bank teller's mistake
Good afternoon team,
I have issued a bank cheque in the amount of $4855 and deposit it on Monday to cash it.
On the MYOB record shows that the deposited amount was incorrect ($4885 instead of $4855) as the bank teller's mistake.
The bank has refunded $4885 next day and adjusted to $4855 now.
How should I process this in the MYOB system?
Please refer to the attached printed screen and advise us for it.
Thanks in advance.
Kyu
Hi Butterfly8
Thanks for your post. As the $4885 has gone into your account and back out I would record a Receive Money transaction for the deposit allocated to a holding/suspense type account. Then record a Spend Money transaction for the withdrawal allocating the amount to the holding/suspense account.
You will be able to match those transactions with the bank feed transactions and the holding/suspense account will be cleared back to zero.
Please let me know if you need further help.
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