kcsnflpa wrote the following post on 9/6/2008 4:15:01 PM
My OWP v. 8.0 has done it again and has not properly carried through posting a voided check entry to the financials so my trial balance is out of balance. I need to make a one sided journal entry to correct the balance (increase the total) of one of my expense accounts. I have had to do this before but have lost my instructions and cannot remember the procedure. Does anyone know how to make OWP accept a one-sided journal entry? Many thanks.