Paying a WSIB bill on Quickbooks
I have been told by an accountant that since the WSIB payment date is not the same date that the WSIB expense took place I need 2 accounts and 2 transactions in Quickbooks. I have a WSIB Payable and a WSIB Expense Account in addition to the Chequing Account that the bill was paid from in my Table of Accounts.
I was told to
1. DEBIT: WSIB expense $2500 and date it Sept 30 then
2. CREDIT: WSIB Payable (liability account) $2500 and date it Sept 30 (I used a Supplier Credit not sure if that was correct)
Once WSIB was paid at the bank in October, I was to use that date to
3. DEBIT: WSIB Payable $2500 ( I connected the downloaded payment transaction to this debit) then
4. CREDIT: the bank account $2500
I only went as far as step 3 because the Chequing Account bank register shows the expense being posted twice in the Chequing account - in Sept and Oct.
Is that happening because I never did the credit to the bank in step 4 or did I use the incorrect payment account for the expense in step 1?
With each step I would love some insight and direction about "Which Account is the Payment Account". That detail was not included in the directions from the accountant.
I am also unsure about how to Credit the bank account in Step 4. Which option do I select under "NEW" for a bank credit?
Thanks again for any support that you can give me.
