Question: If a payment has been made out of the wrong bank account but the check has not yet been printed, what is the best way to correct it in Quickbooks?
A
Go to the transaction in the wrong account, click on it, and change the bank account in the selection box.
B
Delete the transaction and re-enter it
C
Print the check, put a stop payment on it at the bank, and shred it
D
Print the check and mail it to the customer, and let it be figured out in the bank reconciliation process
Question: Which report(s) could you run to see the reversing journal entry QuickBooks makes when voiding a check from a prior period without affecting the prior period financials?