When entering a POA Receipt today, one of our staff selected an AP Vendor on the Header tab and then went to the Details Tab. There they somehow managed to changed the Vendor Type "Sundry Vendors". We don't actually have any Sundry Vendors and don't use them. They added multiple details line items and somehow figured out a way to force it past an error saying "the Sundry Vendor does not exist" and posted the receipt as a delivery note.
POA integrity check is now reporting errors, "DA7570 Sundry Vendor does not exist for RC-00003517. There is also batch in ledger now that was retrieved from IR that contains errors. The debit amount to account 1300 (Inventory) does not have a matching credit amount to 2015 (Receipt Credit).
Should I just edit the batch in Ledger to add the Credit amount to 2015? I'm pretty sure this will correct the accounts. How do I get rid of the errors in POA? Since the receipt is already posted I can't edit it. When I attempt to invoice the receipt, even though there are amounts in the line items, the total tab comes up at zero, showing the name of Vendor, with the Vendor code DA7570 but with the type of Vendor set to "Sundry Vendor".
I cannot restore from a back up because this receipt was posted early this morning and since then we've had a full day of data entry. The only way I can think of to fix this is to post the receipt as an invoice at zero. Enter the payable directly into payables. Edit the ledger batch to add the credit entry to 2015 and post it. Then wait until eventually the receipt moves to history so it will stop reporting errors in POA integrity check.
Any other suggestions or ideas would be greatly appreciated!
Thanks,
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Susan Tennier
TDL Canada
Trenton, Ontario