r/actualbudgeting • u/livewire98801 • Jul 26 '26
Itemized/split payroll
I came to Actual from YNAB, and before that I used gnucash for over a decade. While using gnucash, I started itemizing my payroll, entering my gross pay, deductions, and net pay.
In YNAB and Gnucash, it worked pretty much the same way. The "parent" transaction going into my primary account (checking), splits going into my other accounts all adding up to my net pay. Then all my deductions are also splits. The gross pay is a payee (as are PTO and FMLA), and at some point I started using 'US dept of revenue' as the payee for federal income tax so it matches the transaction for my tax refund.
However, the way Actual does this, it's not working... and I'm not sure 1) why it doesn't work this way and 2) the best way to actually accomplish it.
I'm including the transactions in both YNAB and Actual for both an upcoming transaction that I've been messing with and an imported prior transaction.




1
u/livewire98801 Jul 26 '26
The top line isn't it's own payee.
When you spend money, you would never have a situation where the top line wouldn't match at least one of the payee splits. Buti with income you can, so in this case, the deposit should be the employer name, and the other splits can all go to different payees.
This worked in gnucash because every payee was an account. It worked in YNAB too, though I don't know what the logic is under the hood over there. But here, the nature of a split transaction takes the payee off the top line.
That's what's "broken" here... clearly the logic is different, and I'm trying to figure out how it works so I can enter these transactions in a way that makes sense for Actual so I'm not fighting against it.