Topic: Credit Balance adjustment with Supplier
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).
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).
Regds
TOR