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| Domain: Country Accounting |
Responsibility area: N/A |
This procedure explains how to handle the personal costs in Spain.
Based on the data in HR SAP system, on a monthly basis a payroll posting by company is generated via ALE from HR SAP systems to FI SAP system. This posting includes the payroll expenses paid but also the smoothing expenses of other payroll payments done in a yearly basis (like Extra payment of June and November, end of year premium, bonus …etc.). Additionally, this posting includes also the booking of other expenses related to personnel costs like: pension costs and insurance life premiums.
In this monthly FI posting the expenses are allocated directly to the cost center of the employee with his own primary cost elements.
This procedure describe the actions to be done on a recurrent basis in order to assess the accuracy of the Financial Statements at company level.
These actions are mainly focus on:
This procedure is valid for Spanish company 0245 - Solvay Quimica Spain.
See Finance Glossary:
On the 20th of each month, you will receive from local HR team and through Freshdesk ticket some information and files with the HR details. These files will allow the consistency check between HR and FI.
The files naming follow the same criteria each month, the month and the year the information refers to. This way, the information you may receive for use along the procedure are:
Attached to this procedure is also one excel file ES Personal Costs - Template that will help you to perform all the steps, calculations and postings required and explained through the procedure.
1st Step
Confirm that the HR posting is correctely booked in the company. To do it, check that the amounts at account level on the HR Excel Payroll file match with the posting done in SAP following the steps hereafter:
2nd Step
Go to SAP, run transaction FB03, click on "Document List" and insert the variant ES PAYROLL that is created to search in the system for all the postings done for:
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Execute it and you will obtain the list of payroll postings done in the period:
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You should double click on it to get the document overview. Then, to check the total amounts at account level change the layout to /ES PAYROLL:

3rd Step
Copy from FB03 the information related to the accounts and the amounts posted.
Paste it in the file ES Personal Costs - Template (sheet Step 3.1.1 - grey cells). This will allow you to compare step 1 (columns Debit-t and Credit –T) with step 2 at account level:
In case of differences (check different from zero):
4th Step
The final step is to go to OAOR transaction, classs name: BKPF, class type: BO and attach the excel File "ES Reconciliation HR-FI_MMYYYY" to the SAP documents (document type H0).
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Execute and after that click in object to attach the document.
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In order to do a better follow up of some personal cost operations, in some defined accounts, is necessary to split in several lines the amount posted in the general ledgers according to the HR details.
The split will be done based on the file "Soles_Posting_YYYY_MM"sent by HR department once the HR closing is performed for the following accounts:
| The purpose of this is to split the monthly amount by wage type. |
| 1) select the company that you are currently working on; |
| 2) select the year and month you are currently working on; |
| 3) you will have to confirm that the pivot table is getting the correct amounts from the sheet "E1_Account List" and retrieving all the wage types; |
| 4) Copy all the wages type from the pivot table to the correspondent account. This will prepare your posting on step 2.1.2. Repeat the same steps for accounts 2455000009, 2455005501 and 2322010000. |
So, the lines posted are the ones inside the frame - the first line of posting document is highlighted in red, the remaining are highlighted in orange: 
To each one of the postings documents created on this step 3.1.2. attach the file received on the ticket named "Soles_Posting_YYYY_MM". |
In the end for each one of that defined accounts, clear the documents with assignment YYYYMMDD (posting date of the payroll document, see step 3.1.1). The document types to be cleared are H0 and H1. If there are differences cummunicate to your local contact the figures.
If the final check is OK, go to sheet "2.1.2. Posting File", where you will find the ZZF_POSTING_FILE template filled with the posting details. In this sheet confirm that:
Afterwards should clear the accounts as explained in the previous step (H0 from HR and S1 posted to split the data).
It's important to fill all the information highlighted in the file since sheet "2.1.2. Posting File" is being feed by the information available in sheet "Step 2.1.2". |
Due to a voluntary customization of the wage types, on a monthly basis it must be checked if there are any amounts to be transferred from the account 6250000000 (estimation of personnel costs) to account 6200030000 (miscellaneous Premiums).
Using the template ES Personal Costs - Template(to be confirmed) |
We have to check if the amounts on accounts 245500009, 2455005501 and 2455003230 on FI statements at company level are the same as the ones recorded in EuHreka employee by employee at company level.
This check will be done by comparing the HR-Provision Excel File and the detail by assignment of that accounts. Finance Operations should list the open items of that accounts, summarized by company/account/assignment and compare the amounts in SAP FI with the ones on HR at wage type level, taking into account that the wage type code in HR Provisions Excel file are defined as the first 3 position of the assignment code on SAP postings.
Detailed operations:
1) We open the HR Provisions Excel file received named "E1_Provisions_CCCC_MMYY" with a format like :
Copy this information to sheet "E1_Provisions" of the ES Personal Costs - Template (to be confirmed) file.
2) Then we need to list the open items for the mentioned accounts at 31/MM/YYYY with the transaction FBL3N using variant ES-CTB02 and layout /ES-CTB01.
We will obtain a list by company/assignment as exemplified hereafter:
With this information you must will fill the table in sheet "Step 2.1.4 – table INPUT from SAP" of the ES Personal Costs - Template (to be confirmed) file and we will obtain the comparison as follows:
The table is making a comparison between the information sent by HR and the splitting done at account and wage type level.
Whenever there is a difference 3S (change 3S) should communicate the difference to Local FI by sending this file although it's usual to have differences and there are some checks that can be done before reporting to Local Finance:
3) Go to FBL3N and check the assignments - they should follow the exact codification of the file. It's easy to see if there is something wrong "612-BONUS-2012" is not the same as "612-BONUS 2012"
4) Confirm that the assignment 609-CGIQ values are compared with the addition of the values of wage type codes 609A-619A-629A; 6A6-SUPL compared with the addition of 6A6A+ 6A6P and 6I0-IPC compared with the addition of 6I0A+6I0P;
5) There are moments where we have amounts reflected in accounting referring to two different years, this happens because we are accruing something that will be paid next year. During the current year the provision assumes the code A, when the year changes and until it's paid assumes the code P thing that may generate some differences.
To resume:
For a better understanding of the analysis to be done, look to the example for wage type 6V0 - Provision Bonus+ROE:
We have the information that the wage type 6V0P is zero in HR provisions file although in accounting we have a credit balance of 438.429,24.
Analyzing the details of the posting done we can see that besides the accounting of the provision for the current month 6V0R there are also other wage types booked.
This means that there was a payment of BONUS + ROE + Rem Variable in March 2012 that concerns to 2011 and besides that there was also calculated a delta between what was accrued and effectively paid.
In this specific case the difference highlighted in the table is not real and we just need to change the assignment for those specific lines to reduce the difference:
After this final adjust a small difference remains:
This check must be done on a monthly basis since we have different payment dates for each HR accruals and even among the sites the payments can be different. For that reason is not easy and possible to have these assignments correctly filled when performing the postings through the file ES Personal Costs - Template (to be confirmed).
On D-1, 3S (change 3S) will clear the following documents lines in account 2455000000, considering the conditions below:
The following rules must be applied:
1) If there is a difference of 5 EURO or less , the documents will be cleared by posting the difference as follows :
0245 | 3454 | 5696 | |
Cost center | SQD725 | SOD850 | HKD344 |
Limit | 5,00 € | 5,00 € | 5,00 € |
If is… | Counterpart account |
Expense | 6470000000 |
2) If the difference is bigger, the assignment field of the line items should be changed to "MMYY" (where MM is the month and YY the year).
In this case no clearing should be done
There are some recurrent operations that must be posted once the payroll has been issued, the amount of this operations are detailed in the HR Payroll Excel file.
3S (change 3S) must search in that file the amounts related to the following wage types and should create a posting using FB01 as follow:
CC | Wage Type | Debit Account | Credit Account | CO Object Acc 6 * or 7* | Text |
5696 | 3311 | 2416220000 | 7440000000 | ORD 3559000164 | Recuperación Comedor MM |
5696 | 6542 | 2416220000 | 2416220000 | - | Recuperación Seguro colectivo vida MM |
5696 | 7511 | 2416220000 | 7440000000 | ORD 3559000047 | Recuperación Vivienda MM |
5696 | 7543 | 2416220000 | 2456000000 | - | Recuperación Seg. Accidentes MM |
5696 | 7551 | 2416220000 | 2456000000 |
| Recuperación Seg. Accidentes MM |
5696 | 7557 | 2416220000 | 2456000000 |
| Recuperación Seg. Accidentes MM |
245 | 7543 | 2416220000 | 2456000000 | - | Recuperación Seg. Accidentes Suria MM |
245 | 3311 | 2416220000 | 7440000000 | ORD 1059001861 | Recuperación Comedor MM |
245 | 3312+3314 | 2416220000 | 7440000000 | ORD 2011000204 | Recuperación Comedor MM |
245 | 7511 | 2416220000 | 7440000000 | ORD 2059000073 | Recuperación Vivienda MM |
245 | 7551 | 2416220000 | 7440000000 | ORD 2059000010 | Recuperación Seguro MM |
245 | 3134 | 2416220000 | 7440000000 | ORD 2011009727 | Consumo SAL MM |
245 | 3135 | 2416220000 | 2971 | '- | Consumo Prod. SOLVAY MM |
Using the template ES Personal Costs - Template (to be confirmed) |
This step will be done once a year on March, D+15.
The accrued estimations related to Bonus of year N posted on account 625000000 should be reversed on year N+1 on the account 6251000000 at company level. The posting date of the estimations should be link to the payment of the expenses estimated , but as the amounts are known since the closing of the year N , we will define that the postings will be performed at the same entry date ( March D+15 ):
1) To prepare the posting we will use the data obtained running the transaction FBL3N, variant ES-CTB02 and layout /ES-CTB01, for open line items in posting period 31/12/Y-1.
We will obtain a list by company/assignment as :
2) Only for assignments 6VO we will perform a posting as follows :
Cost centers by company:
Company Code | Cost center |
0245-Solvay Quimica | SQ80000080 |
3454-Solvay Iberica | SO80000080 |
5696-Hispavic Iberica | HK80000082 |
Posting and document date:
Assignment Code | Posting /Document Date |
6VO*** | 31/MM/YYYY |
In that step we post some revenues collected from Solvay Iberica employees for which the source of the information are files named "E1_xxx_witholding_MMYY.xls".
The files will contain several amounts splitted by wage type. Each wage type will mean a line on the posting and we explain the posting to be done in function of the name of the file.
We receive a file like the following, if we display the file we see the following information:
We will create on company 0245 a posting with transaction FB01, document type S1 and posting / document date end of month and take the assignment model ES0245-001.
The following operations should be done:
1) Change the amounts retrieve from the assignment model and replace it by the ones of the file taking as a key the column " CC Nomina " from the file and the first four position of the field " Text " of the posting;
2) Change on the posting document the values MM ( month ) and YY ( year ) by the ones of the posting date;
3) Record in the last line number the total amount indicated in the file (by this way in case of any mistake on the previous updated amounts the posting will be unbalanced );
4) Enter base line date (end of month) for posting in account 2416220000.
In case other wage types appear in the HR file and are not mentioned in the posting to be performed please inform Local finance. |
The following display show the operations described above.
Finally post the intercompany document.
We receive a file like the following, if we display the file we see the following information:
CC-nómina | Texto expl.CC-nómina |
| Ctd. |
| Importe | Mon. |
|---|---|---|---|---|---|---|
|
|
|
|
|
|
|
3311 | Comedor |
| 21 |
| -43,47 | EUR |
6542 | Seg.colectivo vida |
| 0 |
| -72 | EUR |
7551 | Seguro colectivo Acc. |
| 0 |
| -191,29 | EUR |
|
|
|
|
|
|
|
* |
|
| 21 |
| -306,76 | EUR |
|
|
|
|
|
|
|
We will create two excel file posting with that information: one in company 3454 and another for company 5696.
Use the following Excel file model and update the fields (in red):
Post the document with the transaction ZZF_POSTING_FILE.
See an example of the Excel posting file :
In case other wage types appear in the HR file and are not mentioned in the posting to be performed please inform Local finance. |
We save the file and create a ticket to 3S (change 3S) AP in order to post the file.
We open the attached field:
and replace:
In the production companies of Martorell ( 5696 ) there is a need to transfer the Kilometers expenses posted through the payroll process from the cost center to a defined orders. This should be done each month posting the following CO Posting.
Reference doc. 201790821 (4/2011).
But before post it, is necessary to check if the amounts by company and by cost center has been changed from the last update of the file.
For that reason, each month should be compared the amounts posted in FI-GL on account 6141030000 and document type H0 (dynamic selections) with the amounts on the file (use the transaction FBL3N, layout /MA_KM_2.1.9).
For Company 5696 sender Cost center is MH* or HK*.
For Company 0303 sender Cost center is HR*.
Copy from SAP the cost centers and the respective amount into sheet 3.1.9 in Macro ES Payroll.
In case of any difference (delta column), send the Excel file to CTB-Martorell asking to update it.
In case of new cost center with the amount in SAP please contact Local accountant through e-mail: ctbmartorell@solvay.com
For SOLVIN, company 5696, the cycle MA0210 must be launch using transaction KSV5.
For SOLVA IBERICA, company 3454, the cycle SO0210 must be launch using transaction KSV5.
For SOLVAY QUIMICA, company 0245 the following must be done:
At February 2014 it was booked the yearly provision correspondent to the PLUSACTIVIDAD in company 0245. This amount must be manually allocated to the corresponding cost centers during 2014.
We need to take the amounts in column "Importe Mes", and book these amounts manually on a monthly basis.
You can see in the file the detail of CECO and the general account must be 6200000000.
You can use document number 5010014372/0245 as reference, just change the vase number and the month.
On a monthly basis, we will receive from HR local team an Excel file with the details of wage types /352 and PA20 (Freshdesk ticket) description 0245_CCN / 352 y PA20 MMYYYY).
We will take this information, prepare the booking and perform the necessary postings in accounting taking the attached file as a template.
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