- Mark as New
- Bookmark
- Subscribe
- Permalink
- Report Inappropriate Content
How can I link debit and credit entries for a Supplier in Accounts Payable to clear, resulting from year end entries and reversing entries at conversion?
Thank you
Solved! Go to Solution.
- Mark as New
- Bookmark
- Subscribe
- Permalink
- Report Inappropriate Content
Other questions
Hi @bcschoolsports,
I'll share some information about linking entries. The option to remove the entries from the report is unavailable. You'll have to link the entry to a bill manually by going to +New and then selecting Pay Bills. This way, the entry will not show up in the reports.
For information about A/P transactions and reports, check out this article: Accounts Payable in QuickBooks Online.
Feel free to let us know if you have follow-up questions about linking A/P transactions with journal entries. We're here for you. Take care and stay safe.
- Mark as New
- Bookmark
- Subscribe
- Permalink
- Report Inappropriate Content
Other questions
Thank you for your reply. I tried that and it did not work. What I ended up doing was gong to NEW cheque, entering the Supplier name and choosing add all for the transactions at the right. Both the debit and credit were there. It ended up being a cheque for zero dollars which I then did not print.. I looked back at the Aging Detail Summary and everything was cleared.
Thanks again.
- Mark as New
- Bookmark
- Subscribe
- Permalink
- Report Inappropriate Content
Other questions
Hi, bcschoolsports.
I appreciate you sharing the steps you've done to resolved your concern. This will definitely help other users as well in the future. Please keep on posting here in the Community.
Keep safe and have a great rest of the day.