Migrate from Accentra Primo Payroll¶
This is a comprehensive guide to import an entire payroll creating a company and workers. This is a fully automated process with manual steps only required where data is unavailable.
Process Overview¶
Collect the required files¶
This importer requires an FPS (Full Payment Submission) file and we recommend a Worker Details file. Optionally if required, you can also import History files:
File |
Types |
Notes |
---|---|---|
FPS XML |
.xml |
HMRC RTI Full Payment Submission |
EPS XML |
.xml |
HMRC RTI Employer Payment Summary |
Worker Details |
.csv, .ods, .xls, .xlsx |
Supplementary worker details |
Payment History |
.csv, .ods, .xls, .xlsx |
Actual payments for the pay schedule to be selected |
Holiday History |
.csv, .ods, .xls, .xlsx |
Holiday earnings (weekly basis) |
Important
The FPS must contain all workers, including zero-paid. FPS files may include or exclude zero-paid employees. If you always pay all employees, then your FPS will include everyone. If you have any zero-paid employees, you must do one of the following:
Ensure the relevant setting is set to always include zero-pay employees before submitting the FPS
Pay all employees 1 penny to ensure that they appear in the submitted FPS and set W1/M1 to supress any tax refunds.
Create an un-submitted FPS using, say a 1p payment (noting that not all payroll systems support this)
An FPS contains two important pieces of data: each worker’s year-to-date (YTD) values and the final pay run payment. paiyroll® supports three methods of FPS Import:
Import Submitted YTD figures, subtracting the payment with a parallel run and auto-compare of the last pay run. This is the recommended approach.
Import Submitted YTD figures only and disregard the payment. This approach is required if there are errors in the previous payroll system and the first pay run in paiyroll® must cumulate from the submitted figures without correction. It can also be used if there is no time for a parallel run
Import un-submitted YTD figures and disregard the payment. This approach is used where workers were missed in the initial import and need to be merged or as required in (3) above.
The following sections describe how to collect and/or prepare the required files from your payroll.
Full Payment Submission (FPS) XML¶
paiyroll® needs a full FPS XML file including all employees. FPS submissions files may include zero-paid employees or may exclude zero paid employees. If you always pay all employees, then your FPS will include everyone. If you have any zero paid employees, you must change the employee HMRC RTI setting to include them in the current FPS:
On the Employees screen click the unpaid employee’s PayrollID
Select the HMRC tab
Click the Pencil edit icon next to the right of the RTI section and change Include in Current FPS? to Yes then Save
Move to the next employee by selecting them in the employee selector (top-left)
When all unpaid employees are marked you can Close the employee record
After processing payroll, you will need the latest submitted Full Payment Submission (FPS) RTI XML file.
Click the P11 List button
noting the password protected zip information
Select the Tax year, Pay Frequency and the last Tax Period then Download the latest submitted FPS
The file will be downloaded into your downloads folder.
Employer Payment Summary (EPS) XML¶
Next you should save the latest submitted Employer Payment Summary (EPS) RTI XML file following the above steps.
Employee List XLSX¶
Finally, export this file:
On the Employees screen select all employees
This can used as the basis to create the Worker details file described in the following section.
Worker Details file¶
An FPS does not contain all employee details - specifically email, mobile, start/end date, bank account name/sort-code and account number are not included. Usually you will want to automatically import these at the same time as import using a Worker Details file, which is much faster than manually changing them adding after import. A worker details file can be easily created by editing an employee export from your current payroll software or HR system, and imported together with the FPS to provide the missing details.
You will need to reference, or join each worker in an HMRC RTI Full Payment Submission XML file with each row in the worker details file using one of these 2 options:
Usually PayId’s are present in the RTI FPS XML and this is preferred option as you only need to fill in the PayId joining column and leave the NI Number and Address 1 and 2 columns blank. A PayId e.g. number one (1) PayId will look like this:
<PayId>1</PayId>
. Note that PayId’s can be the the same as Works Ids (e.g. 1, 2, 3 etc.) but in other cases they are generated by the payroll software (e.g. AE16BD, 958571285544 etc.). Click toDownload a sample PayId Employee Details.csv
file.Sometimes a FPS file may not contain PayId’s. In this case the Worker details must include 3 joining columns: PayId, NI Number, Address 1 and Address 2 because some workers may not have NI numbers. Click to
Download a sample Employee Details.csv
file.
The file will have one row per worker with the following columns.
PayId |
NI Number, Address 1, Address 2 |
Works Id |
Start Date, End Date, Email, Mobile, Sort Code, Account Name, Account Number |
---|---|---|---|
The PayId used in the FPS |
If PayId’s are not present, complete all 3 |
This is the Works Id you want to apply to each worker after import. Works Id’s are required if you plan to import Shifts when operating paiyroll®. If you don’t use Works Ids for any purpose, then you can leave this column blank |
These columns are used to provide the details not included in the FPS and eliminate manual rework after import. Take care to avoid problems with date formats, stripping leading zeros and “+” characters, and so on. Dates can be in ISO format YEAR-MONTH-DAY e.g. 2020-12-25 or the 25/12/2020 GB format. |
The column names must be exactly as specified above. If you are going to use an HR data-feed as part of the migration process, then you only need to include e-mail address, start and end dates leaving the other columns blank (Mobile, Sort Code, Account Name, Account Number) as these will be updated by the HR data-feed.
Tip
The column names must be exactly entered as specified above noting upper and lower case. You can use an existing CSV and simply edit the required columns, noting that any other columns are ignored and do not have to be deleted.
Data quality¶
Payroll migration relies on quality data. Please ensure all data is up to date, complete and accurate in your existing payroll system. This will ensure a proper migration and save time because no post-import data correction will be required.
Data |
General |
Import process |
Operating paiyroll® |
---|---|---|---|
E-mail address |
Must be correct: paiyroll® uses the e-mail addresses as the username (login name) as well as notifications |
Will create a dummy e-mail address e.g. last.ni_number@example.com for any missing |
These must be set correctly before any employee can access the system |
GB National Insurance (NI) number |
Must be valid if supplied |
Verifies all NI numbers and any invalid numbers will stop the import |
|
GB address lines 1 & 2 |
HMRC require the first 2 address lines or an NI number |
Will stop if missing |
|
Bank Account Name and all Numbers |
These will be used for all bank reports and must be correct |
If imported, will stop if invalid |
Can be added/modified after in import |
Mobile phone number |
All users should have a correct and SMS capable mobile phone number |
paiyroll® will use these for future notifications - therefore these will need to be updated by employees using self-service |
Other files¶
Whilst not required for the import process, we suggest you also collect these other files to verify and complete the import. These would include all frequencies to be imported (e.g. weekly and monthly):
Pension CSV files for member enrolment and member contributions (the files uploaded to the pension provider after each payroll)
- Payslip PDFs
Reports screen
Period Reports Payslip select all employees Print As PDF to view and then Save a in a single file - this can be quickly searched using Find Ctrl + F on a PC or Command + F on a Mac
- Bank Payment
P11 List screen:
for BACS or Faster Payments file
- Previous Pay and Previous Tax for any mid year starters
Employee screen
Click the relevant employee’s PayrollID
HMRC tab Starter Declaration
The Total Pay to Date and Total Tax to Date are shown
- Auto Enrolment (AE) Data
The Employee’s AE Data file will assist in verifying pension auto-enrolment AE Status after import
On the Employees screen select all employees
- Attachment of earnings orders
Employee screen:
Attachments tab will show any required
- Active Statutory absences
Employee screen:
Payments & Deductions tab will show any active Statutory absences
Import the files¶
Click the Import button and select Run.
Select the Company you wish to import to. If this is your first import, the option is empty.
You must supply an XML FPS file
We recommend that you provide the optional Worker details file as described above. You can skip this file for a fast import or if you wish to create a worker details template.
The History files are optional.
Click Upload files
On the second wizard screen:
It is possible to use the content of the Worker Details file to filter a subset of FPS workers. This might be used to filter out leavers for example.
Mode allows you to create a new company, delete/ re-create a company or merge new workers into an existing company.
If the FPS contains multiple frequencies (e.g. weekly and monthly) you need to select each frequency as a separate import. MMultiple frequencies can also be collapsed into one frequency.
You must also enter the Pay period end date. This is not the pay date - it is the last day that employees worked and were paid.
If you operate Postponement (Auto enrolment deferral) then tick the box to automatically detect category and dates.
Import YTD only
Important
You will normally leave this un-checked to import YTD values and the FPS payment to replay the last payrun (parallel run). Tick only if you want to import YTD figures only (skip the parallel run) or are importing un-submitted FPS where the Payment is to be disregarded.
Tip
If you intend to import YTD only figures, then Auto Enrolment migrated status cannot be auto detected. Alternatively, you may wish to run 2 imports - the first with Import YTD un-checked which will create migrated status on each Auto Enrolment Pay Item. After the first import has completed follow these steps to create a Pay Item file for later upload:
Download…
Open the file in Excel and filter on column B Definition for the value of AE
Save this file as an Excel workbook, importantly filtered as above
After you complete the 2nd migration (Import YTD only), then upload these AE Pay Items
The import may take some time to complete depending upon size. Once complete, a pay run is automatically started and ready in a few seconds. You can review the payslips in My documents .
Important
If you have a second schedule to import, you will likely need to modify default values for certain Pay Definitions such as AE Schemes e.g. monthly and weekly. Before running a merge import take the following steps:
Decide on a new appropriately named Pension scheme for the next import. Add a new pension scheme Pay Definition using the using the Pension scheme Pay Template. It is principally the new Scheme Definition name which is important and you you may wish to defer setting other scheme values.
Change default AE scheme NEST Scheme on the AE Pay Definition to your new scheme above then click Update to ensure your new scheme name is applied to the merge import.
Now repeat the above steps import the next schedule carefully ensuring you select the mode Merge workers with “Test company”.
The following are automatically created during import:
Company
Employees
1 Test (Template) Employee per schedule
Pay schedules
Pay Run
Workflow Definitions
Report Definitions
FPS Pay Definitions and Pay Items including a basic Pay Item called Pay and NonTaxOrNICPmt for non tax or NIC payments such as expenses or deductions
Automatic Enrolment (AE) Pay Definitions, default Schemes and Pay Items
Note
The typical FPS import rewinds to just before the payrun was approved in your previous system with all Pay and AE. When following the steps below, you will therefore be re-running your previous pay run related to the FPS submission - this enables a parallel test run in paiyroll®.
FPS files only contain partial data. Hence the dummy values are created for all missing data like staging date etc. The following sections detail all the steps required after an import to complete an accurate and correct payroll. For example, if you did not supply a worker_details file at import, you will need to set the Email address, Mobile phone number, bank details and set a Department for each Employee
Upload missing items¶
The imported companies may be missing higher level data for example Salary, Shifts etc.. The following steps are therefore required after an import to complete the payroll. Almost all of this data can be uploaded from spreadsheets. If you wish to perform multiple imports for Parallel runs, you will find it quicker to create spreadsheet files to upload. The easiest way is to create the data manually using the GUI first time, then download the data into spreadsheets when complete.
Company Update all Company fields as the imported files only provide limited data. Now is a good time to rename the company.
Pay Definitions:
Automatic-enrolment (AE) scheme. The import process creates a default NEST pension scheme. Edit and rename this scheme if required in Pay Definitions </paiyroll/paydefinition/>
Holiday. Set up Holidays.
If the Importer generated a differently named salary Pay Definition to avoid a clash with history import e.g. Salary (monthly) vs. Salary, then you can revert to the original name as follows:
Delete the Salary Pay Definition by confirming on the delete screen, there are no dependent Pay Items.
Rename the Salary (monthly) the Pay Definition to Salary
Reuse. Set the Reuse on each Pay Definition according to each intended usage and whether it is required to pay each pay run. There are 4 values:
Use indefinitely pays each pay run e.g. a recurring medical benefit that doesnt change
Use once, then set to zero pays once and then changes to zero e.g. a one-off bonus
Use once, then unset pays once and expects a new value e.g. commission that varies each month but requires a different value
Never prompt even if unset set manually/ infrequent e.g. annual bonus
Finally, delete any imported Pay Definitions that are not required which may have been created to aid the import process. For example Pay or NonTaxOrNICPmt. When deleting a Pay Definition always carefully check the descriptive text to see if there are any linked Pay Items.
Pay Schedules. If the imported pay schedules do not accurately reflect your dates, navigate to Pay Schedules and Update… the schedule. You will need to clear the Enabled checkbox to disable the schedule and click Update. Now you can update the schedule with your dates and don’t forget to click Enabled before updating the correct schedule. Once this is done you must start a new pay run using Workflow Definitions and click the Start button . Delete the old payrun from Payruns by clicking Delete and Confirm deletion. The pay period dates on the pay schedule must continue from the Pay period end date set on import.
Pay Items. Use the Pay Item Editor to review each employee and add any missing Pay Items such as salary, bonus etc. from your Pay Definitions. You can ensure they have the correct values by clicking Update which will generate a live payslip.
The import process uses heuristics and may not be 100% accurate. AE migration is also described fully in Migrate Auto-Enrolment Pension data.
If you have additional salary pay items, e.g. Directors Salary which were not specified on import, they will be imported using a Payment Pay Template instead of the Salary Pay Template. Replace these with a suitable salary Pay Definition.
If you need to add multiple Pay Items, we recommend the use of spreadsheet upload files. One easy way to start is to create a single Pay Item for an employee using the Pay Item editor . Then navigate to Pay Items and then click Download… to download a payitems.csv file. The file will include all Pay Items for all employees, so be sure to delete every Pay Item except the required one. Once you have created the Pay Items, these can easily be uploaded.
Previous pay and tax for in-year starters must be entered or uploaded to ensure payroll is correct.
Enter the annual holiday entitlement and balance for the remainder of the year for each employee. See Set up Holidays for more information.
A typical set of Report Definitions are provided. You should add any required.
HMRC RTI FPS and EPS. User ID and Password are not imported which means there is no risk of accidentally submitting data to HMRC. However, the HMRC test service is used to test each pay run together with a test receipt. When all the steps are complete, you must enter your user ID and password in FPS and EPS Report Definitions
Journals in Pre-approval summary2 and/or Journal files. Setup any required journals in the Pre-approval summary2 and add any journal reports e.g. Xero.
Be sure to save all the data you have created in CSV files in case you need to repeat the process for each of the following views:
Company Setup
Pay Definitions
Report Definitions
Pay Schedules
Departments
Companies
Employee setup
Pay Items
Employees
On each view, simply press the Download… button to create a file. The downloaded Pay Definition and Pay Item files will contain both system created Definitions/Items as well as the ones created in this guide. We recommend you delete system created rows.
Auto Compare pay run reports¶
When import is complete, you can use the automated compare capability to compare the generated pay run files such as:
Bank files
Pension provider files
Online submission files e.g. GB FPS or EPS
Any files in text, csv or XML formats will work.
Ensure you have your reference files ready from your existing payroll system.
After making any changes, redo the pay run to refresh all the reports
View View the required pay run
Click on the Reports tab
Click Compare
Click Choose file and choose your reference file
Click Upload files
After a few seconds your reference file wil be uploaded and automatically compared. On the left wil be your reference file and on the right is the generated file from paiyroll®. All difference are show in Red and Green. You can easily switch between Side-by-side and Line-by-line styles for the comparison.
Going Live¶
See Parallel runs.
Before the first live payroll, be sure to add credentials to any reports, e.g.:
HMRC RTI FPS
HMRC RTI EPS
Pension
P9X. If migration is at the end of a tax year, and the first pay run in paiyroll® will be in the next tax-year, you will need to create a custom pay run before running the GB PAYE tax code changer (P9X) Data Feed. This is because P9X needs to have a last approved run of a tax year before it can run.
Note
Before you approve the first payrun, you will notice that updated RTI PayIds will be sent. This switches the information held by HMRC system from pre-imported PayIds to the new paiyroll® PayIds.