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 |
| Domain: Central Finance Processes & Compliance |
Responsibility area: Coordinate Social Charges & Premium Procedures |
WHY - Describe the objective of the operation
All the companies codes listed in the BW query related to the Business Intelligence (Workforce Simplified Monthly) that are managed in PP9 Payroll environment and interfaced to PF2 and WP2 accounting systems.
See Finance Glossary:
PF2 | ERP used by the majority of entities from the Solvay legacy |
WP2 | ERP used by the majority of entities from the Rhodia legacy |
PP9 | ERP used for HtR environment |
GBU | Global Business Unit |
CGU | Cash Generating Unit |
SBS | Solvay Business Services |
SC | Service Center |
CAM | Company Accounting Manager |
EMEA | Europe, Middle East, Africa |
APAC | Asia Pacific |
LAM | Latin America |
NAM | North America |
WT | Wage type |
WHAT and HOW - Main content of the operation
The content should be mainly organized in 2 levels of Headings to ensure a proper link with the Table of Contents.
Select the level of heading in the "Paragraph" option.
I must request a list of the cost centers of expatriates in the Home country and corresponding PSU amount to HR Service LinePayroll & Perf. Services Design team.

With this information, the purpose is to reclassify manually the amount of PSU provided by HtR (should match with amount in SAP after interface from PP9), in the invoiced company codes (Host) from the expatriate GL account to the PSU account, either 6230050935 (PF2) or 98320193 (WP2). After that, assess if cycles must be run again, in order to allocate the amount to the division 59 or sweep cost center.
Regarding the social charges, the goal is to have the invoiced company code (Host) to report in R33310 the amount of social charges taking into consideration the rate used in the Home country of the impatriate. Therefore, manual postings must be booked to segregate from the expatriate GL account the amount of social charges of the Home country to the PSU, by transferring from the receiver cost center to the division 59 or sweep cost center.
Taking the information on the expatriates that will receive PSU in June, I request to the Finance Service Line SU FAC Interco to identify the cases in the HOME country, subjected to Expats invoicing. Following this, a table must be completed with the list of the invoiced companies and corresponding receiver cost centers (HOST) of the PSU invoices, as well as the Cost Element where the invoice is booked.

End of document.