scenario
invoice created for customer A, paid by the customer A into ‘cash to be deposited’, and a deposit slip is created
then someone decides that customer B should have be invoiced
the correct process is
to void the payment and invoice for customer A (may need a credit note if either the invoice and/or payment can’t be voided)
and to recreate both for customer B
but say someone
adjusts the payment and changes customer A to customer B, gets the message
you have modified the receipt by changing the customer name
the original receipt will be voided and a new one created, using the customer's name
do you want to continue ?
to which they answer Yes, creating a deposit for customer B
and then they adjust the invoice from customer A to customer B
and then apply the deposit to the invoice
the problem is, the cheque is there twice
the original deposit is still there, full value, including that cheque amount
and 'make deposit' shows the payment a second time
there is only one cheque, which has been deposited, but now Sage thinks there is a second cheque to add to another deposit
how do I clean up this second cheque ?
when the payment was adjusted from customer A to customer B, two transactions (adjustment / correction) were created
db AR
cr cash to be deposited (adjustment to reverse original payment to customer A)
db cash to be deposited
cr prepaid sales/deposits (correction to create new payment for customer B)
the second entry is causing the duplicate cheque in ‘make deposit’
so to solve this issue,
create a journal entry to reallocate the correction amount to the clearing bank
db clearing bank
cr cash to be deposited (with an appropriate comment)
and adjust the customer B payment, depositing to the ‘clearing bank’ instead of ‘cash to be deposited’