1 / 15

Community Services Programme

. Community Services Programme. Welcome from Dublin Regional Team Leader Barbara White Regional Case Officers Ian McCormack Katherine Byrne Barbara White Finance Co-Ordinator Julie Anne McDaniel Finance Officer Alan Worrell Zeta Duffy

webb
Download Presentation

Community Services Programme

An Image/Link below is provided (as is) to download presentation Download Policy: Content on the Website is provided to you AS IS for your information and personal use and may not be sold / licensed / shared on other websites without getting consent from its author. Content is provided to you AS IS for your information and personal use only. Download presentation by click this link. While downloading, if for some reason you are not able to download a presentation, the publisher may have deleted the file from their server. During download, if you can't get a presentation, the file might be deleted by the publisher.

E N D

Presentation Transcript


  1. . Community Services Programme

  2. Welcome from Dublin Regional Team Leader Barbara White Regional Case Officers Ian McCormack Katherine Byrne Barbara White Finance Co-Ordinator Julie Anne McDaniel Finance Officer Alan Worrell Zeta Duffy Finance Administrator Officer Michelle Callaghan

  3. Programme for this half day session • Presentation “ CSP Combined Return (Worker Profile & Finance Return) and Payment Process Changes” • Demonstration of Return Template • Work through examples – 2 Scenarios • Recap • Demonstration of recommended timesheet template • Question and Answers • Complete Feedback sheets

  4. Why a new finance return? • CSP funding has changed in the last six years: • Funding is for payroll – non-wage funding no longer applies. • Greater emphasis from government on the “39 hour working week” • €19,033 per FTE no longer corresponds exactly to contribution plus employers PRSI. • In 2012 the Department agreed a small change in the terms of the CSP grant which has meant:- • We have redesigned the return from scratch. • Our aim is to make it simple to complete. • We are trialling an Excel version now – with the aim of moving to on-line returns in the future.

  5. New CSP Returns - what does this mean for you? • Less documentation to be submitted • Fewer bank accounts to be maintained • No periodic bank transfers via Internal Invoices • More streamlined return process • Quicker and efficient payment process • Utilisation of any PRSI underspend to other staff employed in the organisation

  6. 2012 = interim yearProcess for Jan-June 2012 return Your June return will comprise:- • New return template – combined worker profile and finance return. • To show evidence of payroll expenditure, you will be asked to submit bank statement and payroll records for a sample week. Balance of 2012 funding payable on our review of:- • Your June return • Review of AFS (annual financial statements/audited accounts) • Review of reconciliation of CSP and any other Pobal funding to AFS. • And for a few, review of your apportionment policy. • Where AFS or Apportionment incomplete, we’ll make a part payment – i.e. we may withhold 10% until resolved

  7. CSP retained records Please retain the following records for inspection/ site checks: Cheque payments journal. Bank statements and reconciliations. Time-keeping records Payroll records Minutes of HR committees / Board. Apportionment policy (if applicable) Don’t forget also to keep:- Recruitment information, CSP employment forms / evidence of eligibility for CSP supported posts Signed contracts of employment.

  8. CSP Return December 2012/ Payments 2013 2013 payment stages • Up-front instalment in early January 2013 • Instalment 2 on submission and completion of 2012 December / year end return • Final instalment on submission of June return Notes: We will be able to advise the instalment values later in the year. There will be 10% retention on final instalment, as for 2012,where submission of AFS or Reconciliation delayed or incomplete.

  9. 2012 December/year end return to comprise:- • New CSP return • Submission of P35L (Collector General Revenue Return) payroll documentation • Final bank statement for the period. • Bank statement confirming final liability to Collector General paid – circa end of Feb 2013. • Submission of AFS where your financial year end is not 31 Dec.

  10. Elements of new CSP return The new CSP return is an en excel workbook:- • New format worker profile template • Payroll sheet • Expenditure return summary • (Operational funding sheet – only where relevant)

  11. Return Template continued • You will receive the return template by the end of June • It should reflect your current Company details per our records • It will have your budget outlined per Pobal contract • Data entry can only occur in yellow cells – other cells are protected • You will be required to enable Macros to run this Template. A Guidance sheet will appear if you need to do this. • Drop down menus and Command Buttons are there to complete the return

  12. Information to have at hand to complete the template • Manager and FTE Budgets • Employee Details for CSP staff • Timesheet records • Payroll Records • Explanation for vacancies/unpaid leave • Additional staff details where surplus PRSI exists • Operational Funding • Item purchased • Date expenditure raised on account • Date expenditure cashed from bank account

  13. Return Demonstration

  14. Demonstration recap • You can claim for staff pay for a maximum of their contracted hours per week and 26 weeks per half year period • By entering the number of contracted hours and weeks worked for each CSP staff member, the spread sheet will tell you how much grant is claimable. • The spread sheet will tell you if, owing to the lower rate of Employers’ PRSI, you have some small underspend available. • You can then allocate that underspend to other staff costs. • You cannot re-allocate underspend arising from staff vacancies or unpaid leave.

  15. To recap re using the automated features of the return template • Payroll costs for period are Gross Salary + Employers PRSI i.e. • For June Return Weeks 1- 26 • For December Return Weeks 27-52 • The allocation of cost attributed to grant funding is automatically calculated on the Return • Additional Staff can be entered where required by Button on the Excel sheet • The form can be saved in draft or submitted via the buttons • Pobal Staff will only accept completed returns and not draft forms. • Where errors exist on the sheet you will be prompted to correct these errors before re-sending. • Operational funding date of transaction on bank statement will determine period of Reporting - Template will determine this.

More Related