Forum Discussion

CLH13's avatar
7 years ago
Solved

Can I match two bank feed transactions to one AccountRight transaction and how to go about it?

Not entirely sure this the right board, however needs must.

 

Long story short - after doing first ever payroll, the amounts paid by direct deposit had not been amended so I've two separate bank feed transactions - "old" pay amount plus top-up - that I need to match to a single AccountRight transaction. Is this possible and what is the easiest/cleanest means by which to do so.

  • CLH13 LRBooks61 

     

    Welcome to the MYOB Community Forum, I hope you find plenty of useful information.

     

    It is a very simple procedure, you use a clearing account such as undeposited funds. In your cash I would use the Payroll Clearing Account.

     First open the payroll Linked accounts and check that the Cash payments are from the Payroll Clearing Account.

    Then open the transaction and change the pay from account to "Cash".

    Now in the Bank feeds allocate the two transactions to the Payroll clearing account.

    The net result should be zero.

     

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  • LRBooks61's avatar
    LRBooks61
    Ultimate Cover User
    7 years ago

    Unfortunately you are unable to match the transactions with the one MYOB entry. You should firstly ensure that the entries do indeed match and then you will need to hide the transactions in the bank feed (right click on the entry) and then manually reconcile the entry in myob.

     

    hope that makes sense to you, good luck

     

    lisa

  • GDay53's avatar
    GDay53
    Ultimate Cover User
    7 years ago

    CLH13 LRBooks61 

     

    Welcome to the MYOB Community Forum, I hope you find plenty of useful information.

     

    It is a very simple procedure, you use a clearing account such as undeposited funds. In your cash I would use the Payroll Clearing Account.

     First open the payroll Linked accounts and check that the Cash payments are from the Payroll Clearing Account.

    Then open the transaction and change the pay from account to "Cash".

    Now in the Bank feeds allocate the two transactions to the Payroll clearing account.

    The net result should be zero.