Hoping someone can help. We paid super through custom liability payments.
One employees super was returned to us they had closed their super account. We receipted this as a deposit against Super. We then paid it again as new super details provided.
Our staff member who entered the new super payment entered incorrectly against a bill. When this was discovered we deleted the bill and processed again through custom super liability payments. The super was once again returned to us as wrong account given again.
We receipted it again as a deposit against super.
Third attempt was paid again using custom liablity payments.
Problem Ive noticed now is the amount owing in custom liability payments is wrong. If you go into the history it is assigning the payments to the outstanding balance of a recent pay not to the correct person.
How do I correct this and assign it against the correct employee and ensure the outstanding super balance is correct.
Sorry for long post. Hoping someone can help.
Cheers
Leanne