Topic: Purchase Invoice Posting to GL incorrectly
I hope someone can help me, my Purchase Invoices look fine, but when I view the related GL Journal Entry they have posted incorrectly. Here is an example:
I have created a Purchase Order for goods that are £100 net with 20% VAT. I receive all the goods and post the GRN. I create a Purchase Invoice linked to this and I add shipping using the quick entry Supplier Shipping that I have set up. This adds 2 lines for me: VAT (20%) of £1 and Carriage £5. I now have: Invoice sub-total £105, Tax (20%) £21, Invoice total £126. Perfect.
However, when I check the GL entries after posting the Invoice it tells me that it has posted 6 entries:
DR VAT £21, DR VAT £1, DR Carriage £5, DR Stock £100, CR Creditors Control Account £126, CR Foreign Exchange Gain £1.
It appears to be posting the VAT related to the shipping twice and then posting the difference to a foreign exchange account. I only use pounds and haven't touched anything to do with foreign exchange settings.
Does anyone have any idea what could be causing this? Thanks, Liz