Employee: The employee signs a contract for technology purchase at a retail location. This initiates an invoice in NetSuite that the employee is responsible for paying. Unit Staff: The unit staff are responsible for creating a contract with the customer and processing transactions in their local system. Payroll Staff: Manage payroll deductions and submit transaction details to FTC for reconciliation. Follow up on contract variances as needed. Financial Transaction Center (FTC): Responsible for the sending new contracts to Payroll and reconciliation of employee receivables in NetSuite and the Payroll Office transactions. Issues identified must be brought to the attention of the Payroll Office so they can be addressed appropriately and corrected. |