This makes no difference outside of the cheque reconcilliation screen.

Make the needed adjustment in your GL, re-enter the invoice and re-issue the cheque.

In future, however, you should use "Reverse" when reconciling a cheque like this. That makes the invoices it paid payable again and also genereates the correct entries to the General Ledger: much easier.
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Ralph Allan
Business Computer Centre
Prince George BC Canada