Feb 21, 2025
- Select Add Primary Cost Centre.
- The Cost Centre File will be displayed;
👉 If the Cost Centre is a Pay Location / Department, select This Cost Centre is a Pay Location / Department. - Enter the Cost Centre Name you require in Description.
- Change the Abbreviation as required.
- Enter the GL Account Code relating to the Cost Centre from your Accounting Solution. necessary, leave this field blank.
- Enter the Cost Code relating to the Cost Centre from your Accounting Solution. If necessary, leave this field blank.
- Select the Icon you want displayed in the Cost Centre List for this Cost Centre.
- Select Save, unless you want to process pay runs or create a FAST-Bank file for this Cost Centre.
- If you want to process Pay Runs for this Cost Centre, select Pay Run.
- Select the required Pay Period.
- Select or enter the Pay Period Ends Date
- Select or enter the Pay Day Date.
- If you want to create a FAST-Bank for this Cost Centre, select Banking.
- Enter the BSB, Account Number, Account Name and Name of Remitter
- Enter the APCA ID and update the Transaction Code and Description displayed on your Bank Statement, if required.
👉 If required, deselect Self Balancing Transaction and Short File Name.
🎯 please contact your Financial institution to confirm the APCA ID, Transaction Code and whether the FAST-Bank File needs to contain a Self Balancing Transaction or use a Short File Name.
- If you want to process Pay Runs for this Cost Centre, select Pay Run.
- Select Save.
Add a Secondary Cost Centre
- Select e-Cost.
- Right-select the Primary Cost Centre you wish to add the Secondary Cost Centre beneath, then select Add Child Cost Centre.
- The Cost Centre File will be displayed;
👉 If the Cost Centre is a Pay Location / Department, select This Cost Centre is a Pay Location / Department. - Enter the Cost Centre Name you require in Description.
- Change the Abbreviation as required.
- Enter the GL Account Code relating to the Cost Centre from your Accounting Solution. necessary, leave this field blank.
- Enter the Cost Code relating to the Cost Centre from your Accounting Solution. If necessary, leave this field blank.
- Select the Icon you want displayed in the Cost Centre List for this Cost Centre.
- Select Save, unless you want to process pay runs or create a FAST-Bank file for this Cost Centre.
- If you want to process Pay Runs for this Cost Centre, select Pay Run.
- Select the required Pay Period.
- Select or enter the Pay Period Ends Date
- Select or enter the Pay Day Date.
- If you want to create a FAST-Bank for this Cost Centre, select Banking.
- Enter the BSB, Account Number, Account Name and Name of Remitter
- Enter the APCA ID and update the Transaction Code and Description displayed on your Bank Statement, if required.
👉 If required, deselect Self Balancing Transaction and Short File Name.
🎯 please contact your Financial institution to confirm the APCA ID, Transaction Code and whether the FAST-Bank File needs to contain a Self Balancing Transaction or use a Short File Name.
- If you want to process Pay Runs for this Cost Centre, select Pay Run.
- Select Save.
Add a Tertiary Cost Centre
- Select Cost Centres.
- Right-select the Secondary Cost Centre you wish to add the Tertiary Cost Centre beneath, then select Add Child Cost Centre.
- The Cost Centre File will be displayed;
- Enter the Cost Centre Name you require in Description.
- Change the Abbreviation, as required.
- Enter the GL Account Code relating to the Cost Centre from your Accounting Solution. If necessary, leave this field blank.
- Enter the Cost Code relating to the Cost Centre from your Accounting Solution. If necessary, leave this field blank.
- Select the Icon you want displayed in the Cost Centre List for this Cost Centre.
- Select Save.