Laura D. Oliver
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A customer paid a huge number of invoices on a single check. Unfortunately they only sent 1 stub, so we could only account for about 1/3 of the invoices the customer was trying to pay for. My helper had entered the check thru AR-C before she realised that she had no idea where to post some of the money. So she said she ended up posting it as an overpayment. A few days later the customer faxed us the other stubs. Well instead of going in to AR-C and using the credit created by the overpayment, she created another deposit using the amount of the other stubs. Well this wrongly left me with a credit amt on the customers statement. And I couldn't post that deposit to the GL via GL-O because the amt included the original deposit and the (doubled) amt . so I went into AR-C and entered a negative amt to "undo" the excessive stub amt. This allowed me to post the perfect deposit in GL-0 , but entering the negative amount did not correct the statement, it still shows the original overpay but doesn't reflect the negative amt I entered thru AR-c Any help or ideas is greatly appreciated. Thanks
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