges to be applied

I request the list of average social charges to be applied to the HR Service Line Payroll Service Design Analysis team via email (Payroll Expert)
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6.1.2. I update the cycles accordingly with the social charges given by HtR.

In KSU2:

7. Bonus and GPS (In April)


7.1. Send email to Italy 


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7.2 Prepare the file for Bonus and GPS control 

File for the control of the Bonus and GPS.


On the Tab " Accounts balance" we should update accordingly with SAP (FBL3N > All Open Items 01.04.20xx to 30.04.: 31.03.20xx)


8. Update of the Social Charges for PSU

We should ask GAR (provisions) for this.

9. PSU (in June)

We should run the cycles.

10. I ask for the scope of the Internal Control (in September)

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11. I do the Internal Control for Bonus (in November)

We just make the adjustment for the internal control if the correction are above 5%.

Files of Internal Control PF1 PF2 and WP1WP2.






End of document.

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