Contra entries (offset sales debt)

To enter a contra entry

Open: Sales Ledger > Enter Transactions > Contra Entry.

  1. Select the Bank Account Nominal Code. This is the nominal account for the bank account that will be used for the adjustment.
  2. Enter the Transaction date to use.
  3. Select the customer Code.
  4. Select the supplier Code.
  5. To select individual entries, select the check box to the left of the Type column.
  6. To select transactions in a date range, enter a date in the Automatically select transactions up to this date box.
  7. Click Save.