Welcome to the Sage 50 Canada Support Group on Community Hub! Available 24/7, the Forums are a great place to ask and answer product questions, as well as share tips and tricks with Sage peers, partners, and pros.
I recently paid an invoice through direct deposit, not realizing that our manager had already paid it using their visa card.
The vendor doesn't have a refund policy, but we managed to reach an agreement with them. They agreed to consider the duplicate…
I know there was few topics on similar issue but it seems I didin't find the answer.
I received following year end adjustments
Account payables Cr 20 000
consulting services Db 20 000
Since I cannot do adjustments to accounts payables without…
I have posted bank charges in expenses tab in account reconciliation as of Oct 31. After year-end adjustments, my accountant asked me to move it for next year. For some reason this transaction was not showing up to him. How can I move it to November so…
Hi everyone,
My company is having a refund from WSIB due to last year reconciliation. For some reasons the refund wasn't issued and staying in the account balance. We decided to not receive the refund and instead using it to pay off the latest month…
Please help me figure this out. I have overlooked a 2018 withholding tax payable and I just paid for it in January of 2020. How do I record it without making a mess of my current withholding tax record?
I have recorded it as follows:
Credit: Chequing…
I use different bookkeeping programs, but Sage is not my comfort zone. It does quirky things that I don't understand. Today's quirk I came across while trying to figure out the history of a ledger account. To view the transactions in a ledger account…
My question is - I think I may have entered incorrectly
I'm working with GST remittances (Refunds or Returns)
I'm doing it as a GJ entry - 3 accounts consisting of GST Collected, Paid and Cleared
Once I enter my numbers in appropriate accounts then…
Can anyone help me out? I need to make this adjusting year end entry into the a/p subledger
CRA-GST ----DEBIT ---$1111
RETAINED EARNINGS - PREVIOUS YEAR--CREDIT---$1111
not sure how to accomplish this, the amount was posted in 2 entries in the a…
I got a list of adjusting entries from the accountant and one of the adjusting entries is "Accounts Payable" which is a linked account so it doesn't show up when I enter the account number in the general journal. Not sure what the proper way to enter…
Hi,
I paid 2 invoices with 1 cheque. One of the invoices on the cheque was cancelled by the vendor and the vendor returned my cheque to me. I reversed both invoices by creating negative invoices with the same invoice number/ same info/same accounts…
I need to enter year end adjusting entries from 2014 YE before I do my 2015 YE. When my accountant gave me the 2013 adjusting entries, I guess some were not made. So the 2014 adjusting entries contain some that are "to record prior year JE#..."
The…
Hi Everyone,
I recently had to take products back from one of my customers. A credit note was issued for the amount the customer paid minus a restocking fee.
EX:
Products Cost: $100.00ea
Products Sold: $120.00ea
Credit note issued upon…
I have a list of the Accountants Adjusting Journal Entries. Is there a batch method to enter in adjusting entries or do I have to go into each account./module and enter a new entry as the adjustment.
Hi all,
Can anybody tell me the best way to record a GST Refund that has been audited and had ITCs denied by the CRA?
When I file my return I move the rebate/amount owing to a clearing account. Normally, the 'GST Clearing' account would be emptied…