unapplied cash is being added as a sale when its not, its payment from a customer
I create a customer invoice, when they pay I add paid, then afterwards I pay then money into my bank account. When the deposit come up, it lists it as an extra payment as it hasn't been matched. How do I match the bank deposits after the invoice is closed? I've tried to attach the unapplied cash to a customer but its added the money/sale to the customer increasing their sales when this is not the case.
