I often create Bills for my upcoming expenses to keep track of them and remember to pay on time, on the Bill I put the appropriate category, as professional services, equipaments, taxes, etc.
But once i make the payment and match it with my bank statements, all those payments category are shown on reports and on the reconcilation view as "Acconts Payables" instead of the original category, making it hard to get a real description of what that expense was originally about.
What would be the best way to approach this? Should I jus stop using Bills and just use Expenses?