Novated & Associate Leases
Setting up novated leases and associate lease quotes
Associate Leases
Set-up the item
Deduction Details
Total Deduction - enter the total amount that will be paid back to the associate.
Compress - un-checked
Inertia - un-checked
Cycles - enter the number of pay periods the employee wants to spread the payroll deductions over
Disbursement Details
Disbursement Type - 'Recurring'
Supplier - 'Associate Leases'
Reference - 'Registration Number'
Payee - 'Employee'
Bank Account - add and link the associate's bank account details to the item
Attach the supporting documents to the item (e.g. Associate Lease contract)
Status - 'Active'
Process steps
Pay Runs / Pay Run - post the pay run record
Receipts / Allocate - receipt and post the pay run
Scheduler / Job - sp / approvals / autoBuildClaims runs automatically
The stored Item / Reference populates into the "Reference" field of the created claim (i.e. Registration Number)
Contracts / Claim - the job creates a posted claim for the receipted amount
BECS / Disbursements (ABA) - create a BECS batch and download the ABA file
Employee disbursements are shown as one record per claim.
The associate will receive one banking payment per pay run.
The ABA reference shows the stored Contracts / Claim "Reference" (i.e. Registration Number)
Banking Software - import the ABA file and confirm it for payment
When the pay runs and claims for this item are complete, no further deductions or disbursements will be made. It can now be suspended.
Associate Lease Managed
Set-up the item
Deduction Details
Total Deduction - enter the total amount that will be paid back to the associate.
Compress - un-checked
Inertia - un-checked
Cycles - enter the number of pay periods the employee wants to spread the payroll deductions over
Disbursement Details
Disbursement Type - 'Recurring'
Supplier - 'Associate Leases'
Reference - 'Registration Number'
Payee - 'Employee'
Bank Account - add and link the associate's bank account details to the item
Attach the supporting documents to the item (e.g. Associate Lease contract)
Status - 'Active'
Process steps
Pay Runs / Pay Run - post the pay run record
Receipts / Allocate - receipt and post the pay run
Scheduler / Job - sp / approvals / autoBuildClaims runs automatically
The stored Item / Reference populates into the "Reference" field of the created claim (i.e. Registration Number)
Contracts / Claim - the job creates a posted claim for the receipted amount
BECS / Disbursements (ABA) - create a BECS batch and download the ABA file
Employee disbursements are shown as one record per claim.
The associate will receive one banking payment per pay run.
The ABA reference shows the stored Contracts / Claim "Reference" (i.e. Registration Number)
Banking Software - import the ABA file and confirm it for payment
When the pay runs and claims for this item are complete, no further deductions or disbursements will be made. It can now be suspended.
Direct Link Associate Lease Managed
Below is a sample of how an item should be set-up for a Direct Link Associate Lease Managed.
Use this set-up if you want to link your vehicle contract directly to the item. Changes to the contract's budget will be reflected in the Pay Run details of the item. Once linked, all contract changes are done in the contract. The item record will reflect the information from the vehicle contract. If you try to edit a linked item in the Employees / Item tab, you will get an alert message.
Process
Quote
Create a vehicle quote for an ALM
Create an item and populate the Quote ID
Scheduler job SP - Update Item from Vehicle Quote will update the item details
Accept
Accept the vehicle quote.
Scheduler job SP - Update Item Car Profile from Vehicle Contract will add the contract link to the Car Details section.
Scheduler job SP - Update Item from Novated Contract will update this value based on the contract's data.
Pay Runs
The normal pay run processes still apply to direct lease car items.
Manage
The vehicle contract runs like any other novated lease.
The vehicle contract will carry a budget balance throughout its life.
All payments and reimbursements are created using the standard novated lease processes.
Scheduler job SP - Update Item from Novated Contract will continue to update the item based on changes to the contract's data.
Report
ALM contracts are included in Employer FBT Reports
ALM contracts are included in Employee Depreciation Reports
Finalise
The standard novated lease finalise process applies here.
The surplus or deficit can be rolled into the next pay run.
Car Details
Quote ID - Add your vehicle Quote ID here. Example: 105603
Contract ID - If a contract has been created, add the Contract ID here. The scheduler job SP - Update Item Car Profile from Vehicle Contract will add the contract link when it runs. Example: 102012
Deduction Details
Package Item: Associate Lease Managed
Total Deduction - This field can be left to be populated by a scheduler job. The scheduler job SP - Update Item from Vehicle Quote will update this value for active quotes. The scheduler job SP - Update Item from Novated Contract will update this value for active contracts.
Compress - Leave un-checked. This should be the default setting for this field.
Inertia - Leave un-checked. This should be the default setting for this field.
Cycles - The scheduler job SP - Update Item from Novated Contract will update this value based on the contract's data.
Status - The scheduler job SP - Update Item from Novated Contract will update this value based on the contract's data.
If contract "Contract Start" is blank and "Suspend Date" is blank then 'Accepted'
If contract "Contract Start" is populated and "Suspend Date" is blank and "Reg No" is not 'ORDER' then 'Active'
If contract "Suspend Date" is populated and no pending billings exist then 'Suspended'
Example: Active
Disbursement Details
Disbursement Type - A disbursement type is not required. Disbursements originate from the vehicle contract.
Supplier - Set a default supplier for this field. The field should be set to read-only. The supplier name is descriptive only and is not used for transaction processing. Example: Your Company Name
Reference - The scheduler job SP - Update Item from Novated Contract will update this value based on the contract's data. Example: Reg Number
Substantiation Required - This can be set to yes if you want to create an event to store agreement documents. It is not required.
Payment Details
Payee: Supplier
Item Summary
Contract ID - The scheduler job SP - Update Item to link Novated Contract will link the vehicle contract to the item when it runs. Example: 110101
Configuration Tables
sppackageitemprofilecars
sppackageitems
sppackageitem_defaults
Create an Associate Lease quote
Qualifiers
An employee would like an Associate Lease.
Process
Navigate to Fleet / Administration / Quotes
Click on New
You will be navigated to the Quotes / Contract tab
Type Code - enter 'AL'
Term (Months) - enter the term in months
Contract KMs - Enter the expected KMs the vehicle will do over the term. This affects the calculated costs for budgets like Fuel, Maintenance and Tyres.
Delivery State - Enter the vehicles State here.
Client Code - enter the Employer's Code
Comprehensive Insurance - leave this checked if the lease includes Comprehensive Insurance
Policy Owner - choose 'Driver Policy'
Insurer - choose the Insurer if known, but it's not used in Salary Packaging processes
Driver ID - enter or lookup the Employee's ID or
Surname - enter the Employee's Surname
Firstname - enter the Employee's First name - the system will find and suggest this Employee's record if it exists.
FBT Type - choose between 'Statutory' or 'Operating'
Bus. Use % - if the FBT Type is 'Operating', enter the Business % here
Use ECM - leave this checked
Help Debt - ignore this field, your Package Statement refers to the Employees / Contact Help Debt field for this detail
Navigate to the Quotes / Vehicle tab
Select vehicle details
Model Year - if the model year is missing, select the closest match
New / Used - change this to 'Used' if the vehicle is used. This affects the calculated costs for budgets like Fuel, Maintenance and Tyres.
Odometer - all used vehicles will need an odometer reading entered here. This affects the calculated costs for budgets like Fuel, Maintenance and Tyres.
Master Quote Lock - check this, all other locks will check. Your changes will not be re-calculated by the system.
List Price - enter the list price
FBT Value - if the FBT Type is 'Statutory', enter the FBT Value here.
FBT Value Lock - If the FBT Type is 'Operating', un-check the lock and leave this field to calculate automatically.
Navigate to the Quotes / Finance tab
Months Deferred - update to '0'
Luxury Car Charge - review this amount and remove it if it is not applicable. The value can be displayed on the quote to inform the Associate, but is not used in the packaging process.
Residual Inc GST - update to '0' unless there is a residual to use in the calculation.
Navigate to the Quotes / Lease tab
Review the budgets and modify the values if required.
Click on Accept
Activate a contract
Enter Vehicle Details
Navigate to Contracts / Vehicle
Supplier Ref - enter the Dealer's invoice number
Build Date
VIN
Engine No
Click on Save
Enable Billing
Navigate to Contracts / Events
Create a 'Registration Change' event
Navigate to Contracts / Billing
Contract Start
Contract End
Start Periodic - confirm the calculated start date or update
Click on Save
Create the Finance Payment Schedule
Navigate to Contracts / Payments
Supplier Ref - enter the Financier's reference number
Check and adjust payment amounts, term and dates if required
Click on Save
Enter Other Payment Schedules
Create schedules for other payments required on the contract
Activate the vehicle contract
Qualifiers
This is a direct link vehicle contract
The vehicle purchase has been settled
The vehicle has been delivered
Double the first billing for Associate or Novated Leases
Qualifiers
You have added a new Associate or Novated Lease that needs a catch-up deduction made in the first billing
The Item is active and the Billing records have been created
Process
Navigate to Packaging / Employees
Employee ID - enter or lookup the required employee record
Navigate to Current Packages tab
Package Item - click on the hyperlink of the first record to navigate to the item record
Contract ID - click on the contract hyperlink to navigate to the contract record
Navigate to Lease tab
Note the Amount and GST recorded for the Pre-Tax and Employee Contribution budgets
Click on New
Enter those amounts into the new record.
Click on Save
Go to the last period
Click on Edit
Update the amounts on this record to be 0.
Click on Save