Forum Discussion
MatheusToledo
1 year agoContributing User
Can you explain better, please?
- ChrisMc11 months agoMYOB Staff
ok apologies for confusion
Step 1
review the cheque transactions created in the bank account calculate the total of these transactions
Step 2
create a receive money for this total on the same day as the payroll cheques and post to an asset account cash draw or contra clearing category
Step 3
To clear the cash draw or contra clearing account, we need to determine where the cash is from.
if the cash is from your personal bank account, then clear via drawings category
if business cash then clear via petty cash
Looking for something else?
Search the Community Forum for answers or find your topic and get the conversation started!
Learn, solve, grow
Level up your skills and find answers across all MYOB products