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In mid 2016 we received a credit memo from a vendor which was entered into A-P.
On March 30, 2017 that vendor issued a refund check for the amount of the remaining credit balance. I entered a journal entry that debits the expense account with the vendor name and credits A-P payable with the vendor name so the credit memo in this vendor account should be gone (washed out to 0.00).
When I try to add these under the vendor to wash it out and create a 0.00 balance it tells me there is an error somewhere. How do I fix this journal entry and then remove the debit and credit in the vendor?
Thank you!
Solved! Go to Solution.
You don't use JE for AP. You already have the AP credit. It is time to process the Refund as a Deposit, not Expense = AP; you have the condition of funds to Bank = AP refund. You are offsetting this to the wrong account. The Vendor Credit should show the reversal of the Expense already, and that is why it created a negative AP for that vendor name. Deposit to Bank = "AP" for that same Vendor Name. That way, paying bills allows you to apply the refund deposit to the open vendor credit.
You don't use JE for AP. You already have the AP credit. It is time to process the Refund as a Deposit, not Expense = AP; you have the condition of funds to Bank = AP refund. You are offsetting this to the wrong account. The Vendor Credit should show the reversal of the Expense already, and that is why it created a negative AP for that vendor name. Deposit to Bank = "AP" for that same Vendor Name. That way, paying bills allows you to apply the refund deposit to the open vendor credit.
To expand on the previous answer, just go to deposits, enter your vendor name and use "AP" as your account. Once done, you can go to "Pay bills". Then, under that vendor will show your deposit as a "bill", and you can zero it out with the credit that is sitting there....
Thank you!!!!!
I have a similar issue. I have a vendor with a credit balance but owe this vendor 0 nor did this vendor overpay. I am unable to locate anything that would indicate a credit balance reason all invoices balance to checks disbursement. Is there a way to clear the credit balance without affecting my accounts payable or bank. JBerryman
Hi there, berrymanroofing.
You can create an appropriate journal entry to clear the credit balance of your vendor. If you're unfamiliar with the process, you may consult an accounting professional before trying this. Here's how:
I've also included this article to learn how to enter a prior balance for a customer that owes you money or a vendor you need to pay: Manage outstanding balances for customers and vendors in QuickBooks Online.
Drop me a comment below if you have any other concerns or additional questions. Have a good one.
Hi Moderator,
I have a similar situation. I received a credit memo from vendor and put it in QB.
Then later, they said it was issued by mistake. So, I have to offset it.
I followed your instruction to create a JE that reversed the credit memo.
But then I did another step to offset the positive and negative amounts.
I click New then click Pay bill.
The I click the box for JE and click to box for credit and check to make sure that the payment amount is zero.
Then save.
Is that correct? LP
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