Payroll reversal not reconciling
We paid PAYG for 2 under 18yr employees over a period of several weeks when their PAYG should have been adjusted to $0.
I have now reversed the pays for those 2 employees and re-entered them with PAYG adjusted to $0 and reimbursed both employees as one payment via internet banking.
I made a BAS adjustment with the ATO for March and entered that adjustment in the PAYG journal entry and the accounts now balance after the April PAYG was lodged and paid.
I unreconciled the bank statements for March and April and re-reconciled with the reversed and re-entered pays for the 2 employees.
For arguments sake we owed the employees a total of $50:
employee A $25 in March
employee B $10 in March and $15 in April
A single payment of $50 was made in April and shows up on the bank feeds.
The $50 backpay payment is listed as unallocated on the dashboard. I can't allocate it to the pay reversals because they aren't listed. How do I allocate the $50 backpay payment on the dashboard when the bank statements are already reconciled with the pay reversals/re-enters already included?