Publication90-B
01/2014
NewYorkStateDepartmentofTaxationandFinance
NewYorkStateSpecificationsforElectronicBulkPaymentsofFiduciaryIncomeand
EstimatedTax
TaxYear2013
TaleofContents
Introduction…………………………………………………………………..……………………3ChangesforTaxYear2013……………….………………………………………………..4Programparticipation 5
Testingandcertification...... 6
PartII:Filingestimatedtax(IT-2106)andIT-205balance due payments...... 7
Filingand processing procedures...... 8
Appendix...... 10
Contactinformation...... 10
Fedwirespecifications...... 11
Checktransmittal form...... 13
Note:
Forsoftwaredevelopers–FileFormatandRecordLayoutsareavailableinseparatedocumentsonourwebsite
1.FormIT-2106EstimatedTaxandIT-205BalanceDuePaymentRecordLayout
Introduction
TheNewYorkState(NYS)DepartmentofTaxationandFinanceoffersthefollowingprogramforfiduciaryreturnpaymentsandestimatedtaxpayments:
ElectronicpaymentvoucherthroughNYS’sprogramfor:
A.FormIT-205balancedue
B.FormIT-2106,EstimatedIncomeTaxPaymentVoucherforFiduciaries
ThispaymentoptionenablesalargeFiduciaryfiler,suchasafinancialinstitution,tomakeonepaymentcoveringmanyaccounts.IndividualFiduciaryfilershouldusetheElectronicFundsWithdrawal(ACHdebit)optiontopaythebalancedueonane-filedIT-205.
Note:e-filersmayparticipateintheprogramabove.
ChangesforTaxYear2013
No new updates for 2013.
ProgramParticipation
Allpreparers,softwaredevelopersande-serviceprovidersmayparticipateinNYS’sfiduciaryBulkFilerprogram.NYSwillacceptBulkFilesonlyfromapprovedsoftwareprovidersortransmitters.
Newapplicants
Newapplicants(fiduciaries,softwareproviders,andtransmitters)totheelectronicpaymentvoucherprogramshouldcontactthee-fileHelpdeskat518-457-6387. Thee-fileunitwillsendnewapplicantsaformtoobtainthenecessaryapplicantcontact,e-fileprogramandelectronicpaymentprograminformation.
Currentparticipants
Currentparticipantsintheelectronicpaymentvoucherprogramshouldnotifythee-fileHelpdeskat518-457-6387whenthereisachangetothecontactandprograminformationinitiallyprovided.
TestingandCertification
Electronicpaymentvoucherprogram:AllnewsoftwaredevelopersandtransmittersarerequiredtotestwithNYS.Newfilers,filingthroughapprovedsoftwareproviders,arenotrequiredtotest.
Contactthee-fileHelpDeskat518-457-6387 forinformationabouttestingandcertification.
FilingEstimated Tax(IT‐2106)andIT‐205 balanceduepayments
ThispaymentoptionenablesaFiduciaryfilertomakeonepaymentcoveringmultipletrust/estateaccounts.Thisprocesshasadatatransmissioncomponent(accountinformation,taxperiod,amount,etc.)andapaymentcomponent(fedwireorpapercheckremittance).Afedwiremustconformtotheformatspecifiedintheappendix.ApaymentbyacheckmustbeaccompaniedbyaCheckTransmittalForm(seeappendix)toinsurethatitisappliedcorrectly.
ElectronicIT-2106estimatedtaxpaymentsandelectronicIT-205balanceduepaymentsusethesamerecordlayoutandmethodologyforprocessingpaymentvoucherdataandpayments.Fiduciaryfilersshouldfollowtheirsoftwareprovider’sinstructions.Thepaymentduedatesarethesameforfilingelectronicallyoronpaper.
Softwaredevelopersshouldreferto IT-2106EstimatedTaxandIT-205BalanceDuePaymentRecord.ThefieldQuarter/DueDateontherecordlayoutindicateswhetherthepaymentisforestimatedtaxorforIT-205balancedue.
WhenfilingIT-205paymentdata,theNewYorkCityamountandYonkersamountfieldsshouldbeblank,andtheNYSamountshouldbeequaltotheTotalAmountfield.
Eachtransmissioncontainstrust/estateaccountsdataforthesametaxperiod.Afilercancreatemultipletransmissionsforthesametaxperiod(e.g.,toaddmorepayments).However,donotmixdifferenttaxperiodsinthesametransmission.Thereisnolimitonthenumberofaccountsforwhichaprogramparticipantcanfile.Voucherrecordscanbesortedinanyorderonthevoucherfile.
Paymentprocessingcenter
PaymentvoucherdataistransmittedtoNYS’spaymentprocessingcenter,JPMorganChase.Payment(byfedwireorabankcheck)isalsosenttoNYS’spaymentprocessingcenter.
NYS’spaymentprocessingcenterisresponsibleforreceivingfilingsdirectlyfromfilersandprocessingthedatainaccordancewiththeNYSrequirements,includingvalidatingandreconcilingthedata,andprovidingacknowledgmentofsuccessfulprocessing.NYS’spaymentprocessingcenterwillworkwithprogramparticipantstoestablishdatacommunications,andoperationallywillberesponsibleforcommunicatingwithafiduciaryfiler’sdesignatedcontact(s)forresolvingproblemsdirectlyrelatedtothetransmissionofvoucherdataandtheassociatedpayment.
NYSretainsdirectresponsibilityforallprocessingofthetaxdatasubsequenttopaymentprocessingcenterinvolvement,includingmaintainingandreconcilingtaxpayeraccounts,and
protestandexceptionresolution.
Filingandprocessingprocedures
A.Settingupandtestinganew bulkfileraccount-Tosetupanewbulkfiler,DTFnotifiesprocessingcenterJPMCthatthereisanewfilerwhowishestotestconnectivity.
1.ArepresentativefromJPMCwillcontactthefileranddirectthemtoprovidethefollowinginformationfortestingpurposes:
FilerIDandname
Datevoucherdataandpaymentwillbesent
Numberofvoucherrecordsandtotalamount
Paymentmethod(fedwireorcheck)andamount
2.JPMCwillprovidetransmissionprotocoltothefilers.
3.Ifthefiledoesn’tpasstheeditsandvalidations,JPMCwillcontactthefilertoresolvetheproblem.Thefilermayneedtocorrecterrorsinthefileandre-transmit.
4.Ifthefilepassestheeditsandvalidations,JPMCwillacknowledgethereceiptbye-mailtothefiler.
B.Filingandmakingpayments-Oncetestingiscomplete,filersmustusethefollowingprocedurestosendvoucherdatafilesandpaymentstoJPMC:
1.FilertransmitsvoucherdatatoJPMCviatheinternetusingtransmissionprotocolprovidedbyJPMC.
2.Ifthereisanytransmissionproblem,filersshouldcontactthee-filehelpdesk(seeAppendixContactInformation).
3.FilerinitiateswiretransfertoJPMCormailssinglecheckwithChecktransmittalformtoJPMC.
4.FilershouldensurethatvoucherdateandmatchingpaymentarebothreceivedatJPMConthesameday.
5.JPMCwillcontactDTFifthematchingpaymentforavoucherdatafileisnotreceived(orpaymentreceivedwithoutmatchingdatafile)withinthreebusinessdays.DTFwillcontactthefilertosendtheamountdue.
C.Confirmingandvalidatingfiles
1.JPMCvalidatesthefilereceived
2.Ifthefilefailstheeditsandvalidations,JPMCwillcontactDTFtoresolvetheissue.
Thefilermayneedtocorrecterrorsinthefileandre-transmit.
3.Ifthefilepassestheeditsandvalidations,JPMCwillacknowledgereceiptofthefilebye-mailtothefiler.
D.Reconcilingvoucherdataandpayment
1.JPMCreconcilesthevoucherdataandthepaymentreceived.
2.Ifthepaymentreconcileswiththedatafile,JPMCwillsendthefilerareconciliatione-mailstatingthenumberofvoucherrecordsandtotalpaymentreceived.
3.Ifthepaymentdoesn’treconcilewiththevoucherdatafile,eitherJPMCorDTFwillcontactthefiler.
Ifthepaymentiscorrectbutthedataisincorrect,JPMCwilldeletethedatafileand thefilermusttransmitacorrectedfileassoonaspossible.
Ifthepayment(fedwire)isincorrectanditis greaterthanthetotalamountspecifiedinthedatafile,DTFwillrequirethatthefilersendacorrecteddatafiletomatchthefedwireamount.
Ifthepayment(fedwire)isincorrectanditislessthanthetotalamountspecifiedinthedatafile,thefilermustsendanadditionalfedwireforthedifference.
Ifthepayment(check)isincorrectanditisgreaterthanthetotalamountspecifiedin thedatafile,JPMCwillreturnthechecktothefilerandhavethefilersendanew checkforthecorrectamountwithaChecktransmittalform.
Additionalpayments(ifinitialpaymentisshort)andreplacementpaymentsmustbereceivedwithintwobusinessdaysofnotificationortheywillbeconsideredlate.
Appendix
ContactInformation
DepartmentofTaxationandFinance
Returninquiries:e-fileHelpDesk:518-457-6387
MailchecksforelectronicIT-2106estimatedtax/IT-205balanceduepaymentswithChecktransmittalfromto:
JPMORGANCHASE
BULKFILER–MAGPROCESSING33LEWISRD
BINGHAMTON,NY13905-1040
Fielddescription / Line / Field / Fieldinput / FootnotePrimaryInformationArea
Prioritycode / 1 / 1 / 02 / Usedbythe
FederalReserve.
Inputismandatoryand
isalways02.
Receivingbank
identifier / 2 / 2 / 071000013 / Specifiesthe
RDFIorReceiving
Bank'sTransitRouting.Inputismandatoryandisalways071000013.
Fedwire
type/subtype / 2 / 3 / 1000 / Usedbythe
FederalReservetodescribecertain
characteristicsofthetransaction.Inputismandatoryand
isalways1000.
Sendingbank
identifier / 3 / 4 / Numeric / Specifies
sendingbank'stransitrouting
number.
Inputismandatory.
Fedwireclasscode / 3 / 5 / Numeric / Foroptionaluse
bysendingbank.
Sendingbank
Reference / 3 / 6 / Numeric / Areference
numberassignedbythesendingbank.
Fedwiredollar
amount / 3 / 7 / Numeric / Specifiesthe
dollaramountoftheFedwire.ThisisthepaymentthatwillberemittedtoNewYorkState.
Sendingbankname / 4 / 8 / Alpha-numeric / Abbreviationof
sendingbank.Inputis
mandatory.
Orderparty / 4 / 9 / Alpha-numeric / Specifiesthe
legalnameofthecompany
remitting
payment.Thisfieldismandatoryand
shouldbestructuredasfollows:ORG=yourcompany’slegalname;For
example,ORG=ABC
Corporation.
Third-partyinformation
Receivingbank / 5 / 10 / JPMorganChase / Abbreviationof
thereceivingbank'sname.Inputis
mandatoryandisalways
JPMorganChase.
Productcode / 5 / 11 / CTR / Describesthe
transactiontype.InputismandatoryandisalwaysCTR
(customertransfer).
Thirdparty/beneficiary / 5 / 12 / BNF=NYSDTF / Specifiesthe
receivingparty.InputismandatoryandisalwaysBNF
=NYSDTF
(NewYork
StateDepartmentofTaxationandFinance).
Beneficiaryaccount
number / 5 / 13 / 658562574 / Specifies
accountnumberoftheDepartmentof
Taxationand
Finance.Inputis
mandatoryandisalways
658562574.
Originatorto
beneficiaryinformation / 67 / 14 / Numeric / Seethe
Originatortobeneficiaryformat(field14)
tablebelow.
Fedwirespecifications
Originatortobeneficiaryformat(field14)
ThistableshowstheformatfortheOriginatortobeneficiaryinformation(field14).Thisfieldismadeupofseveralsub-fieldsandiswherespecifictaxfilinginformationisreported.
Subpositiondescription / Position / Fieldsize / Fieldinput / CommentsSegmentidentifier / 1-4 / 4 / OBI= / Indicatesthe
beginningofyourcompany'staxidentifyinginformation.
InputismandatoryandisalwaysOBI=.
Separator / 5 / 1 / *
Taxtypecode / 6-7 / 2 / ET / Identifiesthetax
paymenttype.InputisalwaysET.
Separator / 8 / 1 / *
Accountname / 9-25 / 17 / “NYS
ESTIMATEDTAX” / Identifiesthetax
accountname.Inputisalways
NYSESTIMATEDTAX.
Separator / 26 / 1 / *
FilerID / 27-30 / 4 / Numeric / 4-digitnumber
assignedbyNYSTaxDepartment.
Separator / 31 / 1 / *
Taxperiod/payment
type / 32-33 / 2 / Alpha-numeric / Nolongerrequired
Separator / 34 / 1 / *
Numberofvoucher
datarecords / 35-40 / 6 / Numeric / Specifiesthe
numberofvoucherrecordsincludedin
thefilewhichcorrespondstothispayment.
Rightjustified
withunusedspaces
filledwithzeroes.
Separator / 41 / 1 / *
Totalpaymentamount / 42-53 / 12 / Numeric / Specifiesthe
amountofthepayment.Rightjustified,dollarsandno
cents,unusedspaces.
Filledwithzeroes.Must=sumofTotalamountfiled
fromallvoucherrecordsonthevoucherdatafile.
Checktransmittal form
NewYorkStateDepartmentofTaxationandFinanceEstimatedTaxPayments(IT-2106)andIT-205BalanceDuePaymentsSectionA---Tobecompletedbyfiduciaryfiler
1.Firm'sname:
2.Firm’sAddress:
3.NYSassignedFilerID:(4digits)
4.Voucherfilinginformation:
(Theinformationinitems4athrough4ebelowmustcorrespondtothevoucherfilingassociatedwiththispayment)
Taxperiod(e.g.2011IT-205balancedue;2012IT-2106Quarter1):
b.Datevoucherfiletransmitted:
c.Numberofvoucherrecords:
d.Totalpaymentamount (checkamount): $.00
EnclosewiththisformacheckmadepayabletoNYS
IncomeTax.
Indicateonthecheckyour4-digitFilerID,IT-2106,orIT-205balancedue,andtaxyear
Sendto:
JPMorganChase
BulkFiler–MagProcessing 33Lewis Road
BinghamtonNY13905-1040 / SECTIONB
FORDTFUSEONLY
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Datereceived: