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Manage suppliers and expenses
Hello there, @chris78,
I'll guide you through recording a refund for your expense.
You'll first need to enter a supplier credit if the refund is for returned inventory items. Here's how:
- Go to the Plus (+) icon at the upper right.
- Select Vendor Credit.
- Enter the necessary information.
- Click Save and close.
Then, you'll have to enter the supplier refund cheque in the Deposits screen. Here's how:
- Go to the Plus (+) icon at the upper right.
- Select Bank Deposit.
- In the Add other funds to this deposit section, select the supplier name in the Received from column.
- Select the Accounts Payable account in the Account column.
- Enter the cheque amount in the Amount column.
- Click Save and close.
After that, you can link the deposit to the supplier credit by performing the steps below:
- Go to the Plus Icon (+) at the upper right.
- Select Expense or Cheque.
- Choose the supplier name in the Payee drop-down.
- From the Add to Expense/Cheque section, click Add for the outstanding bill and supplier credit.
- Click Save and close.
You can check out this helpful article about managing supplier refunds in the program: How Do I Handle Supplier Credits and Refunds?.
This will get you going, @chris78. If you have other concerns, please let me know. I'll always right here to help.