Year End Processing
- Period Update error: Wind up fund
- Contribution Reserve and Request to Adjust Concessional Contribution (from 2015 FY onwards)
- Error 500 when requesting Actuarial Certificate
- Example of Contribution Reserve and Request to Adjust Concessional Contribution (from 2015 FY onwards)
- How do I read the ELS Validation message for the return I just lodged?
- How to add a TBAR event from an external fund in Class
- How to change the Contact Person's information on TBAR file
- How to complete the End of Year Processing
- How to enter PAYG Income Tax Instalment in a first year fund for the prior year?
- How to get the correct ECPI for a fund with a defined benefit pension
- How to make the auditor information automatically populate in the Annual Return
- How to stop data feeds coming into a Winding Up Fund
- How to track the Early Stage Venture Capital Limited Partnership (ESVCLP) tax offset
- How to update Annual Return to reflect the amendment of Provision for Income Tax
- I have a non-resident SMSF but Class is not calculating the tax correctly.
- Period update error message "A disposal of $xxx xxx units of Foreign cash account on 30/06/201X cannot be matched due to insufficient holding"
- Request audit error: there was a problem transmitting your request to ASF Audits/SuperKnowHow. Please contact Class Support.
- There is no Capital Gain Event during the year, but the Annual Return shows "Yes" to CGT Event question
- Transfer Balance Account Reporting (TBAR): summary of knowledge base articles
- Unable to access Browse Activity Statements
- Which lump sum payment code should I choose in the Annual Return when there are more than one lump sum payment types?
- Why is Class treating the fund as Deemed Unsegregated when it is in pension phase?
- Why is the actuarial percentage not appearing in the Tax Accounting Reconciliation report?
- Why is the ECPI calculation incorrect when there are two fund policies?
- Why is the Provision for Income Tax out by the Supervisory Levy?