liz3
14 days agoContributing User
PAYDAY SUPER
We decided to start the weekly super payments now rather than wait. One of the payments was post dated however the payment came out of our bank on the day I processed it:
As a result I now cant reconcile our bank account with MYOB.
I've tried to change the day on the payment in Manage payments but it won't let me.
Any ideas?
Also whilst it is coming out of our bank, it is taking a week or more to hit the employee's super account. Where is the money held while this happens?