ContributionsMost RecentMost LikesSolutionsHow to Print Pay Slips for Employees Marked Email Only Is there any way to print a pay slip for an employee who was set up as email only? The self-onboarding (nightmare) system allowed our employee to change the option and now I am unable to print their pay slip from the desktop version of MYOB. I would like to know if there is a way to print it from there. I have changed the employee to print and email but it doesn't help me for the payroll I just completed. (Note: I found a workaround by printing from the PDF available on the online version of MYOB, but the form looks different and is missing our logo. I can't find how to customise the online pay slip, either.) I would still like to know how to print from the desktop for email only employees. Thanks in advance. Re: Bank Rejected Part of Electronic Payment - How Do I Record in MYOB? Thank you for your reply. I ended up using the Returns and Debits feature in the Purchase Register. I created a new invoice first for a negative amount equal to the refund, then received the refund through the Returns and Debits. Option to Search Recurring Transactions in Web Browser Version of AccountRight Hi, When entering purchases from the web based version of AR in Create Bill, recurring transactions can be used to prefil the information. Is there any way to search the reccuring transactions? Currently I have to scroll through every recurring transaction to find the one I want. The desktop version of AR has this option and it would be a shame to lose such a useful feature. MYOB In Tray Settings Hi all, 2 questions about In Tray: 1. I was just wondering if there is any way to eliminate logos from being uploaded to the In Tray? There are a few companies that use signature tools in their emails, and their logo shows up as a PDF and ends up in the In Tray. 2. Is there any way for the In Tray to access and download invoices from links? We get some invoices that have 'view invoice' buttons within the email (like MYOB does) from external software (specifically, PropertyTree). Re: Customise auto generated email address used for the in-tray function This would be great. So much easier than a random string of characters. Bank Rejected Part of Electronic Payment - How Do I Record in MYOB? Hello, I uploaded an Electronic Payment (ABA file) to our bank, with 6 separate payments for purchases of $100.00 each, from the same supplier card, totalling $600.00. They are separate because there were 6 different bank accounts - 6 different clients from the same program. The payment was processed, and shows as $600.00 coming out of our account. One of the clients had provided incomplete bank details. Which meant that the next day 1 of those payments bounced back, showing as $100.00 coming in to our account. We then included the payment to the correct bank details in the next payment for the supplier card, again 6 payments of $100.00 totalling $600.00 (coincidence). But this was done directly from the bank account, not by using an ABA file. This shows as $600.00 coming out of our account. I can't reverse the Electronic Payment as that would show as $600.00 coming in to our account. I tried doing a credit note in purchases but I can't use Pay Bills to reconcile that transaction. Does anyone know how I could record this so that the balance on the card? Paying Employee in to Multiple Bank Accounts by Set Dollar Amounts - What Happens if They Earn Less? Hello, We have an employee that has opted to get paid in to 3 bank accounts. They have stipulated dollar amounts. Their usual pay will cover the amounts. What I am trying to find out is - what will happen if for some reason they get a smaller pay (for example, they take leave without pay). Is there a hierarchy? As in, will MYOB assign money to the first account, then the second with the remainder, and dismiss the third for that pay? SolvedRe: AR Inventory Entry Order That's incredibly frustrating. Thank you for your response. Is there any way to stop using inventory? AR Inventory Entry Order Hi, My question is about MYOB Inventory on AccountRight. We started using it, and now there is no option to stop. We do a stock count at the end of every month, and update the figures of our stock in MYOB using the Adjust Inventory. Our sales are entered at the end of the week, imported from other software. Stock is received in the system when the invoice is paid. Sometimes one area gets a bit behind in entering the data into MYOB. But once all is caught up the numbers don't seem to be right. It seems to me that Inventory works on when the entry was made (actually entered in to MYOB), and not the date on the entry. So for example, if the stock adjustments were made on time, and the sales were entered later, then it would take off stock from the most recently entered adjustment, instead of from the previous month. I hope this is making some kind of sense? I just wanted to know if anyone has had the same issue, and if there is a setting I need to change? SolvedReconciliation Reports [Detailed] with Cleared Cheques Hello, I was running some reconciliation reports from the Reports>Banking>Reconciliation Report section and noticed that these reports only show the outstanding amounts and not the cleared cheques like the report that is accessible when the account is reconciled (when you click reconcile, a window pops up and gives the option to print the report or reconcile). Is there anywhere I can run a detailed report without having to undo the reconciilatons and redo them? Thank you. Solved