Hello quickbooks community,
Recently I brought a deposit to the bank. The deposit consisted of 13 checks and I forgot 2 of them at home. The bank still deposited the full amount of 2279.20 and then made a correction of -344.90 the next day. I deposited the other 2 checks the next day. So I have an incorrect deposit of 2279.20, a correction of -344.90 and a deposit of 344.90. I am wondering what I do with these to make everything match up and correct.
Thanks
BR