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Modifying reconciled receipts

If you have coded a receipt to an incorrect tax code you can either:

If the original posting has already been reconciled to your bank statement, you must restore the posting in Bank Reconciliation. See Restoring bank reconciliations.

Note: All bank reconciliations made after the posting's reconciliation need to be restored and abandoned to restore the original posting. If you have made bank reconciliations since reconciling the posting, we recommend you make an adjustment rather than restoring the original posting.

Last modified: 4/10/2012 12:04:53 PM

See Also

Entering cash receipts

Debtor Cash Receipts Entry - Payment Detail tab

Debtor Cash Receipts Entry - Fees tab

Debtor Cash Receipts Entry - G/L Allocations tab

Cash Receipts Entry - Posting Action

Processing cheques

Processing over the counter payments

Adding new cash receipts postings

Selecting existing cash receipts postings

Entering payments against individual transactions

Putting a debtor in credit

Processing dishonoured cheques

© 2013 Synergetic Management Systems. Published 15 October 2013.

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