This stage executes the disbursement of net pay to employees and remittances to third parties. It includes the preparation of direct
deposit files, checks, digital wallets, and vendor payments for benefits or garnishments.
Outcomes:
• Employees receive pay on time
• Funds are allocated to all required parties
• Confirmations and reconciliations are logged
Enabling Capabilities:
• Payment Execution
• Banking Integration
• Treasury & Cash Management
• Exception & Return Handling