Creating Leave Payout Timesheet
You must set up and run multiple Costpoint screens to create a leave payout timesheet.
To create a leave payout timesheet, complete the following steps:
-
On the Configure Leave Settings screen, use the
Leave Payout: Final Accrual Validation Type group box to tell Costpoint what do if an employee's final leave accrual has not been computed or posted:
- Require Final Leave Period Accrual: If you select this option, the Create Leave Payout Timesheets applications generates an error message when you attempt to pay out a leave balance for an employee/leave type where the final leave accrual has not been computed or posted for that employee/leave type combination. You cannot proceed with leave payout if the final leave accrual has not been computed or posted.
- Warn if Final Leave Period Accrual Not Computed: If you select this option, the Create Leave Payout Timesheets application generates a warning message when you attempt to pay out a leave balance for an employee/leave type where the final leave accrual has not been computed or posted for that employee/leave type combination. You have the option of continuing with the processing or discontinuing the process so that you can rectify the missing accrual.
- No Validation: If you select this option, the Create Leave Payout Timesheets application generates no warning or error message when you attempt to pay out a leave balance for an employee/leave type where the final leave accrual has not been computed or posted for that employee/leave type combination. You can select this option if you do not process accruals for a terminated employee's final leave period.
- On the Configure Leave Types screen, create a leave type for leave payout. In the Leave Payout Options group box, select the Eligible for Leave Payout Upon Termination check box and fill out the Payout Pay Type field.
- On the Employee Info tab of the Manage Employee Information screen, enter the employee's date of termination.
- Execute the Compute Leave Accruals application for the terminated employee. Review the Compute Leave Accruals report. If necessary, use the Manage Leave Edit Table screen to edit the leave accruals.
- Execute the Post Leave Accruals screen to post the leave-related accruals to the General Ledger (GL).
- On the Create Leave Payout Timesheets screen, specify the selection parameters for the L-payout timesheet and run the application process.
Parent Topic: Create Leave Payout Timesheets