How do I correct a journal?
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Revision as of 07:58, 24 June 2019 by Charles Allison (talk | contribs)
Summary
This article explains how to correct a journal.
More Information
If a journal has not been through the month end processes, has not been reconciled or is not an automatic posting, please see How do I edit a nominal journal?.
If the journal cannot be edited, you will need to post a new journal to reverse the errors made.
Go to " Nominal Ledger Nominal Review".
- Find the journal to reverse.
- Select the journal and click [Edit].
- Check the centres, date and amounts to ensure your new journal reverses the correct centres and amounts.
You may print the journal or output it to file for reference. Press <Ctrl+P> and select [Print] or [Excel]. |
- Go to " Nominal Ledger Journal Entries".
- Using a "Multiple Entry" journal , enter the date for the posting.
- Enter the centres, amounts and a suitable comment. Make sure the amounts are in the correct columns to reverse the original journal, e.g. to reverse a journal which posted money (debited) into the bank account you would enter the value in the "Credit" column.
- Make sure the journal balances before clicking [Done]. You may not accept a journal which does not balance.
If the journal had a VAT element to it, make sure your reversal applies the same vat settings. |
See also
- What does nominal review show me?
- How do I edit a nominal journal?
- Posting cashbook entries
- Posting journals