Journal entry & matched in Bank Feeds
Hello All
I am struggling with how to resolve an issue.
I create journal entries once a week for my sales. Pretty basic formula of cash, food sales, merchant acct fees, etc...
Since my cc processor does daily deposits, I add six different line entries to the journal and match them up in Bank Feeds. This usually works great. Monday was the 31st(end of the month) and I accidentally included Tues thru Sat sales and matched the transactions.
I went back into the journal entry and corrected it to show one day and added the new entry...now I can't figure out how to go unmatch those transactions to the old journal entry to the new one from the 1st of the month.
Make sense? Can anyone help with this?
