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salary sacrifice included at Gross wages for W1 on BAS
Hi all, Not sure if already dealty with, but on the BAS at W1 Gross Wages - salary sacrifice amounts (after tax or RESC amounts) should not be included. First is this correct? Secondly on the Payroll Activity & payroll register reports by employee from AccountRight and MYOB Business Account right Plus - is the salary sacrifice amount deducted from the Gross wages amount? I dont believe it is. If this is the case which report can we use that lists the employees and details the correct gross wage (if salary sacrifice) is used? this also is required to reconcile for STP and for the amount report at W1 on the BAS. thank youSolved5.3KViews0likes4CommentsAnnual Leave Accrual Daily Rate Calculation
Hi there, could someone please tell me if I'm going crazy ... I've been reading and re-reading this help guide on the MYOB site, but for the life of me cannot get the same result they're getting. I've even tried different calculators. Am I completely missing something, or is this equation very wrong? How do you calculate annual leave entitlements? You calculate annual leave entitlements pro-rata based on an employee’s ordinary working hours. For example, a full-time employee working a 38-hour week throughout the year accrues annual leave at the rate of 2.923 hours per completed week of service (152/52 = 2.923), which equals 0.7308 hours of annual leave per working day. Use the formula: 152 hours of annual leave ÷ 52 weeks = 2.923 hours 2.923 hours ÷ 5 days = 0.7308 hours per working daySolved4.9KViews0likes5Commentshow to integrate stripe with MYOB
Hi I am looking at becoming an MYOB customer. However, I need MYOB to integrate with Stripe as my website uses that as the payment gateway. Also I need it to integrate with invoice2go. Before I make the commitment to signup as a paying subscriber as I heard MYOB is better than XERO.Why can't I match employee pays in Bank transactions?
Hi Everyone If you've been upgraded to the newer MYOB Business platform and employee pays aren't appearing in the Bank transactions window the most common cause is the employee's Payment method is Electronic. We've added the ability to pay suppliers electronically in the newer platform, this means that the process for creating bank files has changed. If the employee's Payment method is Electronic, the net pay amount is allocated to the electronic clearing account instead of the bank account. You'll need to process the electronic payment transaction to move the amount from the electronic clearing account to the bank account. Before you can process the electronic payment transaction you'll need to do the one-time set up of electronic payments: Setting up electronic payments Once that's done you can make the electronic payment: Go to Banking>>Prepare electronic payments Enter the date and make sure the account selected in the Account field is the bank account Tick the applicable pay transactions Click on Download bank file Once that process has been completed you'll find you can match the electronic payment transaction with the bank feed transaction using the Match transaction option for the required bank transaction. How can I tell if pays have been allocated to the electronic clearing account? There's a few places you can check this - Go to Banking>>Prepare electronic payments, if they've been allocated to the electronic clearing account they'll be in this window Go to Banking>>Find transactions>>locate and open a pay transaction>>check the account selected in the Account field Go to Payroll>>Employees>>open the employee card>>Payment details tab>>Payment method What do I do if I have already paid the employee wages? If you have paid this employee through another means other than direct bank file i.e. cash or bank transfer, you'll still need to set up and make the electronic payment (as outlined above). This process generates a transaction in software to represent that electronic payment to ensure that your MYOB Business accounts match that of your bank transactions for reconciling. Please note: When selecting Download bank file a bank files is generated. Do not upload this file to your bank if you have already paid the employee. Doing so will pay the employee again if you upload that to your bank for processing. What if I don't want to pay my employees using a bank file? As the original transaction was processed electronically, you'll still need to complete that process for pays that have already been recorded. To prevent this situation from occurring in the future do complete the following process: Navigate to your employee's card -- Payroll>>Employees>>Open the employee's card Select the Payments details tab Update the Payment Method to Cash or Cheque If you are using this method, we also recommend reviewing your link account for cash or cheque payments. This is done in Accounting>>Manage linked accounts>>Payroll. You want to ensure that the bank account you will be using to reflect that payment is listed in this window as the Bank account for Cash payments or the Bank Account for Cheque payments (depending on the payment method selected for on the employee's card). Need further assistance? If you further help with this don't hesitate to start a new post and we'll be happy to assist.3.9KViews5likes0CommentsHECS/HELP debt versus Financial Supplement debt
On the TFN declaration form, in question 10, it asks: "Do you have a Higher Education Loan Program (HELP), VET Student Loan (VSL), Financial Supplement (FS), Student Start-up Loan (SSL) or Trade Support Loan (TSL) debt?" The options are "Yes" or "No". However, in MYOB, there are two separate tick boxes: one to tick if the employee has a HECS or HELP debt, and one if the employee has a Financial Supplement debt. Why is there this discrepancy? Also, on the TFN form it says that "Your payer will withhold additional amounts to cover any compulsory repayment that may be raised on your notice of assessment" if the employee ticks the box "Yes" at question 10. Does MYOB automatically calculate this amount? If so, where does it show on the employee's records in MYOB? If not calculated automatically, how does an employer set this up in MYOB?3.8KViews0likes1CommentApplying credits to a supplier payment?
Hi Forum!!! Been a while between drinks, every now and then I get annoyed enough that I MAKE time to come here and vent my frustration at the clunkiness of this darn software, and here's one of those days... Back in June last year, a fellow by the name of Conspirio posted about Supplier Credits. Now, to me, his issue is that he needed to apply a Supplier Credit to a Supplier Payment. As in, a Supplier Bill was processed & paid, then a Credit was received from the Supplier which needed to be applied to the Payment which frees the payment amount to be applied to another Bill from the Supplier. Well, that's how I read it anyway, and I don't feel the issue was resolved, then the thread was closed, so I've copied & pasted the comments from that thread into this post, hoping that we can get a resolution, coz I have this issue & I'm really, really frustrated!!! So, just in case, I've not made it clear, the next step I've taken is to process the Supplier Credit as a Negative Bill (which is ridiculous), but how do we apply the Credit to the Paid Bill freeing up the payment amount to be applied to another Bill from that Supplier? The only option I can think of, is to delete the payment originally made, apply the Credit to the bill and apply the original payment to a later Bill, but that has all sorts of ramifications with regard to GST and Bank Reconciliations... Here's where the last thread went... Conspirio Hi guy's, I am wondering how, or if there's a easier way then I'm trying to do, but all I want to do is add a supplier credit to my supplier payment. I'm sorry if this doesn't make sense but I'm Leaning as I go. I have let's say $2000 of supplier bills to pay, I also have $500 of supplier credits to be applied. The invoices relating to the credits are paid and gone. I'm trying to create a supplier payment by clicking the invoices I wish to pat but do not have the option to apply the credits that are entered into the system as they're simply not listed. For example I'd like to select the $2000 worth of invoices, the select the $500 credit to show I've paid $1500 total. Is this even possible or am I attacking this completely wrong? Thanks for reading and any advise 🙏 MMTSR I'm so glad you asked this question. I,too, am frustrated with the way you have to enter a 'credit" as a 'bill'...but when you go to make a supplier payment...the credits dont appear in your bill list, to be checked off with the payments. VERY ANNOYING. The credits have to be applied using the supplier returns function...but then don't appear on the remittance advice sent to the supplier. I have to manually advise the credits that have been applied on the remittance before sending. EVEN MORE ANNOYING!! Earl_HD Hi @Conspirio Thank you so much for your post. Yes you're doing it correctly, To process a customer credit for times when a customer returns an item or cancels their order, you first need to record a credit transaction and then record the settlement of the credit as a refund or by applying it to another outstanding invoice. This help article will give you more information about Settling customer credits and Customer returns, credits and refunds Regards, Earl MYOB Community Forum @MMTSR Is there any chance the software designers can include the credits in the supplier invoices list, to be checked off when making the supplier payment? Then maybe they can show in the remittance advice also? I have to manually list all credits applied when sending the remittance. Conspirio Earl, unfortunately your response makes little sense as I am talking about supplier credits, not customer credits. The issue inam referring to is exactly the same as MM has reported it is frustratingly difficult to process a simple credit note from a supplier. Celia_B Hi @Conspirio Thank you for your post. And we appreciate your patience in the issue. And thanks for updating us and getting back to us. I can see how this situation affected you. In general, If you want to apply a credit note on the supplier credit, You can enter a negative line creating a bill by entering the No of units as a negative and the Unit price as a Positive. So to record a supplier credit note, go to Create Bill and enter No of units as negative. You will then be able to process the supplier return. You can check on this Help Article: Entering Payments made to suppliers this can serve as a guide and it contains more information. I hope this helps. If you need further assistance feel free to post again. I'm happy to assist. If my response has answered your inquiry please click "Accept as Solution" to assist other users find this information. Cheers, Cel MYOB Community Forum3.8KViews3likes18CommentsSecure Invoicing
I have a few concerns about the new Secure Invoicing upgrade we are being basically forced to do. We don't have online payments from our customers and probably never will. So now instead of emailing our invoices through MTOB we have to print to PDF and then send through Outlook for example. What if we have 50 invoices to send?? So how do we answer the upgrade questions when we don't have customer payments. Further to this I don't understand why MYOB would need our turnover etc. What has this got to do with Secure Invoicing. MYOB just get around this question by advising of their Privacy Policy.3.8KViews40likes116CommentsProcessing Supplier Return on Closed Bill
I purchased something from a supplier, but had to return it because it was not correct. The Bill I created for the purchase is closed, and so I am trying to work out how to process the return. I followed these instructions: https://help.myob.com/wiki/display/myob/Processing+supplier+returns which in effect says to create a new bill on the same supplier with negative amounts, but when I go to save it, I get these errors: An unrecognised error occurred - PurchaseEvent_NotMatchLiabilityAccountForTrackingPayables An unrecognised error occurred - PurchaseEvent_NotLiabilityAccountWarning An unrecognised error occurred - CommonRules_DecimalMinValue So, not sure what's going wrong. Anyone able to help out? Thanks, MikeSolvedI would like to cancel my subscription
As we are no longer employing I would like to cancel my subscription. However I cannot access chat without accepting the new terms and as I no longer want to use this service that seems silly. There are no obvious pathways to acheive this and no way to contact a real person just redirection after redirectionSolved3.3KViews0likes2CommentsWhere can I see sent emails sent to customers from MYOB (Invoices/Reminders)
Hi there - I am new to all of this. I have checked everywhere and looked through the help menu but cannot find where I can check to see if an invoice or if a reminder has been sent to a customer. I use MYOB Business ThanksSolved3.2KViews0likes1CommentBills from Intray are not matching to default account Code.
When creating a Bill from the intray the system is correctly identifying the correct supplier and amounts but is not loading the default account code for the supplier. This is occuring on EVERY bill so not an issue that the bills are being scanned incorrectly. Includes scanned bills and PDF documents loaded directly. Work around is to load the account code manually which isn't ideal.2.9KViews7likes34CommentsUsing app.MYOB in the Browser Pros and Cons; Changing from PC to Mac
MYOB Partners - please help! We are a business that is trying to make two transitions: 1. moving from PC to MAC laptops; and 2. moving from PC software MYOB AccountRight online to the app.myob file accessed via browser. Essentially my questions are: - How will be able to access our backup files from the browser version using a MAC laptop? - Will we lose any funcationality by working on the app.myob file: payroll, banking, STP, PaySuper, Reporting, Forms? - How will we be able to download our data onto the MAC laptop at a later date and work offline? - Can our Accountant read our data if we change from PC software to MAC software after we change our laptops? Looking forward to getting some adviceSolved2.9KViews0likes4CommentsRecording personal transactions as owner drawings setup
G'day all looking for some help many variable answers that I have found but still left confused 😐 I am a sole trader I have just started a business I need to enter expenses bills and receipts for items purchased for the business from what I have learnt I believe that this is done by the following set up an account under credit cards label it owner drawings as I am a sole trader (I am not a company so director loan I believe is not appropriate) unsure as to the category for liability I believe it is current liability ? Goal to enter bills and receipts For purchases made Office equipment etc and when the business has earnings from invoices issued make repayments to myself for the start-up cost any help would be much appreciated I know there are many topics on this but I have not been able to find something Pacific in regards to soul traders mainly companies I am confused if it is a liability account only if you are a company director loan2.8KViews0likes1CommentMYOB payroll transactions not matching
Hi, Im having some confusing issues with Payroll and trying to match up in the bank feed. Previously they were all matching, but now when I hit match, 2 x payroll tranasctions come up that I deleted or reversed ages ago, which the balance is at 0.00. I dont understand why the same transaction keeps coming up as a match. I suspect that they are now going through Payroll clearing account - but how to do I find the payroll clearing account and its transactions and can it just be changed back again to the same account I was originally using. Im tearing my hair out. Any ideas from anyone? Thanks in advance! Heidi2.8KViews0likes21CommentsExporting transaction data to excel
Am I missing something - I just want to export transaction data to a csv file. Ideally I just want to use the "find transactions" function (from Banking) but then have an Export option or something that gives me that option. The nearest I could find was the General Ledger Report where if I "Expand" it gives me the transactions but then the rows look like the actual report with blank rows and heading data. Cheers Andrew2.8KViews1like6CommentsCredit Card Surcharge
Hi Guys, We have started giving our customer the Credit Card Surcharge costs. As I can see in our receipt it adds it to their payment, and MYOB has reconcilled it in Bank Fees fine. We have received an Invoice from MYOB for the 6 Transactions in August, although there is a descrepancy between what MYOB charged us $260.30 - and what our customer was charged $254.23. Can someone help me wrap my head around this - this is the first month that we are using this and I have read all of the help pages on charges. Am I missing a fee or something??Super for Contractors
Hi There; I am new to MYOB and was looking for some assistance on setting up super payment for our contractors. The contractors are not employees and I have already set up them as suppliers. But how do I pay their super? I was told that one way is asking for a separated invoice for the supper amount only, has anyone done that before? I would appreciate the assistance. Best regards; AntonioSolved2.6KViews2likes3Comments