AP Module - Manual Check Entry

When you have an electronic debit out of your bank account and you enter a manual check (MC) to post this, but you use the wrong date, then reverse it and repost.  Why does SAGE debit the general AP account when reposing the transaction vs. the correct expense account when you first made the entry?  I'm confused here.  Should I fix this with a simple GJ entry?

Thanks,

Brian C.