Best Of
Re: Adding comments to overdue invoices
Hi @54668
You can customise an Invoice template to add a field.
Make use of a header field that you are not currently using such as the "P.O. No.", "S.O. No." or "FOB" field.
You can also rename it if you prefer.
In this example, we used the "P.O. No." field and renamed it to "Action Taken".
You can then make use of it in the Invoice entry screen.
You can modify the Collections Report to include that added field.
Note that the title of the column remains as "P.O. #" and does not change to "Action Taken".
Example: two invoices with different 'action taken' values.
Datarec
Re: Paid Parental Leave
Oooopssss Sorry @Reeta π€π€thankyou very much
Thank you both. I have now updated the pay and it works and have relodged it with ATO. βΊοΈ
Re: Paid Parental Leave
Hi Rav
Yes - it does now - thanks for the tip.
Would love to take the credit but that was all @Reeta ππ
Rav
Re: How to reconcile credit card payments minus the fees.
Agreed @GerryWinter - In Suzy's case though, it sounds like this is at the time of payment π
Acctd4
Re: How to reconcile credit card payments minus the fees.
Hi @SuzyA
You're on the right track ! π
You need to add the Fee as another line (Other Charge-type) Item on the customer invoice:
IMPORTANT: The fee calculates automatically, based on the line directly above it ONLY. Therefore, if there are multiple lines on an invoice, make sure you use the "Subtotal" line FIRST (as above) !
If there are different percentage charges, create a main header Item & relevant subs:
IMPORTANT: Make sure you enter the percentage symbol, otherwise it will interpret it as $ amounts ! :
Then, Receive Payment - for the FULL amount - into that separate Clearing bank account (I've named it "Sq Clearing Acct" here, for clarity):
Next, create a Write Chq - OUT of these funds in the Sq Clearing account - for the Fee they are deducting from your deposit amount:
Check the Sq Clearing bank account register balance & you'll see you now have the exact deposit amount from Square:
Then, use either another Write Chq or Transfer Funds to move this from this clearing account into your actual bank account (You could also use Make Deposit but I find it's clearer to do it this way)
IMPORTANT: There should be NO tax code allocation on this as this is not a "sale" or "expense" but simply just a movement of funds, from one account to another :
Square (Fees) is set up as a Supplier - The Fee MUST be entered via a Chq in order to claim the GST on these fees.
Net Sq TXFR is set up as an Other Name-type (If using Transfer Funds, that doesn't require a name so the Payee name will be blank in your registers β¦ which is one of the reasons I prefer to use a Chq as there's more detail !):
Hope that helps
π
Acctd4
Re: Personal Plus - datafeeds
I purchased my first version of Quicken in 1992. Ever since it's been my accounting software for both our personal use and for our SMSF. Every year that I was required to, I paid my annual upgrade/licence fee and the software has proved extremely valuable. Apart from the odd stumble, it's also proved extremely reliable and I've found nothing else has come close for managing our personal finances - as well as those of our SMSF. The financial history I have is extraordinary. On the odd occasion where I have run into strife, someone on this forum (see above) has always been there to provide assistance above and beyond what could be expected and this has been invaluable. I must admit I'm probably more anal than most, and religiously balance my personal and SMSF accounts to the cent. Quicken/Reckon has made that easy for me.
For health reasons, I've now had to hand the management of our SMSF to the professionals. However, I continue to operate Reckon as before and find my records are more current and accurate than those of the professionals. I will continue to use and rely on it for as long as I possibly can.
Re: Tax not calculating for employees contributing additional tax
Hi everyone
Just to give you an update. Our teams have narrowed this down to affecting employees who have upward variation added and have had their profile edited in some way (eg. a change in pay rate), pay setup etc prior to the pay run.
We're working on a solution for this at the moment which is currently going through testing and it shouldn't too far off from being released.
In the interim, as has been mentioned above, editing the employee's profile again in some way causes a refresh which will return the tax component to the pay run.
Apologies for the confusion and hassle this is causing at the moment, I'll keep you posted on release of the fix as soon as I have confirmation from our product dev team.
Rav
Re: Invoice template margins and how to fit invoice on one page
Hi @TanD
Appreciate the feedback π
The good news is, we've got some work happening right now that will provide enhancements in all of the above! π
Stay tuned, we'll have announcements here on the Community as we get closer to release.
Rav
Re: RE: reporting amount is different from the YTD amount on last payslip
Hi @Jennie,
As discussed, if you think these amounts are duplicates and have been entered in the Payrun, you can remove these Initial YTD balances. As was previously mentioned by @Rav
Initial YTD amounts are not included in the payroll summary stated. This isn't a problem. The amount shown on the Pay slips will be the same figures submitted to the ATO.
Let me know if that resolves the issue.
Best regards,
Karren





















