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Correct incorrect payment with two company files
I have two companies files. I pay the same vendor in both company files. I had an open PO in company 1 but when I paid the PO via ACH, I accidentally paid it through company 2. Now I need to show the PO in company 1 has been paid and also reimburse company 2 for the incorrect payment. Does anyone have a suggestion on how to do this?
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