Forum Discussion
Hi SJ2002
Thanks for your post. If the employee's Payment method is electronic the net pay amount is posted to the electronic clearing account so you will need to process the electronic payment. We've changed the process for electronic payments in the newer MYOB Essentials platform as we've added the ability to pay suppliers electronically.
If the employee has been paid you don't need to upload the bank file to the bank but you will need to click on Download bank file to record the electronic payment transaction. You can then match the bank transaction to the electronic payment transaction.
For future pays, if you're not going to pay the employee using a bank file you can change their Payment method to Cash or Cheque. Then go to Accounting>>Manage linked accounts>>Payroll tab and make sure the correct bank account is selected for Bank account for cash/cheque payments.
Before you can process the electronic payment transaction you will need to set up electronic payments. These Help Articles have detailed instructions:
Setting up electronic payments
Please let me know how you go.
If my response has answered your enquiry please click "Accept as Solution" to assist other users find this information.
- SJ20022 years agoContributing User
Thank you for taking the time to reply.
I am still struggling with this and to be honest I am really annoyed about it, because my accounts wer fine before this upgrade. I am unable to contact anyone in normal hours because I have a full time job (this is just a voluntary position) I wasted over an hour of my life waiting for the help desk to answer the phone on Sunday, only to have the line drop out.
I think I will send your response to our auditor, who can sort it out for me! Thank you anyway.
- SJ20022 years agoContributing User
Hi again Tracey
I have done some more investigating, and may have identified an issue for us in the way we operate.
We are a small committee and any payments from our bank require 2 factor authorisation as per our Constitution. There are only 3 people able to auth payment, 1 is the employee (so she cannot be the co authoriser on her own payment) The 3rd person is notoriously difficult to get hold of.
For this reason, I have an authorised payment from our account for the same amount every week to the employee. When she takes leave, and I have to pay leave loading, I make and additional payment just for the leave loading, so it shows a split payment.
Am I right in saying that the upgraded system will not allow me to make split payments unless I chose the electronic pay option? If so, this wont work for us as I can only make payments with 2 authorisations. (does this make sense)
Do you have a suggestion as to how I can make this work for us (ie exactly as it was in the old system)
Thank you!
- Tracey_H2 years agoFormer Staff
Hi SJ2002
Electronic payments allow you to pay employees or suppliers in batches by uploading an ABA file to your bank. This saves you from having to manually enter the payments into internet banking, which is great if you're paying a large number of employees or suppliers. The process is:
- employee's Payment method is Electronic (employee card)
- record pay run - net amount is posted to the electronic clearing account
- process electronic payment - select all pay transactions to be paid
- click on Download bank file -
- ABA file is created, upload in internet banking and authorise
- electronic payment transaction is recorded, net amount is moved from the electronic clearing account to the bank account for matching in Bank transactions
Whether the employee's Payment method is Electronic, Cash or Cheque won't affect authorising payments in internet banking. It only affects the way you process the transactions in the software. Unless you apply for and use Direct payments, these payments are authorised from within the software.
Please let me know if you need further help.
If my response has answered your enquiry please click "Accept as Solution" to assist other users find this information.
- SJ20022 years agoContributing User
Thank you for trying to help me. I am still struggling with this. I have downloaded some notes and it seems that in order to process the "Fake" ABA file, I need to have a bank code and a direct entry user ID. On checking with our bank it seems I have to register for this, which we are charged for. So it seems I have to pay for a service that I dont want to use? to prepare electronic payments, I cannot proceed because it says the account details are missing (hope you can keep up with this. Is ther somthing really obvious I am missing?