| Correct a nominal opening balance |
Resolution | - Click Nominal codes and select the required record then click Edit.
- Click the Balance option and enter the required Ref and the Date of the original opening balance entry, then:
- If the original entry was a credit, enter the value into the Debit box.
- If the original entry was a debit, enter the value into the Credit box.
Ref | Date | Debit | Credit | O/Bal | Original opening balance date | If original opening balance was a credit, enter here as a debit. | If the original opening balance was a debit, enter here as a credit. | - Click Save then click the Balance option again.
- Enter the required Ref and opening balance Date then enter the correct opening balance figure into the Debit or Credit box as appropriate and click Save.
[BCB:19:UK - Sales message :ECB] |
|