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Description
Within the Pension Management Search and Results page, there is a button labelled Export. This begins the process of selecting your data that you wish to generate to submit to your providers. This process is the same irrespective of whether your provider has a csv or API submission.
When Export is selected, a new screen opens to commence the wizard to generate the data.
Select Data
This is the point at which you need to define the output type you want (there could be different outputs for a provider) and the data that you want included.
Click in the list below to see a description of all the selection criteria
Click here to view a description of all the selection criteria
Field | Description | Rules |
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Select Data |
Pay Company | Select the pay company that you wish to produce the output for. | |
Provider | Select the provider that you wish to produce output for. This selection will affect the list shown in the Output Type. | |
Output Type | Displays a list of outputs relevant to the provider selected. If there are multiple types of files, you will need to go through this process for each type of output you need to produce: you cannot select multiple output types at the same time. | |
Contribution Schedule | Displays a list of active contribution schedules. The purpose of the contribution schedule is that contributions are usually sent to the provider once a month and so there will be multiple weeks for a particular contribution payment date. The system will automatically pick up all the relevant contributions. However, if you wish to only produce a contribution output for a particular period, the Pay Period End Date can be used instead. | This field becomes enabled if the Output Type selection contains contribution data. If the output type is for member information only, the contribution schedule is not required. If populated, the Pay Period End Date field becomes disabled. If the Pay Period End Date is entered instead, the Contribution Schedule field is disabled.
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Payment Contribution Due Date | Once the Contribution Schedule is selected, you need to select the contribution due date to collate the contributions that are linked to that due date. | |
New Enrolments Contribution Due Date | If you select a Payment Contribution Due Date and you click tab, the system will automatically pick the new enrolments contribution due date with the same date that needs to be included in the file output. It is anticipated that the new enrolments contribution due dates will coincide with dates set in contribution due date in the schedule. For example if a contribution due date is set as 22/06/2023 and the new enrolments contribution for the same pay period is set as 22/07/2023, there will be a contribution due date of the 22/07/2023. However, it is possible to select a different date in this field to output the delayed contributions that are linked to this date. | This field becomes enabled when Contribution Schedule has been selected. Either this field or New Enrolments Contribution Due Date must be entered if a Contribution Schedule has been selected. This field is automatically populated from the selection of Payment Contribution Due Date if it finds a matching date. If there is no matching date, you must pick a date from the list. The list of dates will come from the Contribution Schedule that you have set up. The dates displayed is 3 months ahead of today’s date and 12 months behind of today’s date.
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Pay Period End Date | A field to enter the pay period end date. This is for the selection of New Enrolments or if you want to generate output for a particular pay period end date rather than for a schedule date which could contain multiple periods. | If populated, the Payment Contribution Due Date, New Enrolments Contribution Due Date and Contribution Schedule will become disabled. Either this field or Payment Contribution Due Date must be entered
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Scheme | Select 1 or many schemes to produce the selected outputs for. | This is enabled when the Provider is selected. It displays the schemes for that provider that have the same Contribution Schedule. If it is left blank, this means all schemes within the provider that have the same Contribution Schedule will be included in the data selection.
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Pay Group | A field to select 1 or more pay groups that has the same frequency as the contribution schedule or has the same Pay Period End Date in the pay period details. | This is enabled when Contribution Schedule or Pay Period End Date is populated If left blank, this means all pay groups within the pay company that has the same frequency as the selected contribution schedule or has a matching Pay Period End Date will be included in the data selection.
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At the point you have entered your data selection, Click on the Next button. This will collate all the relevant data.
Click in the list below to see a description of all the fields in this screen
Click here to view a description of all the fields
Field | Description | Rules |
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Header |
Output Type | This is the Output Type that was selected in the Selection Criteria screen. | It is read only. If this was an incorrect selection, cancel the batch to start again. |
Pay Company | This is the Pay Company that was selected in the Selection Criteria screen. | It is read only. If this was an incorrect selection, cancel the batch to start again. |
Pension Provider | This is the Pension Provider that was selected in the Selection Criteria screen. | It is read only. If this was an incorrect selection, cancel the batch to start again. |
Payment Contribution Due Date | This is the Payment Contribution Due Date that was selected in the Selection Criteria screen. | It is visible and read only if the Output Type contains contributions and you selected a Payment Schedule. |
New Enrolments Contribution Due Date | This is the New Enrolments Due Date that was selected in the Selection Criteria screen. | It is visible and read only if the Output Type contains contributions and you selected a Payment Schedule. |
Pay Period End Date | This is the Pay Period End Date that was selected in the Selection Criteria screen. | It is visible and read only if the Output Type contains contributions and you entered a specific Pay Period End Date. If you selected a Contribution Payment Schedule, this will not be visible. |
Batch Number | All the outputs generated are collated via a Batch Number and is auto-generated. | It is always visible. |
Contribution Grand Total | Displays a total contribution value across all the outputs included in the batch. | This sums the employee, employer and AVC contributions that appear in the outputs generated. Visible where the file selected contains contributions. |