How to distribute funds between Accounts to correct wrong ledger postings?

Created by Mohamed Azher, Modified on Mon, 27 Jan 2020 at 05:42 PM by Mohamed Azher


Funds Re-Distribution


To correct wrong posting of ledgers, You should use Journal Entry Screen


Income Accounts


Income increases with Credit, so Debit what you want to remove, and Credit the income ledger you want to add too


That is debit the wrong one, Credit 1 or more correct ones


Expense Accounts 


Expense increases with Debit, so Credit what you want to remove, and Debit the Expense ledger you want to add too


That is credit the wrong one, Debit 1 or more correct ones


Project Costing Re-Mapping 


Income Side: 


Assign the customer job in each line item. 

Debit income account  - select project to reduce income

Credit Income account - select project to increase income



Expense Side: 


Assign the customer job in each line item. 

Credit Expense account  - select project to reduce Expenses

Debit Expense account - select project to increase Expenses






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