I'm curious about how others handle this because my staff use manual Ledger entries far too often for way too many situations (i.e. COD payments, tax payments, US payables, etc.) I'm trying to steer them to do their entries in the Payables module whenever possible. I'm not sure if in this situation (a cheque received from a vendor) maybe it makes more sense to do the Ledger entry directly. Only problem is when they do that, we have no record of the credit in Payables.
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Susan Tennier
TDL Canada
Trenton, Ontario