Pay Centres (Infrastructure Asset Manager)

Asset manager pay centres

You can record pay centre details where the client is a participating employer in a scheme, and where this is required.

 

From the JU1AP Asset Manager screen, select Pay Centres from the sub-menu on the left. 

 

 

The JU1CF Corporate Client Pay Centre List screen will be displayed.

 

 

The following options are available:

 

SELECT

Allows the user to select an occurrence from the list box when function enabled. Returns to the relevant calling procedure (function disabled here).

NEW

Flows to the JU1CF New Corporate Client Pay Centre screen to create a new pay centre.

OPEN

Flows to the JU1CF Corporate Client Pay Centre Details screen to update Pay Centre Details.

CDS CONTACT PERSON LIST

Flows to the JU1CP Contact Person screen to record details of the contact person.

CLENT PAYCENTRE ADDRESS

Flows to the JU1BE Address Maintain screen.

 

New pay centre

On the JU1CF Corporate Client Pay Centre List screen, click NEW.  The JU1CF New Corporate Client Pay Centre screen will be displayed.

 

 

Descriptions of the input fields on this screen appear below.

 

Client

External organisation unit code supplied by the client and the client's legal name

Code (Client Pay Centre)

Pay Centre Code

Name (Client Pay Centre)

Pay Centre legal name

Language (Client Pay Centre)

Select the language in which this pay centre operates from the drop-down box.

Priority Status

Select a value from the drop-down list.

 

Current Values are: High, Normal.

Start Date (Client Pay Centre)

Date Pay Centre became effective

End Date (Client Pay Centre)

Date Pay Centre was discontinued from use