essentialglassrepair
Level 2

Account management

Thanks for your response. I also noticed that when matching Payments to Deposits, there is a toggle button at the button labeled 'Resolve'. When that is on, it clears the rest of the balance of the check and allows me to enter something describing the reason for the discrepancy. If I was to do this, will it cause any issues later on down the road or is this also an acceptable method?