Hi,
Thanks for your response. Our issue is that the original super payment that was reversed is not in the bank feeds so we now have two payments in the bank feeds but only one super transaction. We have tried creating a spend money entry but this then throws the bank reconciliation out.
If I recreate the pay this then will change our liability for superannuation so I am assuming that I create a negative and positive super pay to the provision account and journal the positive to a clearing account as i have used the overpayment to balance out the February liability.
Thanks