InPay Integration

Depending on the options you have chosen as part of your contract, you may have InPay integrated to your RSM InTime solution.  InPay provides payroll processing for your PAYE contractors.  This section defines how the data is shared between the two systems.  Please click here for more information on InPay.

When you create a PAYE contractor in RSM InTime, an employee record will automatically be created in InPay.  From that point on the data will be synchronised between the two systems.  There are certain fields that can only be changed using InPay once a contractor has been successfully created in InPay.  This is because some fields are controlled as part of a payroll process, for example the contractor's tax code.

In order to pay the workers, approved timesheets and expenses are Exported from RSM InTime to InPay using the export screen. These will appear for payment in the current payroll period and can be seen on the employees payslip.

After the payroll has been processed and committed the payslip information can be synchronised back to RSM InTime. This will update the associated Pension and NI information which is then included in the margin report.

Data Synchronisation

Workers/Employees

Workers that have PAYE worker type or are limited but set to Pay Through InPay in RSM InTime are sent to InPay. Other workers are not synchronised as they do not need to be paid through PAYE. You can identify if a worker has been synchronised to InPay as they will have an inpayID number on the worker details page.

When a worker is created in RSM InTime the following fields are mandatory:

  • Worker's Primary Reference becomes the InPay employee number
  • Title, First name and Last name
  • Email address
  • Gender
  • National Insurance Number
  • NI Table Letter
  • Date of Birth
  • Date of Joining
  • Payment frequency, this determines the InPay payroll.
  • Payment Method, if BACS is selected Bank Account Name, Bank Account Number and Sort Code are also required.

In addition the following attributes are also used as part of creating a new employee record in InPay

  • Address
  • Phone numbers
  • Email Payslip setting
  • Week 1/Month 1 setting
  • Payroll Tax Code

Once a worker is synchronised the following attributes will be read-only in RSM InTime and can only be modified from within InPay.  The updated values will be reflected in RSM InTime.

  • National Insurance Number
  • Date of Joining
  • Payment frequency
  • PAYE Tax Code
  • NI Table Letter

Timesheets /Expenses

On export the payable details for a timesheet are exported on a per pay element basis. This facilitates breaking the total pay down so that parts can be processed differently. For example some pay elements accrue holiday where others don't. Some pay elements can be taxable and NIable and others aren't.

If the Worker or Client has the On Hold field ticked, it will prevent any associated timesheets from being exported.

Payslips

Payslip synchronisation is accessed under the Administration - Synchronise Payslips menu. If a sync is already in process the progress will be shown otherwise you will be given the option to start the synchronisation. 

This process reads back the Pay data from IinPay including the Pension and ERNI deductions. It is not mandatory to synchronise the payslip data but it provides RSM InTime with additional data that can be used in the margin report to give more accurate figures.

Holiday Claims

If you have an InPay holiday scheme enabled holiday claim information is also passed between the two systems. Please see the InPay Holiday Scheme page for more information.

Exporting financial data from RSM InTime to InPay 

You have the ability to align your location/department data from RSM InTime. This information can be updated when your timesheets or expenses are exported, thus streamlining your processes and minimising errors.  

Please note if you have a front office integration you will need to assess your mappings from your CRM into RSM InTime in the first instance. 

You have the option of using our default mapping or having a customisable script, either option will be set up initially by our Support Team

Default Mapping is as follows:

RSM InTime Placement  

InPay Location 

Start Date 

Start Date 

Sales Division

Division

Sales Department

Department

Sales Location

Location

N/A

Cost Centre splits

N/A 

Department Splits 


Using the Placement's Financial Tab, and set up the appropriate values within the fields below. This data will be transferred to InPay when you export a timesheet or expense for that placement. 

You will then be able to see these within InPay by going to Employees - Location Details, and search for that worker. You will see that the Start Date, Location, Division and Department has been populated. 

If you wish to use a customisable script, this will give you the ability to set split values for Departments and Cost centres as well. The Support Team will assist with this. 

On the Placement's Financial tab you can add Sales Department and Sales Cost Centre codes. 

You will then be able to see these within InPay by going to Employees - Location details, and search for that worker. Not only will you see that the Start Date, Location, Division and Department has been populated, but the Department splits and Cost Centre splits will also been shown according to the customisation you have set up. 

Click Financial tags to learn more about what they can do for your RSM InTime instance.