we have a supplier with a credit on their account they have decided to pay this how do I reconcil th

Val
Val Member Posts: 12 Novice Member Novice Member
edited July 29 in Accounts Hosted

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  • Kris_Williams
    Kris_Williams Member Posts: 4,297 Reckon Hall of Famer Reckon Hall of Famer
    edited July 2020
    Make deposit, to Accounts Payable, and put supplier name in the Received from .....
  • Val
    Val Member Posts: 12 Novice Member Novice Member
    edited August 2020
    Hi Kris not sure how you do this as in  make deposits the accounts payable does not show in the deposit to drop down list?
  • Acctd4
    Acctd4 Accredited Partner Posts: 4,227 Reckon Accounts Hosted Elite Expert Reckon Accounts Hosted Expert
    edited July 2020

    Hi Val

     

    Is the credit already reflected in RAH?

    Depending on how the credit has occurred (eg overpayment v Credit/Adjustment Note) if you’ve not already done so, you may also need to enter a Bill Credit in order to ensure the expense/COGS – along with any GST - is reversed.

     

    Shaz Hughes Dip(Fin) ACQ NSW, MICB

    Reckon Accredited Professional Partner Bookkeeper / Registered BAS Agent (No: 92314 015)

    Accounted 4 Bookkeeping Services

    Ballajura, WA

    0422 886 003

    shazinoz2@bigpond.com

    www.accounted4bs.com


  • Val
    Val Member Posts: 12 Novice Member Novice Member
    edited August 2020
    Hi Shaz,
    The credit occured due to the supplier issuing us with a credit that was more than the amount that we owed them. So the difference has been sitting on their account for a while so they have now paid us the amount so I need to apply it to the credit in their account.
  • Kris_Williams
    Kris_Williams Member Posts: 4,297 Reckon Hall of Famer Reckon Hall of Famer
    edited July 2020
    The deposit to account is the bank, accounts payable is the account, but you need to take Shaz’s advice onboard
  • Val
    Val Member Posts: 12 Novice Member Novice Member
    edited July 2020
    Thanks Kris

  • Acctd4
    Acctd4 Accredited Partner Posts: 4,227 Reckon Accounts Hosted Elite Expert Reckon Accounts Hosted Expert
    edited July 2020

    Hi Val

     

    If you enter the Credit Note you received from the Supplier (in the “Enter Bills” window but select Credit), using the applicable/same details (eg Items/Accounts) this will reflect as an outstanding Credit in your Accounts Payable.  In order to offset it, you need to enter the refund payment via Make Deposit.

    The “Deposit to” is still your normal bank account (where the payment is received into). 

    Accounts Payable is what you need to select in the “From Account” (along with the applicable Supplier Name in the “Received From”)

    This Deposit will then appear in your list of Bills in Pay Bills, allowing you to allocate the existing Bill Credit to it.

     

    Shaz Hughes Dip(Fin) ACQ NSW, MICB

    Reckon Accredited Professional Partner Bookkeeper / Registered BAS Agent (No: 92314 015)

    Accounted 4 Bookkeeping Services

    Ballajura, WA

    0422 886 003

    shazinoz2@bigpond.com

    www.accounted4bs.com


  • Val
    Val Member Posts: 12 Novice Member Novice Member
    edited August 2020
    Hi Shaz,

    So are you saying I need to enter a bill for the supplier, for this amount, to cancel out the credit that is sitting in the suppliers account  as well as depositing the payment into the accounts payable account?
  • Val
    Val Member Posts: 12 Novice Member Novice Member
    edited August 2020
    Ok sorry just received your reply, so no I dont have to enter a bill, thanks for your help.
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