Kc29655
Level 2

Other Questions

Hello @kelly,

Let's go ahead and try to run the Supplier Balance report to get the total amount of the correct open bills.

Subtract the correct open bill to the amount showing on the Supplier screen. Then, look for a transaction which is closer to that amount and try to delete and recreate.

This visual error is usually caused by transactions that were edited multiple times and haven't been saved properly. Thank you!