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Other questions
@JoshuaParsley1984 Here's a screenshot of the journal entry I made to correct one of several inaccurate occurrences. I paid bill by ACH via QB from my COGS acct. All the reports that I pull up in QB confirm that I initiated the payment from the correct account. However, the payment was taken from my OPEX acct. The JE adjustment is simple to do, but I don't understand why it has to be done at all!