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Why can't I match bank transactions to manual entries?

Hello, How do I declare dividends on one day and pay them later? Basically we declared dividends for year ending 31 Mar 2009 on the 31st Mar. These were then paid to the two Director shareholders on 27th & 28th May (a day apart due to bank limits). If I make a manual bank entry re the divs dated 31 Mar this is fine & creates the correct div vouchers but then when I upload May's bank statement the two div payments obviously appear again incorrectly calculating the bank balance. I cannot see an option for matching to manual transaction, which I'm assuming is because of the 14-day rule. Help! I'm obviously doing something very basically wrong...
 
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