Cause:Used an incorrect general ledger code when making a deposit to the bank for a non sales income deposit.
Solution:
Post another deposit for non sales income with a negative amount using that same incorrect account code. Post a new deposit for non sales income and enter the correct account code. Use the same date as the original deposit date.
Or
Make a journal entry and debit the incorrect account code and credit the correct account code. Use the same date as the orginal deposit date.
Details:
Symptoms:
Comments
Please sign in to leave a comment.