Security
The following permission is required to approve a payroll journal entry:
General Ledger → Payroll Journal Entries → Approve Payroll JEs
Beta
The payroll journal entry record has been updated and is currently in beta. All users can access the new experience.
Learn about the new journal entry features and how to switch to the new journal entry.
See documentation for the classic payroll journal entry record.
Approve a Payroll Journal Entry
To approve a payroll journal entry, hover over Approve in the top ribbon and select the desired approval option.
Once approved, the Payroll Estimate Clearing tab calculates and displays the total of all approved labor accrual entries created by the POS integration (via the DSS) between the payroll period's start and end dates. This acts as a single reversing entry recorded on the final day of the payroll period.
The Distribution tab then shows the difference between this reversing entry and the actual payroll entry from the payroll provider, representing the net impact to labor-related GL accounts.
Best Practices for Accurate Approvals
Before approving a payroll journal entry:
Ensure all Daily Sales Summary (DSS) records for the pay period have been approved.
The payroll journal entry only reverses accruals for approved labor entries.
If a payroll journal entry is approved before all DSS records are finalized, or if labor data is later updated in the POS:
Unapprove the journal entry.
Then re-approve it to recalculate the reversal based on the latest approved accruals.
Troubleshooting Differences in Distribution
Smaller values on the Distribution tab indicate accurate accrual percentages and alignment between accruals and actual payroll. Large or unexpected values may suggest:
Accrual percentages on the Location record need adjustment.
Job titles are assigned to incorrect GL accounts.
Default accounts for the location are misconfigured.
Example: If the "Cook" job title is mapped to FOH Labor in R365, but payroll data allocates those wages to BOH Labor, the Distribution tab will show the full Cook labor amount both debited from FOH and credited to BOH.
Review and align job title mappings and GL account assignments to ensure consistency between accruals and actual payroll.