Can't match deposits to invoices marked as paid
Hello,
I have a client who created a bunch of invoices in QBO, but then randomly made bulk deposits for services from their customers. I was able to match up a few invoices they marked as paid to deposits, but many don't equal up. They explained their clients are all paid up but I have several older A/R payments showing up in my reconciliation that essentially make it look like double entries.
I thought of voiding those invoices but their customers are connected to those invoices. I tried to split those deposits and pair them up to as many of the invoices as possible, but nothing equals up to the exact amount. (I even asked Chat GPT to figure out possible combinations since there was a lot, and nothing)
I was thinking I could do an expense for the total amount of invoices not counted in the reconciliation process, label it as a correction, then count the deposit in the reconciliation. It won't show which customers the deposits are applied to, but it also won't inflate their sales. Thoughts if this would work or if there is a better way of doing this?
Thanks!
