Topic: How to correct old allocation errors
In a previous year, there were some errors made where some customers' payments were posted to the wrong sales accounts. These were fixed with a journal entry.
Now, the effected customers all show un-allocated amounts due from the journal entry, yet have no other open transactions.
Whenever a new customer payment is received, FA attempts to credit the payment against the journal entries.
How can I correct/zero out these orphaned allocation amounts? They are from a closed year, so I cant correct them by normal means.
Thanks
Bruce