Bank Amount incorrect in a Payroll YTD Adjustment

Legacy KB ID: 4654

Question

Why is the Bank Account amount incorrect when I process a Payroll YTD Adjustment transaction?  I need to affect liability, expense and bank accounts, so I am concerned they will be incorrectly updated. 

Answer

The Bank Account amount on a payroll YTD adjustment is the net total of the amounts entered on that form.  Reckon Accounts will process the transactions according to the payroll entries made and not the amount showing on the cheque.

If you go back and view this screen after processing the transaction the correct amount will appear. 

 

Workaround

None.  Your accounts have been properly affected. 



Need more help?

Ask the Reckon Community at: https://community.reckon.com/categories/reckonaccounts

Or Log a Support Ticket: https://www.reckon.com/au/support/

How did we do?

ABA file being rejected by the Bank

QBQIF2OFX - Run-time error 5 when importing QIF manually

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