Correcting VAT/bank reconciled transactions
Posted: 25 Aug 2015, 16:13
I use Sage 2015 v.21 and my operating system is Windows 7 Professional (64 bit).
I have posted two transactions with the wrong nominal code but these are now bank and VAT reconciled. This was last quarter. Is there a simple process of correction. The company uses use cash accounting.
Many thanks for any help.
I have posted two transactions with the wrong nominal code but these are now bank and VAT reconciled. This was last quarter. Is there a simple process of correction. The company uses use cash accounting.
Many thanks for any help.