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		<title><![CDATA[FrontAccounting forum — Credit Balance adjustment with Supplier]]></title>
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		<description><![CDATA[The most recent posts in Credit Balance adjustment with Supplier.]]></description>
		<lastBuildDate>Sat, 11 Nov 2017 16:09:41 +0000</lastBuildDate>
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			<title><![CDATA[Re: Credit Balance adjustment with Supplier]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29562#p29562</link>
			<description><![CDATA[<p>Check if it denotes Credit Note from Supplier, otherwise try a negative amount.</p><p>Journal Entry should be able to credit / debit just about any account isn&#039;t it?</p>]]></description>
			<author><![CDATA[null@example.com (apmuthu)]]></author>
			<pubDate>Sat, 11 Nov 2017 16:09:41 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29562#p29562</guid>
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			<title><![CDATA[Re: Credit Balance adjustment with Supplier]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29559#p29559</link>
			<description><![CDATA[<p>The Journal Entry will debit the Accounts Payable account (21010001), but not the particular supplier account. And there is no option in Purchases for a Debit Note (like there is for Credit Note). Or will a negative entry in Credit Note be okay?</p>]]></description>
			<author><![CDATA[null@example.com (TOR)]]></author>
			<pubDate>Sat, 11 Nov 2017 09:01:22 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29559#p29559</guid>
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			<title><![CDATA[Re: Credit Balance adjustment with Supplier]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29558#p29558</link>
			<description><![CDATA[<p>Journal Voucher / Debit Note</p>]]></description>
			<author><![CDATA[null@example.com (apmuthu)]]></author>
			<pubDate>Fri, 10 Nov 2017 15:40:27 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29558#p29558</guid>
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			<title><![CDATA[Credit Balance adjustment with Supplier]]></title>
			<link>https://frontaccounting.com/punbb/viewtopic.php?pid=29556#p29556</link>
			<description><![CDATA[<p>We have made some payments (nine) on behalf of supplier for their promotion campaign. We used Bank Payments and debited an expense GL A/c (Supplier Promotion).</p><p>Supplier has adjusted his accounts and allowed us to adjust our accounts at our end. How do I make this adjustment so that a Credit is reflected in his Supplier Account and the GL A/c (Supplier Promotion gets even).</p><p>Regds</p><p>TOR</p>]]></description>
			<author><![CDATA[null@example.com (TOR)]]></author>
			<pubDate>Fri, 10 Nov 2017 14:32:30 +0000</pubDate>
			<guid>https://frontaccounting.com/punbb/viewtopic.php?pid=29556#p29556</guid>
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