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How to handle bounced check to vendor
We wrote a check to a vendor that was cashed and then bounced due to Non Sufficient Funds. I created a journal entry to credit/ debit the account. I was trying to unlink the bill payment to the bill, and link it to the journal entry. However, the Journal entry doesn't show up under the vendor. Is there a way to link the journal entry to a vendor bill payment? Or is there a different way this should be handled?
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