Void and reissue check from prior year
I need to void a check from 2018 and reissue in 2019 without affecting 2018 closed books.
I processed a void check in 2019, which made it appear in bills to be paid, so I successfully cut a new check in 2019. To correct the cross year, I then booked two general journal entries between cash and accounts payable, one in 2018 and one in 2019. This is creating the invoice to appear in "pay bills" again. How do I get that to clear from pay bills? It appears to be recognizing one but not both of my general journal entries to Account Payable.
Thank you
