Pelita
Level 1

Banking

Hi,

 

Just want to ask, is the above procedure (from AldrinS) also suitable for this scenario:

 

I issued cheque to encash $100 to purchase item. After purchase there’s a change of $20 which I’ll deposit back to the bank account.

 

When I follow the same steps, the excess of $20 doesn’t show up in the vendor center entries. Is that ok?

 

Thanks in advance