Steps on how to clear stale dated cheques and transactions from previous closed years from the bank reconciliation in Sage 50 Accounting.
To clear an old transaction, you need to:
- Create a negative invoice to offset the old invoice.
- Create a negative payment to offset the old payment.
- Clear the transactions from the bank reconciliation.
Create a negative invoice
- Go to Payables/ Vendors& Purchases, Purchases.
- Select the same Vendor that the original invoice was issued to.
- Select a date in the current year.
- Create a negative invoice for the same amount as the old transaction.
- For example, if the original invoice was $250, the current invoice should be -$250
Create a negative payment
- Go to Payables/ Vendors& Purchases, Payments.
- Select the same vendor that you just created the invoice for.
- Make sure the correct account is selected in the From drop down.
NOTE: The From account should be same account that has the old transaction on the bank reconciliation.
- Select the negative invoice and click in the Payment Amount column.
- The negative amount will automatically show in the column
- Press tab on your keyboard to bring the amount in the Total box.
- Click Process.
Clear the transaction from the bank reconconciliation
- Go to Banking, Reconcile Accounts, and select the correct Account.
- Select the correct Statement End Date and Reconciliation Date.
- Enter the Statement End Balance.
- The transaction that you just processed will show as a positive amount in the Deposits column.
- Clearing this transaction will offset the old transaction
- Clear the transaction and proceed with your bank reconciliation as usual.
- Solution ID
- 241104204805617
- Last Modified Date
- Mon Nov 04 20:48:05 UTC 2024
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