PAYE21156 - Employer records: maintain employer record: machine listing (Action Guide)
If you are required to prepare a machine listing follow steps 1 - 13 below. The Guide is presented as follows
For details of how to access any of the Employer Business Service functions use the [Index of Functions] button on the left of the screen.
Initial action
| 1. |
Before you begin to machine list take the following action |
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- Make sure that the machine is cleared
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- Ensure all forms P14 are kept in the same order as the names listed on the return
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- Note the front of the return 'Machined' in green ink
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- Enter at the top of the machine list
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- The office number and employer reference
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- The reason for the machine listing
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Top of page
Machine listing from the forms P14 or NI only schedule
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Your next action will depend on the type of machine listing you are required to do |
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- If you have been asked to produce a total for tax deducted less tax refunded go to step 2
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- If you have been asked to produce a total for combined employees and employers Class 1 contributions payable by the employer go to step 4
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| 2. |
If you have been asked to produce a total for tax deducted less tax refunded use the following figures on the forms P14 |
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- In the box headed 'This Employment'
Or (if no figure held there)
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- The figure in the box headed 'Total for the year'
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| 3. |
For each form P14 |
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- Add in a figure which does not have 'R' before it
And
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- Deduct a figure which has 'R' before it
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| 4. |
If you have been asked to produce a total for combined employees and employers Class 1 contributions payable by the employer use the following figures on the forms P14 |
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For each form P14 or each name on the NI schedule |
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- Add in the figure shown on each P14 in column 1e headed 'Total of employee's and employer's contributions payable' or against each name on the NI schedule
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Top of page
Action after machine listing
| 5. |
Compare the machine list total with the corresponding entry on the return |
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- If the figures agree use green ink to tick and initial the agreed total on the return or NI schedule. Go to step 13
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- If the figures do not agree go to step 6
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| 6. |
Compare the figures on the return, the machine list & forms P14 / NI schedule. Your next action depends on your findings |
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- If the figures on the return agree the figures on the P14(s) / NI schedule but disagree the figures on the machine list, there has been an input error. Go to step 9
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- If the figures on the P14(s) / NI schedule agree the figures on the machine list but disagree the figures on the return go to step 7
Or
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- You are unable to reach a conclusion without contacting the employer go to step 7
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| 7. |
Telephone the employer |
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- Advise the employer what you have found and ask them to explain the discrepancy
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- If you are unable to contact the employer by telephone, write to the employer for the information
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- BF your papers for a reply
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- Use Function AMEND EMPLOYER INDICATORS to set the POST indicator on the employer record
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| 8. |
On receipt of a reply from the employer go to step 9 |
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Otherwise |
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If the employer has not replied at the BF review date |
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- Use Function AMEND EMPLOYER INDICATORS to set the INSTIND(1) indicator for the year
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- Refer the case to the Debt Management Office to pursue
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- Keep the papers on BF for the Debt Management Office's reply
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Top of page
Employer replies
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Ensure that you have obtained all necessary information from the employer |
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Your next action will depend on what the employer has advised you |
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- Where the employer advises you that the total on the return is correct, and supplies revised P14 / NI only schedule figures, which resolve the discrepancy, go to step 10
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- Where the employer advises you that they made an error on the return, and this resolves the discrepancy go to step 11
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- If you also need to amend any figures on the machine list go to step 9
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| 9. |
If there is a machine list error, on the machine list |
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- Use green ink to note the amount needed to correct the incorrect figure beside the original figure (note + or - as appropriate)
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- Carry down the amount to the foot of the machine list
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- Add it to or deduct it from the original (or new) total. Note the new total below the previous total
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| 10. |
If the figures on the return are correct, on each relevant form(s) P14 or NI schedule |
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- Use green ink to neatly strike through the incorrect figure(s) so that they can still be read
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- Enter the correct figure(s) above or beside them but in the same box
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- After making any necessary amendments to the machine list go to step 12
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| 11. |
If the figures on the return are incorrect, on the return, each relevant P14 or NI schedule |
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- Use green ink to neatly strike through the incorrect figure(s), total(s) and subtotal(s) so that they can still be read
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- Enter the correct figure(s) and total(s) above or beside them
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- After making any necessary amendments to the machine list go to step 12
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| 12. |
Fill in the reconciliation slip (Word 24KB) to show the adjustment made to the provisional total(s) |
| 13. |
Use Function CAPTURE EOY RETURN DETAILS to continue to capture the return |