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August 2020
August 2020
Please help, I have a problem with the setting up of salary deduction for employee in July.
The Payslip shows the Base Salary dollars amount (#6-4000 Wages & Salaries Account) and Salary Deduction Dollars amount ( #2-1488 Salary Deduction E1) correctly AND this is also shown on STP reporting sent to ATO, HOWEVER when I go to reconcile July accounts, only the Base Salary dollars shows up in the list of transactions, not the Salary Deduction amount.
I know I can manually enter this amount in, but how can I set it up so it automatically shows up in bank reconciliation list of transactions.
Thank you for any advice you can give.
Solved! Go to Solution.
August 2020
August 2020
Hi @Ness2
Thanks for your post. If you are reconciling the bank account only the net amount of the pay will appear in the Reconcile Accounts window as that is the amount allocated to the bank account. If you go to Transaction Journal>>Payroll tab and find the pay transaction you will be able to see the amounts allocated to each account.
In this example the bank account is the Payroll Cheque Account:
1. pay transaction
2. transaction journal
3. Reconcile Accounts window
If I have misunderstood your question or you need further help please do let me know.
If my response has answered your enquiry please click "Accept as Solution" to assist other users find this information.
Cheers,
Tracey
Previously @bungy15
MYOB Community Support
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