DanceBC
Level 1

Banking

I think I need to explain me better. 

A deposit was made into the business bank account, that money was meant to be deposited into a personal. 

the deposit made it to the banking transaction feed. now I have an statement with that deposit. however once it was realized it was in the wrong account. money was moved, taken out of that account in different months. 

Creating a Journal to even those balances is an option?