Solved
How to correct a deposit due to bank error?
- December 2, 2022
- 1 reply
- 0 views
My boss did an ATM deposit but was rejected the following day due to an unreadable signature. So the entries are currently reflected as "+ and -" on our register. I'm trying to complete my reconciliation and this entries are keeping me from closing last month's books. I uploaded a screenshot for reference. Can someone help me how to properly record/categorize these two entries?
