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#69089 - 12/20/22 12:22 PM Need to correct an Over-Pmt in AP
Samuel Kopstick Offline
Adagio Maestro

Registered: 06/15/07
Posts: 921
Loc: GTA & North America (Remote Su...
We are running GL, AP and BR.

We issued an EFT payment to a Vendor and then in error, the payment was paid a second time.
The payments were posted and show up in Bank Rec, as they should.
The Vendor now shows a Cr balance.

The Vendor sent us back a cheque for the over-payment.
How should we enter this transaction, so that the Bank will show the deposit of the cheque and also that the Vendor transactions should net to $0.00?
_________________________
Samuel Kopstick
S Kopstick & Associates Inc
Toronto, ON

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#69090 - 12/20/22 01:24 PM Re: Need to correct an Over-Pmt in AP [Re: Samuel Kopstick]
Softrak Support Offline

Adagio Action Team

Registered: 03/09/99
Posts: 11570
Loc: Vancouver, BC Canada
Hello Sam,

If you are using BankRec 9.3A and Payables 9.3C and the Payment was from a Cash Invoice, you may be able to Reverse the Payment in BankRec and have if flow through Payables.

In the Payables Company Profile, the System Options tab must have the ‘Reverse cash invoice with check?’ option set to Prompt or Always.

On the BankRec Bank, on the Interface tab, the setting for: Update Payables Check Reconciliation, must be set to Completed.

In BankRec Bank Reconciliation, when the Payment is Reversed, there is an option to “Reverse Cash Invoice’.
_________________________
Regards,
Softrak Tech Support

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#69091 - 12/20/22 01:48 PM Re: Need to correct an Over-Pmt in AP [Re: Softrak Support]
Samuel Kopstick Offline
Adagio Maestro

Registered: 06/15/07
Posts: 921
Loc: GTA & North America (Remote Su...
I considered reversing the transaction.

But we do not want to do this, because the 2nd payment really did flow out of the bank.
Our Bank Statement shows the payment happening twice.
We want to leave the two payments as is, since they really did happen.

Rather, we want to show a deposit from the Vendor, indicating that they made a payment to us.
And of course, to get their account in balance, not displaying a credit balance.
_________________________
Samuel Kopstick
S Kopstick & Associates Inc
Toronto, ON

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#69092 - 12/20/22 01:52 PM Re: Need to correct an Over-Pmt in AP [Re: Samuel Kopstick]
Patricia B. Offline
Adagio Maestro

Registered: 06/26/08
Posts: 1165
Loc: Langley, BC
Hi Samuel:

You may want to do a Miscellaneous Cash receipt to a transit account and a Debit Note in Payables posted to the same account.
_________________________
Patricia Balbuena Cotlear
AP SMART SUPPORT
236 991 3060





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#69094 - 12/20/22 10:49 PM Re: Need to correct an Over-Pmt in AP [Re: Patricia B.]
Jesse_Gilbert Offline
Adagio Maven

Registered: 05/16/17
Posts: 163
Loc: Thunder Bay, ON
I'd also tackle this the way Patricia described. Just make sure to link the Debit note (or use an Adjustment) to the open item in your vendor account.

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#69095 - 12/21/22 11:49 AM Re: Need to correct an Over-Pmt in AP [Re: Jesse_Gilbert]
Samuel Kopstick Offline
Adagio Maestro

Registered: 06/15/07
Posts: 921
Loc: GTA & North America (Remote Su...
Patricia (& Jesse) – I like your suggestion.
I went through this in Sample Company. It appears to give me the result I am looking for.
As well, I used the same GL Account for both the Debit Note and the Bank Receipt, so that this will net to $0.00 and the only accounts that are hit are the AP Control and the Bank.
Thank you for sharing your thoughts!
_________________________
Samuel Kopstick
S Kopstick & Associates Inc
Toronto, ON

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#69099 - 12/22/22 05:24 PM Re: Need to correct an Over-Pmt in AP [Re: Samuel Kopstick]
Brian Stief Offline
Waterloo Guy

Registered: 04/04/06
Posts: 1739
Loc: Waterloo, Ontario, Canada
When you configure and setup Adagio Bank Rec, you create a BankRec Suspense account. Everyone knows this. That is best practices which we have been training people to do for years.

So correcting this processing error is a slam dunk.

Post the deposit as a misc deposit in AR with the CR to Bank Rec Suspense. Done.
Adjust the vendor overpayment in AP to Bank Rec Suspense. Done. You can reference or document the adjustment in AR and AP, but get it done.

It's how the software was designed to work.

Merry Christmas.
Brian
_________________________
Brian Stief,CPA,CA
Stief Group www.stiefgroup.com
Link2 Systems www.link2systems.com
800.540.3164

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