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| academy:calendar:monthlyactivities [2019/07/03 18:26] – emoreno | academy:calendar:monthlyactivities [2025/06/02 16:34] (current) – emoreno | ||
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| <WRAP box> | <WRAP box> | ||
| - | In addition to the tasks identified | + | In addition to the tasks listed |
| </ | </ | ||
| - | VCV [[academy:business_overview_guide_bankreconciliation|Bank Reconciliation]] | + | VCV [[academy:business_bankreconciliation_setupandrunbankrecon|Bank Reconciliation]] |
| - | \\ | + | \\ |
| - | VCV [[academy:business: | + | VCV [[academy:business_payroll_personnel_newemployeesetup|New Employee Setup]] |
| - | \\ | + | \\ |
| - | VCV [[academy:business: | + | VCV [[academy:business_payroll_trsreportingprocess|TRS Processing]] |
| - | \\ | + | \\ |
| - | VCV [[general:checklists: | + | VCV [[academy:business_payroll_processpayroll|Process |
| - | \\ | + | \\ |
| - | VCV [[academy:business_overview_guide_payroll_liability_wire_transfers|Payroll Liability Wire Transfer Transactions]] | + | VCV [[academy:business_payroll_payrollliabilitywiretransfers|Payroll Liability Wire Transfer Transactions]] |
| - | \\ \\ | + | \\ |
| - | VCV [[academy:business:overview_guide: | + | VCV [[academy: |
| + | \\ | ||
| + | VCV [[general:checklists:endofmonthclosingchecklist|End-of-Month Closing Checklist]] | ||
| \\ \\ | \\ \\ | ||
| ^Application(s)^Task^ | ^Application(s)^Task^ | ||
| - | ^Finance| | + | ^Bank Reconciliation|{{page> |
| - | + | ^Finance|{{page> | |
| - | ====== HR ====== | + | ^Payroll & Personnel|{{page>general: |
| - | + | ||
| - | VCV New Hire Reporting – generate [[humanresources:reports:hrreports:personnelreports:newhirereport|Human Resources > Reports > HR Reports > Personnel | + | |
| - | \\ \\ | + | |
| - | VCV Verify all payroll transactions are recorded or interfaced. | + | |
| - | * Regular payroll(s) is/are processed and interfaced. | + | |
| - | * Supplemental payroll(s) is/are processed and interfaced. | + | |
| - | * Payroll transfer has been posted automatically by the system or manually posted. | + | |
| - | * Payroll deduction checks are processed and/or posted. | + | |
| - | * TRS and IRS wires are submitted (must be done immediately after payroll) and recorded. | + | |
| - | * TRS reports are filed and the status is complete. | + | |
| - | * TRS On-Behalf calculations are recorded for the month. | + | |
| - | * Other payroll related items such as recognizing rent income are posted. | + | |
| - | * Verify all new hire reporting is done. | + | |
| - | + | ||
| - | VCV Reconcile accrued payroll in HR to 216X (accrued wages) and 22XX (accrued benefits). | + | |
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