案例 / 商务与合同
商务与合同

给自有工人发薪并报送月末申报表

从现场取得工时,按行业协议规定的费率发薪,把 PAYE、UIF 和 SDL 放在同一张 EMP201 上申报,让良好信誉函始终有效,并把人工成本记回它实际花出去的那个项目上。

7 个步骤12 分钟总承包商专业分包商

运作方式,逐步说明

贯穿平台的 7 个步骤 - 每一步做什么,以及为什么重要。

1

Capture the hours against the job, not against the week

现场工时

Collect the hours daily with the job, the activity and the person on each line, separate normal time from overtime and from work on a Sunday or a public holiday, and have the foreman approve the week before it goes anywhere near payroll.

原因: Hours captured only as a weekly total pay people correctly and tell you nothing. The same lines are the basis of the labour cost on the job, the substantiation of an expense and loss claim under clause 26.5 of the JBCC principal building agreement, and the earnings figure in the Return of Earnings. Collecting them once, at the right level of detail, is what stops three departments reconstructing the same month three different ways.

输入Gate and shift recordsJob allocation成果Approved timesheetsOvertime hours
2

Set the wage rates and what sits on top of them

人工单价

Record the rate for each grade, together with the minimum the National Minimum Wage Act sets and any higher rate a bargaining council agreement imposes where one covers this work and this area, then add the on-costs: leave, the benefit fund contributions the agreement requires, the employer share of the unemployment insurance contribution and the skills development levy.

原因: The rate a person is paid and the rate a job is charged are different numbers, and estimators who confuse them lose the difference on every hour of the contract. Writing the on-costs down once, as percentages on the bare rate, is what lets an estimate and a payroll come from the same figures instead of from two habits.

输入Bargaining council agreementWorker grades成果Wage ratesOn-cost percentages
3

Run the payroll and produce the payslips

薪资管理

Run the pay period from the approved hours, produce a payslip for every worker showing gross pay, each deduction separately and the net, and keep the payroll register that the returns will be built from.

原因: A payslip is a legal entitlement, not a courtesy, and a deduction that appears on it without a name is the fastest route to a dispute with a bargaining council or a labour inspector. The register behind it is also what an audit reconciles the EMP201 declarations against at the end of the tax year, so it has to be right monthly rather than corrected annually.

输入Approved timesheetsWage rates成果PayslipsPayroll register
4

Work out PAYE, UIF and the skills development levy

税率

Calculate PAYE on each employee's remuneration for the period, the unemployment insurance contribution at one per cent from the employee and one per cent from the employer up to the monthly earnings ceiling, and the skills development levy at one per cent of total payroll on the employer side, which small employers below the payroll threshold are exempt from.

原因: The unemployment insurance contribution is capped and the skills development levy is not, so a site that grows its labour force finds the two moving apart, and a spreadsheet built once at the ceiling of a previous year quietly under-deducts for every month after the ceiling changes. Holding the rates and the ceiling where they can be updated in one place is the difference between a correction and a reassessment.

输入Payroll registerStatutory thresholds成果PAYE calculatedUIF and SDL
5

File the EMP201 by the seventh and pay it

截止日期

Put the PAYE, unemployment insurance and skills development levy totals for the month onto the single EMP201 return, declare and pay it by the seventh of the following month, and keep the payment reference against the period it settles.

原因: The seventh is a hard date and it falls in the same week as the payment certificate you are waiting to be paid on, which is why contractors miss it. A late EMP201 also breaks the tax compliance status that a public sector tender checks, so a missed month at one site can cost a bid at another.

输入Monthly totalsFiling calendar成果EMP201 filedPayment made
6

Keep the letter of good standing alive

分包商目录

Submit the annual Return of Earnings under the Compensation for Occupational Injuries and Diseases Act 130 of 1993, pay the assessment and keep the letter of good standing on file with its expiry date. Collect the same letter from every subcontractor before it starts on site.

原因: Regulation 5(1)(j) of the Construction Regulations, 2014 makes it the client's duty to ensure, before any work commences, that every principal contractor is registered and in good standing with the compensation fund or with a licensed compensation insurer, so on a construction site the letter is checked at the gate and not only at tender. It also expires quietly, and an uncovered subcontractor is not somebody else's problem: when one of its people is hurt there is no fund behind the claim and it comes back up the chain to you.

输入Annual earningsSubcontractor cover成果Return of EarningsLetter of good standing
7

Invoice with VAT and put the cost back on the job

财务

Raise the tax invoice on the certified amount with VAT at 15 per cent under the Value-Added Tax Act 89 of 1991, hold a valid tax invoice for every input you intend to claim, and post the month's labour cost to the jobs the timesheets allocated it to.

原因: Input tax is claimable against a tax invoice and against nothing else, so a delivery note, a statement or a quotation in the file is a cost you carry the VAT on yourself. Posting the labour back to the job in the same run is what makes the cost report on that job a fact rather than an allocation somebody does at year end from memory.

输入Payment certificateSupplier tax invoices成果Tax invoice issuedLabour cost on the job
模块

此方案使用的模块

190 个平台模块中的 7

The market this case is written for

南非

Everything in this case follows how construction work is measured, priced and paid for in this market. The forms, the cost breakdown and the payment rules are the ones used there, not a generic version of them.

Standards it follows

  • JBCC 6.2
  • SANS 1921

You do not have to set any of that up by hand. The first time you open the platform it asks which market you work in. Choose this one and it sets the interface language, loads the matching cost database and records the cost classification, and it adds an example project you can open straight away.

The rule checks for this market come with the platform too. Switch them on once and an estimate that misses something the market expects is flagged while you are still working on it, not after the tender has gone out.

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在范围变更还新鲜时就记录下来,依据你已约定的单价将其作为合同变更报价,并在下一期进度付款申请中计入,使额外工作能够获得补偿,而不是被悄悄吸收。

3 个步骤11 分钟打开
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管理分包工程

将某工种分包给分包商,以带付款计划表和保留金条款的分包合同确定下来,再按实际完成的工作逐期支付款项。

3 个步骤11 分钟打开
商务与合同

付款申请与对账

按合同对本期已完成工作进行估值,附上依据提出申请,并将已核证的金额与账户实际到账的金额进行对账。

3 个步骤12 分钟打开