Bookeeping101
Level 2

Expenses & Suppliers

I'm also having issues with Bill Payment when I have two bank records of the same value on the same day.  When I pay one of them (from the Bill Tracker screen or from the Add One to Quickbooks function of the Bank Feed screen), both of the banking records disappear, leaving me with one open bill and nothing to match it to. 

 

What do I need to do differently to get around this glitch?