User Tools

Site Tools


Sidebar

Table of Contents

general:firstpayrolloftheschoolyear_julystart:step14

This is an old revision of the document!


Generate the Account Code Comparison report

Complete this step only for employees with July contracts who receive their first paycheck in July. This process will be repeated in August for employees with August contracts who receive their first paycheck in August, and then in September for employees with September contracts who receive their first paycheck in September.

Payroll > Reports > Payroll Information Reports > HRS6000 - Account Code Comparison

Complete the applicable report parameters and generate the report. Print and/or save this report and review it for accuracy. Review for employees with July contracts.

IMPORTANT: If a distribution (fund) for an employee was continued during the Finance EOY Process (keeping the same fiscal year – ex. 211/4 in 23-24 is 211/4 in 24-25), be sure that the distribution listed has the correct fiscal year. It is important to review/verify distribution information for all employees (especially the fiscal year) for July payroll.

HRS6000 - Account Code Comparison Report Parameters

Account Code Comparison Report

  • Review the report and correct all of the errors.
  • Verify that all employee master distribution records have matching accounts in Finance.


If there are account codes on the report that do not exist in Finance, perform one of the following steps:

  • If there are accounts that have a 4 for July and August start employees, perform a mass update of Payroll distributions. You can either mass update records by fund/year using the Payroll > Utilities > Mass Change Payroll Account Codes > Mask Crosswalk page OR mass update all records in the Current Year by using the Fiscal Year field on the Payroll > Utilities > Mass Update > Employee tab.
    • Employees who are paid out of federal funds may need their distributions reviewed and changed for a different fund year, if necessary. For example, federal funds may still be available for the previous year.
    • If your LEA accrues monthly, many employees might be paid from accrued funds for July and August. The Mass Update utility assists with updating the Distribution tab for all employees who are not paid from accruals.
  • If there are other accounts that need to be added, add them on the Finance > Maintenance > Create Chart of Accounts page.


After all of the account codes are added, generate the Payroll > Reports > Payroll Information Reports > HRS6000 - Account Code Comparison report again. If all account codes exist, a blank report should be generated.

Account Code Comparison Blank Report

general/firstpayrolloftheschoolyear_julystart/step14.1751572355.txt.gz · Last modified: 2025/07/03 19:52 by emoreno