Forum Discussion

Ama2's avatar
Ama2
User
2 months ago
Solved

Overpayment from account but not payroll - how can I reconcile this?

Hi all

 

I accidentally overpaid an employee 29 cents but didn't realise for a few weeks.  The overpayment was from the bank account but not reflected in STP, which showed the correct amount. The employee has now paid this tiny amount back but I don't know how to enter this into MYOB to reconcile it with my statement. 

 

Any suggestions greatly appreciated.

 

:-)

  • Hi Ama2 

     

    It's great to have you in our community forum!

     

    Thank you for your post. I found this post that has detailed information provided by Steven_M that should work for you.

     

    Alternatively, you may do the following steps below:

    • Create a payroll clearing account or a suspense account.
    • Create a Receive Money entry for the overpayment in the bank account and allocate it to the Clearing or Suspense Account.
    • Allocate the correct payroll payment and the overpayment deposit on the bank feed to the clearing or suspense account. The balance should be zero.
    • Open the bank reconciliation screen and manually tick both the overpayment deposit and payment. The bank account should then reconcile.

    Let me know if you still require further help with this. On the other hand, you can also reach out to our virtual assistant, MOCA, on our website, or you can request support via my account at myob.com. 

     

    Otherwise, if my response has answered your inquiry, please click "Accept as Solution" to help other users find this information. 

     

     

    Kind regards,

    Shella

2 Replies

  • Shella_A's avatar
    Shella_A
    MYOB Moderator

    Hi Ama2 

     

    It's great to have you in our community forum!

     

    Thank you for your post. I found this post that has detailed information provided by Steven_M that should work for you.

     

    Alternatively, you may do the following steps below:

    • Create a payroll clearing account or a suspense account.
    • Create a Receive Money entry for the overpayment in the bank account and allocate it to the Clearing or Suspense Account.
    • Allocate the correct payroll payment and the overpayment deposit on the bank feed to the clearing or suspense account. The balance should be zero.
    • Open the bank reconciliation screen and manually tick both the overpayment deposit and payment. The bank account should then reconcile.

    Let me know if you still require further help with this. On the other hand, you can also reach out to our virtual assistant, MOCA, on our website, or you can request support via my account at myob.com. 

     

    Otherwise, if my response has answered your inquiry, please click "Accept as Solution" to help other users find this information. 

     

     

    Kind regards,

    Shella

    • Ama2's avatar
      Ama2
      User

      Thank you so much Stella.  This has really helped. :-)