Need help really bad
QB Desktop Pro 2019.
I've run into a situation that I am totally lost on. And please, I'm Polish so keep this as simple as possible.
I run a generator repair business. I am a factory authorized service center for Company G. When I need to buy parts, Company G is my vendor, so let's call them GV. However, when I do warranty work, Company G is my customer, so let's call them GC.
On Aug 8, I did several jobs. 2 of them were warranty work for GC. One was for $567.80, and the other was for $179.72.
When I do warranty work and use parts I have in stock, I am reimbursed dealer cost + 15% commission.
On the job for $567.80, I used Part A.
I submitted my claims for these 2 jobs, and was sent a check for $747.52.
However, when I went to order another part A, I realized that I was reimbursed for less than the cost of the part. In digging, I realized I had accidentally written the part number for Part B instead of Part A. The difference in cost, including the 15% commission, was $56.06.
When I realized my mistake, I immediately called GC to explain. The lady said she would take care of it.
Somehow or other, she got the information backwards and (activated?) an account for me and charged the $56.06 to my account, instead of crediting the account. I have never used this account, as I always prepay for my purchases. However, this "account" is on the GV side, not the GC side.
On Sep 15 I did another warranty job that used Part B. The total claim was $567.80.
On Oct 10, I still had not received payment for the second job, so I logged in to my dealer account to check on it. It said the claim had been processed a month before, but I had never received a check.
So I sent an email to GC to check on the status of this claim/check. I was then informed that the claim had been applied to my account to cover the negative balance. Subtracting the $56.06, my "account" now has a balance of $511.74.
I contacted them again to inform them that the $56.06 should have been credited, not charged.
They then sent me a check for $112.12. That was the $56.06 mistake they made, plus the actual $56.06 difference.
I am totally lost as to how to input all of this into QB to make everything right, and to match my bank statements.
The only thing I can see would be to create another bank account and use this to "deposit" the GV balance into for the next time I order parts.
Can anyone help me out with this? I sure would appreciate it.
