Correct A/P from previous years
My client is using QBDT Pro 2019. I have been working with him for a few years to clean up his books for the past 9 years. One area that I am now working on is Accounts Payable.
In reviewing the detail of A/P for 12/31/2019 there are several entries that are all from previous years but in different categories. I am looking for "best practices" for clearing out the A/P from previous years.
There are some Vendor credits, Bill Pmt-Check and Check entries. There is also a General Journal entry from 2009 and I will ask his current CPA how that should be handled. It's the only sizeable entry and it's a credit balance.
Here are my thoughts, please update/correct where I am mistaken -
1. Bill Pmt-Check - thought the vendor was paid, it was not connected to the bill. Delete the check and pay again, using the same info from the A/P Vendor account to clear it.
2. I have two entries that just say check, I am assuming my client wrote checks to the vendor without have a bill entered into the system. Here I would repeat step 1, but create a bill for the check being issued. Again everything is dated and numbered as the original.
3. Vendor Credit showing in A/P - create a bill and offset it against the credit.
Am I missing anything? Are there better/different steps that someone would recommend?
This group has always been very helpful and I appreciate that.
Thank you
EJ