Employee reimbursement
Hi all.
I have looked for the answer for my situation but I couldn't find it so I hope someone could guide me to the right direction.
So I have followed the instruction on how to reimburse an employee. I've made an credit card clearing account and wage category, exemption for super, did the payroll then paid and recorded as Spend money.
However, after I paid the money to their bank account, this transaction is set as "unallocated".
How should I allocate those items without making double count for each expence account as all the numbers in the account is balanced already?
Thanks so much.
Hi YokoT1205
Thanks for your post. The process for employee reimbursements is:
- enter the reimbursement in the pay run against the reimbursment pay item
- transfer the employee wages to their bank account, which includes the reimbursement
- record the Spend money transaction for the purchase selecting the Employee reimbursement liability account in the Bank account field
- match the pay transaction to the bank feed transaction in the Bank transactions window
To match a bank feed transaction, click on the expand arrow>>Match transaction>>tick the transaction and Save.
Please let me know if you need further help.
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