다음을 통해 공유


Work with existing payroll payments

Important

This content is archived and is not being updated. For the latest documentation, see Microsoft Dynamics 365 product documentation. For the latest release plans, see Dynamics 365 and Microsoft Power Platform release plans.

Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2

This topic explains how to reprint pay statements, replace paychecks that have been lost or damaged, and do similar tasks after pay statements are generated or payments are issued to workers.

What do you want to do?

Learn more about...

Prerequisites

Print or reprint pay statements for previously processed payments

Reprint a check for a worker before the payment journal is posted

Reissue a check to a worker after the payment journal is posted

Void a check payment and reverse a pay statement

Re-create an ACH file

Technical information for system administrators

Find form help

Learn more about...

Click these links to find more information about the concepts that are discussed in this topic.

Issue worker payments

Prerequisites

The following table shows the prerequisites that must be in place before you start.

Category

Prerequisite

Version

Microsoft Dynamics AX 2012 R2 or Microsoft Dynamics AX 2012 R3 Cumulative Update 8

Country/region

(USA) The primary address for the legal entity must be in the following countries/regions: United States

Tasks

Pay statements have been generated. For more information, see Work with pay statements.

Back to top

To print or reprint pay statements for payments that were previously processed, follow these steps:

  1. Click Payroll > Reports > Pay statements.

    You can also print pay statements from the Pay statements list page and details form.

  2. In the Pay cycle field, select the pay cycle for the pay statements to print.

  3. In the Pay period field, select the pay period for the pay statements. The pay periods that are displayed are available for the pay cycle.

  4. Click OK.

Back to top

Reprint a check for a worker before the payment journal is posted

If a check was damaged when it was printed, you can follow these steps to reprint the check for a worker, as long as the payment journal hasn’t been posted:

  1. If you have permissions to change values in the Cash and bank management parameters form and you want to use the same check number, complete these tasks. Otherwise, continue to the next step.

    • Click Cash and bank management > Setup > Cash and bank management parameters.

    • In the Check setup section, select the Allow check reuse check box.

  2. Click Payroll > Periodic > Pay statement processing > Payment journal.

  3. Select the payment journal, and then click Lines to open the Journal voucher form.

  4. Select the check payment to reprint and complete these tasks:

    1. If you did the first step in this procedure, click Payment status and select Reuse to remove the check number from the bank journal.

    2. If you didn’t do the first step in this procedure, click Payment status and select Rejected. When you’re prompted, select Yes to void the check and remove the check number from the bank journal. Set the Payment status field to None.

  5. Select Functions, and then select Generate payments to generate payments that have a None status, and that match the method of payment and bank account that you selected.

  6. In the Generate payments form, select the bank account and the check method of payment, and then click OK.The Payroll check payment form opens. Verify the check number in the From field and the print destination, and then click OK to print the check.

  7. Verify that the check was printed correctly and that the payment status is set to Sent in the Journal voucher form.

Back to top

Reissue a check to a worker after the payment journal is posted

Complete these steps when check payments were generated and the payment journal was posted, but you want to reprint a check for a worker. For example, you might have to reprint a check that was lost.

To issue another check for a worker, follow these steps:

  1. Click Cash and bank management > Setup > Cash and bank management parameters.

  2. Select the check and then click Payment reversal to open the Payment reversal form.

    You can reverse only checks that have a payment status of Paid.

  3. Complete the information in the Payment reversal form, and then click OK.

  4. Click Cash and bank management > Journals > Check reversals. Select the journal that contains the reversal.

  5. From the Post menu, select Post to unsettle the original payment journal record from the invoice and create an offset transaction that will be settled to the original payment. The invoice will have an outstanding amount that hasn’t been settled.

    Note

    This process occurs automatically if the Use review process for payment reversals check box isn’t selected in the Cash and bank management parameters form.

  6. Click Payroll > Common > Pay statements > Issued pay statements.

  7. Select the pay statement, and then click Submit to reissue.

    A new payment journal is created that has the new line. An invoice isn’t created.

  8. Click Payroll > Periodic > Pay statement processing > Payment journal.

  9. Select the payment journal that was just created, and then select Lines to open the Journal voucher form.

  10. Select Functions, and then select Generate payments to generate payments that have a None status, and that match the method of payment and bank account that you selected.

  11. In the Generate payments form, select the bank account and the check method of payment, and then click OK. The Payroll check payment form opens. Verify the check number in the From field and the print destination, and then click OK to print the check.

  12. Verify that the payment status is set to Sent in the Journal voucher form.

Back to top

Void a check payment and reverse a pay statement

Sometimes you have to void a check. For example, if the payment journal was already posted, you might have to void a check that was printed for a worker who should not have been paid.

If the check or Automated Clearing House (ACH) file that contains the payment hasn’t been created, but the pay statement has been submitted or posted, you don’t have to void the payment, but you do have to reverse the pay statement. Click Payroll > Common > Pay statements > All pay statements. Then start this procedure at step 7.

If the pay statement hasn’t been submitted or posted, delete the pay statement instead of reversing it. For more information, see Work with pay statements.

To void a check and reverse the payment, follow these steps:

  1. Click Cash and bank management > Common > Checks.

  2. Select the check, and then click Payment reversal to open the Payment reversal form.

    You can reverse only checks that have a payment status of Paid.

  3. Complete the information in the Payment reversal form, and then click OK.

  4. Click Cash and bank management > Journals > Check reversals. Select the journal that contains the reversal.

  5. From the Post menu, select Post to unsettle the original payment journal record from the invoice and create an offset transaction that will be settled to the original payment. The invoice will have an outstanding amount that hasn’t been settled.

    Note

    This process occurs automatically if the Use review process for payment reversals check box isn’t selected in the Cash and bank management parameters form.

  6. Click Payroll > Common > Pay statements > Issued pay statements.

  7. Select the pay statement, and then click Reverse.

    Important

    Arrearage amounts aren’t reversed when you reverse a pay statement. If arrearages were created or recovered on the pay statement that you reverse, you must manually adjust the worker’s arrearage balance in the Worker arrears form. If an arrearage was created, the amount of the arrearage is in the Arrears FactBox. To determine whether an arrearage was recovered, use the Worker arrears form.

  8. Click Yes when you are prompted to continue. A new pay statement that has amounts that are the opposite of the amounts on the original pay statement is created, and a message displays the ID of the reversing pay statement.

    A message bar appears on the original pay statement and indicates that the pay statement was reversed. A message bar also appears on the new pay statement to indicate that it was created to reverse a pay statement. In addition, the new pay statement displays the original pay statement ID and provides an option to open the reversed pay statement.

  9. Click Payroll > Common > Pay statements > All pay statements.

  10. If the original pay statement was submitted, select the new reversed pay statement that was created, and then click Submit for payment.

    Note

    If the original pay statement was posted but not submitted, go to step 13.

  11. Optional: Select the Post the selected pay statement check box.

    Skip this step if the original pay statement wasn’t posted.

  12. Click Submit. A new invoice with opposite values is created, posted, and settled with the original invoice.

    A payment journal isn’t created.

  13. If the original pay statement was posted but not submitted, select the new reversed pay statement that was created. On the Action Pane, on the Financials tab, click Post.

  14. Don’t select the Submit for payment after posting check box. Click Post.

Back to top

Re-create an ACH file

To re-create an ACH file for a group of electronic payments when the payment journal hasn’t been posted, follow these steps:

  1. Click Payroll > Periodic > Pay statement processing > Payment journal.

  2. Select the payment journal that contains the lines to re-create the file for, and then click Lines to open the Journal voucher form.

  3. Select the lines to re-create the file for.

  4. Select Payment status, and then click None.

  5. Select Functions, and then select Generate payments to generate payments that have a None status, and that match the method of payment and bank account that you selected.

  6. In the Generate payments form, select the bank account and the check method of payment, and then click OK.

  7. In the Payroll electronic (Direct deposit) form, enter the path (which includes the file name), enter an effective date, and optionally select the Pay statement check box to print the pay statements. Click OK to create the ACH file. A message displays the number of transactions and prenotes that were created.

  8. Verify that the payment status is set to Sent in the Journal voucher form.

Back to top

Technical information for system administrators

If you don't have access to the pages that are used to complete this task, contact your system administrator and provide the information that is shown in the following table.

Category

Prerequisite

Configuration keys

Payroll - USA

Important

When you use Payroll, we highly recommend that you turn off the Payroll information configuration key under the Human resource I configuration key. The forms and tables that are enabled by that configuration key are not used by Payroll. If Payroll is installed and the configuration key is enabled, it might be difficult to make sure that your data is entered and tracked correctly.

Security roles and duties

To work with existing payroll payments, you must be a member of a security role that includes this duty:

  • Issue payments to workers (PayrollIssueWorkerPaymentsMaintain)

Security roles and privileges

To work with existing payroll payments, you must be a member of a security role that includes these privileges:

  • View worker bank accounts (HcmWorkerBankAccountView)

  • Maintain payment journal transactions (LedgerJournalPayrollDisbursementMaintain)

  • Generate posted transactions by journal report (LedgerTransPerJournalGenerate)

  • Mark the payment as confirmed for the payroll disbursement journal (PaymReconConfPayrollDisbursementProcess)

  • Set status of the payment to none for the payroll disbursement journal (PaymReconNonePayrollDisbursementProcess)

  • Mark the payment as voided for the payroll disbursement journal (PaymReconRejPayrollDisbursementProcess)

  • Mark the payment as sent for the payroll disbursement journal (PaymReconSentPayrollDisbursementProcess)

  • Submit pay statements (PayrollSubmitPayStatement)

  • Process vendor settlements (VendOpenTransProcess)

  • Generate vendor payment journal report (VendPaymentJournal_NAGenerate)

Back to top

Find form help

Journal voucher - Payroll payment journal (form)