Balancing GST Reconciliation account due to Subcontractor Payments
We has two Subcontractors set up in Payroll which was pay monthly a fixed amount, plus Super and GST.
The full payment happens through Payroll including the GST amounts.
The GST amounts are linked to 2-3030 GST Paid and the value is shown there in the GL report.
However, the values do not show in the "GST [Detail - Cash]" or "GST [Detail - Accrual]" reports.
This is causing my Tax Reconcilliation report to be out of balance to my GL report for the same period.
How can I get them to balance?
Hi Clinton_ELA
For that you do need to speak with your accounting adviser to discuss the best option/timing to fix it. Until it's resolved, your GST reports of that period will not reflect the GST amounts paid to your sub-contractors.
You may consider recording journal entries (under your accountant's advise) to reverse the total GST paid so far, then re-record it correctly as a GST only transaction using the guide I linked above.
I hope this helps.