correcting a wrong entry
I prepay for inventory coming from overseas. It usually arrives a month later and then I receive it in inventory. Somehow I have double entered transactions so that even though the goods were prepaid, they still show as owing in my accounts payable. The steps I have done are as follows; 1. issue purchase order. 2. enter proforma invoice. 3. pay proforma invoice. 4. receive items into inventory.
Can anyone help me to see where I have gone wrong so that the proforma invoice is still shown as outstanding?
