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I have a supplier that sent me an invoice of 402.41CAD, they did they charge me 402.48CAD on my business credit card by mistake. Now they reimbursed me those 7cents back to my credit card. In QBO, I created the bill for 402.41CAD and made a bill payment for 402.48CAD when I did that a new credit for 7 cents was created.
Now that I got the 7 cents back to my credit card - where the original charge of 402.48 was made - I created a credit card credit and matched it to those 7 cents from my banking transactions, things should be balanced, however if I look at my Supplier, it is still showing a 0.07 of discrepancy. Thanks in advance for your help.
Hi there,
I know how important it is to work with a bookkeeping software that's flexible enough to handle all types of transactions. If you've received a refund from your supplier, you'll be able to record this in your books to handle the open balance. I'd be happy to shed some more light on this process.
It sounds like you've recorded a supplier credit that will remain with an open balance until you make another purchase. At that time, the credit will be applied to your next bill. In this case, you'll want to resolve this balance right away as you've already received the refunded cash.
For more information on how to do this, follow the steps in this article: How do I handle supplier credits and refunds?
You may find the following section of the article particularly helpful in your current situation:
Why do I have supplier credits?
If you recorded cheques for Suppliers in the Cheques screen and didn't enter bills, you may end up with negative balances for your Suppliers.
To fix this, either go back and delete the bill payments and replace them with cheques, or simply enter one or multiple bills to link the bill payments to.
To link the Supplier credits with bills, first create the bills. When you're ready to link the bills to Supplier credits:
I hope this helps. If you're still in need of further assistance, please reach out to our tech support team.
Have a wonderful day.
Hi,
Thank you for your reply.
I cannot write cheques and select my credit card.
The 402.48 were charged to my credit card, then they reimbursed onto my credit card as well 0.07 because the expense total is 402.41.
I deleted the bill for 402.41 and replaced it with an expense for the same amount, however I cannot link those 402.48 from my banking because they do not match the 401.41 from my expense.
I am thinking of recording the expense for the whole quantity - 402.48 -, match it to the amount on my credit card and then take those 0.07 as uncategorized assets.
This is very confusing.
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