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We made a second payment to the supplier by mistake. We matched the first payment from the bank account to the bill. We now have a credit with the supplier for the second payment amount but no bills to apply it to yet. How do we assign the second payment in the bank account as a credit for the supplier? So we can then use it when we next buy from that supplier.
Solved! Go to Solution.
Hello Jwhits,
Thank for the additional information.
If the second payment is showing in the For Review tab, you can add them in QuickBooks Online and allocate them to the Accounts Payable account in the Category field, and make sure to select a specific supplier before adding the transaction. With (Out of Scope of GST) tax code. That way the overpayment will show as Credits on the specific supplier you made the payment to and can apply to your future bills.
Reach back to us if you need further assistance. The Community is here to help you!
Hello @Jwhits,
Thank you for taking the time to provide additional information about the issue. Allow me to chime in and share some clarification about your QuickBooks Banking concern.
I can see that the first payment is matched correctly to the bill. To answer your question, yes, you can skip the steps provided by IntuitAika and follow the solutions shared by Intuit Sheila.
You only need to add the downloaded second payment instead of matching it. We recommended selecting Accounts Payable from the Category to apply the transaction to your future bill.
Also, there's an option to get rid of downloaded transactions you don't want to add to QuickBooks. For more details about the process, I've attached this article: Exclude a bank transaction you downloaded into QuickBooks Online.
I'm always available here in the Community space anytime you need help with managing downloaded bank transactions. Have a great day ahead.
Hi Jwhits,
Thanks for posting in the Community! If a refund is not recorded yet on the duplicate payment made to the supplier, you can follow these steps.
After that, make a bank deposit to enter the supplier refund.
Once you create a bill payment, you'll be able to apply the deposit you've created.
For more detailed information, you can check on this article: Handle supplier credits and refunds in QuickBooks Online.
Feel free to drop a comment below if you need further assistance. Have a great day!
Hi IntuitAika,
Current no refund and there will never be a refund. The supplier will just apply the credit to our next purchase whenever that will be.
How do I match the bank transaction in your steps?
Thanks
Hello Jwhits,
Thank for the additional information.
If the second payment is showing in the For Review tab, you can add them in QuickBooks Online and allocate them to the Accounts Payable account in the Category field, and make sure to select a specific supplier before adding the transaction. With (Out of Scope of GST) tax code. That way the overpayment will show as Credits on the specific supplier you made the payment to and can apply to your future bills.
Reach back to us if you need further assistance. The Community is here to help you!
Hi IntuitSheila,
Just so I am clear, I do not need to do IntuitAika's steps just your steps as it is a bank transaction?
Hello @Jwhits,
Thank you for taking the time to provide additional information about the issue. Allow me to chime in and share some clarification about your QuickBooks Banking concern.
I can see that the first payment is matched correctly to the bill. To answer your question, yes, you can skip the steps provided by IntuitAika and follow the solutions shared by Intuit Sheila.
You only need to add the downloaded second payment instead of matching it. We recommended selecting Accounts Payable from the Category to apply the transaction to your future bill.
Also, there's an option to get rid of downloaded transactions you don't want to add to QuickBooks. For more details about the process, I've attached this article: Exclude a bank transaction you downloaded into QuickBooks Online.
I'm always available here in the Community space anytime you need help with managing downloaded bank transactions. Have a great day ahead.
It depend on the situation, JT1077.
Both Expense and Cheque report a transaction as an expense and a payment at the same time. If you wish to print a cheque, you can create a Cheque. Use Expense to record any credit card payments you made for expenses.
To help you enter those transactions, you might refer to the following articles below:
If you plan to pay for the expenses in the future, you can enter it as a Bill in QuickBooks Online.
Do you receive a refund or credit from a supplier? If yes, check out this resource to guide you entering and recording refunds: Enter supplier credits and refunds in QuickBooks Online.
Let us know if you have further questions about Cheque or Expense transaction. We're available to help you at any time.
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