Sunday, May 20, 2012

Demystifying GP Tables and Transaction Flows

    

Table Names and Transaction Flow

WORK to OPEN to HISTORY


This article started (as so many do) from a question posted on the newsgroup about how data flows through the system and how you can figure out what the tables contain. I did a little research and concluded there wasn’t any summary of data flow and table conventions available. This post is a result of that research.

Tables – what’s in a name?

First, a short explanation of table names is in order. Each table has three names. Sometimes they are the same, but most of the time they are different. The Dexterity programmer determines the names for the tables. The three different table names are:
  1. Technical Name
  2. Display Name
  3. Physical Name

Technical Name

The Technical Name is the name used by the Dexterity programmers in Dexterity code. You will often see the Technical Name in error messages such as:

A Get/Change Operation on table 'UPR_Year_End_WORK_HDR'failed accessing SQL data.

In the above error message, 'UPR_Year_End_WORK_HDR' is the Technical Name for the Payroll Year End Header table.

Display Name
The Display Name is also known as the ‘friendly name’. Display Names use whole words with spaces between them. Display Names protect the user from needing to translate Technical Names or Physical Names into real words. You see Display Names when you are working with a tool that is normally used by the end user. Tools such as SmartList Builder, Excel Report Builder and Report Writer use Display Names.

The screenshot below shows a list of Display Names on the Add Table window of SmartList Builder:
 
Physical Name

The Physical Name is the name seen by the database. Any type of error at the SQL level, for instance, will use the Physical Name. The error message below uses the Physical Name:
 

Also, if you launch the Microsoft SQL Server Management Studio application you will see the Physical Names of the tables. The screen shot below shows you how the table names appear in the Microsoft SQL Server Management Studio.
 
Most of your independent reporting tools, like Crystal Reports, use Physical Names.
 

Tables –naming convention for physical tables

A client recently told me that they were very confused by the table names of the Dynamics GP tables. I’m so used to those legacy table names that I don’t appreciate what a wonder it must be for a new user trying to write reports or follow the data flow.

In fact, any class I train that involves pulling data from tables (Extender, SmartList Builder, Excel ReportBuilder, ListBuilder, Report Writer, SSRS, Crystal Reports, etc.) sooner or later results in the question “How do we know which table to use?”. This query spawned the on-line class I developed for GPUG (Great Plains User Group) entitled “Finding the Dynamics GP Data you Need”
So, what do the table names mean? The old table names were limited to eight characters; remember it was the late 1980’s when this was being developed. The field names were also limited to eight characters.
 
In order to bring some sanity to that eight-character limitation, a pretty straightforward naming convention was created. This convention was followed religiously for the modules actually written by Great Plains vs. those that were acquired from other developers.
 
I actually think it’s a very good naming convention for the Dynamics GP data tables. This is only a convention, however. It is followed by the Great Plains programmers pretty diligently, but not so much by 3rd party developers.
 
Here are the basics, the first 2 or 3 characters will indicate the module name, and the numbers indicate the type of table.
 
Some of the more popular module abbreviations are in the table below.


Prefix
Module
GL
General Ledger
AF
Advanced Financial Analysis
PM
Payables Management
RM
Receivables Management
SOP
Sales Order Processing
POP
Purchase Order Processing
IV
Inventory
IVC
Invoicing (NOT SOP)
UPR
US Payroll
CM
Cash Management (Bank Rec)
LK
Linked Transactions
ME
EFT
PA
Project Accounting
FA
Fixed Assets
AA
Analytical Accounting
DTA
Multi-dimensional Analysis *
SY
System or Company
AHR
Advanced HR
HR
Human Resources
BM
Bill of Materials
DD
Direct Deposit
EXT
Extender
MC
Multicurrency
SVC
Field Service
ASI
SmartList Favorites
ERB
Excel Report Builder
EXT
Extender
SLB
SmartList Builder
CPY
Canadian Payroll **
PDK
Personal Data Keeper **
 
 
*
Thanks to Victoria Yudin
**
Thanks to Beat Bucher
 
After the module abbreviation is a five character (normally 5 characters) number that indicates the table type.
 
Knowing what these numbers stand for will help you zero in on the correct table. The table below sets out the numbering convention for the table types.
Table Number
Table Type
00000
Master Tables
10000
Work Tables
20000
Open Tables
30000
History Tables
40000
Setup Tables
50000
Temp Tables
60000
Relation Tables
70000
Report Options Tables
80000
Posting Journal Reprint Tables
90000
Mixed bag – no standard type
 
Master Tables (00000) are mostly what you find under the ‘Cards’ area. These are your Customers, Vendors, Inventory Items, GL Accounts and the like. For instance, the information you see on the Customer Maintenance window is stored in the RM Customer MSTR or RM00101 table.
 
Work, Open and History (10000, 20000 and 30000) These tables are explained in the next section of this document.
 
Setup Tables (40000) include choices you have made to initiate a module. For instance, the information entered on the Payables Management Setup window is stored in the PM Setup File or PM40100 table.
 
Temp Tables (50000) are tables that are used temporarily by the system and the records in those tables can normally be deleted without issue. For instance, the Net Profit Temporary table or AF50000 is used by the Advanced Financial Analysis module to hold the Net Profit amount that will be used on one of the statements. Once the statement has been printed, the number is irrelevant.
 
Relation or Cross Reference Tables (60000) are tables that are used to store information that spans more than one module. For instance, the SOP/POP Link table (SOP60100) holds the information about POP documents linked to SOP documents.
 
Another example is the Sales Customer Item Cross Reference (SOP60300). This table reflects the information as to how customer item numbers relate to regular item numbers. There are not that many tables in the 60000 range.
 
Report Options Tables (70000) contain all of the information you enter in any of the report options windows. The image below comes from the Payables Trial Balance Report Options window (PM70500).

 

Posting Journal Reprint Tables (80000) contain all of the information you need to reprint your posting journals. So don’t feel like you MUST print all of those reports. They are here waiting for you should you ever need to reprint them.
 
Miscellaneous Tables (90000) this group is a mixed bag of information. The table below contains the Display Names of several 90000 tables.
 
Physical Name
Display Name
CM90000
CM Transmission Log
CM90001
Checkbook EFT Log
CN90000
Collections - User Preferences
ERB90100
Data Connection Products
ERB90200
Data Connection Series
ERB90300
Data Connections
ERB90400
Data Connection Restrictions
ERB90450
Data Connection Restriction Values
ERB90500
Data Connection Security
EXT90101
Product List
EXT90101
Resource Cache - Product List
EXT90102
Product Series List
EXT90102
Resource Cache - Product Series List
EXT90103
Form List
EXT90103
Resource Cache - Form List
EXT90104
Window List
EXT90105
Report List
EXT90106
Resource Cache - Table List
EXT90106
Table List
PA91301
PA Contract Segment Override Header
PA91304
PA Contract Segment Override Detail
PA92301
PA Contract Template Seg Override Header
PA92304
PA Contract Template Seg Override Detail
PDK90003
PDK File Error Log
PDK90100
PDK Security
PP900000
Deferral Opened Periods
PTO90000
PTO Pending Master Conversion
SE90001
Account Rollups Account List Accelerator
SE988977
Account Rollups Options Columns
SLB90000
Third Party GoTo Types
SY90000
SY_User_Object_Store (Dynamics User Object Store)
SY90100
Default Chart of Accounts
 
There are, of course exceptions even within the Dynamics.dic dictionary. Additionally, the DYNAMICS database has its own naming scheme. So now you know; if you were looking for the customer master table, you would start with the RM00*** table and go from there.

Victoria Yudin has some fantastic information on the popular tables from each module. If you are creating reports, or crafting SQL queries, it is information you can use http://victoriayudin.com/gp-tables/.

Victoria also has some very helpful SQL queries available for you to download.

Let’s move on to our WORK/OPEN/HISTORY discussion
 
Data Flow (WORK, OPEN and HISTORY progression)
I put together this document attempting to address the progression of transaction data for the following modules:
·         GL (Financial – general ledger journal entries)
·         CM  (Bank Transactions)
·         RM (Receivables Management – A/R transactions)
·         PM (Payables Management – A/P transactions)
·         SOP  (Sales Order Processing)
·         POP (Purchase Order Processing)
·         Invoicing (Basic invoicing, nothing to do with SOP)
·         Inventory
 
Dynamics GP transactions typically have three states:
  1. Unposted
  2. Posted
  3. Historical
    These different states determine, to a large degree, whether the data is in the WORK, OPEN, or HISTORY table.
     
What causes the information to move through these tables varies. The progression is not consistent across modules and it’s easy to get bewildered trying to figure it out.
 
Below you will find a short summary of how the data moves through these tables. Also included under each section is a list of the more common tables for that module’s WORK, OPEN and HISTORY tables. The lists are not comprehensive, but they’ve captured the major tables.

GL (financial– general ledger)

WORK
Unposted GL Transactions
 
Table Number
Description
GL10000
Transaction WORK
GL10001
Transaction Amounts WORK
GL10002
Transaction Clearing Amounts WORK
GL10100
Quick Journal WORK
GL10101
Quick Journal Amounts WORK
GL10300
General Ledger Tax WORK
GL12000
Budget Transaction WORK
GL12001
Budget Transaction Amounts WORK

A transaction lives in the Transaction WORK table before it has been committed to the ledger. You can still edit or delete a transaction when it is in the WORK tables.
 
OPEN
Posted GL Transactions
Table Number
Description
GL20000
Year-to-Date Transaction OPEN

Once a transaction is posted, it is committed to the ledger. The header information is added to each line such that each leg of the journal entry is a complete record. The posted transaction moves to the transaction OPEN table. For GL, each record in the OPEN table represents a single leg of the journal entry.
 
HISTORY
Transactions from a closed year
Table Number
Description
GL30000
Account Transaction HISTORY
GL32000
Budget Transaction HISTORY

Until the year closes all of the GL transactions are in the Year-to-Date Transaction OPEN table (GL20000).  I don’t mean when the year ends, but rather after the year-end closing routine is done. After the closing routine, the posted transactions move to the transaction HISTORY table (GL30000). You cannot move them back to the OPEN table after the year end closes. In addition, you cannot ‘unpost’ a transaction and move it back into the WORK table.
 
As with all rules, there are exceptions. Here's one. Using the Fiscal Periods Modifier tool in the Professional Services Tools Library you can indeed open a previously closed year. However, the data does not move from the Account Transaction HISTORY table (GL30000) over to the Year-to-Date Transaction OPEN table (GL20000).

CM (Bank Transactions)

WORK
Unposted Deposit Transactions


Table Number
Description
CM10100
Deposit header information
CM10101
Each item to be deposited
ECM10003
ECM_Committed_Detail
ECM10002
ECM_CPO_Inquiry
ECM10001
ECM_Inquiry
ECM10110
ECM_Line_Ctrl
ECM10005
ECM_ReqItemList
 OPEN
Posted Bank Transactions
Posted Deposit Transactions
Reconciliations


Table Number
Description
CM20203
Checkbook EFT Transaction Batch
CM20202
Checkbook Transaction Electronic Funds Transfer
CM20400
CM Distribution
CM20100
CM Journal
CM20300
CM Receipt
CM20501
CM Reconcile Adjustments
CM20500
CM Reconcile Header
CM20200
CM Transaction
CM20201
CM Transaction Totals
CM20600
CM Transfer
 
HISTORY
There is no HISTORY table

PM (Payables Management – A/P transactions)

WORK
Unposted PM Transactions


Table Number
Description
PM10100
PM Distribution WORK OPEN
PM10200
PM Apply To WORK OPEN File
PM10100
PM Distribution WORK OPEN
PM10400
PM Manual Payment WORK File
PM10201
PM Payment Apply To WORK File
PM10300
PM Payment WORK
PM10500
PM Tax WORK File
PM10000
PM Transaction WORK File
OPEN
Posted PM Transactions
Posted Purchasing Invoices
 


Table Number
Description
PM10100
PM Distribution WORK OPEN
PM10200
PM Apply To WORK OPEN File
PM10100
PM Distribution WORK OPEN
PM20401
PM Scheduled Payment LINE
PM20400
PM Scheduled Payments Header
PM20000
PM Transaction OPEN File

Posted transactions stay in the OPEN table until they have been fully applied. OPEN means there is still an amount outstanding. If you write a check that partially pays an invoice, that invoice would remain in the OPEN table. The check, however, if its entire balance was applied, would move to the HISTORY table.
                
HISTORY
Posted, Fully Applied, or Voided PM Transactions


Table Number
Description
PM30300
PM Apply To HISTORY File
PM30600
PM Distribution HISTORY File
PM30200
PM Paid Transaction HISTORY File
PM30401
PM Scheduled Payments Header HISTORY
PM30700
PM Tax HISTORY File
PM30800
PM Tax Invoices

Transactions automatically move to HISTORY when the document becomes fully applied (a transaction is a check, credit memo, invoice, etc.) For a check or credit memo, fully applied means the entire balance of the check or credit memo has been matched to an invoice. For an invoice, it is when the balance is fully paid off (or written off), or a credit memo takes the balance to zero. Voiding a document in the OPEN table will automatically move the voided document to HISTORY.

Documents in HISTORY can also be voided thereby moving them back to the OPEN table. Documents cannot be 'unposted' and moved back to the WORK table. Likewise, documents cannot be “unvoided” and moved back to the OPEN table.

RM (Receivables Management - A/R Transactions)

WORK
Unposted RM Transactions


Table Number
Description
RM10201
RM Cash Receipts WORK File
RM10501
RM Commission WORK File
RM10101
RM Distribution WORK File
RM10301
RM Sales WORK File
RM10601
RM Tax WORK File
 
OPEN
Posted RM Transactions
Posted SOP Invoices
Posted SOP Cash Receipts
Voided RM Transactions


Table Number
Description
RM10101
RM Distribution WORK File
RM20201
RM Apply OPEN File
RM20101
RM OPEN File
RM20400
RM Scheduled Payment Header
RM20401
RM Scheduled Payment Line
 
HISTORY
Posted and Fully Applied Receivables Transactions


Table Number
Description
RM30501
Commission HISTORY
RM30301
Receivables GL Distribution HISTORY
RM30201
RM Apply HISTORY File
RM30502
RM Batch HISTORY
RM30101
RM HISTORY File
RM30401
RM Scheduled Payment Header HISTORY
RM30601
RM Tax HISTORY File

Unlike PM transactions, RM transactions do NOT automatically move to HISTORY. You need to run the 'Paid Transaction Removal' routine in order to move the fully applied transactions to HISTORY. Nothing automatically moves to HISTORY, not voids, not write-offs, not payoffs, nothing. Only 'fully applied' documents will be moved via the 'Paid Transaction Removal' routine.
Therefore, if you still have a balance on an invoice, it stays in the OPEN table. If a credit memo or receipt has not been matched up to an invoice, it will stay in the OPEN table. To get it out of the OPEN table and move it to HISTORY, run the 'Paid Transaction Removal' routine. The fact that the customer's net balance is zero does not impact whether or not the document moves to HISTORY.

When you run the Paid Trx Removal you specify a cutoff date that applies to:
     ·         NSF checks
     ·         Voided documents
     ·         Waived (finance charges)
     ·         Paid Transactions

You specify a separate date for:
     ·         Checks

Once RM transactions are moved to HISTORY - they cannot be voided thereby moving them back to OPEN. This is why the checks have a separate date - what if they bounce!
 
Documents can be 'unapplied' only while they are in the OPEN table, not after they have been moved to HISTORY. For instance, if you applied a cash receipt to the wrong invoice, you can change it to the correct invoice only if it has not been moved to HISTORY. Documents can be voided only while they are in the OPEN table. Voided documents stay in the OPEN table until they are moved to history via the 'Paid Transaction Removal' routine. You cannot void a document in the HISTORY table.
 
But here’s one HUGE exception.  Using the Professional Services Tools Library (PSTL) you can indeed “unapply” an amount from a document in HISTORY.  If, for example, an invoice had been completely paid off and moved to history and then you realize the cash was applied to the wrong invoice. Using the (PSTL) tool you can ‘unapply’ the cash thereby moving both the cash receipt and the invoice back into the OPEN table.
 
Once you have the documents back in the OPEN table you can apply the check to the correct invoice, void the document, write off the document or do anything else you can ordinarily do with an OPEN document.

SOP (Sales Order Processing)

WORK
Unposted SOP documents


Table Number
Description
SOP10100
Sales Transaction WORK (SOP Header)
SOP10200
Sales Transaction Amounts WORK (SOP Line Items)
SOP10102
Sales Distribution WORK and HISTORY (Debits and Credits)
SOP10202
Sales Line Comment WORK and HISTORY (Comments on Line Items)
SOP10101
Sales Commissions WORK and HISTORY
SOP10203
Sales Order Bin Quantities WORK and HISTORY
SOP10103
Sales Payment WORK and HISTORY
SOP10201
Sales Serial/Lot WORK and HISTORY
SOP10105
Sales Taxes WORK and HISTORY
SOP10106
Sales User-Defined WORK HISTORY

An unposted document includes not only Invoices and Returns, but also Quotes, Orders and Backorders.
 
OPEN
There is no OPEN file

When a SOP document is posted, the transaction moves to the RM OPEN table and the SOP document moves to the SOP HISTORY table. Only Invoices and Returns can be posted. The posted SOP document becomes an open receivable (or credit) in the RM OPEN table.
 
HISTORY
Posted SOP Invoices or SOP Returns
Voided SOP Documents
Orders whose items have been fully transferred to other documents
Quotes that have had any item transferred to another document
Backorders that have been fully transferred to other documents


Table Number
Description
SOP30200
Sales Transaction HISTORY (Header information)
SOP30300
Sales Transaction Amounts HISTORY (Line item information)
SOP30201
Sales Deposit HISTORY
SOP10102
Sales Distribution WORK and HISTORY (Debits and Credits)
SOP10202
Sales Line Comment WORK and HISTORY (Comments on Line Items)
SOP10101
Sales Commissions WORK and HISTORY
SOP10203
Sales Order Bin Quantities WORK and HISTORY
SOP10103
Sales Payment WORK and HISTORY
SOP10201
Sales Serial/Lot WORK and HISTORY
SOP10105
Sales Taxes WORK and HISTORY
SOP10106
Sales User-Defined WORK HISTORY

SOP invoices and returns automatically move to HISTORY as soon as they are posted. For documents that do not automatically transfer to HISTORY, run the 'Reconcile-Remove Sales Documents' utility to move them.
 
The following documents cannot be posted:
·         Quotes
·         Orders
·        Backorders

POP (Purchase Order Processing)

WORK
Any Purchase Order document that has not been moved to history


Table Number
Description
POP10100
Purchase Order WORK
POP10110
Purchase Order Line
POP10300
Purchasing Receipt WORK
POP10310
Purchasing Receipt Line
POP10150
Purchase Order Comment
POP10160
Purchase Order Tax
POP10340
Purchasing Bin Quantities WORK
POP10550
Purchasing Comment
POP10390
Purchasing Distribution WORK
POP10700
Purchasing Landed Cost
POP10140
Purchasing Manufacturer Numbers
POP10500
Purchasing Receipt Line Quantities
POP10306
Purchasing Receipt User-Defined
POP10330
Purchasing Serial Lot WORK
POP10600
Purchasing Shipment Invoice Apply
POP10360
Purchasing Tax

OPEN
There is no open file
 
HISTORY
Posted Receipts automatically move to history
Posted Purchasing Invoices automatically move to history
Voided Purchasing Documents automatically move to history
Closed Purchase Orders
Cancelled Purchase Orders


Table Number
Description
POP30100
Purchase Order HISTORY (PO Header)
POP30110
Purchase Order Line HISTORY (PO Line Items)
POP30300
Purchasing Receipt HISTORY (Receipt Header)
POP30310
Purchasing Receipt Line HISTORY (Receipt Line Items)
POP30160
Purchase Order Tax HISTORY
POP30000
Purchasing Batch HISTORY
POP30340
Purchasing Bin Quantities HISTORY
POP30390
Purchasing Distribution HISTORY
POP30700
Purchasing Landed Cost HISTORY
POP30330
Purchasing Serial Lot HISTORY
POP30360
Purchasing Tax HISTORY

Posted Receipts, Posted Purchasing Invoices and Voided Purchasing Documents automatically move to history. You must run the Purchasing Routine 'Remove Completed Purchase Orders' to move all of the closed or canceled POs to HISTORY. If a PO is not closed or canceled it will not be moved, so there is no danger of moving a PO that doesn't qualify. You can set restrictions on which POP documents are examined for removal. It is not an ‘all or nothing’ kind of routine.

IVC (Basic Invoicing – not SOP)

WORK
Unposted Documents


Table Number
Description
IVC10400
Invoicing Commissions
IVC10300
Invoicing Distributions
IVC10103
Invoicing Line Comments
IVC10200
Invoicing Payments WORK
IVC10102
Invoicing Serial and Lot Number WORK
IVC10500
Invoicing Taxes
IVC10101
Invoicing Transaction Amounts WORK
IVC10100
Invoicing Transaction WORK
 
OPEN
There is no open file (posted transactions update receivables, like SOP)
 
HISTORY
Posted Invoices
Posted Returns


Table Number
Description
IVC30102
Invoicing Transaction Amounts HISTORY
IVC30101
Invoicing Transaction HISTORY
IVC10400
Invoicing Commissions
IVC10300
Invoicing Distributions
IVC10500
Invoicing Taxes
IVC10103
Invoicing Line Comments
IVC10102
Invoicing Serial and Lot Number WORK

Invoices and Returns automatically move to the HISTORY table when posted. Like SOP, when and invoice or return is posted, the customer transaction record moves into the RM OPEN table. The transaction, therefore becomes an open receivable or credit.

IV (Inventory)

WORK
Unposted Adjustments
Unposted Variances
Unposted Stock Counts
Unposted Transfers
 
Table Number
Description
IV10004
Inventory Bin Quantity Transfer
IV10201
Inventory Purchase Receipts Detail
IV10200
Inventory Purchase Receipts WORK
IV10002
Inventory Serial and Lot Number WORK
IV10001
Inventory Transaction Amounts WORK
IV10003
Inventory Transaction Bin Quantities WORK
IV10000
Inventory Transaction WORK

OPEN
There is no open file
 
HISTORY
Posted Transactions
 
Table Number
Description
IV30500
Inventory Distribution HISTORY
IV30300
Inventory Transaction Amounts HISTORY
IV30100
Inventory Transaction Batch HISTORY
IV30302
Inventory Transaction Bin Quantities HISTORY
IV30301
Inventory Transaction Detail HISTORY
IV30200
Inventory Transaction HISTORY
IV30600
Item Lot Attribute HISTORY
IV30400
Item Serial and Lot Number HISTORY
 
Inventory transactions are automatically moved to history when posted.

That's it! Please let me know of any adjustments you think I need to make to this.
 
Until next post!
 
Leslie

Thursday, February 2, 2012

Change the name of the SQL Server

 

Sometimes it comes up that we need to change the name of the SQL Server. Below is a quick and dirty checklist on how to accomplish this task. I feel certain there are several iterations of this all over the Internet – now there is one more .

not a science project

 

1. Open SQL Server Management Studio and click New Query.

2. Type Select @@ServerName to find out the current server name. In our example, we’ll be changing the server name from RKF to REH.

3. Next, type sp_dropserver ‘RKF’

4. You are now ready to add the correct name by typing sp_addserver ‘REH’.

5. Stop sql server and the sql server agent by opening a command prompt and typing net stop mssqlserver.

6. Restart SQL server by typing net start msssqlserver.

7. Restart SQL server agent by typing net start sqlserveragent.

8. Click New Query in SQL Server Management Studio and type select @@servername to verify everything is correct and you have successfully changed the sql server name.

Until next post!

Leslie

Thursday, January 26, 2012

Refunding Over withheld FICA

I’m getting more and more questions trickle in regarding how to ‘fix’ payroll when you’ve over withheld on FICA.

This problem came about mostly because the first release of the 2012 tax tables put employee FICA back to 6.2%. As you all know, recent legislation kept the employee rate at 4.2%.

Well, for you early adopters out there, you may have a problem.

This blog article includes a proposed series of steps you can take to resolve the issue of having over withheld FICA the extra 2% that was part of the first release of Release 1 of the 2012 tax tables.

You have two problems when you Over withhold FICA (or any tax).

First problem: You need to give the employee back the money and correct his payroll summary to reflect the correct FICA. This fix assumes the percentage was wrong; it does not include the added complication of FICA wages being wrong. Meaning that you included an amount in FICA wages that you shouldn’t have

Second problem: Fixing the employee’s tax record in GP so it properly reflects the amount of FICA tax withheld.

Problem 1: Fixing the Employee

1) Set up a new pay code (or use an existing) with the pay type of ‘Business Expense’. Uncheck all of the ‘Subject to Taxes’ boxes and make sure the ‘Report as Wages’ box is not checked
clip_image001

2) Assign this Pay Code to the employee needing the refund, accept the company defaults. Be sure the Workers’ Comp Code is blank.
clip_image002

3) Enter a payroll transaction for the employee needing a refund and use the Business Expense pay code you set up in step (1). Make sure no taxes are calculating.
clip_image004

4) Close the batch and build the check(s). Make sure:
a) No automatic pay types are checked
b) You have included the pay period that you put on the employee pay code
c) No deductions are included (check it, don’t presume)
d) No benefits are included (check this too)
e) Don’t forget to select the batch you just created
clip_image006

5) Select ‘Build’ when you are happy with the settings.
6) Check your Build report for errors – you shouldn’t have any.
7) Calculate checks from payroll transactions menu
clip_image007

8) Print the checks and post the batch.
9) Make sure NO other entries are on the report except for the amount paid the employee. There should be NO TAX, NO BENEFITS, NO DEDUCTIONS.

The employee should be fixed at this point as far as getting their money back, now to deal with the FICA tax record.

Problem 2: Fixing the Employee FICA withheld amount.

1) You will use the Payroll Manual Check window to adjust the tax.
2) DO NOT enter a batch ID for this transaction.
3) Select the Transaction Type as FICA Soc Sec Tax, the Code FICASS should appear on the window.
4) Enter the amount that you refunded the employee AS A NEGATIVE NUMBER in the amount box.
5) We aren’t doing anything to Taxable Wages, so leave that field blank.
clip_image009

6) Save the transaction and make sure the Net Amount is the amount that was over withheld.
clip_image010

7) Post the entry – remember no batches!
8) Watch your Distribution accounts and checkbook register because those may have to be adjusted, depending on your settings

Good luck with it.

There are probably other ways to do this and I invite your comments. This is the way we have been doing it.

Kind regards,

Leslie

Management Reporter 2012–more info 1

First, the blog that tells all on what is currently public on Management Reporter 2012.

http://blogs.msdn.com/b/dynamicscpm/

Remember that I said there was more! My good friend and fellow MVP Mariano Gomez is trying to get the fine folks at Microsoft to let us wow you by letting us talk about ALL of the planned features instead of trickling them out one at a time.

This new release is big. It’s time to start making plans to convert to Management Reporter and say goodbye to our good friend FRx.

Leslie

Management Reporter 2012 Rocks!

 

It’s time to put FRx out to pasture and welcome Management Reporter with open arms!

Heretofore I have not been carrying the flag for Management Reporter, but I just saw some stuff today that blows the doors off of what it can do. Management Reporter has come of age!

I’ll be sharing more details as soon as I find out which ones I can share, but there are more features coming that have not been advertised. Stay tuned, Management Reporter 2012 is a must.

It’s so good that it would be worth it to go to Convergence just to learn about Management Reporter 2012. Since its targeted release date is date Q1 2012 – that puts it in prime time for Convergence.

More to come, but just know that so many things you wanted it to do it WILL!

Until next post!

Leslie