When you delete transactions entered during the Setup Assistant process, it doesn't send reversing entries to General Ledger. Also, the cash balance in Cash Management won’t update. See details on how to adjust Setup Assistant transactions.
If the entry is part of a Bank Transfer, delete the other side of the transfer from the other bank account.
Delete Cash Management entries
From Tasks, select Edit Register.
Select the related bank account and click OK.
Find and select the row that corresponds to the transaction that you want to delete.
Right-click the black arrow for that transaction row.
Select Delete Row and click Yes.
NOTE:
If Delete Row doesn't appear and you use multiple monitors, move the window to another monitor.
Click Finish and Start to print your journal.
Post the reversing entries in Cash Management and in General Ledger (Tasks, Post Entries).